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, 2005 
                                             

Check here if Amendment [ ]; Amendment Number:  
                                               

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

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



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

Person Signing this Report on Behalf of Reporting Manager:

Name:  Win J. Neuger

Title: Executive Vice President and Chief Investment Officer
      
Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Win J. Neuger                  New York, New York        August 12, 2005
-------------------------------    ------------------------  -----------------
(Signature)                        (City, State)              (Date)

Report Type (Check only one.):

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

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

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


     



                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  4



Form 13F Information Table Entry Total: 3,931


Form 13F Information Table Value Total: $17,501,935 (thousands)


List of Other Included Managers:

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

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

1         28-4637                  AIG GLOBAL INVESTMENT CORP.

2         28-2725                  AIG SUNAMERICA ASSET MANAGEMENT CORP.

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

4         28-5794                  HSB GROUP, INC.







                                      TITLE OF   CUSIP    VALUE   SHARES/   SH/ PUT/ INVESTMENT OTHER    (A)        (B)      (C)
           NAME OF ISSUER               CLASS   NUMBER   (X1000) PRINCIPAL  PN  CALL DISCRETION  MGRS    SOLE      SHARED    NONE
                                                         ------- ---------- --- ---- ---------- ----- ---------- --------- -------
                                                                                          
1-800 CONTACTS INC                    EQUITY   681977104     114      5,910  SH      SOLE        1         5,910
1-800-FLOWERS.COM INC                 EQUITY   68243Q106     123     17,525  SH      SOLE        1        17,525
1ST SOURCE CORP.                      EQUITY   336901103     186      8,096  SH      SOLE        1         8,096
21ST CENTURY INSURANCE COMPANY        EQUITY   90130N103     330     22,234  SH      SOLE        1        22,234
21ST CENTURY INSURANCE COMPANY        EQUITY   90130N103  793133 53,445,620  SH      SOLE        1    53,445,620
3COM CORP.                            EQUITY   885535104    3440    947,738  SH      SOLE        1       947,738
3D SYSTEMS CORP                       EQUITY   88554D205     202      8,394  SH      SOLE        1         8,394
3M                                    EQUITY   88579Y101    2386     33,000  SH      SOLE        4        33,000
3M CO                                 EQUITY   88579Y101      66        919  SH      DEFINED     2                   919
3M CO                                 EQUITY   88579Y101   40228    556,402  SH      SOLE        1       556,402
3M COMPANY                            EQUITY   88579Y101      27        370  SH      DEFINED     2                   370
4KIDS ENTERTAINMENT INC               EQUITY   350865101     183      9,208  SH      SOLE        1         9,208
7-ELEVEN INC.                         EQUITY   817826209      16        522  SH      SOLE        1           522
99 CENTS ONLY STORES                  EQUITY   65440K106    1711    134,586  SH      SOLE        1       134,586
A C MOORE ARTS & CRAFT                EQUITY   00086T103     317     10,018  SH      SOLE        1        10,018
A.G. EDWARDS, INC.                    EQUITY   281760108    6282    139,141  SH      SOLE        1       139,141
A.S.V. INC                            EQUITY   001963107     247      6,087  SH      SOLE        1         6,087
AAMES INVESTMENT CORP                 EQUITY   00253G108     277     28,471  SH      SOLE        1        28,471
AAON INC                              EQUITY   000360206     108      6,064  SH      SOLE        1         6,064
AAR CORP.                             EQUITY   000361105     352     22,408  SH      SOLE        1        22,408
AARON RENTS, INC.                     EQUITY   002535201     670     26,926  SH      SOLE        1        26,926
AASTROM BIOSCIENCES INC               EQUITY   00253U107     219     70,311  SH      SOLE        1        70,311
ABAXIS INC                            EQUITY   002567105     149     13,672  SH      SOLE        1        13,672
ABBEY NATIONAL PLC                    CorpBond 002920809   43089  1,640,800  SH      SOLE        1         1,641
Abbey National PLC 7.375%             EQUITY   002920809    2764    105,000  SH      SOLE        4       105,000
ABBOTT LABORATORIES                   EQUITY   002824100   34814    710,335  SH      SOLE        1       710,335
Abbott Labs                           EQUITY   002824100    1715     35,000  SH      SOLE        4        35,000
ABBOTT LABS                           EQUITY   002824100   25414    518,541  SH      DEFINED     2               518,541
ABC BANCORP                           EQUITY   000400101     148      8,189  SH      SOLE        1         8,189
ABERCROMBIE & FITCH CO CL A           EQUITY   002896207       2      27005  SH      SOLE        3         27005             1278
ABERCROMBIE AND FITCH CO.             EQUITY   002896207   10682    155,490  SH      SOLE        1       155,490
ABGENIX, INC.                         EQUITY   00339B107     532     61,971  SH      SOLE        1        61,971
ABIOMED, INC.                         EQUITY   003654100     112     13,134  SH      SOLE        1        13,134
ABM INDUSTRIES, INC.                  EQUITY   000957100     532     27,276  SH      SOLE        1        27,276
ABX AIR INC                           EQUITY   00080S101     328     40,253  SH      SOLE        1        40,253
ACADIA PHARMACEUTICALS INC            EQUITY   004225108      95     11,275  SH      SOLE        1        11,275
ACADIA REALTY TRUST                   EQUITY   004239109     393     21,062  SH      SOLE        1        21,062
ACCENTURE LTD-CL A                    EQUITY   G1150G111    7705    339,870  SH      SOLE        1       339,870
ACCREDITED HOME LENDERS               EQUITY   00437P107     535     12,156  SH      SOLE        1        12,156
ACCREDO HEALTH INC.                   EQUITY   00437V104      47      1,028  SH      SOLE        1         1,028
ACCURIDE CORP                         EQUITY   004398103      81      7,595  SH      SOLE        1         7,595
ACE CASH EXPRESS INC                  EQUITY   004403101     201      7,852  SH      SOLE        1         7,852
ACE LTD                               EQUITY   G0070K103      16        349  SH      DEFINED     2                   349
ACE LTD                               EQUITY   G0070K103    5613    125,141  SH      SOLE        1       125,141
ACTEL CORP.                           EQUITY   004934105     242     17,391  SH      SOLE        1        17,391
ACTIVISION, INC.                      EQUITY   004930202    6000    363,205  SH      SOLE        1       363,205
ACTUANT CORP                          EQUITY   00508X203     886     18,483  SH      SOLE        1        18,483
ACUITY BRANDS INC                     EQUITY   00508Y102     783     30,484  SH      SOLE        1        30,484
ACXIOM CORP.                          EQUITY   005125109    4534    217,138  SH      SOLE        1       217,138
ADAPTEC, INC.                         EQUITY   00651F108     299     77,078  SH      SOLE        1        77,078





                                                                                         
ADC TELECOMMUNICATIONS INC            EQUITY   000886309      3        139  SH      DEFINED    2                   139
ADC TELECOMMUNICATIONS INC            EQUITY   000886309   1159     53,246  SH      SOLE       1      53,246
ADE CORP.                             EQUITY   00089C107    195      6,958  SH      SOLE       1       6,958
ADESA INC                             EQUITY   00686U104   3516    161,484  SH      SOLE       1     161,484
ADEZA BIOMEDICAL CORP                 EQUITY   006864102     49      2,897  SH      SOLE       1       2,897
ADMINISTAFF, INC.                     EQUITY   007094105    323     13,580  SH      SOLE       1      13,580
ADOBE SYS INC                         EQUITY   00724F101     17        588  SH      DEFINED    2                   588
ADOBE SYSTEMS INC.                    EQUITY   00724F101  16101    562,790  SH      SOLE       1     562,790
ADOLOR CORPORATION                    EQUITY   00724X102    250     27,001  SH      SOLE       1      27,001
ADTRAN INC                            EQUITY   00738A106   5647    227,800  SH      DEFINED    2               227,800
ADTRAN INC COM                        EQUITY   00738A106      3     109207  SH      SOLE       3      109207              2083
ADTRAN, INC.                          EQUITY   00738A106   4140    167,425  SH      SOLE       1     167,425
ADVANCE AMERICA CASH ADVANCE          EQUITY   00739W107    754     47,153  SH      SOLE       1      47,153
ADVANCE AUTO PARTS                    EQUITY   00751Y106  25205    390,477  SH      SOLE       1     390,477
ADVANCED DIGITAL INFO CORP.           EQUITY   007525108    335     44,091  SH      SOLE       1      44,091
ADVANCED ENERGY INDUSTRIES            EQUITY   007973100    116     14,701  SH      SOLE       1      14,701
ADVANCED MEDICAL OPTICS               EQUITY   00763M108   4649    116,948  SH      SOLE       1     116,948
ADVANCED MICRO DEVICES INC            EQUITY   007903107      8        469  SH      DEFINED    2                   469
ADVANCED MICRO DEVICES, INC.          EQUITY   007903107   3123    180,104  SH      SOLE       1     180,104
ADVANCED NEUROMODULATION S            EQUITY   00757T101   6555    165,200  SH      DEFINED    2               165,200
ADVANCES NEUROMODULATIONS SYS         EQUITY   00757T101    544     13,702  SH      SOLE       1      13,702
ADVANTA CORP [B]                      EQUITY   007942204    369     13,121  SH      SOLE       1      13,121
ADVENT SOFTWARE, INC.                 EQUITY   007974108   1267     62,515  SH      SOLE       1      62,515
ADVISORY BRD CO                       EQUITY   00762W107    647     13,262  SH      SOLE       1      13,262
ADVO, INC.                            EQUITY   007585102    688     21,600  SH      SOLE       1      21,600
AEROFLEX, INC                         EQUITY   007768104    433     51,543  SH      SOLE       1      51,543
AEROPOSTALE INC                       EQUITY   007865108   4604    137,030  SH      SOLE       1     137,030
AES CORP                              EQUITY   00130H105     13        777  SH      DEFINED    2                   777
AES DRAX ENERGY LTD                   EQUITY   00130H105   8398    512,712  SH      SOLE       1     512,712
AETNA INC                             EQUITY   00817Y108   1089     13,146  SH      DEFINED    2                13,146
AETNA INC-NEW                         EQUITY   00817Y108  36469    440,340  SH      SOLE       1     440,340
AFC ENTERPRISES                       EQUITY   00104Q107   2361    179,107  SH      SOLE       1     179,107
AFFILIATED COMPUTER SERVICES CLASS A  EQUITY   008190100   3585     70,153  SH      SOLE       1      70,153
AFFILIATED COMPUTER SVCS I            EQUITY   008190100      8        156  SH      DEFINED    2                   156
AFFILIATED MANAGERS GROUP             EQUITY   008252108     39        570  SH      SOLE       1         570
AFFIRMATIVE INSURANCE HOLDIN          EQUITY   008272106    106      6,659  SH      SOLE       1       6,659
AFFORDABLE RESIDENTIAL COMMU          EQUITY   008273104    265     19,839  SH      SOLE       1      19,839
AFFYMETRIX INC                        EQUITY   00826T108     71      1,309  SH      SOLE       1       1,309
AFFYMETRIX INC COM                    EQUITY   00826T108      2      30373  SH      SOLE       3       30373              1171
AFLAC INC                             EQUITY   001055102     26        594  SH      DEFINED    2                   594
AFLAC, INC.                           EQUITY   001055102  21438    495,330  SH      SOLE       1     495,330
AFTERMARKET TECHNOLOGY                EQUITY   008318107    257     14,719  SH      SOLE       1      14,719
AGCO CORP.                            EQUITY   001084102   4273    223,465  SH      SOLE       1     223,465
AGERE SYSTEMS INC                     EQUITY   00845V308     45      3,766  SH      SOLE       1       3,766
AGILE SOFTWARE CORP.                  EQUITY   00846X105    232     36,804  SH      SOLE       1      36,804
AGILENT TECHNOLOGIES INC              EQUITY   00846U101     12        512  SH      DEFINED    2                   512
AGILENT TECHNOLOGIES INC.             EQUITY   00846U101   4552    197,751  SH      SOLE       1     197,751
AGILYSYS INC                          EQUITY   00847J105    312     19,867  SH      SOLE       1      19,867
AGL RESOURCES, INC.                   EQUITY   001204106   6970    180,329  SH      SOLE       1     180,329
AGNICO-EAGLE MINES                    EQUITY   008474108   3854    308,100  SH      Defined    1           0   308,100
AGREE REALTY CORP                     EQUITY   008492100    160      5,302  SH      SOLE       1       5,302
AIR PRODS + CHEMS INC                 EQUITY   009158106     17        278  SH      DEFINED    2                   278





                                                                                        
AIR PRODUCTS AND CHEMICALS INC        EQUITY   009158106   5973     99,058  SH      SOLE       1      99,058
AIRGAS, INC.                          EQUITY   009363102   3147    127,577  SH      SOLE       1     127,577
AIRTRAN HOLDINGS, INC.                EQUITY   00949P108   1979    214,368  SH      SOLE       1     214,368
AK STEEL CORP.                        EQUITY   001547108    486     75,831  SH      SOLE       1      75,831
AKAMAI  TECHNOLOGIES  INC.            EQUITY   00971T101     30      2,251  SH      SOLE       1       2,251
ALABAMA NATIONAL BANCORP              EQUITY   010317105    615      9,405  SH      SOLE       1       9,405
ALADDIN KNOWLEDGE SYS ORD (F)         EQUITY   M0392N101      6     269500  SH      SOLE       3      269500
ALAMO GROUP INC                       EQUITY   011311107     79      4,254  SH      SOLE       1       4,254
ALAMOSA HOLDINGS INC                  EQUITY   011589108    344     24,721  SH      DEFINED    2                24,721
ALAMOSA HOLDINGS INC.                 EQUITY   011589108  14805  1,065,110  SH      SOLE       1   1,065,110
ALASKA AIR GROUP, INC.                EQUITY   011659109   1927     64,778  SH      SOLE       1      64,778
ALASKA COMM. SYS. HLDGS., INC.        EQUITY   01167P101     89      8,962  SH      SOLE       1       8,962
ALBANY INTERNATIONAL CORP. CLASS A    EQUITY   012348108    632     19,672  SH      SOLE       1      19,672
ALBANY MOLECULAR                      EQUITY   012423109    230     16,407  SH      SOLE       1      16,407
ALBEMARLE CORP.                       EQUITY   012653101   3062     83,965  SH      SOLE       1      83,965
ALBERTO CULVER CO                     EQUITY   013068101      4        103  SH      DEFINED    2                   103
ALBERTO-CULVER CO. CLASS B            EQUITY   013068101   1762     40,672  SH      SOLE       1      40,672
ALBERTSONS INC                        EQUITY   013104104  10252    495,731  SH      DEFINED    2               495,731
ALBERTSON'S, INC.                     EQUITY   013104104   3502    169,339  SH      SOLE       1     169,339
ALCAN INC                             EQUITY   013716105   4802    160,000  SH      Defined    1           0   160,000
ALCOA INC                             EQUITY   013817101     27      1,043  SH      DEFINED    2                 1,043
ALCOA, INC.                           EQUITY   013817101  11837    453,021  SH      SOLE       1     453,021
ALDERWOODS GROUP INC                  EQUITY   014383103    397     27,696  SH      SOLE       1      27,696
ALDILA INC                            EQUITY   014384200   1189     60,810  SH      SOLE       1      60,810
ALERIS INTERNATIONAL INC              EQUITY   014477103    479     21,258  SH      SOLE       1      21,258
ALEXANDER & BALDWIN, INC.             EQUITY   014482103   3662     79,017  SH      SOLE       1      79,017
ALEXANDER'S, INC.                     EQUITY   014752109    330      1,328  SH      SOLE       1       1,328
ALEXANDRIA REAL ESTATE EQUITIE        EQUITY   015271109   1183     16,105  SH      SOLE       1      16,105
ALEXION PHARMACEUTICLAS, INC.         EQUITY   015351109    445     19,296  SH      SOLE       1      19,296
ALFA CORP.                            EQUITY   015385107    331     22,460  SH      SOLE       1      22,460
ALICO INC                             EQUITY   016230104    135      2,633  SH      SOLE       1       2,633
ALIGN TECHNOLOGY INC                  EQUITY   016255101    313     42,458  SH      SOLE       1      42,458
ALKERMES INC                          EQUITY   01642T108    825     62,400  SH      SOLE       1      62,400
ALLEGHANY CORP                        EQUITY   017175100     40        134  SH      SOLE       1         134
ALLEGHENY ENERGY INC                  EQUITY   017361106      5        196  SH      DEFINED    2                   196
ALLEGHENY ENERGY, INC.                EQUITY   017361106   1884     74,696  SH      SOLE       1      74,696
ALLEGHENY TECHNOLOGIES INC            EQUITY   01741R102   2726     32,058  SH      DEFINED    2                32,058
ALLEGHENY TECHNOLOGIES, INC.          EQUITY   01741R102   2692    122,047  SH      SOLE       1     122,047
ALLERGAN, INC.                        EQUITY   018490102  19410    227,707  SH      SOLE       1     227,707
ALLETE INC.                           EQUITY   018522300    874     17,511  SH      SOLE       1      17,511
ALLIANCE DATA SYSTEMS                 EQUITY   018581108   4849    119,551  SH      SOLE       1     119,551
ALLIANCE GAMING CORP                  EQUITY   01859P609    495     35,299  SH      SOLE       1      35,299
ALLIANCE IMAGING INC                  EQUITY   018606202    100      9,524  SH      SOLE       1       9,524
ALLIANCE ONE INTERNATIONAL I          EQUITY   018772103    360     59,819  SH      SOLE       1      59,819
ALLIANT ENERGY CORP.                  EQUITY   018802108   5915    210,132  SH      SOLE       1     210,132
ALLIANT TECHSYSTEMS INC               EQUITY   018804104   4698     66,549  SH      SOLE       1      66,549
ALLIANT TECHSYSTEMS INC               EQUITY   018804104  20721    293,500  SH      DEFINED    2               293,500
ALLIED CAPITAL CORP                   EQUITY   01903Q108    108      3,715  SH      SOLE       1       3,715
ALLIED HEALTHCARE INTL INC            EQUITY   01923A109    149     20,997  SH      SOLE       1      20,997
ALLIED WASTE INDUSTRIES IN            EQUITY   019589308      3        332  SH      DEFINED    2                   332
ALLIED WASTE INDUSTRIES, INC.         EQUITY   019589308    987    124,409  SH      SOLE       1     124,409
ALLMERICA FINANCIAL CORP              EQUITY   019754100   3581     96,560  SH      SOLE       1      96,560





                                                                                         
ALLOS THERAPEUTICS INC                EQUITY   019777101     18      8,294  SH      SOLE       1       8,294
ALLOY ONLINE, INC                     EQUITY   019855105    121     23,475  SH      SOLE       1      23,475
ALLSCRIPTS HEALTHCARE SOLUTION        EQUITY   01988P108    385     23,196  SH      SOLE       1      23,196
ALLSCRIPTS HEATHCARE SOLUT            EQUITY   01988P108    615     37,000  SH      DEFINED    2                37,000
ALLSTATE CORP                         EQUITY   020002101   6424    107,508  SH      DEFINED    2               107,508
ALLSTATE CORP.                        EQUITY   020002101  31014    519,071  SH      SOLE       1     519,071
ALLTEL CORP                           EQUITY   020039103     25        395  SH      DEFINED    2                   395
ALLTEL CORP.                          EQUITY   020039103   8802    141,335  SH      SOLE       1     141,335
ALPHA NATURAL RESOURCES INC           EQUITY   02076X102    486     20,371  SH      SOLE       1      20,371
ALPHARMA INC. CLASS A                 EQUITY   020813101    396     27,374  SH      SOLE       1      27,374
ALTERA CORP                           EQUITY   021441100      9        453  SH      DEFINED    2                   453
ALTERA CORP.                          EQUITY   021441100   4006    202,300  SH      SOLE       1     202,300
ALTIRIS INC                           EQUITY   02148M100    223     15,207  SH      SOLE       1      15,207
Altria Group Inc                      EQUITY   02209S103   7113    110,000  SH      SOLE       4     110,000
ALTRIA GROUP INC                      EQUITY   02209S103  18557    286,995  SH      DEFINED    2               286,995
ALTRIA GROUP INC                      EQUITY   02209S103 127480  1,971,537  SH      SOLE       1   1,971,537
AMAZON COM INC                        EQUITY   023135106     26        795  SH      DEFINED    2                   795
AMAZON.COM, INC.                      EQUITY   023135106    601     18,170  SH      SOLE       1      18,170
AMB PPTY CORP                         EQUITY   00163T109              5860  SH      SOLE       3        5860              5860
AMB PROPERTY CORP                     EQUITY   00163T109   6853    157,797  SH      SOLE       1     157,797
AMBAC FINANCIAL GROUP INC.            EQUITY   023139108   4731     67,815  SH      SOLE       1      67,815
AMBAC FINL GROUP INC                  EQUITY   023139108      9        134  SH      DEFINED    2                   134
AMBASSADORS GROUP INC                 EQUITY   023177108    216      5,820  SH      SOLE       1       5,820
AMCOL INTERNATIONAL CORP.             EQUITY   02341W103    280     14,921  SH      SOLE       1      14,921
AMCORE FINANCIAL, INC.                EQUITY   023912108    437     14,627  SH      SOLE       1      14,627
AMDOCS LIMITED                        EQUITY   G02602103   1359     51,420  SH      SOLE       1      51,420
AMEDISYS INC                          EQUITY   023436108    393     10,686  SH      SOLE       1      10,686
AMEDISYS INC COM                      EQUITY   023436108      3      70300  SH      SOLE       3       70300
AMEGY BANCORP INC                     EQUITY   02343R102   1085     48,471  SH      SOLE       1      48,471
AMERADA HESS CORP                     EQUITY   023551104     11        104  SH      DEFINED    2                   104
AMERADA HESS CORP                     EQUITY   023551104  20112    188,831  SH      SOLE       1     188,831
AMERCO, INC.                          EQUITY   023586100    380      7,087  SH      SOLE       1       7,087
Ameren                                EQUITY   023608102   5972    108,000  SH      SOLE       4     108,000
AMEREN CORP                           EQUITY   023608102     13        241  SH      DEFINED    2                   241
AMEREN CORP.                          EQUITY   023608102   5159     93,288  SH      SOLE       1      93,288
AMERICA MOVIL SA ADR EACH R           EQUITY   02364W105   7233    121,340  SH      SOLE       1     121,340
AMERICA SERVICE GROUP INC             EQUITY   02364L109    119      7,510  SH      SOLE       1       7,510
AMERICAN AXLE & MFG HOLDINGS          EQUITY   024061103    748     29,585  SH      SOLE       1      29,585
AMERICAN CAMPUS COMMUNITIES           EQUITY   024835100    198      8,714  SH      SOLE       1       8,714
AMERICAN CAP. STRATEGIES, INC.        EQUITY   024937104     93      2,574  SH      SOLE       1       2,574
AMERICAN DENTAL PARTNERS INC          EQUITY   025353103    134      5,503  SH      SOLE       1       5,503
AMERICAN EAGLE OUTFITTERS             EQUITY   02553E106   7633    249,121  SH      SOLE       1     249,121
AMERICAN ECOLOGY CORP                 EQUITY   025533407    149      8,341  SH      SOLE       1       8,341
AMERICAN ECOLOGY CORP COM NEW         EQUITY   025533407      5     291600  SH      SOLE       3      291600
AMERICAN ELEC PWR INC                 EQUITY   025537101     17        468  SH      DEFINED    2                   468
AMERICAN ELECTRIC POWER, INC.         EQUITY   025537101  13788    373,966  SH      SOLE       1     373,966
AMERICAN EQUITY INVT LIFE HL          EQUITY   025676206    270     22,692  SH      SOLE       1      22,692
AMERICAN EXPRESS CO                   EQUITY   025816109  15598    293,030  SH      DEFINED    2               293,030
AMERICAN EXPRESS CO.                  EQUITY   025816109  38978    732,265  SH      SOLE       1     732,265
AMERICAN FINANCIAL GROUP, INC.        EQUITY   025932104   3529    105,271  SH      SOLE       1     105,271
AMERICAN FINANCIAL REALTY TR          EQUITY   02607P305   4343    282,394  SH      SOLE       1     282,394
AMERICAN FIRST MORTGAGE INVES         EQUITY   55272X102    424     56,912  SH      SOLE       1      56,912





                                                                                         
AMERICAN GREETINGS CORP. CLASS A      EQUITY   026375105   3279    123,753  SH      SOLE       1     123,753
AMERICAN HEALTHWAYS INC               EQUITY   02649V104    968     22,910  SH      SOLE       1      22,910
AMERICAN HEALTHWAYS INC               EQUITY   02649V104   1433     33,900  SH      DEFINED    2                33,900
AMERICAN HOME MORTGAGE INVESTMENT COR EQUITY   02660R107    917     26,220  SH      SOLE       1      26,220
AMERICAN INTL GROUP INC               EQUITY   026874107    181      3,120  SH      DEFINED    2                 3,120
AMERICAN INTL GRP INC COM             EQUITY   026874107  67107    115,019  SH      SOLE       1     115,019
AMERICAN ITALIAN PASTA CO. CLASS A    EQUITY   027070101    268     12,734  SH      SOLE       1      12,734
AMERICAN MEDICAL SYSTEMS HOLDI        EQUITY   02744M108    985     47,710  SH      SOLE       1      47,710
AMERICAN NATIONAL IN                  EQUITY   028591105     25        222  SH      SOLE       1         222
AMERICAN PHARMACEUTICA                EQUITY   02886P109     17        403  SH      SOLE       1         403
AMERICAN PHYSICIANS CAPITAL IN        EQUITY   028884104    189      5,088  SH      SOLE       1       5,088
AMERICAN POWER CONVERSION             EQUITY   029066107   2407    102,050  SH      SOLE       1     102,050
AMERICAN PWR CONVERSION CO            EQUITY   029066107      5        217  SH      DEFINED    2                   217
AMERICAN REPROGRAPHICS CO             EQUITY   029263100    148      9,226  SH      SOLE       1       9,226
AMERICAN RETIREMENT CORP              EQUITY   028913101    280     19,137  SH      SOLE       1      19,137
AMERICAN SCIENCE & ENGINEERI          EQUITY   029429107    251      5,650  SH      SOLE       1       5,650
AMERICAN SCIENCE &ENGR COM            EQUITY   029429107      1      30700  SH      SOLE       3       30700
AMERICAN STANDARD COMPANIES           EQUITY   029712106   3385     80,750  SH      SOLE       1      80,750
AMERICAN STATES WATER CO.             EQUITY   029899101    340     11,586  SH      SOLE       1      11,586
AMERICAN STD COS INC DEL              EQUITY   029712106      9        222  SH      DEFINED    2                   222
AMERICAN SUPERCONDUCTOR CORP          EQUITY   030111108    202     22,066  SH      SOLE       1      22,066
AMERICAN TOWER CORP                   EQUITY   029912201   9637    458,484  SH      SOLE       1     458,484
AMERICAN VANGUARD CORP                EQUITY   030371108    153      7,331  SH      SOLE       1       7,331
AMERICAN WEST HOLDINGS CORP. CLASS B  EQUITY   023657208    148     24,590  SH      SOLE       1      24,590
AMERICAN WOODMARK CORP.               EQUITY   030506109    235      7,821  SH      SOLE       1       7,821
AMERICANWEST BANCORPORATION           EQUITY   03058P109    143      7,177  SH      SOLE       1       7,177
AMERICA'S CAR-MART INC                EQUITY   03062T105    139      6,182  SH      SOLE       1       6,182
AMERICREDIT CORP.                     EQUITY   03060R101   6795    266,465  SH      SOLE       1     266,465
AMERIGROUP CORP                       EQUITY   03073T102     43      1,061  SH      SOLE       1       1,061
AMERIGROUP CORP COM                   EQUITY   03073T102      3      64372  SH      SOLE       3       64372              2023
AMERISOURCEBERGEN CO                  EQUITY   03073E105   3346     48,394  SH      SOLE       1      48,394
AMERISOURCEBERGEN CORP                EQUITY   03073E105      9        126  SH      DEFINED    2                   126
AMERISTAR CASINOS                     EQUITY   03070Q101    441     16,894  SH      SOLE       1      16,894
AMERITRADE HOLDING CORP - CL A        EQUITY   03074K100    109      5,860  SH      SOLE       1       5,860
AMERN EAGLE OUTFIT NEW COM            EQUITY   02553E106      1      28916  SH      SOLE       3       28916              1065
AMERON, INC.                          EQUITY   030710107    219      5,851  SH      SOLE       1       5,851
AMERUS GROUP CO.                      EQUITY   03072M108   3406     70,889  SH      SOLE       1      70,889
AMES NATIONAL CORP                    EQUITY   031001100    214      1,940  SH      SOLE       1       1,940
AMETEK INC NEW                        EQUITY   031100100  24277    580,100  SH      DEFINED    2               580,100
AMETEK, INC.                          EQUITY   031100100   5246    125,345  SH      SOLE       1     125,345
AMGEN INC                             EQUITY   031162100  24378    403,198  SH      DEFINED    2               403,198
AMGEN, INC.                           EQUITY   031162100  76092  1,258,549  SH      SOLE       1   1,258,549
AMICAS INC                            EQUITY   001712108    141     31,038  SH      SOLE       1      31,038
AMIS HOLDINGS INC                     EQUITY   031538101    405     30,360  SH      SOLE       1      30,360
AMKOR TECHNOLOGY, INC                 EQUITY   031652100    314     69,218  SH      SOLE       1      69,218
AMLI RESIDENTIAL PROPERTIES           EQUITY   001735109    610     19,517  SH      SOLE       1      19,517
AMN HEALTHCARE SERVICE                EQUITY   001744101    120      7,982  SH      SOLE       1       7,982
AMPHENOL CORP. CLASS A                EQUITY   032095101   6380    158,829  SH      SOLE       1     158,829
AMR CORP.                             EQUITY   001765106    183     15,104  SH      SOLE       1      15,104
Amsouth Bancorp                       EQUITY   032165102   1820     70,000  SH      SOLE       4      70,000
AMSOUTH BANCORPORATION                EQUITY   032165102     11        424  SH      DEFINED    2                   424
AMSOUTH BANCORPORATION                EQUITY   032165102   4224    162,459  SH      SOLE       1     162,459





                                                                                         
AMSURG CORP CL A                      EQUITY   03232P405    564     20,379  SH      SOLE       1      20,379
AMYLIN PHARMACEUTICALS, INC.          EQUITY   032346108   1507     72,010  SH      SOLE       1      72,010
ANADARKO PETE CORP                    EQUITY   032511107     23        283  SH      DEFINED    2                   283
ANADARKO PETROLEUM CORP.              EQUITY   032511107  10244    124,693  SH      SOLE       1     124,693
ANALOG DEVICES INC                    EQUITY   032654105  22052    591,042  SH      DEFINED    2               591,042
ANALOG DEVICES, INC.                  EQUITY   032654105   8600    230,506  SH      SOLE       1     230,506
ANALOGIC CORP.                        EQUITY   032657207    476      9,469  SH      SOLE       1       9,469
ANAREN INC                            EQUITY   032744104    170     12,915  SH      SOLE       1      12,915
ANCHOR BANCORP WISCONSIN, INC.        EQUITY   032839102    475     15,707  SH      SOLE       1      15,707
ANDERSONS INC/THE                     EQUITY   034164103    164      4,590  SH      SOLE       1       4,590
ANDREW CORP                           EQUITY   034425108   6279    492,103  SH      DEFINED    2               492,103
ANDREW CORP.                          EQUITY   034425108  11482    899,844  SH      SOLE       1     899,844
ANDRX GROUP                           EQUITY   034553107   1027     50,556  SH      SOLE       1      50,556
ANGELICA CORP                         EQUITY   034663104    155      6,340  SH      SOLE       1       6,340
ANGIODYNAMICS INC                     EQUITY   03475V101     35      1,604  SH      SOLE       1       1,604
ANGLOGOLD ASHANTI-SPON ADR            EQUITY   035128206   2973     83,200  SH      SOLE       1      83,200
ANHEUSER BUSCH COS INC                EQUITY   035229103  10648    232,741  SH      DEFINED    2               232,741
ANHEUSER-BUSCH COMPANIES, INC.        EQUITY   035229103  16497    360,599  SH      SOLE       1     360,599
ANIMAS CORP                           EQUITY   03525Y105    171      8,473  SH      SOLE       1       8,473
ANIMAS CORP DEL                       EQUITY   03525Y105   1326     65,800  SH      DEFINED    2                65,800
ANIXTER INTERNATIONALL, INC.          EQUITY   035290105    820     22,048  SH      SOLE       1      22,048
ANN TAYLOR STORES CORP.               EQUITY   036115103   3195    131,592  SH      SOLE       1     131,592
ANNALY MTG MGMT INC                   EQUITY   035710409     60      3,372  SH      SOLE       1       3,372
ANSOFT CORP                           EQUITY   036384105    108      4,464  SH      SOLE       1       4,464
ANSYS INC                             EQUITY   03662Q105    779     21,856  SH      SOLE       1      21,856
ANTEON INTERNATIONAL CORP             EQUITY   03674E108   3477     76,217  SH      SOLE       1      76,217
ANTHRACITE CAPITAL INC.               EQUITY   037023108   3233    272,823  SH      SOLE       1     272,823
ANTIGENICS INC.                       EQUITY   037032109    108     19,925  SH      SOLE       1      19,925
ANWORTH MORTGAGE ASSET                EQUITY   037347101    322     32,728  SH      SOLE       1      32,728
AON CORP                              EQUITY   037389103     10        382  SH      DEFINED    2                   382
AON CORP.                             EQUITY   037389103  13237    528,619  SH      SOLE       1     528,619
APACHE CORP                           EQUITY   037411105    100      1,501  SH      DEFINED    2                 1,501
APACHE CORP.                          EQUITY   037411105   9268    143,461  SH      SOLE       1     143,461
APARTMENT INVT & MGMT CL A            EQUITY   03748R101              6700  SH      SOLE       3        6700              6700
APARTMENT INVT & MGMT CO - A          EQUITY   03748R101   2072     50,638  SH      SOLE       1      50,638
APARTMENT INVT + MGMT CO              EQUITY   03748R101      5        118  SH      DEFINED    2                   118
APOGEE ENTERPRISES, INC.              EQUITY   037598109    295     19,205  SH      SOLE       1      19,205
APOLLO GROUP INC                      EQUITY   037604105     15        195  SH      DEFINED    2                   195
APOLLO GROUP, INC. CLASS A            EQUITY   037604105   6581     84,135  SH      SOLE       1      84,135
APOLLO INVESTMENT CORP                EQUITY   03761U106    793     43,030  SH      SOLE       1      43,030
APPLE COMPUTER                        EQUITY   037833100     36        991  SH      DEFINED    2                   991
APPLE COMPUTER, INC.                  EQUITY   037833100  19334    525,249  SH      SOLE       1     525,249
APPLEBEES INTERNATIONAL, INC.         EQUITY   037899101   3870    146,082  SH      SOLE       1     146,082
APPLEBEES INTL INC                    EQUITY   037899101  11625    438,850  SH      DEFINED    2               438,850
APPLERA CORP  APPLIED BIOSYSTEM       EQUITY   038020103   1784     90,691  SH      SOLE       1      90,691
APPLERA CORP APPLIED BIOSY            EQUITY   038020103      5        243  SH      DEFINED    2                   243
APPLIED DIGITAL SOLUTIONS             EQUITY   038188306    142     43,115  SH      SOLE       1      43,115
APPLIED FILMS CORP                    EQUITY   038197109    264     10,299  SH      SOLE       1      10,299
APPLIED INDUSTRIAL TECH., INC.        EQUITY   03820C105    670     20,759  SH      SOLE       1      20,759
APPLIED MATERIALS INC                 EQUITY   038222105   6423    396,977  SH      DEFINED    2               396,977
APPLIED MATERIALS, INC.               EQUITY   038222105  16433  1,015,625  SH      SOLE       1   1,015,625
APPLIED MICRO CIRCUITS COR            EQUITY   03822W109      1        370  SH      DEFINED    2                   370





                                                                                        
APPLIED MICRO CIRCUITS CORP.          EQUITY   03822W109    884    345,352  SH      SOLE       1     345,352
APPLIED SIGNAL TECHNOLOGY             EQUITY   038237103    149      7,846  SH      SOLE       1       7,846
APRIA HEALTHCARE GROUP, INC.          EQUITY   037933108   4194    121,074  SH      SOLE       1     121,074
APTARGROUP, INC.                      EQUITY   038336103     50        987  SH      SOLE       1         987
APTIMUS INC COM                       EQUITY   03833V108      1      59700  SH      SOLE       3       59700
AQUA AMERICA INC                      EQUITY   03836W103   5145    172,989  SH      SOLE       1     172,989
AQUA AMERICA INC COM (F)              EQUITY   03836W103      3      95000  SH      SOLE       3       95000
AQUANTIVE INC                         EQUITY   03839G105    693     39,134  SH      SOLE       1      39,134
AQUILA INC                            EQUITY   03840P102   2157    597,471  SH      SOLE       1     597,471
ARACRUZ CELULOSE SA-SPON ADR          EQUITY   038496204    841     24,200  SH      SOLE       1      24,200
ARAID PHARAMACEUTICLAS, INC.          EQUITY   04033A100    243     36,528  SH      SOLE       1      36,528
ARAMARK CORP                          EQUITY   038521100     58      2,192  SH      SOLE       1       2,192
ARBINET-THEXCHANGE INC                EQUITY   03875P100     31      4,575  SH      SOLE       1       4,575
ARBITRON INC                          EQUITY   03875Q108   1364     31,800  SH      DEFINED    2                31,800
ARBITRON, INC.                        EQUITY   03875Q108    931     21,704  SH      SOLE       1      21,704
ARBOR REALTY TRUST INC                EQUITY   038923108    254      8,859  SH      SOLE       1       8,859
ARCH CHEMICALS, INC.                  EQUITY   03937R102    407     16,326  SH      SOLE       1      16,326
ARCH COAL, INC.                       EQUITY   039380100   6223    114,250  SH      SOLE       1     114,250
ARCHER DANIELS MIDLAND CO             EQUITY   039483102     16        744  SH      DEFINED    2                   744
ARCHER DANIELS MIDLAND CO.            EQUITY   039483102   6111    285,820  SH      SOLE       1     285,820
ARCHIPELAGO HOLDINGS INC              EQUITY   03957A104    793     20,385  SH      SOLE       1      20,385
ARCHSTONE COMMUNITIES TRUST           EQUITY   039583109   4078    105,601  SH      SOLE       1     105,601
ARCHSTONE SMITH TR                    EQUITY   039583109      9        242  SH      DEFINED    2                   242
ARCHSTONE SMITH TR COM                EQUITY   039583109      1      14120  SH      SOLE       3       14120             14120
ARCTIC CAT, INC.                      EQUITY   039670104    193      9,384  SH      SOLE       1       9,384
ARDEN GROUP INC                       EQUITY   039762109     73        918  SH      SOLE       1         918
ARDEN REALTY INC.                     EQUITY   039793104    234      6,497  SH      SOLE       1       6,497
ARENA PHARMACEUTICALS INC             EQUITY   040047102    166     24,355  SH      SOLE       1      24,355
ARES CAPITAL CORP                     EQUITY   04010L103    285     16,005  SH      SOLE       1      16,005
ARGON ST INC                          EQUITY   040149106    215      6,050  SH      SOLE       1       6,050
ARGONAUT GROUP, INC.                  EQUITY   040157109    445     19,264  SH      SOLE       1      19,264
ARGOSY GAMING CO.                     EQUITY   040228108   5268    113,031  SH      SOLE       1     113,031
ARIBA INC                             EQUITY   04033V203    264     45,671  SH      SOLE       1      45,671
ARKANSAS BEST CORP.                   EQUITY   040790107    557     17,514  SH      SOLE       1      17,514
ARMOR HOLDINGS, INC.                  EQUITY   042260109    945     23,858  SH      SOLE       1      23,858
ARQULE, INC.                          EQUITY   04269E107    141     21,789  SH      SOLE       1      21,789
ARRAY BIOPHARMA INC                   EQUITY   04269X105    137     21,736  SH      SOLE       1      21,736
ARRIS GROUP INC                       EQUITY   04269Q100    529     60,741  SH      SOLE       1      60,741
ARRIS GROUP INC COM                   EQUITY   04269Q100      2     261681  SH      SOLE       3      261681              5019
ARROW ELECTRONICS INC                 EQUITY   042735100   5773    212,572  SH      SOLE       1     212,572
ARROW FINANCIAL CORP                  EQUITY   042744102    197      7,078  SH      SOLE       1       7,078
ARROW INTERNATIONAL, INC.             EQUITY   042764100    466     14,618  SH      SOLE       1      14,618
ARTESYN TECHNOLOGIES, INC.            EQUITY   043127109    225     25,899  SH      SOLE       1      25,899
ARTHROCARE CORP COM                   EQUITY   043136100      6     162800  SH      SOLE       3      162800
ARTHROCARE CORP.                      EQUITY   043136100    585     16,747  SH      SOLE       1      16,747
ARVINMERITOR, INC                     EQUITY   043353101   3082    173,230  SH      SOLE       1     173,230
ASBURY AUTOMOTIVE GROUP               EQUITY   043436104    138      8,941  SH      SOLE       1       8,941
ASHFORD HOSPITALITY TRUST             EQUITY   044103109    259     23,947  SH      SOLE       1      23,947
ASHLAND INC                           EQUITY   044204105      6         81  SH      DEFINED    2                    81
ASIAINFO HOLDINGS INC.                EQUITY   04518A104    141     25,664  SH      SOLE       1      25,664
ASK JEEVES INC                        EQUITY   045174109     37      1,227  SH      SOLE       1       1,227
ASPECT COMMUNICATIONS INC.            EQUITY   04523Q102    336     29,929  SH      SOLE       1      29,929





                                                                                         
ASPECT MED SYS INC COM                EQUITY   045235108      5     176100  SH      SOLE       3      176100
ASPECT MEDICAL SYSTEMS, INC.          EQUITY   045235108    334     11,233  SH      SOLE       1      11,233
ASPEN TECHNOLOGY, INC.                EQUITY   045327103    154     29,630  SH      SOLE       1      29,630
ASSET ACCEP CAP CORP COM              EQUITY   04543P100      8     322279  SH      SOLE       3      322279              6283
ASSET ACCEPTANCE CAPITAL              EQUITY   04543P100    160      6,172  SH      SOLE       1       6,172
ASSOCIATED BANC-CORP.                 EQUITY   045487105   7757    231,008  SH      SOLE       1     231,008
ASSURANT INC                          EQUITY   04621X108    116      3,226  SH      SOLE       1       3,226
ASTA FUNDING INC                      EQUITY   046220109    198      7,140  SH      SOLE       1       7,140
ASTEC INDS INC COM                    EQUITY   046224101    252     10,859  SH      SOLE       1      10,859
ASTORIA FINANCIAL CORP.               EQUITY   046265104   5167    181,482  SH      SOLE       1     181,482
ASYST TECHNOLOGIES, INC.              EQUITY   04648X107    147     32,870  SH      SOLE       1      32,870
AT & T CORP                           EQUITY   001957505   9107    478,300  SH      SOLE       1     478,300
AT+T CORP                             EQUITY   001957505     24      1,276  SH      DEFINED    2                 1,276
ATARI INC                             EQUITY   04651M105     93     33,516  SH      SOLE       1      33,516
ATHEROGENICS INC                      EQUITY   047439104    416     26,044  SH      SOLE       1      26,044
ATHEROS COMMUNICATIONS                EQUITY   04743P108    191     23,682  SH      SOLE       1      23,682
ATI TECHNOLOGIES                      EQUITY   001941103   1350    114,100  SH      Defined    1           0   114,100
ATLAS AMERICA INC                     EQUITY   049167109     65      1,749  SH      SOLE       1       1,749
ATMEL CORP.                           EQUITY   049513104   2582  1,094,007  SH      SOLE       1   1,094,007
ATMI, INC.                            EQUITY   00207R101    744     25,662  SH      SOLE       1      25,662
ATMOS ENERGY CORP.                    EQUITY   049560105   1495     51,923  SH      SOLE       1      51,923
ATP OIL & GAS CORP                    EQUITY   00208J108    294     12,550  SH      SOLE       1      12,550
ATWOOD OCEANICS INC COM               EQUITY   050095108      2      36400  SH      SOLE       3       36400
ATWOOD OCEANICS, INC.                 EQUITY   050095108    563      9,140  SH      SOLE       1       9,140
AU OPTRONICS CORP-ADR                 EQUITY   002255107   3031    178,900  SH      SOLE       1     178,900
AUDIBLE INC                           EQUITY   05069A302    289     16,646  SH      SOLE       1      16,646
AUDIOVOX COPR.                        EQUITY   050757103    183     11,794  SH      SOLE       1      11,794
AUGUST TECHNOLOGY CORP.               EQUITY   05106U105    145     12,421  SH      SOLE       1      12,421
AUTOBYTEL.COM INC                     EQUITY   05275N106    139     28,852  SH      SOLE       1      28,852
AUTODESK INCORPORATED                 EQUITY   052769106      9        270  SH      DEFINED    2                   270
AUTODESK, INC.                        EQUITY   052769106   4084    118,942  SH      SOLE       1     118,942
AUTOLIV, INC.                         EQUITY   052800109    107      2,436  SH      SOLE       1       2,436
AUTOMATIC DATA PROCESSING             EQUITY   053015103     29        692  SH      DEFINED    2                   692
AUTOMATIC DATA PROCESSING INC.        EQUITY   053015103  23230    553,484  SH      SOLE       1     553,484
AUTONATION INC                        EQUITY   05329W102   2080    101,362  SH      SOLE       1     101,362
AUTONATION INC DEL                    EQUITY   05329W102      6        271  SH      DEFINED    2                   271
AUTOZONE INC                          EQUITY   053332102      7         79  SH      DEFINED    2                    79
AUTOZONE, INC.                        EQUITY   053332102   6321     68,361  SH      SOLE       1      68,361
AVALONBAY COMM                        EQUITY   053484101              5110  SH      SOLE       3        5110              5110
AVALONBAY COMMUNITIE                  EQUITY   053484101    577      7,138  SH      SOLE       1       7,138
AVANIR PHARMACEUTICALS                EQUITY   05348P104    208     74,299  SH      SOLE       1      74,299
AVATAR HOLDINGS, INC.                 EQUITY   053494100    201      4,002  SH      SOLE       1       4,002
AVAYA INC                             EQUITY   053499109      7        841  SH      DEFINED    2                   841
AVAYA INC.                            EQUITY   053499109   5265    632,758  SH      SOLE       1     632,758
AVERY DENNISON CORP                   EQUITY   053611109  10292    194,331  SH      DEFINED    2               194,331
AVERY DENNISON CORP.                  EQUITY   053611109   3709     70,028  SH      SOLE       1      70,028
AVIALL, INC.                          EQUITY   05366B102    730     23,116  SH      SOLE       1      23,116
AVISTA CORP                           EQUITY   05379B107    623     33,506  SH      SOLE       1      33,506
AVNET, INC.                           EQUITY   053807103   4909    217,891  SH      SOLE       1     217,891
AVOCENT CORPORATION                   EQUITY   053893103   3208    122,708  SH      SOLE       1     122,708
AVON PRODS INC                        EQUITY   054303102  11510    304,098  SH      DEFINED    2               304,098
AVON PRODUCTS, INC.                   EQUITY   054303102  32338    854,378  SH      SOLE       1     854,378





                                                                                         
AVX CORP                              EQUITY   002444107     17      1,362  SH      SOLE       1       1,362
AXCELIS TECHNOLOGIES INC              EQUITY   054540109    475     69,214  SH      SOLE       1      69,214
AZTAR CORP                            EQUITY   054802103   1315     38,400  SH      DEFINED    2                38,400
AZTAR CORP.                           EQUITY   054802103   2324     67,856  SH      SOLE       1      67,856
BADGER METER INC                      EQUITY   056525108    160      3,880  SH      SOLE       1       3,880
BAKER HUGHES INC                      EQUITY   057224107     21        411  SH      DEFINED    2                   411
BAKER HUGHES, INC.                    EQUITY   057224107  15842    309,660  SH      SOLE       1     309,660
BALCHEM CORP                          EQUITY   057665200    160      5,317  SH      SOLE       1       5,317
BALDOR ELECTRIC CO.                   EQUITY   057741100    557     22,920  SH      SOLE       1      22,920
BALDWIN & LYONS, INC., CLASS B        EQUITY   057755209    125      5,187  SH      SOLE       1       5,187
BALL CORP                             EQUITY   058498106      5        138  SH      DEFINED    2                   138
BALL CORP.                            EQUITY   058498106   1807     50,252  SH      SOLE       1      50,252
BANC CORP                             EQUITY   05944B103     98      9,251  SH      SOLE       1       9,251
BANCFIRST CORP.                       EQUITY   05945F103    236      2,712  SH      SOLE       1       2,712
BANCOLOMBIA S.A.-SPONS ADR            EQUITY   05968L102   1719    107,500  SH      SOLE       1     107,500
BANCORP INC/THE                       EQUITY   05969A105    109      6,249  SH      SOLE       1       6,249
BANCORPSOUTH, INC.                    EQUITY   059692103   1276     54,076  SH      SOLE       1      54,076
BANCTRUST FINANCIAL GROUP IN          EQUITY   05978R107    126      6,474  SH      SOLE       1       6,474
BANDAG, INC.                          EQUITY   059815100   1638     35,576  SH      SOLE       1      35,576
BANK AMER CORP                        EQUITY   060505104  29703    651,234  SH      DEFINED    2               651,234
BANK ATLANTIC BANCORP CLASS A         EQUITY   065908501    573     30,252  SH      SOLE       1      30,252
BANK MUTUAL CORP                      EQUITY   063750103    437     39,522  SH      SOLE       1      39,522
BANK NEW YORK INC                     EQUITY   064057102     27        932  SH      DEFINED    2                   932
BANK OF AMERICA CORP                  EQUITY   060505104 119658  2,623,504  SH      SOLE       1   2,623,504
BANK OF GRANITE CORP.                 EQUITY   062401104    175      9,119  SH      SOLE       1       9,119
BANK OF HAWAII CORP                   EQUITY   062540109   4801     94,610  SH      SOLE       1      94,610
BANK OF MONTREAL                      EQUITY   063671101   7743    166,400  SH      Defined    1           0   166,400
BANK OF NEW YORK CO., INC.            EQUITY   064057102  39465  1,371,252  SH      SOLE       1   1,371,252
BANK OF NOVA SCOTIA                   EQUITY   064149107   8263    249,800  SH      Defined    1           0   249,800
BANK OF THE OZARKS INC                EQUITY   063904106    258      7,844  SH      SOLE       1       7,844
BANKRATE INC                          EQUITY   06646V108    132      6,550  SH      SOLE       1       6,550
BANKUNITED FINANCIAL CORP CLASS A     EQUITY   06652B103    484     17,888  SH      SOLE       1      17,888
BANNER CORPORATION                    EQUITY   06652V109    203      7,240  SH      SOLE       1       7,240
BANTA CORP.                           EQUITY   066821109   2782     61,339  SH      SOLE       1      61,339
BARD C R INC                          EQUITY   067383109      9        129  SH      DEFINED    2                   129
BARNES & NOBLE, INC.                  EQUITY   067774109   4419    113,886  SH      SOLE       1     113,886
BARNES GROUP, INC.                    EQUITY   067806109    399     12,042  SH      SOLE       1      12,042
BARR PHARMACEUTICALS INC              EQUITY   068306109   8147    167,142  SH      SOLE       1     167,142
BARRIER THERAPEUTICS INC              EQUITY   06850R108     80     10,148  SH      SOLE       1      10,148
BASSETT FURNITURE INDUSTRIES          EQUITY   070203104    135      7,153  SH      SOLE       1       7,153
BAUSCH & LOMB, INC.                   EQUITY   071707103   2021     24,348  SH      SOLE       1      24,348
BAUSCH + LOMB INC                     EQUITY   071707103      6         71  SH      DEFINED    2                    71
BAXTER INTERNATIONAL, INC.            EQUITY   071813109   9900    266,857  SH      SOLE       1     266,857
BAXTER INTL INC                       EQUITY   071813109     27        737  SH      DEFINED    2                   737
BB+T CORP                             EQUITY   054937107     26        658  SH      DEFINED    2                   658
BBT CORP.                             EQUITY   054937107   9439    236,148  SH      SOLE       1     236,148
BE AEROSPACE, INC.                    EQUITY   073302101    615     39,378  SH      SOLE       1      39,378
BEA SYSTEMS, INC.                     EQUITY   073325102    298     33,886  SH      SOLE       1      33,886
BEACON ROOFING SUPPLY INC             EQUITY   073685109    300     11,404  SH      SOLE       1      11,404
BEAR STEARNS COS                      EQUITY   073902108   7330     70,517  SH      SOLE       1      70,517
BEAR STEARNS COS INC                  EQUITY   073902108     15        143  SH      DEFINED    2                   143
BEARINGPOINT INC                      EQUITY   074002106    929    126,749  SH      SOLE       1     126,749





                                                                                         
BEASLEY BROADCAST GROUP, INC.         EQUITY   074014101     74      5,140  SH      SOLE       1       5,140
BEAZER HOMES USA INC COM              EQUITY   07556Q105      1      10100  SH      SOLE       3       10100
BEAZER HOMES USA, INC.                EQUITY   07556Q105     59      1,030  SH      SOLE       1       1,030
BEBE STORES, INC.                     EQUITY   075571109     10        392  SH      SOLE       1         392
BECKMAN COULTER, INC.                 EQUITY   075811109   7081    111,383  SH      SOLE       1     111,383
BECTON DICKINSON + CO                 EQUITY   075887109  12629    240,698  SH      DEFINED    2               240,698
BECTON, DICKINSON AND CO.             EQUITY   075887109   5748    109,552  SH      SOLE       1     109,552
BED BATH & BEYOND, INC.               EQUITY   075896100   9259    221,624  SH      SOLE       1     221,624
BED BATH + BEYOND INC                 EQUITY   075896100     15        362  SH      DEFINED    2                   362
BEDFORD PRPTY INVESTORS, INC.         EQUITY   076446301    259     11,240  SH      SOLE       1      11,240
BEI TECHNOLOGIES INC                  EQUITY   05538P104    215      8,059  SH      SOLE       1       8,059
BEL FUSE INC. CLASS B                 EQUITY   077347300    242      7,929  SH      SOLE       1       7,929
BELDEN CDT INC                        EQUITY   077454106    690     32,545  SH      SOLE       1      32,545
BELL MICROPRODUCTS INC                EQUITY   078137106    188     20,012  SH      SOLE       1      20,012
BELL MICROPRODUCTS INC COM            EQUITY   078137106      2     189300  SH      SOLE       3      189300
BELLSOUTH CORP                        EQUITY   079860102     58      2,193  SH      DEFINED    2                 2,193
Bellsouth Corp                        EQUITY   079860102    399     15,000  SH      SOLE       4      15,000
BELLSOUTH CORP.                       EQUITY   079860102  71399  2,687,202  SH      SOLE       1   2,687,202
BELO CORP.                            EQUITY   080555105   4625    192,957  SH      SOLE       1     192,957
BEMIS CO INC                          EQUITY   081437105  10682    402,473  SH      DEFINED    2               402,473
BEMIS CO., INC.                       EQUITY   081437105   1307     49,242  SH      SOLE       1      49,242
BENCHMARK ELECTRONICS, INC.           EQUITY   08160H101    876     28,793  SH      SOLE       1      28,793
BENCHMARK ELECTRS INC COM             EQUITY   08160H101      2      54800  SH      SOLE       3       54800
BENTLEY PHARMACEUTICAL                EQUITY   082657107    138     12,608  SH      SOLE       1      12,608
BERKSHIRE HATHAWAY INC                EQUITY   084670207     28         10  SH      DEFINED    2                    10
BERKSHIRE HILLS BANCOR                EQUITY   084680107    120      3,610  SH      SOLE       1       3,610
BERRY PETROLEUM CO. CLASS A           EQUITY   085789105    626     11,843  SH      SOLE       1      11,843
BEST BUY CO INC                       EQUITY   086516101     24        354  SH      DEFINED    2                   354
BEST BUY CO., INC.                    EQUITY   086516101  46037    671,581  SH      SOLE       1     671,581
BEVERLY ENTERPRISES, INC.             EQUITY   087851309    964     75,635  SH      SOLE       1      75,635
BEVERY HILLS BANCORP INC              EQUITY   087866109    104      9,483  SH      SOLE       1       9,483
BFC FINANCIAL CORPORATION-A           EQUITY   055384200    117     13,711  SH      SOLE       1      13,711
BIG 5 SPORTING GOODS CORP             EQUITY   08915P101    398     14,034  SH      SOLE       1      14,034
BIG LOTS INC                          EQUITY   089302103      2        138  SH      DEFINED    2                   138
BIG LOTS INC.                         EQUITY   089302103   2189    165,356  SH      SOLE       1     165,356
BILL BARRETT CORP                     EQUITY   06846N104    266      8,992  SH      SOLE       1       8,992
BILL BARRETT CORP.                    EQUITY   06846N104      2      65281  SH      SOLE       3       65281              1917
BIMINI MORTGAGE MANAGEMENT-A          EQUITY   09031E400    205     14,516  SH      SOLE       1      14,516
BIOENVISION INC                       EQUITY   09059N100    203     27,930  SH      SOLE       1      27,930
BIOGEN IDEC INC                       EQUITY   09062X103    324      9,414  SH      DEFINED    2                 9,414
BIOGEN IDEC INC                       EQUITY   09062X103   6280    182,293  SH      SOLE       1     182,293
BIOMARIN PHARMACEUTICAL IN            EQUITY   09061G101    724     96,700  SH      DEFINED    2                96,700
BIOMARIN PHARMACEUTICAL INC.          EQUITY   09061G101    334     44,650  SH      SOLE       1      44,650
BIOMED REALTY TRUST INC               EQUITY   09063H107    571     23,934  SH      SOLE       1      23,934
BIOMET INC                            EQUITY   090613100    589     16,998  SH      DEFINED    2                16,998
BIOMET, INC.                          EQUITY   090613100   4712    136,072  SH      SOLE       1     136,072
BIO-RAD LABORATORIES, INC., CLASS A   EQUITY   090572207    719     12,148  SH      SOLE       1      12,148
BIO-REFERENCE LABS INC                EQUITY   09057G602     97      7,001  SH      SOLE       1       7,001
BIOSITE INC.                          EQUITY   090945106    642     11,671  SH      SOLE       1      11,671
BIOSYS INC                            EQUITY   09069N108    153     25,517  SH      SOLE       1      25,517
BISYS GROUP, INC.                     EQUITY   055472104   3257    217,988  SH      SOLE       1     217,988
BJ SERVICES CO.                       EQUITY   055482103   3836     73,102  SH      SOLE       1      73,102





                                                                                         
BJ SVCS CO                            EQUITY   055482103     11        204  SH      DEFINED    2                   204
BJ'S RESTAURANTS INC                  EQUITY   09180C106    202      9,908  SH      SOLE       1       9,908
BJ'S WHOLESALE CLUB INC.              EQUITY   05548J106   4019    123,703  SH      SOLE       1     123,703
BKF CAPITAL GROUP INC                 EQUITY   05548G102    178      4,698  SH      SOLE       1       4,698
BLACK & DECKER CORP.                  EQUITY   091797100   8918     99,257  SH      SOLE       1      99,257
BLACK + DECKER CORPORATION            EQUITY   091797100      9        102  SH      DEFINED    2                   102
BLACK BOX CORP.                       EQUITY   091826107    412     11,633  SH      SOLE       1      11,633
BLACK HILLS CORP.                     EQUITY   092113109   2962     80,382  SH      SOLE       1      80,382
BLACKBAUD INC                         EQUITY   09227Q100     96      7,120  SH      SOLE       1       7,120
BLACKBOARD INC                        EQUITY   091935502    300     12,558  SH      SOLE       1      12,558
BLACKROCK INC                         EQUITY   09247X101     31        388  SH      SOLE       1         388
BLAIR CORP                            EQUITY   092828102    225      5,697  SH      SOLE       1       5,697
BLOCK FINANCIAL CORP                  EQUITY   093671105   4344     74,444  SH      SOLE       1      74,444
BLOCK H + R INC                       EQUITY   093671105     12        207  SH      DEFINED    2                   207
BLOCKBUSTER INC -CLA                  EQUITY   093679108   1199    131,521  SH      SOLE       1     131,521
BLOUNT INTERNATIONAL INC              EQUITY   095180105    344     20,595  SH      SOLE       1      20,595
BLUE COAT SYSTEMS INC                 EQUITY   09534T508    217      7,250  SH      SOLE       1       7,250
BLUE NILE INC                         EQUITY   09578R103    334     10,225  SH      SOLE       1      10,225
BLUE NILE INC                         EQUITY   09578R103   1804     55,200  SH      DEFINED    2                55,200
BLUEGREEN CORP                        EQUITY   096231105    249     14,316  SH      SOLE       1      14,316
BLUELINX HOLDINGS INC                 EQUITY   09624H109     71      6,715  SH      SOLE       1       6,715
BLYTH INC.                            EQUITY   09643P108   2273     81,047  SH      SOLE       1      81,047
BMC SOFTWARE INC                      EQUITY   055921100      5        262  SH      DEFINED    2                   262
BMC SOFTWARE, INC.                    EQUITY   055921100   1815    101,117  SH      SOLE       1     101,117
BOB EVANS FARMS, INC.                 EQUITY   096761101   2041     87,428  SH      SOLE       1      87,428
BOEING CO                             EQUITY   097023105    136      2,083  SH      DEFINED    2                 2,083
Boeing Co                             EQUITY   097023105   2640     40,000  SH      SOLE       4      40,000
BOEING CO.                            EQUITY   097023105  27235    412,647  SH      SOLE       1     412,647
BOIS D' ARC ENERGY INC                EQUITY   09738U103    137      9,305  SH      SOLE       1       9,305
BOK FINANCIAL CORP.                   EQUITY   05561Q201     26        562  SH      SOLE       1         562
BOMBAY CO INC                         EQUITY   097924104    141     24,821  SH      SOLE       1      24,821
BONE CARE INTERNATIONAL, INC.         EQUITY   098072101   3132     94,974  SH      SOLE       1      94,974
BON-TON STORES INC/THE                EQUITY   09776J101     86      4,436  SH      SOLE       1       4,436
BORDERS GROUP, INC.                   EQUITY   099709107   3252    128,477  SH      SOLE       1     128,477
BORG WARNER INC                       EQUITY   099724106   5471    101,943  SH      SOLE       1     101,943
BORLAND SOFTWARE CORP.                EQUITY   099849101    377     54,961  SH      SOLE       1      54,961
BOSTON BEER, INC. CLASS A             EQUITY   100557107    150      6,674  SH      SOLE       1       6,674
BOSTON PRIVATE FINANCIAL HOLDI        EQUITY   101119105    488     19,354  SH      SOLE       1      19,354
BOSTON PROPERTIES INC                 EQUITY   101121101    706     10,081  SH      SOLE       1      10,081
BOSTON PROPERTIES INC COM             EQUITY   101121101      1       7710  SH      SOLE       3        7710              7710
BOSTON SCIENTIFIC CORP                EQUITY   101137107    456     16,906  SH      DEFINED    2                16,906
BOSTON SCIENTIFIC CORP.               EQUITY   101137107   9092    336,730  SH      SOLE       1     336,730
BOTTOMLINE TECH DEL COM               EQUITY   101388106      1      90000  SH      SOLE       3       90000
BOTTOMLINE TECHNOLOGIES INC           EQUITY   101388106    133      8,893  SH      SOLE       1       8,893
BOWATER, INC.                         EQUITY   102183100   4522    139,682  SH      SOLE       1     139,682
BOWNE & CO., INC.                     EQUITY   103043105    342     23,619  SH      SOLE       1      23,619
BOYD GAMING CORP                      EQUITY   103304101   1212     23,700  SH      DEFINED    2                23,700
BOYD GAMING CORP.                     EQUITY   103304101   6155    120,380  SH      SOLE       1     120,380
BOYKIN LODGING CO.                    EQUITY   103430104    162     12,112  SH      SOLE       1      12,112
BRADY CORP.                           EQUITY   104674106    883     28,476  SH      SOLE       1      28,476
BRANDYWINE REALTY TRUST               EQUITY   105368203   1301     42,443  SH      SOLE       1      42,443
BRASKEM SA-SPON ADR                   EQUITY   105532105   1209     72,022  SH      SOLE       1      72,022





                                                                                         
BRE PROPERTIES, INC., CLASS A         EQUITY   05564E106    209      4,983  SH      SOLE       1       4,983
BRIGGS & STRATTON CORP.               EQUITY   109043109   1234     35,641  SH      SOLE       1      35,641
BRIGHAM EXPLORATION CO                EQUITY   109178103    160     17,551  SH      SOLE       1      17,551
BRIGHT HORIZON FAMILY COM             EQUITY   109195107      2      45406  SH      SOLE       3       45406
BRIGHT HORIZONS FAM. SOLUTIONS        EQUITY   109195107    762     18,705  SH      SOLE       1      18,705
BRIGHTPOINT INC                       EQUITY   109473405    278     12,522  SH      SOLE       1      12,522
BRIGHTPOINT INC COM NEW               EQUITY   109473405      3     134900  SH      SOLE       3      134900
BRINKER INTERNATIONAL, INC.           EQUITY   109641100   6394    159,640  SH      SOLE       1     159,640
BRINK'S CO/THE                        EQUITY   109696104   3636    101,000  SH      SOLE       1     101,000
BRISTOL MYERS SQUIBB CO               EQUITY   110122108  11559    462,708  SH      DEFINED    2               462,708
BRISTOL MYERS SQUIBB CO.              EQUITY   110122108  37892  1,516,885  SH      SOLE       1   1,516,885
BRISTOL WEST HOLDINGS INC             EQUITY   11037M105    219     11,989  SH      SOLE       1      11,989
BROADCOM CORP                         EQUITY   111320107     12        344  SH      DEFINED    2                   344
BROADCOM CORP CL A                    EQUITY   111320107      1      40217  SH      SOLE       3       40217              1384
BROADCOM CORP.                        EQUITY   111320107  10461    294,422  SH      SOLE       1     294,422
BROADWING CORP                        EQUITY   11161E101    208     45,021  SH      SOLE       1      45,021
BROCADE COMMUNICATION                 EQUITY   111621108    720    185,490  SH      SOLE       1     185,490
BROOKFIELD HOMES CORP                 EQUITY   112723101    462     10,123  SH      SOLE       1      10,123
BROOKLINE BANCORP INC                 EQUITY   11373M107    693     42,595  SH      SOLE       1      42,595
BROOKS AUTOMATION INC                 EQUITY   114340102    464     31,270  SH      SOLE       1      31,270
BROOKSTONE INC                        EQUITY   114537103    266     14,068  SH      SOLE       1      14,068
BROWN & BROWN INC                     EQUITY   115236101   5031    111,947  SH      SOLE       1     111,947
BROWN FORMAN CORP                     EQUITY   115637209  14602    241,507  SH      DEFINED    2               241,507
BROWN SHOE COMANY, INC.               EQUITY   115736100    494     12,616  SH      SOLE       1      12,616
BROWN-FORMAN CORP CLASS B             EQUITY   115637209   4313     71,342  SH      SOLE       1      71,342
BRUKER BIOSCIENCES CORP               EQUITY   116794108    103     25,835  SH      SOLE       1      25,835
BRUNSWICK CORP                        EQUITY   117043109      5        119  SH      DEFINED    2                   119
BRUNSWICK CORP.                       EQUITY   117043109   2392     55,207  SH      SOLE       1      55,207
BRUSH ENGINEERED  MATERIALS           EQUITY   117421107    189     13,282  SH      SOLE       1      13,282
BUCKEYE TECHNOLOGIES INC              EQUITY   118255108    169     21,260  SH      SOLE       1      21,260
BUCKLE, INC.                          EQUITY   118440106    236      5,326  SH      SOLE       1       5,326
BUCYRUS INTERNATIONAL INC-A           EQUITY   118759109    533     14,040  SH      SOLE       1      14,040
BUCYRUS INTL INC NEW CL A             EQUITY   118759109      3      68300  SH      SOLE       3       68300
BUFFALO WILD WINGS INC                EQUITY   119848109    149      4,778  SH      SOLE       1       4,778
BUILD-A-BEAR WORKSHOP INC             EQUITY   120076104    155      6,605  SH      SOLE       1       6,605
BUILDING MATERIAL HOLDING CORP        EQUITY   120113105    666      9,612  SH      SOLE       1       9,612
BUILDING MATLS HLDG CP COM            EQUITY   120113105      1      18300  SH      SOLE       3       18300
BUNGE LIMITED                         EQUITY   G16962105   3956     62,400  SH      SOLE       1      62,400
BURLINGTON COAT FACTORY WHSE          EQUITY   121579106    489     11,468  SH      SOLE       1      11,468
BURLINGTON NORTHERN SANTA FE          EQUITY   12189T104   7663    162,770  SH      SOLE       1     162,770
BURLINGTON NORTHN SANTA FE            EQUITY   12189T104     21        450  SH      DEFINED    2                   450
BURLINGTON RES INC                    EQUITY   122014103     26        463  SH      DEFINED    2                   463
BURLINGTON RESOURCES, INC.            EQUITY   122014103   9579    173,413  SH      SOLE       1     173,413
C & D TECHNOLOGIES, INC.              EQUITY   124661109    161     17,509  SH      SOLE       1      17,509
C. H. ROBINSON WORLDWIDE, INC.        EQUITY   12541W100   9292    159,648  SH      SOLE       1     159,648
C. R. BARD, INC.                      EQUITY   067383109   3253     48,909  SH      SOLE       1      48,909
CABELA'S INC-CL A                     EQUITY   126804301    455     21,289  SH      SOLE       1      21,289
CABLEVISION SYSTEMS-NY GRP-A          EQUITY   12686C109    120      3,725  SH      SOLE       1       3,725
CABOT CORP.                           EQUITY   127055101   3756    113,819  SH      SOLE       1     113,819
CABOT MICROELECTRONICS CORP           EQUITY   12709P103   1770     61,060  SH      SOLE       1      61,060
CABOT OIL & GAS CORP., CLASS A        EQUITY   127097103   1173     33,797  SH      SOLE       1      33,797
CACHE INC                             EQUITY   127150308    142      8,517  SH      SOLE       1       8,517





                                                                                         
CACI INTERNATIONAL                    EQUITY   127190304     39        621  SH      SOLE       1         621
CACI INTL INC CL A                    EQUITY   127190304      3      41473  SH      SOLE       3       41473              1171
CADENCE DESIGN SYSTEMS, INC.          EQUITY   127387108   6760    494,868  SH      SOLE       1     494,868
CAKTRONICS INC                        EQUITY   234264109    207     10,359  SH      SOLE       1      10,359
CAL DIVE INTERNATIONAL, INC.          EQUITY   127914109   1401     26,746  SH      SOLE       1      26,746
CALAMOS ASSET MANAGEMENT              EQUITY   12811R104      6     204960  SH      SOLE       3      204960              1917
CALAMOS ASSET MANAGEMENT-A            EQUITY   12811R104    446     16,358  SH      SOLE       1      16,358
CALGON CARBON CORP.                   EQUITY   129603106    207     23,343  SH      SOLE       1      23,343
CALIFORNIA COASTAL COMM INC           EQUITY   129915203    186      5,418  SH      SOLE       1       5,418
CALIFORNIA PIZZA KITCHEN INC          EQUITY   13054D109    364     13,335  SH      SOLE       1      13,335
CALIFORNIA WATER SERVICE GROUP        EQUITY   130788102    448     11,930  SH      SOLE       1      11,930
CALIPER LIFE SCIENCES INC             EQUITY   130872104    106     18,926  SH      SOLE       1      18,926
CALLAWAY GOLF CO.                     EQUITY   131193104   2762    179,002  SH      SOLE       1     179,002
CALLON PETROLEUM CO.                  EQUITY   13123X102    128      8,658  SH      SOLE       1       8,658
CALPINE CORP                          EQUITY   131347106      2        647  SH      DEFINED    2                   647
CALPINE CORP.                         EQUITY   131347106   4180  1,229,317  SH      SOLE       1   1,229,317
CAMBREX CORP.                         EQUITY   132011107    347     18,233  SH      SOLE       1      18,233
CAMDEN NATL CORP                      EQUITY   133034108    173      5,278  SH      SOLE       1       5,278
CAMDEN POPERTY TRUST                  EQUITY   133131102    277      5,160  SH      SOLE       1       5,160
CAMPBELL SOUP CO                      EQUITY   134429109     12        394  SH      DEFINED    2                   394
CAMPBELL SOUP CO.                     EQUITY   134429109   4602    149,560  SH      SOLE       1     149,560
CANADIAN IMPERIAL BANK OF COMMERCE    EQUITY   136069101    600      9,700  SH      Defined    1           0     9,700
CANDELA CORP                          EQUITY   136907102    163     15,600  SH      SOLE       1      15,600
CANTEL MEDICAL CORP                   EQUITY   138098108    127      7,782  SH      SOLE       1       7,782
CAPITAL AUTOMOTIVE REIT               EQUITY   139733109   1153     30,208  SH      SOLE       1      30,208
CAPITAL CITY BANK GROUP, INC.         EQUITY   139674105    260      6,427  SH      SOLE       1       6,427
CAPITAL CORP OF THE WEST              EQUITY   140065202    178      6,414  SH      SOLE       1       6,414
CAPITAL CROSSING BANK                 EQUITY   140071101    139      4,067  SH      SOLE       1       4,067
CAPITAL LEASE FUNDING INC             EQUITY   140288101    181     16,714  SH      SOLE       1      16,714
CAPITAL ONE FINANCIAL CORP.           EQUITY   14040H105  20093    226,265  SH      SOLE       1     226,265
CAPITAL ONE FINL CORP                 EQUITY   14040H105  26663    333,248  SH      DEFINED    2               333,248
CAPITAL SOURCE INC.                   EQUITY   14055X102      1      35504  SH      SOLE       3       35504              1704
CAPITAL SOUTHWEST CORP                EQUITY   140501107    171      1,908  SH      SOLE       1       1,908
CAPITAL TRUST-CL A                    EQUITY   14052H506    277      8,281  SH      SOLE       1       8,281
CAPITALSOURCE INC                     EQUITY   14055X102     29      1,485  SH      SOLE       1       1,485
CAPITALSOURCE INC                     EQUITY   14055X102   3180    162,000  SH      DEFINED    2               162,000
CAPITOL BANCORP LTD                   EQUITY   14056D105    289      8,607  SH      SOLE       1       8,607
CAPITOL FEDERAL FINANCIAL             EQUITY   14057C106   1042     30,209  SH      SOLE       1      30,209
CAPTIVA SOFTWARE CORP COM             EQUITY   14073T109      1      82700  SH      SOLE       3       82700
CARACO PHARM LABS INC                 EQUITY   14075T107     57      6,647  SH      SOLE       1       6,647
CARAUSTAR INDUSTRIES, INC.            EQUITY   140909102    209     19,870  SH      SOLE       1      19,870
CARBO CERAMICS INC                    EQUITY   140781105    709      8,982  SH      SOLE       1       8,982
CARDINAL FINANCIAL CORP               EQUITY   14149F109    149     15,910  SH      SOLE       1      15,910
CARDINAL HEALTH INC                   EQUITY   14149Y108    513      8,916  SH      DEFINED    2                 8,916
CARDINAL HEALTH INC                   EQUITY   14149Y108  10663    185,186  SH      SOLE       1     185,186
CAREER EDUCATION CORP                 EQUITY   141665109   7021    191,790  SH      SOLE       1     191,790
CAREMARK RX INC                       EQUITY   141705103     24        546  SH      DEFINED    2                   546
CAREMARK RX INC                       EQUITY   141705103  16284    365,769  SH      SOLE       1     365,769
CAREMARK RX INC COM                   EQUITY   141705103      4      90695  SH      SOLE       3       90695              3126
CARLISLE COS INC.                     EQUITY   142339100   3853     56,148  SH      SOLE       1      56,148
CARMAX INC                            EQUITY   143130102   5001    187,666  SH      SOLE       1     187,666
CARMIKE CINEMAS INC                   EQUITY   143436400    261      8,503  SH      SOLE       1       8,503





                                                                                         
CARNIVAL CORP                         EQUITY   143658300  12421    227,694  SH      SOLE       1     227,694
CARPENTER TECHNOLOGY CORP.            EQUITY   144285103    880     16,990  SH      SOLE       1      16,990
CARRAMERICA REALTY C                  EQUITY   144418100    196      5,425  SH      SOLE       1       5,425
CARRIZO OIL & GAS INC                 EQUITY   144577103    221     12,974  SH      SOLE       1      12,974
CARTER INC                            EQUITY   146229109   1905     32,624  SH      SOLE       1      32,624
CASCADE BANCORP                       EQUITY   147154108    245     11,633  SH      SOLE       1      11,633
CASCADE CORP                          EQUITY   147195101    365      8,447  SH      SOLE       1       8,447
CASCADE NAT GAS CORP COM              EQUITY   147339105    161      7,847  SH      SOLE       1       7,847
CASELLA WASTE SYSTEMS, INC.           EQUITY   147448104    160     13,354  SH      SOLE       1      13,354
CASEYS GENERAL STORES, INC.           EQUITY   147528103    687     34,660  SH      SOLE       1      34,660
CASH AMERICA INTERNATIONAL            EQUITY   14754D100    407     20,238  SH      SOLE       1      20,238
CASTLE A. M.  & CO.                   EQUITY   148411101    112      7,248  SH      SOLE       1       7,248
CASUAL MALE RETAIL GROUP INC          EQUITY   148711104    131     17,947  SH      SOLE       1      17,947
CATALINA MARKETING CORP               EQUITY   148867104    808     31,800  SH      DEFINED    2                31,800
CATALINA MARKETING CORP.              EQUITY   148867104   3068    120,738  SH      SOLE       1     120,738
CATAPULT COMM CORP                    EQUITY   149016107    116      6,774  SH      SOLE       1       6,774
CATELLUS DEVELOPMENT                  EQUITY   149113102    325      9,905  SH      SOLE       1       9,905
CATELLUS DEVELOPMENT CORP             EQUITY   149113102              7300  SH      SOLE       3        7300              7300
Caterpillar                           EQUITY   149123101   2192     23,000  SH      SOLE       4      23,000
CATERPILLAR INC                       EQUITY   149123101     39        409  SH      DEFINED    2                   409
CATERPILLAR, INC.                     EQUITY   149123101  22304    234,016  SH      SOLE       1     234,016
CATHAY GENERAL BANCORP INC.           EQUITY   149150104   1055     31,417  SH      SOLE       1      31,417
CATO CORP. CLASS A                    EQUITY   149205106    436     21,107  SH      SOLE       1      21,107
CB RICHARD ELLIS GROUP CL A           EQUITY   12497T101      4      99686  SH      SOLE       3       99686              2130
CB RICHARD ELLIS GROUP INC-A          EQUITY   12497T101     43        986  SH      SOLE       1         986
CBL & ASSOCIATES PROPERTIES           EQUITY   124830100    233      5,413  SH      SOLE       1       5,413
CBRL GROUP, INC.                      EQUITY   12489V106   3282     84,456  SH      SOLE       1      84,456
CCC INFORMATION SERVICES              EQUITY   12487Q109    139      5,787  SH      SOLE       1       5,787
C-COR INC.                            EQUITY   125010108    226     32,973  SH      SOLE       1      32,973
CDI CORP.                             EQUITY   125071100    189      8,641  SH      SOLE       1       8,641
CDW CORP                              EQUITY   12512N105   7756    136,186  SH      SOLE       1     136,186
CEC ENTERTAINMENT, INC.               EQUITY   125137109   1021     24,269  SH      SOLE       1      24,269
CEDAR SHOPPING CENTERS INC            EQUITY   150602209    205     13,921  SH      SOLE       1      13,921
CELANESE CORP-SERIES A                EQUITY   150870103     20      1,230  SH      SOLE       1       1,230
CELEBRATE EXPRESS INC.                EQUITY   15100A104      2     135200  SH      SOLE       3      135200
CELERA GENOMICS GROU                  EQUITY   038020202    559     50,939  SH      SOLE       1      50,939
CELGENE CORP                          EQUITY   151020104    141      3,460  SH      SOLE       1       3,460
CELGENE CORP                          EQUITY   151020104   1223     30,000  SH      DEFINED    2                30,000
CELL GENESYS, INC.                    EQUITY   150921104    168     31,365  SH      SOLE       1      31,365
CELL THERAPEUTICS, INC.               EQUITY   150934107    121     44,603  SH      SOLE       1      44,603
CEMEX SA -SPONS ADR PART CER          EQUITY   151290889   4098     96,600  SH      SOLE       1      96,600
CENDANT CORP                          EQUITY   151313103     28      1,263  SH      DEFINED    2                 1,263
CENDANT CORP.                         EQUITY   151313103  10167    454,493  SH      SOLE       1     454,493
CENTENE CORP DEL                      EQUITY   15135B101    970     28,891  SH      SOLE       1      28,891
CENTENE CORP.                         EQUITY   15135B101      4     108359  SH      SOLE       3      108359              2343
CENTENNIAL CELLULAR CORP.             EQUITY   15133V208    211     15,219  SH      SOLE       1      15,219
CENTER FINANCIAL CORP                 EQUITY   15146E102    191      7,702  SH      SOLE       1       7,702
CENTERPOINT ENERGY INC                EQUITY   15189T107      5        350  SH      DEFINED    2                   350
CENTERPOINT ENERGY INC                EQUITY   15189T107  16827  1,273,774  SH      SOLE       1   1,273,774
CENTERPOINT PROPERTIES CORP.          EQUITY   151895109    202      4,772  SH      SOLE       1       4,772
CENTEX CORP                           EQUITY   152312104     11        151  SH      DEFINED    2                   151
CENTEX CORP COM                       EQUITY   152312104      1      18338  SH      SOLE       3       18338               586





                                                                                         
CENTEX CORP.                          EQUITY   152312104   4129     58,429  SH      SOLE       1      58,429
CENTRAL COAST BANCORP                 EQUITY   153145107    144      7,968  SH      SOLE       1       7,968
CENTRAL EURO DISTRIBUTION CP          EQUITY   153435102    353      9,452  SH      SOLE       1       9,452
CENTRAL EUROPEAN DIST COM             EQUITY   153435102      3      74400  SH      SOLE       3       74400
CENTRAL GARDEN & PET C                EQUITY   153527106    655     13,327  SH      SOLE       1      13,327
CENTRAL PACIFIC FINANCIAL CO          EQUITY   154760102    746     20,968  SH      SOLE       1      20,968
CENTRAL PARKING CORP.                 EQUITY   154785109    191     13,863  SH      SOLE       1      13,863
CENTRAL VT PUB SVC CORP COM           EQUITY   155771108    157      8,460  SH      SOLE       1       8,460
CENTURY ALUMINUM CO.                  EQUITY   156431108    320     15,678  SH      SOLE       1      15,678
CENTURY BUSINESS SERVICES             EQUITY   156490104    170     42,010  SH      SOLE       1      42,010
CENTURY CASINOS INC COM               EQUITY   156492100      2     300000  SH      SOLE       3      300000
CENTURYTEL INC                        EQUITY   156700106      6        163  SH      DEFINED    2                   163
CENTURYTEL, INC.                      EQUITY   156700106   2342     67,624  SH      SOLE       1      67,624
CENVEO INC                            EQUITY   15670S105    256     33,896  SH      SOLE       1      33,896
CEPHALON INC                          EQUITY   156708109    418     10,500  SH      DEFINED    2                10,500
CEPHALON INC                          EQUITY   156708109   4159    104,504  SH      SOLE       1     104,504
CEPHEID                               EQUITY   15670R107    215     29,330  SH      SOLE       1      29,330
CERADYNE INC                          EQUITY   156710105    407     16,924  SH      SOLE       1      16,924
CERES GROUP INC                       EQUITY   156772105    145     23,874  SH      SOLE       1      23,874
CERIDIAN CORP                         EQUITY   156779100   5260    270,043  SH      SOLE       1     270,043
CERNER CORP                           EQUITY   156782104     41        596  SH      SOLE       1         596
CERNER CORP                           EQUITY   156782104   1890     27,800  SH      DEFINED    2                27,800
CERTEGY INC                           EQUITY   156880106   4257    111,382  SH      SOLE       1     111,382
CH ENERGY GROUP INC.                  EQUITY   12541M102   2357     48,478  SH      SOLE       1      48,478
CHAMPION ENTERPRISES, INC.            EQUITY   158496109    520     52,284  SH      SOLE       1      52,284
CHARLES & COLVARD LTD                 EQUITY   159765106    207      8,438  SH      SOLE       1       8,438
CHARLES RIV LABORATORIES I            EQUITY   159864107    314      6,500  SH      DEFINED    2                 6,500
CHARLES RIVER LABORATORIES            EQUITY   159864107   5801    120,230  SH      SOLE       1     120,230
CHARLES SCHWAB                        EQUITY   808513105     18      1,620  SH      DEFINED    2                 1,620
CHARLES SCHWAB CORP.                  EQUITY   808513105   5554    492,375  SH      SOLE       1     492,375
CHARLOTTE RUSSE HOLDING INC           EQUITY   161048103    129     10,320  SH      SOLE       1      10,320
CHARMING SHOPPES, INC.                EQUITY   161133103    772     82,769  SH      SOLE       1      82,769
CHARTER COMMUNICATIONS INC            EQUITY   16117M107   2537  2,150,000  SH      DEFINED    2             2,150,000
CHARTER COMMUNICATIONS INC CLASS A    EQUITY   16117M107   4401  3,729,929  SH      SOLE       1   3,729,929
CHARTER FINL CORP WEST                EQUITY   16122M100     95      2,709  SH      SOLE       1       2,709
CHARTER MUNICIPAL MORTGAGE ACC        EQUITY   160908109   1362     62,027  SH      SOLE       1      62,027
CHATTEM INC                           EQUITY   162456107    509     12,288  SH      SOLE       1      12,288
CHECK POINT SOFTWARE TECH             EQUITY   M22465104    324     16,340  SH      SOLE       1      16,340
CHECKFREE HOLDINGS CORP.              EQUITY   162813109   5211    152,983  SH      SOLE       1     152,983
CHECKPOINT SYSTEMS, INC.              EQUITY   162825103    463     26,140  SH      SOLE       1      26,140
CHEESECAKE FACTORY                    EQUITY   163072101   4880    140,519  SH      SOLE       1     140,519
CHEMED CORP.                          EQUITY   16359R103    714     17,473  SH      SOLE       1      17,473
CHEMICAL FINANCIAL CORP.              EQUITY   163731102    576     17,402  SH      SOLE       1      17,402
CHENIERE ENERGY INC                   EQUITY   16411R208   1029     33,080  SH      SOLE       1      33,080
CHEROKEE INC DEL NEW                  EQUITY   16444H102    168      4,849  SH      SOLE       1       4,849
CHESAPEAKE CORP.                      EQUITY   165159104    285     13,612  SH      SOLE       1      13,612
CHESAPEAKE ENERGY CORP.               EQUITY   165167107    180      7,890  SH      SOLE       1       7,890
CHEVRON CORP                          EQUITY   166764100  18933    338,533  SH      DEFINED    2               338,533
CHEVRON CORPORATION                   EQUITY   166764100  70001  1,251,808  SH      SOLE       1   1,251,808
CHICAGO MERCANTILE EXCHANGE           EQUITY   167760107    210        710  SH      SOLE       1         710
CHICOS FAS INC COM                    EQUITY   168615102      1      23412  SH      SOLE       3       23412              1143
CHICOS'S FAS INC.                     EQUITY   168615102  11136    324,842  SH      SOLE       1     324,842





                                                                                         
CHILDREN'S PLACE, INC.                EQUITY   168905107    678     14,523  SH      SOLE       1      14,523
CHINA ENERGY SAVINGS TECHNOL          EQUITY   16938W102      9        921  SH      SOLE       1         921
CHINA MOBILE HK LTD - SPON ADR        EQUITY   16941M109   3714    199,790  SH      SOLE       1     199,790
CHINA PETROLEUM & CHEM-ADR            EQUITY   16941R108   2645     67,780  SH      SOLE       1      67,780
CHIQUITA BRANDS INTL                  EQUITY   170032809    791     28,809  SH      SOLE       1      28,809
CHIRON CORP                           EQUITY   170040109      6        182  SH      DEFINED    2                   182
CHIRON CORP.                          EQUITY   170040109   2922     83,751  SH      SOLE       1      83,751
CHITTENDEN CORP.                      EQUITY   170228100    872     32,055  SH      SOLE       1      32,055
CHOICE HOTELS INTL INC.               EQUITY   169905106     24        370  SH      SOLE       1         370
CHOICEPOINT INC.                      EQUITY   170388102   6503    162,371  SH      SOLE       1     162,371
CHOLESTECH CORP COM                   EQUITY   170393102      2     204300  SH      SOLE       3      204300
CHRISTOPHER & BANKS CORPORATIO        EQUITY   171046105    451     24,719  SH      SOLE       1      24,719
CHUBB CORP                            EQUITY   171232101   5739     67,038  SH      DEFINED    2                67,038
CHUBB CORP.                           EQUITY   171232101  47064    549,745  SH      SOLE       1     549,745
CHURCH & DWIGHT CO., INC.             EQUITY   171340102   4138    114,317  SH      SOLE       1     114,317
CHURCHILL DOWNS, INC.                 EQUITY   171484108    228      5,368  SH      SOLE       1       5,368
CIA ANONIMA TELEF DE VEN-ADR (CANTV)  EQUITY   204421101    104      5,500  SH      SOLE       1       5,500
CIA CERVECERIA UNIDAS-ADR             EQUITY   204429104    389     16,200  SH      SOLE       1      16,200
CIA SANEAMENTO BASICODE-ADR           EQUITY   20441A102   2201    146,226  SH      SOLE       1     146,226
CIBER, INC.                           EQUITY   17163B102    293     36,742  SH      SOLE       1      36,742
CIENA CORP                            EQUITY   171779101      1        690  SH      DEFINED    2                   690
CIENA CORP.                           EQUITY   171779101   1347    644,337  SH      SOLE       1     644,337
CIGNA CORP                            EQUITY   125509109    391      3,653  SH      DEFINED    2                 3,653
CIGNA CORP.                           EQUITY   125509109  10757    100,502  SH      SOLE       1     100,502
CIMAREX ENERGY CO                     EQUITY   171798101   2185     56,151  SH      SOLE       1      56,151
CINCINNATI BELL INC                   EQUITY   171871106   4273    993,710  SH      SOLE       1     993,710
CINCINNATI FINANCIAL CORP.            EQUITY   172062101   3030     76,584  SH      SOLE       1      76,584
CINCINNATI FINL CORP                  EQUITY   172062101      8        200  SH      DEFINED    2                   200
CINERGY CORP                          EQUITY   172474108     11        236  SH      DEFINED    2                   236
CINERGY CORP.                         EQUITY   172474108  24393    544,242  SH      SOLE       1     544,242
CINTAS CORP                           EQUITY   172908105      7        185  SH      DEFINED    2                   185
CINTAS CORP.                          EQUITY   172908105   3361     87,060  SH      SOLE       1      87,060
CIRCOR INTERNATIONAL, INC.            EQUITY   17273K109    266     10,801  SH      SOLE       1      10,801
CIRCUIT CITY STORES INC               EQUITY   172737108      4        232  SH      DEFINED    2                   232
CIRCUIT CITY STORES, INC.             EQUITY   172737108   1508     87,226  SH      SOLE       1      87,226
CIRRUS LOGIC, INC.                    EQUITY   172755100    312     58,780  SH      SOLE       1      58,780
CISCO SYS INC                         EQUITY   17275R102  17265    903,495  SH      DEFINED    2               903,495
CISCO SYS INC COM                     EQUITY   17275R102             15800  SH      SOLE       3       15800
Cisco Systems Inc                     EQUITY   17275R102   1145     60,000  SH      SOLE       4      60,000
CISCO SYSTEMS, INC.                   EQUITY   17275R102  91646  4,803,269  SH      SOLE       1   4,803,269
CIT GROUP INC                         EQUITY   125581108   4158     96,762  SH      SOLE       1      96,762
CIT GROUP INC NEW                     EQUITY   125581108     11        249  SH      DEFINED    2                   249
CITADEL BROADCASTING CORP             EQUITY   17285T106    347     30,288  SH      SOLE       1      30,288
CITI TRENDS INC                       EQUITY   17306X102     51      2,795  SH      SOLE       1       2,795
CITIGOUP INC                          EQUITY   172967101 220590  4,771,583  SH      SOLE       1   4,771,583
CITIGROUP INC                         EQUITY   172967101  34094    737,502  SH      DEFINED    2               737,502
CITIZENS & NORTHERN CORP              EQUITY   172922106    177      5,672  SH      SOLE       1       5,672
CITIZENS BANKING CORP.                EQUITY   174420109    901     29,824  SH      SOLE       1      29,824
CITIZENS COMMUNICATIONS CO            EQUITY   17453B101      6        411  SH      DEFINED    2                   411
CITIZENS COMMUNICATIONS INC           EQUITY   17453B101  24531  1,825,247  SH      SOLE       1   1,825,247
CITIZENS INC                          EQUITY   174740100    133     21,775  SH      SOLE       1      21,775
CITRIX SYS INC                        EQUITY   177376100      4        203  SH      DEFINED    2                   203





                                                                                         
CITRIX SYSTEMS, INC.                  EQUITY   177376100   1943     89,684  SH      SOLE       1      89,684
CITY HOLDING CO.                      EQUITY   177835105    419     11,486  SH      SOLE       1      11,486
CITY NATIONAL CORP.                   EQUITY   178566105   5848     81,546  SH      SOLE       1      81,546
CITYBANK                              EQUITY   17770A109    167      5,378  SH      SOLE       1       5,378
CKE RESTAURANTS INC                   EQUITY   12561E105    567     40,763  SH      SOLE       1      40,763
CKX INC                               EQUITY   12562M106      5        355  SH      SOLE       1         355
CLAIRE'S STORES, INC.                 EQUITY   179584107   4290    178,371  SH      SOLE       1     178,371
CLARCOR, INC.                         EQUITY   179895107   1041     35,590  SH      SOLE       1      35,590
CLARK INC                             EQUITY   181457102    160     11,173  SH      SOLE       1      11,173
CLAYTON WILLIAMS ENERGY, INC.         EQUITY   969490101    117      3,887  SH      SOLE       1       3,887
CLEAN HARBORS INC                     EQUITY   184496107    226     10,444  SH      SOLE       1      10,444
CLEAR CHANNEL COMMUNICATIO            EQUITY   184502102     19        613  SH      DEFINED    2                   613
CLEAR CHANNEL COMMUNICATIONS          EQUITY   184502102  17807    575,733  SH      SOLE       1     575,733
CLECO CORP                            EQUITY   12561W105    743     34,466  SH      SOLE       1      34,466
CLEVELAND-CLIFFS, INC.                EQUITY   185896107    873     15,111  SH      SOLE       1      15,111
CLICK COMMERCE INC                    EQUITY   18681D208    131      5,708  SH      SOLE       1       5,708
CLIFTON SAVINGS BANCORP INC           EQUITY   18712Q103     98      9,280  SH      SOLE       1       9,280
CLOROX CO                             EQUITY   189054109  12538    225,022  SH      DEFINED    2               225,022
CLOROX CO.                            EQUITY   189054109   4103     73,629  SH      SOLE       1      73,629
CMGI INC.                             EQUITY   125750109    630    333,204  SH      SOLE       1     333,204
CMS ENERGY CORP                       EQUITY   125896100      4        258  SH      DEFINED    2                   258
CMS ENERGY CORP.                      EQUITY   125896100  14153    939,748  SH      SOLE       1     939,748
CNA FINANCIAL CORP                    EQUITY   126117100     20        712  SH      SOLE       1         712
CNA SURETY CORP.                      EQUITY   12612L108    160     10,789  SH      SOLE       1      10,789
CNET NETWORKS INC.                    EQUITY   12613R104   1050     89,404  SH      SOLE       1      89,404
CNF INC.                              EQUITY   12612W104   4252     94,692  SH      SOLE       1      94,692
CNS INC                               EQUITY   126136100    223      9,779  SH      SOLE       1       9,779
COACH INC                             EQUITY   189754104   6943    206,812  SH      SOLE       1     206,812
COACH INC                             EQUITY   189754104   7313    217,850  SH      DEFINED    2               217,850
COACHMEN INDUSTRIES, INC.             EQUITY   189873102    123      9,806  SH      SOLE       1       9,806
COASTAL FINL CORP DEL                 EQUITY   19046E105    147     10,044  SH      SOLE       1      10,044
COBIZ INC                             EQUITY   190897108    184     10,131  SH      SOLE       1      10,131
COCA COLA CO                          EQUITY   191216100  30614    733,258  SH      DEFINED    2               733,258
COCA COLA ENTERPRISES INC             EQUITY   191219104      9        423  SH      DEFINED    2                   423
COCA COLA ENTERPRISES, INC.           EQUITY   191219104   4764    216,463  SH      SOLE       1     216,463
COCA-COLA BOTTLING CO.                EQUITY   191098102    162      3,213  SH      SOLE       1       3,213
COCA-COLA CO.                         EQUITY   191216100  54628  1,308,451  SH      SOLE       1   1,308,451
COEUR D'ALENE MINES CORP              EQUITY   192108108    602    165,810  SH      SOLE       1     165,810
COGENT COMMUNICATIONS GROUP           EQUITY   19239V302     33      4,912  SH      SOLE       1       4,912
COGENT INC                            EQUITY   19239Y108    444     15,549  SH      SOLE       1      15,549
COGNEX CORP.                          EQUITY   192422103    750     28,618  SH      SOLE       1      28,618
COGNIZANT TECH SOLUTION               EQUITY   192446102  11900    252,488  SH      SOLE       1     252,488
COHEN & STEERS INC                    EQUITY   19247A100    119      5,793  SH      SOLE       1       5,793
COHERENT, INC.                        EQUITY   192479103    766     21,270  SH      SOLE       1      21,270
COHU, INC.                            EQUITY   192576106    300     14,952  SH      SOLE       1      14,952
COINSTAR, INC                         EQUITY   19259P300    397     17,546  SH      SOLE       1      17,546
COLDWATER CREEK, INC.                 EQUITY   193068103    612     24,563  SH      SOLE       1      24,563
COLE, K. PRODUCTIONS, INC. CLASS A    EQUITY   193294105    195      6,258  SH      SOLE       1       6,258
COLGATE PALMOLIVE CO                  EQUITY   194162103  11513    230,674  SH      DEFINED    2               230,674
COLGATE-PALMOLIVE CO.                 EQUITY   194162103  15046    301,458  SH      SOLE       1     301,458
COLLEGIATE FUNDING SERVICES           EQUITY   19458M108    148     10,185  SH      SOLE       1      10,185
COLONIAL BANCGROUP, INC.              EQUITY   195493309   6184    280,308  SH      SOLE       1     280,308





                                                                                         
COLONIAL PROPERTIES TRUST             EQUITY   195872106   1327     30,158  SH      SOLE       1      30,158
COLONY BANKCORP                       EQUITY   19623P101    114      3,782  SH      SOLE       1       3,782
COLOR KINETICS INC                    EQUITY   19624P100     96      9,015  SH      SOLE       1       9,015
COLUMBIA BANCORP                      EQUITY   197227101    139      3,821  SH      SOLE       1       3,821
COLUMBIA BANKING SYSTEM, INC          EQUITY   197236102    266     10,811  SH      SOLE       1      10,811
COLUMBIA SPORTSWEAR                   EQUITY   198516106     20        409  SH      SOLE       1         409
COMCAST CORP NEW                      EQUITY   20030N101   5265    171,511  SH      DEFINED    2               171,511
COMCAST CORP-CL A                     EQUITY   20030N101  31369  1,022,776  SH      SOLE       1   1,022,776
COMERICA INC                          EQUITY   200340107     12        203  SH      DEFINED    2                   203
COMERICA, INC.                        EQUITY   200340107   4494     77,747  SH      SOLE       1      77,747
COMFORT SYS USA INC                   EQUITY   199908104    179     27,242  SH      SOLE       1      27,242
COMMERCE BANCORP INC                  EQUITY   200519106   8834    291,471  SH      SOLE       1     291,471
COMMERCE BANCSHARES                   EQUITY   200525103     82      1,635  SH      SOLE       1       1,635
COMMERCE GROUP, INC.                  EQUITY   200641108     41        663  SH      SOLE       1         663
COMMERCIAL BANKSHARES INC/FL          EQUITY   201607108    124      3,237  SH      SOLE       1       3,237
COMMERCIAL CAPITAL BANCORP            EQUITY   20162L105    511     30,569  SH      SOLE       1      30,569
COMMERCIAL FEDERAL CORP.              EQUITY   201647104    890     26,419  SH      SOLE       1      26,419
COMMERCIAL METALS CO.                 EQUITY   201723103    995     41,767  SH      SOLE       1      41,767
COMMERCIAL NET LEASE REALTY           EQUITY   202218103   2943    143,758  SH      SOLE       1     143,758
COMMERCIAL VEHICLE GROUP INC          EQUITY   202608105    153      8,635  SH      SOLE       1       8,635
COMMONWEALTH TELEPHONE ENT.           EQUITY   203349105    613     14,632  SH      SOLE       1      14,632
COMMSCOPE INC.                        EQUITY   203372107   2244    128,872  SH      SOLE       1     128,872
COMMUNITY BANCORP                     EQUITY   20343T100    106      3,418  SH      SOLE       1       3,418
COMMUNITY BANK SYSTEM, INC.           EQUITY   203607106    511     20,968  SH      SOLE       1      20,968
COMMUNITY BANKS INC                   EQUITY   203628102    191      7,435  SH      SOLE       1       7,435
COMMUNITY HEALTH SYS                  EQUITY   203668108   4609    121,975  SH      SOLE       1     121,975
COMMUNITY TRUST BANCORP               EQUITY   204149108    336     10,273  SH      SOLE       1      10,273
COMPASS BANCSHARES INC                EQUITY   20449H109      7        149  SH      DEFINED    2                   149
COMPASS BANCSHARES, INC.              EQUITY   20449H109   2565     57,005  SH      SOLE       1      57,005
COMPASS MINERALS INTERNATION          EQUITY   20451N101    393     16,802  SH      SOLE       1      16,802
COMPUCREDIT CORPORATION               EQUITY   20478N100    492     14,339  SH      SOLE       1      14,339
COMPUTER ASSOC INTL INC               EQUITY   204912109     17        636  SH      DEFINED    2                   636
COMPUTER ASSOCIATES  INT'L.           EQUITY   204912109   6319    229,966  SH      SOLE       1     229,966
COMPUTER PROGRAMS & SY                EQUITY   205306103    196      5,268  SH      SOLE       1       5,268
COMPUTER SCIENCES CORP                EQUITY   205363104     10        225  SH      DEFINED    2                   225
COMPUTER SCIENCES CORP.               EQUITY   205363104   3711     84,929  SH      SOLE       1      84,929
COMPUWARE CORP                        EQUITY   205638109      3        470  SH      DEFINED    2                   470
COMPUWARE CORP.                       EQUITY   205638109   1275    177,300  SH      SOLE       1     177,300
COMPX INTERNATIONAL INC.              EQUITY   20563P101     23      1,365  SH      SOLE       1       1,365
COMSTOCK HOMEBUILDG CO CL A           EQUITY   205684103      2      90600  SH      SOLE       3       90600
COMSTOCK HOMEBUILDING COS-A           EQUITY   205684103     70      2,883  SH      SOLE       1       2,883
COMSTOCK RESOURCES, INC.              EQUITY   205768203    711     28,128  SH      SOLE       1      28,128
COMSYS IT PARTNERS INC                EQUITY   20581E104    149      8,716  SH      SOLE       1       8,716
COMTECH TELECOMMUNICATIONS            EQUITY   205826209    488     14,960  SH      SOLE       1      14,960
COMVERSE TECHNOLOGY INC               EQUITY   205862402      6        235  SH      DEFINED    2                   235
COMVERSE TECHNOLOGY, INC.             EQUITY   205862402   4067    172,114  SH      SOLE       1     172,114
CONAGRA INC                           EQUITY   205887102   9304    401,731  SH      DEFINED    2               401,731
CONAGRA, INC.                         EQUITY   205887102   5515    238,143  SH      SOLE       1     238,143
CONCUR TECHNOLOGIES INC               EQUITY   206708109    211     19,996  SH      SOLE       1      19,996
CONEXANT SYSTEMS INC.                 EQUITY   207142100    524    325,542  SH      SOLE       1     325,542
CONMED CORP.                          EQUITY   207410101    624     20,294  SH      SOLE       1      20,294
CONNECTICUT WATER SVC INC             EQUITY   207797101    139      5,574  SH      SOLE       1       5,574





                                                                                         
CONNETICS CORP                        EQUITY   208192104    424     24,034  SH      SOLE       1      24,034
CONN'S INC                            EQUITY   208242107     80      3,284  SH      SOLE       1       3,284
CONOCOPHILLIPS                        EQUITY   20825C104     96      1,674  SH      DEFINED    2                 1,674
CONOCOPHILLIPS PETROLEUM CO           EQUITY   20825C104  64571  1,123,174  SH      SOLE       1   1,123,174
CONOR MEDSYSTEMS INC                  EQUITY   208264101     88      5,759  SH      SOLE       1       5,759
CONS TOMOKA LAND CO-FLORIDA           EQUITY   210226106    336      3,912  SH      SOLE       1       3,912
CONSECO INC                           EQUITY   208464883     92      4,200  SH      SOLE       1       4,200
CONSOL ENERGY INC                     EQUITY   20854P109    112      2,088  SH      SOLE       1       2,088
CONSOLIDATED EDISON INC               EQUITY   209115104     14        295  SH      DEFINED    2                   295
CONSOLIDATED EDISON, INC.             EQUITY   209115104  25121    536,310  SH      SOLE       1     536,310
CONSOLIDATED GRAPHICS, INC.           EQUITY   209341106    318      7,794  SH      SOLE       1       7,794
CONSOLIDATED WATER CO ORD (F)         EQUITY   G23773107      5     116800  SH      SOLE       3      116800
CONSTELLATION BRANDS                  EQUITY   21036P108  11106    376,459  SH      SOLE       1     376,459
CONSTELLATION ENERGY GROUP            EQUITY   210371100     13        220  SH      DEFINED    2                   220
CONSTELLATION ENERGY GRUOP INC        EQUITY   210371100   4706     81,576  SH      SOLE       1      81,576
CONTINENTAL AIRLS INC COM CL B        EQUITY   210795308    637     47,976  SH      SOLE       1      47,976
CONVERGYS CORP                        EQUITY   212485106      2        171  SH      DEFINED    2                   171
CONVERGYS CORP                        EQUITY   212485106   1478    103,968  SH      SOLE       1     103,968
COOPER CAMERON CORP.                  EQUITY   216640102  40743    656,609  SH      SOLE       1     656,609
COOPER COMPANIES, INC.                EQUITY   216648402     59        972  SH      SOLE       1         972
COOPER COS INC                        EQUITY   216648402   1217     20,000  SH      DEFINED    2                20,000
COOPER COS INC COM NEW                EQUITY   216648402      4      69721  SH      SOLE       3       69721              1491
COOPER INDUSTRIES INC CL A            EQUITY   G24182100   2565     40,144  SH      SOLE       1      40,144
COOPER TIRE & RUBBER CO               EQUITY   216831107   1333     71,802  SH      SOLE       1      71,802
COOPER TIRE + RUBR CO                 EQUITY   216831107      1         77  SH      DEFINED    2                    77
COPART, INC.                          EQUITY   217204106   3439    144,365  SH      SOLE       1     144,365
CORINTHIAN COLLEGES INC               EQUITY   218868107   2869    224,647  SH      SOLE       1     224,647
CORIXA CORP.                          EQUITY   21887F100    180     41,207  SH      SOLE       1      41,207
CORN PRODUCTS INTERNATIONAL           EQUITY   219023108   1234     51,939  SH      SOLE       1      51,939
CORNING INC                           EQUITY   219350105   8367    503,443  SH      DEFINED    2               503,443
CORNING, INC.                         EQUITY   219350105  14510    873,064  SH      SOLE       1     873,064
CORP EXEC BOARD CO.                   EQUITY   21988R102     67        858  SH      SOLE       1         858
CORPORATE EXEC BRD CO COM             EQUITY   21988R102      6      74726  SH      SOLE       3       74726               958
CORPORATE OFFICE PROPERTIES TR        EQUITY   22002T108    662     22,494  SH      SOLE       1      22,494
CORRECTIONAL PROPERTIES TRUST         EQUITY   22025E104    215      7,596  SH      SOLE       1       7,596
CORRECTIONS CORP. OF AMERICA          EQUITY   22025Y407   1062     27,052  SH      SOLE       1      27,052
CORUS BANKSHARES, INC.                EQUITY   220873103    716     12,910  SH      SOLE       1      12,910
CORVEL CORP.                          EQUITY   221006109    107      4,273  SH      SOLE       1       4,273
COST PLUS, INC.                       EQUITY   221485105    379     15,206  SH      SOLE       1      15,206
COSTAR GROUP, INC.                    EQUITY   22160N109    490     11,235  SH      SOLE       1      11,235
COSTCO WHOLESALE CORPORATION          EQUITY   22160K105  10035    224,344  SH      SOLE       1     224,344
COSTCO WHSL CORP NEW                  EQUITY   22160K105     26        574  SH      DEFINED    2                   574
COTHERIX INC                          EQUITY   22163T103     88      8,653  SH      SOLE       1       8,653
COUNTRYWIDE FINANCIAL                 EQUITY   222372104  10885    281,919  SH      SOLE       1     281,919
COUNTRYWIDE FINANCIAL COM             EQUITY   222372104      1      38542  SH      SOLE       3       38542              1917
COUNTRYWIDE FINL CORP                 EQUITY   222372104     27        707  SH      DEFINED    2                   707
COURIER CORP                          EQUITY   222660102    262      6,809  SH      SOLE       1       6,809
COURTYARD BY MARRIOTT II              EQUITY   44107P104    583     33,331  SH      SOLE       1      33,331
COUSINS PROPERTIES, INC.              EQUITY   222795106    882     29,811  SH      SOLE       1      29,811
COVANCE INC COM                       EQUITY   222816100      4      94747  SH      SOLE       3       94747              1983
COVANCE INC.                          EQUITY   222816100   5089    113,407  SH      SOLE       1     113,407
COVANSYS CORP.                        EQUITY   22281W103    274     21,286  SH      SOLE       1      21,286





                                                                                         
COVENANT TRANSPORT INC CLASS A        EQUITY   22284P105     77      5,828  SH      SOLE       1       5,828
COVENTRY HEALTH CARE INC              EQUITY   222862104   2193     31,000  SH      DEFINED    2                31,000
COVENTRY HEALTH CARE, INC.            EQUITY   222862104  13671    193,227  SH      SOLE       1     193,227
COX RADIO INC-CL A                    EQUITY   224051102    418     26,527  SH      SOLE       1      26,527
CRA INTERNATIONAL INC                 EQUITY   12618T105    373      6,931  SH      SOLE       1       6,931
CRANE CO.                             EQUITY   224399105   3534    134,362  SH      SOLE       1     134,362
CRAWFORD & CO. CLASS B                EQUITY   224633107    120     16,108  SH      SOLE       1      16,108
CREDENCE SYSTEMS CORP.                EQUITY   225302108   1987    219,575  SH      SOLE       1     219,575
CREDIT ACCEPTANCE CORP.               EQUITY   225310101    103      6,917  SH      SOLE       1       6,917
CREE INC                              EQUITY   225447101   3453    135,561  SH      SOLE       1     135,561
CRESCENT REAL ESTATE EQUITIES, INC.   EQUITY   225756105   5306    282,964  SH      SOLE       1     282,964
CRIIMI MAE INC                        EQUITY   226603504    235     10,768  SH      SOLE       1      10,768
CROSS COUNTRY HEALTHCARE INC          EQUITY   227483104    379     22,268  SH      SOLE       1      22,268
CROSSTEX ENERGY INC                   EQUITY   22765Y104    205      4,249  SH      SOLE       1       4,249
CROWN CASTLE INTERNATIONAL            EQUITY   228227104     88      4,314  SH      SOLE       1       4,314
CROWN HOLDINGS INC                    EQUITY   228368106     49      3,445  SH      SOLE       1       3,445
CROWN MEDIA HOLDINGS-CLASS A          EQUITY   228411104     95     10,110  SH      SOLE       1      10,110
CRT PROPERTIES INC                    EQUITY   22876P109   1440     52,755  SH      SOLE       1      52,755
CSG SYSTEMS INTERNATIONAL, INC        EQUITY   126349109   2363    124,488  SH      SOLE       1     124,488
CSK AUTO CORP                         EQUITY   125965103    520     31,188  SH      SOLE       1      31,188
CSS INDUSTRIES, INC.                  EQUITY   125906107    138      4,082  SH      SOLE       1       4,082
CSX  CORP.                            EQUITY   126408103   4249     99,596  SH      SOLE       1      99,596
CSX CORP                              EQUITY   126408103     11        264  SH      DEFINED    2                   264
CT COMMUNICATION                      EQUITY   126426402    171     13,127  SH      SOLE       1      13,127
CTS CORP.                             EQUITY   126501105    312     25,392  SH      SOLE       1      25,392
CUBIC CORP.                           EQUITY   229669106    191     10,743  SH      SOLE       1      10,743
CUBIST PHARMA INC                     EQUITY   229678107    484     36,772  SH      SOLE       1      36,772
CULLEN/FROST BANKERS                  EQUITY   229899109   4203     88,214  SH      SOLE       1      88,214
CUMMINS INC                           EQUITY   231021106      4         52  SH      DEFINED    2                    52
CUMMINS INC.                          EQUITY   231021106   1478     19,814  SH      SOLE       1      19,814
CUMULUS MEDIA, INC.                   EQUITY   231082108    464     39,394  SH      SOLE       1      39,394
CUNO, INC.                            EQUITY   126583103    849     11,882  SH      SOLE       1      11,882
CURAGEN CORP                          EQUITY   23126R101    154     29,981  SH      SOLE       1      29,981
CURIS INC.                            EQUITY   231269101    129     33,090  SH      SOLE       1      33,090
CURTISS-WRIGHT CORP.                  EQUITY   231561101    806     14,931  SH      SOLE       1      14,931
CV THERAPEUTICS INC                   EQUITY   126667104   1090     48,600  SH      DEFINED    2                48,600
CV THERAPEUTICS, INC.                 EQUITY   126667104    558     24,889  SH      SOLE       1      24,889
CVB FINANCIAL CORP                    EQUITY   126600105    640     32,516  SH      SOLE       1      32,516
CVS CORP                              EQUITY   126650100     28        974  SH      DEFINED    2                   974
CVS Corp                              EQUITY   126650100   2326     80,000  SH      SOLE       4      80,000
CVS CORP.                             EQUITY   126650100  10708    368,342  SH      SOLE       1     368,342
CYBERGUARD CORP                       EQUITY   231910100     87     14,608  SH      SOLE       1      14,608
CYBERONICS                            EQUITY   23251P102    638     14,700  SH      SOLE       1      14,700
CYBERSOURCE CORP                      EQUITY   23251J106    135     18,498  SH      SOLE       1      18,498
CYMER, INC.                           EQUITY   232572107    660     25,061  SH      SOLE       1      25,061
CYPRESS BIOSCIENCE INC                EQUITY   232674507    277     21,004  SH      SOLE       1      21,004
CYPRESS BIOSCIENCES INC               EQUITY   232674507   7125    539,800  SH      DEFINED    2               539,800
CYPRESS SEMICONDUCTOR CORP            EQUITY   232806109   6705    532,600  SH      DEFINED    2               532,600
CYPRESS SEMICONDUCTOR CORP.           EQUITY   232806109   4097    325,429  SH      SOLE       1     325,429
CYTEC INDUSTRIES, INC.                EQUITY   232820100   3108     78,078  SH      SOLE       1      78,078
CYTYC CORPORATION                     EQUITY   232946103   4526    205,164  SH      SOLE       1     205,164
D.R. HORTON INC                       EQUITY   23331A109  19911    529,394  SH      SOLE       1     529,394





                                                                                         
DADE BEHRING HOLDINGS INC             EQUITY   23342J206     60        918  SH      SOLE       1         918
DANA CORP                             EQUITY   235811106      3        190  SH      DEFINED    2                   190
DANA CORP                             EQUITY   235811106   1790    119,222  SH      SOLE       1     119,222
Danaher Corp                          EQUITY   235851102   1047     20,000  SH      SOLE       4      20,000
DANAHER CORP                          EQUITY   235851102  19242    367,626  SH      DEFINED    2               367,626
DANAHER CORP.                         EQUITY   235851102  19121    365,325  SH      SOLE       1     365,325
DANIELSON HOLDING CORP                EQUITY   236274106    739     60,749  SH      SOLE       1      60,749
DARDEN RESTAURANTS INC                EQUITY   237194105      6        179  SH      DEFINED    2                   179
DARDEN RESTAURANTS, INC.              EQUITY   237194105   2236     67,788  SH      SOLE       1      67,788
DARLING INTERNATIONAL INC             EQUITY   237266101    166     44,151  SH      SOLE       1      44,151
DATASCOPE CORP.                       EQUITY   238113104    270      8,085  SH      SOLE       1       8,085
DAVE & BUSTERS INC                    EQUITY   23833N104    179      9,686  SH      SOLE       1       9,686
DAVITA INC                            EQUITY   23918K108     94      2,076  SH      SOLE       1       2,076
DEAN FOODS CO                         EQUITY   242370104   9581    271,885  SH      SOLE       1     271,885
DEB SHOPS, INC                        EQUITY   242728103     86      2,976  SH      SOLE       1       2,976
DECKERS OUTDOOR CORP                  EQUITY   243537107    173      7,014  SH      SOLE       1       7,014
DECODE GENETICS, INC                  EQUITY   243586104    354     37,680  SH      SOLE       1      37,680
DEERE & CO.                           EQUITY   244199105   6974    106,489  SH      SOLE       1     106,489
DEERE + CO                            EQUITY   244199105     97      1,464  SH      DEFINED    2                 1,464
DEL MONTE                             EQUITY   24522P103     55      5,106  SH      SOLE       1       5,106
DELL INC                              EQUITY   24702R101  24091    609,736  SH      DEFINED    2               609,736
DELL INC                              EQUITY   24702R101  87610  2,220,234  SH      SOLE       1   2,220,234
DELPHI CORP                           EQUITY   247126105      3        678  SH      DEFINED    2                   678
DELPHI CORP                           EQUITY   247126105   4975  1,069,863  SH      SOLE       1   1,069,863
DELPHI FINANCIAL GROUP, INC., CLASS A EQUITY   247131105    850     19,251  SH      SOLE       1      19,251
DELTA & PINE LAND CO.                 EQUITY   247357106    657     26,218  SH      SOLE       1      26,218
DELTA AIR LINES INC                   EQUITY   247361108      1        168  SH      DEFINED    2                   168
DELTA AIR LINES, INC.                 EQUITY   247361108    574    152,731  SH      SOLE       1     152,731
DELTA FINANCIAL CORP                  EQUITY   247918105     71      7,464  SH      SOLE       1       7,464
DELTA PETROLEUM CORP                  EQUITY   247907207    299     21,144  SH      SOLE       1      21,144
DELTIC TIMBER CORP.                   EQUITY   247850100    264      6,939  SH      SOLE       1       6,939
DELUXE CORP.                          EQUITY   248019101   8602    211,876  SH      SOLE       1     211,876
DENBURY RESOURCES INC                 EQUITY   247916208     47      1,177  SH      SOLE       1       1,177
DENDREON CORP                         EQUITY   24823Q107    947    181,163  SH      SOLE       1     181,163
DENDRITE INTERNATIONAL, INC.          EQUITY   248239105    406     29,418  SH      SOLE       1      29,418
DENNY'S CORPORATION                   EQUITY   24869P104    313     62,647  SH      SOLE       1      62,647
DENTSPLY INTERNATIONAL INC.           EQUITY   249030107   7622    141,140  SH      SOLE       1     141,140
DESIGN WITHIN REACH INC               EQUITY   250557105    149      8,246  SH      SOLE       1       8,246
DEVELOPERS DIVERS RLTY COM            EQUITY   251591103              7260  SH      SOLE       3        7260              7260
DEVELOPERS DIVERSIFIED REALTY         EQUITY   251591103   9352    203,479  SH      SOLE       1     203,479
DEVON ENERGY CORP.                    EQUITY   25179M103  11731    231,472  SH      SOLE       1     231,472
DEVON ENERGY CORPORATION N            EQUITY   25179M103     29        572  SH      DEFINED    2                   572
DEVRY, INC.                           EQUITY   251893103   3097    155,633  SH      SOLE       1     155,633
DEX MEDIA INC                         EQUITY   25212E100     38      1,560  SH      SOLE       1       1,560
DEXCOM INC                            EQUITY   252131107     40      3,241  SH      SOLE       1       3,241
DHB INDS INC                          EQUITY   23321E103    161     19,104  SH      SOLE       1      19,104
DIAGNOSTIC PRODUCTS CORP.             EQUITY   252450101    747     15,774  SH      SOLE       1      15,774
DIAMOND OFFSHORE DRILLING             EQUITY   25271C102     66      1,227  SH      SOLE       1       1,227
DIAMONDCLUSTER INT'L INC CL A         EQUITY   25278P106    232     20,511  SH      SOLE       1      20,511
DIAMONDROCK HOSPITALITY CO            EQUITY   252784301    192     17,028  SH      SOLE       1      17,028
DICK'S SPORTING GOODS INC             EQUITY   253393102     26        665  SH      SOLE       1         665
DIEBOLD, INC.                         EQUITY   253651103   5802    128,622  SH      SOLE       1     128,622





                                                                                         
DIGENE CORP                           EQUITY   253752109    286     10,349  SH      SOLE       1      10,349
DIGI INTERNATIONAL INC                EQUITY   253798102    185     15,595  SH      SOLE       1      15,595
DIGITAL INSIGHT                       EQUITY   25385P106    576     24,088  SH      SOLE       1      24,088
DIGITAL REALTY TRUST INC              EQUITY   253868103    106      6,126  SH      SOLE       1       6,126
DIGITAL RIV INC                       EQUITY   25388B104    750     23,630  SH      SOLE       1      23,630
DIGITAS INC                           EQUITY   25388K104    703     61,626  SH      SOLE       1      61,626
DILLARDS INC                          EQUITY   254067101      2         93  SH      DEFINED    2                    93
DILLARDS, INC. CLASS A                EQUITY   254067101    763     32,593  SH      SOLE       1      32,593
DIME COMMUNITY BANCSHARES             EQUITY   253922108    280     18,400  SH      SOLE       1      18,400
DIODES INC                            EQUITY   254543101    209      6,715  SH      SOLE       1       6,715
DIONEX CORP.                          EQUITY   254546104    611     14,018  SH      SOLE       1      14,018
DIRECT GENERAL CORP                   EQUITY   25456W204    205     11,026  SH      SOLE       1      11,026
DISCOVERY LABORATORIES INC            EQUITY   254668106    270     36,974  SH      SOLE       1      36,974
DISNEY WALT CO                        EQUITY   254687106     62      2,453  SH      DEFINED    2                 2,453
DITECH COMMUNICATIONS CORP            EQUITY   25500M103    143     22,089  SH      SOLE       1      22,089
DIVERSA CORP                          EQUITY   255064107     84     16,133  SH      SOLE       1      16,133
DIXIE GROUP INC                       EQUITY   255519100    130      7,404  SH      SOLE       1       7,404
DJ ORTHOPEDICS INC                    EQUITY   23325G104    411     14,989  SH      SOLE       1      14,989
DOBSON COMMUNICATIONS                 EQUITY   256069105   7581  1,779,623  SH      SOLE       1   1,779,623
DOBSON COMMUNICATIONS CORP            EQUITY   256069105    751    176,316  SH      DEFINED    2               176,316
DOLBY LABORATORIES INC-CL A           EQUITY   25659T107     13        578  SH      SOLE       1         578
DOLLAR GEN CORP                       EQUITY   256669102      7        362  SH      DEFINED    2                   362
DOLLAR GENERAL CORP.                  EQUITY   256669102   4258    209,160  SH      SOLE       1     209,160
DOLLAR THRIFTY AUTOMOTIVE             EQUITY   256743105    660     17,369  SH      SOLE       1      17,369
DOLLAR TREE STORES INC.               EQUITY   256747106   4862    202,587  SH      SOLE       1     202,587
DOMINION RES INC VA NEW               EQUITY   25746U109     30        406  SH      DEFINED    2                   406
DOMINION RESOURCES, INC.              EQUITY   25746U109  10799    147,146  SH      SOLE       1     147,146
DOMINO'S PIZZA INC                    EQUITY   25754A201    933     41,927  SH      SOLE       1      41,927
DONALDSON CO., INC.                   EQUITY   257651109   4161    137,193  SH      SOLE       1     137,193
DONEGAL GROUP INC-CL A                EQUITY   257701201    130      6,530  SH      SOLE       1       6,530
DONNELLEY R R + SONS CO               EQUITY   257867101      9        260  SH      DEFINED    2                   260
DORAL FINANCIAL CORP.                 EQUITY   25811P100    984     59,493  SH      SOLE       1      59,493
DORCHESTER MINERALS LP                EQUITY   25820R105    100      4,200  SH      SOLE       1       4,200
DOT HILL SYSTEMS CORP                 EQUITY   25848T109    159     30,259  SH      SOLE       1      30,259
DOUBLECLICK INC                       EQUITY   258609304    731     87,132  SH      SOLE       1      87,132
DOV PHARMACEUTICAL INC                EQUITY   259858108    293     15,722  SH      SOLE       1      15,722
DOVER CORP                            EQUITY   260003108  25113    690,286  SH      DEFINED    2               690,286
DOVER CORP.                           EQUITY   260003108   9456    259,932  SH      SOLE       1     259,932
DOVER DOWNS GAMING & ENTERTA          EQUITY   260095104     88      6,606  SH      SOLE       1       6,606
DOVER MOTORSPORTS INC                 EQUITY   260174107     71     11,776  SH      SOLE       1      11,776
DOW CHEM CO                           EQUITY   260543103   2144     48,156  SH      DEFINED    2                48,156
DOW CHEMICAL CO.                      EQUITY   260543103  20214    453,946  SH      SOLE       1     453,946
DOW JONES & CO., INC.                 EQUITY   260561105   3269     92,225  SH      SOLE       1      92,225
DOW JONES + CO INC                    EQUITY   260561105      3         93  SH      DEFINED    2                    93
DOWNEY FINANCIAL CORP.                EQUITY   261018105     40        542  SH      SOLE       1         542
DPL, INC.                             EQUITY   233293109   6278    228,718  SH      SOLE       1     228,718
DREAMWORKS ANIMATION SKG-A            EQUITY   26153C103     48      1,816  SH      SOLE       1       1,816
DRESS BARN, INC.                      EQUITY   261570105    334     14,770  SH      SOLE       1      14,770
DREW INDUSTRIES INC                   EQUITY   26168L205    238      5,240  SH      SOLE       1       5,240
DRILL QUIP                            EQUITY   262037104    141      4,870  SH      SOLE       1       4,870
DRS TECHNOLOGIES INC                  EQUITY   23330X100    968     18,874  SH      SOLE       1      18,874
DRS TECHNOLOGIES INC COM              EQUITY   23330X100      3      55289  SH      SOLE       3       55289              1025





                                                                                        
DRUGSTORE.COM                         EQUITY   262241102    197     47,168  SH      SOLE       1      47,168
DSP GROUP, INC. COM                   EQUITY   23332B106    467     19,569  SH      SOLE       1      19,569
DST SYSTEMS INC                       EQUITY   233326107   6395    136,640  SH      SOLE       1     136,640
DTE ENERGY CO                         EQUITY   233331107     10        218  SH      DEFINED    2                   218
DTE ENERGY CO.                        EQUITY   233331107  17342    370,791  SH      SOLE       1     370,791
DTE Energy Company                    EQUITY   233331107   7249    155,000  SH      SOLE       4     155,000
Du Pont E I De Nemours & Co           EQUITY   263534109   1290     30,000  SH      SOLE       4      30,000
DU PONT E I DE NEMOURS + C            EQUITY   263534109  16369    380,594  SH      DEFINED    2               380,594
DUKE ENERGY CO                        EQUITY   264399106     33      1,117  SH      DEFINED    2                 1,117
DUKE ENERGY CORP.                     EQUITY   264399106  27824    935,884  SH      SOLE       1     935,884
DUKE REALTY                           EQUITY   264411505    445     14,069  SH      SOLE       1      14,069
DUKE REALTY CORP COM NEW              EQUITY   264411505             10080  SH      SOLE       3       10080             10080
DUN & BRADSTREET CORP NEW WI          EQUITY   26483E100   7559    122,612  SH      SOLE       1     122,612
DUQUESNE LIGHT HOLDINGS INC           EQUITY   266233105   3577    191,466  SH      SOLE       1     191,466
DURATEK INC                           EQUITY   26658Q102    224      9,646  SH      SOLE       1       9,646
DURECT CORP COM                       EQUITY   266605104      2     302300  SH      SOLE       3      302300
DURECT CORPORATION                    EQUITY   266605104    127     24,898  SH      SOLE       1      24,898
DUSA PHARAMACEUTICALS INC             EQUITY   266898105    109     11,689  SH      SOLE       1      11,689
DYCOM INDUSTRIES, INC.                EQUITY   267475101   2390    120,622  SH      SOLE       1     120,622
DYNAMEX INC                           EQUITY   26784F103    136      8,004  SH      SOLE       1       8,004
DYNAMIC MATERIALS CORP                EQUITY   267888105     72      1,866  SH      SOLE       1       1,866
DYNEGY INC NEW                        EQUITY   26816Q101      2        402  SH      DEFINED    2                   402
DYNEGY INC.                           EQUITY   26816Q101    735    151,264  SH      SOLE       1     151,264
E M C CORP MASS COM                   EQUITY   268648102             22000  SH      SOLE       3       22000
E TRADE FINL CORP                     EQUITY   269246104      6        443  SH      DEFINED    2                   443
E*TRADE FINANCIAL CORP                EQUITY   269246104   2416    172,661  SH      SOLE       1     172,661
E.I. DU PONT DE NEMOURS AND CO        EQUITY   263534109  33868    787,441  SH      SOLE       1     787,441
E.PIHPANY, INC.                       EQUITY   26881V100    186     53,575  SH      SOLE       1      53,575
EAGLE MATERIALS INC                   EQUITY   26969P108   1173     12,671  SH      SOLE       1      12,671
EARTHLINK INC                         EQUITY   270321102    765     88,327  SH      SOLE       1      88,327
EAST WEST BANCORP                     EQUITY   27579R104     37      1,092  SH      SOLE       1       1,092
EASTGROUP PROPERTIES, INC.            EQUITY   277276101    705     16,734  SH      SOLE       1      16,734
EASTMAN CHEM CO                       EQUITY   277432100      5         99  SH      DEFINED    2                    99
EASTMAN CHEMICAL CO.                  EQUITY   277432100   2623     47,563  SH      SOLE       1      47,563
EASTMAN KODAK CO                      EQUITY   277461109      9        336  SH      DEFINED    2                   336
EASTMAN KODAK CO.                     EQUITY   277461109   3544    132,009  SH      SOLE       1     132,009
EATON CORP                            EQUITY   278058102     11        181  SH      DEFINED    2                   181
EATON CORP.                           EQUITY   278058102   4141     69,139  SH      SOLE       1      69,139
EATON VANCE CORP.                     EQUITY   278265103   5666    236,962  SH      SOLE       1     236,962
EBAY INC                              EQUITY   278642103   6842    207,261  SH      DEFINED    2               207,261
EBAY, INC.                            EQUITY   278642103  26405    799,907  SH      SOLE       1     799,907
ECC CAPITAL CORP                      EQUITY   26826M108    262     39,382  SH      SOLE       1      39,382
ECHELON                               EQUITY   27874N105    140     20,400  SH      SOLE       1      20,400
ECHOSTAR COMMUNICATIONS CO            EQUITY   278762109   9709    322,015  SH      DEFINED    2               322,015
ECHOSTAR COMMUNICATIONS CORP. CLASS A EQUITY   278762109    574     19,045  SH      SOLE       1      19,045
ECLIPSYS CORP.                        EQUITY   278856109    372     26,442  SH      SOLE       1      26,442
ECOLAB INC                            EQUITY   278865100      9        273  SH      DEFINED    2                   273
ECOLAB, INC.                          EQUITY   278865100   7303    225,669  SH      SOLE       1     225,669
ECOLLEGE.COM INC                      EQUITY   27887E100    145     12,213  SH      SOLE       1      12,213
EDGE PETROLEUM CORP                   EQUITY   279862106    185     11,825  SH      SOLE       1      11,825
EDISON INTERNATIONAL INC              EQUITY   281020107  35557    876,879  SH      SOLE       1     876,879
EDISON INTL                           EQUITY   281020107     16        400  SH      DEFINED    2                   400





                                                                                       
EDO CORP                              EQUITY   281347104    327     10,937  SH      SOLE       1      10,937
EDUCATE INC                           EQUITY   28138P100    179     12,650  SH      SOLE       1      12,650
EDUCATION MANAGEMENT CORP.            EQUITY   28139T101   4154    123,141  SH      SOLE       1     123,141
EDUCATION REALTY TRUST INC            EQUITY   28140H104    276     15,084  SH      SOLE       1      15,084
EDWARDS LIFESCIENCES CP               EQUITY   28176E108   4613    107,235  SH      SOLE       1     107,235
EFUNDS CORP                           EQUITY   28224R101    563     31,291  SH      SOLE       1      31,291
EGL INC.                              EQUITY   268484102    594     29,222  SH      SOLE       1      29,222
EL PASO CORP                          EQUITY   28336L109      9        771  SH      DEFINED    2                   771
EL PASO CORP                          EQUITY   28336L109   4823    418,699  SH      SOLE       1     418,699
EL PASO ELECTRIC CO.                  EQUITY   283677854    674     32,973  SH      SOLE       1      32,973
ELECTRO RENT CORP.                    EQUITY   285218103    180     12,399  SH      SOLE       1      12,399
ELECTRO SCIENTIFIC INDUSTRIES,        EQUITY   285229100    353     19,725  SH      SOLE       1      19,725
ELECTRONIC ARTS                       EQUITY   285512109   8628    152,420  SH      SOLE       1     152,420
ELECTRONIC ARTS INC                   EQUITY   285512109     20        360  SH      DEFINED    2                   360
ELECTRONIC DATA SYS CORP N            EQUITY   285661104     12        624  SH      DEFINED    2                   624
ELECTRONIC DATA SYSTEMS CORP.         EQUITY   285661104   4577    237,752  SH      SOLE       1     237,752
ELECTRONICS BOUTIQUE HLDGS. CO        EQUITY   286045109    514      8,090  SH      SOLE       1       8,090
ELECTRONICS FOR IMAGING, INC.         EQUITY   286082102    787     37,384  SH      SOLE       1      37,384
ELI LILLY AND CO.                     EQUITY   532457108  31133    558,839  SH      SOLE       1     558,839
ELIZABETH ARDEN INC                   EQUITY   28660G106    411     17,574  SH      SOLE       1      17,574
ELKCORP                               EQUITY   287456107    398     13,929  SH      SOLE       1      13,929
E-LOAN INC                            EQUITY   26861P107    127     37,902  SH      SOLE       1      37,902
EMAGEON INC                           EQUITY   29076V109    139      9,919  SH      SOLE       1       9,919
EMC CORP                              EQUITY   268648102  14117  1,029,569  SH      DEFINED    2             1,029,569
EMC CORP.                             EQUITY   268648102  16362  1,193,409  SH      SOLE       1   1,193,409
EMC INS GROUP INC                     EQUITY   268664109     79      4,350  SH      SOLE       1       4,350
EMCOR GROUP, INC.                     EQUITY   29084Q100    679     13,894  SH      SOLE       1      13,894
EMCORE CORPORATION                    EQUITY   290846104    106     25,582  SH      SOLE       1      25,582
EMERSON ELEC CO                       EQUITY   291011104  10547    168,403  SH      DEFINED    2               168,403
Emerson Electric                      EQUITY   291011104   1879     30,000  SH      SOLE       4      30,000
EMERSON ELECTRIC CO.                  EQUITY   291011104  23262    371,423  SH      SOLE       1     371,423
EMMIS COMMUNICATIONS CORP. CLASS A    EQUITY   291525103   1652     93,504  SH      SOLE       1      93,504
EMPIRE DISTRICT ELECTRIC CO.          EQUITY   291641108    427     17,833  SH      SOLE       1      17,833
EMULEX CORP                           EQUITY   292475209   1048     57,411  SH      SOLE       1      57,411
ENCANA CORP                           EQUITY   292505104   3332     84,500  SH      Defined    1           0    84,500
ENCORE ACQUISITION CO                 EQUITY   29255W100   3285     80,131  SH      SOLE       1      80,131
ENCORE CAPITAL GROUP INC              EQUITY   292554102    173     10,148  SH      SOLE       1      10,148
ENCORE MEDICAL CORP                   EQUITY   29256E109    155     27,846  SH      SOLE       1      27,846
ENCORE WIRE CORP                      EQUITY   292562105    128     11,046  SH      SOLE       1      11,046
ENCYSIVE PHARMACEUTICALS INC          EQUITY   29256X107    434     40,141  SH      SOLE       1      40,141
ENDEAVOUR INTERNATIONAL CORP          EQUITY   29259G101    141     38,790  SH      SOLE       1      38,790
ENDO PHARMACEUTICALS                  EQUITY   29264F205     28      1,067  SH      SOLE       1       1,067
ENDWAVE CORPORATION                   EQUITY   29264A206    225      4,719  SH      SOLE       1       4,719
ENERGEN CORP.                         EQUITY   29265N108     71      2,037  SH      SOLE       1       2,037
ENERGIZER HOLDINGS INC                EQUITY   29266R108   8000    128,678  SH      SOLE       1     128,678
ENERGY CONVERSION DEVICES, INC        EQUITY   292659109    357     15,957  SH      SOLE       1      15,957
ENERGY EAST CORP                      EQUITY   29266M109   7711    266,096  SH      SOLE       1     266,096
ENERGY PARTNERS LTD                   EQUITY   29270U105    605     23,076  SH      SOLE       1      23,076
ENERGYSOUTH INC                       EQUITY   292970100    130      4,698  SH      SOLE       1       4,698
ENERSIS SA ADR                        EQUITY   29274F104   4745    454,510  SH      SOLE       1     454,510
ENERSYS                               EQUITY   29275Y102    433     31,780  SH      SOLE       1      31,780
ENGELHARD CORP                        EQUITY   292845104      4        149  SH      DEFINED    2                   149





                                                                                        
ENGELHARD CORP.                       EQUITY   292845104   1586     55,553  SH      SOLE       1      55,553
ENGINEERED SUPPORT SYS COM            EQUITY   292866100      2      64745  SH      SOLE       3       64745              2130
ENGINEERED SUPPORT SYSTEMS            EQUITY   292866100   1025     28,615  SH      SOLE       1      28,615
ENNIS INC                             EQUITY   293389102    318     17,559  SH      SOLE       1      17,559
ENPRO INDUSTRIES INC                  EQUITY   29355X107    417     14,457  SH      SOLE       1      14,457
ENSCO INTERNATIONAL, INC.             EQUITY   26874Q100   9776    273,449  SH      SOLE       1     273,449
ENSCO INTL INC                        EQUITY   26874Q100     43      1,195  SH      DEFINED    2                 1,195
ENSCO INTL INC COM                    EQUITY   26874Q100      1      39854  SH      SOLE       3       39854              1917
ENSTAR GROUP INC                      EQUITY   29358R107    148      2,245  SH      SOLE       1       2,245
ENTEGRIS INC                          EQUITY   29362U104    411     41,550  SH      SOLE       1      41,550
ENTERCOM COMMUNICATIONS CORP.         EQUITY   293639100   3332    100,102  SH      SOLE       1     100,102
ENTERGY ARKANSAS INC                  EQUITY   29364G103   6929     91,714  SH      SOLE       1      91,714
ENTERGY CORP NEW                      EQUITY   29364G103     20        264  SH      DEFINED    2                   264
ENTERPRISE FINANCIAL SERVICE          EQUITY   293712105    127      5,349  SH      SOLE       1       5,349
Enterprise Prod Partners              EQUITY   293792107   2367     88,350  SH      SOLE       4      88,350
ENTERTAINMENT PROPERTIES TRUST        EQUITY   29380T105    888     19,309  SH      SOLE       1      19,309
ENTRAVISION COMMUNIC                  EQUITY   29382R107    412     52,880  SH      SOLE       1      52,880
ENTRUST TECHNOLOGIES INC.             EQUITY   293848107    205     42,809  SH      SOLE       1      42,809
ENZO BIOCHEM, INC.                    EQUITY   294100102    340     18,977  SH      SOLE       1      18,977
ENZON PHARMACEUTICALS INC             EQUITY   293904108    196     30,298  SH      SOLE       1      30,298
EOG RESOURCES INC                     EQUITY   26875P101   6149    108,252  SH      SOLE       1     108,252
EOG RESOURCES INC                     EQUITY   26875P101   9178    161,590  SH      DEFINED    2               161,590
EON LABS INC                          EQUITY   29412E100   3031     98,933  SH      SOLE       1      98,933
EPICOR SOFTWARE CORPORATION           EQUITY   29426L108    483     36,610  SH      SOLE       1      36,610
EPIQ SYSTEMS INC                      EQUITY   26882D109    150      9,173  SH      SOLE       1       9,173
EPIX PHARMACEUTICAL INC               EQUITY   26881Q101    142     16,066  SH      SOLE       1      16,066
EQUIFAX INC                           EQUITY   294429105      6        164  SH      DEFINED    2                   164
EQUIFAX, INC.                         EQUITY   294429105   2119     59,328  SH      SOLE       1      59,328
EQUINIX INC                           EQUITY   29444U502    462     10,661  SH      SOLE       1      10,661
EQUITABLE RESOURCES, INC.             EQUITY   294549100   7460    109,706  SH      SOLE       1     109,706
EQUITY INNS, INC.                     EQUITY   294703103    546     41,062  SH      SOLE       1      41,062
EQUITY LIFESTYLE PROPERTIES           EQUITY   29472R108    580     14,598  SH      SOLE       1      14,598
EQUITY OFFICE PPTYS TR                EQUITY   294741103     16        488  SH      DEFINED    2                   488
EQUITY OFFICE PPTYS TR COM            EQUITY   294741103      1      28550  SH      SOLE       3       28550             28550
EQUITY OFFICE PROPERTIES TRUST        EQUITY   294741103   7149    215,971  SH      SOLE       1     215,971
EQUITY ONE INC                        EQUITY   294752100    639     28,129  SH      SOLE       1      28,129
EQUITY RESIDENT PPTYS SH BEN I        EQUITY   29476L107      1      20150  SH      SOLE       3       20150             20150
EQUITY RESIDENTIAL                    EQUITY   29476L107   5597    152,011  SH      SOLE       1     152,011
ERESEARCHTECHNOLOGY IN                EQUITY   29481V108    467     34,876  SH      SOLE       1      34,876
ERICCSON 9LM0 TEL-SP ADR              EQUITY   294821608  26568    831,540  SH      SOLE       1     831,540
ERIE INDEMNITY COMPA                  EQUITY   29530P102     40        733  SH      SOLE       1         733
ESCALADE INC                          EQUITY   296056104     75      5,436  SH      SOLE       1       5,436
ESCO ELECTRONICS CORP                 EQUITY   296315104    885      8,778  SH      SOLE       1       8,778
ESCO TECHNOLOGIES INC COM             EQUITY   296315104      1       5300  SH      SOLE       3        5300
ESPEED INC                            EQUITY   296643109    129     14,461  SH      SOLE       1      14,461
ESSEX CORP                            EQUITY   296744105    270     11,817  SH      SOLE       1      11,817
ESSEX CORP COM                        EQUITY   296744105      2      69000  SH      SOLE       3       69000
ESSEX PROPERTY TRUST, INC.            EQUITY   297178105    181      2,181  SH      SOLE       1       2,181
ESTEE LAUDER COMPANIES-CL A           EQUITY   518439104     93      2,389  SH      SOLE       1       2,389
ESTERLINE TECHNOLOGIES CORP.          EQUITY   297425100    695     17,331  SH      SOLE       1      17,331
ETHAN ALLEN INTERIOR                  EQUITY   297602104    808     24,114  SH      SOLE       1      24,114
EUROBANCSHARES INC                    EQUITY   298716101    102      6,379  SH      SOLE       1       6,379





                                                                                        
EURONET WORLDWIDE INC                 EQUITY   298736109    624     21,462  SH      SOLE       1      21,462
EURONET WORLDWIDE INC COM             EQUITY   298736109      7     245300  SH      SOLE       3      245300
EVEREST RE GROUP, LTD                 EQUITY   G3223R108   9328    100,300  SH      SOLE       1     100,300
EVERGREEN SOLAR INC                   EQUITY   30033R108    175     27,287  SH      SOLE       1      27,287
EXAR CORP.                            EQUITY   300645108    430     28,866  SH      SOLE       1      28,866
EXCEL TECHNOLOGY                      EQUITY   30067T103    202      8,327  SH      SOLE       1       8,327
EXELIXIS, INC.                        EQUITY   30161Q104    392     52,712  SH      SOLE       1      52,712
EXELON CORP                           EQUITY   30161N101     41        805  SH      DEFINED    2                   805
EXELON CORP                           EQUITY   30161N101  14839    289,095  SH      SOLE       1     289,095
EXIDE TECHNOLOGIES                    EQUITY   302051206     97     20,070  SH      SOLE       1      20,070
EXIDE TECHNOLOGIES-CW11               EQUITY   302051123     25     50,176  SH      SOLE       1      50,176
EXPEDITORS INTERNATIONAL OF WA        EQUITY   302130109   9912    198,992  SH      SOLE       1     198,992
EXPONENT INC                          EQUITY   30214U102    158      5,511  SH      SOLE       1       5,511
EXPRESS SCRIPTS INC                   EQUITY   302182100      2      33288  SH      SOLE       3       33288              1078
EXPRESS SCRIPTS INC                   EQUITY   302182100     10        192  SH      DEFINED    2                   192
EXPRESS SCRIPTS, INC.                 EQUITY   302182100   5124    102,522  SH      SOLE       1     102,522
EXPRESSJET HOLDINGS IN                EQUITY   30218U108    257     30,218  SH      SOLE       1      30,218
EXTRA SPACE STORAGE INC               EQUITY   30225T102    332     23,192  SH      SOLE       1      23,192
EXTREME NETWORK INC                   EQUITY   30226D106    343     84,180  SH      SOLE       1      84,180
EXXON MOBIL CORP                      EQUITY   30231G102  13773    239,652  SH      DEFINED    2               239,652
EXXON MOBIL CORP.                     EQUITY   30231G102 259200  4,510,173  SH      SOLE       1   4,510,173
ExxonMobil Corp                       EQUITY   30231G102   2586     45,000  SH      SOLE       4      45,000
EYETECH PHARMACEUTICALS INC           EQUITY   302297106    296     23,397  SH      SOLE       1      23,397
F N B CORP VA                         EQUITY   302930102    141      5,031  SH      SOLE       1       5,031
F5 NETWORKS INC                       EQUITY   315616102   3194     67,579  SH      SOLE       1      67,579
FACTSET RESEARCH SYSTEMS, INC.        EQUITY   303075105    850     23,711  SH      SOLE       1      23,711
FAIR ISSAC CORP                       EQUITY   303250104   4439    121,612  SH      SOLE       1     121,612
FAIRCHILD SEMICONDUCTOR CORP.         EQUITY   303726103   4363    295,790  SH      SOLE       1     295,790
FAIRPOINT COMMUNICATIONS INC          EQUITY   305560104    303     18,750  SH      SOLE       1      18,750
FALCONSTOR SOFTWARE INC               EQUITY   306137100    109     16,692  SH      SOLE       1      16,692
FAMILY DLR STORES INC                 EQUITY   307000109      5        201  SH      DEFINED    2                   201
FAMILY DOLLAR STORES, INC.            EQUITY   307000109   2065     79,126  SH      SOLE       1      79,126
FARGO ELECTRONICS                     EQUITY   30744P102    174      8,729  SH      SOLE       1       8,729
FARMER BROS. CO.                      EQUITY   307675108    104      4,652  SH      SOLE       1       4,652
FARMERS CAPITAL BANK CORP             EQUITY   309562106    146      4,207  SH      SOLE       1       4,207
FARO TECHNOLOGIES INC                 EQUITY   311642102    213      7,826  SH      SOLE       1       7,826
FASTENAL CO.                          EQUITY   311900104   7822    127,699  SH      SOLE       1     127,699
FAVRILLE INC COM                      EQUITY   312088404      1     236600  SH      SOLE       3      236600             13000
FBL FINANCIAL GROUP, INC., CLASS A    EQUITY   30239F106    248      8,965  SH      SOLE       1       8,965
FEDERAL AGRIC MTG CORP                EQUITY   313148306    167      7,572  SH      SOLE       1       7,572
FEDERAL HOME LN MTG CORP              EQUITY   313400301     54        821  SH      DEFINED    2                   821
FEDERAL NATIONAL MORTGAGE ASSO        EQUITY   313586109  38386    657,291  SH      SOLE       1     657,291
FEDERAL NATL MTG ASSN                 EQUITY   313586109   7730    132,359  SH      DEFINED    2               132,359
FEDERAL REALTY INVESTMENT TR.         EQUITY   313747206    295      4,996  SH      SOLE       1       4,996
FEDERAL REALTY INVT TR SH BEN         EQUITY   313747206              3680  SH      SOLE       3        3680              3680
FEDERAL SIGNAL CORP.                  EQUITY   313855108   1865    119,527  SH      SOLE       1     119,527
FEDERATED DEPT STORES INC             EQUITY   31410H101     15        202  SH      DEFINED    2                   202
FEDERATED DEPT STORES, INC.           EQUITY   31410H101  12961    102,342  SH      SOLE       1     102,342
FEDERATED INVESTORS                   EQUITY   314211103   2654     88,426  SH      SOLE       1      88,426
FEDERATED INVS INC PA                 EQUITY   314211103      4        122  SH      DEFINED    2                   122
FEDEX CORP                            EQUITY   31428X106     29        363  SH      DEFINED    2                   363
FEDEX CORPORATION                     EQUITY   31428X106  10573    130,513  SH      SOLE       1     130,513




                                                                                           
FEI COMPANY                            EQUITY   30241L109    376      16,499 SH       SOLE         1       16,499
FELCOR LODGING TRUST, INC.             EQUITY   31430F101    552      38,153 SH       SOLE         1       38,153
FERRO CORP.                            EQUITY   315405100   2056     103,547 SH       SOLE         1      103,547
FIDELITY BANKSHARES INC                EQUITY   31604Q107    411      15,496 SH       SOLE         1       15,496
FIDELITY NATIONAL FINANCIAL            EQUITY   316326107  11136     312,016 SH       SOLE         1      312,016
FIELDSTONE INVESTMENT CORP             EQUITY   31659U300   4509     313,096 SH       SOLE         1      313,096
FIFTH THIRD BANCORP                    EQUITY   316773100     26         631 SH       DEFINED      2                    631
FIFTH THIRD BANCORP                    EQUITY   316773100   9279     225,391 SH       SOLE         1      225,391
FILENET CORP.                          EQUITY   316869106    711      28,280 SH       SOLE         1       28,280
FINANCIAL FEDERAL CORP.                EQUITY   317492106    465      12,033 SH       SOLE         1       12,033
FINCANCIAL INSTITUTIONS INC            EQUITY   317585404    112       6,241 SH       SOLE         1        6,241
FINISAR CORPORATION                    EQUITY   31787A101    137     130,552 SH       SOLE         1      130,552
FINISH LINE INC                        EQUITY   317923100   4948     261,500 SH       DEFINED      2                261,500
FINISH LINE, INC.                      EQUITY   317923100    550      29,075 SH       SOLE         1       29,075
FIRST ACCEPTANCE CORP                  EQUITY   318457108    111      11,733 SH       SOLE         1       11,733
FIRST ADVANTAGE CORP-CL A              EQUITY   31845F100     56       2,372 SH       SOLE         1        2,372
FIRST AMERICAN CAP TRUST CLASS A       EQUITY   318522307   6233     155,284 SH       SOLE         1      155,284
FIRST BANCORP NORTH CAROLINA           EQUITY   318910106    174       7,864 SH       SOLE         1        7,864
FIRST BANCORP/PUERTO RICO              EQUITY   318672102    949      23,642 SH       SOLE         1       23,642
FIRST BUSEY CORP                       EQUITY   319383105    187       9,662 SH       SOLE         1        9,662
FIRST CASH FINL SVCS INC               EQUITY   31942D107    189       8,822 SH       SOLE         1        8,822
FIRST CHARTER CORP.                    EQUITY   319439105    461      20,990 SH       SOLE         1       20,990
FIRST CITIZENS BANCSHARES, INC CLASS   EQUITY   31946M103    602       4,166 SH       SOLE         1        4,166
FIRST CMNTY BANCORP CA                 EQUITY   31983B101    429       9,042 SH       SOLE         1        9,042
FIRST COMMONWEALTH FINANCIAL           EQUITY   319829107    662      48,300 SH       SOLE         1       48,300
FIRST COMMUNITY BANCSHARES INC         EQUITY   31983A103    226       6,961 SH       SOLE         1        6,961
FIRST DATA CORP                        EQUITY   319963104     38         936 SH       DEFINED      2                    936
FIRST DATA CORP.                       EQUITY   319963104  18270     455,154 SH       SOLE         1      455,154
FIRST DEFIANCE FINL CO                 EQUITY   32006W106    130       4,854 SH       SOLE         1        4,854
FIRST FINANCIAL BANCORP                EQUITY   320209109    460      24,343 SH       SOLE         1       24,343
FIRST FINANCIAL BANKSHARES             EQUITY   32020R109    430      12,707 SH       SOLE         1       12,707
FIRST FINANCIAL CORP.                  EQUITY   320218100    268       9,321 SH       SOLE         1        9,321
FIRST FINANCIAL HOLDINGS, INC.         EQUITY   320239106    255       8,533 SH       SOLE         1        8,533
FIRST HORIZON NATIONAL CORP            EQUITY   320517105   2408      57,072 SH       SOLE         1       57,072
FIRST HORIZON NATL CORP                EQUITY   320517105      6         150 SH       DEFINED      2                    150
FIRST HORIZON PHARMACEUTICAL           EQUITY   32051K106    363      19,079 SH       SOLE         1       19,079
FIRST INDIANA CORP.                    EQUITY   32054R108    219       7,386 SH       SOLE         1        7,386
FIRST INDUSTRIAL REALITY TRUST         EQUITY   32054K103   1305      32,707 SH       SOLE         1       32,707
FIRST MARBLEHEAD CORP/THE              EQUITY   320771108     20         562 SH       SOLE         1          562
FIRST MERCHANTS CORP.                  EQUITY   320817109    318      12,779 SH       SOLE         1       12,779
FIRST MIDWEST BANCORP, INC.            EQUITY   320867104   1107      31,568 SH       SOLE         1       31,568
FIRST NIAGARA FINANCIAL GRP            EQUITY   33582V108   1165      79,870 SH       SOLE         1       79,870
FIRST OAK BROOK BANCSH                 EQUITY   335847208    129       4,575 SH       SOLE         1        4,575
FIRST PLACE FINANCIAL CORP             EQUITY   33610T109    208      10,351 SH       SOLE         1       10,351
FIRST POTOMAC REALTY TRUST             EQUITY   33610F109    282      11,366 SH       SOLE         1       11,366
FIRST REGIONAL BANCORP/CAL             EQUITY   33615C101    111       1,673 SH       SOLE         1        1,673
FIRST REPUBLIC BANK                    EQUITY   336158100    528      14,954 SH       SOLE         1       14,954
FIRST SOUTH BANCORP IN                 EQUITY   33646W100    106       3,351 SH       SOLE         1        3,351
FIRST ST BANCORPORATIO                 EQUITY   336453105    205      10,604 SH       SOLE         1       10,604
FIRSTENERGY CORP                       EQUITY   337932107     19         405 SH       DEFINED      2                    405
FIRSTENERGY CORP.                      EQUITY   337932107   6855     142,485 SH       SOLE         1      142,485
FIRSTFED FINANCIAL CORP.               EQUITY   337907109    681      11,421 SH       SOLE         1       11,421




                                                                                            
FIRSTMERIT CORP.                       EQUITY   337915102   4233     162,125 SH       SOLE         1      162,125
FISERV INC                             EQUITY   337738108     10         232 SH       DEFINED      2                    232
FISERV, INC.                           EQUITY   337738108   5486     127,899 SH       SOLE         1      127,899
FISHER COMMUNICATIONS INC              EQUITY   337756209    216       4,568 SH       SOLE         1        4,568
FISHER SCIENTIFIC INTL COM NEW         EQUITY   338032204      3       53804 SH       SOLE         3        53804            1704
FISHER SCIENTIFIC INTL INC             EQUITY   338032204   1281      19,743 SH       DEFINED      2                 19,743
FISHER SCIENTIFIC INT'L., INC.         EQUITY   338032204   5911      91,085 SH       SOLE         1       91,085
FLAGSTAR BANCORP, INC.                 EQUITY   337930101   7822     413,229 SH       SOLE         1      413,229
FLANDERS CORP COM                      EQUITY   338494107      1      126700 SH       SOLE         3       126700
FLANDERS CORPORATION                   EQUITY   338494107     82       9,068 SH       SOLE         1        9,068
FLEETWOOD ENTERPRISES, INC.            EQUITY   339099103    390      38,385 SH       SOLE         1       38,385
FLEXTRONICS INTERNATIONAL LTD          EQUITY   Y2573F102    540      40,850 SH       SOLE         1           41
FLIR SYSTEMS INC (USD)                 EQUITY   302445101     43       1,438 SH       SOLE         1        1,438
FLORIDA EAST COAST INDUSTRIES          EQUITY   340632108    969      22,380 SH       SOLE         1       22,380
FLORIDA ROCK INDUSTRIES, INC.          EQUITY   341140101     46         633 SH       SOLE         1          633
FLOWERS FOODS INC                      EQUITY   343498101    816      23,087 SH       SOLE         1       23,087
FLOWSERVE CORP.                        EQUITY   34354P105   4133     136,584 SH       SOLE         1      136,584
FLUOR CORP                             EQUITY   343412102  15647     271,691 SH       SOLE         1      271,691
FLUOR CORP NEW                         EQUITY   343412102      6         105 SH       DEFINED      2                    105
FLUSHING FINANCIAL CORP                EQUITY   343873105    244      13,278 SH       SOLE         1       13,278
FMC CORP.                              EQUITY   302491303   3803      67,743 SH       SOLE         1       67,743
FMC TECHNOLOGIES INC                   EQUITY   30249U101   3978     124,435 SH       SOLE         1      124,435
FNB CORP.                              EQUITY   302520101    764      38,858 SH       SOLE         1       38,858
FOOT LOCKER INC                        EQUITY   344849104   7692     282,586 SH       SOLE         1      282,586
FORD MOTOR CO.                         EQUITY   345370860   8144     795,323 SH       SOLE         1      795,323
FORD MOTOR COMPANY                     CorpBond 345395206   2884      71,500 SH       SOLE         1           72
FOREST CITY ENTERPRISES, INC. CLASS A  EQUITY   345550107     41         584 SH       SOLE         1          584
FOREST LABORATORIES, INC.              EQUITY   345838106  50835   1,308,502 SH       SOLE         1    1,308,502
FOREST LABS INC                        EQUITY   345838106     16         415 SH       DEFINED      2                    415
FOREST OIL CORP                        EQUITY   346091705   4273     101,733 SH       SOLE         1      101,733
FORMFACTOR INC                         EQUITY   346375108    617      23,368 SH       SOLE         1       23,368
FORRESTER RESEARCH, INC.               EQUITY   346563109    160       8,948 SH       SOLE         1        8,948
FORTUNE BRANDS INC                     EQUITY   349631101   3408      38,374 SH       DEFINED      2                 38,374
FORTUNE BRANDS, INC.                   EQUITY   349631101   6315      71,120 SH       SOLE         1       71,120
FORWARD AIR CORP                       EQUITY   349853101    631      22,325 SH       SOLE         1       22,325
FOSSIL, INC.                           EQUITY   349882100    759      33,437 SH       SOLE         1       33,437
FOUNDATION COAL HOLDINGS INC           EQUITY   35039W100    425      16,401 SH       SOLE         1       16,401
FOUNDRY NETWORKS INC                   EQUITY   35063R100    729      84,539 SH       SOLE         1       84,539
FOXHOLLOW TECHNOLOGIES INC             EQUITY   35166A103    367       9,592 SH       SOLE         1        9,592
FPIC INS GROUP INC                     EQUITY   302563101    206       7,020 SH       SOLE         1        7,020
FPL GROUP INC                          EQUITY   302571104   6821     162,176 SH       DEFINED      2                162,176
FPL GROUP, INC.                        EQUITY   302571104   7125     169,396 SH       SOLE         1      169,396
FRANKLIN BANK CORP                     EQUITY   352451108   4448     237,100 SH       DEFINED      2                237,100
FRANKLIN BANK CORP/HOUSTON             EQUITY   352451108    262      13,957 SH       SOLE         1       13,957
FRANKLIN ELECTRIC CO., INC.            EQUITY   353514102    593      15,349 SH       SOLE         1       15,349
FRANKLIN RES INC                       EQUITY   354613101     19         242 SH       DEFINED      2                    242
FRANKLIN RESOURCES, INC.               EQUITY   354613101   6560      85,222 SH       SOLE         1       85,222
FREDDIE MAC                            EQUITY   313400301  87213   1,632,071 SH       SOLE         1      514,690
FRED'S INC.                            EQUITY   356108100    456      27,502 SH       SOLE         1       27,502
FREEPORT MCMORAN COPPER +              EQUITY   35671D857      8         223 SH       DEFINED      2                    223
FREEPORT-MCMORAN COPPER & GOLD CLASS   EQUITY   35671D857   6714     179,322 SH       SOLE         1      179,322
FREESCALE SEMICONDUCTOR IN             EQUITY   35687M206     10         483 SH       DEFINED      2                    483





                                                                                           
FREESCALE SEMICONDUCTOR-B              EQUITY   35687M206   3907     184,453 SH       SOLE         1      184,453
FREIGHTCAR AMERICA INC                 EQUITY   357023100    115       5,783 SH       SOLE         1        5,783
FREMONT GENERAL CORP.                  EQUITY   357288109   1091      44,844 SH       SOLE         1       44,844
FRIEDMAN BILLINGS RAMSEY-A             EQUITY   358434108  18598   1,300,560 SH       SOLE         1    1,300,560
FRONTIER AIRLINES, INC.                EQUITY   359065109    254      24,627 SH       SOLE         1       24,627
FRONTIER FINANCIAL CORP.               EQUITY   35907K105    430      17,013 SH       SOLE         1       17,013
FRONTIER OIL CORP.                     EQUITY   35914P105   1111      37,856 SH       SOLE         1       37,856
FROZEN FOOD EXPRESS INDS               EQUITY   359360104    117      10,353 SH       SOLE         1       10,353
FTD GROUP INC                          EQUITY   30267U108    104       9,196 SH       SOLE         1        9,196
FTI CONSULTING INC                     EQUITY   302941109    623      29,793 SH       SOLE         1       29,793
FUELCELL ENERGY INC                    EQUITY   35952H106    340      33,287 SH       SOLE         1       33,287
FULTON FIN CORP                        EQUITY   360271100     79       4,369 SH       SOLE         1        4,369
FURNITURE BRANDS INTERNATIONAL         EQUITY   360921100   2774     128,367 SH       SOLE         1      128,367
FX ENERGY INC                          EQUITY   302695101    264      23,935 SH       SOLE         1       23,935
G & K SERVICES, INC. CLASS A           EQUITY   361268105    505      13,387 SH       SOLE         1       13,387
GABELLI ASSET MANAGEMENT, INC.         EQUITY   36239Y102    218       4,931 SH       SOLE         1        4,931
GABLES RESIDENTIAL TRUST               EQUITY   362418105   5196     120,192 SH       SOLE         1      120,192
GALLAGHER, ARTHUR J & CO               EQUITY   363576109  29098   1,072,525 SH       SOLE         1    1,072,525
GAMESTOP CORP-CL B                     EQUITY   36466R200    937      31,325 SH       SOLE         1       31,325
GANNETT CO., INC.                      EQUITY   364730101   7646     107,494 SH       SOLE         1      107,494
GANNETT INC                            EQUITY   364730101     22         304 SH       DEFINED      2                    304
GAP INC                                EQUITY   364760108     59       2,996 SH       DEFINED      2                  2,996
GAP, INC.                              EQUITY   364760108   6537     330,971 SH       SOLE         1      330,971
GARDNER DENVER, INC.                   EQUITY   365558105    608      17,343 SH       SOLE         1       17,343
GARMIN LTD                             EQUITY   G37260109    286       6,700 SH       SOLE         1        6,700
GARTNER INC. CLASS A                   EQUITY   366651107   2040     192,083 SH       SOLE         1      192,083
GASCO ENERGY INC                       EQUITY   367220100    164      44,355 SH       SOLE         1       44,355
GATEWAY INC                            EQUITY   367626108      1         365 SH       DEFINED      2                    365
GATEWAY, INC.                          EQUITY   367626108   1010     306,024 SH       SOLE         1      306,024
GATX CORP.                             EQUITY   361448103   4112     119,195 SH       SOLE         1      119,195
GAYLORD ENTERTAINMENT CO.              EQUITY   367905106   1289      27,726 SH       SOLE         1       27,726
GB&T BANCSHARES INC                    EQUITY   361462104    208       8,757 SH       SOLE         1        8,757
GCI, INC.                              EQUITY   369385109    378      38,291 SH       SOLE         1       38,291
GEHL COMPANY                           EQUITY   368483103    182       4,671 SH       SOLE         1        4,671
GEMSTAR-TV GUIDE INTERNATIONAL         EQUITY   36866W106    611     170,104 SH       SOLE         1      170,104
GEN PROBE INC NEW                      EQUITY   36866T103    362      10,000 SH       DEFINED      2                 10,000
GENCORP, INC.                          EQUITY   368682100    725      37,618 SH       SOLE         1       37,618
GENENTECH INC                          EQUITY   368710406  12221     152,210 SH       DEFINED      2                152,210
GENENTECH, INC.                        EQUITY   368710406   2891      36,014 SH       SOLE         1       36,014
GENERAL BINDING CORP                   EQUITY   369154109     94       4,300 SH       SOLE         1        4,300
GENERAL CABLE CORP.                    EQUITY   369300108    405      27,315 SH       SOLE         1       27,315
General Dynamics                       EQUITY   369550108   2739      25,000 SH       SOLE         4       25,000
GENERAL DYNAMICS CORP                  EQUITY   369550108  12568     114,738 SH       DEFINED      2                114,738
GENERAL DYNAMICS CORP.                 EQUITY   369550108   9737      88,892 SH       SOLE         1       88,892
General Elec Co                        EQUITY   369604103   1906      55,000 SH       SOLE         4       55,000
GENERAL ELEC CO                        EQUITY   369604103  34942   1,008,410 SH       DEFINED      2              1,008,410
GENERAL ELECTRIC CO.                   EQUITY   369604103 317507   9,163,263 SH       SOLE         1    9,163,263
GENERAL GROWTH PPTYS COM               EQUITY   370021107      1       15769 SH       SOLE         3        15769           15769
GENERAL GROWTH PROPE                   EQUITY   370021107    885      21,537 SH       SOLE         1       21,537
GENERAL MILLS, INC.                    EQUITY   370334104  31381     670,675 SH       SOLE         1      670,675
GENERAL MLS INC                        EQUITY   370334104     21         445 SH       DEFINED      2                    445
GENERAL MOTORS                         CorpBond 370442733   2973     159,000 SH       SOLE         1          159





                                                                                            
GENERAL MOTORS CORP.                   EQUITY   370442105   8796     258,702 SH       SOLE         1      258,702
GENERAL MTRS CORP                      EQUITY   370442105  10016     294,588 SH       DEFINED      2                294,588
GENESCO, INC.                          EQUITY   371532102    578      15,593 SH       SOLE         1       15,593
GENESEE & WYO INC                      EQUITY   371559105    437      16,077 SH       SOLE         1       16,077
GENESIS HEALTHCARE CORP                EQUITY   37184D101    634      13,692 SH       SOLE         1       13,692
GENESIS MICROCHIP INC                  EQUITY   37184C103    426      23,097 SH       SOLE         1       23,097
GENITOPE CORP                          EQUITY   37229P507    211      16,468 SH       SOLE         1       16,468
GEN-PROBE INC                          EQUITY   36866T103   3295      90,948 SH       SOLE         1       90,948
GENTEX CORP.                           EQUITY   371901109   5111     280,834 SH       SOLE         1      280,834
GENTIVA HEALTH SERVICES                EQUITY   37247A102    288      16,124 SH       SOLE         1       16,124
GENUINE PARTS CO                       EQUITY   372460105  11006     267,863 SH       DEFINED      2                267,863
GENUINE PARTS CO.                      EQUITY   372460105   3297      80,239 SH       SOLE         1       80,239
GENWORTH FINANCIAL INC-CL A            EQUITY   37247D106    178       5,884 SH       SOLE         1        5,884
GENZYME CORP                           EQUITY   372917104   9582     159,457 SH       SOLE         1      159,457
GENZYME CORP                           EQUITY   372917104  16351     272,103 SH       DEFINED      2                272,103
GENZYME CORP COM                       EQUITY   372917104      1       21537 SH       SOLE         3        21537            1086
GEO GROUP INC                          EQUITY   36159R103    165       6,597 SH       SOLE         1        6,597
GEORGIA GULF CORP.                     EQUITY   373200203    732      23,563 SH       SOLE         1       23,563
GEORGIA PAC CORP                       EQUITY   373298108     10         313 SH       DEFINED      2                    313
GEORGIA-PACIFIC CORP.                  EQUITY   373298108   3805     119,656 SH       SOLE         1      119,656
GERON CORP                             EQUITY   374163103    296      38,295 SH       SOLE         1       38,295
GETTY IMAGES INC COM                   EQUITY   374276103      3       36954 SH       SOLE         3        36954            1597
GETTY IMAGES, INC.                     EQUITY   374276103     77       1,041 SH       SOLE         1        1,041
GETTY REALTY CORP.                     EQUITY   374297109    535      19,314 SH       SOLE         1       19,314
GEVITY HR INC                          EQUITY   374393106    383      19,109 SH       SOLE         1       19,109
GFI GROUP INC                          EQUITY   361652209    144       4,048 SH       SOLE         1        4,048
GFI GROUP INC COM                      EQUITY   361652209      4      103000 SH       SOLE         3       103000
GIANT INDUSTRIES INC                   EQUITY   374508109    333       9,250 SH       SOLE         1        9,250
GIBRALTAR INDUSTRIES INC               EQUITY   374689107    307      16,640 SH       SOLE         1       16,640
GILEAD SCIENCES INC                    EQUITY   375558103  12618     286,843 SH       DEFINED      2                286,843
GILEAD SCIENCES, INC.                  EQUITY   375558103  63208   1,436,869 SH       SOLE         1    1,436,869
GILLETTE CO                            EQUITY   375766102     61       1,200 SH       DEFINED      2                  1,200
GILLETTE CO.                           EQUITY   375766102  31394     620,059 SH       SOLE         1      620,059
GLACIER BANCORP, INC.                  EQUITY   37637Q105    564      21,570 SH       SOLE         1       21,570
GLADSTONE CAPITAL CORP                 EQUITY   376535100    183       7,805 SH       SOLE         1        7,805
GLATFELTER, P.H. CO.                   EQUITY   377316104   1203      96,979 SH       SOLE         1       96,979
GLENAYRE TECHNOLOGIES INC              EQUITY   377899109    174      46,232 SH       SOLE         1       46,232
GLENBOROUGH REALITY TRUST, INC         EQUITY   37803P105    508      24,672 SH       SOLE         1       24,672
GLIMCHER REALITY TRUST                 EQUITY   379302102   1228      44,248 SH       SOLE         1       44,248
GLOBAL IMAGING SYSTEMS, INC.           EQUITY   37934A100    517      16,213 SH       SOLE         1       16,213
GLOBAL INDUSTRIES INC                  EQUITY   379336100   3631     427,200 SH       DEFINED      2                427,200
GLOBAL INDUSTRIES LT                   EQUITY   379336100    486      57,199 SH       SOLE         1       57,199
GLOBAL PAYMENTS INC.                   EQUITY   37940X102     39         582 SH       SOLE         1          582
GLOBAL POWER EQUIPME                   EQUITY   37941P108    196      24,697 SH       SOLE         1       24,697
GLOBAL SANTAFE CORP                    EQUITY   G3930E101     32         700 SH       DEFINED      2                    700
GLOBAL SIGNAL INC                      EQUITY   37944Q103     12         311 SH       SOLE         1          311
GLOBETEL COMMUNICATIONS CORP           EQUITY   37958F209    123      44,075 SH       SOLE         1       44,075
GMH COMMUNITIES TRUST                  EQUITY   36188G102    320      23,133 SH       SOLE         1       23,133
GOL LINHAS AREAS INTEL ADR             EQUITY   38045R107   2155      71,700 SH       SOLE         1       71,700
GOLD BANK CORP., INC.                  EQUITY   379907108    394      27,053 SH       SOLE         1       27,053
GOLD KIST INC                          EQUITY   380614107    768      35,578 SH       SOLE         1       35,578
GOLDCORP INC.                          EQUITY   380956409   5785     363,775 SH       Defined      1            0   363,775





                                                                                            
GOLDEN TELECOM INC                     EQUITY   38122G107   1014      33,036 SH       SOLE         1       33,036
GOLDEN WEST FINANCIAL CORP.            EQUITY   381317106   7865     122,168 SH       SOLE         1      122,168
GOLDEN WEST FINL CORP DEL              EQUITY   381317106   8580      84,230 SH       DEFINED      2                 84,230
GOLDMAN SACHS GROUP INC                EQUITY   38141G104  33892     332,209 SH       SOLE         1      332,209
GOODRICH CORP                          EQUITY   382388106   6150     150,145 SH       DEFINED      2                150,145
GOODRICH CORP.                         EQUITY   382388106   2235      54,575 SH       SOLE         1       54,575
GOODRICH PETROLEUM CORP                EQUITY   382410405    146       7,070 SH       SOLE         1        7,070
GOODYEAR TIRE & RUBBER CO.             EQUITY   382550101   2342     157,185 SH       SOLE         1      157,185
GOODYEAR TIRE AND RUBBER               EQUITY   382550101      3         219 SH       DEFINED      2                    219
GOODYS FAMILY CLOTHING                 EQUITY   382588101     96      12,969 SH       SOLE         1       12,969
GORMAN RUPP CO COM                     EQUITY   383082104    135       6,324 SH       SOLE         1        6,324
GOVERNMENT PROPERTIES TRUST            EQUITY   38374W107    139      14,300 SH       SOLE         1       14,300
GPO TELEVISA SA ADR-REPR 20            EQUITY   40049J206   3389      54,580 SH       SOLE         1       54,580
GRACE, W.R. & CO.                      EQUITY   38388F108    360      46,218 SH       SOLE         1       46,218
GRACO, INC.                            EQUITY   384109104   4243     124,535 SH       SOLE         1      124,535
GRAFTECH INTERNATIONAL LTD             EQUITY   384313102    290      67,422 SH       SOLE         1       67,422
GRAINGER W W INC                       EQUITY   384802104      6         102 SH       DEFINED      2                    102
GRAMERCY CAPITAL CORP                  EQUITY   384871109    231       9,458 SH       SOLE         1        9,458
GRANITE CONSTRUCTION, INC.             EQUITY   387328107   2530      90,018 SH       SOLE         1       90,018
GRANT PRIDECO INC                      EQUITY   38821G101    238       8,785 SH       DEFINED      2                  8,785
GRANT PRIDECO INC                      EQUITY   38821G101   5927     224,082 SH       SOLE         1      224,082
GRAPHIC PACKAGING CORP                 EQUITY   388688103    164      44,999 SH       SOLE         1       44,999
GRAY TELEVISION INC                    EQUITY   389375106    360      29,871 SH       SOLE         1       29,871
GREAT AMERICAN FINANCIAL RES           EQUITY   389915109    116       5,846 SH       SOLE         1        5,846
GREAT ATLANTIC & PACIFIC TEA           EQUITY   390064103    351      12,072 SH       SOLE         1       12,072
GREAT LAKES CHEM CORP.                 EQUITY   390568103   1838      58,403 SH       SOLE         1       58,403
GREAT LAKES CHEMICAL CORP              EQUITY   390568103      2          68 SH       DEFINED      2                     68
GREAT PLAINS ENERGY INC                EQUITY   391164100   5523     173,174 SH       SOLE         1      173,174
GREAT SOUTHERN BANCORP, INC.           EQUITY   390905107    225       7,191 SH       SOLE         1        7,191
GREAT WOLF RESORTS INC                 EQUITY   391523107    360      17,602 SH       SOLE         1       17,602
GREATER BAY BANCORP                    EQUITY   391648102   3327     126,346 SH       SOLE         1      126,346
GREEN MOUNTAIN COFFEE ROASTE           EQUITY   393122106    104       3,050 SH       SOLE         1        3,050
GREENBRIER COMPANIES INC               EQUITY   393657101    116       4,293 SH       SOLE         1        4,293
GREENE COUNTY BANCSHARES INC           EQUITY   394361208    123       4,503 SH       SOLE         1        4,503
GREENFIELD ONLINE                      EQUITY   395150105    138      11,386 SH       SOLE         1       11,386
GREENHILL & CO INC                     EQUITY   395259104    335       8,266 SH       SOLE         1        8,266
GREENHILL & CO INC COM                 EQUITY   395259104      4       96948 SH       SOLE         3        96948            1491
GREIF INC CL A                         EQUITY   397624107    651      10,652 SH       SOLE         1       10,652
GREY WOLF, INC.                        EQUITY   397888108    977     131,846 SH       SOLE         1      131,846
GRIFFON CORP.                          EQUITY   398433102    447      20,133 SH       SOLE         1       20,133
GROUP 1 AUTOMOTIVE, INC.               EQUITY   398905109    348      14,481 SH       SOLE         1       14,481
GRUPO AEROPORTUARIO SUR ADR            EQUITY   40051E202   2437      76,500 SH       SOLE         1       76,500
GSI COMMERCE INC                       EQUITY   36238G102    358      21,363 SH       SOLE         1       21,363
GTECH HOLDINGS CORP.                   EQUITY   400518106   6049     206,883 SH       SOLE         1      206,883
GTX INC                                EQUITY   40052B108     52       5,248 SH       SOLE         1        5,248
GUESS? INC                             EQUITY   401617105    184      11,117 SH       SOLE         1       11,117
GUIDANT CORP                           EQUITY   401698105     26         391 SH       DEFINED      2                    391
GUIDANT CORP.                          EQUITY   401698105  11667     173,359 SH       SOLE         1      173,359
GUITAR CENTER, INC.                    EQUITY   402040109   1043      17,868 SH       SOLE         1       17,868
GULF ISLAND FABRICATION, INC.          EQUITY   402307102    128       6,444 SH       SOLE         1        6,444
GULFMARK OFFSHORE, INC.                EQUITY   402629109    280      10,242 SH       SOLE         1       10,242
GYMBOREE CORP                          EQUITY   403777105   4341     317,800 SH       DEFINED      2                317,800





                                                                                            
GYMBOREE CORP.                         EQUITY   403777105    294      21,540 SH       SOLE         1       21,540
H J HEINZ CO.                          EQUITY   423074103   5629     158,927 SH       SOLE         1      158,927
H.B. FULLER CO.                        EQUITY   359694106    678      19,894 SH       SOLE         1       19,894
HAEMONETICS CORP.                      EQUITY   405024100    727      17,882 SH       SOLE         1       17,882
HAIN CELESTIAL GROUP INC               EQUITY   405217100    393      20,177 SH       SOLE         1       20,177
HALLIBURTON CO                         EQUITY   406216101    137       2,860 SH       DEFINED      2                  2,860
HALLIBURTON CO.                        EQUITY   406216101  23751     496,677 SH       SOLE         1      496,677
HANCOCK HOLDING CO.                    EQUITY   410120109    636      18,483 SH       SOLE         1       18,483
HANDLEMAN CO.                          EQUITY   410252100    249      15,070 SH       SOLE         1       15,070
HANMI FINL CORP                        EQUITY   410495105    460      27,565 SH       SOLE         1       27,565
HANOVER COMPRESSOR COMPANY             EQUITY   410768105   2226     193,412 SH       SOLE         1      193,412
HANSEN NATURAL CORP                    EQUITY   411310105    437       5,154 SH       SOLE         1        5,154
HARBOR FLORIDA BANCSHARES              EQUITY   411901101    538      14,373 SH       SOLE         1       14,373
HARLAND, JOHN H. CO.                   EQUITY   412693103    721      18,973 SH       SOLE         1       18,973
HARLEY DAVIDSON INC                    EQUITY   412822108     17         344 SH       DEFINED      2                    344
HARLEY-DAVIDSON FUNDING                EQUITY   412822108   6307     127,164 SH       SOLE         1      127,164
HARLEYSVILLE GROUP, INC.               EQUITY   412824104    191       9,153 SH       SOLE         1        9,153
HARLEYSVILLE NATIONAL CORP.            EQUITY   412850109    420      18,130 SH       SOLE         1       18,130
HARMAN INT'L INDUSTRIES, INC.          EQUITY   413086109   9367     115,129 SH       SOLE         1      115,129
HARMONIC INC.                          EQUITY   413160102    244      50,497 SH       SOLE         1       50,497
HARRAH'S ENTERTAINMENT, INC.           EQUITY   413619107  19156     265,791 SH       SOLE         1      265,791
HARRAHS ENTMT INC                      EQUITY   413619107   9039     125,418 SH       DEFINED      2                125,418
HARRAHS ENTMT INC COM                  EQUITY   413619107      2       24180 SH       SOLE         3        24180             745
HARRIS & HARRIS GROUP INC              EQUITY   413833104    142      11,916 SH       SOLE         1       11,916
HARRIS CORP DEL COM                    EQUITY   413875105      1       45997 SH       SOLE         3        45997            1481
HARRIS CORP.                           EQUITY   413875105   7507     240,516 SH       SOLE         1      240,516
HARRIS INTERACTIVE INC                 EQUITY   414549105    172      35,354 SH       SOLE         1       35,354
HARSCO CORP.                           EQUITY   415864107   4086      74,896 SH       SOLE         1       74,896
HART MARX                              EQUITY   417119104    179      17,819 SH       SOLE         1       17,819
HARTE-HANKS COMMUNICATIONS             EQUITY   416196103   3790     127,491 SH       SOLE         1      127,491
HARTFORD FINANCIAL SVCS GR             EQUITY   416515104     26         353 SH       DEFINED      2                    353
HARTFORD FINANCIAL SVCS GROUP          EQUITY   416515104  47344     633,117 SH       SOLE         1      633,117
HARVEST NATURAL RESOUR                 EQUITY   41754V103    284      26,001 SH       SOLE         1       26,001
HASBRO INC                             EQUITY   418056107      4         201 SH       DEFINED      2                    201
HASBRO, INC.                           EQUITY   418056107   1596      76,764 SH       SOLE         1       76,764
HAVERTY FURNITURE COMPANIES            EQUITY   419596101    199      13,445 SH       SOLE         1       13,445
HAWAIIAN ELECTRIC INDUSTRIES,          EQUITY   419870100   4950     184,632 SH       SOLE         1      184,632
HAYES LEMMERZ INTERNATIONAL            EQUITY   420781304    186      26,158 SH       SOLE         1       26,158
HCA INC                                EQUITY   404119109    709      12,504 SH       DEFINED      2                 12,504
HCA INC.                               EQUITY   404119109  10215     180,252 SH       SOLE         1      180,252
HCC INSURANCE HOLDINGS, INC.           EQUITY   404132102   4768     125,897 SH       SOLE         1      125,897
HEADWATERS INC                         EQUITY   42210P102    982      28,570 SH       SOLE         1       28,570
HEALTH CARE PPTY INVS COM              EQUITY   421915109               9400 SH       SOLE         3         9400            9400
HEALTH CARE PPTYS INVEST INC           EQUITY   421915109    355      13,135 SH       SOLE         1       13,135
Health Care Prop Investors             EQUITY   421915109   2434      90,000 SH       SOLE         4       90,000
HEALTH CARE REIT, INC.                 EQUITY   42217K106    196       5,197 SH       SOLE         1        5,197
HEALTH MANAGEMENT ASSOC.               EQUITY   421933102   2925     111,737 SH       SOLE         1      111,737
HEALTH MGMT ASSOC                      EQUITY   421933102      8         297 SH       DEFINED      2                    297
HEALTH NET INC.                        EQUITY   42222G108   7737     202,745 SH       SOLE         1      202,745
Healthcare Realty Trust                EQUITY   421946104   2510      65,000 SH       SOLE         4       65,000
HEALTHCARE REALTY TRUST, INC.          EQUITY   421946104    182       4,706 SH       SOLE         1        4,706
HEALTHCARE SVCS GRP IN                 EQUITY   421906108    369      18,378 SH       SOLE         1       18,378





                                                                                            
HEALTHEXTRAS INC                       EQUITY   422211102    658      32,793 SH       SOLE         1       32,793
HEALTHEXTRAS INC COM                   EQUITY   422211102      4      208800 SH       SOLE         3       208800
HEALTHTRONICS SURGICAL                 EQUITY   42222L107    304      23,375 SH       SOLE         1       23,375
HEARST-ARGYLE TELEVI                   EQUITY   422317107     15         619 SH       SOLE         1          619
HEARTLAND EXPRESS, INC.                EQUITY   422347104    610      31,397 SH       SOLE         1       31,397
HEARTLAND FINANCIAL USA INC            EQUITY   42234Q102    143       7,325 SH       SOLE         1        7,325
HECLA MNG CO                           EQUITY   422704106    373      81,790 SH       SOLE         1       81,790
HEICO CORP.                            EQUITY   422806109    348      14,875 SH       SOLE         1       14,875
HEIDRICK & STRUGGLES INT'L             EQUITY   422819102    351      13,476 SH       SOLE         1       13,476
HEINZ H J CO                           EQUITY   423074103     15         427 SH       DEFINED      2                    427
HELIX TECHNOLOGY CORP.                 EQUITY   423319102    240      18,042 SH       SOLE         1       18,042
HELMERICH & PAYNE, INC.                EQUITY   423452101   4325      92,185 SH       SOLE         1       92,185
HENRY JACK & ASSOCIATES                EQUITY   426281101   3567     194,819 SH       SOLE         1      194,819
HENRY SCHEIN INC                       EQUITY   806407102   6481     156,099 SH       SOLE         1      156,099
HERCULES INC                           EQUITY   427056106      2         137 SH       DEFINED      2                    137
HERCULES, INC.                         EQUITY   427056106   1872     132,294 SH       SOLE         1      132,294
HERITAGE COMMERCE CORP                 EQUITY   426927109    150       8,197 SH       SOLE         1        8,197
HERITAGE PROPERTY INVESTMENT           EQUITY   42725M107    724      20,682 SH       SOLE         1       20,682
HERLEY INDS INC DEL                    EQUITY   427398102    163       8,927 SH       SOLE         1        8,927
HERMAN MILLER, INC.                    EQUITY   600544100   3903     126,559 SH       SOLE         1      126,559
HERSHA HOSPITALITY TRUST               EQUITY   427825104    134      14,018 SH       SOLE         1       14,018
HERSHEY CO / THE                       EQUITY   427866108   1600      25,770 SH       DEFINED      2                 25,770
HEWITT ASSOCIATES INC-CL A             EQUITY   42822Q100     22         821 SH       SOLE         1          821
HEWLETT PACKARD CO                     EQUITY   428236103    116       4,948 SH       DEFINED      2                  4,948
HEWLETT PACKARD CO.                    EQUITY   428236103  39180   1,666,505 SH       SOLE         1    1,666,505
HEXCEL CORP.                           EQUITY   428291108    548      32,364 SH       SOLE         1       32,364
HIBBETT SPORTING GOODS, INC.           EQUITY   428565105    592      15,645 SH       SOLE         1       15,645
HIBERNIA CORP                          EQUITY   428656102  11878     358,000 SH       DEFINED      2                358,000
HIBERNIA CORP. CLASS A                 EQUITY   428656102  11234     338,563 SH       SOLE         1      338,563
HIGHLAND HOSPITALITY CORP              EQUITY   430141101    319      30,506 SH       SOLE         1       30,506
HIGHWOODS PROPERTIES, INC.             EQUITY   431284108   4047     136,004 SH       SOLE         1      136,004
HILB, ROGAL & HAMILTON CO.             EQUITY   431294107    762      22,146 SH       SOLE         1       22,146
HILLENBRAND INDUSTRIES, INC.           EQUITY   431573104   5338     105,590 SH       SOLE         1      105,590
HILTON HOTELS CORP                     EQUITY   432848109   4105     172,138 SH       SOLE         1      172,138
HILTON HOTELS CORP                     EQUITY   432848109  10829     454,059 SH       DEFINED      2                454,059
HI-TECH PHARMACAL CO INC               EQUITY   42840B101    113       3,548 SH       SOLE         1        3,548
HNI CORP                               EQUITY   404251100   4769      93,241 SH       SOLE         1       93,241
HOLLINGER INTERNATIONAL, INC.          EQUITY   435569108    408      40,779 SH       SOLE         1       40,779
HOLLY CORP.                            EQUITY   435758305    706      15,123 SH       SOLE         1       15,123
HOLLYWOOD PARK, INC.                   EQUITY   723456109    547      27,985 SH       SOLE         1       27,985
HOLOGIC INC                            EQUITY   436440101    598      15,051 SH       SOLE         1       15,051
HOLOGIC INC COM                        EQUITY   436440101      5      123473 SH       SOLE         3       123473            1597
HOME DEPOT INC                         EQUITY   437076102  18536     476,486 SH       DEFINED      2                476,486
HOME DEPOT, INC.                       EQUITY   437076102  47501   1,221,112 SH       SOLE         1    1,221,112
HOME PROPERTIES INC.                   EQUITY   437306103   1033      24,023 SH       SOLE         1       24,023
HOMEBANC CORP/GA                       EQUITY   43738R109    354      38,979 SH       SOLE         1       38,979
HOMESTORE.COM                          EQUITY   437852106    207     101,730 SH       SOLE         1      101,730
HONEYWELL INTERNATIONAL INC.           EQUITY   438516106  13502     368,606 SH       SOLE         1      368,606
HONEYWELL INTL INC                     EQUITY   438516106     38       1,026 SH       DEFINED      2                  1,026
HOOKER FURNITURE CORP                  EQUITY   439038100    126       7,224 SH       SOLE         1        7,224
HOOPER HOLMES, INC.                    EQUITY   439104100    187      45,075 SH       SOLE         1       45,075
HORACE MANN EDUCATORS CORP.            EQUITY   440327104   1994     105,925 SH       SOLE         1      105,925





                                                                                           
HORIZON FINANCIAL CORP                 EQUITY   44041F105    155       6,991 SH       SOLE         1        6,991
HORIZON HEALTH CORP                    EQUITY   44041Y104    170       7,272 SH       SOLE         1        7,272
HORMEL FOODS CORP.                     EQUITY   440452100   5546     189,075 SH       SOLE         1      189,075
HORNBECK OFFSHORE SERVICES             EQUITY   440543106    268       9,891 SH       SOLE         1        9,891
HORNBECK OFFSHORE SVCS COM             EQUITY   440543106      4      158100 SH       SOLE         3       158100
HORNBECK OFFSHORE SVCS INC             EQUITY   440543106   3438     126,900 SH       DEFINED      2                126,900
HOSPIRA INC                            EQUITY   441060100     17         423 SH       DEFINED      2                    423
Hospira Inc                            EQUITY   441060100     98       2,500 SH       SOLE         4        2,500
HOSPIRA INC                            EQUITY   441060100   2843      72,899 SH       SOLE         1       72,899
HOSPITALITY PPTYS TR COM SH BE         EQUITY   44106M102               4810 SH       SOLE         3         4810            4810
HOSPITALITY PROPERTIES TRUST           EQUITY   44106M102   5583     126,679 SH       SOLE         1      126,679
HOST MARRIOTT CORP COM                 EQUITY   44107p104              23530 SH       SOLE         3         23530          23530
HOT TOPIC INC                          EQUITY   441339108    592      30,958 SH       SOLE         1       30,958
HOT TOPIC INC COM                      EQUITY   441339108      1       53300 SH       SOLE         3        53300
HOUSEVALUES INC                        EQUITY   44183Y102     80       4,434 SH       SOLE         1        4,434
HOUSTON EXPLORATION COMPAN             EQUITY   442120101   1050      19,802 SH       SOLE         1       19,802
HOVNANIAN ENTER, INC. COM PAR $0.01    EQUITY   442487203   5707      87,524 SH       SOLE         1       87,524
HRPT PROPERTIES TRUST                  EQUITY   40426W101    245      19,686 SH       SOLE         1       19,686
HRPT TRUST                             EQUITY   40426w101              14130 SH       SOLE         3         14130          14130
HUB GROUP INC-CL A                     EQUITY   443320106    337      13,462 SH       SOLE         1       13,462
HUBBELL INC. CLASS B                   EQUITY   443510201   4908     111,283 SH       SOLE         1      111,283
HUDSON CITY BANCORP                    EQUITY   443683107     48       4,239 SH       SOLE         1        4,239
HUDSON HIGHLAND GROUP INC              EQUITY   443792106    222      14,241 SH       SOLE         1       14,241
HUGHES SUPPLY, INC.                    EQUITY   444482103   1289      45,884 SH       SOLE         1       45,884
HUMAN GENOME SCIENCES, INC.            EQUITY   444903108   1045      90,236 SH       SOLE         1       90,236
HUMANA, INC.                           EQUITY   444859102   3782      95,177 SH       SOLE         1       95,177
HUNGARIAN TELEPHONE & CABLE            EQUITY   445542103     46       2,672 SH       SOLE         1        2,672
HUNT JB TRANS SVC INC COM              EQUITY   445658107      2       94208 SH       SOLE         3        94208            3408
HUNTINGTON BANCSHARES INC              EQUITY   446150104      7         283 SH       DEFINED      2                    283
HUNTINGTON BANCSHARES, INC.            EQUITY   446150104   2578     106,802 SH       SOLE         1      106,802
HUNTSMAN CORP                          EQUITY   447011107     36       1,784 SH       SOLE         1        1,784
HURON CONSULTING GROUP INC             EQUITY   447462102    108       4,605 SH       SOLE         1        4,605
HUSDON UNITED BANCORP                  EQUITY   444165104   1116      30,915 SH       SOLE         1       30,915
HUTCHINSON TECHNOLOGY COM              EQUITY   448407106      2       56590 SH       SOLE         3        56590            1296
HUTCHINSON TECHNOLOGY, INC.            EQUITY   448407106    672      17,451 SH       SOLE         1       17,451
HUTTIG BUILDING PRODUCTS INC.          EQUITY   448451104    106       9,708 SH       SOLE         1        9,708
HYDRIL                                 EQUITY   448774109    713      13,115 SH       SOLE         1       13,115
HYPERCOM CORP                          EQUITY   44913M105    235      36,334 SH       SOLE         1       36,334
HYPERION SOLUTIONS CORP                EQUITY   44914M104     34         838 SH       SOLE         1          838
HYPERION SOLUTIONS CP COM              EQUITY   44914M104      1       34500 SH       SOLE         3        34500
IAC/INTERACTIVECORP                    EQUITY   44919P102   1095      45,590 SH       SOLE         1       45,590
IAMGOLD CORPORATION                    EQUITY   450913108   4214     624,500 SH       Defined      1            0   624,500
IBERIABANK CORP                        EQUITY   450828108    326       5,296 SH       SOLE         1        5,296
ICOS CORPORATION                       EQUITY   449295104    934      44,105 SH       SOLE         1       44,105
ICU MEDICAL, INC.                      EQUITY   44930G107    307       9,552 SH       SOLE         1        9,552
ID BIOMEDICAL CORP                     EQUITY   44936D108   1580      96,700 SH       DEFINED      2                 96,700
IDACORP, INC.                          EQUITY   451107106   3193     104,249 SH       SOLE         1      104,249
IDENIX PHARMACEUTICALS INC             EQUITY   45166R204    187       8,617 SH       SOLE         1        8,617
IDENTIX INC                            EQUITY   451906101    309      61,429 SH       SOLE         1       61,429
IDEX CORP                              EQUITY   45167R104   5683     147,200 SH       DEFINED      2                147,200
IDEX CORP.                             EQUITY   45167R104     44       1,130 SH       SOLE         1        1,130
IDEXX LABORATORIES, INC.               EQUITY   45168D104     42         676 SH       SOLE         1          676





                                                                                           
IDT CORP-CL B                          EQUITY   448947309    529      40,204 SH       SOLE         1       40,204
IDX SYSTEMS CORP.                      EQUITY   449491109    520      17,266 SH       SOLE         1       17,266
I-FLOW CORP                            EQUITY   449520303    229      13,774 SH       SOLE         1       13,774
IGATE CORP                             EQUITY   45169U105     52      14,597 SH       SOLE         1       14,597
IHOP CORP.                             EQUITY   449623107    601      13,843 SH       SOLE         1       13,843
II-VI INC                              EQUITY   902104108    293      15,934 SH       SOLE         1       15,934
IKON OFFICE SOLUTIONS INC.             EQUITY   451713101    759      79,760 SH       SOLE         1       79,760
ILLINOIS TOOL WKS INC                  EQUITY   452308109     26         326 SH       DEFINED      2                    326
Illinois Tool Works                    EQUITY   452308109   1992      25,000 SH       SOLE         4       25,000
ILLINOIS TOOL WORKS, INC.              EQUITY   452308109  14693     184,403 SH       SOLE         1      184,403
ILLUMINA INC                           EQUITY   452327109    299      24,791 SH       SOLE         1       24,791
ILLUMINA INC COM                       EQUITY   452327109      2      194100 SH       SOLE         3       194100
IMAGISTICS INTL INC                    EQUITY   45247T104    316      11,284 SH       SOLE         1       11,284
IMATION CORP.                          EQUITY   45245A107   3225      83,136 SH       SOLE         1       83,136
IMAX CORP                              EQUITY   45245E109   2480     250,000 SH       Defined      1            0   250,000
IMCLONE SYSTEMS                        EQUITY   45245W109     44       1,405 SH       SOLE         1        1,405
IMMUCOR INC                            EQUITY   452526106    909      31,388 SH       SOLE         1       31,388
IMMUNOGEN INC                          EQUITY   45253H101    164      28,329 SH       SOLE         1       28,329
IMPAC MORTGAGE HOLDINGS INC            EQUITY   45254P102    969      51,983 SH       SOLE         1       51,983
IMPAX LABORATORIES INC                 EQUITY   45256B101    532      33,856 SH       SOLE         1       33,856
IMPAX LABORATORIES INC COM             EQUITY   45256B101      1       91900 SH       SOLE         3        91900
IMPERIAL OIL LIMITED COMM              EQUITY   453038408   4578      55,000 SH       Defined      1            0    55,000
IMS HEALTH INC                         EQUITY   449934108      7         272 SH       DEFINED      2                    272
IMS HEALTH, INC.                       EQUITY   449934108   2533     102,241 SH       SOLE         1      102,241
INAMED CORP                            EQUITY   453235103   6201      92,550 SH       SOLE         1       92,550
INCO LTD                               EQUITY   453258402   1902      50,500 SH       Defined      1            0    50,500
INCYTE CORP                            EQUITY   45337C102    411      57,420 SH       SOLE         1       57,420
INDEPENDENCE COMMUNITY BANK            EQUITY   453414104   5219     141,334 SH       SOLE         1      141,334
INDEPENDENCE HLDG CO N                 EQUITY   453440307     56       3,200 SH       SOLE         1        3,200
INDEPENDENT BANK CORP.-MASSACHUSETTS   EQUITY   453836108    300      10,636 SH       SOLE         1       10,636
INDEPENDENT BANK CORP.-MICHIGAN        EQUITY   453838104    415      14,608 SH       SOLE         1       14,608
INDYMAC BANCORP, INC.                  EQUITY   456607100   4586     112,603 SH       SOLE         1      112,603
INFINITY PROPERTY & CASUALTY           EQUITY   45665Q103    499      14,292 SH       SOLE         1       14,292
INFOCROSSING INC                       EQUITY   45664X109    174      13,989 SH       SOLE         1       13,989
INFOCROSSING INC COM                   EQUITY   45664X109      1       76400 SH       SOLE         3        76400
INFORMATICA CORP                       EQUITY   45666Q102    503      59,993 SH       SOLE         1       59,993
INFOSPACE INC.                         EQUITY   45678T201    755      22,934 SH       SOLE         1       22,934
INFOSYS TECHNOLOGIES-SP ADR            EQUITY   456788108    414       5,330 SH       SOLE         1        5,330
INFOUSA INC. CLASS B                   EQUITY   456818301    264      22,585 SH       SOLE         1       22,585
INFRASOURCE SERVICES INC               EQUITY   45684P102     93       8,915 SH       SOLE         1        8,915
INGERSOLL RAND COMPANY LIM             EQUITY   G4776G101     15         212 SH       DEFINED      2                    212
INGERSOLL-RAND CO CL A                 EQUITY   G4776G101   7270     101,886 SH       SOLE         1      101,886
INGLES MARKETS INC CLASS A             EQUITY   457030104    106       7,709 SH       SOLE         1        7,709
INGRAM MICRO INC. CLASS A              EQUITY   457153104     44       2,822 SH       SOLE         1        2,822
INLAND REAL ESTATE CORP                EQUITY   457461200    819      50,941 SH       SOLE         1       50,941
INNKEEPERS USA TRUST                   EQUITY   4576J0104    486      32,518 SH       SOLE         1       32,518
INNOVATIVE SOLUTIONS & SUPPORT         EQUITY   45769N105    206       6,146 SH       SOLE         1        6,146
INNOVO GROUP INC                       EQUITY   457954600     38      17,551 SH       SOLE         1       17,551
INPHONIC INC                           EQUITY   45772G105    163      10,691 SH       SOLE         1       10,691
INPUT/OUTPUT, INC.                     EQUITY   457652105    303      48,258 SH       SOLE         1       48,258
INSIGHT COMMUNICATIO                   EQUITY   45768V108    383      34,667 SH       SOLE         1       34,667
INSIGHT ENTERPRISES, INC.              EQUITY   45765U103    675      33,427 SH       SOLE         1       33,427





                                                                                           
INSITUFORM TECH INC CL A               EQUITY   457667103      2      117600 SH       SOLE         3       117600
INSITUFORM TECHNOLOGIES, INC. CLASS A  EQUITY   457667103    295      18,520 SH       SOLE         1       18,520
INSPIRE PHARMACEUTICALS INC            EQUITY   457733103    245      29,060 SH       SOLE         1       29,060
INSTINET GROUP INCORPORATED            EQUITY   457750107     15       2,827 SH       SOLE         1        2,827
INSWEB CORP                            EQUITY   45809K202     30       9,194 SH       SOLE         1        9,194
INTEGRA BANK CORP.                     EQUITY   45814P105    240      10,597 SH       SOLE         1       10,597
INTEGRA LIFESCIENCES HOLDINGS          EQUITY   457985208    414      14,191 SH       SOLE         1       14,191
INTEGRAL SYSTEMS INC/MD                EQUITY   45810H107    162       7,168 SH       SOLE         1        7,168
INTEGRATED CIRCUIT SYSTEMS             EQUITY   45811K208   4349     210,692 SH       SOLE         1      210,692
INTEGRATED DEVICE TECHNOLOGY,          EQUITY   458118106   3254     216,798 SH       SOLE         1      216,798
INTEGRATED SILICON SOLUTION            EQUITY   45812P107    189      25,444 SH       SOLE         1       25,444
INTEL CORP                             EQUITY   458140100  36975   1,418,845 SH       DEFINED      2              1,418,845
INTEL CORP COM                         EQUITY   458140100              11800 SH       SOLE         3        11800
INTEL CORP.                            EQUITY   458140100 110457   4,245,073 SH       SOLE         1    4,245,073
INTER PARFUMS INC                      EQUITY   458334109     58       3,011 SH       SOLE         1        3,011
INTERACTIVE DATA CORP                  EQUITY   45840J107   1315      63,302 SH       SOLE         1       63,302
INTERCHANGE FINL SVCS                  EQUITY   458447109    217      11,815 SH       SOLE         1       11,815
INTERDIGITAL COMMUNICATION             EQUITY   45866A105    646      36,920 SH       SOLE         1       36,920
INTERFACE, INC. CLASS A                EQUITY   458665106    254      31,543 SH       SOLE         1       31,543
INTERGRAPH CORP.                       EQUITY   458683109    672      19,496 SH       SOLE         1       19,496
INTERLINE BRANDS INC                   EQUITY   458743101    171       8,627 SH       SOLE         1        8,627
INTERMAGNETICS GENERAL CORP.           EQUITY   458771102    596      19,385 SH       SOLE         1       19,385
INTERMIX MEDIA INC                     EQUITY   45881X106    659      78,751 SH       SOLE         1       78,751
INTERMUNE INC.                         EQUITY   45884X103    225      17,271 SH       SOLE         1       17,271
INTERNATIONAL BANCSHARES CORP.         EQUITY   459044103     36       1,276 SH       SOLE         1        1,276
INTERNATIONAL BUSINESS MAC             EQUITY   459200101  10909     147,010 SH       DEFINED      2                147,010
INTERNATIONAL DISPLAYWORKS I           EQUITY   459412102    174      21,750 SH       SOLE         1       21,750
INTERNATIONAL FLAVOURS                 EQUITY   459506101      4         107 SH       DEFINED      2                    107
INTERNATIONAL GAME TECHNOL             EQUITY   459902102     12         412 SH       DEFINED      2                    412
INTERNATIONAL GAME TECHNOLOGY          EQUITY   459902102   4379     155,542 SH       SOLE         1      155,542
INTERNATIONAL PAPER CO                 EQUITY   460146103     18         590 SH       DEFINED      2                    590
INTERNATIONAL PAPER CO.                EQUITY   460146103   6401     211,890 SH       SOLE         1      211,890
INTERNATIONAL RECTIFIER CORP.          EQUITY   460254105   5547     116,234 SH       SOLE         1      116,234
INTERNATIONAL SECS EXCHANG             EQUITY   46031W204    316      12,600 SH       DEFINED      2                 12,600
INTERNATIONAL SECURITIES EXC           EQUITY   46031W204    196       7,802 SH       SOLE         1        7,802
INTERNATIONAL SPEEDWAY CORP.           EQUITY   460335201   4478      79,620 SH       SOLE         1       79,620
INTERNET CAPITAL GROUP, INC.           EQUITY   46059C205    194      26,527 SH       SOLE         1       26,527
INTERNET SECURITY SY                   EQUITY   46060X107    549      27,042 SH       SOLE         1       27,042
INTEROIL CORP                          EQUITY   460951106   1812      67,908 SH       Defined      1       46,408    21,500
INTERPOOL, INC.                        EQUITY   46062R108    120       5,633 SH       SOLE         1        5,633
INTERPUBLIC GROUP CORP                 EQUITY   460690100   2434     199,817 SH       SOLE         1      199,817
INTERPUBLIC GROUP COS INC              EQUITY   460690100      6         511 SH       DEFINED      2                    511
INTERSIL CORP -CL A                    EQUITY   46069S109   5368     286,010 SH       SOLE         1      286,010
INTER-TEL, INC.                        EQUITY   458372109    275      14,798 SH       SOLE         1       14,798
INTERVIDEO INC                         EQUITY   46114Y101    101       7,034 SH       SOLE         1        7,034
INTERVOICE-BRITE INC.                  EQUITY   461142101    226      26,160 SH       SOLE         1       26,160
INTERWOVEN INC                         EQUITY   46114T508    215      28,539 SH       SOLE         1       28,539
INTEVAC INC                            EQUITY   461148108    147      14,071 SH       SOLE         1       14,071
INTL BUSINESS MACHINES CORP            EQUITY   459200101  68705     925,940 SH       SOLE         1      925,940
INT'L. FLAVORS & FRAGRANCES,           EQUITY   459506101   1441      39,776 SH       SOLE         1       39,776
INTRADO INC                            EQUITY   46117A100    182      12,193 SH       SOLE         1       12,193
INTRALASE CORP                         EQUITY   461169104    176       8,976 SH       SOLE         1        8,976





                                                                                            
INTRALASE CORP COM                     EQUITY   461169104      4      199800 SH       SOLE         3       199800
INTROGEN THERAPEUTICS INC              EQUITY   46119F107     82      12,709 SH       SOLE         1       12,709
INTUIT                                 EQUITY   461202103     10         223 SH       DEFINED      2                    223
INTUIT, INC.                           EQUITY   461202103   6829     151,382 SH       SOLE         1      151,382
INTUITIVE SURGICAL INC                 EQUITY   46120E602   1120      24,003 SH       SOLE         1       24,003
INVACARE CORP.                         EQUITY   461203101    935      21,069 SH       SOLE         1       21,069
INVERNESS MEDICAL INNOVATION           EQUITY   46126P106    323      11,818 SH       SOLE         1       11,818
INVESTMENT TECHNOLOGY GROUP            EQUITY   46145F105    576      27,387 SH       SOLE         1       27,387
INVESTORS FINANCIAL SERVICES           EQUITY   461915100   4545     120,185 SH       SOLE         1      120,185
INVESTORS REAL ESTATE TRUST            EQUITY   461730103    326      33,716 SH       SOLE         1       33,716
INVITROGEN CORP                        EQUITY   46185R100   8072      96,911 SH       SOLE         1       96,911
IONATRON INC                           EQUITY   462070103    143      16,674 SH       SOLE         1       16,674
IOWA TELECOMMUNICATIONS SERV           EQUITY   462594201   9454     504,213 SH       SOLE         1      504,213
IPASS INC                              EQUITY   46261V108    226      37,216 SH       SOLE         1       37,216
IPAYMENT INC                           EQUITY   46262E105    310       8,475 SH       SOLE         1        8,475
IPC Holdings Ltd.                      EQUITY   G4933P101 464426  11,722,000 SH       SOLE         1   11,722,000
IRIS INTERNATIONAL INC                 EQUITY   46270W105    202      11,340 SH       SOLE         1       11,340
IRON MOUNTAIN INC.                     EQUITY   462846106     71       2,298 SH       SOLE         1        2,298
IRWIN FINANCIAL CORP.                  EQUITY   464119106    279      12,577 SH       SOLE         1       12,577
ISHARES COHEN & STEERS RLTY            EQUITY   464287564    171       2,400 SH       SOLE         1        2,400
ISHARES LEHMAN 7-10 YR TREASURY BOND   EQUITY   464287440   2009      23,100 SH       SOLE         1       23,100
ISHARES MSCI EAFE INDEX FUND           EQUITY   464287465  11950     228,100 SH       SOLE         1      228,100
iSHARES MSCI HONG KONG INDEX           EQUITY   464286871   1983     159,000 SH       SOLE         1          159
iSHARES MSCI JAPAN INDEX FD            EQUITY   464286848   8948     882,400 SH       SOLE         1      882,400
iSHARES RUSSELL 2000                   EQUITY   464287655   4166      65,400 SH       SOLE         1       65,400
ISHARES RUSSELL MIDCAP GRWTH           EQUITY   464287481    488       5,700 SH       SOLE         1        5,700
ISHARES RUSSELL MIDCAP VALUE           EQUITY   464287473   2421      20,500 SH       SOLE         1       20,500
ISHARES S&P 500/BARRA GROWTH           EQUITY   464287309   1559      27,600 SH       SOLE         1       27,600
ISHARES S&P 500/BARRA VALUE            EQUITY   464287408   2294      36,800 SH       SOLE         1       36,800
ISHARES S&P GLOBAL 100                 EQUITY   464287572    138       2,300 SH       SOLE         1        2,300
ISIS PHARMACEUTICALS, INC.             EQUITY   464330109    155      39,741 SH       SOLE         1       39,741
ISLE CAPRI CASINOS INC                 EQUITY   464592104   1069      40,800 SH       DEFINED      2                 40,800
ISLE OF CAPRI CASINOS                  EQUITY   464592104   1458      55,658 SH       SOLE         1       55,658
ISTA PHARMACEUTICALS INC.              EQUITY   45031X204     78       9,427 SH       SOLE         1        9,427
ISTAR FINANCIAL INC                    EQUITY   45031U101   7985     191,988 SH       SOLE         1      191,988
ITLA CAP CORP                          EQUITY   450565106    214       3,975 SH       SOLE         1        3,975
ITRON, INC.                            EQUITY   465741106    718      16,068 SH       SOLE         1       16,068
ITT EDUCATIONAL SERVICES, INC.         EQUITY   45068B109   4437      83,057 SH       SOLE         1       83,057
ITT EDUCATIONAL SVCS COM               EQUITY   45068B109      4       82661 SH       SOLE         3        82661            1065
ITT INDS INC                           EQUITY   450911102  15559     159,367 SH       DEFINED      2                159,367
ITT INDUSTRIAL INC                     EQUITY   450911102   4077      41,759 SH       SOLE         1       41,759
ITT Industries                         EQUITY   450911102   2363      24,200 SH       SOLE         4       24,200
IVANHOE MINES LTD                      EQUITY   46579N103  10981   1,413,737 SH       Defined      1            0 1,413,737
IVAX CORP COM                          EQUITY   465823102      2       86321 SH       SOLE         3        86321            2662
IVAX CORP.                             EQUITY   465823102   8955     416,496 SH       SOLE         1      416,496
IVILLAGE INC                           EQUITY   46588H105    196      32,699 SH       SOLE         1       32,699
IXIA                                   EQUITY   45071R109    441      22,701 SH       SOLE         1       22,701
IXIA COM                               EQUITY   45071R109      2      117600 SH       SOLE         3       117600
IXYS CORP.                             EQUITY   46600W106    242      17,066 SH       SOLE         1       17,066
J & J SNACK FOODS CORP                 EQUITY   466032109    226       4,326 SH       SOLE         1        4,326
J JILL GROUP INC                       EQUITY   466189107    191      13,917 SH       SOLE         1       13,917
J.B. HUNT TRANSPORT SERVICES           EQUITY   445658107   4708     244,800 SH       SOLE         1      244,800





                                                                                            
J.C. PENNEY CO., INC.                  EQUITY   708160106  11499     218,694 SH       SOLE         1      218,694
J0-ANN STORES INC                      EQUITY   47758P307    419      15,896 SH       SOLE         1       15,896
J2 GLOBAL COMMUNICATIO                 EQUITY   46626E205    564      16,383 SH       SOLE         1       16,383
JABIL CIRCUIT INC                      EQUITY   466313103      7         229 SH       DEFINED      2                    229
JABIL CIRCUT, INC.                     EQUITY   466313103  17393     566,008 SH       SOLE         1      566,008
JACK IN THE BOX INC.                   EQUITY   466367109    956      25,220 SH       SOLE         1       25,220
JACKSON HEWITT TAX SERVICE             EQUITY   468202106    614      25,993 SH       SOLE         1       25,993
JACOBS ENGINEERING GROUP, INC.         EQUITY   469814107   5810     103,266 SH       SOLE         1      103,266
JACUZZI BRANDS INC                     EQUITY   469865109    568      52,981 SH       SOLE         1       52,981
JAKKS PACIFIC, INC.                    EQUITY   47012E106    334      17,408 SH       SOLE         1       17,408
JAMDAT MOBILE INC                      EQUITY   47023T100     28       1,000 SH       DEFINED      2                  1,000
JAMDAT MOBILE INC                      EQUITY   47023T100    227       8,203 SH       SOLE         1        8,203
JAMES RIVER COAL CO                    EQUITY   470355207    314       9,054 SH       SOLE         1        9,054
JANUS CAP GROUP INC                    EQUITY   47102X105      4         273 SH       DEFINED      2                    273
JANUS CAPITAL GROUP                    EQUITY   47102X105   2675     177,841 SH       SOLE         1      177,841
JARDEN CORP                            EQUITY   471109108   1088      20,180 SH       SOLE         1       20,180
JDA SOFTWARE GROUP, INC.               EQUITY   46612K108    229      20,083 SH       SOLE         1       20,083
JDS UNIPHASE CORP                      EQUITY   46612J101      3       1,741 SH       DEFINED      2                  1,741
JDS UNIPHASE CORP                      EQUITY   46612J101   2121   1,395,439 SH       SOLE         1    1,395,439
JEFFERIES GROUP, INC.                  EQUITY   472319102   3546      93,599 SH       SOLE         1       93,599
JEFFERSON PILOT CORP                   EQUITY   475070108      8         165 SH       DEFINED      2                    165
JEFFERSON-PILOT CORP.                  EQUITY   475070108   3657      72,526 SH       SOLE         1       72,526
JETBLUE AIRWAYS CORP                   EQUITY   477143101   3612     176,706 SH       SOLE         1      176,706
JLG INDUSTRIES, INC.                   EQUITY   466210101    968      35,213 SH       SOLE         1       35,213
JM SMUCKER CO/THE NEW COM WI           EQUITY   832696405   4958     105,624 SH       SOLE         1      105,624
JOHN B. SANFILIPPO & SON               EQUITY   800422107    126       5,445 SH       SOLE         1        5,445
JOHN WILEY & SONS, INC. CLASS A        EQUITY   968223206     38         953 SH       SOLE         1          953
JOHNSON & JOHNSON                      EQUITY   478160104 170412   2,621,720 SH       SOLE         1    2,621,720
JOHNSON + JOHNSON                      EQUITY   478160104  46174     710,374 SH       DEFINED      2                710,374
Johnson and Johnson                    EQUITY   478160104   3900      60,000 SH       SOLE         4       60,000
JOHNSON CONTROLS, INC.                 EQUITY   478366107   4973      88,288 SH       SOLE         1       88,288
JOHNSON CTLS INC                       EQUITY   478366107  10420     184,980 SH       DEFINED      2                184,980
JONES APPAREL GROUP INC                EQUITY   480074103      5         149 SH       DEFINED      2                    149
JONES APPAREL GROUP, INC.              EQUITY   480074103   4247     136,830 SH       SOLE         1      136,830
JONES LANG LASALLE, INC.               EQUITY   48020Q107   1040      23,520 SH       SOLE         1       23,520
JORGENSEN (EARLE M.) CO                EQUITY   480829100    101      12,535 SH       SOLE         1       12,535
JOS A BANK CLOTHIERS INC               EQUITY   480838101    403       9,303 SH       SOLE         1        9,303
JOURNAL COMMUNICATIONS INC-A           EQUITY   481130102    324      19,295 SH       SOLE         1       19,295
JOURNAL REGISTER CO.                   EQUITY   481138105    505      28,824 SH       SOLE         1       28,824
JOY GLOBAL INC.                        EQUITY   481165108     56       1,665 SH       SOLE         1        1,665
JPMORGAN CHASE + CO                    EQUITY   46625H100  15720     445,081 SH       DEFINED      2                445,081
JPMORGAN CHASE AND CO.                 EQUITY   46625H100 118600   3,357,875 SH       SOLE         1    3,357,875
JUNIPER NETWORKS, INC.                 EQUITY   48203R104  32359   1,285,097 SH       SOLE         1    1,285,097
JUPITERMEDIA CORP                      EQUITY   48207D101    240      13,994 SH       SOLE         1       13,994
K V PHARMACEUT [A]                     EQUITY   482740206    415      24,802 SH       SOLE         1       24,802
K.FORCE INC.                           EQUITY   493732101    188      22,205 SH       SOLE         1       22,205
K2, INC.                               EQUITY   482732104    417      32,853 SH       SOLE         1       32,853
KADANT INC                             EQUITY   48282T104    211       9,602 SH       SOLE         1        9,602
KAMAN CORP., CLASS A                   EQUITY   483548103    276      15,301 SH       SOLE         1       15,301
KANA SOFTWARE INC.                     EQUITY   483600300                 36 SH       SOLE         1           36
KANBAY INTERNATIONAL INC               EQUITY   48369P207    395      17,080 SH       SOLE         1       17,080
KANBAY INTL INC COM                    EQUITY   48369P207      5      198002 SH       SOLE         3       198002            3408





                                                                                            
KANSAS CITY LIFE INSURANCE CO.         EQUITY   484836101    122       2,536 SH       SOLE         1        2,536
KANSAS CITY SOUTHERN                   EQUITY   485170302   1142      56,586 SH       SOLE         1       56,586
KAYDON CORP.                           EQUITY   486587108    542      19,456 SH       SOLE         1       19,456
KB HOME                                EQUITY   48666K109      8         106 SH       DEFINED      2                    106
KB HOME                                EQUITY   48666K109   2862      37,548 SH       SOLE         1       37,548
KB HOME COM                            EQUITY   48666K109      1       17289 SH       SOLE         3        17289             552
KCS ENERGY, INC.                       EQUITY   482434206    598      34,413 SH       SOLE         1       34,413
KEANE INC                              EQUITY   486665102   2813     205,300 SH       DEFINED      2                205,300
KEANE, INC.                            EQUITY   486665102   1820     132,848 SH       SOLE         1      132,848
KEARNY FINANCIAL CORP                  EQUITY   487169104    178      15,074 SH       SOLE         1       15,074
KEITHLEY INSTRUMENTS, INC.             EQUITY   487584104    136       8,828 SH       SOLE         1        8,828
KELLOGG CO                             EQUITY   487836108     19         429 SH       DEFINED      2                    429
KELLOGG CO.                            EQUITY   487836108   7058     158,819 SH       SOLE         1      158,819
KELLWOOD CO.                           EQUITY   488044108    516      19,180 SH       SOLE         1       19,180
KELLY SERVICES, INC., CLASS A          EQUITY   488152208   1760      61,457 SH       SOLE         1       61,457
KEMET CORP.                            EQUITY   488360108   1348     213,952 SH       SOLE         1      213,952
KENNAMETAL, INC.                       EQUITY   489170100   4297      93,721 SH       SOLE         1       93,721
KENSEY NASH CORP                       EQUITY   490057106    195       6,458 SH       SOLE         1        6,458
KERR MCGEE CORP                        EQUITY   492386107     11         140 SH       DEFINED      2                    140
KERR-MCGEE CORP                        EQUITY   492386107   4083      53,503 SH       SOLE         1       53,503
KERYX BIOPHARMACEUTICALS               EQUITY   492515101    217      16,431 SH       SOLE         1       16,431
KEY BANK NA                            EQUITY   493267108   6217     187,528 SH       SOLE         1      187,528
Keycorp                                EQUITY   493267108   2155      65,000 SH       SOLE         4       65,000
KEYCORP NEW                            EQUITY   493267108     16         492 SH       DEFINED      2                    492
KEYNOTE SYSTEMS INC                    EQUITY   493308100    144      12,325 SH       SOLE         1       12,325
KEYSPAN CORP                           EQUITY   49337W100      8         208 SH       DEFINED      2                    208
KEYSPAN CORPORATION                    EQUITY   49337W100  14168     348,107 SH       SOLE         1      348,107
KEYSTONE AUTOMOTIVE IN                 EQUITY   49338N109    269      10,884 SH       SOLE         1       10,884
KFX INC                                EQUITY   48245L107    580      40,622 SH       SOLE         1       40,622
KILROY REALTY CORP.                    EQUITY   49427F108   1044      21,981 SH       SOLE         1       21,981
KIMBALL INTERNATIONAL, INC. CLASS B    EQUITY   494274103    203      15,391 SH       SOLE         1       15,391
KIMBERLY CLARK CORP                    EQUITY   494368103     36         574 SH       DEFINED      2                    574
KIMBERLY-CLARK CORP.                   EQUITY   494368103  12881     205,804 SH       SOLE         1      205,804
KIMCO REALTY                           EQUITY   49446R109    559       9,486 SH       SOLE         1        9,486
KIMCO REALTY CORP COM                  EQUITY   49446R109               6750 SH       SOLE         3         6750            6750
Kinder Morgan Energy Partners          EQUITY   494550106   2801      55,000 SH       SOLE         4       55,000
Kinder Morgan Inc                      EQUITY   49455P101   2496      30,000 SH       SOLE         4       30,000
KINDER MORGAN INC KANS                 EQUITY   49455P101     11         130 SH       DEFINED      2                    130
KINDER MORGAN INC.                     EQUITY   49455P101  13178     158,394 SH       SOLE         1      158,394
KINDRED HEALTHCARE INC                 EQUITY   494580103    779      19,670 SH       SOLE         1       19,670
KINETIC CONCEPTS INC                   EQUITY   49460W208   1308      21,800 SH       DEFINED      2                 21,800
KINETIC CONSEPTS INC                   EQUITY   49460W208     60       1,005 SH       SOLE         1        1,005
KING PHARMACEUTICALS INC               EQUITY   495582108      3         295 SH       DEFINED      2                    295
KING PHARMACEUTICALS, INC.             EQUITY   495582108   1806     173,341 SH       SOLE         1      173,341
KINGSWAY FINANCIALS SERVICES           EQUITY   496904103   2654     156,400 SH       Defined      1            0   156,400
KINROSS GOLD                           EQUITY   496902404   5661     925,100 SH       Defined      1            0   925,100
KIRBY CORP.                            EQUITY   497266106    679      15,048 SH       SOLE         1       15,048
KITE REALTY GROUP TRUST                EQUITY   49803T102    198      13,228 SH       SOLE         1       13,228
KLA TENCOR CORP                        EQUITY   482480100     10         238 SH       DEFINED      2                    238
KLA-TENCOR CORP.                       EQUITY   482480100   5135     117,549 SH       SOLE         1      117,549
KMG AMERICA CORP                       EQUITY   482563103    145      14,607 SH       SOLE         1       14,607
KNBT BANCORP INC                       EQUITY   482921103    343      22,727 SH       SOLE         1       22,727





                                                                                            
KNIGHT CAPITAL GROUP INC               EQUITY   499005106    565      74,189 SH       SOLE         1       74,189
KNIGHT RIDDER INC                      EQUITY   499040103      6          98 SH       DEFINED      2                     98
KNIGHT TRANSPORTATION INC              EQUITY   499064103    641      26,327 SH       SOLE         1       26,327
KNIGHT-RIDDER, INC.                    EQUITY   499040103   2103      34,277 SH       SOLE         1       34,277
KNOLL INC                              EQUITY   498904200    130       7,603 SH       SOLE         1        7,603
KNOLOGY INC                            EQUITY   499183804     76      39,813 SH       SOLE         1       39,813
KOHLS CORP                             EQUITY   500255104     22         392 SH       DEFINED      2                    392
KOHLS CORP.                            EQUITY   500255104   9730     174,038 SH       SOLE         1      174,038
KOMAG INC                              EQUITY   500453204    568      20,007 SH       SOLE         1       20,007
KOMAG INC COM NEW                      EQUITY   500453204      2       81340 SH       SOLE         3        81340            1449
KOPIN CORP.                            EQUITY   500600101    248      48,625 SH       SOLE         1       48,625
KORN/FERRY INTERNATIONAL               EQUITY   500643200   1530      86,193 SH       SOLE         1       86,193
KOS PHARMACEUTICALS, INC.              EQUITY   500648100     26         402 SH       SOLE         1          402
KRAFT FOODS INC                        EQUITY   50075N104    892      28,029 SH       SOLE         1       28,029
KRISPY KREME DOUGHNU                   EQUITY   501014104   1031     148,080 SH       SOLE         1      148,080
KROGER CO                              EQUITY   501044101     17         870 SH       DEFINED      2                    870
KROGER CO.                             EQUITY   501044101   6376     335,045 SH       SOLE         1      335,045
KRONOS WORLDWIDE INC                   EQUITY   50105F105     73       2,434 SH       SOLE         1        2,434
KRONOS, INC.                           EQUITY   501052104    895      22,153 SH       SOLE         1       22,153
K-SWISS, INC.                          EQUITY   482686102    557      17,229 SH       SOLE         1       17,229
KULICKE & SOFFA INDUSTRIES             EQUITY   501242101    283      35,766 SH       SOLE         1       35,766
KYPHON INC                             EQUITY   501577100    699      20,080 SH       SOLE         1       20,080
L 3 COMMUNICATIONS HLDG CO             EQUITY   502424104  18957     247,541 SH       DEFINED      2                247,541
L-3 COMMUNICATIONS HOLDINGS,           EQUITY   502424104   4117      53,767 SH       SOLE         1       53,767
L-3 COMMUNICATNS HLDGS COM             EQUITY   502424104      2       31149 SH       SOLE         3        31149            1065
LA QUINTA PROPERTIES-PAIRED            EQUITY   50419U202   1693     181,498 SH       SOLE         1      181,498
LABARGE INC                            EQUITY   502470107    126       6,961 SH       SOLE         1        6,961
LABONE INC NEW                         EQUITY   50540L105    885      22,244 SH       SOLE         1       22,244
LABOR READY INC COM NEW                EQUITY   505401208      4      161845 SH       SOLE         3       161845
LABOR READY, INC.                      EQUITY   505401208    690      29,591 SH       SOLE         1       29,591
LABORATORY CORP AMER HLDGS             EQUITY   50540R409      8         167 SH       DEFINED      2                    167
LABORATORY CRP OF AMER HLDGS           EQUITY   50540R409   3045      61,029 SH       SOLE         1       61,029
LABRANCHE & CO. INC.                   EQUITY   505447102    880     139,673 SH       SOLE         1      139,673
LACLEDE GAS CO.                        EQUITY   505597104    463      14,584 SH       SOLE         1       14,584
LAFARGE NORTH AMERIC                   EQUITY   505862102     55         885 SH       SOLE         1          885
LAIDLAW INTERNATIONAL                  EQUITY   50730R102  10948     454,266 SH       SOLE         1      454,266
LAKELAND BANCORP INC                   EQUITY   511637100    188      12,027 SH       SOLE         1       12,027
LAKELAND FINL CORP                     EQUITY   511656100    166       4,085 SH       SOLE         1        4,085
LAKES ENTERTAINMENT INC                EQUITY   51206P109    163      10,606 SH       SOLE         1       10,606
LAM RESEARCH CORP.                     EQUITY   512807108   7501     259,115 SH       SOLE         1      259,115
LAM RESH CORP                          EQUITY   512807108  38667   1,336,100 SH       DEFINED      2              1,336,100
LAMAR ADVERTISING CO                   EQUITY   512815101    325       7,589 SH       SOLE         1        7,589
LANCASTER COLONY CORP.                 EQUITY   513847103   3077      71,652 SH       SOLE         1       71,652
LANCE, INC.                            EQUITY   514606102    355      20,605 SH       SOLE         1       20,605
LANDAMERICA FINANCIAL GROUP            EQUITY   514936103    742      12,496 SH       SOLE         1       12,496
LANDAUER, INC.                         EQUITY   51476K103    321       6,191 SH       SOLE         1        6,191
LANDRY'S RESTAURANTS INC.              EQUITY   51508L103    341      11,334 SH       SOLE         1       11,334
LANDSTAR SYSTEM, INC.                  EQUITY   515098101     37       1,239 SH       SOLE         1        1,239
LAS VEGAS SANDS CORP                   EQUITY   517834107     18         514 SH       SOLE         1          514
LASALLE HOTEL PROPERTIES               EQUITY   517942108    749      22,818 SH       SOLE         1       22,818
LASERSCOPE                             EQUITY   518081104    569      13,720 SH       SOLE         1       13,720
LATTICE SEMICONDUCTOR CORP.            EQUITY   518415104   1246     280,683 SH       SOLE         1      280,683





                                                                                            
LAUREATE EDUCATION INC                 EQUITY   518613104   4247      88,735 SH       SOLE         1       88,735
LAWSON PRODUCTS, INC.                  EQUITY   520776105    123       3,163 SH       SOLE         1        3,163
LAWSON SOFTWARE                        EQUITY   520780107    221      42,873 SH       SOLE         1       42,873
LAWSON SOFTWARE INC                    EQUITY   520780107   4054     787,200 SH       DEFINED      2                787,200
LAYNE CHRISTENSEN COMPANY              EQUITY   521050104    131       6,573 SH       SOLE         1        6,573
LA-Z-BOY CHAIR CO.                     EQUITY   505336107    525      36,037 SH       SOLE         1       36,037
LCA-VISION INC                         EQUITY   501803308    681      14,055 SH       SOLE         1       14,055
LEADIS TECHNOLOGY INC                  EQUITY   52171N103    101      12,505 SH       SOLE         1       12,505
LEAPFROG ENTERPRISES                   EQUITY   52186N106      6         550 SH       DEFINED      2                    550
LEAPFROG ENTERPRISES                   EQUITY   52186N106    253      22,386 SH       SOLE         1       22,386
LEAR CORP                              EQUITY   521865105   4412     121,266 SH       SOLE         1      121,266
LEARNING TREE INTERNATIONAL            EQUITY   522015106     74       6,208 SH       SOLE         1        6,208
LECG CORP                              EQUITY   523234102    216      10,172 SH       SOLE         1       10,172
LECROY CORP                            EQUITY   52324W109    117       8,524 SH       SOLE         1        8,524
LEE ENTERPRISES, INC.                  EQUITY   523768109   3290      82,062 SH       SOLE         1       82,062
LEGG MASON, INC.                       EQUITY   524901105  20609     197,957 SH       SOLE         1      197,957
LEGGETT & PLATT, INC.                  EQUITY   524660107   2873     108,090 SH       SOLE         1      108,090
LEGGETT + PLATT INC                    EQUITY   524660107      6         237 SH       DEFINED      2                    237
LEHMAN BROTHERS HLDGS INC              EQUITY   524908100     33         328 SH       DEFINED      2                    328
LEHMAN BROTHERS HOLDINGS, INC.         EQUITY   524908100  11865     119,508 SH       SOLE         1      119,508
LENNAR CORP. COM CLASS A               EQUITY   526057104  16524     260,431 SH       SOLE         1      260,431
LENNOX INTERNATIONAL INC               EQUITY   526107107    727      34,344 SH       SOLE         1       34,344
LEUCADIA NATIONAL CORP.                EQUITY   527288104   6595     170,735 SH       SOLE         1      170,735
LEVEL 3 COMMUNICATIONS, INC.           EQUITY   52729N100   1066     525,325 SH       SOLE         1      525,325
LEVITT CORP-CL A                       EQUITY   52742P108    340      11,347 SH       SOLE         1       11,347
LEXAR MEDIA INC                        EQUITY   52886P104    270      55,079 SH       SOLE         1       55,079
LEXICON GENETICS INC.                  EQUITY   528872104    217      43,913 SH       SOLE         1       43,913
LEXINGTON CORP. PROPERTRIES            EQUITY   529043101   5424     223,102 SH       SOLE         1      223,102
LEXMARK INTERNATIONAL GROUP            EQUITY   529771107   5897      90,960 SH       SOLE         1       90,960
LEXMARK INTL INC                       EQUITY   529771107     10         147 SH       DEFINED      2                    147
LIBBEY, INC.                           EQUITY   529898108    151       9,564 SH       SOLE         1        9,564
LIBERTY CORP.                          EQUITY   530370105    392      10,656 SH       SOLE         1       10,656
LIBERTY MEDIA CORP                     EQUITY   530718105     69       6,780 SH       DEFINED      2                  6,780
LIBERTY PPTY TR SH BEN INT             EQUITY   531172104               6050 SH       SOLE         3         6050            6050
LIBERTY PROPERTY TRUST                 EQUITY   531172104   7234     163,270 SH       SOLE         1      163,270
LIFE TIME FITNESS INC                  EQUITY   53217R207    530      16,164 SH       SOLE         1       16,164
LIFE TIME FITNESS INC COM              EQUITY   53217R207      3       94090 SH       SOLE         3        94090            2329
LIFECELL CORPORATION                   EQUITY   531927101    320      20,211 SH       SOLE         1       20,211
LIFELINE SYS INC                       EQUITY   532192101    272       8,462 SH       SOLE         1        8,462
LIFEPOINT HOSPITALS COM                EQUITY   53219L109      3       59005 SH       SOLE         3        59005            1278
LIFEPOINT HOSPITALS HLDG               EQUITY   53219L109   4679      92,559 SH       SOLE         1       92,559
LIFEPOINT HOSPS INC                    EQUITY   53219L109   1197      23,700 SH       DEFINED      2                 23,700
LIGAND PHARMACEUTICALS, INC., CLASS B  EQUITY   53220K207    355      51,072 SH       SOLE         1       51,072
LILLY ELI + CO                         EQUITY   532457108    493       8,856 SH       DEFINED      2                  8,856
LIMITED BRANDS INC                     EQUITY   532716107     10         452 SH       DEFINED      2                    452
LIMITED BRANDS, INC.                   EQUITY   532716107   3657     170,738 SH       SOLE         1      170,738
LIN TV CORP                            EQUITY   532774106    260      18,740 SH       SOLE         1       18,740
LINCARE HOLDINGS, INC.                 EQUITY   532791100   7555     184,724 SH       SOLE         1      184,724
LINCOLN ELECTRIC HOLDINGS, INC         EQUITY   533900106    840      25,347 SH       SOLE         1       25,347
LINCOLN NATIONAL CORP.                 EQUITY   534187109   7057     150,409 SH       SOLE         1      150,409
LINCOLN NATL CORP IN                   EQUITY   534187109     39         828 SH       DEFINED      2                    828
LINDSAY MANUFACTURING CO.              EQUITY   535555106    189       8,012 SH       SOLE         1        8,012





                                                                                            
LINEAR TECHNOLOGY CORP                 EQUITY   535678106     14         372 SH       DEFINED      2                    372
LINEAR TECHNOLOGY CORP.                EQUITY   535678106   6205     169,120 SH       SOLE         1      169,120
LINENS 'N THINGS, INC.                 EQUITY   535679104    740      31,262 SH       SOLE         1       31,262
LIONBRIDGE TECHNOLOGIES INC            EQUITY   536252109    200      29,429 SH       SOLE         1       29,429
LITHIA MOTORS, INC.                    EQUITY   536797103    307      10,651 SH       SOLE         1       10,651
LITTELFUSE, INC.                       EQUITY   537008104    431      15,481 SH       SOLE         1       15,481
LIZ CLAIBORNE INC                      EQUITY   539320101      5         133 SH       DEFINED      2                    133
LIZ CLAIBORNE, INC.                    EQUITY   539320101   1986      49,943 SH       SOLE         1       49,943
LKQ CORP                               EQUITY   501889208    264       9,739 SH       SOLE         1        9,739
LOCKHEED MARTIN CORP                   EQUITY   539830109     32         486 SH       DEFINED      2                    486
LOCKHEED MARTIN CORP.                  EQUITY   539830109  16575     255,505 SH       SOLE         1      255,505
LODGENET ENTERTAINMENT CORP.           EQUITY   540211109    186      11,182 SH       SOLE         1       11,182
LODGIAN INC                            EQUITY   54021P403    175      17,081 SH       SOLE         1       17,081
LOEWS CORP                             EQUITY   540424108     16         201 SH       DEFINED      2                    201
LOEWS CORP - CAROLINA GROUP            EQUITY   540424207     56       1,688 SH       SOLE         1        1,688
LOEWS CORP.                            EQUITY   540424108   5344      68,951 SH       SOLE         1       68,951
LO-JACK CORPORATION                    EQUITY   539451104   1468      83,588 SH       SOLE         1       83,588
LONE STAR STEAKHOUSE & SALOON          EQUITY   542307103    375      12,332 SH       SOLE         1       12,332
LONE STAR TECHNOLOGIES, INC.           EQUITY   542312103    938      20,618 SH       SOLE         1       20,618
LONGS DRUG STORES CORP.                EQUITY   543162101    914      21,234 SH       SOLE         1       21,234
LONGVIEW FIBRE CO.                     EQUITY   543213102   2593     126,184 SH       SOLE         1      126,184
LOUISIANA PAC CORP                     EQUITY   546347105      3         135 SH       DEFINED      2                    135
LOUISIANA PACIFIC CORP.                EQUITY   546347105   1252      50,927 SH       SOLE         1       50,927
LOWE'S COMPANIES, INC.                 EQUITY   548661107  24098     413,919 SH       SOLE         1      413,919
LSI INDUSTRIES, INC.                   EQUITY   50216C108    191      13,673 SH       SOLE         1       13,673
LSI LOGIC CORP                         EQUITY   502161102      4         467 SH       DEFINED      2                    467
LSI LOGIC CORP.                        EQUITY   502161102  12197   1,436,592 SH       SOLE         1    1,436,592
LTC PROP INC                           EQUITY   502175102    309      14,909 SH       SOLE         1       14,909
LTX CORP.                              EQUITY   502392103    750     151,587 SH       SOLE         1      151,587
LUBRIZOL CORP.                         EQUITY   549271104   5146     122,485 SH       SOLE         1      122,485
LUBY'S, INC.                           EQUITY   549282101    187      15,634 SH       SOLE         1       15,634
LUCENT TECHNOLOGIES INC                EQUITY   549463107     16       5,327 SH       DEFINED      2                  5,327
LUCENT TECHNOLOGIES INC                EQUITY   549463107   5901   2,027,963 SH       SOLE         1    2,027,963
LUFKIN INDS INC COM                    EQUITY   549764108    351       9,748 SH       SOLE         1        9,748
LUMINENT MORTGAGE CAPITAL IN           EQUITY   550278303   1682     155,857 SH       SOLE         1      155,857
LUMINEX CORP                           EQUITY   55027E102    173      17,632 SH       SOLE         1       17,632
LYON WILLIAM HOMES                     EQUITY   552074106    165       1,702 SH       SOLE         1        1,702
LYONDELL CHEMICAL CO.                  EQUITY   552078107  10547     399,221 SH       SOLE         1      399,221
M & F WORLDWIDE CORP                   EQUITY   552541104     99       7,428 SH       SOLE         1        7,428
M + T BK CORP                          EQUITY   55261F104     13         122 SH       DEFINED      2                    122
M&T BANK CORP.                         EQUITY   55261F104   4670      44,407 SH       SOLE         1       44,407
M.D.C. HOLDINGS, INC.                  EQUITY   552676108     64         776 SH       SOLE         1          776
M/I HOMES INC                          EQUITY   55305B101    464       8,579 SH       SOLE         1        8,579
MACATAWA BK CORP                       EQUITY   554225102    244       7,041 SH       SOLE         1        7,041
MACDERMID, INC.                        EQUITY   554273102    653      20,941 SH       SOLE         1       20,941
MACERICH CO COM                        EQUITY   554382101               4190 SH       SOLE         3         4190            4190
MACERICH CO.                           EQUITY   554382101    384       5,720 SH       SOLE         1        5,720
MACK-CALI REALTY CORP                  EQUITY   554489104   4839     106,812 SH       SOLE         1      106,812
MACROMEDIA, INC.                       EQUITY   556100105   5173     135,356 SH       SOLE         1      135,356
MACROVISION CORP                       EQUITY   555904101   2807     124,550 SH       SOLE         1      124,550
MAF BANCORP, INC.                      EQUITY   55261R108    951      22,305 SH       SOLE         1       22,305
MAGELLAN HEALTH SERVICES INC           EQUITY   559079207    657      18,610 SH       SOLE         1       18,610





                                                                                            
Magellan Midstream Partner             EQUITY   559080106   2622      80,000 SH       SOLE         4       80,000
MAGMA DESIGN AUTOMATIO                 EQUITY   559181102    203      24,256 SH       SOLE         1       24,256
MAGNA ENTERTAINMENT CL A               EQUITY   559211107   1233     218,654 SH       SOLE         1      218,654
MAGNA ENTMT CORP                       EQUITY   559211107    719     127,500 SH       DEFINED      2                127,500
MAGUIRE PROPERTIES INC                 EQUITY   559775101    764      26,966 SH       SOLE         1       26,966
MAIN STREET BANKS INC                  EQUITY   56034R102    275      10,816 SH       SOLE         1       10,816
MAINSOURCE FINANCIAL G                 EQUITY   56062Y102    128       7,100 SH       SOLE         1        7,100
MAIR HOLDINGS INC                      EQUITY   560635104     74       8,399 SH       SOLE         1        8,399
MAJESCO ENTERTAINMENT CO               EQUITY   560690208     73      11,178 SH       SOLE         1       11,178
MANHATTAN ASSOCIATES, INC.             EQUITY   562750109    389      20,252 SH       SOLE         1       20,252
MANITOWOC CO., INC.                    EQUITY   563571108    854      20,810 SH       SOLE         1       20,810
MANNATECH INC                          EQUITY   563771104    207      10,889 SH       SOLE         1       10,889
MANNING (GREG) AUCTIONS INC            EQUITY   563823103     50       4,153 SH       SOLE         1        4,153
MANNKIND CORP                          EQUITY   56400P201    115      11,434 SH       SOLE         1       11,434
MANOR CARE INC NEW                     EQUITY   564055101      4         108 SH       DEFINED      2                    108
MANOR CARE, INC.                       EQUITY   564055101   1552      39,070 SH       SOLE         1       39,070
MANPOWER, INC.                         EQUITY   56418H100   6466     162,532 SH       SOLE         1      162,532
MANTECH INTL CORP                      EQUITY   564563104    335      10,783 SH       SOLE         1       10,783
MANULIFE FINANCIAL                     EQUITY   56501R106   2769      58,000 SH       Defined      1            0    58,000
MAPINFO CORP COM                       EQUITY   565105103    150      14,262 SH       SOLE         1       14,262
MARATHON OIL CORP                      EQUITY   565849106   6987     130,918 SH       DEFINED      2                130,918
MARATHON OIL CORP                      EQUITY   565849106   8024     150,338 SH       SOLE         1      150,338
MARCHEX INC-CLASS B                    EQUITY   56624R108    206      13,676 SH       SOLE         1       13,676
MARCUS CORP                            EQUITY   566330106    297      14,012 SH       SOLE         1       14,012
MARINEMAX INC                          EQUITY   567908108    290       9,282 SH       SOLE         1        9,282
MARITRANS INC                          EQUITY   570363101    159       5,878 SH       SOLE         1        5,878
MARKEL CORP                            EQUITY   570535104     71         209 SH       SOLE         1          209
MARKETAXESS HLDGS INC                  EQUITY   57060D108   2335     206,600 SH       DEFINED      2                206,600
MARKETAXESS HOLDINGS INC               EQUITY   57060D108    180      54,565 SH       SOLE         1       54,565
MARKWEST HYDROCARBON INC               EQUITY   570762104     90       3,894 SH       SOLE         1        3,894
MARLIN BUSINESS SERVICES INC           EQUITY   571157106     89       4,446 SH       SOLE         1        4,446
MARRIOTT INTERNATIONAL, INC.           EQUITY   571903202  55620     815,298 SH       SOLE         1      815,298
MARRIOTT INTL INC NEW                  EQUITY   571903202   2623      38,445 SH       DEFINED      2                 38,445
MARSH & MCLENNAN COMPANIES INC         EQUITY   571748102  11501     415,191 SH       SOLE         1      415,191
MARSH + MCLENNAN COS INC               EQUITY   571748102     18         641 SH       DEFINED      2                    641
MARSHALL & ILSLEY CORP.                EQUITY   571834100   4371      98,330 SH       SOLE         1       98,330
MARSHALL + ILSLEY CORP                 EQUITY   571834100     11         254 SH       DEFINED      2                    254
MARSHALL EDWARDS INC                   EQUITY   572322303     37       5,153 SH       SOLE         1        5,153
MARTEK BIOSCIENCES CORP.               EQUITY   572901106   2961      77,998 SH       SOLE         1       77,998
MARTEN TRANSPORT LTD                   EQUITY   573075108    144       6,852 SH       SOLE         1        6,852
MARTHA STEWART LIVING-CL A             EQUITY   573083102    452      15,505 SH       SOLE         1       15,505
MARTIN MARIETTA MATERIALS              EQUITY   573284106   5807      84,018 SH       SOLE         1       84,018
MARVEL ENTERPRISES INC                 EQUITY   57383M108     28       1,420 SH       SOLE         1        1,420
MARVELL TECH GROUP LTD ORD             EQUITY   G5876H105      1       29129 SH       SOLE         3        29129            1384
MARVELL TECHNOLOGY GROUP LTD           EQUITY   G5876H105    674      17,750 SH       SOLE         1       17,750
MASCO CORP                             EQUITY   574599106     17         522 SH       DEFINED      2                    522
MASCO CORP.                            EQUITY   574599106   7395     232,855 SH       SOLE         1      232,855
MASSEY ENERGY COMPANY                  EQUITY   576206106     60       1,592 SH       SOLE         1        1,592
MASSEY ENERGY CORP                     EQUITY   576206106   2422      64,200 SH       DEFINED      2                 64,200
MASTEC, INC.                           EQUITY   576323109    165      18,731 SH       SOLE         1       18,731
MATRIA HEALTHCARE INC                  EQUITY   576817209    358      11,118 SH       SOLE         1       11,118
MATRIXONE INC                          EQUITY   57685P304    187      37,371 SH       SOLE         1       37,371





                                                                                           
MATTEL INC                             EQUITY   577081102      9         502 SH       DEFINED      2                    502
MATTEL INC                             EQUITY   577081102    487      26,600 SH       DEFINED      2                 26,600
MATTEL INC                             EQUITY   577081102    970      53,000 SH       DEFINED      2                 53,000
MATTEL, INC.                           EQUITY   577081102   3815     208,448 SH       SOLE         1      208,448
MATTHEWS INTERNATIONAL CORP. CLASS A   EQUITY   577128101    860      22,071 SH       SOLE         1       22,071
MATTHEWS INTL CORP                     EQUITY   577128101   1239      31,800 SH       DEFINED      2                 31,800
MATTSON TECHNOLOGY, INC.               EQUITY   577223100    211      29,410 SH       SOLE         1       29,410
MAUI LAND & PINEAPPLE CO               EQUITY   577345101     90       2,352 SH       SOLE         1        2,352
MAVERICK TUBE CORP.                    EQUITY   577914104    883      29,627 SH       SOLE         1       29,627
MAXIM INTEGRATED PRODS INC             EQUITY   57772K101     15         390 SH       DEFINED      2                    390
MAXIM INTEGRATED PRODUCTS INC.         EQUITY   57772K101   6815     178,302 SH       SOLE         1      178,302
MAXIMUS, INC.                          EQUITY   577933104    467      13,233 SH       SOLE         1       13,233
MAXTOR CORP                            EQUITY   577729205    910     174,920 SH       SOLE         1      174,920
MAXYGEN                                EQUITY   577776107    121      17,629 SH       SOLE         1       17,629
MAY DEPARTMENT STORES CO.              EQUITY   577778103  10331     257,248 SH       SOLE         1      257,248
MAY DEPT STORES CO                     EQUITY   577778103     14         360 SH       DEFINED      2                    360
MAYTAG CORP                            EQUITY   578592107      2         100 SH       DEFINED      2                    100
MAYTAG CORP.                           EQUITY   578592107   1420      90,687 SH       SOLE         1       90,687
MB FINANCIAL INC                       EQUITY   55264U108    604      15,172 SH       SOLE         1       15,172
MBIA INC                               EQUITY   55262C100     10         170 SH       DEFINED      2                    170
MBIA, INC                              EQUITY   55262C100   5812      97,987 SH       SOLE         1       97,987
MBNA CORP                              EQUITY   55262L100     40       1,531 SH       DEFINED      2                  1,531
MBNA CORP.                             EQUITY   55262L100  38734   1,480,647 SH       SOLE         1    1,480,647
MBT FINANCIAL CORP                     EQUITY   578877102    196      10,202 SH       SOLE         1       10,202
MCAFEE INC                             EQUITY   579064106   7667     292,875 SH       SOLE         1      292,875
MCCLATCHY COMPANY-CL                   EQUITY   579489105     35         532 SH       SOLE         1          532
MCCORMICK & CO., INC.                  EQUITY   579780206   2006      61,374 SH       SOLE         1       61,374
MCCORMICK & SCHMICK'S SEAFOO           EQUITY   579793100     83       5,237 SH       SOLE         1        5,237
MCCORMICK + CO INC                     EQUITY   579780206  10005     306,146 SH       DEFINED      2                306,146
MCDATA CORP                            EQUITY   580031201                 50 SH       DEFINED      2                     50
MCDATA CORP-CL A                       EQUITY   580031201   1452     362,917 SH       SOLE         1      362,917
MCDONALDS CORP                         EQUITY   580135101     42       1,520 SH       DEFINED      2                  1,520
MCDONALD'S CORP.                       EQUITY   580135101  24149     870,243 SH       SOLE         1      870,243
MCG CAPITAL CORP                       EQUITY   58047P107   2208     129,246 SH       SOLE         1      129,246
MCGRATH RENTCORP                       EQUITY   580589109    337      14,214 SH       SOLE         1       14,214
MCGRAW HILL COS INC                    EQUITY   580645109     20         450 SH       DEFINED      2                    450
MCGRAW-HILL, INC.                      EQUITY   580645109   7131     161,160 SH       SOLE         1      161,160
MCI INC                                EQUITY   552691107   4490     174,629 SH       SOLE         1      174,629
MCKESSON CORP                          EQUITY   58155Q103     16         354 SH       DEFINED      2                    354
MCKESSON CORP.                         EQUITY   58155Q103   6049     135,054 SH       SOLE         1      135,054
MCMORAN EXPLORATION CO                 EQUITY   582411104    278      14,257 SH       SOLE         1       14,257
MDU RESOURCES GROUP, INC.              EQUITY   552690109   6031     214,093 SH       SOLE         1      214,093
MEADWESTVACO CORP                      EQUITY   583334107      6         221 SH       DEFINED      2                    221
MEADWESTVACO CORP                      EQUITY   583334107   2420      86,314 SH       SOLE         1       86,314
MEASUREMENT SPECIALTIES INC            EQUITY   583421102    189       8,163 SH       SOLE         1        8,163
MECHEL STEEL GROUP OAO-ADR             EQUITY   583840103   8116     319,510 SH       SOLE         1      319,510
MEDAREX INC                            EQUITY   583916101    635      76,455 SH       SOLE         1       76,455
MEDCATH CORP                           EQUITY   58404W109    141       5,059 SH       SOLE         1        5,059
MEDCATH CORP COM                       EQUITY   58404W109      4      132800 SH       SOLE         3       132800
MEDCO HEALTH SOLUTIONS INC             EQUITY   58405U102     39         732 SH       DEFINED      2                    732
MEDCO HEALTH SOLUTIONS INC             EQUITY   58405U102   6389     119,740 SH       SOLE         1      119,740
MEDIA GENERAL, INC. CLASS A            EQUITY   584404107   3727      57,553 SH       SOLE         1       57,553





                                                                                            
MEDIACOM COMMUNICATI                   EQUITY   58446K105    293      42,613 SH       SOLE         1       42,613
MEDICINES CO                           EQUITY   584688105   4669     199,600 SH       DEFINED      2                199,600
MEDICINES COMPANY                      EQUITY   584688105    796      34,132 SH       SOLE         1       34,132
MEDICURE                               EQUITY   58469E101    672     895,400 SH       Defined      1            0   895,400
MEDIMMUNE INC                          EQUITY   584699102      8         293 SH       DEFINED      2                    293
MEDIMMUNE, INC.                        EQUITY   584699102   3457     129,382 SH       SOLE         1      129,382
MEDIS TECHNOLOGIES LTD                 EQUITY   58500P107    170      10,261 SH       SOLE         1       10,261
MEDTRONIC INC                          EQUITY   585055106  21014     405,754 SH       DEFINED      2                405,754
MEDTRONIC, INC.                        EQUITY   585055106  52956   1,022,507 SH       SOLE         1    1,022,507
MELLON FINANCIAL CORPORATION           EQUITY   58551A108   5579     194,449 SH       SOLE         1      194,449
MELLON FINL CORP                       EQUITY   58551A108     15         516 SH       DEFINED      2                    516
MEMC ELECTR MATLS INC COM              EQUITY   552715104      2       98641 SH       SOLE         3        98641            3126
MEMC ELECTRONIC MATERIALS, INC         EQUITY   552715104     34       2,169 SH       SOLE         1        2,169
MENS WEARHOUSE, INC.                   EQUITY   587118100     34       1,001 SH       SOLE         1        1,001
MENTOR CORP.                           EQUITY   587188103    923      22,253 SH       SOLE         1       22,253
MENTOR GRAPHICS CORP.                  EQUITY   587200106   1970     192,975 SH       SOLE         1      192,975
MERCANTILE BANK CORP                   EQUITY   587376104    219       4,987 SH       SOLE         1        4,987
MERCANTILE BANKSHARES CORP.            EQUITY   587405101   7400     143,610 SH       SOLE         1      143,610
MERCER INTL INC-SBI                    EQUITY   588056101    144      19,797 SH       SOLE         1       19,797
MERCK & CO., INC.                      EQUITY   589331107  37788   1,226,885 SH       SOLE         1    1,226,885
MERCK + CO INC                         EQUITY   589331107  11463     372,150 SH       DEFINED      2                372,150
MERCURY COMPUTER SYSTEMS INC           EQUITY   589378108    397      14,466 SH       SOLE         1       14,466
MERCURY GENERAL CORP                   EQUITY   589400100     48         880 SH       SOLE         1          880
MERCURY INTERACTIVE CORP               EQUITY   589405109      4         106 SH       DEFINED      2                    106
MERCURY INTERACTIVE CORP.              EQUITY   589405109   4095     106,757 SH       SOLE         1      106,757
MEREDITH CORP                          EQUITY   589433101      3          57 SH       DEFINED      2                     57
MEREDITH CORP                          EQUITY   589433101   1027      20,935 SH       SOLE         1       20,935
MERGE TECHNOLOGIES INC                 EQUITY   589981109    154       8,203 SH       SOLE         1        8,203
MERGE TECHNOLOGIES INC COM             EQUITY   589981109      2      123400 SH       SOLE         3       123400
MERIDIAN BIOSCIENCE INC                EQUITY   589584101    146       7,726 SH       SOLE         1        7,726
MERIDIAN GOLD                          EQUITY   589975101   2524     140,600 SH       Defined      1            0   140,600
MERIDIAN RESOURCE CORP                 EQUITY   58977Q109    286      59,819 SH       SOLE         1       59,819
MERISTAR HOSPITALITY CORP              EQUITY   58984Y103   4246     493,695 SH       DEFINED      2                493,695
MERISTAR HOSPITALITY CORP.             EQUITY   58984Y103   5300     616,273 SH       SOLE         1      616,273
MERIT MED SYS INC                      EQUITY   589889104    283      18,366 SH       SOLE         1       18,366
MERIT MED SYS INC COM                  EQUITY   589889104      1       91500 SH       SOLE         3        91500
MERITAGE HOMES CORPORATION             EQUITY   59001A102     49         616 SH       SOLE         1          616
MERRILL LYNCH & CO., INC.              EQUITY   590188108  25315     460,182 SH       SOLE         1      460,182
MERRILL LYNCH + CO INC                 EQUITY   590188108  10474     190,394 SH       DEFINED      2                190,394
MESA AIRLINES, INC.                    EQUITY   590479101    139      20,776 SH       SOLE         1       20,776
MESTEK, INC.                           EQUITY   590829107     52       2,056 SH       SOLE         1        2,056
METAL MANAGEMENT INC                   EQUITY   591097209    290      15,007 SH       SOLE         1       15,007
METALS USA INC                         EQUITY   591324207    495      26,012 SH       SOLE         1       26,012
METHODE ELECTRONICS, INC.              EQUITY   591520200    298      25,126 SH       SOLE         1       25,126
METLIFE INC                            EQUITY   59156R108     39         875 SH       DEFINED      2                    875
METLIFE, INC.                          EQUITY   59156R108  24027     534,655 SH       SOLE         1      534,655
METRIS COMPANIES INC                   EQUITY   591598107    581      40,192 SH       SOLE         1       40,192
METROLOGIC INSTRUMENTS INC             EQUITY   591676101    102       8,153 SH       SOLE         1        8,153
METTLER-TOLEDO INTERNATIONAL           EQUITY   592688105     45         957 SH       SOLE         1          957
MFS Municipal Inc                      EQUITY   552738106    146      17,700 SH       SOLE         4       17,700
MGE ENERGY INC                         EQUITY   55277P104    514      14,129 SH       SOLE         1       14,129
MGI PHARMA INC                         EQUITY   552880106   1078      49,569 SH       SOLE         1       49,569





                                                                                            
MGIC INVESTMENT CORP.                  EQUITY   552848103   2837      43,504 SH       SOLE         1       43,504
MGIC INVT CORP WIS                     EQUITY   552848103      8         120 SH       DEFINED      2                    120
MGM GRAND INC                          EQUITY   552953101   3297      83,299 SH       SOLE         1       83,299
MGM MIRAGE COM                         EQUITY   552953101      3       83471 SH       SOLE         3        83471            2343
MGM MIRAGEINC                          EQUITY   552953101   2830      71,500 SH       DEFINED      2                 71,500
MICHAELS STORES, INC.                  EQUITY   594087108  10095     244,006 SH       SOLE         1      244,006
MICREL, INC.                           EQUITY   594793101   2072     179,821 SH       SOLE         1      179,821
MICRO THERAPEUTICS INC                 EQUITY   59500W100     29       7,393 SH       SOLE         1        7,393
MICROCHIP TECHNOLOGY, INC.             EQUITY   595017104  11456     386,774 SH       SOLE         1      386,774
MICROMUSE INC                          EQUITY   595094103    315      55,735 SH       SOLE         1       55,735
MICRON TECHNOLOGY INC                  EQUITY   595112103      8         736 SH       DEFINED      2                    736
MICRON TECHNOLOGY, INC.                EQUITY   595112103   2865     280,573 SH       SOLE         1      280,573
MICROS SYS INC COM                     EQUITY   594901100      1       21100 SH       SOLE         3        21100
MICROS SYSTEMS, INC.                   EQUITY   594901100   1176      26,272 SH       SOLE         1       26,272
MICROSEMI CORP COM                     EQUITY   595137100      3      143704 SH       SOLE         3       143704            1704
MICROSEMI CORP.                        EQUITY   595137100    801      42,581 SH       SOLE         1       42,581
MICROSOFT CORP                         EQUITY   594918104  33730   1,357,900 SH       DEFINED      2              1,357,900
MICROSOFT CORP.                        EQUITY   594918104 212104   8,538,796 SH       SOLE         1    8,538,796
MICROSTRATEGY INC                      EQUITY   594972408    597      11,258 SH       SOLE         1       11,258
MICROSTRATERGY INC-WT07                EQUITY   594972119                509 SH       SOLE         1            1
MICROTUNE INC                          EQUITY   59514P109    180      35,921 SH       SOLE         1       35,921
MID STATE BANCSHARES                   EQUITY   595440108    439      15,823 SH       SOLE         1       15,823
MID-AMERICA APT. COMMUNITIES           EQUITY   59522J103    653      14,382 SH       SOLE         1       14,382
MIDAS, INC.                            EQUITY   595626102    254      11,053 SH       SOLE         1       11,053
MIDDLEBY CORP                          EQUITY   596278101    186       3,510 SH       SOLE         1        3,510
MIDDLESEX WATER CO                     EQUITY   596680108    153       7,862 SH       SOLE         1        7,862
MIDLAND CO COM                         EQUITY   597486109    261       7,417 SH       SOLE         1        7,417
MIDWAY GAMES INC.                      EQUITY   598148104    135      12,296 SH       SOLE         1       12,296
MIDWEST BANC HOLDINGS INC.             EQUITY   598251106    151       7,851 SH       SOLE         1        7,851
MIKOHN GAMING CORP                     EQUITY   59862K108    233      15,856 SH       SOLE         1       15,856
MILLENNIUM PHARMACEUTICALS             EQUITY   599902103   2649     285,800 SH       DEFINED      2                285,800
MILLENNIUM PHARMACEUTICALS, IN         EQUITY   599902103   5591     603,113 SH       SOLE         1      603,113
MILLIPORE CORP                         EQUITY   601073109      4          67 SH       DEFINED      2                     67
MILLIPORE CORP.                        EQUITY   601073109   1273      22,443 SH       SOLE         1       22,443
MILLS CORP COM                         EQUITY   601148109               3870 SH       SOLE         3         3870            3870
MILLS CORP.                            EQUITY   601148109  10300     169,443 SH       SOLE         1      169,443
MINDSPEED TECHNOLOGIES INC             EQUITY   602682106                  1 SH       SOLE         1            1
MINE SAFETY APPLIANCES CO.             EQUITY   602720104    921      19,933 SH       SOLE         1       19,933
MINERALS TECHNOLOGIES, INC.            EQUITY   603158106   3127      50,771 SH       SOLE         1       50,771
MIPS TECHNOLOGIES INC                  EQUITY   604567107    211      29,319 SH       SOLE         1       29,319
MISSION RESOURCES CORP                 EQUITY   605109107    232      28,773 SH       SOLE         1       28,773
MKS INSTRUMENTS, INC.                  EQUITY   55306N104    381      22,539 SH       SOLE         1       22,539
MOBILE MINI INC.                       EQUITY   60740F105    352      10,215 SH       SOLE         1       10,215
MOBILE TELESYSTEMS-SP ADR              EQUITY   607409109   5717     169,900 SH       SOLE         1      169,900
MOBILITY ELECTRONICS INC               EQUITY   60741U101    170      18,537 SH       SOLE         1       18,537
MODINE MANUFACTURING CO.               EQUITY   607828100   2674      82,134 SH       SOLE         1       82,134
MOHAWK INDUSTRIES, INC.                EQUITY   608190104   8833     107,061 SH       SOLE         1      107,061
MOLECULAR DEVICES CORP.                EQUITY   60851C107    253      11,691 SH       SOLE         1       11,691
MOLEX INC                              EQUITY   608554101      5         204 SH       DEFINED      2                    204
MOLEX, INC.                            EQUITY   608554101   2325      89,273 SH       SOLE         1       89,273
MOLINA HEALTHCARE INC                  EQUITY   60855R100    338       7,645 SH       SOLE         1        7,645
MOLSON COORS BREWING CO                EQUITY   60871R209      6          98 SH       DEFINED      2                     98





                                                                                            
MOLSON COORS BREWING CO -B             EQUITY   60871R209   2186      35,254 SH       SOLE         1       35,254
MOMENTA PHARMACEUTICALS INC            EQUITY   60877T100    109       5,510 SH       SOLE         1        5,510
MONACO COACH CORP                      EQUITY   60886R103    310      18,007 SH       SOLE         1       18,007
MONARCH CASINO & RESOR                 EQUITY   609027107    141       6,387 SH       SOLE         1        6,387
MONEYGRAM INTERNATIONAL                EQUITY   60935Y109   4078     213,259 SH       SOLE         1      213,259
MONOLITHIC POWER SYSTEMS INC           EQUITY   609839105    106      11,884 SH       SOLE         1       11,884
MONRO MUFFLER BRAKE IN                 EQUITY   610236101    214       7,246 SH       SOLE         1        7,246
MONSANTO CO                            EQUITY   61166W101   7293     115,997 SH       SOLE         1      115,997
MONSANTO CO NEW                        EQUITY   61166W101     20         317 SH       DEFINED      2                    317
MONSTER WORLDWIDE INC                  EQUITY   611742107      4         145 SH       DEFINED      2                    145
MONSTER WORLDWIDE INC                  EQUITY   611742107   2564      89,415 SH       SOLE         1       89,415
MONSTER WORLDWIDE INC COM              EQUITY   611742107      3       89656 SH       SOLE         3        89656            1958
MOODYS CORP                            EQUITY   615369105     15         336 SH       DEFINED      2                    336
MOODY'S CORP.                          EQUITY   615369105   6903     153,530 SH       SOLE         1      153,530
MOOG INC.                              EQUITY   615394202    736      23,387 SH       SOLE         1       23,387
MORGAN STANLEY                         EQUITY   617446448    440       8,302 SH       DEFINED      2                  8,302
MORGAN STANLEY                         EQUITY   617446448  44060     839,717 SH       SOLE         1      839,717
MORGAN STANLEY DEAN WITTER & C REPO    EQUITY   568427108    131       8,991 SH       SOLE         1        8,991
MORNINGSTAR INC                        EQUITY   617700109    165       5,874 SH       SOLE         1        5,874
MORTGAGEIT HOLDINGS INC                EQUITY   61915Q108    213      11,662 SH       SOLE         1       11,662
MOSAIC CO/THE                          EQUITY   61945A107     52       3,315 SH       SOLE         1        3,315
MOTIVE INC                             EQUITY   61980V107    151      15,223 SH       SOLE         1       15,223
MOTOROLA INC                           EQUITY   620076109  15295     837,649 SH       DEFINED      2                837,649
MOTOROLA, INC.                         EQUITY   620076109  24990   1,368,579 SH       SOLE         1    1,368,579
MOVADO GROUP, INC.                     EQUITY   624580106    239      12,657 SH       SOLE         1       12,657
MOVIE GALLERY, INC.                    EQUITY   624581104    457      17,300 SH       SOLE         1       17,300
MPS GROUP INC                          EQUITY   553409103   2412     256,011 SH       SOLE         1      256,011
MRO SOFTWARE                           EQUITY   55347W105    202      13,809 SH       SOLE         1       13,809
MRV COMMUNICATIONS, INC.               EQUITY   553477100    156      72,036 SH       SOLE         1       72,036
MSC INDUSTRIAL DIRECT CO.              EQUITY   553530106     33         972 SH       SOLE         1          972
MTC TECHNOLOGIES INC                   EQUITY   55377A106    256       6,951 SH       SOLE         1        6,951
MTC TECHNOLOGIES INC COM               EQUITY   55377A106      6      169600 SH       SOLE         3       169600
MTR GAMING GROUP INC                   EQUITY   553769100    189      16,209 SH       SOLE         1       16,209
MTS SYSTEMS CORP.                      EQUITY   553777103    459      13,670 SH       SOLE         1       13,670
MUELLER INDUSTRIES, INC.               EQUITY   624756102    685      25,281 SH       SOLE         1       25,281
MULTI-FINELINE ELECTRONIX IN           EQUITY   62541B101    102       5,551 SH       SOLE         1        5,551
MULTIMEDIA GAMES INC                   EQUITY   625453105    209      18,944 SH       SOLE         1       18,944
Municipal High Income Fund             EQUITY   626214100    717      98,900 SH       SOLE         4       98,900
MUNICIPAL MORTGAGE & EQUITY            EQUITY   62624B101    369      14,200 SH       SOLE         1       14,200
Murphy Oil Corp                        EQUITY   626717102   1045      20,000 SH       SOLE         4       20,000
MURPHY OIL CORP.                       EQUITY   626717102  16464     315,220 SH       SOLE         1      315,220
MYERS INDUSTRIES, INC.                 EQUITY   628464109    227      18,161 SH       SOLE         1       18,161
MYKROLIS CORP                          EQUITY   62852P103    412      29,006 SH       SOLE         1       29,006
MYLAN LABORATORIES INC.                EQUITY   628530107   2372     123,262 SH       SOLE         1      123,262
MYLAN LABS INC                         EQUITY   628530107      6         326 SH       DEFINED      2                    326
MYOGEN INC                             EQUITY   62856E104     88      12,651 SH       SOLE         1       12,651
MYRIAD GENETICS INC                    EQUITY   62855J104    333      21,256 SH       SOLE         1       21,256
NABI BIOPHARMACEUTICALS                EQUITY   629519109    619      40,648 SH       SOLE         1       40,648
NABI BIOPHARMACEUTICALS                EQUITY   629519109   1176      77,200 SH       DEFINED      2                 77,200
NABORS INDUSTRIES LTD                  EQUITY   G6359F103     53         870 SH       DEFINED      2                    870
NABORS INDUSTRIES LTD                  EQUITY   G6359F103  10317     170,195 SH       SOLE         1      170,195
NACCO INDUSTRIES, INC. CLASS A         EQUITY   629579103    384       3,585 SH       SOLE         1        3,585





                                                                                            
NALCO HOLDING CO                       EQUITY   62985Q101     22       1,146 SH       SOLE         1        1,146
NANOGEN INC.                           EQUITY   630075109    127      33,001 SH       SOLE         1       33,001
NARA BANCORP INC                       EQUITY   63080P105    188      12,776 SH       SOLE         1       12,776
NASB FINL INC                          EQUITY   628968109     93       2,118 SH       SOLE         1        2,118
NASDAQ STOCK MARKET INC                EQUITY   631103108    581      30,832 SH       SOLE         1       30,832
NASDAQ-100 SHARES                      EQUITY   631100104   9261     251,800 SH       SOLE         1      251,800
NASHFINCH CO.                          EQUITY   631158102    324       8,824 SH       SOLE         1        8,824
NASTECH PHARMACEUTICAL                 EQUITY   631728409    177      12,415 SH       SOLE         1       12,415
NATIONAL BEVERAGE CORP.                EQUITY   635017106     42       5,210 SH       SOLE         1        5,210
NATIONAL CITY CORP                     EQUITY   635405103     24         713 SH       DEFINED      2                    713
NATIONAL CITY CORP.                    EQUITY   635405103  19829     581,153 SH       SOLE         1      581,153
NATIONAL DATA CORP.                    EQUITY   639480102    448      24,907 SH       SOLE         1       24,907
NATIONAL FINANCIAL PARTNERS            EQUITY   63607P208    954      24,363 SH       SOLE         1       24,363
NATIONAL FUEL GAS CO.                  EQUITY   636180101  21711     750,980 SH       SOLE         1      750,980
NATIONAL HEALTH INVESTORS, INC         EQUITY   63633D104   2716      96,761 SH       SOLE         1       96,761
NATIONAL HEALTH REALTY                 EQUITY   635905102     93       4,983 SH       SOLE         1        4,983
NATIONAL HEALTHCARE CORP               EQUITY   635906100    153       4,345 SH       SOLE         1        4,345
NATIONAL INSTRUMENTS CORP.             EQUITY   636518102   2544     120,022 SH       SOLE         1      120,022
NATIONAL INTERSTATE CORP               EQUITY   63654U100     62       3,118 SH       SOLE         1        3,118
NATIONAL OILWELL VARCO INC             EQUITY   637071101     10         208 SH       DEFINED      2                    208
NATIONAL OILWELL VARCO INC             EQUITY   637071101   3725      78,360 SH       SOLE         1       78,360
NATIONAL PENN BANCSHARES, INC.         EQUITY   637138108    597      23,917 SH       SOLE         1       23,917
NATIONAL PRESTO INDUSTRIES             EQUITY   637215104    144       3,268 SH       SOLE         1        3,268
NATIONAL SEMICONDUCTOR COR             EQUITY   637640103  12725     577,617 SH       DEFINED      2                577,617
NATIONAL SEMICONDUCTOR CORP.           EQUITY   637640103   6855     311,146 SH       SOLE         1      311,146
NATIONAL WESTERN LIFE INS. CO. CLASS   EQUITY   638522102    299       1,540 SH       SOLE         1        1,540
NATIONAL-OILWELL INC COM               EQUITY   637071101      2       36573 SH       SOLE         3        36573            1171
NATIONWIDE FINANCIAL                   EQUITY   638612101     60       1,574 SH       SOLE         1        1,574
NATIONWIDE HEALTH PROPERTIES           EQUITY   638620104   1206      51,091 SH       SOLE         1       51,091
NATURES SUNSHINE PRODUCTS, INC         EQUITY   639027101    135       7,740 SH       SOLE         1        7,740
NAUTILUS INC                           EQUITY   63910B102    655      22,997 SH       SOLE         1       22,997
NAVARRE CORP                           EQUITY   639208107    141      17,695 SH       SOLE         1       17,695
NAVIGANT CONSULTING CO.                EQUITY   63935N107    598      33,849 SH       SOLE         1       33,849
NAVIGANT INTERNATIONAL, INC.           EQUITY   63935R108    157      10,700 SH       SOLE         1       10,700
NAVIGATORS GROUP INC                   EQUITY   638904102    212       6,144 SH       SOLE         1        6,144
NAVISTAR INTERNATIONAL CORP.           EQUITY   63934E108    949      29,647 SH       SOLE         1       29,647
NAVISTAR INTL CORP INC                 EQUITY   63934E108      3          79 SH       DEFINED      2                     79
NAVTEQ CORP                            EQUITY   63936L100     69       1,860 SH       SOLE         1        1,860
NBC CAPITAL CORP                       EQUITY   628729105    117       4,789 SH       SOLE         1        4,789
NBT BANCORP, INC.                      EQUITY   628778102    529      22,393 SH       SOLE         1       22,393
NBTY, INC.                             EQUITY   628782104    997      38,428 SH       SOLE         1       38,428
NCI BUILDING SYSTEMS, INC.             EQUITY   628852105    471      14,372 SH       SOLE         1       14,372
NCO GROUP, INC.                        EQUITY   628858102    479      22,167 SH       SOLE         1       22,167
NCR CORP NEW                           EQUITY   62886E108      8         222 SH       DEFINED      2                    222
NCR CORP.                              EQUITY   62886E108   3104      88,390 SH       SOLE         1       88,390
NDS GROUP PLC-SPONS ADR                EQUITY   628891103   4345     130,400 SH       SOLE         1      130,400
NECTAR THERAPEUTICS                    EQUITY   640268108    988      58,694 SH       SOLE         1       58,694
NEENAH PAPER INC                       EQUITY   640079109    316      10,198 SH       SOLE         1       10,198
NEIGHBORCARE INC                       EQUITY   64015Y104    870      26,218 SH       SOLE         1       26,218
NEIMAN MARCUS GROUP INC CL A           EQUITY   640204202  13497     139,255 SH       SOLE         1      139,255
NELNET INC-CL A                        EQUITY   64031N108      6         167 SH       SOLE         1          167
NEOPHARM INC                           EQUITY   640919106    119      11,876 SH       SOLE         1       11,876





                                                                                           
NESS TECHNOLOGIES INC                  EQUITY   64104X108    139      13,103 SH       SOLE         1       13,103
NETBANK INC                            EQUITY   640933107    298      31,940 SH       SOLE         1       31,940
NETFLIX.COM INC                        EQUITY   64110L106    415      25,294 SH       SOLE         1       25,294
NETGEAR INC                            EQUITY   64111Q104    409      21,979 SH       SOLE         1       21,979
NETIQ CORP.                            EQUITY   64115P102    424      37,424 SH       SOLE         1       37,424
NETLOGIC MICROSYSTEMS INC              EQUITY   64118B100    128       7,235 SH       SOLE         1        7,235
NETRATINGS INC                         EQUITY   64116M108    134       9,820 SH       SOLE         1        9,820
NETSCOUT SYSTEMS INC                   EQUITY   64115T104    108      16,406 SH       SOLE         1       16,406
NETWORK APPLIANCE INC                  EQUITY   64120L104     12         438 SH       DEFINED      2                    438
NETWORK APPLIANCE, INC.                EQUITY   64120L104   5349     189,207 SH       SOLE         1      189,207
NEUROCRINE BIOSCIENCES INC             EQUITY   64125C109   1703      40,500 SH       DEFINED      2                 40,500
NEUROCRINE BIOSCIENCES, INC.           EQUITY   64125C109   1065      25,312 SH       SOLE         1       25,312
NEUROGEN CORP.                         EQUITY   64124E106    107      15,697 SH       SOLE         1       15,697
NEUROMETRIX INC                        EQUITY   641255104     79       3,949 SH       SOLE         1        3,949
NEW CENTURY FINANCIAL CORP             EQUITY   6435EV108   7796     151,518 SH       SOLE         1      151,518
NEW JERSEY RESOURCES CORP.             EQUITY   646025106    914      18,952 SH       SOLE         1       18,952
NEW PLAN EXCEL REALTY TRUST            EQUITY   648053106   8717     320,819 SH       SOLE         1      320,819
NEW RIVER PHARMACEUTICALS              EQUITY   648468205    126       4,190 SH       SOLE         1        4,190
NEW YORK & CO                          EQUITY   649295102    190       9,007 SH       SOLE         1        9,007
NEW YORK COMMUNITY BANCORP INC         EQUITY   649445103   8012     442,184 SH       SOLE         1      442,184
NEW YORK TIMES CO                      EQUITY   650111107      6         183 SH       DEFINED      2                    183
NEW YORK TIMES CO. CLASS  A            EQUITY   650111107   2085      66,940 SH       SOLE         1       66,940
NEWALLIANCE BANCSHARES INC             EQUITY   650203102   1108      78,861 SH       SOLE         1       78,861
NEWCASTLE INVESTMENT CORP              EQUITY   65105M108   4445     147,413 SH       SOLE         1      147,413
NEWELL RUBBERMAID INC                  EQUITY   651229106      8         332 SH       DEFINED      2                    332
NEWELL RUBBERMAID, INC.                EQUITY   651229106   2995     125,626 SH       SOLE         1      125,626
NEWFIELD EXPLORATION                   EQUITY   651290108   9101     228,161 SH       SOLE         1      228,161
NEWMARKET CORP                         EQUITY   651587107    174      11,753 SH       SOLE         1       11,753
NEWMONT MINING CORP HLDG CO            EQUITY   651639106  13734     351,884 SH       SOLE         1      351,884
NEWMONT MNG CORP                       EQUITY   651639106     21         536 SH       DEFINED      2                    536
NEWPARK RESOURCES, INC.                EQUITY   651718504    436      58,162 SH       SOLE         1       58,162
NEWPORT CORP                           EQUITY   651824104   1445     104,270 SH       SOLE         1      104,270
NEWS CORP                              EQUITY   65248E104  26062   1,610,773 SH       DEFINED      2              1,610,773
NEWS CORP INC-CL A                     EQUITY   65248E104  20281   1,253,442 SH       SOLE         1    1,253,442
NEWTEK BUSINESS SERVICES INC           EQUITY   652526104   1546     687,233 SH       SOLE         1      687,233
NEXEN                                  EQUITY   65334H102   3615     119,100 SH       Defined      1            0   119,100
NEXTEL COMMUNICATIONS INC              EQUITY   65332V103     44       1,348 SH       DEFINED      2                  1,348
NEXTEL COMMUNICATIONS, INC.  CLASS A   EQUITY   65332V103  25739     796,612 SH       SOLE         1      796,612
NEXTEL PARTNERS INC                    EQUITY   65333F107   1338      53,174 SH       SOLE         1       53,174
NGP CAPITAL RESOURCES CO               EQUITY   62912R107    179      12,020 SH       SOLE         1       12,020
NIC INC                                EQUITY   62914B100    107      23,145 SH       SOLE         1       23,145
NICE SYS LTD SPONSORED ADR             EQUITY   653656108      1       25300 SH       SOLE         3        25300
NICOR INC                              EQUITY   654086107      2          60 SH       DEFINED      2                     60
Nicor Inc                              EQUITY   654086107   4323     105,000 SH       SOLE         4      105,000
NICOR, INC.                            EQUITY   654086107   2040      49,559 SH       SOLE         1       49,559
NII HLDGS INC                          EQUITY   62913F201   9923     155,200 SH       DEFINED      2                155,200
NII HOLDINGS INC-CL B                  EQUITY   62913F201     76       1,188 SH       SOLE         1        1,188
NIKE INC                               EQUITY   654106103  18983     219,220 SH       DEFINED      2                219,220
NIKE, INC. CLASS  B                    EQUITY   654106103  15161     175,075 SH       SOLE         1      175,075
NIKU CORP                              EQUITY   654113703    932      44,971 SH       SOLE         1       44,971
NISOURCE INC                           EQUITY   65473P105      8         327 SH       DEFINED      2                    327
NISOURCE, INC.                         EQUITY   65473P105   7774     314,356 SH       SOLE         1      314,356





                                                                                             
NITROMED INC                           EQUITY   654798503    221      11,356 SH       SOLE         1       11,356
NL INDUSTRIES, INC.                    EQUITY   629156407     84       5,433 SH       SOLE         1        5,433
NN INC                                 EQUITY   629337106    148      11,682 SH       SOLE         1       11,682
NOBLE CORPORATION                      EQUITY   G65422100   3608      58,654 SH       SOLE         1       58,654
NOBLE CORPORATION SHS                  EQUITY   G65422100      2       33617 SH       SOLE         3        33617             958
NOBLE ENERGYINC                        EQUITY   655044105  11888     157,142 SH       SOLE         1      157,142
NOBLE INTERNATIONAL LTD                EQUITY   655053106    121       5,135 SH       SOLE         1        5,135
NOKIA CORP SPON-ADR                    EQUITY   654902204   1280      76,920 SH       SOLE         1       76,920
NORDSON CORP                           EQUITY   655663102   9578     279,400 SH       DEFINED      2                279,400
NORDSON CORP.                          EQUITY   655663102   2664      77,712 SH       SOLE         1       77,712
NORDSTROM INC                          EQUITY   655664100     10         148 SH       DEFINED      2                    148
NORDSTROM, INC.                        EQUITY   655664100   5728      84,266 SH       SOLE         1       84,266
NORFOLK SOUTHERN CORP.                 EQUITY   655844108   9879     319,073 SH       SOLE         1      319,073
NORFOLK SOUTHN CORP                    EQUITY   655844108     15         480 SH       DEFINED      2                    480
NORTEL NETWORKS CORP                   EQUITY   656568102      5       2,010 SH       DEFINED      2                  2,010
NORTH FORK BANCORPORATION              EQUITY   659424105     16         574 SH       DEFINED      2                    574
NORTH FORK BANCORPORATION INC.         EQUITY   659424105   6140     218,592 SH       SOLE         1      218,592
NORTH PITTSBURGH SYSTEMS               EQUITY   661562108    202      10,366 SH       SOLE         1       10,366
NORTHEAST UTILITIES                    EQUITY   664397106   4877     233,798 SH       SOLE         1      233,798
NORTHERN EMPIRE BANCSHARES             EQUITY   665112108    171       5,515 SH       SOLE         1        5,515
NORTHERN ORION RESOURCES INC           EQUITY   665575106   2352     954,500 SH       Defined      1            0   954,500
NORTHERN TRUST CORP                    EQUITY   665859104     11         249 SH       DEFINED      2                    249
NORTHERN TRUST CORP.                   EQUITY   665859104   6047     132,638 SH       SOLE         1      132,638
NORTHFIELD LABORATORIES, INC.          EQUITY   666135108    232      16,221 SH       SOLE         1       16,221
NORTHROP GRUMMAN CORP                  EQUITY   666807102     23         425 SH       DEFINED      2                    425
NORTHROP GRUMMAN CORP.                 EQUITY   666807102   8575     155,195 SH       SOLE         1      155,195
NORTHSTAR REALTY FINANCE COR           EQUITY   66704R100    139      13,211 SH       SOLE         1       13,211
NORTHWEST AIRLINES CORP CL-A           EQUITY   667280101    275      60,201 SH       SOLE         1       60,201
NORTHWEST BANCORP INC.                 EQUITY   667328108    288      13,553 SH       SOLE         1       13,553
NORTHWEST NATURAL GAS CO.              EQUITY   667655104    728      19,032 SH       SOLE         1       19,032
NORTHWESTERN CORP                      EQUITY   668074305    775      24,600 SH       SOLE         1       24,600
NOVA CHECMICALS                        EQUITY   66977W109   3735     122,400 SH       Defined      1            0   122,400
NOVASTAR FINL INC                      EQUITY   669947400    713      18,217 SH       SOLE         1       18,217
NOVATEL WIRELESS INC                   EQUITY   66987M604    250      20,051 SH       SOLE         1       20,051
NOVATEL WIRELESS INC COM NEW           EQUITY   66987M604      2      134300 SH       SOLE         3       134300
NOVELL INC                             EQUITY   670006105      3         457 SH       DEFINED      2                    457
NOVELL, INC .                          EQUITY   670006105   1086     175,105 SH       SOLE         1      175,105
NOVELLUS SYS INC                       EQUITY   670008101      4         169 SH       DEFINED      2                    169
NOVELLUS SYSTEMS, INC.                 EQUITY   670008101   1790      72,439 SH       SOLE         1       72,439
NOVEN PHARMACEUTICALS, INC.            EQUITY   670009109    284      16,275 SH       SOLE         1       16,275
NPS  PHARMACEUTICALS INC.              EQUITY   62936P103    304      26,810 SH       SOLE         1       26,810
NRG ENERGY INC                         EQUITY   629377508   5435     144,536 SH       SOLE         1      144,536
NS GROUP, INC.                         EQUITY   628916108    499      15,353 SH       SOLE         1       15,353
NSTAR                                  EQUITY   67019E107   5943     192,767 SH       SOLE         1      192,767
NTL INC                                EQUITY   62940M104    550       8,044 SH       SOLE         1        8,044
NTN COMMUNICATIONS INC                 EQUITY   629410309     86      45,639 SH       SOLE         1       45,639
NU SKIN ENTERPRISES, INC. CLASS A      EQUITY   67018T105    906      38,881 SH       SOLE         1       38,881
NUCO2 INC                              EQUITY   629428103    190       7,411 SH       SOLE         1        7,411
NUCOR CORP                             EQUITY   670346105      9         191 SH       DEFINED      2                    191
NUCOR CORP.                            EQUITY   670346105   4018      88,078 SH       SOLE         1       88,078
NUTRI/SYSTEM INC                       EQUITY   67069D108    226      15,307 SH       SOLE         1       15,307
NUVASIVE INC                           EQUITY   670704105    175      10,553 SH       SOLE         1       10,553





                                                                                            
NUVEEN INVESTMENTS INC                 EQUITY   67090F106     47       1,244 SH       SOLE         1        1,244
NUVELO INC                             EQUITY   67072M301    268      34,638 SH       SOLE         1       34,638
NVIDIA CORP                            EQUITY   67066G104      5         199 SH       DEFINED      2                    199
NVIDIA CORP                            EQUITY   67066G104   2736     102,405 SH       SOLE         1      102,405
NVR, INC.                              EQUITY   62944T105     91         112 SH       SOLE         1          112
OAKLEY INC.                            EQUITY   673662102    286      16,800 SH       SOLE         1       16,800
OCA INC                                EQUITY   67083Q101     48      25,354 SH       SOLE         1       25,354
OCCIDENTAL PETE CORP                   EQUITY   674599105     36         473 SH       DEFINED      2                    473
OCCIDENTAL PETROLEUM CORP.             EQUITY   674599105  13232     172,003 SH       SOLE         1      172,003
OCEANEERING INTERNATIONAL, INC         EQUITY   675232102    693      17,933 SH       SOLE         1       17,933
OCEANFIRST FINANCIAL CORP              EQUITY   675234108    140       6,203 SH       SOLE         1        6,203
O'CHARLEY'S INC.                       EQUITY   670823103    270      15,299 SH       SOLE         1       15,299
OCTEL CORP.                            EQUITY   675727101    155       8,611 SH       SOLE         1        8,611
OCWEN FINANCIAL CORP.                  EQUITY   675746101    161      23,756 SH       SOLE         1       23,756
ODYSSEY HEALTHCARE INC                 EQUITY   67611V101    344      23,830 SH       SOLE         1       23,830
ODYSSEY MARINE EXPLORATION             EQUITY   676118102    123      24,632 SH       SOLE         1       24,632
ODYSSEY RE HLDGS CORP                  EQUITY   67612W108    201       8,153 SH       SOLE         1        8,153
OFFICE DEPOT INC                       EQUITY   676220106      9         375 SH       DEFINED      2                    375
OFFICE DEPOT, INC.                     EQUITY   676220106   3741     163,783 SH       SOLE         1      163,783
OFFICEMAX INC                          EQUITY   67622P101    966      32,443 SH       SOLE         1       32,443
OFFICEMAX INC DE                       EQUITY   67622P101      3          87 SH       DEFINED      2                     87
OFFSHORE LOGISTICS, INC.               EQUITY   676255102    529      16,106 SH       SOLE         1       16,106
OGE ENERGY CORP.                       EQUITY   670837103   6419     221,803 SH       SOLE         1      221,803
OHIO CASUALTY CORP.                    EQUITY   677240103   3738     154,667 SH       SOLE         1      154,667
OIL STATES INTERNATIONAL INC           EQUITY   678026105    707      28,101 SH       SOLE         1       28,101
OLD DOMINION FGHT LINE COM             EQUITY   679580100      1       36809 SH       SOLE         3        36809            1801
OLD DOMINION FREIGHT LINE              EQUITY   679580100    348      12,976 SH       SOLE         1       12,976
OLD NATL BANCORP                       EQUITY   680033107   1010      47,196 SH       SOLE         1       47,196
OLD REPUBLIC INTL CORP.                EQUITY   680223104   8350     330,180 SH       SOLE         1      330,180
OLD SECOND BANCORP INC                 EQUITY   680277100    271       9,323 SH       SOLE         1        9,323
OLIN CORP.                             EQUITY   680665205   3206     175,766 SH       SOLE         1      175,766
OM GROUP INC                           EQUITY   670872100    486      19,674 SH       SOLE         1       19,674
OMEGA FINANCIAL CORP.                  EQUITY   682092101    271       8,714 SH       SOLE         1        8,714
OMEGA HEALTHCARE INVESTORS             EQUITY   681936100    500      38,862 SH       SOLE         1       38,862
OMNICARE, INC.                         EQUITY   681904108   8036     189,384 SH       SOLE         1      189,384
OMNICOM GROUP                          EQUITY   681919106     17         215 SH       DEFINED      2                    215
OMNICOM GROUP, INC.                    EQUITY   681919106   6301      78,895 SH       SOLE         1       78,895
OMNIVISION TECHNOLOGIE                 EQUITY   682128103    534      39,293 SH       SOLE         1       39,293
ON SEMICONDUCTOR CORPORATION           EQUITY   682189105    455      98,906 SH       SOLE         1       98,906
ONE LIBERTY PROPERTIES INC             EQUITY   682406103    110       5,313 SH       SOLE         1        5,313
ONEOK, INC.                            EQUITY   682680103   6687     204,813 SH       SOLE         1      204,813
ONLINE RESOURCES CORP                  EQUITY   68273G101    165      14,595 SH       SOLE         1       14,595
ONYX PHARMACEUTICALS INC               EQUITY   683399109    581      24,379 SH       SOLE         1       24,379
ONYX PHARMACEUTICALS INC               EQUITY   683399109    654      27,400 SH       DEFINED      2                 27,400
OPEN SOLLUTIONS INC                    EQUITY   68371P102    274      13,479 SH       SOLE         1       13,479
OPENWAVE SYSTEMS INC.                  EQUITY   683718308    780      47,561 SH       SOLE         1       47,561
OPLINK COMMUNICATIONS INC              EQUITY   68375Q106    117      70,991 SH       SOLE         1       70,991
OPSWARE INC                            EQUITY   68383A101    264      51,488 SH       SOLE         1       51,488
OPTICAL COMMUNICATION PROD             EQUITY   68382T101     20      10,374 SH       SOLE         1       10,374
OPTION CARE INC                        EQUITY   683948103    211      14,960 SH       SOLE         1       14,960
OPTIONSXPRESS HOLDINGS INC             EQUITY   684010101    216      14,243 SH       SOLE         1       14,243
ORACLE CORP                            EQUITY   68389X105  32903   2,492,617 SH       DEFINED      2              2,492,617





                                                                                           
ORACLE CORP.                           EQUITY   68389X105  57910   4,387,125 SH       SOLE         1    4,387,125
ORASURE TECHNOLOGIES INC               EQUITY   68554V108    308      30,874 SH       SOLE         1       30,874
ORBITAL SCIENCES CORP.                 EQUITY   685564106    548      55,354 SH       SOLE         1       55,354
OREGON STEEL MILLS, INC.               EQUITY   686079104    421      24,474 SH       SOLE         1       24,474
O'REILLY AUTOMOTIVE, INC.              EQUITY   686091109   5679     190,373 SH       SOLE         1      190,373
ORIENTAL FINANCIAL GROUP               EQUITY   68618W100    223      14,640 SH       SOLE         1       14,640
ORIGEN FINANCIAL INC                   EQUITY   68619E208     88      11,878 SH       SOLE         1       11,878
ORLEANS HOMEBUILDERS INC               EQUITY   686588104     67       2,842 SH       SOLE         1        2,842
ORMAT TECHNOLOGIES INC                 EQUITY   686688102     95       4,971 SH       SOLE         1        4,971
OSHKOSH B'GOSH, INC. CLASS A           EQUITY   688222207    140       5,394 SH       SOLE         1        5,394
OSHKOSH TRUCK CORP CL B                EQUITY   688239201     60         771 SH       SOLE         1          771
OSI PHARMACEUTICALS                    EQUITY   671040103     43       1,063 SH       SOLE         1        1,063
OSI SYSTEMS INC                        EQUITY   671044105    164      10,390 SH       SOLE         1       10,390
OTTER TAIL POWER CO.                   EQUITY   689648103    551      20,143 SH       SOLE         1       20,143
OUTBACK STEAKHOUSE INC.                EQUITY   689899102   5534     122,331 SH       SOLE         1      122,331
OUTDOOR CHANNEL HOLDINGS INC           EQUITY   690027206     55       3,978 SH       SOLE         1        3,978
OVERNITE CORP                          EQUITY   690322102   3869      90,024 SH       SOLE         1       90,024
OVERSEAS SHIPHOLDING GROUP             EQUITY   690368105   3730      62,535 SH       SOLE         1       62,535
OVERSTOCK.COM                          EQUITY   690370101    280       7,856 SH       SOLE         1        7,856
OWENS & MINOR, INC.                    EQUITY   690732102    887      27,426 SH       SOLE         1       27,426
OWENS-ILLINOIS, INC.                   EQUITY   690768403     89       3,539 SH       SOLE         1        3,539
OXFORD INDS INC.                       EQUITY   691497309    415       9,649 SH       SOLE         1        9,649
P A M TRANSN SVCS INC                  EQUITY   693149106     72       4,293 SH       SOLE         1        4,293
P G & E CORP.                          EQUITY   69331C108   6388     170,176 SH       SOLE         1      170,176
P. F. CHANGS CHINA BISTRO INC.         EQUITY   69333Y108   1065      18,060 SH       SOLE         1       18,060
PACCAR INC                             EQUITY   693718108     14         207 SH       DEFINED      2                    207
PACCAR, INC                            EQUITY   693718108   6240      91,770 SH       SOLE         1       91,770
PACER INTERNATIONAL INC                EQUITY   69373H106    562      25,802 SH       SOLE         1       25,802
PACIFIC CAPITAL BANCORP                EQUITY   69404P101   1171      31,657 SH       SOLE         1       31,657
PACIFIC ETHANOL INC                    EQUITY   69423U107     21       2,143 SH       SOLE         1        2,143
PACIFIC SUNWEAR OF CALIFORNIA          EQUITY   694873100   4268     185,654 SH       SOLE         1      185,654
PACIFICARE HEALTH SYSTEMS              EQUITY   695112102   9496     132,900 SH       DEFINED      2                132,900
PACIFICARE HEALTH SYSTEMS INC CLASS A  EQUITY   695112102  11221     157,052 SH       SOLE         1      157,052
PACKAGING CORP OF AMERICA              EQUITY   695156109   9819     466,443 SH       SOLE         1      466,443
PACKETEER, INC                         EQUITY   695210104    330      23,375 SH       SOLE         1       23,375
PACTIV CORP                            EQUITY   695257105      4         179 SH       DEFINED      2                    179
PACTIV CORPORATION                     EQUITY   695257105   1478      68,485 SH       SOLE         1       68,485
PAIN THERAPEUTICS INC                  EQUITY   69562K100    130      19,293 SH       SOLE         1       19,293
PAINCARE HOLDINGS INC                  EQUITY   69562E104    129      29,858 SH       SOLE         1       29,858
PALL CORP                              EQUITY   696429307      5         151 SH       DEFINED      2                    151
PALL CORP                              EQUITY   696429307   1734      57,123 SH       SOLE         1       57,123
PALM HARBOR HOMES, INC                 EQUITY   696639103    124       6,592 SH       SOLE         1        6,592
PALMONE INC                            EQUITY   69713P107    859      28,862 SH       SOLE         1       28,862
PALOMAR MEDICAL TECHNOLOGIES           EQUITY   697529303    279      11,655 SH       SOLE         1       11,655
PAN PACIFIC RETAIL PROPERTIES          EQUITY   69806L104    266       4,000 SH       SOLE         1        4,000
PANAMSAT HOLDING CORP                  EQUITY   69831Y105     26       1,247 SH       SOLE         1        1,247
PANERA BREAD COMPANY CL A              EQUITY   69840W108     40         639 SH       SOLE         1          639
PANTRY INC                             EQUITY   698657103    455      11,748 SH       SOLE         1       11,748
PAPA JOHNS INTERNATIONAL, INC          EQUITY   698813102    300       7,497 SH       SOLE         1        7,497
PAR PHARMACEUTICAL COMPANIES, INC      EQUITY   69888P106   2685      84,420 SH       SOLE         1       84,420
PAR PHARMACEUTICAL COS INC             EQUITY   69888P106   3076      96,700 SH       DEFINED      2                 96,700
PAR TECHNOLOGY CORP/DEL                EQUITY   698884103     89       2,785 SH       SOLE         1        2,785





                                                                                            
PARALLEL PETROLEUM CORP                EQUITY   699157103    191      21,545 SH       SOLE         1       21,545
PARAMETRIC TECHNOLOGY CORP             EQUITY   699173100   3919     614,226 SH       DEFINED      2                614,226
PARAMETRIC TECHNOLOGY CORP.            EQUITY   699173100   2089     327,399 SH       SOLE         1      327,399
PAREXEL INTERNATIONAL CORP.            EQUITY   699462107    357      18,030 SH       SOLE         1       18,030
PARK ELECTROCHEMICAL CORP.             EQUITY   700416209    348      13,802 SH       SOLE         1       13,802
PARK NATIONAL CORP.                    EQUITY   700658107    929       8,403 SH       SOLE         1        8,403
PARKER DRILLING CO.                    EQUITY   701081101    464      66,135 SH       SOLE         1       66,135
PARKER HANNIFIN CORP                   EQUITY   701094104      9         146 SH       DEFINED      2                    146
PARKER HANNIFIN CORP.                  EQUITY   701094104   4553      73,429 SH       SOLE         1       73,429
PARKWAY PROPERTIES, INC.               EQUITY   70159Q104    536      10,722 SH       SOLE         1       10,722
PARLUX FRAGRANCES INC                  EQUITY   701645103    119       4,308 SH       SOLE         1        4,308
PARTNERS TRUST FINANCIAL GRP           EQUITY   70213F102    368      34,481 SH       SOLE         1       34,481
PARTY CITY CORP                        EQUITY   702145103     97       8,077 SH       SOLE         1        8,077
PATHMARK STORES INC                    EQUITY   70322A101    182      20,773 SH       SOLE         1       20,773
PATTERSON COS INC                      EQUITY   703395103  11534     255,916 SH       SOLE         1      255,916
PATTERSON UTI ENERGY COM               EQUITY   703481101      2       59792 SH       SOLE         3        59792            2130
PATTERSON UTI ENERGY INC               EQUITY   703481101   1030      37,000 SH       DEFINED      2                 37,000
PATTERSON UTI ENERGY INC               EQUITY   703481101   1500      53,900 SH       DEFINED      2                 53,900
PATTERSON-UTI ENERGY INC               EQUITY   703481101   8494     305,217 SH       SOLE         1      305,217
PAXAR CORP.                            EQUITY   704227107    430      24,241 SH       SOLE         1       24,241
PAYCHEX INC                            EQUITY   704326107  11394     350,152 SH       DEFINED      2                350,152
PAYCHEX, INC.                          EQUITY   704326107   6489     199,542 SH       SOLE         1      199,542
PAYLESS SHOESOURCE, INC.               EQUITY   704379106   3195     166,389 SH       SOLE         1      166,389
PDF SOLUTIONS INC                      EQUITY   693282105    167      12,741 SH       SOLE         1       12,741
PEABODY ENERGY CORP                    EQUITY   704549104   4142      79,600 SH       DEFINED      2                 79,600
PEABODY ENERGY CORP                    EQUITY   704549104  11158     214,412 SH       SOLE         1      214,412
PEAPACK-GLADSTONE FINL                 EQUITY   704699107    159       5,732 SH       SOLE         1        5,732
PEDIATRIX MED GROUP                    EQUITY   705324101   1633      22,200 SH       DEFINED      2                 22,200
PEDIATRIX MEDICAL GROUP                EQUITY   705324101   1163      15,819 SH       SOLE         1       15,819
PEETS COFFEE & TEA INC                 EQUITY   705560100    312       9,428 SH       SOLE         1        9,428
PEGASUS COMMUNICATIONS CORP            EQUITY   705904605                 66 SH       SOLE         1           66
PEGASUS SOLUTIONS INC.                 EQUITY   705906105    159      14,304 SH       SOLE         1       14,304
PEGASYSTEMS INC                        EQUITY   705573103     54       9,135 SH       SOLE         1        9,135
PENN NATIONAL GAMING, INC.             EQUITY   707569109     50       1,358 SH       SOLE         1        1,358
PENN NATL GAMING INC COM               EQUITY   707569109      1       24600 SH       SOLE         3        24600
PENN VA CORP COM                       EQUITY   707882106      2       46500 SH       SOLE         3        46500
PENN VIRGINIA CORPORATION              EQUITY   707882106    571      12,787 SH       SOLE         1       12,787
PENNEY J C INC                         EQUITY   708160106     17         324 SH       DEFINED      2                    324
PENNFED FINANCIAL SVCS INC             EQUITY   708167101    106       6,295 SH       SOLE         1        6,295
PENNROCK FINL SVCS COR                 EQUITY   708352109    190       5,320 SH       SOLE         1        5,320
PENNSYLVANIA COMMERCE BANCRP           EQUITY   708677109    100       3,042 SH       SOLE         1        3,042
PENNSYLVANIA REAL ESTATE INV.          EQUITY   709102107   1319      27,761 SH       SOLE         1       27,761
PENTAIR INC COM                        EQUITY   709631105      3       58915 SH       SOLE         3        58915            2236
PENTAIR INC.                           EQUITY   709631105   7834     183,004 SH       SOLE         1      183,004
PENWEST PHARMACEUTICALS CO             EQUITY   709754105    177      15,009 SH       SOLE         1       15,009
PEOPLES BANCORP INC                    EQUITY   709789101    173       6,469 SH       SOLE         1        6,469
PEOPLES BANK                           EQUITY   710198102     36       1,196 SH       SOLE         1        1,196
PEOPLES ENERGY CORP                    EQUITY   711030106      2          53 SH       DEFINED      2                     53
Peoples Energy Corp                    EQUITY   711030106   5215     120,000 SH       SOLE         4      120,000
PEOPLES ENERGY CORP.                   EQUITY   711030106   2290      52,686 SH       SOLE         1       52,686
PEOPLESUPPORT INC                      EQUITY   712714302    377      41,292 SH       SOLE         1       41,292
PEP BOYS-MANNY, MOE & JACK             EQUITY   713278109    517      38,188 SH       SOLE         1       38,188




                                                                                            
PEPCO HOLDINGS INC                     EQUITY   713291102    8167    341,149  SH         SOLE       1     341,149
PEPSI BOTTLING                         EQUITY   713409100    5627    196,688  SH         SOLE       1     196,688
PEPSI BOTTLING GROUP INC               EQUITY   713409100       7        244  SH         DEFINED    2                   244
PEPSIAMERICAS INC                      EQUITY   71343P200    4812    187,546  SH         SOLE       1     187,546
Pepsico                                EQUITY   713448108    1618     30,000  SH         SOLE       4      30,000
PEPSICO INC                            EQUITY   713448108   25752    477,499  SH         DEFINED    2               477,499
PEPSICO, INC.                          EQUITY   713448108   91212  1,691,298  SH         SOLE       1   1,691,298
PERFICIENT INC COM                     EQUITY   71375U101       3     465900  SH         SOLE       3      465900
PERFORMANCE FOOD GROUP CO.             EQUITY   713755106     980     32,445  SH         SOLE       1      32,445
PERICOM SEMICONDUCTOR CORP             EQUITY   713831105     148     18,227  SH         SOLE       1      18,227
PERINI CORP                            EQUITY   713839108   43894  2,673,173  SH         SOLE       1   2,673,173
PERKINELMER INC                        EQUITY   714046109       3        156  SH         DEFINED    2                   156
PERKINELMER INC.                       EQUITY   714046109    1507     79,739  SH         SOLE       1      79,739
PEROT SYSTEM CORP.                     EQUITY   714265105     804     56,563  SH         SOLE       1      56,563
PERRIGO CO.                            EQUITY   714290103    3020    216,616  SH         SOLE       1     216,616
PERRY ELLIS INTERNATIONAL              EQUITY   288853104     153      6,546  SH         SOLE       1       6,546
PER-SE TECHNOLOGIES                    EQUITY   713569309     321     15,279  SH         SOLE       1      15,279
PERU COPPER INC                        EQUITY   715455101     550    518,200  SH         Defined    1           0   518,200
PERU COPPER INC PURCHASE WARRANTS      EQUITY   715455119       9    112,500  SH         Defined    1           0   112,500
PETCO ANIMAL SUPPLIES                  EQUITY   716016209    1167     39,804  SH         SOLE       1      39,804
PETRO-CANADA                           EQUITY   71644E102    5889     90,500  SH         Defined    1           0    90,500
PETROHAWK ENERGY CORP                  EQUITY   716495106     177     16,360  SH         SOLE       1      16,360
PETROKAZAKHSTAN INC-CL A               EQUITY   71649P102    4179    114,400  SH         Defined    1           0   114,400
PETROLEO BRASILEIRO S.A. ADR           EQUITY   71654V408   11024    211,480  SH         SOLE       1     211,480
PETROLEUM DEVELOPMENT CORP             EQUITY   716578109     365     11,461  SH         SOLE       1      11,461
PETROQUEST ENERGY INC                  EQUITY   716748108     185     28,138  SH         SOLE       1      28,138
PETSMART, INC                          EQUITY   716768106    8131    267,907  SH         SOLE       1     267,907
PFF BANCORP, INC.                      EQUITY   69331W104     407     13,422  SH         SOLE       1      13,422
PFIZER INC                             EQUITY   717081103   23271    844,027  SH         DEFINED    2               844,027
PFIZER, INC.                           EQUITY   717081103  148254  5,375,421  SH         SOLE       1   5,375,421
PG+E CORP                              EQUITY   69331C108      17        445  SH         DEFINED    2                   445
PHARMACEUTICAL PRODUCT DEVELOPMENT     EQUITY   717124101      47      1,002  SH         SOLE       1       1,002
PHARMION CORP                          EQUITY   71715B409     393     16,951  SH         SOLE       1      16,951
PHASE FORWARD INC                      EQUITY   71721R406     104     15,266  SH         SOLE       1      15,266
PHELPS DODGE CORP                      EQUITY   717265102      10        109  SH         DEFINED    2                   109
PHELPS DODGE CORP.                     EQUITY   717265102    4171     45,093  SH         SOLE       1      45,093
PHH CORP                               EQUITY   693320202     934     36,314  SH         SOLE       1      36,314
PHILADELPHIA CONS. HLDG. CO.           EQUITY   717528103      33        386  SH         SOLE       1         386
PHILLIPS-VAN HEUSEN CORP.              EQUITY   718592108     598     18,295  SH         SOLE       1      18,295
PHOENIX COMPANIES INC                  EQUITY   71902E109     781     65,632  SH         SOLE       1      65,632
PHOENIX TECHNOLOGIES, LTD.             EQUITY   719153108     134     17,172  SH         SOLE       1      17,172
PHOENIX TECHNOLOGY LTD COM             EQUITY   719153108       1     151400  SH         SOLE       3      151400
PHOTON DYNAMICS                        EQUITY   719364101     241     11,685  SH         SOLE       1      11,685
PHOTRONICS INC.                        EQUITY   719405102     530     22,691  SH         SOLE       1      22,691
PICO HOLDINGS INC                      EQUITY   693366205     164      5,501  SH         SOLE       1       5,501
PIEDMONT NATURAL GAS CO., INC.         EQUITY   720186105      51      2,132  SH         SOLE       1       2,132
PIER 1 IMPORTS, INC.                   EQUITY   720279108    3018    212,666  SH         SOLE       1     212,666
PILGRIMS PRIDE CORP.                   EQUITY   721467108      24        703  SH         SOLE       1         703
PINNACLE AIRLINES CORP                 EQUITY   723443107     115     13,431  SH         SOLE       1      13,431
PINNACLE FINANCIAL PARTNERS            EQUITY   72346Q104     121      5,024  SH         SOLE       1       5,024
PINNACLE SYSTEMS, INC.                 EQUITY   723481107    2187    397,580  SH         SOLE       1     397,580
PINNACLE WEST CAP CORP                 EQUITY   723484101       6        124  SH         DEFINED    2                   124





                                                                                            
PINNACLE WEST CAPITAL CORP.            EQUITY   723484101    2541     57,159  SH         SOLE       1      57,159
PIONEER COMPANIES                      EQUITY   723643300     171      7,796  SH         SOLE       1       7,796
PIONEER COS INC COM NEW                EQUITY   723643300       1      60600  SH         SOLE       3       60600
PIONEER DRILLING CO COM                EQUITY   723655106       3     183300  SH         SOLE       3      183300
PIONEER DRILLING COMPANY               EQUITY   723655106     208     13,628  SH         SOLE       1      13,628
PIONEER NATURAL RESOURCES CORP         EQUITY   723787107   10951    260,250  SH         SOLE       1     260,250
PIPER JAFFRAY COS                      EQUITY   724078100     432     14,187  SH         SOLE       1      14,187
PITNEY BOWES INC                       EQUITY   724479100      12        282  SH         DEFINED    2                   282
PITNEY BOWES, INC.                     EQUITY   724479100   13444    308,703  SH         SOLE       1     308,703
PIXAR INC                              EQUITY   725811103     445      8,900  SH         SOLE       1       8,900
PIXELWORKS INC                         EQUITY   72581M107     276     32,120  SH         SOLE       1      32,120
PLACER DOME INC                        EQUITY   725906101    3722    243,300  SH         Defined    1           0   243,300
PLACER SIERRA BANCSHARES               EQUITY   726079106     126      4,633  SH         SOLE       1       4,633
PLAINS EXPLORATION & PRODUCT           EQUITY   726505100    4950    139,305  SH         SOLE       1     139,305
PLANTRONICS, INC.                      EQUITY   727493108    4279    117,692  SH         SOLE       1     117,692
PLAYBOY ENTERPRISES, INC.              EQUITY   728117300     183     14,139  SH         SOLE       1      14,139
PLAYTEX PRODUCTS, INC.                 EQUITY   72813P100     301     27,935  SH         SOLE       1      27,935
PLEXUS CORP.                           EQUITY   729132100    1525    107,152  SH         SOLE       1     107,152
PLUG POWER INC                         EQUITY   72919P103     208     30,296  SH         SOLE       1      30,296
PLUM CREEK TIMBER CO INC               EQUITY   729251108       8        229  SH         DEFINED    2                   229
PLUM CREEK TIMBER CO INC               EQUITY   729251108    3124     86,057  SH         SOLE       1      86,057
PLX TECHNOLOGY, INC.                   EQUITY   693417107     164     16,095  SH         SOLE       1      16,095
PMA CAPITAL CORP.                      EQUITY   693419202     194     21,992  SH         SOLE       1      21,992
PMC SIERRA INC                         EQUITY   69344F106    2160    231,523  SH         DEFINED    2               231,523
PMC-SIERRA, INC.                       EQUITY   69344F106    1886    202,126  SH         SOLE       1     202,126
PMI GROUP, INC.                        EQUITY   69344M101    6592    169,100  SH         SOLE       1     169,100
PNC FINANCIAL SERVICES                 EQUITY   693475105    6669    122,451  SH         OLE        1     122,451
PNC FINL SVCS GROUP INC                EQUITY   693475105      19        341  SH         DEFINED    2                   341
PNM RESOURCES INC                      EQUITY   69349H107    4125    134,591  SH         SOLE       1     124,601
POGO PRODUCING CO                      EQUITY   730448107    5727    110,296  SH         SOLE       1     110,296
POLARIS INDUSTRIES, INC.               EQUITY   731068102      48        883  SH         SOLE       1         883
POLO RALPH LAUREN CO                   EQUITY   731572103      51      1,177  SH         SOLE       1       1,177
POLO RALPH LAUREN CORP CL A            EQUITY   731572103       2      40866  SH         SOLE       3       40866             2023
POLYCOM, INC.                          EQUITY   73172K104    3611    242,206  SH         SOLE       1     242,206
POLYMEDICA CORP                        EQUITY   731738100     683     19,165  SH         SOLE       1      19,165
POLYONE CORPORATION                    EQUITY   73179P106     420     63,446  SH         SOLE       1      63,446
POPULAR INC                            EQUITY   733174106     187      7,425  SH         SOLE       1       7,425
PORTALPLAYER INC                       EQUITY   736187204     220     10,543  SH         SOLE       1      10,543
PORTEC RAIL PRODS INC COM              EQUITY   736212101       2     193283  SH         SOLE       3      193283
PORTFOLIO RECOVERY ASS COM             EQUITY   73640Q105       6     135400  SH         SOLE       3      135400
PORTFOLIO RECOVERY ASSOCIATE           EQUITY   73640Q105     452     10,763  SH         SOLE       1      10,763
POSSIS MEDICAL INC                     EQUITY   737407106     122     12,042  SH         SOLE       1      12,042
POST PROPERTIES, INC.                  EQUITY   737464107    2392     66,240  SH         SOLE       1      66,240
POTLATCH CORP.                         EQUITY   737628107    3748     71,615  SH         SOLE       1      71,615
POWELL INDUSTRIES INC                  EQUITY   739128106      88      4,668  SH         SOLE       1       4,668
POWER INTEGRATIONS, INC.               EQUITY   739276103     438     20,308  SH         SOLE       1      20,308
POWER-ONE , INC.                       EQUITY   739308104     325     51,519  SH         SOLE       1      51,519
POWERWAVE TECHNOLOGIES COM             EQUITY   739363109              22300  SH         SOLE       3       22300
POWERWAVE TECHNOLOGIES INC             EQUITY   739363109    2516    246,217  SH         SOLE       1     246,217
POZEN INC.                             EQUITY   73941U102     136     16,500  SH         SOLE       1      16,500
PPG INDS INC                           EQUITY   693506107      13        215  SH         DEFINED    2                   215
PPG INDUSTRIES, INC.                   EQUITY   693506107   10428    166,159  SH         SOLE       1     166,159





                                                                                            
PPL CORP                               EQUITY   69351T106      14        235  SH         DEFINED    2                   235
PPL Corp                               EQUITY   69351T106    1485     25,000  SH         SOLE       4      25,000
PPL CORPORATION                        EQUITY   69351T106    5179     87,221  SH         SOLE       1      87,221
PRA INTERNATIONAL                      EQUITY   69353C101     208      7,760  SH         SOLE       1       7,760
PRA INTL COM                           EQUITY   69353C101       1      51000  SH         SOLE       3       51000
PRAXAIR INC                            EQUITY   74005P104      18        389  SH         DEFINED    2                   389
PRAXAIR, INC.                          EQUITY   74005P104    6479    139,039  SH         SOLE       1     139,039
PRECISION CASTPARTS CORP.              EQUITY   740189105    9292    119,275  SH         SOLE       1     119,275
PREFERRED BANK/LOS ANGELES             EQUITY   740367107     112      2,855  SH         SOLE       1       2,855
PREFORMED LINE PRODUCTS CO             EQUITY   740444104      69      1,703  SH         SOLE       1       1,703
PREMCOR INC                            EQUITY   74045Q104    7702    103,824  SH         SOLE       1     103,824
PREMIERE GLOBAL SERVICES INC           EQUITY   740585104     561     49,728  SH         SOLE       1      49,728
PREMIERWEST BANCORP                    EQUITY   740921101     134      9,060  SH         SOLE       1       9,060
PRENTISS PROPERTIES TRUST              EQUITY   740706106    1248     34,248  SH         SOLE       1      34,248
PREPAID LEGAL SERVICES, INC.           EQUITY   740065107     301      6,751  SH         SOLE       1       6,751
PRESIDENTIAL LIFE CORP.                EQUITY   740884101     242     14,159  SH         SOLE       1      14,159
PRESSTEK INC                           EQUITY   741113104     229     20,197  SH         SOLE       1      20,197
PRESTIGE BRANDS HOLDINGS INC           EQUITY   74112D101     377     19,343  SH         SOLE       1      19,343
PRG-SCHULTZ INTERNATIONAL              EQUITY   69357C107      81     28,579  SH         SOLE       1      28,579
PRICE COMMUNICATIONS CO.               EQUITY   741437305     548     31,649  SH         SOLE       1      31,649
PRICE T ROWE GROUP INC                 EQUITY   74144T108      10        156  SH         DEFINED    2                   156
PRICELINE.COM INC                      EQUITY   741503403     405     17,380  SH         SOLE       1      17,380
PRIDE INTERNATIONAL                    EQUITY   74153Q102    6806    264,826  SH         SOLE       1     264,826
PRIMEDIA INC                           EQUITY   74157K101     412    101,820  SH         SOLE       1     101,820
PRINCIPAL FINANCIAL GROUP              EQUITY   74251V102      15        353  SH         DEFINED    2                   353
PRINCIPAL FINANCIAL GROUP              EQUITY   74251V102   13946    332,883  SH         SOLE       1     332,883
PRIORITY HEALTHCARE                    EQUITY   74264T102     615     24,235  SH         SOLE       1      24,235
PRIVATEBANCORP INC                     EQUITY   742962103     405     11,439  SH         SOLE       1      11,439
PROASSURANCE CORPORATION               EQUITY   74267C106     757     18,126  SH         SOLE       1      18,126
PROCTER & GAMBLE CO.                   EQUITY   742718109  150435  2,774,378  SH         SOLE       1   2,774,378
PROCTER AND GAMBLE CO                  EQUITY   742718109   24058    456,076  SH         DEFINED    2               456,076
Proctor & Gamble Co                    EQUITY   742718109    1583     30,000  SH         SOLE       4      30,000
PROGENICS PHARMACEUTICALS              EQUITY   743187106     252     12,091  SH         SOLE       1      12,091
Progress Energy                        EQUITY   743263105    4072     90,000  SH         SOLE       4      90,000
PROGRESS ENERGY INC                    EQUITY   743263105      14        301  SH         DEFINED    2                   301
PROGRESS ENERGY INC.                   EQUITY   743263105    5372    118,736  SH         SOLE       1     118,736
PROGRESS SOFTWARE CORP.                EQUITY   743312100     775     25,717  SH         SOLE       1      25,717
PROGRESSIVE CORP OHIO                  EQUITY   743315103      24        238  SH         DEFINED    2                   238
PROGRESSIVE CORP.                      EQUITY   743315103    8508     86,108  SH         SOLE       1      86,108
PROLOGIS                               EQUITY   743410102    4068    101,093  SH         SOLE       1     101,093
PROLOGIS TR SH BEN INT                 EQUITY   743410102       1      13000  SH         SOLE       3       13000            13000
PROQUEST CO.                           EQUITY   74346P102     575     17,527  SH         SOLE       1      17,527
PROSPERITY BANCSHARES INC              EQUITY   743606105     422     14,776  SH         SOLE       1      14,776
PROTECTIVE LIFE CORP COM               EQUITY   743674103    5309    125,736  SH         SOLE       1     125,736
PROTEIN DESIGN LABS, INC.              EQUITY   74369L103    3856    190,799  SH         SOLE       1     190,799
PROVIDE COMMERCE INC                   EQUITY   74373W103     119      5,521  SH         SOLE       1       5,521
PROVIDENCE SERVICE CORP                EQUITY   743815102     162      6,523  SH         SOLE       1       6,523
PROVIDENT BANKSHARES CORP.             EQUITY   743859100     727     22,770  SH         SOLE       1      22,770
PROVIDENT FINANCIAL HLDGS              EQUITY   743868101      96      3,401  SH         SOLE       1       3,401
PROVIDENT FINANCIAL SERVICES           EQUITY   74386T105     881     50,143  SH         SOLE       1      50,143
PROVIDIAN FINANCIAL CORP.              EQUITY   74406A102    2480    140,669  SH         SOLE       1     140,669
PROVIDIAN FINL CORP                    EQUITY   74406A102    8231    466,854  SH         DEFINED    2               466,854





                                                                                            
PRUDENTIAL FINANCIAL INC               EQUITY   744320102   14817    225,670  SH         SOLE       1     225,670
PRUDENTIAL FINL INC                    EQUITY   744320102      41        620  SH         DEFINED    2                   620
PS BUSINESS PARKS, INC.                EQUITY   69360J107     557     12,532  SH         SOLE       1      12,532
PSEG ENERGY HOLDINGS                   EQUITY   744573106    6677    109,778  SH         SOLE       1     109,778
PSS WORLD MEDICAL, INC                 EQUITY   69366A100     556     44,651  SH         SOLE       1      44,651
PSYCHIATRIC SOLUTIONS COM              EQUITY   74439H108       4      74500  SH         SOLE       3       74500
PSYCHIATRIC SOLUTIONS INC              EQUITY   74439H108     690     14,167  SH         SOLE       1      14,167
Public Service                         EQUITY   744573106    3649     60,000  SH         SOLE       4      60,000
PUBLIC STORAGE INC                     EQUITY   74460D109     497      7,852  SH         SOLE       1       7,852
PUBLIC STORAGE INC COM                 EQUITY   74460D109               5940  SH         SOLE       3        5940             5940
PUBLIC SVC ENTERPRISE GROU             EQUITY   744573106      18        290  SH         DEFINED    2                   290
PUGET ENEGY INC.                       EQUITY   745310102   16860    721,136  SH         SOLE       1     721,136
PULTE HOMES INC                        EQUITY   745867101    8310     98,635  SH         DEFINED    2                98,635
PULTE HOMES INC.                       EQUITY   745867101    4583     54,398  SH         SOLE       1      54,398
QAD INC                                EQUITY   74727D108      65      8,395  SH         SOLE       1       8,395
QC HOLDINGS INC                        EQUITY   74729T101      74      5,105  SH         SOLE       1       5,105
QLOGIC CORP                            EQUITY   747277101       4        115  SH         DEFINED    2                   115
QLOGIC CORP.                           EQUITY   747277101    1733     56,150  SH         SOLE       1      56,150
QUALCOMM INC                           EQUITY   747525103    8180    247,814  SH         DEFINED    2               247,814
QUALCOMM, INC.                         EQUITY   747525103   61270  1,856,092  SH         SOLE       1   1,856,092
QUALITY SYSTEMS INC                    EQUITY   747582104     246      5,190  SH         SOLE       1       5,190
QUANEX CORP.                           EQUITY   747620102     919     17,327  SH         SOLE       1      17,327
QUANTA SERVICES, INC.                  EQUITY   74762E102    2239    254,399  SH         SOLE       1     254,399
QUANTUM CORP DLT & STORAGE             EQUITY   747906204     376    126,693  SH         SOLE       1     126,693
QUANTUM FUEL SYSTEMS TECHNOLOGY        EQUITY   74765E109     156     31,219  SH         SOLE       1      31,219
QUEENSTAKE RESOURCES LTD               EQUITY   748314101     229  1,100,000  SH         Defined    1           0 1,100,000
QUEST DIAGNOSTICS INC                  EQUITY   74834L100    1706     32,030  SH         DEFINED    2                32,030
QUEST DIAGNOSTICS, INC.                EQUITY   74834L100    4373     82,097  SH         SOLE       1      82,097
QUEST SOFTWARE INC                     EQUITY   74834T103     604     44,278  SH         SOLE       1      44,278
QUESTAR CORP.                          EQUITY   748356102   10097    153,211  SH         SOLE       1     153,211
QUICKSILVER RESOURCES COM              EQUITY   74837R104       1      21100  SH         SOLE       3       21100
QUICKSILVER RESOURCES INC              EQUITY   74837R104      41        639  SH         SOLE       1         639
QUICKSILVER, INC.                      EQUITY   74838C106      39      2,447  SH         SOLE       1       2,447
QWEST COMMUNICATIONS INTL              EQUITY   749121109       7      2,004  SH         DEFINED    2                 2,004
QWEST COMMUNICATIONS INTL.             EQUITY   749121109    2819    759,861  SH         SOLE       1     759,861
R&B INC                                EQUITY   749124103      96      6,860  SH         SOLE       1       6,860
R&G FINANCIAL CO.                      EQUITY   749136107     340     19,232  SH         SOLE       1      19,232
R. R. DONNELLEY AND SONS CO.           EQUITY   257867101    3465    100,395  SH         SOLE       1     100,395
R.H. DONNELLEY CORP.                   EQUITY   74955W307      32        519  SH         SOLE       1         519
RADIAN GROUP, INC.                     EQUITY   750236101    7357    155,796  SH         SOLE       1     155,796
RADIANT SYSTEMS, INC.                  EQUITY   75025N102     181     15,841  SH         SOLE       1      15,841
RADIATION THERAPY SERVICES             EQUITY   750323206     203      7,643  SH         SOLE       1       7,643
RADIO ONE INC -CL D                    EQUITY   75040P405     738     57,783  SH         SOLE       1      57,783
RADIOSHACK CORP                        EQUITY   750438103       4        187  SH         DEFINED    2                   187
RADIOSHACK CORP.                       EQUITY   750438103    1843     79,525  SH         SOLE       1      79,525
RADISYS CORP.                          EQUITY   750459109     223     13,781  SH         SOLE       1      13,781
RAILAMERICA INC                        EQUITY   750753105     310     26,091  SH         SOLE       1      26,091
RAIT INVESTMENT TRUST                  EQUITY   749227104     529     17,679  SH         SOLE       1      17,679
RALCORP HOLDINGS, INC.                 EQUITY   751028101     843     20,478  SH         SOLE       1      20,478
RAMBUS INC.                            EQUITY   750917106     920     68,737  SH         SOLE       1      68,737
RAMCO-GERSHENSON PROPERTIES            EQUITY   751452202     329     11,223  SH         SOLE       1      11,223
RANGE RES CORP COM                     EQUITY   75281A109       1      32800  SH         SOLE       3       32800





                                                                                             
RANGE RESOURCES CORP                   EQUITY   75281A109      46      1,692  SH         SOLE       1       1,692
RARE HOSPITALITY INTERNATIONAL         EQUITY   753820109     722     23,695  SH         SOLE       1      23,695
RAVEN INDUSTRIES INC                   EQUITY   754212108     253     10,797  SH         SOLE       1      10,797
RAYMOND JAMES FINANCIAL, INC.          EQUITY   754730109    3394    120,146  SH         SOLE       1     120,146
Rayonier Inc                           EQUITY   754907103    1591     30,000  SH         SOLE       4      30,000
RAYONIER, INC.                         EQUITY   754907103    4815     90,798  SH         SOLE       1      90,798
RAYTHEON CO                            EQUITY   755111507      21        538  SH         DEFINED    2                   538
RAYTHEON CO.                           EQUITY   755111507    9945    254,210  SH         SOLE       1     254,210
RC2 CORP                               EQUITY   749388104     466     12,399  SH         SOLE       1      12,399
RCN CORP                               EQUITY   749361200     365     15,788  SH         SOLE       1      15,788
READER'S DIGEST ASSOC., INC.           EQUITY   755267101    4061    246,092  SH         SOLE       1     246,092
REALNETWORKS, INC.                     EQUITY   75605L104     395     79,563  SH         SOLE       1      79,563
REALTY INCOME CORP.                    EQUITY   756109104     196      7,823  SH         SOLE       1       7,823
RECKSON ASSOC REALTY CORP.             EQUITY   75621K106     267      7,960  SH         SOLE       1       7,960
RED HAT, INC.                          EQUITY   756577102      42      3,226  SH         SOLE       1       3,226
RED ROBIN GOURMET BURGERS              EQUITY   75689M101     607      9,793  SH         SOLE       1       9,793
REDBACK NETWORKS INC                   EQUITY   757209507     185     28,940  SH         SOLE       1      28,940
REDWOOD TRUST, INC.                    EQUITY   758075402     701     13,578  SH         SOLE       1      13,578
REEBOK INTERNATIONAL, LTD.             EQUITY   758110100    2152     51,444  SH         SOLE       1      51,444
REEBOK INTL LTD                        EQUITY   758110100       3         76  SH         DEFINED    2                    76
REGAL ENTMT GROUP                      EQUITY   758766109    6080    322,016  SH         SOLE       1     322,016
REGAL-BELOIT CORP.                     EQUITY   758750103     493     16,915  SH         SOLE       1      16,915
REGENCY CENTERS CORPORATION            EQUITY   758849103    6794    118,775  SH         SOLE       1     118,775
REGENCY CTRS CORP COM                  EQUITY   758849103               4720  SH         SOLE       3        4720             4720
REGENERON PHARMACEUTICALS INC.         EQUITY   75886F107     201     23,997  SH         SOLE       1      23,997
REGENT COMMUNICATIONS, INC             EQUITY   758865109     155     26,398  SH         SOLE       1      26,398
REGIONS FINANCIAL CORP                 EQUITY   7591EP100    8465    249,848  SH         SOLE       1     249,848
REGIONS FINL CORP NEW                  EQUITY   7591EP100      19        558  SH         DEFINED    2                   558
REGIS CORP.                            EQUITY   758932107    4341    111,079  SH         SOLE       1     111,079
REHAB CARE GROUP                       EQUITY   759148109     309     11,568  SH         SOLE       1      11,568
REINSURANCE GROUP OF                   EQUITY   759351109      40        853  SH         SOLE       1         853
RELIANCE STEEL & ALUMINIUM CO.         EQUITY   759509102     735     19,823  SH         SOLE       1      19,823
RELIANT ENERGY INC                     EQUITY   75952B105     104      8,367  SH         SOLE       1       8,367
REMEC INC                              EQUITY   759543200      14      2,161  SH         SOLE       1       2,161
REMINGTON OIL & GAS CORP               EQUITY   759594302     576     16,121  SH         SOLE       1      16,121
RENAISSANCE LEARNING, INC.             EQUITY   75968L105     105      5,158  SH         SOLE       1       5,158
RENAL CARE GROUP, INC.                 EQUITY   759930100    5920    128,410  SH         SOLE       1     128,410
RENASANT CORP                          EQUITY   75970E107     221      7,174  SH         SOLE       1       7,174
RENOVIS INC                            EQUITY   759885106     203     13,304  SH         SOLE       1      13,304
RENOVIS INC                            EQUITY   759885106     886     58,000  SH         DEFINED    2                58,000
RENT-A-CENTER INC                      EQUITY   76009N100    2962    127,178  SH         SOLE       1     127,178
RENT-WAY, INC.                         EQUITY   76009U104     178     18,133  SH         SOLE       1      18,133
REPUBLIC AIRWAYS HOLDINGS IN           EQUITY   760276105     122      8,409  SH         SOLE       1       8,409
REPUBLIC BANCORP, INC.                 EQUITY   760281204     832     53,356  SH         SOLE       1      53,356
REPUBLIC SERVICES IN                   EQUITY   760759100    8405    233,416  SH         SOLE       1     233,416
RES-CARE INC                           EQUITY   760943100     189     13,956  SH         SOLE       1      13,956
RESMED INC                             EQUITY   761152107      48        724  SH         SOLE       1         724
RESOURCE AMERICA, INC.                 EQUITY   761195205     423     10,987  SH         SOLE       1      10,987
RESOURCES GLOBAL PROFESSIONALS         EQUITY   76122Q105     764     32,871  SH         SOLE       1      32,871
RESPIRONICS INC.                       EQUITY   761230101      54      1,484  SH         SOLE       1       1,484
RESTORATION HARDWARE I                 EQUITY   760981100     150     18,341  SH         SOLE       1      18,341
RETAIL VENTURES INC                    EQUITY   76128Y102     157     11,510  SH         SOLE       1      11,510





                                                                                           
REVLON, INC.-CL A                      EQUITY   761525500     308    100,228  SH         SOLE       1     100,228
Reynolds American Inc                  EQUITY   761713106    2364     30,000  SH         SOLE       4      30,000
REYNOLDS AMERICAN INC                  EQUITY   761713106    4152     52,695  SH         SOLE       1      52,695
REYNOLDS AMERN INC                     EQUITY   761713106      11        138  SH         DEFINED    2                   138
REYNOLDS AND REYNOLDS CO., CLASS A     EQUITY   761695105    2819    104,284  SH         SOLE       1     104,284
RF MICRO DEVICES INC                   EQUITY   749941100    2512    464,243  SH         SOLE       1     464,243
RF MONOLITHICS INC COM(OXFORD PTNRS L  EQUITY   74955F106      33      4,973  SH         SOLE       1       4,973
RHODIA SA - SPONSORED ADR              EQUITY   762397107    1780  1,000,000  SH         SOLE       1   1,000,000
RIGEL PHARMACEUTICALS INC              EQUITY   766559603     273     13,728  SH         SOLE       1      13,728
RIGHTNOW TECHNOLOGIES INC              EQUITY   76657R106     143     11,933  SH         SOLE       1      11,933
RIMAGE CORP                            EQUITY   766721104     139      6,547  SH         SOLE       1       6,547
Rio Tinto PLC                          EQUITY   767204100    1341     11,000  SH         SOLE       4      11,000
RITE AID CORP                          EQUITY   767754104      50     12,023  SH         SOLE       1      12,023
RIVIERA HOLDINGS CORP                  EQUITY   769627100   23637  1,043,566  SH         SOLE       1   1,043,566
RLI CORP.                              EQUITY   749607107     694     15,565  SH         SOLE       1      15,565
ROANOKE ELECTRIC STEEL CORP            EQUITY   769841107     127      7,675  SH         SOLE       1       7,675
ROBBINS & MYERS, INC.                  EQUITY   770196103     173      8,032  SH         SOLE       1       8,032
ROBERT HALF INTERNATIONAL INC.         EQUITY   770323103    4399    176,154  SH         SOLE       1     176,154
ROBERT HALF INTL INC                   EQUITY   770323103       5        197  SH         DEFINED    2                   197
ROCK-TENN CO., CLASS A                 EQUITY   772739207     257     20,354  SH         SOLE       1      20,354
ROCKVILLE FINANCIAL INC                EQUITY   774186100      74      6,041  SH         SOLE       1       6,041
ROCKWELL AUTOMATION INC                EQUITY   773903109    6450    132,409  SH         DEFINED    2               132,409
ROCKWELL AUTOMATION INC                EQUITY   773903109   37999    780,115  SH         SOLE       1     780,115
ROCKWELL COLLINS INC                   EQUITY   774341101      11        221  SH         DEFINED    2                   221
ROCKWELL COLLINS INC                   EQUITY   774341101    4289     89,962  SH         SOLE       1      89,962
ROFIN-SINAR TECHNOLOGIES INC           EQUITY   775043102     342     10,426  SH         SOLE       1      10,426
ROGERS COMMUNICATIONS INC B            EQUITY   775109200    4694    143,100  SH         Defined    1           0   143,100
ROGERS CORP.                           EQUITY   775133101     460     11,354  SH         SOLE       1      11,354
ROHM + HAAS CO                         EQUITY   775371107   12321    265,890  SH         DEFINED    2               265,890
ROHM AND HAAS CO.                      EQUITY   775371107   18378    396,592  SH         SOLE       1     396,592
ROLLINS, INC.                          EQUITY   775711104    2154    107,472  SH         SOLE       1     107,472
ROPER INDS                             EQUITY   776696106   31374    439,600  SH         DEFINED    2               439,600
ROPER INDUSTRIES, INC.                 EQUITY   776696106      66        924  SH         SOLE       1         924
ROSS STORES, INC.                      EQUITY   778296103    7943    274,754  SH         SOLE       1     274,754
ROSTELECOM-SPONSORED ADR               EQUITY   778529107    1097     91,000  SH         SOLE       1      91,000
ROWAN COMPANIES, INC.                  EQUITY   779382100    2976    100,170  SH         SOLE       1     100,170
ROWAN COS INC                          EQUITY   779382100       4        132  SH         DEFINED    2                   132
ROYAL BANCSHARES OF PENN-A             EQUITY   780081105      74      3,134  SH         SOLE       1       3,134
ROYAL BANK CDA COMMON                  EQUITY   780087102    4378     70,700  SH         Defined    1           0    70,700
ROYAL BK OF SCOT PERP                  CorpBond 780097770    3425    135,000  SH         SOLE       1         135
Royal Bk Scotland 8.5%                 EQUITY   780097804    1593     60,000  SH         SOLE       4      60,000
Royal Bk Scotland 8.8889%              EQUITY   780097861    2439     93,800  SH         SOLE       4      93,800
Royal Bk Scotland 9.125%               EQUITY   780097606     695     26,900  SH         SOLE       4      26,900
ROYAL GOLD INC                         EQUITY   780287108     240     11,916  SH         SOLE       1      11,916
RPC                                    EQUITY   749660106     172     10,147  SH         SOLE       1      10,147
RPM INTERNATIONAL INC.                 EQUITY   749685103    3878    212,368  SH         SOLE       1     212,368
RSA SECURITY INC.                      EQUITY   749719100    2019    175,894  SH         SOLE       1     175,894
RTI INTERNATIONAL METALS, INC.         EQUITY   74973W107     481     15,313  SH         SOLE       1      15,313
RUBY TUESDAY INC                       EQUITY   781182100    5157    199,100  SH         DEFINED    2               199,100
RUBY TUESDAY, INC.                     EQUITY   781182100    4124    159,226  SH         SOLE       1     159,226
RUDDICK CORP.                          EQUITY   781258108    2648    103,708  SH         SOLE       1     103,708
RUDOLPH TECHNOLOGIES INC.              EQUITY   781270103     128      8,913  SH         SOLE       1       8,913





                                                                                           
RUSH ENTERPRISES INC CL B              EQUITY   781846308       2     132000  SH         SOLE       3      132000
RUSH ENTERPRISES INC-CL A              EQUITY   781846209     191     14,272  SH         SOLE       1      14,272
RUSS BERRIE AND CO., INC.              EQUITY   782233100     104      8,128  SH         SOLE       1       8,128
RUSSELL CORP.                          EQUITY   782352108     465     22,741  SH         SOLE       1      22,741
RYANAIR HOLDINGS PLC-SP ADR            EQUITY   783513104      87      1,934  SH         SOLE       1       1,934
RYAN'S RESTAURANT GROUP INC            EQUITY   783520109     406     29,003  SH         SOLE       1      29,003
RYDER SYS INC                          EQUITY   783549108       3         83  SH         DEFINED    2                    83
RYDER SYSTEM, INC.                     EQUITY   783549108    1155     31,550  SH         SOLE       1      31,550
RYERSON TULL, INC.                     EQUITY   78375P107     247     17,339  SH         SOLE       1      17,339
RYLAND GROUP                           EQUITY   783764103    6445     84,942  SH         SOLE       1      84,942
S J W CORP COM                         EQUITY   784305104     248      5,283  SH         SOLE       1       5,283
S&P 500 DEPOSITORY RECEIPT             EQUITY   78462F103   39438    330,909  SH         SOLE       1     330,909
S&T BANCORP, INC.                      EQUITY   783859101     663     18,365  SH         SOLE       1      18,365
S.Y. BANCORP INC                       EQUITY   785060104     190      8,311  SH         SOLE       1       8,311
S1 CORPORATION                         EQUITY   78463B101     228     48,470  SH         SOLE       1      48,470
SABRE HLDGS CORP                       EQUITY   785905100       3        164  SH         DEFINED    2                   164
SABRE HOLDINGS CORP.                   EQUITY   785905100    1205     60,390  SH         SOLE       1      60,390
SAFECO CORP                            EQUITY   786429100       8        154  SH         DEFINED    2                   154
SAFECO CORP.                           EQUITY   786429100    3183     58,579  SH         SOLE       1      58,579
SAFENET INC                            EQUITY   78645R107     579     16,987  SH         SOLE       1      16,987
SAFENET INC                            EQUITY   78645R107    7776    228,300  SH         DEFINED    2               228,300
SAFETY INSURANCE GROUP INC             EQUITY   78648T100     271      8,040  SH         SOLE       1       8,040
SAFEWAY INC                            EQUITY   786514208      12        539  SH         DEFINED    2                   539
SAFEWAY INC                            EQUITY   786514208    4657    206,152  SH         SOLE       1     206,152
SAGA COMMUNICATIONS, INC. CLASS A      EQUITY   786598102     166     11,832  SH         SOLE       1      11,832
SAKS INC.                              EQUITY   79377W108    4783    252,109  SH         SOLE       1     252,109
SALEM COMMUNICATION- CLASS A           EQUITY   794093104     163      8,215  SH         SOLE       1       8,215
SALESFORCE.COM INC                     EQUITY   79466L302      24      1,166  SH         SOLE       1       1,166
SALIX PHARMACEUTICALS                  EQUITY   795435106     447     25,323  SH         SOLE       1      25,323
SANDERS MORRIS HARRIS GRP IN           EQUITY   80000Q104     151      8,767  SH         SOLE       1       8,767
SANDERSON FARMS, INC.                  EQUITY   800013104     562     12,362  SH         SOLE       1      12,362
SANDISK CORP.                          EQUITY   80004C101   29498  1,243,057  SH         SOLE       1   1,243,057
SANDY SPRING BANCORP, INC.             EQUITY   800363103     355     10,120  SH         SOLE       1      10,120
SANMINA - SCI CORP                     EQUITY   800907107    1558    284,783  SH         SOLE       1     284,783
SANMINA SCI CORP                       EQUITY   800907107       3        632  SH         DEFINED    2                   632
SANTANDER BANCORP                      EQUITY   802809103      92      3,673  SH         SOLE       1       3,673
SAPIENT CORP.                          EQUITY   803062108     442     55,693  SH         SOLE       1      55,693
SARA LEE CORP                          EQUITY   803111103      19        944  SH         DEFINED    2                   944
SARA LEE CORP.                         EQUITY   803111103    7388    372,964  SH         SOLE       1     372,964
SATYAM COMP SRVCS LTD ADR (F)          EQUITY   804098101       3     107892  SH         SOLE       3      107892             3953
SAUER-DANFOSS INC.                     EQUITY   804137107     124      6,956  SH         SOLE       1       6,956
SAUL CENTERS, INC.                     EQUITY   804395101     302      8,313  SH         SOLE       1       8,313
SAVIENT PHARMACEUTICALS INC            EQUITY   80517Q100     185     41,985  SH         SOLE       1      41,985
SAXON CAPITAL INC                      EQUITY   80556T106     588     34,460  SH         SOLE       1      34,460
SBA COMMUNICATIONS CORPORATION         EQUITY   78388J106     687     50,892  SH         SOLE       1      50,892
SBC COMMUNICATIONS INC                 EQUITY   78387G103   10967    461,763  SH         DEFINED    2               461,763
SBC COMMUNICATIONS, INC.               EQUITY   78387G103   57924  2,319,608  SH         SOLE       1   2,319,608
SCANA CORP                             EQUITY   80589M102    8758    205,056  SH         SOLE       1     205,056
SCANSOFT INC                           EQUITY   80603P107     217     57,680  SH         SOLE       1      57,680
SCANSOURCE INC                         EQUITY   806037107     376      8,748  SH         SOLE       1       8,748
SCBT FINANCIAL CORP                    EQUITY   78401V102     176      5,564  SH         SOLE       1       5,564
SCHAWK, INC.                           EQUITY   806373106     215      8,614  SH         SOLE       1       8,614





                                                                                             
SCHERING PLOUGH CORP                   EQUITY   806605101   13897    729,118  SH         DEFINED    2               729,118
SCHERING-PLOUGH CORP.                  EQUITY   806605101   12801    648,148  SH         SOLE       1     634,162
SCHLUMBERGER LTD                       EQUITY   806857108     144      1,889  SH         DEFINED    2                 1,889
Schlumberger LTD                       EQUITY   806857108    2088     27,500  SH         SOLE       4      27,500
SCHLUMBERGER, LTD.                     EQUITY   806857108   27556    362,871  SH         SOLE       1     362,871
SCHNITZER STL INDS                     EQUITY   806882106     358     15,111  SH         SOLE       1      15,111
SCHOLASTIC CORP.                       EQUITY   807066105    3444     89,338  SH         SOLE       1      89,338
SCHOOL SPECIALTY, INC.                 EQUITY   807863105     981     21,097  SH         SOLE       1      21,097
SCHULMAN, A. INC.                      EQUITY   808194104     379     21,181  SH         SOLE       1      21,181
SCHWAB CHARLES CORP                    EQUITY   808513105      15      1,371  SH         DEFINED    2                 1,371
SCHWEITZER-MAUDUIT INC.                EQUITY   808541106     327     10,494  SH         SOLE       1      10,494
SCIENTIFIC ATLANTA INC                 EQUITY   808655104       6        184  SH         DEFINED    2                   184
SCIENTIFIC GAMES CORP                  EQUITY   80874P109    1562     58,000  SH         DEFINED    2                58,000
SCIENTIFIC GAMES CORP A                EQUITY   80874P109      34      1,257  SH         SOLE       1       1,257
SCIENTIFIC-ATLANTA, INC.               EQUITY   808655104    2953     88,767  SH         SOLE       1      88,767
SCOTTS MIRACLE-GRO CO.                 EQUITY   810186106    3559     49,980  SH         SOLE       1      49,980
SCP POOL CORPORATION                   EQUITY   784028102      38      1,089  SH         SOLE       1       1,089
SCRIPPS CO                             EQUITY   811054204      88      1,799  SH         SOLE       1       1,799
SCS TRANSPORTATION INC                 EQUITY   81111T102     187     10,480  SH         SOLE       1      10,480
Scudder Strategic Muni Inc             EQUITY   811234103     278     20,000  SH         SOLE       4      20,000
SEABOARD CORP.                         EQUITY   811543107     408        245  SH         SOLE       1         245
SEABRIGHT INSURANCE HOLDINGS           EQUITY   811656107      64      5,563  SH         SOLE       1       5,563
SEABULK INTERNATIONAL INC              EQUITY   81169P101      89      4,177  SH         SOLE       1       4,177
SEACHANGE INTERNATIONAL, INC.          EQUITY   811699107     123     17,539  SH         SOLE       1      17,539
SEACOAST BANKING CORP FL               EQUITY   811707306     157      7,979  SH         SOLE       1       7,979
SEACOR HOLDINGS INC                    EQUITY   811904101     727     11,313  SH         SOLE       1      11,313
SEAGATE TECHNOLOGY SHS                 EQUITY   G7945J104       2      85812  SH         SOLE       3       85812             2497
SEALED AIR CORP                        EQUITY   81211K100    9642    193,650  SH         SOLE       1     193,650
SEALED AIR CORP NEW                    EQUITY   81211K100       5        105  SH         DEFINED    2                   105
SEARS HLDGS CORP                       EQUITY   812350106      17        115  SH         DEFINED    2                   115
SEARS HOLDINGS CORP                    EQUITY   812350106    9188     61,304  SH         SOLE       1      61,304
SEATTLE GENETICS INC WA                EQUITY   812578102      98     18,271  SH         SOLE       1      18,271
SECURE COMPUTING CORP                  EQUITY   813705100     270     24,822  SH         SOLE       1      24,822
SECURITY BANK CORP                     EQUITY   814047106     152      6,620  SH         SOLE       1       6,620
SEEBEYOND TECHNOLOGY CORP.             EQUITY   815704101     159     37,929  SH         SOLE       1      37,929
SEI INVESTMENTS CO.                    EQUITY   784117103    5558    148,800  SH         SOLE       1     148,800
SELECT COMFORT CORP                    EQUITY   81616X103     534     24,929  SH         SOLE       1      24,929
SELECTIVE INSURANCE GROUP, INC         EQUITY   816300107     971     19,592  SH         SOLE       1      19,592
SEMITOOL, INC.                         EQUITY   816909105     110     11,486  SH         SOLE       1      11,486
SEMPRA ENERGY                          EQUITY   816851109      12        295  SH         DEFINED    2                   295
SEMPRA ENERGY                          EQUITY   816851109    5071    122,760  SH         SOLE       1     122,760
SEMTECH CORP.                          EQUITY   816850101    3039    182,548  SH         SOLE       1     182,548
SENIOR HOUSING PROP TRUST              EQUITY   81721M109     862     45,597  SH         SOLE       1      45,597
SENOMYX INC                            EQUITY   81724Q107     240     14,544  SH         SOLE       1      14,544
SENSIENT TECHNOLOGIES CORP.            EQUITY   81725T100    2404    116,635  SH         SOLE       1     116,635
SEPRACOR, INC.                         EQUITY   817315104   11332    188,841  SH         SOLE       1     188,841
SEQUA CORP CLASS A                     EQUITY   817320104    1281     19,355  SH         SOLE       1      19,355
SERENA SOFTWARE, INC.                  EQUITY   817492101     372     19,295  SH         SOLE       1      19,295
SEROLOGICALS CORP.                     EQUITY   817523103     511     24,025  SH         SOLE       1      24,025
SERVICE CORP INTERNATIONAL             EQUITY   817565104      69      8,602  SH         SOLE       1       8,602
SERVICEMASTER COMPAN                   EQUITY   81760N109      91      6,819  SH         SOLE       1       6,819
SFBC INTERNATIONAL INC                 EQUITY   784121105     488     12,627  SH         SOLE       1      12,627





                                                                                             
SHARPER IMAGE CORP                     EQUITY   820013100     103      8,054  SH         SOLE       1       8,054
SHAW GROUP INC                         EQUITY   820280105    1153     53,595  SH         SOLE       1      53,595
SHENANDOAH TELECOMMUNI                 EQUITY   82312B106     188      4,718  SH         SOLE       1       4,718
SHERWIN WILLIAMS CO                    EQUITY   824348106   12380    262,903  SH         DEFINED    2               262,903
SHERWIN WILLIAMS CO COM                EQUITY   824348106       1      28223  SH         SOLE       3       28223             1384
SHERWIN-WILLIAMS CO.                   EQUITY   824348106    2902     61,634  SH         SOLE       1      61,634
SHOE CARNIVAL INC                      EQUITY   824889109     112      5,146  SH         SOLE       1       5,146
SHOPKO STORES, INC.                    EQUITY   824911101     500     20,583  SH         SOLE       1      20,583
SHUFFLE MASTER INC                     EQUITY   825549108       2      80550  SH         SOLE       3       80550
SHUFFLE MASTER, INC.                   EQUITY   825549108     688     24,551  SH         SOLE       1      24,551
SHURGARD STORAGE CENTERS, INC. CLASS   EQUITY   82567D104     211      4,587  SH         SOLE       1       4,587
SI INTERNATIONAL                       EQUITY   78427V102       7     247200  SH         SOLE       3      247200
SI INTERNATIONAL INC                   EQUITY   78427V102     201      6,721  SH         SOLE       1       6,721
SIEBEL SYS INC                         EQUITY   826170102    3404    382,421  SH         DEFINED    2               382,421
SIEBEL SYSTEMS, INC.                   EQUITY   826170102    2449    275,182  SH         SOLE       1     275,182
SIERRA BANCORP                         EQUITY   82620P102      85      3,740  SH         SOLE       1       3,740
SIERRA HEALTH SERVICES, INC.           EQUITY   826322109      37        511  SH         SOLE       1         511
SIERRA PACIFIC RESOURCES               EQUITY   826428104    3617    290,517  SH         SOLE       1     290,517
SIGMA ALDRICH                          EQUITY   826552101       5         88  SH         DEFINED    2                    88
SIGMA ALDRICH CORP.                    EQUITY   826552101   14499    258,727  SH         SOLE       1     258,727
SIGMATEL INC                           EQUITY   82661W107     423     24,657  SH         SOLE       1      24,657
SIGNATURE BANK                         EQUITY   82669G104     198      8,111  SH         SOLE       1       8,111
SIGNATURE BK NEW YORK NY               EQUITY   82669G104   14403    590,300  SH         DEFINED    2               590,300
SILGAN HOLDINGS, INC.                  EQUITY   827048109     433      7,693  SH         SOLE       1       7,693
SILICON IMAGE  INC                     EQUITY   82705T102     560     54,608  SH         SOLE       1      54,608
SILICON LABORATORIES INC               EQUITY   826919102    2892    110,322  SH         SOLE       1     110,322
SILICON STORAGE TECHNOLOGY             EQUITY   827057100     244     60,677  SH         SOLE       1      60,677
SIMMONS FIRST NATIONAL CORP.           EQUITY   828730200     269      9,930  SH         SOLE       1       9,930
SIMON PPTY GROUP                       EQUITY   828806109       1      14795  SH         SOLE       3       14795            14795
SIMON PPTY GROUP INC NEW               EQUITY   828806109      20        271  SH         DEFINED    2                   271
SIMON PROPERTY GROUP INC               EQUITY   828806109    7923    109,296  SH         SOLE       1     109,296
SIMPSON MANUFACTURING CO.              EQUITY   829073105     766     25,065  SH         SOLE       1      25,065
SINCLAIR BROADCAST GROUP, INC.         EQUITY   829226109     276     30,383  SH         SOLE       1      30,383
SIRF TECHNOLOGY HOLDINGS INC           EQUITY   82967H101     429     24,268  SH         SOLE       1      24,268
SIRIUS SATELLITE RADIO INC.            EQUITY   82966U103    3335    514,666  SH         SOLE       1     514,666
SIRVA INC                              EQUITY   82967Y104     138     16,208  SH         SOLE       1      16,208
SIX FLAGS, INC                         EQUITY   83001P109     299     64,318  SH         SOLE       1      64,318
SIZELER PPTY INVS INC                  EQUITY   830137105     168     12,758  SH         SOLE       1      12,758
SKECHERS USA INC. CL-A                 EQUITY   830566105     220     15,444  SH         SOLE       1      15,444
SKY FINANCIAL GROUP                    EQUITY   83080P103      82      2,922  SH         SOLE       1       2,922
SKYLINE CORP.                          EQUITY   830830105     188      4,712  SH         SOLE       1       4,712
SKYWEST INC                            EQUITY   830879102   17421    958,246  SH         SOLE       1     958,246
SKYWORKS SOLUTIONS INC                 EQUITY   83088M102     802    108,814  SH         SOLE       1     108,814
SL GREEN REALTY CORP.                  EQUITY   78440X101     261      4,052  SH         SOLE       1       4,052
SLM CORP                               EQUITY   78442P106      26        505  SH         DEFINED    2                   505
SLM CORP                               EQUITY   78442P106   40991  1,424,693  SH         SOLE       1     209,509
SMART & FINAL, INC.,                   EQUITY   831683107     113      9,186  SH         SOLE       1       9,186
SMITH INTERNATIONAL, INC.              EQUITY   832110100   12173    191,101  SH         SOLE       1     191,101
SMITH, A.O. CORP.                      EQUITY   831865209     310     11,606  SH         SOLE       1      11,606
SMITHFIELD FOODS INC                   EQUITY   832248108    4926    180,652  SH         SOLE       1     180,652
SMURFIT STONE CONTAINER CO             EQUITY   832727101    1000     98,300  SH         DEFINED    2                98,300
SMURFIT-STONE CONTAINER CORP.          EQUITY   832727101     240     23,639  SH         SOLE       1      23,639





                                                                                           
SNAP ON INC                            EQUITY   833034101       3         75  SH         DEFINED    2                    75
SNAP-ON, INC.                          EQUITY   833034101     912     26,602  SH         SOLE       1      26,602
SOHU.COM INC                           EQUITY   83408W103     376     17,159  SH         SOLE       1      17,159
SOLECTRON CORP                         EQUITY   834182107       4      1,163  SH         DEFINED    2                 1,163
SOLECTRON CORP.                        EQUITY   834182107    1681    443,660  SH         SOLE       1     443,660
SOMANETICS CORP                        EQUITY   834445405     158      7,030  SH         SOLE       1       7,030
SONIC AUTOMOTIVE INC                   EQUITY   83545G102     432     20,301  SH         SOLE       1      20,301
SONIC CORP.                            EQUITY   835451105      38      1,252  SH         SOLE       1       1,252
SONIC SOLUTIONS                        EQUITY   835460106     312     16,771  SH         SOLE       1      16,771
SONICWALL INC                          EQUITY   835470105     199     36,934  SH         SOLE       1      36,934
SONOCO PRODUCTS CO.                    EQUITY   835495102    4750    179,259  SH         SOLE       1     179,259
SONOSIGHT, INC.                        EQUITY   83568G104     330     10,644  SH         SOLE       1      10,644
SONUS NETWORKS INC                     EQUITY   835916107     818    171,443  SH         SOLE       1     171,443
SOTHEBY'S HOLDINGS, INC. CLASS A       EQUITY   835898107    1559    113,795  SH         SOLE       1     113,795
SOUND FEDERAL BANCORP INC              EQUITY   83607V104     124      7,699  SH         SOLE       1       7,699
SOURCE INTERLINK COS INC               EQUITY   836151209     282     22,797  SH         SOLE       1      22,797
SOURCECORP                             EQUITY   836167106     215     10,823  SH         SOLE       1      10,823
SOUTH FINANCIAL GROUP INC.             EQUITY   837841105      59      2,060  SH         SOLE       1       2,060
SOUTH JERSEY INDUSTRIES, INC.          EQUITY   838518108     590      9,656  SH         SOLE       1       9,656
SOUTHERN CO                            EQUITY   842587107      31        895  SH         DEFINED    2                   895
SOUTHERN CO                            EQUITY   842587107   14504    418,345  SH         SOLE       1     418,345
SOUTHERN PERU COPPER CORP.             EQUITY   843611104    2200     51,363  SH         SOLE       1      51,363
SOUTHERN UNION CO.                     EQUITY   844030106      58      2,378  SH         SOLE       1       2,378
SOUTHSIDE BANCSHARES INC               EQUITY   84470P109     139      6,771  SH         SOLE       1       6,771
SOUTHWEST AIRLINES CO.                 EQUITY   844741108    4714    338,398  SH         SOLE       1     338,398
SOUTHWEST AIRLS CO                     EQUITY   844741108    2082    149,492  SH         DEFINED    2               149,492
SOUTHWEST BANCORP INC                  EQUITY   844767103     192      9,398  SH         SOLE       1       9,398
SOUTHWEST GAS CORP                     EQUITY   844895102     663     25,986  SH         SOLE       1      25,986
SOUTHWEST WTR CO                       EQUITY   845331107     159     13,449  SH         SOLE       1      13,449
SOUTHWESTERN ENERGY CO.                EQUITY   845467109      71      1,512  SH         SOLE       1       1,512
SOVEREIGN BANCORP INC                  EQUITY   845905108      10        439  SH         DEFINED    2                   439
SOVEREIGN BANCORP, INC.                EQUITY   845905108    3748    167,749  SH         SOLE       1     167,749
SOVRAN SELF STORAGE, INC.              EQUITY   84610H108     558     12,279  SH         SOLE       1      12,279
SPANISH BROADCASTING SYS, INC. CLASS   EQUITY   846425882     266     26,627  SH         SOLE       1      26,627
SPARTAN STORES INC                     EQUITY   846822104     211     14,365  SH         SOLE       1      14,365
SPARTECH CORP.                         EQUITY   847220209     396     22,249  SH         SOLE       1      22,249
SPATIALIGHT INC                        EQUITY   847248101     114     20,052  SH         SOLE       1      20,052
SPECIALTY LABORATORIES INC             EQUITY   84749R100      44      5,272  SH         SOLE       1       5,272
SPECTRALINK CORP                       EQUITY   847580107     139     13,229  SH         SOLE       1      13,229
SPECTRASITE INC                        EQUITY   84761M104      56        750  SH         SOLE       1         750
SPECTRUM BRANDS INC                    EQUITY   84762L105      27        817  SH         SOLE       1         817
SPEEDWAY MOTORSPORTS                   EQUITY   847788106     389     10,630  SH         SOLE       1      10,630
SPHERION CORPORATION                   EQUITY   848420105     281     42,588  SH         SOLE       1      42,588
SPINNAKER EXPLORATION CO               EQUITY   84855W109     616     17,355  SH         SOLE       1      17,355
SPIRIT FINANCE CORP                    EQUITY   848568309     597     50,777  SH         SOLE       1      50,777
SPORTS AUTHORITY INC                   EQUITY   84917U109     568     17,873  SH         SOLE       1      17,873
SPRINT CORP                            EQUITY   852061100      44      1,772  SH         DEFINED    2                 1,772
SPRINT CORP                            EQUITY   852061100   44707  1,378,760  SH         SOLE       1   1,378,760
SPSS, INC.                             EQUITY   78462K102     236     12,300  SH         SOLE       1      12,300
SPX CORP.                              EQUITY   784635104    6248    135,889  SH         SOLE       1     135,889
SRA INTL INC CL A                      EQUITY   78464R105       1      28200  SH         SOLE       3       28200
SS&C TECHNOLOGIES INC                  EQUITY   85227Q100     352     11,106  SH         SOLE       1      11,106





                                                                                              
SSA GLOBAL TECHNOLOGIES INC            EQUITY   78465P108      76      6,299  SH         SOLE       1       6,299
ST JUDE MED INC                        EQUITY   790849103   11938    273,736  SH         DEFINED    2               273,736
ST JUDE MEDICAL, INC.                  EQUITY   790849103   13774    315,835  SH         SOLE       1     315,835
ST. MARY LAND & EXPLORATION            EQUITY   792228108    1146     39,541  SH         SOLE       1      39,541
ST. PAUL TRAVELERS COMPANIES, INC.     EQUITY   792860108   59865  1,514,421  SH         SOLE       1   1,514,421
STAGE STORES INC                       EQUITY   85254C305     551     12,639  SH         SOLE       1      12,639
STAMPS COM INC COM NEW                 EQUITY   852857200       1      73300  SH         SOLE       3       73300
STAMPS.COM INC                         EQUITY   852857200     210     11,193  SH         SOLE       1      11,193
STANCORP FINANCIAL GROUP, INC.         EQUITY   852891100    3881     50,678  SH         SOLE       1      50,678
STANDARD MICROSYSTEMS CORP.            EQUITY   853626109     337     14,402  SH         SOLE       1      14,402
STANDARD MOTOR PRODUCTS, INC.          EQUITY   853666105     136     10,289  SH         SOLE       1      10,289
STANDARD PAC CORP NEW COM              EQUITY   85375C101       2      22937  SH         SOLE       3       22937              883
STANDARD PACIFIC CORP.                 EQUITY   85375C101      80        912  SH         SOLE       1         912
STANDARD REGISTER CO.                  EQUITY   853887107     187     11,835  SH         SOLE       1      11,835
STANDEX INTERNATIONAL CORP.            EQUITY   854231107     242      8,535  SH         SOLE       1       8,535
STANLEY FURNITURE CO INC               EQUITY   854305208     221      8,987  SH         SOLE       1       8,987
STANLEY WORKS                          EQUITY   854616109       4         93  SH         DEFINED    2                    93
STANLEY WORKS                          EQUITY   854616109    1555     34,153  SH         SOLE       1      34,153
STAPLES INC                            EQUITY   855030102      19        880  SH         DEFINED    2                   880
STAPLES, INC.                          EQUITY   855030102   13827    649,474  SH         SOLE       1     649,474
STAR SCIENTIFIC INC                    EQUITY   85517P101     112     24,969  SH         SOLE       1      24,969
STARBUCKS CORP                         EQUITY   855244109      25        478  SH         DEFINED    2                   478
STARBUCKS CORP.                        EQUITY   855244109   15352    297,178  SH         SOLE       1     297,178
STARTEK INC                            EQUITY   85569C107    1626     99,031  SH         SOLE       1      99,031
STARWOOD HOTELS & RESORTS  WW          EQUITY   85590A203    5782     98,725  SH         SOLE       1      98,725
STATE AUTO FINANCIAL CORP.             EQUITY   855707105     300      9,671  SH         SOLE       1       9,671
STATE BANCORP INC                      EQUITY   855716106     128      5,658  SH         SOLE       1       5,658
STATE FINL SERVICES CORP-A             EQUITY   856855101     160      3,982  SH         SOLE       1       3,982
STATE STREET CORP.                     EQUITY   857477103    6907    143,158  SH         SOLE       1     143,158
STATE STREET CORPORATION               EQUITY   857477103      19        398  SH         DEFINED    2                   398
STATION CASINOS, INC.                  EQUITY   857689103      64        970  SH         SOLE       1         970
STATS CHIPPAC LTD-ADR                  EQUITY   85771T104     311     43,742  SH         SOLE       1      43,742
STEEL DYNAMICS, INC.                   EQUITY   858119100    2662    101,405  SH         SOLE       1     101,405
STEEL TECHNOLOGIES INC                 EQUITY   858147101     130      7,713  SH         SOLE       1       7,713
STEELCASE INC-CL A                     EQUITY   858155203      17      1,208  SH         SOLE       1       1,208
STEIN MART, INC.                       EQUITY   858375108     391     17,797  SH         SOLE       1      17,797
STEINWAY MUSICAL INSTRUMENTS           EQUITY   858495104   12086    411,655  SH         SOLE       1     411,655
STELLENT INC                           EQUITY   85856W105     124     16,522  SH         SOLE       1      16,522
STEMCELLS INC                          EQUITY   85857R105     182     43,181  SH         SOLE       1      43,181
STEPAN CO.                             EQUITY   858586100      80      3,642  SH         SOLE       1       3,642
STEREOTAXIS INC                        EQUITY   85916J102     113     14,062  SH         SOLE       1      14,062
STERICYCLE INC                         EQUITY   858912108    5747    114,200  SH         DEFINED    2               114,200
STERICYCLE, INC.                       EQUITY   858912108    4115     81,781  SH         SOLE       1      81,781
STERIS CORP COM                        EQUITY   859152100    4406    170,969  SH         SOLE       1     170,969
STERLING BANCORP                       EQUITY   859158107     271     12,674  SH         SOLE       1      12,674
STERLING BANCSHARES, INC.              EQUITY   858907108     486     31,254  SH         SOLE       1      31,254
STERLING FINANCIAL CORP                EQUITY   859317109     376     17,659  SH         SOLE       1      17,659
STERLING FINL CORP WAS                 EQUITY   859319105     596     15,926  SH         SOLE       1      15,926
STEVEN MADDEN, LTD.                    EQUITY   556269108     159      8,977  SH         SOLE       1       8,977
STEWART & STEVENSON SERVICES           EQUITY   860342104     453     19,987  SH         SOLE       1      19,987
STEWART ENTERPRISES, INC.              EQUITY   860370105     477     73,431  SH         SOLE       1      73,431
STEWART INFORMATION SERVICES COM       EQUITY   860372101     495     11,796  SH         SOLE       1      11,796





                                                                                            
STIFEL FINANCIAL CORP                  EQUITY   860630102     140      5,810  SH         SOLE       1       5,810
STILLWATER MINING CO.                  EQUITY   86074Q102     209     28,159  SH         SOLE       1      28,159
STONE ENERGY CORP.                     EQUITY   861642106     809     16,538  SH         SOLE       1      16,538
STORAGE TECHNOLOGY CORP.               EQUITY   862111200    9613    264,884  SH         SOLE       1     264,884
STRATAGENE CORP                        EQUITY   86269H107      45      5,134  SH         SOLE       1       5,134
STRATASYS INC                          EQUITY   862685104     236      7,214  SH         SOLE       1       7,214
STRATEGIC HOTEL CAPITAL INC            EQUITY   86272T106     403     22,375  SH         SOLE       1      22,375
STRATTEC SEC CORP                      EQUITY   863111100     142      2,613  SH         SOLE       1       2,613
STRAYER EDUCATION, INC                 EQUITY   863236105     873     10,115  SH         SOLE       1      10,115
STRIDE RITE CORP.                      EQUITY   863314100     345     25,014  SH         SOLE       1      25,014
STRYKER CORP                           EQUITY   863667101     530     11,147  SH         DEFINED    2                11,147
Stryker Corp                           EQUITY   863667101     951     20,000  SH         SOLE       4      20,000
STRYKER CORP.                          EQUITY   863667101    9049    190,257  SH         SOLE       1     190,257
STUDENT LOAN CORP.                     EQUITY   863902102      18         83  SH         SOLE       1          83
STURM, RUGER & CO., INC.               EQUITY   864159108     123     14,650  SH         SOLE       1      14,650
SUFFOLK BANCORP                        EQUITY   864739107     237      7,343  SH         SOLE       1       7,343
SUMMIT BANCSHARES INC                  EQUITY   866011109     123      7,105  SH         SOLE       1       7,105
SUMMIT FINANCIAL GROUP INC             EQUITY   86606G101     116      3,545  SH         SOLE       1       3,545
SUN BANCORP INC                        EQUITY   86663B102     161      7,778  SH         SOLE       1       7,778
SUN COMMUNITIES, INC.                  EQUITY   866674104     462     12,427  SH         SOLE       1      12,427
SUN HEALTHCARE GROUP COM NEW           EQUITY   866933401       2     278900  SH         SOLE       3      278900
SUN HEALTHCARE GROUP INC - W/I         EQUITY   866933401      18      2,793  SH         SOLE       1       2,793
SUN HYDRAULICS CORP                    EQUITY   866942105     113      3,094  SH         SOLE       1       3,094
SUN HYDRAULICS CORP COM                EQUITY   866942105       3      82000  SH         SOLE       3       82000
SUN LIFE FINANCIAL SERVICES OF CANADA  EQUITY   866796105    3943    117,100  SH         Defined    1           0   117,100
SUN MICROSYSTEMS INC                   EQUITY   866810104      15      4,096  SH         DEFINED    2                 4,096
SUN MICROSYSTEMS, INC.                 EQUITY   866810104    6760  1,812,392  SH         SOLE       1   1,812,392
SUNCOM WIRELESS HOLDING-CL A           EQUITY   86722Q108    1080    500,000  SH         SOLE       1     500,000
SUNGARD DATA SYS INC                   EQUITY   867363103      12        348  SH         DEFINED    2                   348
SUNGARD DATA SYSTEMS, INC.             EQUITY   867363103    9212    261,931  SH         SOLE       1     261,931
SUNOCO INC                             EQUITY   86764P109      10         92  SH         DEFINED    2                    92
SUNOCO, INC.                           EQUITY   86764P109    9762     85,872  SH         SOLE       1      85,872
SUNOPTA INC                            EQUITY   8676EP108    1465    258,000  SH         DEFINED    2               258,000
SUNRISE SENIOR LIVING INC              EQUITY   86768K106     617     11,434  SH         SOLE       1      11,434
SUNSTONE HOTEL INVESTORS INC           EQUITY   867892101    5070    208,969  SH         SOLE       1     208,969
SUNTERRA CORP                          EQUITY   86787D208     218     13,430  SH         SOLE       1      13,430
SUNTRUST BANKS, INC.                   EQUITY   867914103   16775    232,217  SH         SOLE       1     232,217
SUNTRUST BKS INC                       EQUITY   867914103      29        401  SH         DEFINED    2                   401
SUPERGEN, INC.                         EQUITY   868059106     175     35,353  SH         SOLE       1      35,353
SUPERIOR ENERGY SERVICES, INC.         EQUITY   868157108     955     53,663  SH         SOLE       1      53,663
SUPERIOR ESSEX INC                     EQUITY   86815V105     209     11,825  SH         SOLE       1      11,825
SUPERIOR INDUSTRIES INTL, INC.         EQUITY   868168105     363     15,316  SH         SOLE       1      15,316
SUPERTEX INC                           EQUITY   868532102     122      6,901  SH         SOLE       1       6,901
SUPERVALU INC                          EQUITY   868536103       5        163  SH         DEFINED    2                   163
SUPERVALU, INC.                        EQUITY   868536103    2038     62,511  SH         SOLE       1      62,511
SUPPORTSOFT INC                        EQUITY   868587106     154     29,696  SH         SOLE       1      29,696
SUREWEST COMMUNICATION                 EQUITY   868733106     259     10,079  SH         SOLE       1      10,079
SURMODICS INC                          EQUITY   868873100     453     10,436  SH         SOLE       1      10,436
SUSQUEHANNA BANCSHARES, INC.           EQUITY   869099101     792     32,226  SH         SOLE       1      32,226
SVB FINANCIAL GROUP                    EQUITY   78486Q101    4202     87,714  SH         SOLE       1      87,714
SWIFT ENERGY CO.                       EQUITY   870738101     701     19,573  SH         SOLE       1      19,573
SWIFT TRANSPORTATION CO., INC.         EQUITY   870756103    2601    111,697  SH         SOLE       1     111,697





                                                                                           
SWS GROUP INC                          EQUITY   78503N107     182     10,610  SH         SOLE       1      10,610
SYBASE, INC.                           EQUITY   871130100    2974    162,094  SH         SOLE       1     162,094
SYBRON DENTAL SPECIALTIES INC.         EQUITY   871142105    1042     27,696  SH         SOLE       1      27,696
SYCAMORE NETWORKS, INC                 EQUITY   871206108     421    121,916  SH         SOLE       1     121,916
SYKES ENTERPRISES, INC.                EQUITY   871237103     169     17,790  SH         SOLE       1      17,790
SYMANTEC CORP                          EQUITY   871503108   40777  1,875,655  SH         DEFINED    2             1,875,655
SYMANTEC CORP.                         EQUITY   871503108   12781    453,855  SH         SOLE       1     453,855
SYMBION INC                            EQUITY   871507109     285     11,967  SH         SOLE       1      11,967
SYMBOL TECHNOLOGIES INC                EQUITY   871508107       3        293  SH         DEFINED    2                   293
SYMBOL TECHNOLOGIES, INC.              EQUITY   871508107    1087    110,167  SH         SOLE       1     110,167
SYMMETRICOM, INC.                      EQUITY   871543104     330     31,857  SH         SOLE       1      31,857
SYMMETRY MED INC COM                   EQUITY   871546206       3     124300  SH         SOLE       3      124300
SYMMETRY MEDICAL INC                   EQUITY   871546206     135      5,755  SH         SOLE       1       5,755
SYMS CORP                              EQUITY   871551107      66      4,504  SH         SOLE       1       4,504
SYMX TECHNOLOGIES INC.                 EQUITY   87155S108     630     22,526  SH         SOLE       1      22,526
SYNAPTICS INC                          EQUITY   87157D109     345     16,138  SH         SOLE       1      16,138
SYNIVERSE HOLDINGS INC                 EQUITY   87163F106     170     12,153  SH         SOLE       1      12,153
SYNNEX CORP                            EQUITY   87162W100     105      5,968  SH         SOLE       1       5,968
SYNOPSYS INC.                          EQUITY   871607107    4475    268,452  SH         SOLE       1     268,452
SYNOVUS FINANCIAL CORP.                EQUITY   87161C105   14760    514,823  SH         SOLE       1     514,823
SYNOVUS FINL CORP                      EQUITY   87161C105      11        382  SH         DEFINED    2                   382
SYNTEL, INC.                           EQUITY   87162H103      87      5,408  SH         SOLE       1       5,408
SYNTROLEUM CORPORATION                 EQUITY   871630109     277     26,977  SH         SOLE       1      26,977
SYPRIS SOLUTIONS INC                   EQUITY   871655106      76      6,160  SH         SOLE       1       6,160
SYSCO CORP                             EQUITY   871829107   11291    311,991  SH         DEFINED    2               311,991
SYSCO CORP.                            EQUITY   871829107   11425    315,706  SH         SOLE       1     315,706
SYSTEMAX INC                           EQUITY   871851101      45      6,660  SH         SOLE       1       6,660
T ROWE PRICE GROUP INC.                EQUITY   74144T108    3475     55,511  SH         SOLE       1      55,511
TAIWAN SEMICONDUCTOR-SP ADR            EQUITY   874039100      49      5,336  SH         SOLE       1       5,336
TAKE-TWO INTERACTIVE SOFTWARE          EQUITY   874054109      39      1,545  SH         SOLE       1       1,545
TALBOTS INC                            EQUITY   874161102     514     15,827  SH         SOLE       1      15,827
TALISMAN ENERGY INC.                   EQUITY   87425E103    4599    122,800  SH         Defined    1           0   122,800
TALK AMERICA HOLDINGS INC              EQUITY   87426R202     188     18,814  SH         SOLE       1      18,814
TALX CORP                              EQUITY   874918105     380     13,136  SH         SOLE       1      13,136
TANGER FACTORY OUTLET CTRS             EQUITY   875465106     566     21,024  SH         SOLE       1      21,024
TANOX INC                              EQUITY   87588Q109     198     16,904  SH         SOLE       1      16,904
TARGET CORP                            EQUITY   87612E106      58      1,068  SH         DEFINED    2                 1,068
TARGET CORPORATION                     EQUITY   87612E106   22024    404,776  SH         SOLE       1     404,776
TARO PHARMACEUTICALS INDUS             EQUITY   M8737E108    3672    126,310  SH         SOLE       1     126,310
TARRAGON CORP                          EQUITY   876287103     185      7,310  SH         SOLE       1       7,310
TASER INTERNATIONAL INC                EQUITY   87651B104     424     42,212  SH         SOLE       1      42,212
TAUBMAN CENTERS, INC.                  EQUITY   876664103    1311     38,448  SH         SOLE       1      38,448
TAYLOR CAPITAL GROUP INC               EQUITY   876851106     110      2,802  SH         SOLE       1       2,802
TBC CORP                               EQUITY   872183108     421     15,505  SH         SOLE       1      15,505
TCF FINANCIAL CORP.                    EQUITY   872275102    5874    226,964  SH         SOLE       1     226,964
TD BANKNORTH INC                       EQUITY   87235A101      70      2,361  SH         SOLE       1       2,361
TECH DATA CORP.                        EQUITY   878237106    3880    106,009  SH         SOLE       1     106,009
TECHE CORP.                            EQUITY   878377100    3177     69,197  SH         SOLE       1      69,197
TECHNE CORP                            EQUITY   878377100    1116     24,300  SH         DEFINED    2                24,300
TECHNICAL OLYMPIC USA INC              EQUITY   878483106     250     10,306  SH         SOLE       1      10,306
TECHNITROL, INC.                       EQUITY   878555101     395     27,956  SH         SOLE       1      27,956
TECHNOLOGY INVSTMT CAP CORP            EQUITY   878717305     136      9,204  SH         SOLE       1       9,204





                                                                                            
Technology Select Sector Spdr Tr       EQUITY   81369Y803     498     25,000  SH         SOLE       4      25,000
TECHTEAM GLOBAL INC COM                EQUITY   878311109       2     128900  SH         SOLE       3      128900
TECO ENERGY INC                        EQUITY   872375100       5        257  SH         DEFINED    2                   257
TECO ENERGY, INC.                      EQUITY   872375100    1800     95,202  SH         SOLE       1      95,202
TECUMSEH PRODUCTS CO. CLASS A          EQUITY   878895200    1216     44,326  SH         SOLE       1      44,326
TEJON RANCH CO.                        EQUITY   879080109     309      6,004  SH         SOLE       1       6,004
TEKELEC                                EQUITY   879101103     656     39,038  SH         SOLE       1      39,038
TEKELEC COM                            EQUITY   879101103       1      49815  SH         SOLE       3       49815             2554
TEKELEC INC                            EQUITY   879101103    3442    204,900  SH         DEFINED    2               204,900
TEKTRONIX INC                          EQUITY   879131100       3        112  SH         DEFINED    2                   112
TEKTRONIX, INC.                        EQUITY   879131100     946     40,650  SH         SOLE       1      40,650
TELE NORTE LESTE PARTICIPACOES S.A. A  EQUITY   879246106    2041    122,570  SH         SOLE       1     122,570
TELECOM ARGENTINA S.A. - ADR           EQUITY   879273209    1460    122,300  SH         SOLE       1     122,300
TELECOM DE CHILE SPONS ADR             EQUITY   204449300    1905    187,340  SH         SOLE       1     187,340
TELEDYNE TECHOLOGIES INC               EQUITY   879360105     749     22,995  SH         SOLE       1      22,995
TELEFLEX INC.                          EQUITY   879369106    4138     69,695  SH         SOLE       1      69,695
TELEFONOS DE MEXIC ADR-EACH            EQUITY   879403780    3586    189,840  SH         SOLE       1     189,840
TELEPHONE AND DATA SYSTEMS             EQUITY   879433100    8051    197,271  SH         SOLE       1     197,271
TELETECH HOLDINGS                      EQUITY   879939106     201     24,631  SH         SOLE       1      24,631
TELEWEST GLOBAL INC                    EQUITY   87956T107   18993    833,771  SH         SOLE       1     833,771
TELIK INC                              EQUITY   87959M109     583     35,895  SH         SOLE       1      35,895
TELKONET INC                           EQUITY   879604106     121     24,537  SH         SOLE       1      24,537
TELLABS INC                            EQUITY   879664100       5        539  SH         DEFINED    2                   539
TELLABS, INC.                          EQUITY   879664100    1943    223,294  SH         SOLE       1     223,294
TEMPLE INLAND INC                      EQUITY   879868107       5        148  SH         DEFINED    2                   148
TEMPLE-INLAND INC.                     EQUITY   879868107    2126     57,229  SH         SOLE       1      57,229
TEMPUR-PEDIC INTERNATIONAL             EQUITY   88023U101      20        900  SH         SOLE       1         900
TENARIS SA-ADR                         EQUITY   88031M109    2952     37,711  SH         SOLE       1      37,711
TENET HEALTHCARE CORP                  EQUITY   88033G100       7        560  SH         DEFINED    2                   560
TENET HEALTHCARE CORP.                 EQUITY   88033G100    2630    214,907  SH         SOLE       1     214,907
TENNANT CO.                            EQUITY   880345103     193      5,444  SH         SOLE       1       5,444
TENNECO AUTOMOTIVE INC                 EQUITY   880349105     501     30,122  SH         SOLE       1      30,122
TERADYNE INC                           EQUITY   880770102       3        241  SH         DEFINED    2                   241
TERADYNE, INC.                         EQUITY   880770102    1066     89,034  SH         SOLE       1      89,034
TERAYON COMMUNICATION                  EQUITY   880775101     168     54,349  SH         SOLE       1      54,349
TERCICA INC                            EQUITY   88078L105      67      7,701  SH         SOLE       1       7,701
TEREX CORP.                            EQUITY   880779103      54      1,374  SH         SOLE       1       1,374
TERRA INDUSTRIES, INC.                 EQUITY   880915103    6531    959,054  SH         SOLE       1     959,054
TERREMARK WORLDWIDE INC                EQUITY   881448203     145     20,694  SH         SOLE       1      20,694
TESORO CORP                            EQUITY   881609101      75      1,616  SH         SOLE       1       1,616
TESSERA TECHNOLOGIES INC               EQUITY   88164L100    1014     30,339  SH         SOLE       1      30,339
TETRA TECH, INC.                       EQUITY   88162G103     489     36,150  SH         SOLE       1      36,150
TETRA TECHNOLOGIES, INC.               EQUITY   88162F105     497     15,617  SH         SOLE       1      15,617
TEVA PHARMACEUTCL INDS (ADR)           EQUITY   881624209       1      31233  SH         SOLE       3       31233             1525
TEVA PHARMACEUTICAL ADR                EQUITY   881624209     964     30,960  SH         SOLE       1      30,960
TEXAS CAPITAL BANCSHARES INC           EQUITY   88224Q107     305     15,431  SH         SOLE       1      15,431
TEXAS INDUSTRIES, INC.                 EQUITY   882491103     881     15,668  SH         SOLE       1      15,668
TEXAS INSTRS INC                       EQUITY   882508104              16600  SH         SOLE       3       16600
TEXAS INSTRS INC                       EQUITY   882508104   12947    461,249  SH         DEFINED    2               461,249
TEXAS INSTRUMENTS, INC.                EQUITY   882508104   20209    719,938  SH         SOLE       1     719,938
TEXAS REGIONAL BANCSHARES, INC CLASS   EQUITY   882673106    3101    101,736  SH         SOLE       1     101,736
TEXAS ROADHOUSE INC                    EQUITY   882681109     935     26,900  SH         DEFINED    2                26,900





                                                                                           
TEXAS ROADHOUSE INC-CLASS A            EQUITY   882681109     505     14,544  SH         SOLE       1      14,544
TEXTRON FINANCIAL CORP                 EQUITY   883203101    4644     61,230  SH         SOLE       1      61,230
TEXTRON INC                            EQUITY   883203101      13        166  SH         DEFINED    2                   166
THE GENLYTE GROUP, INC.                EQUITY   372302109     807     16,564  SH         SOLE       1      16,564
THE HERSHEY COMPANY                    EQUITY   427866108    5810     93,560  SH         SOLE       1      93,560
THE ST JOE COMPANY                     EQUITY   790148100      94      1,150  SH         SOLE       1       1,150
THE ST PAUL TRAVELERS COS              EQUITY   792860108      32        810  SH         DEFINED    2                   810
THE STEAK N SHAKE COMPANY              EQUITY   857873103     357     19,191  SH         SOLE       1      19,191
THE TITAN CORPORATION                  EQUITY   888266103    3492    153,569  SH         SOLE       1     153,569
THE YANKEE CANDLE CO.                  EQUITY   984757104    1007     31,365  SH         SOLE       1      31,365
THERMO ELECTRON CORP                   EQUITY   883556102       5        192  SH         DEFINED    2                   192
THERMO ELECTRON CORP.                  EQUITY   883556102    6175    229,814  SH         SOLE       1     229,814
THERMOGENESIS CORP                     EQUITY   883623209     138     31,673  SH         SOLE       1      31,673
THOMAS & BETTS CORP.                   EQUITY   884315102    3055    108,175  SH         SOLE       1     108,175
THOMAS INDUSTRIES, INC.                EQUITY   884425109     414     10,372  SH         SOLE       1      10,372
THOMAS NELSON                          EQUITY   640376109     172      7,925  SH         SOLE       1       7,925
THOR INDUSTRIES, INC.                  EQUITY   885160101    3319    105,585  SH         SOLE       1     105,585
THORATEC LABORATORIES CORP.            EQUITY   885175307     511     33,343  SH         SOLE       1      33,343
THORNBURG MORTGAGE INC.                EQUITY   885218107    5407    185,625  SH         SOLE       1     185,625
THQ INC                                EQUITY   872443403     794     27,110  SH         SOLE       1      27,110
THRESHOLD PHARMACEUTICALS              EQUITY   885807107      32      3,865  SH         SOLE       1       3,865
TIBCO SOFTWARE INC                     EQUITY   88632Q103     975    149,066  SH         SOLE       1     149,066
TIDEWATER, INC.                        EQUITY   886423102    4176    109,542  SH         SOLE       1     109,542
TIENS BIOTECH GROUP USA INC            EQUITY   88650T104      18      2,858  SH         SOLE       1       2,858
TIERONE CORP                           EQUITY   88650R108     340     12,531  SH         SOLE       1      12,531
TIFFANY & CO.                          EQUITY   886547108    2269     69,275  SH         SOLE       1      69,275
TIFFANY + CO NEW                       EQUITY   886547108      17        525  SH         DEFINED    2                   525
TIMBERLAND COMPANY                     EQUITY   887100105    4194    108,324  SH         SOLE       1     108,324
TIME WARNER INC                        EQUITY   887317105   77615  4,644,803  SH         SOLE       1   4,644,803
TIME WARNER INC NEW                    EQUITY   887317105    7872    471,142  SH         DEFINED    2               471,142
TIME WARNER TELECOM                    EQUITY   887319101     205     34,644  SH         SOLE       1      34,644
TIMKEN CO.                             EQUITY   887389104      38      1,662  SH         SOLE       1       1,662
TIPPERARY CORP                         EQUITY   888002300      78     12,487  SH         SOLE       1      12,487
TITAN INTERNATIONAL INC                EQUITY   88830M102     125      8,967  SH         SOLE       1       8,967
TITANIUM METALS CORPORATION            EQUITY   888339207     221      3,899  SH         SOLE       1       3,899
TIVO INC                               EQUITY   888706108     263     39,372  SH         SOLE       1      39,372
TJX COMPANIES, INC.                    EQUITY   872540109    5443    223,552  SH         SOLE       1     223,552
TJX COS INC NEW                        EQUITY   872540109      14        568  SH         DEFINED    2                   568
TNS INC                                EQUITY   872960109     210      8,998  SH         SOLE       1       8,998
TODCO                                  EQUITY   88889T107    4323    168,400  SH         DEFINED    2               168,400
TODCO CL A                             EQUITY   88889T107       1      47500  SH         SOLE       3       47500
TODCO-CL A                             EQUITY   88889T107     840     32,720  SH         SOLE       1      32,720
TOLL BROTHERS, INC.                    EQUITY   889478103   11431    112,561  SH         SOLE       1     112,561
TOMPKINS TRUSTCO INC                   EQUITY   890110109     190      4,379  SH         SOLE       1       4,379
TOO INC                                EQUITY   890333107     554     23,723  SH         SOLE       1      23,723
TOOTSIE ROLL INDUSTRIES, INC.          EQUITY   890516107    2711     92,691  SH         SOLE       1      92,691
TOPPS CO. INC.                         EQUITY   890786106     246     24,510  SH         SOLE       1      24,510
TORCHMARK CORP.                        EQUITY   891027104    2756     52,799  SH         SOLE       1      52,799
TORCHMARK INC                          EQUITY   891027104       7        133  SH         DEFINED    2                   133
TOREADOR RESOURCES CORP                EQUITY   891050106     239      9,828  SH         SOLE       1       9,828
TORO CO.                               EQUITY   891092108      35        897  SH         SOLE       1         897
TORONTO DOMINION BK                    EQUITY   891160509    6513    146,084  SH         Defined    1           0   146,084





                                                                                             
TOTAL SYSTEM SERVICE                   EQUITY   891906109      19        777  SH         SOLE       1         777
TOWER GROUP INC                        EQUITY   891777104     181     11,572  SH         SOLE       1      11,572
TOWN & COUNTRY TRUST                   EQUITY   892081100     380     13,313  SH         SOLE       1      13,313
TOYS R US INC                          EQUITY   892335100       7        264  SH         DEFINED    2                   264
TOYS R US INC.                         EQUITY   892335100    6143    231,991  SH         SOLE       1     231,991
TRACTOR SUPPLY CO                      EQUITY   892356106    1114     22,682  SH         SOLE       1      22,682
TRADESTATION GROUP INC                 EQUITY   89267P105     118     13,793  SH         SOLE       1      13,793
TRAMMELL CROW CO.                      EQUITY   89288R106     584     24,107  SH         SOLE       1      24,107
TRANS WORLD ENTERTAINMENT CORP         EQUITY   89336Q100     158     13,385  SH         SOLE       1      13,385
TRANSACTION SYSTEMS ARCHITECTS CLASS   EQUITY   893416107    2195     89,136  SH         SOLE       1      89,136
TRANSATLANTIC HOLDINGS INC             EQUITY   893521104      40        719  SH         SOLE       1         719
TRANSATLANTIC HOLDINGS INC             EQUITY   893521104 2182152 39,092,662  SH         SOLE       1  39,092,662
TRANSKARYOTIC THERAPIES, INC.          EQUITY   893735100    1097     29,980  SH         SOLE       1      29,980
TRANSMONTAIGNE, INC.                   EQUITY   893934109     266     25,309  SH         SOLE       1      25,309
TRANSOCEAN INC                         EQUITY   G90078109      12        228  SH         DEFINED    2                   228
TRANSOCEAN INC                         EQUITY   G90078109   13307    246,556  SH         SOLE       1     246,556
TRANSWITCH CORP.                       EQUITY   894065101     147     71,578  SH         SOLE       1      71,578
TRAVELZOO INC                          EQUITY   89421Q106      79      2,413  SH         SOLE       1       2,413
TREDEGAR CORP.                         EQUITY   894650100     309     19,799  SH         SOLE       1      19,799
TREX COMPANY, INC.                     EQUITY   89531P105     205      7,960  SH         SOLE       1       7,960
TRIAD GUARANTY, INC.                   EQUITY   895925105     311      6,167  SH         SOLE       1       6,167
TRIAD HOSPITALS INC COM                EQUITY   89579K109       1      23067  SH         SOLE       3       23067             1171
TRIAD HOSPITALS, INC.                  EQUITY   89579K109    7968    145,834  SH         SOLE       1     145,834
TRIAD HOSPS INC                        EQUITY   89579K109     710     13,000  SH         DEFINED    2                13,000
TRIARC COS-B                           EQUITY   895927309     392     26,395  SH         SOLE       1      26,395
TRIBUNE CO NEW                         EQUITY   896047107      13        358  SH         DEFINED    2                   358
TRIBUNE CO.                            EQUITY   896047107    4772    135,654  SH         SOLE       1     135,654
TRICO BANCSHARES                       EQUITY   896095106     187      8,365  SH         SOLE       1       8,365
TRIDENT MICROSYSTEMS INC               EQUITY   895919108     397     17,482  SH         SOLE       1      17,482
TRIMBLE NAVIGATION LTD.                EQUITY   896239100      43      1,094  SH         SOLE       1       1,094
TRIMERIS INC                           EQUITY   896263100     122     12,252  SH         SOLE       1      12,252
TRINITY INDUSTRIES, INC.               EQUITY   896522109    3337    104,184  SH         SOLE       1     104,184
TRIPATH IMAGIN INC                     EQUITY   896942109     179     20,885  SH         SOLE       1      20,885
TRIQUINT SEMICONDUCTOR, INC.           EQUITY   89674K103    1142    342,902  SH         SOLE       1     342,902
TRIUMPH GROUP, INC.                    EQUITY   896818101     382     10,978  SH         SOLE       1      10,978
TRI-VALLEY CORP                        EQUITY   895735108     214     15,368  SH         SOLE       1      15,368
TRIZEC PROPERTIES INC                  EQUITY   89687P107     184      8,941  SH         SOLE       1       8,941
TRIZETTO GROUP INC                     EQUITY   896882107     410     29,268  SH         SOLE       1      29,268
TRM CORPORATION                        EQUITY   872636105     126      7,471  SH         SOLE       1       7,471
TRUSTCO BANK CORP. NY                  EQUITY   898349105     679     51,979  SH         SOLE       1      51,979
TRUSTMARK CORP.                        EQUITY   898402102     955     32,665  SH         SOLE       1      32,665
TRUSTREET PROPERTIES INC               EQUITY   898404108     691     41,628  SH         SOLE       1      41,628
TRW AUTOMOTIVE HOLDINGS CORP           EQUITY   87264S106      23        936  SH         SOLE       1         936
TTM TECHONOLOGIES                      EQUITY   87305R109     217     28,501  SH         SOLE       1      28,501
TUESDAY MORNING CORPORATION            EQUITY   899035505     563     17,848  SH         SOLE       1      17,848
TUPPERWARE CORP.                       EQUITY   899896104    3208    137,272  SH         SOLE       1     137,272
TURBOCHEF TECHNOLOGIES INC             EQUITY   900006206     158      8,837  SH         SOLE       1       8,837
TVI CORP NEW COM                       EQUITY   872916101       1     288500  SH         SOLE       3      288500
TXU CORP                               EQUITY   873168108      24        284  SH         DEFINED    2                   284
TXU CORP                               EQUITY   873168108    8557    102,984  SH         SOLE       1     102,984
TYCO INTERNATIONAL, LTD.               EQUITY   902124106   69408  2,376,982  SH         SOLE       1   2,376,982
TYCO INTL LTD                          EQUITY   902124106   14222    487,059  SH         DEFINED    2               487,059





                                                                                            
TYLER TECHNOLOGIES INC                 EQUITY   902252105     184     24,389  SH         SOLE       1      24,389
TYSON FOODS, INC. CLASS A              EQUITY   902494103    9742    547,296  SH         SOLE       1     547,296
U S XPRESS ENTERPRISES                 EQUITY   90338N103      83      6,952  SH         SOLE       1       6,952
U.S. BANCORP, INC.                     EQUITY   902973304   72764  2,491,909  SH         SOLE       1   2,491,909
U.S.B. HOLDING CO., INC.               EQUITY   902910108     178      7,604  SH         SOLE       1       7,604
UAP HOLDING CORP                       EQUITY   903441103     384     23,106  SH         SOLE       1      23,106
UBIQUITEL INC                          EQUITY   903474302     428     52,481  SH         SOLE       1      52,481
UCBH HOLDINGS INC                      EQUITY   90262T308    1026     63,203  SH         SOLE       1      63,203
UGI CORP.                              EQUITY   902681105      80      2,884  SH         SOLE       1       2,884
UICI                                   EQUITY   902737105     725     24,352  SH         SOLE       1      24,352
UIL HOLDINGS CORP.                     EQUITY   902748102     544     10,117  SH         SOLE       1      10,117
ULTICOM INC                            EQUITY   903844108      95      8,913  SH         SOLE       1       8,913
ULTIMATE SOFTWARE GROUP INC            EQUITY   90385D107     257     15,701  SH         SOLE       1      15,701
ULTRALIFE BATTERIES INC                EQUITY   903899102     161      9,957  SH         SOLE       1       9,957
ULTRATECH , INC.                       EQUITY   904034105     302     16,524  SH         SOLE       1      16,524
UMB FINANCIAL CORP.                    EQUITY   902788108     615     10,789  SH         SOLE       1      10,789
UMPQUA HOLDINGS CORP                   EQUITY   904214103     723     30,707  SH         SOLE       1      30,707
UNIBANCO - SPONSORED GDR               EQUITY   90458E107     560     14,500  SH         SOLE       1      14,500
UNIFIRST CORP.                         EQUITY   904708104     260      6,414  SH         SOLE       1       6,414
UNION BANKSHARES CORP                  EQUITY   905399101     234      6,048  SH         SOLE       1       6,048
UNION PAC CORP                         EQUITY   907818108      20        315  SH         DEFINED    2                   315
UNION PACIFIC CORP.                    EQUITY   907818108    7361    113,595  SH         SOLE       1     113,595
UNIONBANCAL CORP                       EQUITY   908906100     105      1,569  SH         SOLE       1       1,569
UNISOURCE ENERGY CORP.                 EQUITY   909205106     734     23,871  SH         SOLE       1      23,871
UNISYS CORP                            EQUITY   909214108       3        412  SH         DEFINED    2                   412
UNISYS CORP.                           EQUITY   909214108    1208    190,862  SH         SOLE       1     190,862
UNIT CORP.                             EQUITY   909218109      34        780  SH         SOLE       1         780
UNITED AUTO GROUP, INC.                EQUITY   909440109     550     18,459  SH         SOLE       1      18,459
UNITED BANKSHARES INC. WV              EQUITY   909907107     920     25,849  SH         SOLE       1      25,849
UNITED CAPITAL CORPORATION             EQUITY   909912107      52      2,006  SH         SOLE       1       2,006
UNITED CMNTY BKS BLAIR                 EQUITY   90984P105     568     21,826  SH         SOLE       1      21,826
UNITED COMMUNITY FINANCIAL CO          EQUITY   909839102     205     18,700  SH         SOLE       1      18,700
UNITED DOMINION REALTY TRUST           EQUITY   910197102    6174    256,735  SH         SOLE       1     256,735
UNITED DOMINION RLTYTR COM             EQUITY   910197102               9660  SH         SOLE       3        9660             9660
UNITED FIRE & CASUALTY CO.             EQUITY   910331107     472     10,636  SH         SOLE       1      10,636
UNITED INDL CORP COM                   EQUITY   910671106       2      49400  SH         SOLE       3       49400
UNITED INDUSTRIAL CORP                 EQUITY   910671106     257      7,178  SH         SOLE       1       7,178
UNITED MICROELECTRONICS-ADR            EQUITY   910873207    1569    381,700  SH         SOLE       1     381,700
UNITED NATURAL FOODS, INC.             EQUITY   911163103     857     28,228  SH         SOLE       1      28,228
UNITED ONLINE INC                      EQUITY   911268100     459     42,324  SH         SOLE       1      42,324
UNITED PANAM FINANCIAL CORP            EQUITY   911301109      94      3,444  SH         SOLE       1       3,444
UNITED PARCEL SERVICE CLASS -B         EQUITY   911312106   43020    622,029  SH         SOLE       1     622,029
UNITED PARCEL SVC INC                  EQUITY   911312106      98      1,416  SH         DEFINED    2                 1,416
UNITED RENTALS, INC.                   EQUITY   911363109    3545    175,414  SH         SOLE       1     175,414
UNITED SECURITY BANCSHARES             EQUITY   911459105     123      3,993  SH         SOLE       1       3,993
UNITED STATES STEEL CORP               EQUITY   912909108    1934     56,284  SH         SOLE       1      56,284
UNITED STATIONERS, INC.                EQUITY   913004107    1126     22,936  SH         SOLE       1      22,936
UNITED STS STL CORP NEW                EQUITY   912909108       4        129  SH         DEFINED    2                   129
UNITED SURGICAL PARTNE                 EQUITY   913016309    1037     19,914  SH         SOLE       1      19,914
UNITED SURGICAL PARTNERS               EQUITY   913016309    1687     32,400  SH         DEFINED    2                32,400
UNITED TECHNOLOGIES CORP               EQUITY   913017109   17654    343,800  SH         DEFINED    2               343,800
UNITED TECHNOLOGIES CORP.              EQUITY   913017109   24062    468,591  SH         SOLE       1     468,591





                                                                                              
UNITED THERAPEUTICS CORP.              EQUITY   91307C102     753     15,630  SH         SOLE       1      15,630
UNITEDHEALTH GROUP INC                 EQUITY   91324P102    9605    184,140  SH         DEFINED    2               184,140
UNITEDHEALTH GROUP INC                 EQUITY   91324P102   35491    680,678  SH         SOLE       1     680,678
UNITRIN, INC.                          EQUITY   913275103    5123    104,343  SH         SOLE       1     104,343
UNIVERSAL AMER FINANCIAL CORP          EQUITY   913377107     389     17,211  SH         SOLE       1      17,211
UNIVERSAL COMPRESSION HLDGS            EQUITY   913431102     445     12,281  SH         SOLE       1      12,281
UNIVERSAL CORP.                        EQUITY   913456109    2771     63,300  SH         SOLE       1      63,300
UNIVERSAL DISPLAY CORP.                EQUITY   91347P105     167     16,237  SH         SOLE       1      16,237
UNIVERSAL ELECTRONICS INC.             EQUITY   913483103     155      9,358  SH         SOLE       1       9,358
UNIVERSAL FOREST PRODUCTS, INC         EQUITY   913543104     456     11,004  SH         SOLE       1      11,004
UNIVERSAL HEALTH REALTY INCOME         EQUITY   91359E105     340      8,915  SH         SOLE       1       8,915
UNIVERSAL HEALTH SERVICES - B          EQUITY   913903100    6498    104,497  SH         SOLE       1     104,497
UNIVERSAL HLTH SVCS CL B               EQUITY   913903100       1      20774  SH         SOLE       3       20774              649
UNIVERSAL TECHNICAL INSTITUT           EQUITY   913915104     491     14,777  SH         SOLE       1      14,777
UNIVERSAL TRUCKLOAD SERVICES           EQUITY   91388P105      65      3,853  SH         SOLE       1       3,853
UNIVEST CORP OF PENNSYLVANIA           EQUITY   915271100     238      7,932  SH         SOLE       1       7,932
UNIVISION COMMUNICATIONS I             EQUITY   914906102      10        347  SH         DEFINED    2                   347
UNIVISION COMMUNICATIONS, INC.         EQUITY   914906102    3742    135,835  SH         SOLE       1     135,835
UNIZAN FINANCIAL CORP                  EQUITY   91528W101     409     15,266  SH         SOLE       1      15,266
UNOCAL CORP                            EQUITY   915289102      21        323  SH         DEFINED    2                   323
UNOCAL CORP.                           EQUITY   915289102    7637    117,403  SH         SOLE       1     117,403
UNOVA, INC.                            EQUITY   91529B106     901     33,845  SH         SOLE       1      33,845
UNUMPROVIDENT CORP                     EQUITY   91529Y106       7        357  SH         DEFINED    2                   357
UNUMPROVIDENT CORP.                    EQUITY   91529Y106    2545    138,920  SH         SOLE       1     138,920
URBAN OUTFITTERS INC                   EQUITY   917047102    4773     84,200  SH         DEFINED    2                84,200
URBAN OUTFITTERS, INC.                 EQUITY   917047102    6666    117,585  SH         SOLE       1     117,585
URS CORP.                              EQUITY   903236107    1053     28,198  SH         SOLE       1      28,198
URSTADT BIDDLE [A]                     EQUITY   917286205     275     15,871  SH         SOLE       1      15,871
URSTADT BIDDLE PROPERTIES              EQUITY   917286106       4        260  SH         SOLE       1         260
US Bancorp                             EQUITY   902973304    2336     80,000  SH         SOLE       4      80,000
US BANCORP DEL                         EQUITY   902973304    6045    207,004  SH         DEFINED    2               207,004
US CELLULAR                            EQUITY   911684108    6571    239,497  SH         SOLE       1         636
US PHYSICAL THERAPY INC                EQUITY   90337L108     157      8,210  SH         SOLE       1       8,210
US UNSIRED INC                         EQUITY   90338R104     522     89,686  SH         SOLE       1      89,686
USA MOBILITY INC                       EQUITY   90341G103     545     18,549  SH         SOLE       1      18,549
USA TRUCK INC                          EQUITY   902925106      88      3,553  SH         SOLE       1       3,553
USANA HEALTH SCIENCES INC              EQUITY   90328M107     301      7,112  SH         SOLE       1       7,112
USEC, INC                              EQUITY   90333E108     871     59,484  SH         SOLE       1      59,484
USG CORP.                              EQUITY   903293405      44      1,024  SH         SOLE       1       1,024
USI HOLDINGS CORP                      EQUITY   90333H101     403     31,318  SH         SOLE       1      31,318
UST INC                                EQUITY   902911106       9        208  SH         DEFINED    2                   208
UST INC.                               EQUITY   902911106    3424     74,997  SH         SOLE       1      74,997
U-STORE-IT TRUST                       EQUITY   91274F104     417     21,881  SH         SOLE       1      21,881
UTSTARCOM INC                          EQUITY   918076100    1911    255,078  SH         SOLE       1     255,078
V F CORP                               EQUITY   918204108       7        126  SH         DEFINED    2                   126
V. F. CORP.                            EQUITY   918204108    3267     57,088  SH         SOLE       1      57,088
VAIL RESORTS, INC.                     EQUITY   91879Q109     597     21,249  SH         SOLE       1      21,249
VALANCE TECHNOLOGY, INC                EQUITY   918914102      81     28,869  SH         SOLE       1      28,869
VALASSIS COMMUNICATIONS IN             EQUITY   918866104    3538     95,500  SH         DEFINED    2                95,500
VALASSIS COMMUNICATIONS, INC.          EQUITY   918866104    4576    123,514  SH         SOLE       1     123,514
VALEANT PHARMACEUTICALS INTE           EQUITY   91911X104    2936    166,519  SH         SOLE       1     166,519
VALERO ENERGY CORP                     EQUITY   91913Y100      24        302  SH         DEFINED    2                   302





                                                                                             
VALERO ENERGY CORP.                    EQUITY   91913Y100    8776    110,932  SH         SOLE       1     110,932
VALHI INC                              EQUITY   918905100       5        261  SH         SOLE       1         261
VALLEY NATIONAL BANC                   EQUITY   919794107      71      3,017  SH         SOLE       1       3,017
VALMONT INDUSTRIES, INC.               EQUITY   920253101     307     11,886  SH         SOLE       1      11,886
VALOR COMMUNICATIONS GROUP             EQUITY   920255106     280     20,278  SH         SOLE       1      20,278
VALSPAR CORP.                          EQUITY   920355104    4453     92,215  SH         SOLE       1      92,215
VALUE LINE, INC.                       EQUITY   920437100      37        931  SH         SOLE       1         931
VALUECLICK INC.                        EQUITY   92046N102     705     57,218  SH         SOLE       1      57,218
VALUEVISION MEDIA INC                  EQUITY   92047K107     227     18,871  SH         SOLE       1      18,871
VARIAN MEDICAL SYSTEMS INC             EQUITY   92220P105    8882    237,940  SH         SOLE       1     237,940
VARIAN SEMICONDUCTOR EQUIPMENT         EQUITY   922207105     941     25,432  SH         SOLE       1      25,432
VARIAN, INC.                           EQUITY   922206107    3189     84,395  SH         SOLE       1      84,395
VASCO DATA SECURITY INTL               EQUITY   92230Y104     160     16,541  SH         SOLE       1      16,541
VCA ANTECH INC                         EQUITY   918194101    3336    137,585  SH         SOLE       1     137,585
VECTOR GROUP LTD.                      EQUITY   92240M108    2303    124,005  SH         SOLE       1     124,005
VECTREN CORP                           EQUITY   92240G101    3951    137,516  SH         SOLE       1     137,516
VEECO INSTRUMENTS, INC.                EQUITY   922417100     296     18,192  SH         SOLE       1      18,192
VENTANA MEDICAL SYSTEMS, INC.          EQUITY   92276H106    2430     60,411  SH         SOLE       1      60,411
VENTAS, INC.                           EQUITY   92276F100     245      8,100  SH         SOLE       1       8,100
VENTIV HEALTH                          EQUITY   922793104     356     18,465  SH         SOLE       1      18,465
VERIFONE HOLDINGS INC                  EQUITY   92342Y109     279     17,167  SH         SOLE       1      17,167
VERINT SYSTEMS                         EQUITY   92343X100     291      9,039  SH         SOLE       1       9,039
VERISIGN INC COM                       EQUITY   92343E102       2      70654  SH         SOLE       3       70654             1917
VERISIGN, INC.                         EQUITY   92343E102     635     22,096  SH         SOLE       1      22,096
VERITAS DGC, INC.                      EQUITY   92343P107     649     23,384  SH         SOLE       1      23,384
VERITAS SOFTWARE CORP                  EQUITY   923436109      13        514  SH         DEFINED    2                   514
VERITAS SOFTWARE CORP.                 EQUITY   923436109    8449    346,275  SH         SOLE       1     346,275
VERITY INC COM                         EQUITY   92343C106     228     25,968  SH         SOLE       1      25,968
VERIZON COMMUNICATIONS                 EQUITY   92343V104   20393    590,238  SH         DEFINED    2               590,238
VERIZON COMMUNICATIONS                 EQUITY   92343V104   83920  2,428,958  SH         SOLE       1   2,428,958
VERTEX PHARMACEUTICALS INC             EQUITY   92532F100     960     57,000  SH         DEFINED    2                57,000
VERTEX PHARMACEUTICALS, INC.           EQUITY   92532F100    3891    230,930  SH         SOLE       1     230,930
VERTRUE INC                            EQUITY   92534N101     205      5,261  SH         SOLE       1       5,261
VIACELL INC                            EQUITY   92554J105      58      5,453  SH         SOLE       1       5,453
VIACOM INC                             EQUITY   925524308     120      3,740  SH         DEFINED    2                 3,740
VIACOM INC CLASS A                     EQUITY   925524100      24        735  SH         DEFINED    2                   735
VIACOM, INC. CLASS B                   EQUITY   925524308   30229    944,064  SH         SOLE       1     944,064
VIAD CORP                              EQUITY   92552R406     436     15,383  SH         SOLE       1      15,383
VIASAT, INC.                           EQUITY   92552V100     303     14,910  SH         SOLE       1      14,910
VIASYS HEALTHCARE INC                  EQUITY   92553Q209     487     21,539  SH         SOLE       1      21,539
VICOR CORP.                            EQUITY   925815102     180     13,246  SH         SOLE       1      13,246
VICURON PHARMACEUTICALS                EQUITY   926471103    3056    109,544  SH         SOLE       1     109,544
VIGNETTE CORPORATION                   EQUITY   926734401     226     20,100  SH         SOLE       1      20,100
VIISAGE TECHNOLOGY INC                 EQUITY   92675K106     100     22,411  SH         SOLE       1      22,411
VIMPEL-COMMUNICATIONS-SP ADR           EQUITY   68370R109    2151     63,200  SH         SOLE       1      63,200
VINEYARD NATL BANCORP CO               EQUITY   927426106     170      5,391  SH         SOLE       1       5,391
VINTAGE PETROLEUM, INC.                EQUITY   927460105      44      1,430  SH         SOLE       1       1,430
VIRAGE LOGIC CORPORATION               EQUITY   92763R104      97      9,412  SH         SOLE       1       9,412
VIRGINIA COMMERCE BANCORP              EQUITY   92778Q109     154      6,309  SH         SOLE       1       6,309
VIRGINIA FINL CORP                     EQUITY   927810101     174      4,949  SH         SOLE       1       4,949
VIROLOGIC INC                          EQUITY   92823R201     208     84,015  SH         SOLE       1      84,015
VISHAY INTERTECHNOLOGY, INC.           EQUITY   928298108    3855    324,801  SH         SOLE       1     324,801





                                                                                             
VISTACARE INC-CL A                     EQUITY   92839Y109     141      7,619  SH         SOLE       1       7,619
VISTEON CORP                           EQUITY   92839U107       1        157  SH         DEFINED    2                   157
VISTEON CORP.                          EQUITY   92839U107     882    146,269  SH         SOLE       1     146,269
VITAL IMAGES INC                       EQUITY   92846N104     152      8,474  SH         SOLE       1       8,474
VITAL SIGNS, INC.                      EQUITY   928469105     165      3,798  SH         SOLE       1       3,798
VITESSE SEMICONDUCTOR CORP             EQUITY   928497106     592    283,300  SH         DEFINED    2               283,300
VITESSE SEMICONDUCTOR CORP.            EQUITY   928497106     314    150,759  SH         SOLE       1     150,759
VNUS MED TECHNOLOGIES INC              EQUITY   928566108     653     54,300  SH         DEFINED    2                54,300
VNUS MEDICAL TECHNOLOGIES              EQUITY   928566108      43      3,561  SH         SOLE       1       3,561
VOLT INFORMATION SCIENCES INC.         EQUITY   928703107     132      5,557  SH         SOLE       1       5,557
VOLTERRA SEMICONDUCTOR CORP            EQUITY   928708106     157     10,525  SH         SOLE       1      10,525
VORNADO                                EQUITY   929042109     871     10,838  SH         SOLE       1      10,838
VORNADO RLTY TR SH BEN INT             EQUITY   929042109       1       8130  SH         SOLE       3        8130             8130
VULCAN MATERIALS CO.                   EQUITY   929160109    3022     46,496  SH         SOLE       1      46,496
VULCAN MATLS CO                        EQUITY   929160109       8        126  SH         DEFINED    2                   126
W HOLDING COMPANY INC.                 EQUITY   929251106     771     75,470  SH         SOLE       1      75,470
W&T OFFSHORE INC                       EQUITY   92922P106     211      8,750  SH         SOLE       1       8,750
W. R. BERKLEY CORP.                    EQUITY   084423102    7668    214,903  SH         SOLE       1     214,903
W. W. GRAINGER, INC.                   EQUITY   384802104    2094     38,214  SH         SOLE       1      38,214
W.P. CAREY & CO. LLC                   EQUITY   92930Y107     702     23,990  SH         SOLE       1      23,990
WABASH NATIONAL CORP.                  EQUITY   929566107     521     21,497  SH         SOLE       1      21,497
WABTEC                                 EQUITY   929740108     695     32,362  SH         SOLE       1      32,362
Wachovia Corp                          EQUITY   929903102    1984     40,000  SH         SOLE       4      40,000
WACHOVIA CORP                          EQUITY   929903102   68715  1,385,385  SH         SOLE       1   1,385,385
WACHOVIA CORP 2ND NEW                  EQUITY   929903102      94      1,897  SH         DEFINED    2                 1,897
WADDELL & REED FINANCIAL, INC.         EQUITY   930059100    3726    201,389  SH         SOLE       1     201,389
WAL MART STORES INC                    EQUITY   931142103   25495    528,933  SH         DEFINED    2               528,933
WALGREEN CO                            EQUITY   931422109    7843    170,529  SH         DEFINED    2               170,529
WALGREEN CO.                           EQUITY   931422109   20213    439,499  SH         SOLE       1     439,499
WAL-MART STORES, INC.                  EQUITY   931142103  115023  2,386,367  SH         SOLE       1   2,386,367
WALT DISNEY                            EQUITY   254687106   90305  3,586,388  SH         SOLE       1   3,586,388
WALTER INDUSTRIES, INC.                EQUITY   93317Q105    1052     26,166  SH         SOLE       1      26,166
WARNACO GROUP INC                      EQUITY   934390402     743     31,942  SH         SOLE       1      31,942
WARNER MUSIC GROUP CORP                EQUITY   934550104      13        824  SH         SOLE       1         824
WARREN RESOURCES INC                   EQUITY   93564A100     136     13,000  SH         SOLE       1      13,000
WASHINGTON FEDERAL I                   EQUITY   938824109    3688    156,822  SH         SOLE       1     156,822
WASHINGTON GROUP INTL INC              EQUITY   938862208     919     17,983  SH         SOLE       1      17,983
WASHINGTON MUT INC                     EQUITY   939322103      43      1,055  SH         DEFINED    2                 1,055
WASHINGTON MUTUAL INC                  EQUITY   939322103   38165    937,945  SH         SOLE       1     937,945
WASHINGTON POST CO. CLASS B            EQUITY   939640108   10370     12,419  SH         SOLE       1      12,419
WASHINGTON REAL ESTATE INV.            EQUITY   939653101     999     32,008  SH         SOLE       1      32,008
WASHINGTON TRUST BANCORP, INC.         EQUITY   940610108     227      8,186  SH         SOLE       1       8,186
WASTE CONNECTIONS                      EQUITY   941053100      63      1,695  SH         DEFINED    2                 1,695
WASTE CONNECTIONS, INC.                EQUITY   941053100    1206     32,341  SH         SOLE       1      32,341
WASTE INDUSTRIES USA INC               EQUITY   941057101      57      4,050  SH         SOLE       1       4,050
WASTE MANAGEMENT, INC.                 EQUITY   94106L109    9116    321,651  SH         SOLE       1     321,651
WASTE MGMT INC DEL                     EQUITY   94106L109      20        690  SH         DEFINED    2                   690
WASTE SERVICES INC                     EQUITY   941075103     169     44,089  SH         SOLE       1      44,089
WATER PIK TECHNOLOGIES INC             EQUITY   94113U100     160      8,412  SH         SOLE       1       8,412
WATERS CORP                            EQUITY   941848103       5        147  SH         DEFINED    2                   147
WATERS CORP.                           EQUITY   941848103    2243     60,352  SH         SOLE       1      60,352
WATSCO, INC.                           EQUITY   942622200     631     14,822  SH         SOLE       1      14,822





                                                                                             
WATSON PHARMACEUTICALS INC             EQUITY   942683103       4        134  SH         DEFINED    2                   134
WATSON PHARMACEUTICALS, INC            EQUITY   942683103    1495     50,577  SH         SOLE       1      50,577
WATSON WYATT & CO HOLDINGS             EQUITY   942712100     579     22,589  SH         SOLE       1      22,589
WATTS WATER TECHNOLOGIES INC., CLASS   EQUITY   942749102     579     17,275  SH         SOLE       1      17,275
WAUSAU PAPER CORP.                     EQUITY   943315101     352     29,354  SH         SOLE       1      29,354
WCI COMMUNITIES INC                    EQUITY   92923C104     768     23,981  SH         SOLE       1      23,981
WD-40 CO.                              EQUITY   929236107     322     11,517  SH         SOLE       1      11,517
WEATHERFORDNINTL LTD                   EQUITY   G95089101   14275    246,200  SH         SOLE       1     246,200
WEBEX COMMUNICATIONS INC (USD)         EQUITY   94767L109     603     22,842  SH         SOLE       1      22,842
WEBMD CORPORATION                      EQUITY   94769M105      78      7,610  SH         SOLE       1       7,610
WEBMETHODS INC                         EQUITY   94768C108     206     36,832  SH         SOLE       1      36,832
WEBSENSE INC                           EQUITY   947684106     793     16,510  SH         SOLE       1      16,510
WEBSIDESTORY                           EQUITY   947685103      91      6,208  SH         SOLE       1       6,208
WEBSTER FINANCIAL CORP.                EQUITY   947890109    4538     97,195  SH         SOLE       1      97,195
WEIGHT WATCHERS INTL                   EQUITY   948626106      24        475  SH         DEFINED    2                   475
WEIGHT WATCHERS INTL INC               EQUITY   948626106      44        854  SH         SOLE       1         854
WEINGARTEN REALTY INVESTORS            EQUITY   948741103    6231    158,876  SH         SOLE       1     158,876
WEINGARTEN RLTY INVS SH BEN IN         EQUITY   948741103               5970  SH         SOLE       3        5970             5970
WEIS MARKETS INC                       EQUITY   948849104     381      9,823  SH         SOLE       1       9,823
WELLCARE HEALTH PLANS INC              EQUITY   94946T106     457     12,857  SH         SOLE       1      12,857
WELLCHOICE INC                         EQUITY   949475107      48        694  SH         SOLE       1         694
WELLCHOICE INC                         EQUITY   949475107     813     11,700  SH         DEFINED    2                11,700
WELLMAN, INC.                          EQUITY   949702104     228     22,413  SH         SOLE       1      22,413
WELLPOINT INC                          EQUITY   94973V107   22767    326,921  SH         SOLE       1     326,921
WELLPOINT INC                          EQUITY   94973V107   24662    354,137  SH         DEFINED    2               354,137
WELLS FARGO + CO NEW                   EQUITY   949746101    5254     85,327  SH         DEFINED    2                85,327
WELLS FARGO CO.                        EQUITY   949746101   55656    903,804  SH         SOLE       1     903,804
WENDY'S INTERNATIONAL, INC.            EQUITY   950590109    2497     52,405  SH         SOLE       1      52,405
WENDYS INTL INC                        EQUITY   950590109       7        140  SH         DEFINED    2                   140
WERNER ENTERPRISES, INC.               EQUITY   950755108    2910    148,330  SH         SOLE       1     148,330
WESBANCO, INC.                         EQUITY   950810101     471     15,685  SH         SOLE       1      15,685
WESCO FINANCIAL CORP                   EQUITY   950817106      14         40  SH         SOLE       1          40
WESCO INTERNATIONAL, INC.              EQUITY   95082P105     695     22,163  SH         SOLE       1      22,163
WEST BANCORPORATION                    EQUITY   95123P106     217     11,537  SH         SOLE       1      11,537
WEST COAST BANCORP                     EQUITY   952145100     250     10,224  SH         SOLE       1      10,224
WEST CORPORATION                       EQUITY   952355105      16        412  SH         SOLE       1         412
WEST MARINE INC                        EQUITY   954235107     170      9,417  SH         SOLE       1       9,417
WEST PHARMACEUTICAL SERVICES           EQUITY   955306105     602     21,478  SH         SOLE       1      21,478
WESTAMERICA BANKCORPORATION            EQUITY   957090103    4281     81,055  SH         SOLE       1      81,055
WESTAR ENERGY                          EQUITY   95709T100    3761    156,509  SH         SOLE       1     156,509
WESTCORP                               EQUITY   957907108      30        571  SH         SOLE       1         571
WESTELL TECHNOLOGIES INC-A             EQUITY   957541105     223     37,293  SH         SOLE       1      37,293
WESTERN DIGITIAL CORP.                 EQUITY   958102105    5144    383,315  SH         SOLE       1     383,315
WESTERN GAS RESOURCES, INC.            EQUITY   958259103    4052    116,108  SH         SOLE       1     116,108
WESTERN SIERRA BANCORP                 EQUITY   959522103     155      4,591  SH         SOLE       1       4,591
WESTERN WIRELESS CORP. CLASS A         EQUITY   95988E204      72      1,704  SH         SOLE       1       1,704
WESTFIELD FINANCIAL IN                 EQUITY   96008D101      73      3,005  SH         SOLE       1       3,005
WESTLAKE CHEMICAL CORP                 EQUITY   960413102     228      9,294  SH         SOLE       1       9,294
WESTWOOD ONE, INC.                     EQUITY   961815107    3139    153,641  SH         SOLE       1     153,641
WET SEAL, INC.                         EQUITY   961840105     201     29,554  SH         SOLE       1      29,554
WEYCO GROUP INC                        EQUITY   962149100      79      3,995  SH         SOLE       1       3,995
WEYERHAEUSER CO                        EQUITY   962166104      19        293  SH         DEFINED    2                   293





                                                                                            
WEYERHAEUSER CO.                       EQUITY   962166104    6733    105,774  SH         SOLE       1     105,774
WFS FINANCIAL, INC.                    EQUITY   92923B106       9        183  SH         SOLE       1         183
WGL HOLDINGS INC.                      EQUITY   92924F106    4048    120,337  SH         SOLE       1     120,337
W-H ENERGY SERVICES INC                EQUITY   92925E108     481     19,310  SH         SOLE       1      19,310
WHEELING-PITTSBURG CORP                EQUITY   963142302      93      6,047  SH         SOLE       1       6,047
WHIRLPOOL CORP                         EQUITY   963320106       6         85  SH         DEFINED    2                    85
WHIRLPOOL CORP.                        EQUITY   963320106    2160     30,815  SH         SOLE       1      30,815
WHITING PETROLEUM CORP                 EQUITY   966387102     747     20,581  SH         SOLE       1      20,581
WHITNEY HOLDING CORP.                  EQUITY   966612103      57      1,750  SH         SOLE       1       1,750
WHOLE FOODS MARKET I                   EQUITY   966837106   14401    121,825  SH         SOLE       1     121,825
WILD OATS MARKETS, INC.                EQUITY   96808B107     226     19,743  SH         SOLE       1      19,743
WILLIAMS COMPANIES, INC.               EQUITY   969457100    5592    294,291  SH         SOLE       1     294,291
WILLIAMS COS INC                       EQUITY   969457100      13        682  SH         DEFINED    2                   682
WILLIAMS SONOMA INC                    EQUITY   969904101   14977    378,500  SH         DEFINED    2               378,500
WILLIAMS-SONOMA, INC.                  EQUITY   969904101    8243    208,320  SH         SOLE       1     208,320
WILLIS GROUP HOLDINGS LTD              EQUITY   G96655108   13056    399,028  SH         SOLE       1     399,028
WILMINGTON TRUST CORP                  EQUITY   971807102    4392    121,978  SH         SOLE       1     121,978
WILSHIRE BANCORP INC                   EQUITY   97186T108     153     10,658  SH         SOLE       1      10,658
WILSONS THE LEATHER EXPERTS            EQUITY   972463103      87     13,085  SH         SOLE       1      13,085
WIMM-BILL-DANN FOODS ADR               EQUITY   97263M109     830     50,500  SH         SOLE       1      50,500
WIND RIVER SYSTEMS INC.                EQUITY   973149107    2973    189,587  SH         SOLE       1     189,587
WINNEBAGO INDUSTRIES, INC.             EQUITY   974637100     755     23,059  SH         SOLE       1      23,059
WINSTON HOTELS INC                     EQUITY   97563A102     206     18,315  SH         SOLE       1      18,315
WINTRUST FINANCIAL CORP                EQUITY   97650W108     849     16,214  SH         SOLE       1      16,214
WIRELESS FACILITIES INC.               EQUITY   97653A103     246     38,815  SH         SOLE       1      38,815
WISCONSIN ENERGY CORP.                 EQUITY   976657106    8247    211,453  SH         SOLE       1     211,453
WITNESS SYSTEMS INC                    EQUITY   977424100     340     18,637  SH         SOLE       1      18,637
WM. WRIGLEY JR. CO.                    EQUITY   982526105    5794     84,165  SH         SOLE       1      84,165
WMS INDUSTRIES INC.                    EQUITY   929297109     497     14,713  SH         SOLE       1      14,713
WOLVERINE WORLD WIDE, INC.             EQUITY   978097103     960     39,965  SH         SOLE       1      39,965
WOODWARD GOVERNOR CO.                  EQUITY   980745103     571      6,796  SH         SOLE       1       6,796
WORLD ACCEPTANCE CORP.                 EQUITY   981419104     394     13,121  SH         SOLE       1      13,121
WORLD AIR HOLDINGS INC                 EQUITY   98142V104     190     16,244  SH         SOLE       1      16,244
WORLD FUEL SVCS CORP                   EQUITY   981475106     370     15,791  SH         SOLE       1      15,791
WORLD WRESTLING ENTMNT                 EQUITY   98156Q108     161     14,077  SH         SOLE       1      14,077
WORTHINGTON INDUSTRIES, INC.           EQUITY   981811102    3006    190,239  SH         SOLE       1     190,239
WPS RESOURCES CORP.                    EQUITY   92931B106    3845     68,352  SH         SOLE       1      68,352
WPT ENTERPRISES INC                    EQUITY   98211W108      77      3,975  SH         SOLE       1       3,975
WRIGHT EXPRESS CORP                    EQUITY   98233Q105     513     27,761  SH         SOLE       1      27,761
WRIGHT MED GROUP INC                   EQUITY   98235T107    1102     41,257  SH         SOLE       1      41,257
WRIGLEY WM JR CO                       EQUITY   982526105      16        235  SH         DEFINED    2                   235
WSFS FINANCIAL CORP                    EQUITY   929328102     221      4,038  SH         SOLE       1       4,038
WYETH                                  EQUITY   983024100    5701    128,110  SH         DEFINED    2               128,110
WYETH                                  EQUITY   983024100   56148  1,261,754  SH         SOLE       1   1,261,754
WYNDHAM INTERNATIONAL, INC.            EQUITY   983101106     222    200,000  SH         SOLE       1     200,000
WYNN RESORTS LTD                       EQUITY   983134107     388      8,210  SH         SOLE       1       8,210
XCEL ENERGY INC                        EQUITY   98389B100       9        485  SH         DEFINED    2                   485
XCEL STATES POWER-MINES                EQUITY   98389B100    3611    184,980  SH         SOLE       1     184,980
XERIUM TECHNOLOGIES INC                EQUITY   98416J100     110      9,259  SH         SOLE       1       9,259
XEROX CORP                             EQUITY   984121103      16      1,144  SH         DEFINED    2                 1,144
XEROX CORP.                            EQUITY   984121103    8657    627,739  SH         SOLE       1     627,739
XILINX INC                             EQUITY   983919101      11        416  SH         DEFINED    2                   416





                                                                                             
XILINX INC COM                         EQUITY   983919101       2      60258  SH         SOLE       3       60258             1928
XILINX, INC.                           EQUITY   983919101   19196    752,799  SH         SOLE       1     752,799
XL CAPITAL LTD                         EQUITY   G98255105    7905    137,128  SH         SOLE       1      89,076
XM SATTELLITE RADIO HOLDINGS           EQUITY   983759101     605     17,966  SH         SOLE       1      17,966
X-RITE, INC.                           EQUITY   983857103     168     14,608  SH         SOLE       1      14,608
XTO ENERGY INC                         EQUITY   98385X106      15        434  SH         DEFINED    2                   434
XTO ENERGY INC                         EQUITY   98385X106    5526    162,571  SH         SOLE       1     162,571
YAHOO INC                              EQUITY   984332106   17683    510,349  SH         DEFINED    2               510,349
YAHOO!, INC.                           EQUITY   984332106   22961    662,649  SH         SOLE       1     662,649
YANKEE CANDLE INC                      EQUITY   984757104    6012    187,300  SH         DEFINED    2               187,300
YARDVILLE NATL BANCORP                 EQUITY   985021104     211      5,908  SH         SOLE       1       5,908
YELLOW ROADWAY CORP                    EQUITY   985577105    5273    103,797  SH         SOLE       1     103,797
YORK INTERNATIONAL CORP.               EQUITY   986670107    3941    103,707  SH         SOLE       1     103,707
YOUNG INNOVATIONS INC                  EQUITY   987520103     122      3,278  SH         SOLE       1       3,278
Yum Brands Inc                         EQUITY   988498101    2995     57,500  SH         SOLE       4      57,500
YUM BRANDS INC                         EQUITY   988498101    3336     64,053  SH         DEFINED    2                64,053
YUM! BRANDS INC                        EQUITY   988498101    6490    124,623  SH         SOLE       1     124,623
ZALE CORP.                             EQUITY   988858106    1105     34,876  SH         SOLE       1      34,876
ZARLINK SEMICONDUCTOR INC              EQUITY   989139100     337    250,000  SH         Defined    1           0   250,000
ZEBRA TECHNOLOGIES CORP. CLASS A       EQUITY   989207105    5662    129,294  SH         SOLE       1     129,294
ZENITH NATIONAL INSURANCE CORP         EQUITY   989390109     746     10,997  SH         SOLE       1      10,997
ZHONE TECHNOLOGIES INC NEW             EQUITY   98950P108     135     40,379  SH         SOLE       1      40,379
ZIMMER HOLDINGS INC                    EQUITY   98956P102    9087    119,294  SH         DEFINED    2               119,294
ZIMMER HOLDINGS INC                    EQUITY   98956P102   12364    162,319  SH         SOLE       1     162,319
ZIONS BANCORP                          EQUITY   989701107       8        112  SH         DEFINED    2                   112
ZIONS BANCORPORATION                   EQUITY   989701107    3033     41,246  SH         SOLE       1      41,246
ZIPREALTY INC                          EQUITY   98974V107      62      4,801  SH         SOLE       1       4,801
ZOLL MEDICAL CORP.                     EQUITY   989922109     168      6,614  SH         SOLE       1       6,614
ZOLTEK COMPANIES INC                   EQUITY   98975W104      83      7,401  SH         SOLE       1       7,401
ZORAN CORP.                            EQUITY   98975F101     399     30,059  SH         SOLE       1      30,059
ZUMIEZ INC                             EQUITY   989817101      63      2,158  SH         SOLE       1       2,158
ZUMIEZ INC                             EQUITY   989817101     157      5,400  SH         DEFINED    2                 5,400
ZYMOGENETICS INC                       EQUITY   98985T109     327     18,570  SH         SOLE       1      18,570