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, 2006


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 11, 2006
-------------------------------    ------------------------  ------------
(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: 4,563


Form 13F Information Table Value Total: $20,609,592 (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         28-11910                 FSC SECURITIES CORPORATION





                            13F SECURITIES - 2Q 2006



                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
@ROAD INC                      EQUITY    04648K105     254     45,931   SH         SOLE      1       45,931          --       --
1-800-FLOWERS.COM INC          EQUITY    68243Q106     108     18,703   SH         SOLE      1       18,703          --       --
1ST SOURCE CORP                EQUITY    336901103     292      8,633   SH         SOLE      1        8,633          --       --
21ST CENTURY INSURANCE GROUP   EQUITY    90130N103  769617 53,445,620   SH         SOLE      1   53,445,620          --       --
21ST CENTURY INSURANCE GROUP   EQUITY    90130N103     351     24,348   SH         SOLE      1       24,348          --       --
24/7 REAL MEDIA INC            EQUITY    901314203     317     36,152   SH         SOLE      1       36,152          --       --
3COM CORP                      EQUITY    885535104    5790  1,130,819   SH         SOLE      1    1,130,819          --       --
3D SYSTEMS CORP                EQUITY    88554D205     195      9,712   SH         SOLE      1        9,712          --       --
3M CO                          EQUITY    88579Y101     325      4,022   SH        DEFINED    4           --          --    4,022
3M CO                          EQUITY    88579Y101    7345     90,940   SH         SOLE      2       90,940          --       --
3M CO                          EQUITY    88579Y101   34478    426,870   SH         SOLE      1      426,870          --       --
3M COMPANY                     CORP BOND 88579YAB7       4      4,000  PRN        DEFINED    4           --          --    4,000
99 CENTS ONLY STORES           EQUITY    65440K106    1445    138,187   SH         SOLE      1      138,187          --       --
AAMES INVESTMENT CORP          EQUITY    00253G108     176     35,231   SH         SOLE      1       35,231          --       --
AAON INC                       EQUITY    000360206     179      6,986   SH         SOLE      1        6,986          --       --
AAR CORP                       EQUITY    000361105     925     41,604   SH         SOLE      1       41,604          --       --
AARON RENTS INC                EQUITY    002535201     878     32,652   SH         SOLE      1       32,652          --       --
ABAXIS INC                     EQUITY    002567105     335     14,982   SH         SOLE      1       14,982          --       --
ABBEY NATIONAL PLC             EQUITY    002920809      10        400   SH        DEFINED    4           --          --      400
ABBEY NATIONAL PLC             EQUITY    002920809   30085  1,175,200   SH         SOLE      1    1,175,200          --       --
ABBOTT LABORATORIES            EQUITY    002824100      25        562   SH        DEFINED    4           --          --      562
ABBOTT LABORATORIES            EQUITY    002824100   11193    256,668   SH         SOLE      2      256,668          --       --
ABBOTT LABORATORIES            EQUITY    002824100   51732  1,186,234   SH         SOLE      1    1,186,234          --       --
ABER DIAMOND CORP              EQUITY    002893105      12        400   SH         OTHER     1           --         400       --
ABERCROMBIE & FITCH CO         EQUITY    002896207       1         25   SH        DEFINED    4           --          --       25
ABERCROMBIE & FITCH CO         EQUITY    002896207    4196     75,700   SH         SOLE      3       41,100          --   34,600
ABERCROMBIE & FITCH CO         EQUITY    002896207   11096    200,183   SH         SOLE      1      200,183          --       --
ABERCROMBIE & FITCH CO         EQUITY    002896207   12538    226,200   SH         SOLE      2      226,200          --       --
ABERDEEN ASIA-PACIFIC INCOME F EQUITY    003009107      12      2,000   SH        DEFINED    4           --          --    2,000
ABINGTON COMMUNITY BANCORP INC EQUITY    00350R106      78      5,198   SH         SOLE      1        5,198          --       --
ABIOMED INC                    EQUITY    003654100     226     17,441   SH         SOLE      1       17,441          --       --
ABITIBI-CONSOLIDATED INC       EQUITY    003924107      12      4,500   SH         OTHER     1           --       4,500       --
ABM INDUSTRIES INC             EQUITY    000957100     558     32,634   SH         SOLE      1       32,634          --       --
ABRAXIS BIOSCIENCE INC         EQUITY    00383E106      14        576   SH         SOLE      1          576          --       --
ABX AIR INC                    EQUITY    00080S101     263     43,475   SH         SOLE      1       43,475          --       --
AC MOORE ARTS & CRAFTS INC     EQUITY    00086T103     189     11,614   SH         SOLE      1       11,614          --       --
ACACIA RESEARCH - ACACIA TECHN EQUITY    003881307     292     20,778   SH         SOLE      1       20,778          --       --
ACADIA PHARMACEUTICALS INC     EQUITY    004225108     152     18,063   SH         SOLE      1       18,063          --       --
ACADIA REALTY TRUST            EQUITY    004239109    1393     58,909   SH         SOLE      1       58,909          --       --
ACCESS INTEGRATED TECHNOLOGIES EQUITY    004329108      98     10,026   SH         SOLE      1       10,026          --       --
ACCO BRANDS CORP               EQUITY    00081T108     736     33,600   SH         SOLE      1       33,600          --       --
ACCREDITED HOME LENDERS HOLDIN EQUITY    00437P107     643     13,452   SH         SOLE      1       13,452          --       --
ACCURIDE CORP                  EQUITY    004398103     211     16,887   SH         SOLE      1       16,887          --       --
ACE CASH EXPRESS INC           EQUITY    004403101     256      8,748   SH         SOLE      1        8,748          --       --
ACE LTD                        EQUITY    G0070K103      20        403   SH         SOLE      2          403          --       --
ACE*COMM CORP                  EQUITY    004404109       1        375   SH        DEFINED    4           --          --      375
ACM INCOME FUND INC            EQUITY    000912105     259     34,985   SH        DEFINED    4           --          --   34,985
ACTEL CORP                     EQUITY    004934105     277     19,288   SH         SOLE      1       19,288          --       --
ACTIVISION INC                 EQUITY    004930202    7009    615,889   SH         SOLE      1      615,889          --       --
ACTIVISION INC                 EQUITY    004930202   11091    974,600   SH         SOLE      2      974,600          --       --
ACTUANT CORP                   EQUITY    00508X203    1017     20,352   SH         SOLE      1       20,352          --       --
ACTUATE CORP                   EQUITY    00508B102     170     42,048   SH         SOLE      1       42,048          --       --
ACUITY BRANDS INC              EQUITY    00508Y102    1938     49,799   SH         SOLE      1       49,799          --       --
ACXIOM CORP                    EQUITY    005125109    4186    167,455   SH         SOLE      1      167,455          --       --
ADAMS RESPIRATORY THERAPEUTICS EQUITY    00635P107    1010     22,637   SH         SOLE      1       22,637          --       --
ADAPTEC INC                    EQUITY    00651F108     369     85,082   SH         SOLE      1       85,082          --       --
ADC TELECOMMUNICATIONS INC     EQUITY    000886309       2        145   SH         SOLE      2          145          --       --
ADC TELECOMMUNICATIONS INC     EQUITY    000886309     916     54,329   SH         SOLE      1       54,329          --       --
ADE CORP                       EQUITY    00089C107     253      7,786   SH         SOLE      1        7,786          --       --
ADESA INC                      EQUITY    00686U104    4349    195,552   SH         SOLE      1      195,552          --       --
ADEZA BIOMEDICAL CORP          EQUITY    006864102     157     11,225   SH         SOLE      1       11,225          --       --
ADMINISTAFF INC                EQUITY    007094105    1523     42,536   SH         SOLE      1       42,536          --       --
ADOBE SYSTEMS INC              EQUITY    00724F101       4        135   SH        DEFINED    4           --          --      135
ADOBE SYSTEMS INC              EQUITY    00724F101    8979    295,742   SH         SOLE      1      295,742          --       --






                                                                                                        VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
ADOBE SYSTEMS INC              EQUITY    00724F101   22950    755,942   SH         SOLE      2      755,942          --       --
ADOLOR CORP                    EQUITY    00724X102    1038     41,513   SH         SOLE      1       41,513          --       --
ADTRAN INC                     EQUITY    00738A106    4431    197,543   SH         SOLE      1      197,543          --       --
ADVANCE AMERICA CASH ADVANCE C EQUITY    00739W107     884     50,384   SH         SOLE      1       50,384          --       --
ADVANCE AUTO PARTS INC         EQUITY    00751Y106   10128    350,453   SH         SOLE      1      350,453          --       --
ADVANCED ANALOGIC TECHNOLOGIES EQUITY    00752J108     288     27,434   SH         SOLE      1       27,434          --       --
ADVANCED DIGITAL INFORMATION C EQUITY    007525108     545     46,282   SH         SOLE      1       46,282          --       --
ADVANCED ENERGY INDUSTRIES INC EQUITY    007973100     348     26,291   SH         SOLE      1       26,291          --       --
ADVANCED MAGNETICS INC         EQUITY    00753P103     180      5,957   SH         SOLE      1        5,957          --       --
ADVANCED MEDICAL OPTICS INC    EQUITY    00763M108    7542    148,748   SH         SOLE      1      148,748          --       --
ADVANCED MICRO DEVICES INC     EQUITY    007903107     122      5,000   SH         SOLE      2        5,000          --       --
ADVANCED MICRO DEVICES INC     EQUITY    007903107    6149    251,820   SH         SOLE      1      251,820          --       --
ADVANTA CORP                   EQUITY    007942204     320      8,900   SH         SOLE      2        8,900          --       --
ADVANTA CORP                   EQUITY    007942204     518     14,418   SH         SOLE      1       14,418          --       --
ADVANTAGE ENERGY INCOME FUND   EQUITY    00762L101      18      1,000   SH        DEFINED    4           --          --    1,000
ADVENT SOFTWARE INC            EQUITY    007974108    1804     50,014   SH         SOLE      1       50,014          --       --
ADVENTRX PHARMACEUTICALS INC   EQUITY    00764X103     129     40,575   SH         SOLE      1       40,575          --       --
ADVISORY BOARD CO/THE          EQUITY    00762W107     567     11,800   SH         SOLE      2       11,800          --       --
ADVISORY BOARD CO/THE          EQUITY    00762W107     669     13,915   SH         SOLE      1       13,915          --       --
ADVO INC                       EQUITY    007585102     583     23,682   SH         SOLE      1       23,682          --       --
AEP INDUSTRIES INC             EQUITY    001031103     178      5,338   SH         SOLE      1        5,338          --       --
AEROFLEX INC                   EQUITY    007768104     655     56,101   SH         SOLE      1       56,101          --       --
AEROPOSTALE INC                EQUITY    007865108    4550    157,477   SH         SOLE      1      157,477          --       --
AES CORP/THE                   EQUITY    00130H105      15        816   SH         SOLE      2          816          --       --
AES CORP/THE                   EQUITY    00130H105    9516    515,788   SH         SOLE      1      515,788          --       --
AETNA INC                      EQUITY    00817Y108   20772    520,203   SH         SOLE      2      520,203          --       --
AETNA INC                      EQUITY    00817Y108   44142  1,105,479   SH         SOLE      1    1,105,479          --       --
AFC ENTERPRISES                EQUITY    00104Q107     244     19,160   SH         SOLE      1       19,160          --       --
AFFILIATED COMPUTER SERVICES I EQUITY    008190100       8        147   SH         SOLE      2          147          --       --
AFFILIATED COMPUTER SERVICES I EQUITY    008190100    3913     75,816   SH         SOLE      1       75,816          --       --
AFFILIATED COMPUTER SERVICES I EQUITY    008190100    5574    108,000   SH         SOLE      3       64,500          --   43,500
AFFILIATED MANAGERS GROUP INC  EQUITY    008252108      61        706   SH         SOLE      1          706          --       --
AFFIRMATIVE INSURANCE HOLDINGS EQUITY    008272106      88      5,607   SH         SOLE      1        5,607          --       --
AFFORDABLE RESIDENTIAL COMMUNI EQUITY    008273104     274     25,481   SH         SOLE      1       25,481          --       --
AFFYMETRIX INC                 EQUITY    00826T108    4990    194,932   SH         SOLE      1      194,932          --       --
AFLAC INC                      EQUITY    001055102     664     14,318   SH         SOLE      2       14,318          --       --
AFLAC INC                      EQUITY    001055102   17024    367,294   SH         SOLE      1      367,294          --       --
AFTERMARKET TECHNOLOGY CORP    EQUITY    008318107     403     16,222   SH         SOLE      1       16,222          --       --
AG EDWARDS INC                 EQUITY    281760108    9111    164,700   SH         SOLE      1      164,700          --       --
AGCO CORP                      EQUITY    001084102    5188    197,105   SH         SOLE      1      197,105          --       --
AGERE SYSTEMS INC              EQUITY    00845V308       6        411   SH        DEFINED    4           --          --      411
AGERE SYSTEMS INC              EQUITY    00845V308      56      3,818   SH         SOLE      1        3,818          --       --
AGILE SOFTWARE CORP            EQUITY    00846X105     269     42,444   SH         SOLE      1       42,444          --       --
AGILENT TECHNOLOGIES INC       EQUITY    00846U101      27        841   SH        DEFINED    4           --          --      841
AGILENT TECHNOLOGIES INC       EQUITY    00846U101    1544     48,928   SH         SOLE      2       48,928          --       --
AGILENT TECHNOLOGIES INC       EQUITY    00846U101    5896    186,808   SH         SOLE      1      186,808          --       --
AGILYSYS INC                   EQUITY    00847J105    1276     70,875   SH         SOLE      1       70,875          --       --
AGL RESOURCES INC              EQUITY    001204106    6471    169,747   SH         SOLE      1      169,747          --       --
AGNICO-EAGLE MINES LTD         EQUITY    008474108      33      1,000   SH         OTHER     1           --       1,000       --
AGNICO-EAGLE MINES LTD         EQUITY    008474108     859     25,799   SH        DEFINED    4           --          --   25,799
AGNICO-EAGLE MINES LTD         EQUITY    008474108    4109    124,200   SH         SOLE      3       52,900          --   71,300
AGREE REALTY CORP              EQUITY    008492100     195      5,750   SH         SOLE      1        5,750          --       --
AGRIUM INC                     EQUITY    008916108       3        112   SH        DEFINED    4           --          --      112
AGRIUM INC                     EQUITY    008916108      28      1,200   SH         OTHER     1           --       1,200       --
AIR METHODS CORP               EQUITY    009128307     203      7,740   SH         SOLE      1        7,740          --       --
AIR PRODUCTS & CHEMICALS INC   EQUITY    009158106      18        278   SH         SOLE      2          278          --       --
AIR PRODUCTS & CHEMICALS INC   EQUITY    009158106     209      3,264   SH        DEFINED    4           --          --    3,264
AIR PRODUCTS & CHEMICALS INC   EQUITY    009158106   63332    990,932   SH         SOLE      1      990,932          --       --
AIRGAS INC                     EQUITY    009363102    4835    129,800   SH         SOLE      3       68,900          --   60,900
AIRGAS INC                     EQUITY    009363102    5981    160,574   SH         SOLE      1      160,574          --       --
AIRTRAN HOLDINGS INC           EQUITY    00949P108    3897    262,222   SH         SOLE      1      262,222          --       --
AK STEEL HOLDING CORP          EQUITY    001547108    1135     82,081   SH         SOLE      1       82,081          --       --
AKAMAI TECHNOLOGIES INC        EQUITY    00971T101     688     19,000   SH         SOLE      2       19,000          --       --
AKAMAI TECHNOLOGIES INC        EQUITY    00971T101     856     23,648   SH        DEFINED    4           --          --   23,648
AKAMAI TECHNOLOGIES INC        EQUITY    00971T101    1418     39,193   SH         SOLE      1       39,193          --       --
AKAMAI TECHNOLOGIES INC        EQUITY    00971T101    4571    126,300   SH         SOLE      3       54,000          --   72,300
AKORN INC                      EQUITY    009728106     132     33,216   SH         SOLE      1       33,216          --       --






                                                                                                        VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
ALABAMA NATIONAL BANCORPORATIO EQUITY    010317105     761     11,166   SH         SOLE      1       11,166          --       --
ALASKA AIR GROUP INC           EQUITY    011659109    4485    113,773   SH         SOLE      1      113,773          --       --
ALASKA COMMUNICATIONS SYSTEMS  EQUITY    01167P101     396     31,302   SH         SOLE      1       31,302          --       --
ALBANY INTERNATIONAL CORP      EQUITY    012348108    1430     33,733   SH         SOLE      1       33,733          --       --
ALBANY MOLECULAR RESEARCH INC  EQUITY    012423109     203     18,973   SH         SOLE      1       18,973          --       --
ALBEMARLE CORP                 EQUITY    012653101    4043     84,434   SH         SOLE      1       84,434          --       --
ALBERTO-CULVER CO              EQUITY    013068101       5         94   SH         SOLE      2           94          --       --
ALBERTO-CULVER CO              EQUITY    013068101    3652     74,951   SH         SOLE      1       74,951          --       --
ALCAN INC                      EQUITY    013716105     183      3,900   SH         OTHER     1           --       3,900       --
ALCOA INC                      EQUITY    013817101      45      1,380   SH        DEFINED    4           --          --    1,380
ALCOA INC                      EQUITY    013817101    3850    118,979   SH         SOLE      2      118,979          --       --
ALCOA INC                      EQUITY    013817101   12549    387,796   SH         SOLE      1      387,796          --       --
ALDERWOODS GROUP INC           EQUITY    014383103     824     42,346   SH         SOLE      1       42,346          --       --
ALERIS INTERNATIONAL INC       EQUITY    014477103    1073     23,402   SH         SOLE      1       23,402          --       --
ALEXANDER & BALDWIN INC        EQUITY    014482103    4268     96,402   SH         SOLE      1       96,402          --       --
ALEXANDER'S INC                EQUITY    014752109     407      1,499   SH         SOLE      1        1,499          --       --
ALEXANDRIA REAL ESTATE EQUITIE EQUITY    015271109    1507     16,997   SH         SOLE      1       16,997          --       --
ALEXION PHARMACEUTICALS INC    EQUITY    015351109     850     23,532   SH         SOLE      1       23,532          --       --
ALFA CORP                      EQUITY    015385107     402     24,276   SH         SOLE      1       24,276          --       --
ALICO INC                      EQUITY    016230104     157      2,841   SH         SOLE      1        2,841          --       --
ALIGN TECHNOLOGY INC           EQUITY    016255101     307     41,608   SH         SOLE      1       41,608          --       --
ALKERMES INC                   EQUITY    01642T108    2281    120,566   SH         SOLE      1      120,566          --       --
ALLEGHANY CORP                 EQUITY    017175100      46        165   SH         SOLE      1          165          --       --
ALLEGHENY ENERGY INC           EQUITY    017361106    2798     75,476   SH         SOLE      1       75,476          --       --
ALLEGHENY ENERGY INC           EQUITY    017361106    4641    125,203   SH         SOLE      2      125,203          --       --
ALLEGHENY TECHNOLOGIES INC     EQUITY    01741R102    2806     40,529   SH         SOLE      1       40,529          --       --
ALLEGHENY TECHNOLOGIES INC     EQUITY    01741R102    4264     61,583   SH         SOLE      2       61,583          --       --
ALLERGAN INC                   EQUITY    018490102      20        189   SH         SOLE      2          189          --       --
ALLERGAN INC                   EQUITY    018490102    8130     75,799   SH         SOLE      1       75,799          --       --
ALLETE INC                     EQUITY    018522300      44        920   SH        DEFINED    4           --          --      920
ALLETE INC                     EQUITY    018522300     887     18,740   SH         SOLE      1       18,740          --       --
ALLIANCE ALL-MARKET ADVANTAGE  EQUITY    01852M108     379     26,101   SH        DEFINED    4           --          --   26,101
ALLIANCE DATA SYSTEMS CORP     EQUITY    018581108      13        215   SH        DEFINED    4           --          --      215
ALLIANCE DATA SYSTEMS CORP     EQUITY    018581108    8147    138,500   SH         SOLE      3       59,000          --   79,500
ALLIANCE DATA SYSTEMS CORP     EQUITY    018581108    8601    146,231   SH         SOLE      1      146,231          --       --
ALLIANCE DATA SYSTEMS CORP     EQUITY    018581108   11888    202,100   SH         SOLE      2      202,100          --       --
ALLIANCE IMAGING INC           EQUITY    018606202      73     11,339   SH         SOLE      1       11,339          --       --
ALLIANCE ONE INTERNATIONAL INC EQUITY    018772103     315     70,872   SH         SOLE      1       70,872          --       --
ALLIANCE WORLD DOLLAR GOVERNME EQUITY    01879R106      10        800   SH        DEFINED    4           --          --      800
ALLIANCEBERNSTEIN HOLDING LP   EQUITY    01881G106     128      2,090   SH        DEFINED    4           --          --    2,090
ALLIANT ENERGY CORP            EQUITY    018802108    8777    255,892   SH         SOLE      1      255,892          --       --
ALLIANT TECHSYSTEMS INC        EQUITY    018804104    5853     76,654   SH         SOLE      1       76,654          --       --
ALLIED CAPITAL CORP            EQUITY    01903Q108     137      4,754   SH         SOLE      1        4,754          --       --
ALLIED WASTE INDUSTRIES INC    EQUITY    019589308       3        300   SH         SOLE      2          300          --       --
ALLIED WASTE INDUSTRIES INC    EQUITY    019589308      11      1,000   SH        DEFINED    4           --          --    1,000
ALLIED WASTE INDUSTRIES INC    EQUITY    019589308    1303    114,666   SH         SOLE      1      114,666          --       --
ALLION HEALTHCARE INC          EQUITY    019615103     400     46,000   SH         SOLE      2       46,000          --       --
ALLIS-CHALMERS ENERGY INC      EQUITY    019645506     139     10,216   SH         SOLE      1       10,216          --       --
ALLOS THERAPEUTICS             EQUITY    019777101      29      8,294   SH         SOLE      1        8,294          --       --
ALLSCRIPTS HEALTHCARE SOLUTION EQUITY    01988P108     606     34,528   SH         SOLE      1       34,528          --       --
ALLSCRIPTS HEALTHCARE SOLUTION EQUITY    01988P108    2736    155,900   SH         SOLE      2      155,900          --       --
ALLSTATE CORP/THE              EQUITY    020002101    5314     97,088   SH         SOLE      2       97,088          --       --
ALLSTATE CORP/THE              EQUITY    020002101   28004    511,677   SH         SOLE      1      511,677          --       --
ALLTEL CORP                    EQUITY    020039103      11        167   SH        DEFINED    4           --          --      167
ALLTEL CORP                    EQUITY    020039103      31        482   SH         SOLE      2          482          --       --
ALLTEL CORP                    EQUITY    020039103   18061    282,962   SH         SOLE      1      282,962          --       --
ALNYLAM PHARMACEUTICALS INC    EQUITY    02043Q107     360     23,862   SH         SOLE      1       23,862          --       --
ALON USA ENERGY INC            EQUITY    020520102     282      8,975   SH         SOLE      1        8,975          --       --
ALPHA NATURAL RESOURCES INC    EQUITY    02076X102     757     38,583   SH         SOLE      1       38,583          --       --
ALPHARMA INC                   EQUITY    020813101    1841     76,577   SH         SOLE      1       76,577          --       --
ALTERA CORP                    EQUITY    021441100    3417    194,700   SH         SOLE      1      194,700          --       --
ALTERA CORP                    EQUITY    021441100    4446    253,345   SH         SOLE      2      253,345          --       --
ALTIRIS INC                    EQUITY    02148M100     315     17,465   SH         SOLE      1       17,465          --       --
ALTRIA GROUP INC               EQUITY    02209S103     242      3,300   SH        DEFINED    4           --          --    3,300
ALTRIA GROUP INC               EQUITY    02209S103   37667    512,968   SH         SOLE      2      512,968          --       --
ALTRIA GROUP INC               EQUITY    02209S103   80242  1,092,765   SH         SOLE      1    1,092,765          --       --
ALTUS PHARMACEUTICALS INC      EQUITY    02216N105     102      5,512   SH         SOLE      1        5,512          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
ALZA CORP                      CORP BOND 02261WAB5       2      3,000  PRN        DEFINED    4           --          --    3,000
ALZA CORP                      CORP BOND 02261WAB5    2159  2,625,000  PRN         SOLE      1    2,625,000          --       --
AM CASTLE & CO                 EQUITY    148411101     240      7,439   SH         SOLE      1        7,439          --       --
AMAZON.COM INC                 EQUITY    023135106      15        383   SH         SOLE      2          383          --       --
AMAZON.COM INC                 EQUITY    023135106    7270    187,960   SH         SOLE      1      187,960          --       --
AMB PROPERTY CORP              EQUITY    00163T109   16356    323,557   SH         SOLE      1      323,557          --       --
AMBAC FINANCIAL GROUP INC      EQUITY    023139108      11        131   SH         SOLE      2          131          --       --
AMBAC FINANCIAL GROUP INC      EQUITY    023139108      16        200   SH        DEFINED    4           --          --      200
AMBAC FINANCIAL GROUP INC      EQUITY    023139108    4035     49,759   SH         SOLE      1       49,759          --       --
AMBASSADORS GROUP INC          EQUITY    023177108     445     15,405   SH         SOLE      1       15,405          --       --
AMBASSADORS INTERNATIONAL INC  EQUITY    023178106      90      5,331   SH         SOLE      1        5,331          --       --
AMCOL INTERNATIONAL CORP       EQUITY    02341W103     237      9,000   SH         SOLE      2        9,000          --       --
AMCOL INTERNATIONAL CORP       EQUITY    02341W103    1146     43,474   SH         SOLE      1       43,474          --       --
AMCOL INTERNATIONAL CORP       EQUITY    02341W103    2793    106,000   SH         SOLE      3      106,000          --       --
AMCORE FINANCIAL INC           EQUITY    023912108     478     16,325   SH         SOLE      1       16,325          --       --
AMDOCS LIMITED                 CORP BOND 02342TAD1       1      1,000  PRN        DEFINED    4           --          --    1,000
AMDOCS LIMITED                 CORP BOND 02342TAD1    1013  1,000,000  PRN         SOLE      1    1,000,000          --       --
AMDOCS LTD                     EQUITY    G02602103       7        200   SH        DEFINED    4           --          --      200
AMEDISYS INC                   EQUITY    023436108     452     11,913   SH         SOLE      1       11,913          --       --
AMERCO INC                     EQUITY    023586100     383      3,800   SH         SOLE      2        3,800          --       --
AMERCO INC                     EQUITY    023586100     770      7,654   SH         SOLE      1        7,654          --       --
AMEREN CORP                    EQUITY    023608102      13        255   SH         SOLE      2          255          --       --
AMEREN CORP                    EQUITY    023608102    9961    197,239   SH         SOLE      1      197,239          --       --
AMERICA MOVIL SA DE CV         EQUITY    02364W105    2645     79,520   SH         SOLE      1       79,520          --       --
AMERICAN AXLE & MANUFACTURING  EQUITY    024061103     662     38,709   SH         SOLE      1       38,709          --       --
AMERICAN CAPITAL STRATEGIES LT EQUITY    024937104     576     17,217   SH         SOLE      1       17,217          --       --
AMERICAN CAPITAL STRATEGIES LT EQUITY    024937104    1287     38,433   SH        DEFINED    4           --          --   38,433
AMERICAN COMMERCIAL LINES INC  EQUITY    025195207    2299     38,150   SH         SOLE      1       38,150          --       --
AMERICAN COMMERCIAL LINES INC  EQUITY    025195207    6670    110,700   SH         SOLE      3       60,800          --   49,900
AMERICAN EAGLE OUTFITTERS      EQUITY    02553E106    9872    290,003   SH         SOLE      1      290,003          --       --
AMERICAN ECOLOGY CORP          EQUITY    025533407    1567     59,121   SH         SOLE      1       59,121          --       --
AMERICAN ECOLOGY CORP          EQUITY    025533407    8966    338,321   SH         SOLE      3      254,721          --   83,600
AMERICAN ELECTRIC POWER CO INC EQUITY    025537101      17        488   SH         SOLE      2          488          --       --
AMERICAN ELECTRIC POWER CO INC EQUITY    025537101      26        756   SH        DEFINED    4           --          --      756
AMERICAN ELECTRIC POWER CO INC EQUITY    025537101   32566    950,836   SH         SOLE      1      950,836          --       --
AMERICAN EQUITY INVESTMENT LIF EQUITY    025676206     442     41,506   SH         SOLE      1       41,506          --       --
AMERICAN EXPRESS               CORP BOND 025816AS8       3      3,000  PRN        DEFINED    4           --          --    3,000
AMERICAN EXPRESS CO            EQUITY    025816109      11        200   SH        DEFINED    4           --          --      200
AMERICAN EXPRESS CO            EQUITY    025816109    8841    166,130   SH         SOLE      2      166,130          --       --
AMERICAN EXPRESS CO            EQUITY    025816109   59914  1,125,772   SH         SOLE      1    1,125,772          --       --
AMERICAN FINANCIAL GROUP INC/O EQUITY    025932104    4416    102,931   SH         SOLE      1      102,931          --       --
AMERICAN FINANCIAL REALTY TRUS EQUITY    02607P305     936     96,645   SH         SOLE      1       96,645          --       --
AMERICAN GREETINGS CORP        EQUITY    026375105    4169    198,417   SH         SOLE      1      198,417          --       --
AMERICAN HOME MORTGAGE INVESTM EQUITY    02660R107    2721     73,825   SH         SOLE      1       73,825          --       --
AMERICAN INTERNATIONAL GROUP I EQUITY    026874107      43        735   SH        DEFINED    4           --          --      735
AMERICAN INTERNATIONAL GROUP I EQUITY    026874107     190      3,221   SH         SOLE      2        3,221          --       --
AMERICAN INTERNATIONAL GROUP I EQUITY    026874107  192284  3,256,287   SH         SOLE      1    3,256,287          --       --
AMERICAN ITALIAN PASTA CO      EQUITY    027070101       9      1,000   SH        DEFINED    4           --          --    1,000
AMERICAN MEDICAL SYSTEMS HOLDI EQUITY    02744M108     867     52,084   SH         SOLE      1       52,084          --       --
AMERICAN NATIONAL INSURANCE    EQUITY    028591105      63        482   SH         SOLE      1          482          --       --
AMERICAN ORIENTAL BIOENGINEERI EQUITY    028731107     184     33,320   SH         SOLE      1       33,320          --       --
AMERICAN PHYSICIANS CAPITAL IN EQUITY    028884104     269      5,117   SH         SOLE      1        5,117          --       --
AMERICAN POWER CONVERSION CORP EQUITY    029066107       4        210   SH         SOLE      2          210          --       --
AMERICAN POWER CONVERSION CORP EQUITY    029066107    1767     90,640   SH         SOLE      1       90,640          --       --
AMERICAN RAILCAR INDUSTRIES IN EQUITY    02916P103     223      6,741   SH         SOLE      1        6,741          --       --
AMERICAN REPROGRAPHICS CO      EQUITY    029263100     359      9,900   SH         SOLE      2        9,900          --       --
AMERICAN REPROGRAPHICS CO      EQUITY    029263100     706     19,482   SH         SOLE      1       19,482          --       --
AMERICAN RETIREMENT CORP       EQUITY    028913101     168      5,120   SH        DEFINED    4           --          --    5,120
AMERICAN RETIREMENT CORP       EQUITY    028913101    6785    207,040   SH         SOLE      1      207,040          --       --
AMERICAN SCIENCE & ENGINEERING EQUITY    029429107     353      6,102   SH         SOLE      1        6,102          --       --
AMERICAN STANDARD COS INC      EQUITY    029712106       9        219   SH         SOLE      2          219          --       --
AMERICAN STANDARD COS INC      EQUITY    029712106    3533     81,655   SH         SOLE      1       81,655          --       --
AMERICAN STATES WATER CO       EQUITY    029899101     448     12,554   SH         SOLE      1       12,554          --       --
AMERICAN SUPERCONDUCTOR CORP   EQUITY    030111108     216     24,483   SH         SOLE      1       24,483          --       --
AMERICAN TOWER CORP            EQUITY    029912201     294      9,460   SH         SOLE      1        9,460          --       --
AMERICAN TOWER CORP            EQUITY    029912201   14555    467,700   SH         SOLE      2      467,700          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
AMERICAN VANGUARD CORP         EQUITY    030371108     204     13,205   SH         SOLE      1       13,205          --       --
AMERICAN WOODMARK CORP         EQUITY    030506109     312      8,911   SH         SOLE      1        8,911          --       --
AMERICANWEST BANCORP           EQUITY    03058P109     191      8,424   SH         SOLE      1        8,424          --       --
AMERICA'S CAR-MART INC         EQUITY    03062T105     140      6,884   SH         SOLE      1        6,884          --       --
AMERICREDIT CORP               EQUITY    03060R101    7917    283,574   SH         SOLE      1      283,574          --       --
AMERIGROUP CORP                EQUITY    03073T102    1197     38,559   SH         SOLE      1       38,559          --       --
AMERIPRISE FINANCIAL INC       EQUITY    03076C106      14        303   SH         SOLE      2          303          --       --
AMERIPRISE FINANCIAL INC       EQUITY    03076C106   10860    243,107   SH         SOLE      1      243,107          --       --
AMERIS BANCORP                 EQUITY    03076K108     224      9,676   SH         SOLE      1        9,676          --       --
AMERISOURCEBERGEN CORP         EQUITY    03073E105      11        260   SH         SOLE      2          260          --       --
AMERISOURCEBERGEN CORP         EQUITY    03073E105    5174    123,414   SH         SOLE      1      123,414          --       --
AMERISTAR CASINOS INC          EQUITY    03070Q101     374     19,246   SH         SOLE      1       19,246          --       --
AMERITYRE CORP                 EQUITY    03073V107       2        200   SH        DEFINED    4           --          --      200
AMERON INTERNATIONAL CORP      EQUITY    030710107     437      6,522   SH         SOLE      1        6,522          --       --
AMERUS GROUP CO                EQUITY    03072M108    4943     84,418   SH         SOLE      1       84,418          --       --
AMETEK INC                     EQUITY    031100100    7273    153,498   SH         SOLE      1      153,498          --       --
AMETEK INC                     EQUITY    031100100   21198    447,400   SH         SOLE      2      447,400          --       --
AMGEN INC                      EQUITY    031162100     984     15,081   SH        DEFINED    4           --          --   15,081
AMGEN INC                      EQUITY    031162100    7922    121,442   SH         SOLE      2      121,442          --       --
AMGEN INC                      EQUITY    031162100  112458  1,724,039   SH         SOLE      1    1,724,039          --       --
AMIS HOLDINGS INC              EQUITY    031538101     325     32,491   SH         SOLE      1       32,491          --       --
AMKOR TECHNOLOGY INC           EQUITY    031652100     722     76,322   SH         SOLE      1       76,322          --       --
AMN HEALTHCARE SERVICES INC    EQUITY    001744101     492     24,238   SH         SOLE      1       24,238          --       --
AMPCO-PITTSBURGH CORP          EQUITY    032037103      77      5,361   SH         SOLE      1        5,361          --       --
AMPHENOL CORP                  EQUITY    032095101   10857    194,020   SH         SOLE      1      194,020          --       --
AMR CORP                       EQUITY    001765106     434     17,080   SH         SOLE      1       17,080          --       --
AMREP CORP                     EQUITY    032159105      68      1,252   SH         SOLE      1        1,252          --       --
AMSOUTH BANCORP                EQUITY    032165102      11        429   SH         SOLE      2          429          --       --
AMSOUTH BANCORP                EQUITY    032165102    1611     60,904   SH        DEFINED    4           --          --   60,904
AMSOUTH BANCORP                EQUITY    032165102    4487    169,643   SH         SOLE      1      169,643          --       --
AMSURG CORP                    EQUITY    03232P405    1077     47,323   SH         SOLE      1       47,323          --       --
AMSURG CORP                    EQUITY    03232P405    5210    229,000   SH         SOLE      3      146,400          --   82,600
AMYLIN PHARMACEUTICALS INC     EQUITY    032346108     457      9,256   SH         SOLE      1        9,256          --       --
ANADARKO PETROLEUM CORP        EQUITY    032511107       3         60   SH        DEFINED    4           --          --       60
ANADARKO PETROLEUM CORP        EQUITY    032511107      27        569   SH         SOLE      2          569          --       --
ANADARKO PETROLEUM CORP        EQUITY    032511107    9568    200,619   SH         SOLE      1      200,619          --       --
ANADIGICS INC                  EQUITY    032515108     236     35,205   SH         SOLE      1       35,205          --       --
ANADYS PHARMACEUTICALS INC     EQUITY    03252Q408      62     21,237   SH         SOLE      1       21,237          --       --
ANALOG DEVICES INC             EQUITY    032654105       6        200   SH        DEFINED    4           --          --      200
ANALOG DEVICES INC             EQUITY    032654105    7265    226,048   SH         SOLE      2      226,048          --       --
ANALOG DEVICES INC             EQUITY    032654105   17621    548,210   SH         SOLE      1      548,210          --       --
ANALOGIC CORP                  EQUITY    032657207     547     11,726   SH         SOLE      1       11,726          --       --
ANAREN INC                     EQUITY    032744104     263     12,825   SH         SOLE      1       12,825          --       --
ANAREN INC                     EQUITY    032744104    2211    107,900   SH         SOLE      3      107,900          --       --
ANCHOR BANCORP WISCONSIN INC   EQUITY    032839102     440     14,570   SH         SOLE      1       14,570          --       --
ANDERSONS INC/THE              EQUITY    034164103     403      9,697   SH         SOLE      1        9,697          --       --
ANDREW CORP                    EQUITY    034425108       2        198   SH         SOLE      2          198          --       --
ANDREW CORP                    EQUITY    034425108    1677    189,307   SH         SOLE      1      189,307          --       --
ANDRX CORP                     EQUITY    034553107    7093    305,884   SH         SOLE      1      305,884          --       --
ANGIODYNAMICS INC              EQUITY    03475V101     247      9,128   SH         SOLE      1        9,128          --       --
ANGIOTECH PHARMACEUTICALS INC  EQUITY    034918102      12      1,064   SH         OTHER     1           --       1,064       --
ANHEUSER-BUSCH COS INC         EQUITY    035229103      21        450   SH        DEFINED    4           --          --      450
ANHEUSER-BUSCH COS INC         EQUITY    035229103    3518     77,172   SH         SOLE      2       77,172          --       --
ANHEUSER-BUSCH COS INC         EQUITY    035229103   15836    347,358   SH         SOLE      1      347,358          --       --
ANIXTER INTERNATIONAL INC      EQUITY    035290105     323      6,800   SH         SOLE      2        6,800          --       --
ANIXTER INTERNATIONAL INC      EQUITY    035290105    1170     24,645   SH         SOLE      1       24,645          --       --
ANNALY MORTGAGE MANAGEMENT INC EQUITY    035710409      71      5,533   SH         SOLE      1        5,533          --       --
ANNTAYLOR STORES CORP          EQUITY    036115103    6893    158,897   SH         SOLE      1      158,897          --       --
ANSOFT CORP                    EQUITY    036384105     579     28,251   SH         SOLE      1       28,251          --       --
ANSYS INC                      EQUITY    03662Q105     215      4,500   SH         SOLE      2        4,500          --       --
ANSYS INC                      EQUITY    03662Q105    1592     33,286   SH         SOLE      1       33,286          --       --
ANTARES PHARMA INC             EQUITY    036642106       3      2,500   SH        DEFINED    4           --          --    2,500
ANTHRACITE CAPITAL INC         EQUITY    037023108    1262    103,786   SH         SOLE      1      103,786          --       --
AO SMITH CORP                  EQUITY    831865209    1844     39,778   SH         SOLE      1       39,778          --       --
AON CORP                       EQUITY    037389103      14        395   SH         SOLE      2          395          --       --
AON CORP                       EQUITY    037389103    5255    150,907   SH         SOLE      1      150,907          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
APACHE CORP                    EQUITY    037411105     276      4,047   SH        DEFINED    4           --          --    4,047
APACHE CORP                    EQUITY    037411105   11050    161,910   SH         SOLE      2      161,910          --       --
APACHE CORP                    EQUITY    037411105   17805    260,880   SH         SOLE      1      260,880          --       --
APARTMENT INVESTMENT & MANAGEM EQUITY    03748R101       5        121   SH         SOLE      2          121          --       --
APARTMENT INVESTMENT & MANAGEM EQUITY    03748R101     693     15,960   SH        DEFINED    4           --          --   15,960
APARTMENT INVESTMENT & MANAGEM EQUITY    03748R101    1416     32,578   SH         SOLE      1       32,578          --       --
APOGEE ENTERPRISES INC         EQUITY    037598109     222     15,076   SH        DEFINED    4           --          --   15,076
APOGEE ENTERPRISES INC         EQUITY    037598109     309     20,996   SH         SOLE      1       20,996          --       --
APOLLO GROUP INC               EQUITY    037604105       9        174   SH         SOLE      2          174          --       --
APOLLO GROUP INC               EQUITY    037604105    5715    110,597   SH         SOLE      1      110,597          --       --
APOLLO INVESTMENT CORP         EQUITY    03761U106    1119     60,577   SH         SOLE      1       60,577          --       --
APPLE COMPUTER INC             EQUITY    037833100    6846    119,855   SH         SOLE      2      119,855          --       --
APPLE COMPUTER INC             EQUITY    037833100   48917    854,163   SH         SOLE      1      854,163          --       --
APPLEBEES INTERNATIONAL INC    EQUITY    037899101    4125    214,616   SH         SOLE      1      214,616          --       --
APPLERA CORP - APPLIED BIOSYST EQUITY    038020103       7        229   SH         SOLE      2          229          --       --
APPLERA CORP - APPLIED BIOSYST EQUITY    038020103    3341    103,284   SH         SOLE      1      103,284          --       --
APPLERA CORP - CELERA GENOMICS EQUITY    038020202     744     57,432   SH         SOLE      1       57,432          --       --
APPLIED FILMS CORP             EQUITY    038197109    1053     36,945   SH         SOLE      1       36,945          --       --
APPLIED INDUSTRIAL TECHNOLOGIE EQUITY    03820C105    1890     77,753   SH         SOLE      1       77,753          --       --
APPLIED MATERIALS INC          EQUITY    038222105       6        393   SH        DEFINED    4           --          --      393
APPLIED MATERIALS INC          EQUITY    038222105    4082    250,739   SH         SOLE      2      250,739          --       --
APPLIED MATERIALS INC          EQUITY    038222105   56352  3,461,169   SH         SOLE      1    3,461,169          --       --
APPLIED MICRO CIRCUITS CORP    EQUITY    03822W109    1256    460,227   SH         SOLE      1      460,227          --       --
APRIA HEALTHCARE GROUP INC     EQUITY    037933108    2316    122,537   SH         SOLE      1      122,537          --       --
APTARGROUP INC                 EQUITY    038336103    1301     26,216   SH         SOLE      1       26,216          --       --
AQUA AMERICA INC               EQUITY    03836W103    8075    354,343   SH         SOLE      1      354,343          --       --
AQUANTIVE INC                  EQUITY    03839G105    1439     56,805   SH         SOLE      1       56,805          --       --
AQUILA INC                     EQUITY    03840P102       4        963   SH        DEFINED    4           --          --      963
AQUILA INC                     EQUITY    03840P102    4547  1,080,116   SH         SOLE      1    1,080,116          --       --
ARAMARK CORP                   EQUITY    038521100      88      2,669   SH         SOLE      1        2,669          --       --
ARBITRON INC                   EQUITY    03875Q108       2         50   SH        DEFINED    4           --          --       50
ARBITRON INC                   EQUITY    03875Q108     215      5,600   SH         SOLE      2        5,600          --       --
ARBITRON INC                   EQUITY    03875Q108    1911     49,859   SH         SOLE      1       49,859          --       --
ARBOR REALTY TRUST INC         EQUITY    038923108     222      8,869   SH         SOLE      1        8,869          --       --
ARCH CHEMICALS INC             EQUITY    03937R102     644     17,873   SH         SOLE      1       17,873          --       --
ARCH COAL INC                  EQUITY    039380100      11        268   SH        DEFINED    4           --          --      268
ARCH COAL INC                  EQUITY    039380100   13119    309,624   SH         SOLE      1      309,624          --       --
ARCHER-DANIELS-MIDLAND CO      EQUITY    039483102    1086     26,300   SH         SOLE      3       26,300          --       --
ARCHER-DANIELS-MIDLAND CO      EQUITY    039483102    1703     41,255   SH        DEFINED    4           --          --   41,255
ARCHER-DANIELS-MIDLAND CO      EQUITY    039483102    6803    164,811   SH         SOLE      2      164,811          --       --
ARCHER-DANIELS-MIDLAND CO      EQUITY    039483102   11874    287,641   SH         SOLE      1      287,641          --       --
ARCHSTONE-SMITH TRUST          EQUITY    039583109      13        265   SH         SOLE      2          265          --       --
ARCHSTONE-SMITH TRUST          EQUITY    039583109    5152    101,284   SH         SOLE      1      101,284          --       --
ARCTIC CAT INC                 EQUITY    039670104     359     18,379   SH         SOLE      1       18,379          --       --
ARDEN GROUP INC                EQUITY    039762109     111        985   SH         SOLE      1          985          --       --
ARENA PHARMACEUTICALS INC      EQUITY    040047102     408     35,255   SH         SOLE      1       35,255          --       --
ARENA RESOURCES INC            EQUITY    040049108     882     25,725   SH         SOLE      1       25,725          --       --
ARENA RESOURCES INC            EQUITY    040049108    2753     80,300   SH         SOLE      3       80,300          --       --
ARES CAPITAL CORP              EQUITY    04010L103     481     28,433   SH         SOLE      1       28,433          --       --
ARGON ST INC                   EQUITY    040149106     254      9,526   SH         SOLE      1        9,526          --       --
ARGONAUT GROUP INC             EQUITY    040157109     701     23,331   SH         SOLE      1       23,331          --       --
ARIAD PHARMACEUTICALS INC      EQUITY    04033A100     209     46,331   SH         SOLE      1       46,331          --       --
ARIBA INC                      EQUITY    04033V203     458     55,644   SH         SOLE      1       55,644          --       --
ARKANSAS BEST CORP             EQUITY    040790107     947     18,852   SH         SOLE      1       18,852          --       --
ARMOR HOLDINGS INC             EQUITY    042260109      56      1,018   SH         SOLE      1        1,018          --       --
ARRAY BIOPHARMA INC            EQUITY    04269X105     251     29,141   SH         SOLE      1       29,141          --       --
ARRIS GROUP INC                EQUITY    04269Q100    1047     79,773   SH         SOLE      1       79,773          --       --
ARRIS GROUP INC                EQUITY    04269Q100    2014    153,500   SH         SOLE      2      153,500          --       --
ARROW ELECTRONICS INC          EQUITY    042735100    8534    265,045   SH         SOLE      1      265,045          --       --
ARROW FINANCIAL CORP           EQUITY    042744102     211      7,707   SH         SOLE      1        7,707          --       --
ARROW INTERNATIONAL INC        EQUITY    042764100     558     16,977   SH         SOLE      1       16,977          --       --
ART TECHNOLOGY GROUP INC       EQUITY    04289L107     248     83,133   SH         SOLE      1       83,133          --       --
ARTHROCARE CORP                EQUITY    043136100     235      5,600   SH         SOLE      2        5,600          --       --
ARTHROCARE CORP                EQUITY    043136100    1088     25,901   SH         SOLE      1       25,901          --       --
ARTHUR J GALLAGHER & CO        EQUITY    363576109   35483  1,400,281   SH         SOLE      1    1,400,281          --       --
ARVINMERITOR INC               EQUITY    043353101    3501    203,677   SH         SOLE      1      203,677          --       --
ASBURY AUTOMOTIVE GROUP INC    EQUITY    043436104     192      9,149   SH         SOLE      1        9,149          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
ASHLAND INC                    EQUITY    044209104    2235     33,513   SH         SOLE      1       33,513          --       --
ASHLAND INC                    EQUITY    044209104    2407     36,088   SH         SOLE      2       36,088          --       --
ASPECT MEDICAL SYSTEMS INC     EQUITY    045235108     212     12,164   SH         SOLE      1       12,164          --       --
ASPEN INSURANCE HOLDINGS LTD   EQUITY    G05384105    7173    308,000   SH         SOLE      2      308,000          --       --
ASPEN TECHNOLOGY INC           EQUITY    045327103     443     33,739   SH         SOLE      1       33,739          --       --
ASPREVA PHARMACEUTICALS CORP   EQUITY    04538T109      95      3,500   SH         SOLE      2        3,500          --       --
ASPREVA PHARMACEUTICALS CORP   EQUITY    04538T109     781     28,769   SH         SOLE      1       28,769          --       --
ASSET ACCEPTANCE CAPITAL CORP  EQUITY    04543P100     247     12,464   SH         SOLE      1       12,464          --       --
ASSOCIATED BANC-CORP           EQUITY    045487105    9080    287,991   SH         SOLE      1      287,991          --       --
ASSURANT INC                   EQUITY    04621X108     212      4,381   SH         SOLE      1        4,381          --       --
ASTA FUNDING INC               EQUITY    046220109     328      8,770   SH         SOLE      1        8,770          --       --
ASTEC INDUSTRIES INC           EQUITY    046224101     433     12,685   SH         SOLE      1       12,685          --       --
ASTEC INDUSTRIES INC           EQUITY    046224101    3409     99,900   SH         SOLE      2       99,900          --       --
ASTORIA FINANCIAL CORP         EQUITY    046265104    5629    184,851   SH         SOLE      1      184,851          --       --
ASV INC                        EQUITY    001963107      46      2,000   SH        DEFINED    4           --          --    2,000
ASV INC                        EQUITY    001963107     359     15,584   SH         SOLE      1       15,584          --       --
ASYST TECHNOLOGIES INC         EQUITY    04648X107     272     36,144   SH         SOLE      1       36,144          --       --
AT&T INC                       EQUITY    00206R102    1154     41,383   SH        DEFINED    4           --          --   41,383
AT&T INC                       EQUITY    00206R102   40509  1,452,466   SH         SOLE      2    1,452,466          --       --
AT&T INC                       EQUITY    00206R102   68499  2,456,054   SH         SOLE      1    2,456,054          --       --
ATHEROGENICS INC               EQUITY    047439104       7        500   SH        DEFINED    4           --          --      500
ATHEROGENICS INC               EQUITY    047439104     384     29,423   SH         SOLE      1       29,423          --       --
ATHEROS COMMUNICATIONS INC     EQUITY    04743P108     734     38,510   SH         SOLE      1       38,510          --       --
ATI TECHNOLOGIES INC           EQUITY    001941103      39      2,700   SH         OTHER     1           --       2,700       --
ATI TECHNOLOGIES INC           EQUITY    001941103     237     14,330   SH         SOLE      1       14,330          --       --
ATLANTIC TELE-NETWORK INC      EQUITY    049079205      83      3,990   SH         SOLE      1        3,990          --       --
ATLAS AIR WORLDWIDE HOLDINGS I EQUITY    049164205     730     14,896   SH         SOLE      1       14,896          --       --
ATLAS AMERICA INC              EQUITY    049167109     580     12,952   SH         SOLE      1       12,952          --       --
ATMEL CORP                     EQUITY    049513104    5176    932,566   SH         SOLE      1      932,566          --       --
ATMI INC                       EQUITY    00207R101     688     27,931   SH         SOLE      1       27,931          --       --
ATMOS ENERGY CORP              EQUITY    049560105      77      2,756   SH         SOLE      1        2,756          --       --
ATP OIL & GAS CORP             EQUITY    00208J108     631     15,049   SH         SOLE      1       15,049          --       --
ATWOOD OCEANICS INC            EQUITY    050095108     999     20,144   SH         SOLE      1       20,144          --       --
ATWOOD OCEANICS INC            EQUITY    050095108    9484    191,200   SH         SOLE      2      191,200          --       --
AU OPTRONICS CORP              EQUITY    002255107    3371    236,731   SH         SOLE      1      236,731          --       --
AUDIBLE INC                    EQUITY    05069A302     166     18,300   SH         SOLE      1       18,300          --       --
AUDIOVOX CORP                  EQUITY    050757103     169     12,347   SH         SOLE      1       12,347          --       --
AURORA OIL & GAS CORP          EQUITY    052036100     199     49,651   SH         SOLE      1       49,651          --       --
AUTODESK INC                   EQUITY    052769106    5155    149,585   SH         SOLE      1      149,585          --       --
AUTODESK INC                   EQUITY    052769106   22361    648,887   SH         SOLE      2      648,887          --       --
AUTOLIV INC                    EQUITY    052800109     159      2,817   SH         SOLE      1        2,817          --       --
AUTOMATIC DATA PROCESSING INC  EQUITY    053015103     699     15,415   SH         SOLE      2       15,415          --       --
AUTOMATIC DATA PROCESSING INC  EQUITY    053015103   21491    473,894   SH         SOLE      1      473,894          --       --
AUTONATION INC                 EQUITY    05329W102       4        184   SH         SOLE      2          184          --       --
AUTONATION INC                 EQUITY    05329W102    1513     70,588   SH         SOLE      1       70,588          --       --
AUTOZONE INC                   EQUITY    053332102       6         66   SH         SOLE      2           66          --       --
AUTOZONE INC                   EQUITY    053332102    7057     80,008   SH         SOLE      1       80,008          --       --
AUXILIUM PHARMACEUTICALS INC   EQUITY    05334D107     126     16,174   SH         SOLE      1       16,174          --       --
AVALON PHARMACEUTICALS INC     EQUITY    05346P106     238     70,313   SH         SOLE      1       70,313          --       --
AVALONBAY COMMUNITIES INC      EQUITY    053484101    3395     30,691   SH         SOLE      1       30,691          --       --
AVANEX CORP                    EQUITY    05348W109     216    122,658   SH         SOLE      1      122,658          --       --
AVANIR PHARMACEUTICALS         EQUITY    05348P401     162     23,633   SH         SOLE      1       23,633          --       --
AVATAR HOLDINGS INC            EQUITY    053494100     246      4,325   SH         SOLE      1        4,325          --       --
AVAYA INC                      EQUITY    053499109       6        510   SH         SOLE      2          510          --       --
AVAYA INC                      EQUITY    053499109    7835    686,119   SH         SOLE      1      686,119          --       --
AVERY DENNISON CORP            EQUITY    053611109       2         29   SH        DEFINED    4           --          --       29
AVERY DENNISON CORP            EQUITY    053611109    3018     51,973   SH         SOLE      2       51,973          --       --
AVERY DENNISON CORP            EQUITY    053611109   12543    216,038   SH         SOLE      1      216,038          --       --
AVI BIOPHARMA INC              EQUITY    002346104       2        500   SH        DEFINED    4           --          --      500
AVI BIOPHARMA INC              EQUITY    002346104     293     37,477   SH         SOLE      1       37,477          --       --
AVIALL INC                     EQUITY    05366B102    2529     53,223   SH         SOLE      1       53,223          --       --
AVID TECHNOLOGY INC            EQUITY    05367P100    1050     31,515   SH         SOLE      1       31,515          --       --
AVISTA CORP                    EQUITY    05379B107     929     40,690   SH         SOLE      1       40,690          --       --
AVNET INC                      CORP BOND 053807AL7     466    500,000  PRN         SOLE      1      500,000          --       --
AVNET INC                      EQUITY    053807103    6360    317,677   SH         SOLE      1      317,677          --       --
AVOCENT CORP                   EQUITY    053893103    3716    141,544   SH         SOLE      1      141,544          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
AVON PRODUCTS INC              EQUITY    054303102    3201    103,253   SH         SOLE      2      103,253          --       --
AVON PRODUCTS INC              EQUITY    054303102   27328    881,921   SH         SOLE      1      881,921          --       --
AVX CORP                       EQUITY    002444107      23      1,460   SH         SOLE      1        1,460          --       --
AXA SA                         EQUITY    054536107       2         58   SH        DEFINED    4           --          --       58
AXCELIS TECHNOLOGIES INC       EQUITY    054540109     445     75,345   SH         SOLE      1       75,345          --       --
AXIS CAPITAL HOLDINGS LTD      EQUITY    G0692U109    3433    120,000   SH         SOLE      2      120,000          --       --
AZTAR CORP                     EQUITY    054802103    1402     26,978   SH         SOLE      1       26,978          --       --
BADGER METER INC               EQUITY    056525108     280     10,362   SH         SOLE      1       10,362          --       --
BADGER METER INC               EQUITY    056525108    1301     48,200   SH         SOLE      3       48,200          --       --
BAKER HUGHES INC               EQUITY    057224107     504      6,159   SH        DEFINED    4           --          --    6,159
BAKER HUGHES INC               EQUITY    057224107     886     10,823   SH         SOLE      2       10,823          --       --
BAKER HUGHES INC               EQUITY    057224107   12220    149,303   SH         SOLE      1      149,303          --       --
BALCHEM CORP                   EQUITY    057665200     195      8,663   SH         SOLE      1        8,663          --       --
BALDOR ELECTRIC CO             EQUITY    057741100     752     24,021   SH         SOLE      1       24,021          --       --
BALDWIN & LYONS INC            EQUITY    057755209     154      6,036   SH         SOLE      1        6,036          --       --
BALL CORP                      EQUITY    058498106       5        130   SH         SOLE      2          130          --       --
BALL CORP                      EQUITY    058498106    1786     48,210   SH         SOLE      1       48,210          --       --
BALLY TECHNOLOGIES INC         EQUITY    05874B107     641     38,900   SH         SOLE      1       38,900          --       --
BALLY TOTAL FITNESS HOLDING CO EQUITY    05873K108     209     27,478   SH         SOLE      1       27,478          --       --
BANCFIRST CORP                 EQUITY    05945F103     234      5,219   SH         SOLE      1        5,219          --       --
BANCO MACRO BANSUD SA          EQUITY    05961W105    1018     50,000   SH         SOLE      1       50,000          --       --
BANCOLOMBIA SA                 EQUITY    05968L102    6451    267,680   SH         SOLE      1      267,680          --       --
BANCORP INC/WILMINGTON DE      EQUITY    05969A105     198      7,902   SH         SOLE      1        7,902          --       --
BANCORPSOUTH INC               EQUITY    059692103      73      2,693   SH         SOLE      1        2,693          --       --
BANCTRUST FINANCIAL GROUP INC  EQUITY    05978R107     171      7,271   SH         SOLE      1        7,271          --       --
BANDAG INC                     EQUITY    059815100    1225     33,478   SH         SOLE      1       33,478          --       --
BANK MUTUAL CORP               EQUITY    063750103     555     45,379   SH         SOLE      1       45,379          --       --
BANK OF AMERICA CORP           EQUITY    060505104     363      7,557   SH        DEFINED    4           --          --    7,557
BANK OF AMERICA CORP           EQUITY    060505104   64769  1,346,546   SH         SOLE      2    1,346,546          --       --
BANK OF AMERICA CORP           EQUITY    060505104  135658  2,820,328   SH         SOLE      1    2,820,328          --       --
BANK OF GRANITE CORP           EQUITY    062401104     200      9,596   SH         SOLE      1        9,596          --       --
BANK OF HAWAII CORP            EQUITY    062540109    5478    110,450   SH         SOLE      1      110,450          --       --
BANK OF MONTREAL               EQUITY    063671101    7822    145,200   SH         OTHER     1           --     145,200       --
BANK OF NEW YORK CO INC/THE    EQUITY    064057102       1         45   SH        DEFINED    4           --          --       45
BANK OF NEW YORK CO INC/THE    EQUITY    064057102    1522     47,257   SH         SOLE      2       47,257          --       --
BANK OF NEW YORK CO INC/THE    EQUITY    064057102   51622  1,603,156   SH         SOLE      1    1,603,156          --       --
BANK OF NOVA SCOTIA            EQUITY    064149107    7222    182,100   SH         OTHER     1           --     182,100       --
BANK OF THE OZARKS INC         EQUITY    063904106     294      8,829   SH         SOLE      1        8,829          --       --
BANKATLANTIC BANCORP INC       EQUITY    065908501     523     35,219   SH         SOLE      1       35,219          --       --
BANKFINANCIAL CORP             EQUITY    06643P104     316     18,254   SH         SOLE      1       18,254          --       --
BANKRATE INC                   EQUITY    06646V108     288      7,626   SH         SOLE      1        7,626          --       --
BANKUNITED FINANCIAL CORP      EQUITY    06652B103     713     23,362   SH         SOLE      1       23,362          --       --
BANNER CORP                    EQUITY    06652V109     350      9,069   SH         SOLE      1        9,069          --       --
BANTA CORP                     EQUITY    066821109    3216     69,410   SH         SOLE      1       69,410          --       --
BARCLAYS PLC                   EQUITY    06738E204    1627     35,545   SH        DEFINED    4           --          --   35,545
BARNES & NOBLE INC             EQUITY    067774109    4308    118,020   SH         SOLE      1      118,020          --       --
BARNES GROUP INC               EQUITY    067806109     215     10,800   SH         SOLE      2       10,800          --       --
BARNES GROUP INC               EQUITY    067806109     644     32,260   SH         SOLE      1       32,260          --       --
BARR PHARMACEUTICALS INC       EQUITY    068306109     626     13,132   SH         SOLE      2       13,132          --       --
BARR PHARMACEUTICALS INC       EQUITY    068306109    3564     74,736   SH         SOLE      1       74,736          --       --
BARRETT BUSINESS SERVICES      EQUITY    068463108      95      5,197   SH         SOLE      1        5,197          --       --
BARRICK GOLD CORP              EQUITY    067901108     761     25,700   SH         SOLE      2       25,700          --       --
BARRICK GOLD CORP              EQUITY    067901108    3135    106,000   SH         OTHER     1           --     106,000       --
BASIC ENERGY SERVICES INC      EQUITY    06985P100      46      1,510   SH        DEFINED    4           --          --    1,510
BASIC ENERGY SERVICES INC      EQUITY    06985P100     285      9,327   SH         SOLE      1        9,327          --       --
BASIN WATER INC                EQUITY    07011T306      45      4,472   SH         SOLE      1        4,472          --       --
BAUSCH & LOMB INC              EQUITY    071707103       3         67   SH         SOLE      2           67          --       --
BAUSCH & LOMB INC              EQUITY    071707103    1378     28,098   SH         SOLE      1       28,098          --       --
BAXTER INTERNATIONAL INC       EQUITY    071813109      15        399   SH        DEFINED    4           --          --      399
BAXTER INTERNATIONAL INC       EQUITY    071813109     522     14,212   SH         SOLE      2       14,212          --       --
BAXTER INTERNATIONAL INC       EQUITY    071813109   13647    371,242   SH         SOLE      1      371,242          --       --
BAYTEX ENERGY TRUST            EQUITY    073176109     114      5,255   SH        DEFINED    4           --          --    5,255
BB&T CORP                      EQUITY    054937107      28        682   SH         SOLE      2          682          --       --
BB&T CORP                      EQUITY    054937107   10076    242,262   SH         SOLE      1      242,262          --       --
BCE INC                        EQUITY    05534B109      79      3,352   SH         OTHER     1           --       3,352       --
BE AEROSPACE INC               EQUITY    073302101     235     10,300   SH         SOLE      2       10,300          --       --
BE AEROSPACE INC               EQUITY    073302101    1321     57,781   SH         SOLE      1       57,781          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
BEA SYSTEMS INC                EQUITY    073325102     387     29,542   SH         SOLE      1       29,542          --       --
BEACON ROOFING SUPPLY INC      EQUITY    073685109     719     32,659   SH         SOLE      1       32,659          --       --
BEAR STEARNS COS INC/THE       EQUITY    073902108    7681     54,830   SH         SOLE      1       54,830          --       --
BEAR STEARNS COS INC/THE       EQUITY    073902108    8426     60,150   SH         SOLE      2       60,150          --       --
BEARINGPOINT INC               EQUITY    074002106    1163    138,939   SH         SOLE      1      138,939          --       --
BEARINGPOINT INC               EQUITY    074002106   12368  1,477,600   SH         SOLE      2    1,477,600          --       --
BEAZER HOMES USA INC           EQUITY    07556Q105    4025     87,739   SH         SOLE      1       87,739          --       --
BEBE STORES INC                EQUITY    075571109     272     17,631   SH         SOLE      1       17,631          --       --
BECKMAN COULTER INC            EQUITY    075811109    7604    136,882   SH         SOLE      1      136,882          --       --
BECTON DICKINSON & CO          EQUITY    075887109      19        307   SH         SOLE      2          307          --       --
BECTON DICKINSON & CO          EQUITY    075887109    6612    108,167   SH         SOLE      1      108,167          --       --
BED BATH & BEYOND INC          EQUITY    075896100    4927    148,550   SH         SOLE      2      148,550          --       --
BED BATH & BEYOND INC          EQUITY    075896100    5855    176,513   SH         SOLE      1      176,513          --       --
BEL FUSE INC                   EQUITY    077347300     246      7,508   SH         SOLE      1        7,508          --       --
BELDEN CDT INC                 EQUITY    077454106    1049     31,733   SH         SOLE      1       31,733          --       --
BELLSOUTH CORP                 EQUITY    079860102       2         56   SH        DEFINED    4           --          --       56
BELLSOUTH CORP                 EQUITY    079860102    1598     44,143   SH         SOLE      2       44,143          --       --
BELLSOUTH CORP                 EQUITY    079860102   44764  1,236,576   SH         SOLE      1    1,236,576          --       --
BELO CORP                      EQUITY    080555105    4074    261,164   SH         SOLE      1      261,164          --       --
BEMA GOLD CORP                 EQUITY    08135F107    4090    818,600   SH         OTHER     1           --     818,600       --
BEMIS CO                       EQUITY    081437105      12        380   SH        DEFINED    4           --          --      380
BEMIS CO                       EQUITY    081437105    1523     49,740   SH         SOLE      1       49,740          --       --
BEMIS CO                       EQUITY    081437105    3072    100,323   SH         SOLE      2      100,323          --       --
BENCHMARK ELECTRONICS INC      EQUITY    08160H101    1157     47,953   SH         SOLE      1       47,953          --       --
BENTLEY PHARMACEUTICALS INC    EQUITY    082657107     158     14,389   SH         SOLE      1       14,389          --       --
BERKSHIRE HATHAWAY INC         EQUITY    084670207      21          7   SH        DEFINED    4           --          --        7
BERKSHIRE HILLS BANCORP INC    EQUITY    084680107     228      6,424   SH         SOLE      1        6,424          --       --
BERRY PETROLEUM CO             EQUITY    085789105     873     26,335   SH         SOLE      1       26,335          --       --
BEST BUY                       CORP BOND 086516AF8       4      3,000  PRN        DEFINED    4           --          --    3,000
BEST BUY CO INC                EQUITY    086516101      22        403   SH        DEFINED    4           --          --      403
BEST BUY CO INC                EQUITY    086516101      27        499   SH         SOLE      2          499          --       --
BEST BUY CO INC                EQUITY    086516101   16790    306,159   SH         SOLE      1      306,159          --       --
BFC FINANCIAL CORP             EQUITY    055384200      84     12,132   SH         SOLE      1       12,132          --       --
BHP BILLITON LTD               EQUITY    088606108      24        563   SH        DEFINED    4           --          --      563
BIG 5 SPORTING GOODS CORP      EQUITY    08915P101     330     16,941   SH         SOLE      1       16,941          --       --
BIG LOTS INC                   EQUITY    089302103       2        141   SH         SOLE      2          141          --       --
BIG LOTS INC                   EQUITY    089302103    2295    134,374   SH         SOLE      1      134,374          --       --
BILL BARRETT CORP              EQUITY    06846N104     629     21,239   SH         SOLE      1       21,239          --       --
BILL BARRETT CORP              EQUITY    06846N104    2869     96,900   SH         SOLE      2       96,900          --       --
BIOCRYST PHARMACEUTICALS INC   EQUITY    09058V103     246     17,136   SH         SOLE      1       17,136          --       --
BIOENVISION INC                EQUITY    09059N100     143     26,875   SH         SOLE      1       26,875          --       --
BIOGEN IDEC INC                EQUITY    09062X103       5        110   SH        DEFINED    4           --          --      110
BIOGEN IDEC INC                EQUITY    09062X103     668     14,426   SH         SOLE      2       14,426          --       --
BIOGEN IDEC INC                EQUITY    09062X103    7980    172,286   SH         SOLE      1      172,286          --       --
BIOMARIN PHARMACEUTICALS INC   EQUITY    09061G101     503     35,000   SH         SOLE      2       35,000          --       --
BIOMARIN PHARMACEUTICALS INC   EQUITY    09061G101     915     63,686   SH         SOLE      1       63,686          --       --
BIOMED REALTY TRUST INC        EQUITY    09063H107    5220    174,360   SH         SOLE      1      174,360          --       --
BIOMET INC                     EQUITY    090613100    3251    103,905   SH         SOLE      2      103,905          --       --
BIOMET INC                     EQUITY    090613100    4141    132,333   SH         SOLE      1      132,333          --       --
BIOMIMETIC THERAPEUTICS INC    EQUITY    09064X101     857    129,300   SH         SOLE      2      129,300          --       --
BIO-RAD LABORATORIES INC       EQUITY    090572207     902     13,891   SH         SOLE      1       13,891          --       --
BIO-REFERENCE LABS INC         EQUITY    09057G602     169      7,767   SH         SOLE      1        7,767          --       --
BIOSITE INC                    EQUITY    090945106     586     12,841   SH         SOLE      1       12,841          --       --
BIOVAIL CORP                   EQUITY    09067J109      42      1,800   SH         OTHER     1           --       1,800       --
BISYS GROUP INC/THE            EQUITY    055472104    4768    348,062   SH         SOLE      1      348,062          --       --
BJ SERVICES CO                 EQUITY    055482103      15        399   SH         SOLE      2          399          --       --
BJ SERVICES CO                 EQUITY    055482103    8555    229,597   SH         SOLE      1      229,597          --       --
BJ'S RESTAURANTS INC           EQUITY    09180C106     231     10,323   SH         SOLE      1       10,323          --       --
BJ'S WHOLESALE CLUB INC        EQUITY    05548J106    4116    145,194   SH         SOLE      1      145,194          --       --
BLACK & DECKER CORP            EQUITY    091797100       8         94   SH         SOLE      2           94          --       --
BLACK & DECKER CORP            EQUITY    091797100     857     10,145   SH        DEFINED    4           --          --   10,145
BLACK & DECKER CORP            EQUITY    091797100    6978     82,618   SH         SOLE      1       82,618          --       --
BLACK BOX CORP                 EQUITY    091826107     500     13,038   SH         SOLE      1       13,038          --       --
BLACK HILLS CORP               EQUITY    092113109    3296     96,006   SH         SOLE      1       96,006          --       --
BLACKBAUD INC                  EQUITY    09227Q100     740     32,578   SH         SOLE      1       32,578          --       --
BLACKBOARD INC                 EQUITY    091935502     599     20,687   SH         SOLE      1       20,687          --       --
BLACKROCK HIGH YIELD TRUST     EQUITY    09248N102      32      4,000   SH        DEFINED    4           --          --    4,000






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
BLACKROCK INC/NEW YORK         EQUITY    09247X101      62        447   SH         SOLE      1          447          --       --
BLACKROCK INCOME OPPORTUNITY T EQUITY    092475102      89      9,111   SH        DEFINED    4           --          --    9,111
BLACKROCK INCOME TRUST INC     EQUITY    09247F100      43      7,000   SH        DEFINED    4           --          --    7,000
BLACKROCK MUNICIPAL INCOME TRU EQUITY    09249N101      38      2,300   SH        DEFINED    4           --          --    2,300
BLOCKBUSTER INC                EQUITY    093679108     708    142,253   SH         SOLE      1      142,253          --       --
BLOUNT INTERNATIONAL INC       EQUITY    095180105     340     28,313   SH         SOLE      1       28,313          --       --
BLUE CHIP VALUE FUND INC       EQUITY    095333100     214     37,740   SH        DEFINED    4           --          --   37,740
BLUE COAT SYSTEMS INC          EQUITY    09534T508     242     14,351   SH         SOLE      1       14,351          --       --
BLUE NILE INC                  EQUITY    09578R103     346     10,755   SH         SOLE      1       10,755          --       --
BLUEGREEN CORP                 EQUITY    096231105     179     15,594   SH         SOLE      1       15,594          --       --
BLUELINX HOLDINGS INC          EQUITY    09624H109     122      9,352   SH         SOLE      1        9,352          --       --
BLYTH INC                      EQUITY    09643P108    1397     75,660   SH         SOLE      1       75,660          --       --
BMC SOFTWARE INC               EQUITY    055921100       6        264   SH         SOLE      2          264          --       --
BMC SOFTWARE INC               EQUITY    055921100    3220    134,722   SH         SOLE      1      134,722          --       --
BOB EVANS FARMS INC            EQUITY    096761101    3111    103,651   SH         SOLE      1      103,651          --       --
BOEING CO                      EQUITY    097023105     216      2,635   SH        DEFINED    4           --          --    2,635
BOEING CO                      EQUITY    097023105   14891    181,791   SH         SOLE      2      181,791          --       --
BOEING CO                      EQUITY    097023105   32011    390,811   SH         SOLE      1      390,811          --       --
BOIS D'ARC ENERGY INC          EQUITY    09738U103     207     12,544   SH         SOLE      1       12,544          --       --
BOK FINANCIAL CORP             EQUITY    05561Q201      37        741   SH         SOLE      1          741          --       --
BON-TON STORES INC/THE         EQUITY    09776J101    1010     46,163   SH         SOLE      1       46,163          --       --
BON-TON STORES INC/THE         EQUITY    09776J101    2733    124,900   SH         SOLE      3      124,900          --       --
BOOKHAM INC                    EQUITY    09856E105     145     43,258   SH         SOLE      1       43,258          --       --
BOOKS-A-MILLION INC            EQUITY    098570104     176     10,570   SH         SOLE      1       10,570          --       --
BORDERS GROUP INC              EQUITY    099709107    3432    185,901   SH         SOLE      1      185,901          --       --
BORGWARNER INC                 EQUITY    099724106    8282    127,215   SH         SOLE      1      127,215          --       --
BORLAND SOFTWARE CORP          EQUITY    099849101     306     58,040   SH         SOLE      1       58,040          --       --
BOSTON BEER CO INC             EQUITY    100557107     205      7,005   SH         SOLE      1        7,005          --       --
BOSTON PRIVATE FINANCIAL HOLDI EQUITY    101119105     734     26,305   SH         SOLE      1       26,305          --       --
BOSTON PROPERTIES INC          EQUITY    101121101      10        113   SH         SOLE      2          113          --       --
BOSTON PROPERTIES INC          EQUITY    101121101    3982     44,050   SH         SOLE      1       44,050          --       --
BOSTON SCIENTIFIC CORP         EQUITY    101137107      16        922   SH        DEFINED    4           --          --      922
BOSTON SCIENTIFIC CORP         EQUITY    101137107    2733    162,307   SH         SOLE      2      162,307          --       --
BOSTON SCIENTIFIC CORP         EQUITY    101137107    8955    531,767   SH         SOLE      1      531,767          --       --
BOTTOMLINE TECHNOLOGIES INC    EQUITY    101388106     125     15,310   SH         SOLE      1       15,310          --       --
BOULDER GROWTH & INCOME FUND I EQUITY    101507101      65      8,400   SH         SOLE      1        8,400          --       --
BOWATER INC                    EQUITY    102183100    3677    161,625   SH         SOLE      1      161,625          --       --
BOWNE & CO INC                 EQUITY    103043105     451     31,519   SH         SOLE      1       31,519          --       --
BOYD GAMING CORP               EQUITY    103304101    3834     94,985   SH         SOLE      1       94,985          --       --
BOYD GAMING CORP               EQUITY    103304101   14594    361,600   SH         SOLE      2      361,600          --       --
BP PLC                         EQUITY    055622104      97      1,399   SH        DEFINED    4           --          --    1,399
BP PRUDHOE BAY ROYALTY TRUST   EQUITY    055630107     200      2,507   SH        DEFINED    4           --          --    2,507
BRADLEY PHARMACEUTICALS INC    EQUITY    104576103     111     10,852   SH         SOLE      1       10,852          --       --
BRADY CORP                     EQUITY    104674106    1146     31,113   SH         SOLE      1       31,113          --       --
BRE PROPERTIES INC             EQUITY    05564E106      96      1,743   SH         SOLE      1        1,743          --       --
BRIGGS & STRATTON CORP         EQUITY    109043109    1187     38,156   SH         SOLE      1       38,156          --       --
BRIGHAM EXPLORATION CO         EQUITY    109178103       8      1,000   SH        DEFINED    4           --          --    1,000
BRIGHAM EXPLORATION CO         EQUITY    109178103     268     33,931   SH         SOLE      1       33,931          --       --
BRIGHT HORIZONS FAMILY SOLUTIO EQUITY    109195107     782     20,736   SH         SOLE      1       20,736          --       --
BRIGHTPOINT INC                EQUITY    109473405    1220     90,339   SH         SOLE      1       90,339          --       --
BRINKER INTERNATIONAL INC      EQUITY    109641100      10        280   SH        DEFINED    4           --          --      280
BRINKER INTERNATIONAL INC      EQUITY    109641100    6669    183,712   SH         SOLE      1      183,712          --       --
BRINK'S CO/THE                 EQUITY    109696104    5913    104,814   SH         SOLE      1      104,814          --       --
BRISTOL WEST HOLDINGS INC      EQUITY    11037M105     183     11,407   SH         SOLE      1       11,407          --       --
BRISTOL-MYERS SQUIBB CO        EQUITY    110122108      64      2,460   SH        DEFINED    4           --          --    2,460
BRISTOL-MYERS SQUIBB CO        EQUITY    110122108     650     25,138   SH         SOLE      2       25,138          --       --
BRISTOL-MYERS SQUIBB CO        EQUITY    110122108   23998    927,978   SH         SOLE      1      927,978          --       --
BRISTOW GROUP INC              EQUITY    110394103     627     17,427   SH         SOLE      1       17,427          --       --
BROADBAND HOLDRS TRUST         EQUITY    11130P104       3        200   SH        DEFINED    4           --          --      200
BROADCOM CORP                  EQUITY    111320107    6243    207,768   SH         SOLE      2      207,768          --       --
BROADCOM CORP                  EQUITY    111320107    7468    246,213   SH         SOLE      1      246,213          --       --
BROADWING CORP                 EQUITY    11161E101     589     56,885   SH         SOLE      1       56,885          --       --
BROCADE COMMUNICATIONS         CORP BOND 111621AB4       4      4,000  PRN        DEFINED    4           --          --    4,000
BROCADE COMMUNICATIONS SYSTEMS EQUITY    111621108    1251    203,803   SH         SOLE      1      203,803          --       --
BRONCO DRILLING CO INC         EQUITY    112211107     212     10,140   SH         SOLE      1       10,140          --       --
BROOKDALE SENIOR LIVING INC    EQUITY    112463104      12        274   SH         SOLE      1          274          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
BROOKFIELD ASSET MANAGEMENT IN EQUITY    112585104     149      3,700   SH         OTHER     1           --       3,700       --
BROOKFIELD HOMES CORP          EQUITY    112723101     303      9,195   SH         SOLE      1        9,195          --       --
BROOKFIELD PROPERTIES CORP     EQUITY    112900105      41      1,300   SH         OTHER     1           --       1,300       --
BROOKLINE BANCORP INC          EQUITY    11373M107     633     45,948   SH         SOLE      1       45,948          --       --
BROOKS AUTOMATION INC          EQUITY    114340102     657     55,683   SH         SOLE      1       55,683          --       --
BROWN & BROWN INC              EQUITY    115236101    7063    241,732   SH         SOLE      1      241,732          --       --
BROWN SHOE CO INC              EQUITY    115736100    1361     39,948   SH         SOLE      1       39,948          --       --
BROWN-FORMAN CORP              EQUITY    115637209       7        103   SH         SOLE      2          103          --       --
BROWN-FORMAN CORP              EQUITY    115637209    2985     41,774   SH         SOLE      1       41,774          --       --
BRUKER BIOSCIENCES CORP        EQUITY    116794108     150     27,957   SH         SOLE      1       27,957          --       --
BRUNSWICK CORP                 EQUITY    117043109       4        117   SH         SOLE      2          117          --       --
BRUNSWICK CORP                 EQUITY    117043109    1485     44,657   SH         SOLE      1       44,657          --       --
BRUSH ENGINEERED MATERIALS INC EQUITY    117421107     302     14,479   SH         SOLE      1       14,479          --       --
BRYN MAWR BANK CORP            EQUITY    117665109       7        300   SH        DEFINED    4           --          --      300
BUCKEYE PARTNERS LP            EQUITY    118230101      18        432   SH        DEFINED    4           --          --      432
BUCKEYE TECHNOLOGIES INC       EQUITY    118255108     215     28,098   SH         SOLE      1       28,098          --       --
BUCKLE INC/THE                 EQUITY    118440106     302      7,211   SH         SOLE      1        7,211          --       --
BUCYRUS INTERNATIONAL INC      EQUITY    118759109     268      5,300   SH         SOLE      2        5,300          --       --
BUCYRUS INTERNATIONAL INC      EQUITY    118759109    2146     42,490   SH         SOLE      1       42,490          --       --
BUFFALO WILD WINGS INC         EQUITY    119848109     210      5,485   SH         SOLE      1        5,485          --       --
BUILD-A-BEAR WORKSHOP INC      EQUITY    120076104     236     10,983   SH         SOLE      1       10,983          --       --
BUILDERS FIRSTSOURCE INC       EQUITY    12008R107     229     11,236   SH         SOLE      1       11,236          --       --
BUILDING MATERIAL HOLDING CORP EQUITY    120113105    1226     43,998   SH         SOLE      1       43,998          --       --
BURGER KING HOLDINGS INC       EQUITY    121208201       9        564   SH         SOLE      1          564          --       --
BURLINGTON NORTHERN SANTA FE C EQUITY    12189T104     390      4,915   SH        DEFINED    4           --          --    4,915
BURLINGTON NORTHERN SANTA FE C EQUITY    12189T104   17868    225,462   SH         SOLE      1      225,462          --       --
BURLINGTON NORTHERN SANTA FE C EQUITY    12189T104   43804    552,731   SH         SOLE      2      552,731          --       --
CA INC                         CORP BOND 204912AQ2       1      1,000  PRN        DEFINED    4           --          --    1,000
CA INC                         EQUITY    12673P105      12        566   SH         SOLE      2          566          --       --
CA INC                         CORP BOND 204912AQ2     586    525,000  PRN         SOLE      1      525,000          --       --
CA INC                         EQUITY    12673P105    4417    214,924   SH         SOLE      1      214,924          --       --
CABELA'S INC                   EQUITY    126804301     460     23,883   SH         SOLE      1       23,883          --       --
CABLEVISION SYSTEMS CORP       EQUITY    12686C109     131      6,112   SH         SOLE      1        6,112          --       --
CABOT CORP                     EQUITY    127055101    4755    137,756   SH         SOLE      1      137,756          --       --
CABOT MICROELECTRONICS CORP    EQUITY    12709P103    2120     69,959   SH         SOLE      1       69,959          --       --
CABOT OIL & GAS CORP           EQUITY    127097103     777     15,859   SH         SOLE      1       15,859          --       --
CACHE INC                      EQUITY    127150308     158      9,128   SH         SOLE      1        9,128          --       --
CACI INTERNATIONAL INC         EQUITY    127190304       2         28   SH        DEFINED    4           --          --       28
CACI INTERNATIONAL INC         EQUITY    127190304    1330     22,795   SH         SOLE      1       22,795          --       --
CADENCE DESIGN SYSTEMS INC     EQUITY    127387108   10775    629,405   SH         SOLE      1      629,405          --       --
CAE INC                        EQUITY    124765108      27      3,500   SH         OTHER     1           --       3,500       --
CALAMOS ASSET MANAGEMENT INC   EQUITY    12811R104     501     17,281   SH         SOLE      1       17,281          --       --
CALAMOS CONVERTIBLE AND HIGH I EQUITY    12811P108     113      7,074   SH        DEFINED    4           --          --    7,074
CALAMP CORP                    EQUITY    128126109     154     17,345   SH         SOLE      1       17,345          --       --
CALGON CARBON CORP             EQUITY    129603106     180     29,629   SH         SOLE      1       29,629          --       --
CALIFORNIA COASTAL COMMUNITIES EQUITY    129915203     243      7,581   SH         SOLE      1        7,581          --       --
CALIFORNIA PIZZA KITCHEN INC   EQUITY    13054D109     406     14,777   SH         SOLE      1       14,777          --       --
CALIFORNIA WATER SERVICE GROUP EQUITY    130788102     460     12,868   SH         SOLE      1       12,868          --       --
CALLAWAY GOLF CO               EQUITY    131193104    2546    195,965   SH         SOLE      1      195,965          --       --
CALLON PETROLEUM CO            EQUITY    13123X102     293     15,155   SH         SOLE      1       15,155          --       --
CAMBREX CORP                   EQUITY    132011107     416     19,969   SH         SOLE      1       19,969          --       --
CAMDEN NATIONAL CORP           EQUITY    133034108     224      5,610   SH         SOLE      1        5,610          --       --
CAMDEN PROPERTY TRUST          EQUITY    133131102     141      1,914   SH         SOLE      1        1,914          --       --
CAMECO CORP                    EQUITY    13321L108      52      1,290   SH        DEFINED    4           --          --    1,290
CAMECO CORP                    EQUITY    13321L108     148      3,700   SH         OTHER     1           --       3,700       --
CAMERON INTERNATIONAL CORP     EQUITY    13342B105    1586     33,200   SH         SOLE      2       33,200          --       --
CAMERON INTERNATIONAL CORP     EQUITY    13342B105   64458  1,349,422   SH         SOLE      1    1,349,422          --       --
CAMERON INTL CORP              CORP BOND 216640AE2     517    350,000  PRN         SOLE      1      350,000          --       --
CAMPBELL SOUP CO               EQUITY    134429109    3846    103,630   SH         SOLE      2      103,630          --       --
CAMPBELL SOUP CO               EQUITY    134429109   25436    685,428   SH         SOLE      1      685,428          --       --
CANADIAN IMPERIAL BANK OF COMM EQUITY    136069101    3022     45,100   SH         OTHER     1           --      45,100       --
CANADIAN NATIONAL RAILWAY CO   EQUITY    136375102     258      5,900   SH         OTHER     1           --       5,900       --
CANADIAN NATURAL RESOURCES LTD EQUITY    136385101    6521    117,800   SH         OTHER     1           --     117,800       --
CANADIAN PACIFIC RAILWAY LTD   EQUITY    13645T100      87      1,700   SH         OTHER     1           --       1,700       --
CANDELA CORP                   EQUITY    136907102     281     17,735   SH         SOLE      1       17,735          --       --
CANETIC RESOURCES TRUST        EQUITY    137513107      41      2,000   SH         OTHER     1           --       2,000       --
CANON INC                      EQUITY    138006309       7        100   SH        DEFINED    4           --          --      100






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
CAPITAL CITY BANK GROUP INC    EQUITY    139674105     294      9,735   SH         SOLE      1        9,735          --       --
CAPITAL CORP OF THE WEST       EQUITY    140065202     226      7,073   SH         SOLE      1        7,073          --       --
CAPITAL LEASE FUNDING INC      EQUITY    140288101     282     24,756   SH         SOLE      1       24,756          --       --
CAPITAL ONE FINANCIAL CORP     EQUITY    14040H105       2         18   SH        DEFINED    4           --          --       18
CAPITAL ONE FINANCIAL CORP     EQUITY    14040H105   14201    166,194   SH         SOLE      2      166,194          --       --
CAPITAL ONE FINANCIAL CORP     EQUITY    14040H105   23105    270,396   SH         SOLE      1      270,396          --       --
CAPITAL SENIOR LIVING CORP     EQUITY    140475104     167     16,222   SH         SOLE      1       16,222          --       --
CAPITAL SOUTHWEST CORP         EQUITY    140501107     213      2,044   SH         SOLE      1        2,044          --       --
CAPITAL TITLE GROUP INC        EQUITY    140919101     141     19,199   SH         SOLE      1       19,199          --       --
CAPITAL TRUST INC/NY           EQUITY    14052H506     261      7,329   SH         SOLE      1        7,329          --       --
CAPITALSOURCE INC              EQUITY    14055X102      58      2,479   SH         SOLE      1        2,479          --       --
CAPITOL BANCORP LTD            EQUITY    14056D105     390     10,008   SH         SOLE      1       10,008          --       --
CAPITOL FEDERAL FINANCIAL      EQUITY    14057C106      26        747   SH         SOLE      1          747          --       --
CAPSTONE TURBINE CORP          EQUITY    14067D102     175     76,651   SH         SOLE      1       76,651          --       --
CARACO PHARMACEUTICAL LABORATO EQUITY    14075T107      66      7,260   SH         SOLE      1        7,260          --       --
CARAUSTAR INDUSTRIES INC       EQUITY    140909102     195     21,694   SH         SOLE      1       21,694          --       --
CARBO CERAMICS INC             EQUITY    140781105     735     14,957   SH         SOLE      1       14,957          --       --
CARDINAL FINANCIAL CORP        EQUITY    14149F109     211     18,180   SH         SOLE      1       18,180          --       --
CARDINAL HEALTH INC            EQUITY    14149Y108     574      8,918   SH         SOLE      2        8,918          --       --
CARDINAL HEALTH INC            EQUITY    14149Y108   18089    281,198   SH         SOLE      1      281,198          --       --
CAREER EDUCATION CORP          EQUITY    141665109     114      3,815   SH        DEFINED    4           --          --    3,815
CAREER EDUCATION CORP          EQUITY    141665109   33780  1,130,112   SH         SOLE      1    1,130,112          --       --
CAREMARK RX INC                EQUITY    141705103     848     17,010   SH        DEFINED    4           --          --   17,010
CAREMARK RX INC                EQUITY    141705103   31770    637,049   SH         SOLE      2      637,049          --       --
CAREMARK RX INC                EQUITY    141705103   41066    823,460   SH         SOLE      1      823,460          --       --
CARLISLE COS INC               EQUITY    142339100    2181     27,500   SH         SOLE      2       27,500          --       --
CARLISLE COS INC               EQUITY    142339100    5277     66,544   SH         SOLE      1       66,544          --       --
CARMAX INC                     EQUITY    143130102    8066    227,474   SH         SOLE      1      227,474          --       --
CARMIKE CINEMAS INC            EQUITY    143436400     194      9,184   SH         SOLE      1        9,184          --       --
CARNIVAL CORP                  EQUITY    143658300    2816     67,457   SH         SOLE      2       67,457          --       --
CARNIVAL CORP                  EQUITY    143658300   24993    598,789   SH         SOLE      1      598,789          --       --
CARPENTER TECHNOLOGY CORP      EQUITY    144285103      68        592   SH         SOLE      1          592          --       --
CARRAMERICA REALTY CORP        EQUITY    144418100       9        200   SH        DEFINED    4           --          --      200
CARRAMERICA REALTY CORP        EQUITY    144418100    7449    167,205   SH         SOLE      1      167,205          --       --
CARRIER ACCESS CORP            EQUITY    144460102     128     15,508   SH         SOLE      1       15,508          --       --
CARRIZO OIL & GAS INC          EQUITY    144577103     488     15,585   SH         SOLE      1       15,585          --       --
CARTER'S INC                   EQUITY    146229109    2529     95,700   SH         SOLE      2       95,700          --       --
CARTER'S INC                   EQUITY    146229109    2825    106,895   SH         SOLE      1      106,895          --       --
CASCADE BANCORP                EQUITY    147154108     479     16,793   SH         SOLE      1       16,793          --       --
CASCADE CORP                   EQUITY    147195101     370      9,357   SH         SOLE      1        9,357          --       --
CASCADE NATURAL GAS CORP       EQUITY    147339105     181      8,566   SH         SOLE      1        8,566          --       --
CASELLA WASTE SYSTEMS INC      EQUITY    147448104     215     16,387   SH         SOLE      1       16,387          --       --
CASEY'S GENERAL STORES INC     EQUITY    147528103     940     37,574   SH         SOLE      1       37,574          --       --
CASH AMERICA INTERNATIONAL INC EQUITY    14754D100    1004     31,386   SH         SOLE      1       31,386          --       --
CASS INFORMATION SYSTEMS INC   EQUITY    14808P109     141      2,889   SH         SOLE      1        2,889          --       --
CASUAL MALE RETAIL GROUP INC   EQUITY    148711104     230     22,930   SH         SOLE      1       22,930          --       --
CATALINA MARKETING CORP        EQUITY    148867104    3291    115,642   SH         SOLE      1      115,642          --       --
CATERPILLAR INC                EQUITY    149123101     366      4,920   SH        DEFINED    4           --          --    4,920
CATERPILLAR INC                EQUITY    149123101     486      6,530   SH         SOLE      2        6,530          --       --
CATERPILLAR INC                EQUITY    149123101   27961    375,420   SH         SOLE      1      375,420          --       --
CATHAY GENERAL BANCORP         EQUITY    149150104    5411    148,722   SH         SOLE      1      148,722          --       --
CATO CORP/THE                  EQUITY    149205106     589     22,794   SH         SOLE      1       22,794          --       --
CAVCO INDUSTRIES INC           EQUITY    149568107     211      4,742   SH         SOLE      1        4,742          --       --
CB RICHARD ELLIS GROUP INC     EQUITY    12497T101     104      4,172   SH         SOLE      1        4,172          --       --
CBEYOND INC                    EQUITY    149847105     268     12,282   SH         SOLE      1       12,282          --       --
CBIZ INC                       EQUITY    124805102     337     45,477   SH         SOLE      1       45,477          --       --
CBL & ASSOCIATES PROPERTIES IN EQUITY    124830100    5840    150,008   SH         SOLE      1      150,008          --       --
CBOT HOLDINGS INC              EQUITY    14984K106     142      1,191   SH         SOLE      1        1,191          --       --
CBOT HOLDINGS INC              EQUITY    14984K106    2870     24,000   SH         SOLE      2       24,000          --       --
CBRL GROUP INC                 EQUITY    12489V106      49      1,453   SH        DEFINED    4           --          --    1,453
CBRL GROUP INC                 EQUITY    12489V106    3028     89,268   SH         SOLE      1       89,268          --       --
CBS CORP                       EQUITY    124857202      26        958   SH         SOLE      2          958          --       --
CBS CORP                       EQUITY    124857202   15828    585,148   SH         SOLE      1      585,148          --       --
C-COR INC                      EQUITY    125010108     276     35,808   SH         SOLE      1       35,808          --       --
CDI CORP                       EQUITY    125071100     277      9,547   SH         SOLE      1        9,547          --       --
CDW CORP                       EQUITY    12512N105    7869    143,985   SH         SOLE      1      143,985          --       --
CEC ENTERTAINMENT INC          EQUITY    125137109     798     24,837   SH         SOLE      1       24,837          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
CEDAR FAIR -LP                 EQUITY    150185106       5        180   SH        DEFINED    4           --          --      180
CEDAR SHOPPING CENTERS INC     EQUITY    150602209     335     22,750   SH         SOLE      1       22,750          --       --
CELADON GROUP INC              EQUITY    150838100     377     17,119   SH         SOLE      1       17,119          --       --
CELANESE CORP                  EQUITY    150870103      43      2,113   SH         SOLE      1        2,113          --       --
CELESTICA INC                  EQUITY    15101Q108      15      1,600   SH         OTHER     1           --       1,600       --
CELGENE CORP                   EQUITY    151020104    1310     27,622   SH         SOLE      1       27,622          --       --
CELL GENESYS INC               EQUITY    150921104     171     34,080   SH         SOLE      1       34,080          --       --
CEMEX SA DE CV                 EQUITY    151290889     710     12,455   SH        DEFINED    4           --          --   12,455
CENDANT CORP                   EQUITY    151313103      20      1,240   SH         SOLE      2        1,240          --       --
CENDANT CORP                   EQUITY    151313103    9201    564,810   SH         SOLE      1      564,810          --       --
CENTENE CORP                   EQUITY    15135B101     756     32,146   SH         SOLE      1       32,146          --       --
CENTENE CORP                   EQUITY    15135B101   17295    735,000   SH         SOLE      2      735,000          --       --
CENTENNIAL BANK HOLDINGS INC   EQUITY    151345303     455     44,049   SH         SOLE      1       44,049          --       --
CENTENNIAL COMMUNICATIONS CORP EQUITY    15133V208      89     17,023   SH         SOLE      1       17,023          --       --
CENTER FINANCIAL CORP          EQUITY    15146E102     215      9,085   SH         SOLE      1        9,085          --       --
CENTERPOINT ENERGY INC         EQUITY    15189T107       5        386   SH         SOLE      2          386          --       --
CENTERPOINT ENERGY INC         EQUITY    15189T107    3716    297,277   SH         SOLE      1      297,277          --       --
CENTERPOINT ENERGY INC         CORP BOND 15189TAM9    4213  3,700,000  PRN         SOLE      1    3,700,000          --       --
CENTERSTATE BANKS OF FLORIDA I EQUITY    15201P109     138      6,725   SH         SOLE      1        6,725          --       --
CENTEX CORP                    EQUITY    152312104       8        150   SH         SOLE      2          150          --       --
CENTEX CORP                    EQUITY    152312104    2848     56,612   SH         SOLE      1       56,612          --       --
CENTRACORE PROPERTIES TRUST    EQUITY    15235H107     203      8,209   SH         SOLE      1        8,209          --       --
CENTRAL EUROPEAN DISTRIBUTION  EQUITY    153435102     596     23,700   SH         SOLE      1       23,700          --       --
CENTRAL GARDEN AND PET CO      EQUITY    153527106     692     16,071   SH         SOLE      1       16,071          --       --
CENTRAL PACIFIC FINANCIAL CORP EQUITY    154760102    1441     37,237   SH         SOLE      1       37,237          --       --
CENTRAL PARKING CORP           EQUITY    154785109     281     17,568   SH         SOLE      1       17,568          --       --
CENTURY ALUMINUM CO            EQUITY    156431108     616     17,249   SH         SOLE      1       17,249          --       --
CENTURY CASINOS INC            EQUITY    156492100     162     15,156   SH         SOLE      1       15,156          --       --
CENTURYTEL INC                 EQUITY    156700106       5        144   SH         SOLE      2          144          --       --
CENTURYTEL INC                 EQUITY    156700106    2044     55,029   SH         SOLE      1       55,029          --       --
CENVEO INC                     EQUITY    15670S105     713     39,713   SH         SOLE      1       39,713          --       --
CEPHALON INC                   EQUITY    156708109    7901    131,469   SH         SOLE      1      131,469          --       --
CEPHEID INC                    EQUITY    15670R107     395     40,707   SH         SOLE      1       40,707          --       --
CERADYNE INC                   EQUITY    156710105      71      1,434   SH        DEFINED    4           --          --    1,434
CERADYNE INC                   EQUITY    156710105     465      9,400   SH         SOLE      2        9,400          --       --
CERADYNE INC                   EQUITY    156710105     990     20,013   SH         SOLE      1       20,013          --       --
CERIDIAN CORP                  EQUITY    156779100    7779    318,278   SH         SOLE      1      318,278          --       --
CERNER CORP                    EQUITY    156782104     944     25,450   SH         SOLE      1       25,450          --       --
CERNER CORP                    EQUITY    156782104    6324    170,400   SH         SOLE      2      170,400          --       --
CERUS CORP                     EQUITY    157085101     292     20,710   SH         SOLE      1       20,710          --       --
CF INDUSTRIES HOLDINGS INC     EQUITY    125269100     660     46,256   SH         SOLE      1       46,256          --       --
CGI GROUP INC                  EQUITY    39945C109      14      2,200   SH         OTHER     1           --       2,200       --
CH ENERGY GROUP INC            EQUITY    12541M102     564     11,760   SH         SOLE      1       11,760          --       --
CH ROBINSON WORLDWIDE INC      EQUITY    12541W209   20561    385,766   SH         SOLE      1      385,766          --       --
CHAMPION ENTERPRISES INC       EQUITY    158496109     628     56,889   SH         SOLE      1       56,889          --       --
CHAPARRAL STEEL CO             EQUITY    159423102    1633     22,678   SH         SOLE      1       22,678          --       --
CHARLES RIVER LABORATORIES INT EQUITY    159864107    5770    156,803   SH         SOLE      1      156,803          --       --
CHARLES SCHWAB CORP/THE        EQUITY    808513105       1         75   SH        DEFINED    4           --          --       75
CHARLES SCHWAB CORP/THE        EQUITY    808513105      20      1,279   SH         SOLE      2        1,279          --       --
CHARLES SCHWAB CORP/THE        EQUITY    808513105    7231    452,489   SH         SOLE      1      452,489          --       --
CHARLOTTE RUSSE HOLDING INC    EQUITY    161048103     275     11,470   SH         SOLE      1       11,470          --       --
CHARMING SHOPPES INC           EQUITY    161133103    1026     91,296   SH         SOLE      1       91,296          --       --
CHARTER COMMUNICATIONS INC     EQUITY    16117M107    1462  1,294,112   SH         SOLE      1    1,294,112          --       --
CHARTER FINANCIAL CORP/GA      EQUITY    16122M100     117      2,959   SH         SOLE      1        2,959          --       --
CHARTERMAC                     EQUITY    160908109     727     38,869   SH         SOLE      1       38,869          --       --
CHATTEM INC                    EQUITY    162456107     395     13,012   SH         SOLE      1       13,012          --       --
CHECKFREE CORP                 EQUITY    162813109   10050    202,775   SH         SOLE      1      202,775          --       --
CHECKPOINT SYSTEMS INC         EQUITY    162825103     649     29,227   SH         SOLE      1       29,227          --       --
CHEESECAKE FACTORY/THE         EQUITY    163072101    2121     78,700   SH         SOLE      2       78,700          --       --
CHEESECAKE FACTORY/THE         EQUITY    163072101    4616    171,283   SH         SOLE      1      171,283          --       --
CHEMED CORP                    EQUITY    16359R103    1064     19,518   SH         SOLE      1       19,518          --       --
CHEMICAL FINANCIAL CORP        EQUITY    163731102     572     18,704   SH         SOLE      1       18,704          --       --
CHEMTURA CORP                  EQUITY    163893100    4885    523,061   SH         SOLE      1      523,061          --       --
CHENIERE ENERGY INC            EQUITY    16411R208      48      1,236   SH         SOLE      1        1,236          --       --
CHEROKEE INC                   EQUITY    16444H102     239      5,788   SH         SOLE      1        5,788          --       --
CHESAPEAKE CORP                EQUITY    165159104     243     14,788   SH         SOLE      1       14,788          --       --
CHESAPEAKE ENERGY CORP         EQUITY    165167107       9        300   SH        DEFINED    4           --          --      300






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
CHESAPEAKE ENERGY CORP         EQUITY    165167107      15        511   SH         SOLE      2          511          --       --
CHESAPEAKE ENERGY CORP         EQUITY    165167107    5802    191,798   SH         SOLE      1      191,798          --       --
CHEVRON CORP                   EQUITY    166764100      98      1,576   SH        DEFINED    4           --          --    1,576
CHEVRON CORP                   EQUITY    166764100   42547    685,576   SH         SOLE      2      685,576          --       --
CHEVRON CORP                   EQUITY    166764100  109377  1,762,379   SH         SOLE      1    1,762,379          --       --
CHICAGO MERCANTILE EXCHANGE HO EQUITY    167760107   38402     78,187   SH         SOLE      2       78,187          --       --
CHICO'S FAS INC                EQUITY    168615102       2         85   SH        DEFINED    4           --          --       85
CHICO'S FAS INC                EQUITY    168615102    3931    145,700   SH         SOLE      2      145,700          --       --
CHICO'S FAS INC                EQUITY    168615102   10762    398,878   SH         SOLE      1      398,878          --       --
CHILDRENS PLACE RETAIL STORES  EQUITY    168905107     348      5,800   SH         SOLE      2        5,800          --       --
CHILDRENS PLACE RETAIL STORES  EQUITY    168905107    1012     16,860   SH         SOLE      1       16,860          --       --
CHINA BAK BATTERY INC          EQUITY    16936Y100     172     20,203   SH         SOLE      1       20,203          --       --
CHINA MOBILE LTD               EQUITY    16941M109    8631    301,680   SH         SOLE      1      301,680          --       --
CHINA PETROLEUM & CHEMICAL COR EQUITY    16941R108    4940     86,300   SH         SOLE      1       86,300          --       --
CHIPMOS TECHNOLOGIES BERMUDA L EQUITY    G2110R106    1231    209,400   SH         SOLE      2      209,400          --       --
CHIPOTLE MEXICAN GRILL INC     EQUITY    169656105     358      5,875   SH         SOLE      1        5,875          --       --
CHIQUITA BRANDS INTERNATIONAL  EQUITY    170032809     433     31,407   SH         SOLE      1       31,407          --       --
CHITTENDEN CORP                EQUITY    170228100    1939     75,010   SH         SOLE      1       75,010          --       --
CHOICE HOTELS INTERNATIONAL IN EQUITY    169905106    1252     20,657   SH         SOLE      1       20,657          --       --
CHOICEPOINT INC                EQUITY    170388102      17        400   SH        DEFINED    4           --          --      400
CHOICEPOINT INC                EQUITY    170388102    5848    140,000   SH         SOLE      2      140,000          --       --
CHOICEPOINT INC                EQUITY    170388102    7788    186,441   SH         SOLE      1      186,441          --       --
CHORDIANT SOFTWARE INC         EQUITY    170404107     179     59,146   SH         SOLE      1       59,146          --       --
CHRISTOPHER & BANKS CORP       EQUITY    171046105     331     11,400   SH         SOLE      2       11,400          --       --
CHRISTOPHER & BANKS CORP       EQUITY    171046105     790     27,244   SH         SOLE      1       27,244          --       --
CHUBB CORP                     EQUITY    171232101    5759    115,414   SH         SOLE      2      115,414          --       --
CHUBB CORP                     EQUITY    171232101   24129    483,544   SH         SOLE      1      483,544          --       --
CHURCH & DWIGHT CO INC         EQUITY    171340102      15        400   SH        DEFINED    4           --          --      400
CHURCH & DWIGHT CO INC         EQUITY    171340102    5097    139,957   SH         SOLE      1      139,957          --       --
CHURCHILL DOWNS INC            EQUITY    171484108     244      6,518   SH         SOLE      1        6,518          --       --
CIA DE BEBIDAS DAS AMERICAS    EQUITY    20441W203    4917    119,200   SH         SOLE      1      119,200          --       --
CIA DE MINAS BUENAVENTURA SA   EQUITY    204448104    2482     91,000   SH         SOLE      1       91,000          --       --
CIA VALE DO RIO DOCE           EQUITY    204412209      10        400   SH        DEFINED    4           --          --      400
CIA VALE DO RIO DOCE           EQUITY    204412209   12592    523,780   SH         SOLE      1      523,780          --       --
CIBER INC                      EQUITY    17163B102     268     40,710   SH         SOLE      1       40,710          --       --
CIENA CORP                     EQUITY    171779101       4        729   SH         SOLE      2          729          --       --
CIENA CORP                     EQUITY    171779101    1329    276,202   SH         SOLE      1      276,202          --       --
CIGNA CORP                     EQUITY    125509109       1         14   SH        DEFINED    4           --          --       14
CIGNA CORP                     EQUITY    125509109      15        148   SH         SOLE      2          148          --       --
CIGNA CORP                     EQUITY    125509109   12472    126,605   SH         SOLE      1      126,605          --       --
CIMAREX ENERGY CO              EQUITY    171798101     121      2,805   SH         SOLE      1        2,805          --       --
CINCINNATI BELL INC            EQUITY    171871106    2925    713,429   SH         SOLE      1      713,429          --       --
CINCINNATI FINANCIAL CORP      EQUITY    172062101      10        215   SH         SOLE      2          215          --       --
CINCINNATI FINANCIAL CORP      EQUITY    172062101   11047    234,992   SH         SOLE      1      234,992          --       --
CINTAS CORP                    EQUITY    172908105       7        171   SH         SOLE      2          171          --       --
CINTAS CORP                    EQUITY    172908105    2988     75,143   SH         SOLE      1       75,143          --       --
CIRCOR INTERNATIONAL INC       EQUITY    17273K109     364     11,925   SH         SOLE      1       11,925          --       --
CIRCUIT CITY STORES INC        EQUITY    172737108       5        187   SH         SOLE      2          187          --       --
CIRCUIT CITY STORES INC        EQUITY    172737108    2883    105,921   SH         SOLE      1      105,921          --       --
CIRRUS LOGIC INC               EQUITY    172755100     856    105,150   SH         SOLE      1      105,150          --       --
CISCO SYSTEMS INC              EQUITY    17275R102     129      6,599   SH        DEFINED    4           --          --    6,599
CISCO SYSTEMS INC              EQUITY    17275R102   12456    637,769   SH         SOLE      2      637,769          --       --
CISCO SYSTEMS INC              EQUITY    17275R102   83430  4,271,909   SH         SOLE      1    4,271,909          --       --
CIT GROUP INC                  EQUITY    125581108      13        247   SH         SOLE      2          247          --       --
CIT GROUP INC                  EQUITY    125581108      52      1,000   SH        DEFINED    4           --          --    1,000
CIT GROUP INC                  EQUITY    125581108    5047     96,517   SH         SOLE      1       96,517          --       --
CITADEL BROADCASTING CORP      EQUITY    17285T106     245     27,528   SH         SOLE      1       27,528          --       --
CITI TRENDS INC                EQUITY    17306X102     201      4,708   SH         SOLE      1        4,708          --       --
CITI TRENDS INC                EQUITY    17306X102     324      7,600   SH         SOLE      2        7,600          --       --
CITIGROUP INC                  EQUITY    172967101     426      8,829   SH        DEFINED    4           --          --    8,829
CITIGROUP INC                  EQUITY    172967101   60888  1,262,192   SH         SOLE      2    1,262,192          --       --
CITIGROUP INC                  EQUITY    172967101  257796  5,342,745   SH         SOLE      1    5,342,745          --       --
CITIZENS BANKING CORP          EQUITY    174420109     778     31,880   SH         SOLE      1       31,880          --       --
CITIZENS COMMUNICATIONS CO     EQUITY    17453B101       5        403   SH         SOLE      2          403          --       --
CITIZENS COMMUNICATIONS CO     EQUITY    17453B101   17077  1,308,565   SH         SOLE      1    1,308,565          --       --
CITIZENS FIRST BANCORP INC     EQUITY    17461R106     168      6,284   SH         SOLE      1        6,284          --       --
CITRIX SYSTEMS INC             EQUITY    177376100       9        226   SH         SOLE      2          226          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
CITRIX SYSTEMS INC             EQUITY    177376100      16        400   SH        DEFINED    4           --          --      400
CITRIX SYSTEMS INC             EQUITY    177376100    4902    122,253   SH         SOLE      1      122,253          --       --
CITY BANK/LYNNWOOD WA          EQUITY    17770A109     300      6,431   SH         SOLE      1        6,431          --       --
CITY HOLDING CO                EQUITY    177835105     479     13,259   SH         SOLE      1       13,259          --       --
CITY NATIONAL CORP/BEVERLY HIL EQUITY    178566105    5885     90,416   SH         SOLE      1       90,416          --       --
CKE RESTAURANTS INC            EQUITY    12561E105     742     44,642   SH         SOLE      1       44,642          --       --
CKX INC                        EQUITY    12562M106     517     38,106   SH         SOLE      1       38,106          --       --
CLAIRE'S STORES INC            EQUITY    179584107    5419    212,430   SH         SOLE      1      212,430          --       --
CLARCOR INC                    EQUITY    179895107      42      1,401   SH        DEFINED    4           --          --    1,401
CLARCOR INC                    EQUITY    179895107    1151     38,635   SH         SOLE      1       38,635          --       --
CLARK INC                      EQUITY    181457102     173     13,080   SH         SOLE      1       13,080          --       --
CLAYTON HOLDINGS INC           EQUITY    18418N107      84      6,431   SH         SOLE      1        6,431          --       --
CLAYTON WILLIAMS ENERGY INC    EQUITY    969490101     136      3,950   SH         SOLE      1        3,950          --       --
CLEAN HARBORS INC              EQUITY    184496107     472     11,704   SH         SOLE      1       11,704          --       --
CLEAR CHANNEL COMMUNICATIONS I EQUITY    184502102      19        624   SH         SOLE      2          624          --       --
CLEAR CHANNEL COMMUNICATIONS I EQUITY    184502102   35409  1,144,075   SH         SOLE      1    1,144,075          --       --
CLEAR CHANNEL OUTDOOR HOLDINGS EQUITY    18451C109      17        798   SH         SOLE      1          798          --       --
CLECO CORP                     EQUITY    12561W105    1046     45,007   SH         SOLE      1       45,007          --       --
CLEVELAND-CLIFFS INC           EQUITY    185896107    1305     16,458   SH         SOLE      1       16,458          --       --
CLICK COMMERCE INC             EQUITY    18681D208     151      7,654   SH         SOLE      1        7,654          --       --
CLIFTON SAVINGS BANCORP INC    EQUITY    18712Q103     108      9,943   SH         SOLE      1        9,943          --       --
CLOROX CO                      EQUITY    189054109      26        425   SH        DEFINED    4           --          --      425
CLOROX CO                      EQUITY    189054109     432      7,087   SH         SOLE      2        7,087          --       --
CLOROX CO                      EQUITY    189054109    4564     74,851   SH         SOLE      1       74,851          --       --
CMGI INC                       EQUITY    125750109     414    344,742   SH         SOLE      1      344,742          --       --
CMS ENERGY CORP                EQUITY    125896100       4        274   SH         SOLE      2          274          --       --
CMS ENERGY CORP                EQUITY    125896100    1355    104,745   SH         SOLE      1      104,745          --       --
CNA FINANCIAL CORP             EQUITY    126117100      25        752   SH         SOLE      1          752          --       --
CNA SURETY CORP                EQUITY    12612L108     206     11,932   SH         SOLE      1       11,932          --       --
CNET NETWORKS INC              EQUITY    12613R104     893    111,843   SH         SOLE      1      111,843          --       --
CNOOC LTD                      EQUITY    126132109      15        188   SH        DEFINED    4           --          --      188
CNS INC                        EQUITY    126136100     231      9,448   SH         SOLE      1        9,448          --       --
CNX GAS CORP                   EQUITY    12618H309      19        629   SH         SOLE      1          629          --       --
COACH INC                      EQUITY    189754104      14        477   SH         SOLE      2          477          --       --
COACH INC                      EQUITY    189754104     139      4,645   SH        DEFINED    4           --          --    4,645
COACH INC                      EQUITY    189754104    9598    320,987   SH         SOLE      1      320,987          --       --
COASTAL FINANCIAL CORP/SC      EQUITY    19046E105     148     11,373   SH         SOLE      1       11,373          --       --
COBIZ INC                      EQUITY    190897108     248     11,013   SH         SOLE      1       11,013          --       --
COCA-COLA BOTTLING CO CONSOLID EQUITY    191098102     177      3,477   SH         SOLE      1        3,477          --       --
COCA-COLA CO/THE               EQUITY    191216100     114      2,649   SH        DEFINED    4           --          --    2,649
COCA-COLA CO/THE               EQUITY    191216100    4187     97,330   SH         SOLE      2       97,330          --       --
COCA-COLA CO/THE               EQUITY    191216100   57954  1,347,145   SH         SOLE      1    1,347,145          --       --
COCA-COLA ENTERPRISES INC      EQUITY    191219104       8        376   SH         SOLE      2          376          --       --
COCA-COLA ENTERPRISES INC      EQUITY    191219104    2980    146,288   SH         SOLE      1      146,288          --       --
COEUR D'ALENE MINES CORP       EQUITY    192108108     997    207,378   SH         SOLE      1      207,378          --       --
COGENT COMMUNICATIONS GROUP IN EQUITY    19239V302     147     15,653   SH         SOLE      1       15,653          --       --
COGENT INC                     EQUITY    19239Y108     486     32,264   SH         SOLE      1       32,264          --       --
COGNEX CORP                    EQUITY    192422103     905     34,775   SH         SOLE      1       34,775          --       --
COGNIZANT TECHNOLOGY SOLUTIONS EQUITY    192446102   21112    313,375   SH         SOLE      1      313,375          --       --
COGNOS INC                     EQUITY    19244C109      25        900   SH         OTHER     1           --         900       --
COGNOS INC                     EQUITY    19244C109    7010    246,400   SH         SOLE      2      246,400          --       --
COHEN & STEERS INC             EQUITY    19247A100     228      9,668   SH         SOLE      1        9,668          --       --
COHEN & STEERS PREMIUM INCOME  EQUITY    19247V104      33      1,450   SH        DEFINED    4           --          --    1,450
COHEN & STEERS TOTAL RETURN RE EQUITY    19247R103       9        500   SH        DEFINED    4           --          --      500
COHEN & STEERS WORLDWIDE REALT EQUITY    19248J100     109      5,295   SH        DEFINED    4           --          --    5,295
COHERENT INC                   EQUITY    192479103    1883     55,813   SH         SOLE      1       55,813          --       --
COHU INC                       EQUITY    192576106     295     16,824   SH         SOLE      1       16,824          --       --
COINMACH SERVICE CORP          EQUITY    19259W206     201     19,658   SH         SOLE      1       19,658          --       --
COINSTAR INC                   EQUITY    19259P300     498     20,798   SH         SOLE      1       20,798          --       --
COLDWATER CREEK INC            EQUITY    193068103      36      1,347   SH         SOLE      1        1,347          --       --
COLDWATER CREEK INC            EQUITY    193068103     227      8,500   SH         SOLE      2        8,500          --       --
COLEY PHARMACEUTICAL GROUP INC EQUITY    19388P106     154     13,373   SH         SOLE      1       13,373          --       --
COLGATE-PALMOLIVE CO           EQUITY    194162103       6        100   SH        DEFINED    4           --          --      100
COLGATE-PALMOLIVE CO           EQUITY    194162103    4437     74,076   SH         SOLE      2       74,076          --       --
COLGATE-PALMOLIVE CO           EQUITY    194162103   47810    798,161   SH         SOLE      1      798,161          --       --
COLONIAL BANCGROUP INC/THE     EQUITY    195493309    8643    336,550   SH         SOLE      1      336,550          --       --
COLONIAL PROPERTIES TRUST      EQUITY    195872106      77      1,554   SH         SOLE      1        1,554          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
COLOR KINETICS INC             EQUITY    19624P100     190     10,022   SH         SOLE      1       10,022          --       --
COLUMBIA BANCORP/OR            EQUITY    197231103     154      7,373   SH         SOLE      1        7,373          --       --
COLUMBIA BANKING SYSTEM INC    EQUITY    197236102     446     11,934   SH         SOLE      1       11,934          --       --
COLUMBIA EQUITY TRUST INC      EQUITY    197627102     666     43,339   SH         SOLE      1       43,339          --       --
COLUMBIA SPORTSWEAR CO         EQUITY    198516106     444      9,820   SH         SOLE      1        9,820          --       --
COLUMBUS MCKINNON CORP/NY      EQUITY    199333105     297     13,654   SH         SOLE      1       13,654          --       --
COMBINATORX INC                EQUITY    20010A103     161     18,369   SH         SOLE      1       18,369          --       --
COMCAST CORP                   EQUITY    20030N101      18        537   SH        DEFINED    4           --          --      537
COMCAST CORP                   EQUITY    20030N101   36762  1,122,795   SH         SOLE      2    1,122,795          --       --
COMCAST CORP                   EQUITY    20030N101   43239  1,320,670   SH         SOLE      1    1,320,670          --       --
COMERICA INC                   EQUITY    200340107      10        201   SH         SOLE      2          201          --       --
COMERICA INC                   EQUITY    200340107      21        400   SH        DEFINED    4           --          --      400
COMERICA INC                   EQUITY    200340107    9650    185,608   SH         SOLE      1      185,608          --       --
COMFORT SYSTEMS USA INC        EQUITY    199908104    1330     93,047   SH         SOLE      1       93,047          --       --
COMMERCE BANCORP INC/NJ        EQUITY    200519106     162      4,528   SH         SOLE      2        4,528          --       --
COMMERCE BANCORP INC/NJ        EQUITY    200519106    3026     84,831   SH         SOLE      1       84,831          --       --
COMMERCE BANCSHARES INC/KANSAS EQUITY    200525103     114      2,268   SH         SOLE      1        2,268          --       --
COMMERCE GROUP INC             EQUITY    200641108    1198     40,553   SH         SOLE      1       40,553          --       --
COMMERCIAL CAPITAL BANCORP INC EQUITY    20162L105    1049     66,595   SH         SOLE      1       66,595          --       --
COMMERCIAL METALS CO           EQUITY    201723103    6730    261,886   SH         SOLE      1      261,886          --       --
COMMERCIAL VEHICLE GROUP INC   EQUITY    202608105     325     15,720   SH         SOLE      1       15,720          --       --
COMMONWEALTH TELEPHONE ENTERPR EQUITY    203349105     729     21,974   SH         SOLE      1       21,974          --       --
COMMSCOPE INC                  EQUITY    203372107     378     12,015   SH        DEFINED    4           --          --   12,015
COMMSCOPE INC                  EQUITY    203372107    6007    191,185   SH         SOLE      1      191,185          --       --
COMMUNITY BANCORP INC/CA       EQUITY    20342P109     158      3,726   SH         SOLE      1        3,726          --       --
COMMUNITY BANCORP/NV           EQUITY    20343T100     144      4,649   SH         SOLE      1        4,649          --       --
COMMUNITY BANK SYSTEM INC      EQUITY    203607106     450     22,294   SH         SOLE      1       22,294          --       --
COMMUNITY BANKS INC            EQUITY    203628102     462     17,781   SH         SOLE      1       17,781          --       --
COMMUNITY HEALTH SYSTEMS INC   EQUITY    203668108      33        895   SH        DEFINED    4           --          --      895
COMMUNITY HEALTH SYSTEMS INC   EQUITY    203668108    7838    213,274   SH         SOLE      1      213,274          --       --
COMMUNITY TRUST BANCORP INC    EQUITY    204149108     392     11,214   SH         SOLE      1       11,214          --       --
COMPASS BANCSHARES INC         EQUITY    20449H109       9        160   SH         SOLE      2          160          --       --
COMPASS BANCSHARES INC         EQUITY    20449H109    3400     61,156   SH         SOLE      1       61,156          --       --
COMPASS DIVERSIFIED TRUST      EQUITY    20451Q104     139      9,777   SH         SOLE      1        9,777          --       --
COMPASS MINERALS INTERNATIONAL EQUITY    20451N101     595     23,855   SH         SOLE      1       23,855          --       --
COMPLETE PRODUCTION SERVICES I EQUITY    20453E109     459     19,429   SH         SOLE      1       19,429          --       --
COMPUCREDIT CORP               EQUITY    20478N100     327      8,500   SH         SOLE      2        8,500          --       --
COMPUCREDIT CORP               EQUITY    20478N100     594     15,452   SH         SOLE      1       15,452          --       --
COMPUTER PROGRAMS & SYSTEMS IN EQUITY    205306103     279      6,980   SH         SOLE      1        6,980          --       --
COMPUTER SCIENCES CORP         EQUITY    205363104    9804    201,897   SH         SOLE      1      201,897          --       --
COMPUTER SCIENCES CORP         EQUITY    205363104   18418    380,233   SH         SOLE      2      380,233          --       --
COMPUWARE CORP                 EQUITY    205638109       3        468   SH         SOLE      2          468          --       --
COMPUWARE CORP                 EQUITY    205638109    1210    180,568   SH         SOLE      1      180,568          --       --
COMPX INTERNATIONAL INC        EQUITY    20563P101      21      1,193   SH         SOLE      1        1,193          --       --
COMSTOCK RESOURCES INC         EQUITY    205768203     958     32,068   SH         SOLE      1       32,068          --       --
COMSYS IT PARTNERS INC         EQUITY    20581E104    6329    418,615   SH         SOLE      1      418,615          --       --
COMTECH GROUP INC              EQUITY    205821200     121     10,907   SH         SOLE      1       10,907          --       --
COMTECH TELECOMMUNICATIONS COR EQUITY    205826209     498     17,001   SH         SOLE      1       17,001          --       --
COMTECH TELECOMMUNICATIONS COR EQUITY    205826209    3290    112,400   SH         SOLE      2      112,400          --       --
COMVERSE TECHNOLOGY INC        EQUITY    205862402    2089    105,668   SH         SOLE      1      105,668          --       --
COMVERSE TECHNOLOGY INC        EQUITY    205862402    6164    311,790   SH         SOLE      2      311,790          --       --
CONAGRA FOODS INC              EQUITY    205887102      14        644   SH         SOLE      2          644          --       --
CONAGRA FOODS INC              EQUITY    205887102      19        850   SH        DEFINED    4           --          --      850
CONAGRA FOODS INC              EQUITY    205887102    5440    246,023   SH         SOLE      1      246,023          --       --
CONCEPTUS INC                  EQUITY    206016107     232     17,000   SH         SOLE      1       17,000          --       --
CONCUR TECHNOLOGIES INC        EQUITY    206708109     371     23,962   SH         SOLE      1       23,962          --       --
CONEXANT SYSTEMS INC           EQUITY    207142100     896    358,588   SH         SOLE      1      358,588          --       --
CONMED CORP                    EQUITY    207410101     434     20,962   SH         SOLE      1       20,962          --       --
CONNETICS CORP                 EQUITY    208192104     300     25,534   SH         SOLE      1       25,534          --       --
CONN'S INC                     EQUITY    208242107     154      5,819   SH         SOLE      1        5,819          --       --
CONOCOPHILLIPS                 EQUITY    20825C104       4         63   SH        DEFINED    4           --          --       63
CONOCOPHILLIPS                 EQUITY    20825C104   48888    746,047   SH         SOLE      2      746,047          --       --
CONOCOPHILLIPS                 EQUITY    20825C104   80593  1,229,785   SH         SOLE      1    1,229,785          --       --
CONOR MEDSYSTEMS INC           EQUITY    208264101     223      8,100   SH         SOLE      2        8,100          --       --
CONOR MEDSYSTEMS INC           EQUITY    208264101     557     20,191   SH         SOLE      1       20,191          --       --
CONSECO INC                    EQUITY    208464883     119      5,146   SH         SOLE      1        5,146          --       --
CONSECO INC                    EQUITY    208464883    2402    104,000   SH         SOLE      2      104,000          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
CONSOL ENERGY INC              EQUITY    20854P109      11        227   SH         SOLE      2          227          --       --
CONSOL ENERGY INC              EQUITY    20854P109      28        600   SH        DEFINED    4           --          --      600
CONSOL ENERGY INC              EQUITY    20854P109    3951     84,577   SH         SOLE      1       84,577          --       --
CONSOLIDATED COMMUNICATIONS HO EQUITY    209034107     289     17,379   SH         SOLE      1       17,379          --       --
CONSOLIDATED EDISON INC        EQUITY    209115104      14        305   SH         SOLE      2          305          --       --
CONSOLIDATED EDISON INC        EQUITY    209115104   12112    272,542   SH         SOLE      1      272,542          --       --
CONSOLIDATED GRAPHICS INC      EQUITY    209341106     437      8,402   SH         SOLE      1        8,402          --       --
CONSOLIDATED-TOMOKA LAND CO    EQUITY    210226106     487      8,832   SH         SOLE      1        8,832          --       --
CONSTELLATION BRANDS INC       EQUITY    21036P108       6        247   SH         SOLE      2          247          --       --
CONSTELLATION BRANDS INC       EQUITY    21036P306      15        400   SH        DEFINED    4           --          --      400
CONSTELLATION BRANDS INC       EQUITY    21036P108      24        955   SH        DEFINED    4           --          --      955
CONSTELLATION BRANDS INC       EQUITY    21036P108    3095    123,798   SH         SOLE      1      123,798          --       --
CONSTELLATION ENERGY GROUP INC EQUITY    210371100      12        222   SH         SOLE      2          222          --       --
CONSTELLATION ENERGY GROUP INC EQUITY    210371100   10927    200,430   SH         SOLE      1      200,430          --       --
CONSUMER STAPLES SELECT SECTOR EQUITY    81369Y308      82      3,380   SH        DEFINED    4           --          --    3,380
CONTINENTAL AIRLINES INC       EQUITY    210795308     116      3,881   SH         SOLE      1        3,881          --       --
CONTINENTAL AIRLINES INC       EQUITY    210795308     247      8,300   SH         SOLE      2        8,300          --       --
CONVERA CORP                   EQUITY    211919105     189     20,969   SH         SOLE      1       20,969          --       --
CONVERGYS CORP                 EQUITY    212485106       3        174   SH         SOLE      2          174          --       --
CONVERGYS CORP                 EQUITY    212485106    1290     66,155   SH         SOLE      1       66,155          --       --
CON-WAY INC                    EQUITY    205944101    6029    104,066   SH         SOLE      1      104,066          --       --
COOPER COS INC/THE             EQUITY    216648402      56      1,257   SH         SOLE      1        1,257          --       --
COOPER COS INC/THE             EQUITY    216648402    2489     56,200   SH         SOLE      2       56,200          --       --
COOPER INDUSTRIES LTD          EQUITY    G24182100      11        115   SH         SOLE      2          115          --       --
COOPER TIRE & RUBBER CO        EQUITY    216831107     811     72,829   SH         SOLE      1       72,829          --       --
COPANO ENERGY LLC              EQUITY    217202100     336      7,030   SH        DEFINED    4           --          --    7,030
COPART INC                     EQUITY    217204106    3704    150,796   SH         SOLE      1      150,796          --       --
CORE LABORATORIES NV           EQUITY    N22717107     250      4,100   SH         SOLE      2        4,100          --       --
CORE LABORATORIES NV           EQUITY    N22717107    3601     59,000   SH         SOLE      3       36,700          --   22,300
CORE-MARK HOLDING CO INC       EQUITY    218681104    6533    182,490   SH         SOLE      1      182,490          --       --
CORINTHIAN COLLEGES INC        EQUITY    218868107    3574    248,870   SH         SOLE      1      248,870          --       --
CORN PRODUCTS INTERNATIONAL IN EQUITY    219023108      77      2,518   SH         SOLE      1        2,518          --       --
CORNELL COS INC                EQUITY    219141108     131      8,522   SH         SOLE      1        8,522          --       --
CORNING INC                    EQUITY    219350105     335     13,866   SH        DEFINED    4           --          --   13,866
CORNING INC                    EQUITY    219350105    2766    114,331   SH         SOLE      2      114,331          --       --
CORNING INC                    EQUITY    219350105   66776  2,760,791   SH         SOLE      1    2,760,791          --       --
CORPORATE EXECUTIVE BOARD CO   EQUITY    21988R102    8688     86,702   SH         SOLE      1       86,702          --       --
CORPORATE OFFICE PROPERTIES TR EQUITY    22002T108    1822     43,304   SH         SOLE      1       43,304          --       --
CORRECTIONS CORP OF AMERICA    EQUITY    22025Y407    2518     47,560   SH         SOLE      1       47,560          --       --
CORRECTIONS CORP OF AMERICA    EQUITY    22025Y407    9889    186,800   SH         SOLE      3      121,600          --   65,200
CORUS BANKSHARES INC           EQUITY    220873103     763     29,135   SH         SOLE      1       29,135          --       --
CORVEL CORP                    EQUITY    221006109      98      3,936   SH         SOLE      1        3,936          --       --
COSI INC                       EQUITY    22122P101     160     25,634   SH         SOLE      1       25,634          --       --
COST PLUS INC                  EQUITY    221485105     241     16,463   SH         SOLE      1       16,463          --       --
COSTAR GROUP INC               EQUITY    22160N109     749     12,519   SH         SOLE      1       12,519          --       --
COSTCO WHOLESALE CORP          CORP BOND 22160QAC6       4      3,000  PRN        DEFINED    4           --          --    3,000
COSTCO WHOLESALE CORP          EQUITY    22160K105      33        584   SH         SOLE      2          584          --       --
COSTCO WHOLESALE CORP          EQUITY    22160K105   13181    230,714   SH         SOLE      1      230,714          --       --
COTHERIX INC                   EQUITY    22163T103     124     14,441   SH         SOLE      1       14,441          --       --
COTT CORP                      EQUITY    22163N106      13      1,000   SH         OTHER     1           --       1,000       --
COUNTRYWIDE FINANCIAL CORP     EQUITY    222372104      29        753   SH         SOLE      2          753          --       --
COUNTRYWIDE FINANCIAL CORP     EQUITY    222372104   10308    270,695   SH         SOLE      1      270,695          --       --
COURIER CORP                   EQUITY    222660102     299      7,477   SH         SOLE      1        7,477          --       --
COVAD COMMUNICATIONS GROUP INC EQUITY    222814204     439    218,464   SH         SOLE      1      218,464          --       --
COVANCE INC                    EQUITY    222816100    8404    137,282   SH         SOLE      1      137,282          --       --
COVANSYS CORP                  EQUITY    22281W103     293     23,287   SH         SOLE      1       23,287          --       --
COVANTA HOLDING CORP           EQUITY    22282E102      45      2,570   SH         SOLE      1        2,570          --       --
COVENTRY HEALTH CARE INC       EQUITY    222862104     232      4,221   SH        DEFINED    4           --          --    4,221
COVENTRY HEALTH CARE INC       EQUITY    222862104    3055     55,599   SH         SOLE      2       55,599          --       --
COVENTRY HEALTH CARE INC       EQUITY    222862104   10205    185,742   SH         SOLE      1      185,742          --       --
COX RADIO INC                  EQUITY    224051102     486     33,697   SH         SOLE      1       33,697          --       --
CPI INTERNATIONAL INC          EQUITY    12618M100      76      5,274   SH         SOLE      1        5,274          --       --
CR BARD INC                    EQUITY    067383109       9        128   SH         SOLE      2          128          --       --
CR BARD INC                    EQUITY    067383109    3499     47,763   SH         SOLE      1       47,763          --       --
CRA INTERNATIONAL INC          EQUITY    12618T105     381      8,440   SH         SOLE      1        8,440          --       --
CRANE CO                       EQUITY    224399105     237      5,700   SH         SOLE      2        5,700          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
CRANE CO                       EQUITY    224399105    4576    110,000   SH         SOLE      1      110,000          --       --
CRAWFORD & CO                  EQUITY    224633107     125     17,415   SH         SOLE      1       17,415          --       --
CREDENCE SYSTEMS CORP          EQUITY    225302108    1011    288,837   SH         SOLE      1      288,837          --       --
CREDIT ACCEPTANCE CORP         EQUITY    225310101     197      7,268   SH         SOLE      1        7,268          --       --
CREE INC                       EQUITY    225447101      22        905   SH        DEFINED    4           --          --      905
CREE INC                       EQUITY    225447101    3967    166,970   SH         SOLE      1      166,970          --       --
CRESCENT REAL ESTATE EQT CO    EQUITY    225756105    5292    285,156   SH         SOLE      1      285,156          --       --
CROCS INC                      EQUITY    227046109     186      7,398   SH         SOLE      1        7,398          --       --
CROSS COUNTRY HEALTHCARE INC   EQUITY    227483104     436     23,948   SH         SOLE      1       23,948          --       --
CROSSTEX ENERGY INC            EQUITY    22765Y104     625      6,570   SH         SOLE      1        6,570          --       --
CROWN CASTLE INTERNATIONAL COR EQUITY    228227104       3         84   SH        DEFINED    4           --          --       84
CROWN CASTLE INTERNATIONAL COR EQUITY    228227104     177      5,115   SH         SOLE      1        5,115          --       --
CROWN HOLDINGS INC             EQUITY    228368106      18      1,170   SH        DEFINED    4           --          --    1,170
CROWN HOLDINGS INC             EQUITY    228368106      59      3,782   SH         SOLE      1        3,782          --       --
CROWN MEDIA HOLDINGS INC       EQUITY    228411104      48     11,570   SH         SOLE      1       11,570          --       --
CRYPTOLOGIC INC                EQUITY    228906103     109      4,500   SH         SOLE      2        4,500          --       --
CSG SYSTEMS INTERNATIONAL INC  EQUITY    126349109    3548    143,393   SH         SOLE      1      143,393          --       --
CSK AUTO CORP                  EQUITY    125965103     391     32,683   SH         SOLE      1       32,683          --       --
CSS INDUSTRIES INC             EQUITY    125906107     145      5,037   SH         SOLE      1        5,037          --       --
CSX CORP                       EQUITY    126408103      19        275   SH         SOLE      2          275          --       --
CSX CORP                       CORP BOND 126408GA5    1258  1,000,000  PRN         SOLE      1    1,000,000          --       --
CSX CORP                       EQUITY    126408103    7300    103,634   SH         SOLE      1      103,634          --       --
CT COMMUNICATIONS INC          EQUITY    126426402     328     14,341   SH         SOLE      1       14,341          --       --
CTS CORP                       EQUITY    126501105     399     26,774   SH         SOLE      1       26,774          --       --
CUBIC CORP                     EQUITY    229669106     330     16,803   SH         SOLE      1       16,803          --       --
CUBIST PHARMACEUTICALS INC     EQUITY    229678107    1020     40,513   SH         SOLE      1       40,513          --       --
CULLEN/FROST BANKERS INC       EQUITY    229899109    5977    104,313   SH         SOLE      1      104,313          --       --
CUMMINS INC                    EQUITY    231021106       7         58   SH         SOLE      2           58          --       --
CUMMINS INC                    EQUITY    231021106    3894     31,852   SH         SOLE      1       31,852          --       --
CUMULUS MEDIA INC              EQUITY    231082108     378     35,451   SH         SOLE      1       35,451          --       --
CURTISS-WRIGHT CORP            EQUITY    231561101    1009     32,682   SH         SOLE      1       32,682          --       --
CV THERAPEUTICS INC            EQUITY    126667104     470     33,614   SH         SOLE      1       33,614          --       --
CVB FINANCIAL CORP             EQUITY    126600105     712     45,486   SH         SOLE      1       45,486          --       --
CVS CORP                       EQUITY    126650100       9        282   SH        DEFINED    4           --          --      282
CVS CORP                       EQUITY    126650100    4882    159,015   SH         SOLE      2      159,015          --       --
CVS CORP                       EQUITY    126650100   89811  2,925,685   SH         SOLE      1    2,925,685          --       --
CYBERONICS INC                 EQUITY    23251P102     343     16,072   SH         SOLE      1       16,072          --       --
CYBERSOURCE CORP               EQUITY    23251J106     266     22,765   SH         SOLE      1       22,765          --       --
CYBEX INTERNATIONAL INC        EQUITY    23252E106    1869    288,000   SH         SOLE      3      288,000          --       --
CYMER INC                      EQUITY    232572107     330      7,100   SH         SOLE      2        7,100          --       --
CYMER INC                      EQUITY    232572107    1345     28,960   SH         SOLE      1       28,960          --       --
CYPRESS BIOSCIENCE INC         EQUITY    232674507     147     23,908   SH         SOLE      1       23,908          --       --
CYPRESS SEMICONDUCTOR CORP     EQUITY    232806109    4400    302,620   SH         SOLE      1      302,620          --       --
CYTEC INDUSTRIES INC           EQUITY    232820100    2254     42,000   SH         SOLE      2       42,000          --       --
CYTEC INDUSTRIES INC           EQUITY    232820100    4733     88,201   SH         SOLE      1       88,201          --       --
CYTOKINETICS INC               EQUITY    23282W100     120     19,140   SH         SOLE      1       19,140          --       --
CYTYC CORP                     EQUITY    232946103    6281    247,678   SH         SOLE      1      247,678          --       --
DADE BEHRING HOLDINGS INC      EQUITY    23342J206      82      1,965   SH         SOLE      1        1,965          --       --
DAKTRONICS INC                 EQUITY    234264109     393     13,600   SH         SOLE      2       13,600          --       --
DAKTRONICS INC                 EQUITY    234264109     418     14,466   SH         SOLE      1       14,466          --       --
DANAHER CORP                   EQUITY    235851102       5         80   SH        DEFINED    4           --          --       80
DANAHER CORP                   EQUITY    235851102    4926     76,593   SH         SOLE      2       76,593          --       --
DANAHER CORP                   EQUITY    235851102   11665    181,363   SH         SOLE      1      181,363          --       --
DARDEN RESTAURANTS INC         EQUITY    237194105       6        160   SH         SOLE      2          160          --       --
DARDEN RESTAURANTS INC         EQUITY    237194105    4214    106,961   SH         SOLE      1      106,961          --       --
DARLING INTERNATIONAL INC      EQUITY    237266101     218     48,115   SH         SOLE      1       48,115          --       --
DARWIN PROFESSIONAL UNDERWRITE EQUITY    237502109      69      3,895   SH         SOLE      1        3,895          --       --
DATASCOPE CORP                 EQUITY    238113104     297      9,625   SH         SOLE      1        9,625          --       --
DAVITA INC                     EQUITY    23918K108     116      2,329   SH         SOLE      1        2,329          --       --
DAWSON GEOPHYSICAL CO          EQUITY    239359102     173      5,617   SH         SOLE      1        5,617          --       --
DB COMMODITY INDEX TRACKING FU EQUITY    240225102       9        342   SH        DEFINED    4           --          --      342
DEALERTRACK HOLDINGS INC       EQUITY    242309102     176      7,949   SH         SOLE      1        7,949          --       --
DEAN FOODS CO                  EQUITY    242370104       6        169   SH         SOLE      2          169          --       --
DEAN FOODS CO                  EQUITY    242370104      20        526   SH        DEFINED    4           --          --      526
DEAN FOODS CO                  EQUITY    242370104    3335     89,678   SH         SOLE      1       89,678          --       --
DEB SHOPS INC                  EQUITY    242728103      90      3,719   SH         SOLE      1        3,719          --       --
DECKERS OUTDOOR CORP           EQUITY    243537107     314      8,152   SH         SOLE      1        8,152          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
DECODE GENETICS INC            EQUITY    243586104     256     41,403   SH         SOLE      1       41,403          --       --
DEERE & CO                     EQUITY    244199105      39        472   SH        DEFINED    4           --          --      472
DEERE & CO                     EQUITY    244199105     250      2,991   SH         SOLE      2        2,991          --       --
DEERE & CO                     EQUITY    244199105    8604    103,051   SH         SOLE      1      103,051          --       --
DEERFIELD TRIARC CAPITAL CORP  EQUITY    244572301     500     38,543   SH         SOLE      1       38,543          --       --
DEL MONTE FOODS CO             EQUITY    24522P103      76      6,782   SH         SOLE      1        6,782          --       --
DELEK US HOLDINGS INC          EQUITY    246647101     116      7,669   SH         SOLE      1        7,669          --       --
DELIA*S INC                    EQUITY    246911101     128     15,895   SH         SOLE      1       15,895          --       --
DELL INC                       EQUITY    24702R101      69      2,817   SH         SOLE      2        2,817          --       --
DELL INC                       EQUITY    24702R101     172      7,062   SH        DEFINED    4           --          --    7,062
DELL INC                       EQUITY    24702R101   50697  2,072,786   SH         SOLE      1    2,072,786          --       --
DELPHI FINANCIAL GROUP         EQUITY    247131105    1123     30,893   SH         SOLE      1       30,893          --       --
DELTA & PINE LAND CO           EQUITY    247357106     115      3,900   SH         SOLE      2        3,900          --       --
DELTA & PINE LAND CO           EQUITY    247357106     780     26,544   SH         SOLE      1       26,544          --       --
DELTA PETROLEUM CORP           EQUITY    247907207     676     39,475   SH         SOLE      1       39,475          --       --
DELTIC TIMBER CORP             EQUITY    247850100     428      7,596   SH         SOLE      1        7,596          --       --
DELUXE CORP                    EQUITY    248019101    2590    148,178   SH         SOLE      1      148,178          --       --
DENBURY RESOURCES INC          EQUITY    247916208    8164    257,784   SH         SOLE      1      257,784          --       --
DENDREON CORP                  EQUITY    24823Q107     936    193,376   SH         SOLE      1      193,376          --       --
DENDRITE INTERNATIONAL INC     EQUITY    248239105     256     27,818   SH         SOLE      1       27,818          --       --
DENNY'S CORP                   EQUITY    24869P104     253     68,644   SH         SOLE      1       68,644          --       --
DENTSPLY INTERNATIONAL INC     EQUITY    249030107     150      2,482   SH        DEFINED    4           --          --    2,482
DENTSPLY INTERNATIONAL INC     EQUITY    249030107    1909     31,500   SH         SOLE      2       31,500          --       --
DENTSPLY INTERNATIONAL INC     EQUITY    249030107   10626    175,340   SH         SOLE      1      175,340          --       --
DEPOMED INC                    EQUITY    249908104     161     27,438   SH         SOLE      1       27,438          --       --
DESARROLLADORA HOMEX SA DE CV  EQUITY    25030W100    1014     30,890   SH        DEFINED    4           --          --   30,890
DEVELOPERS DIVERSIFIED REALTY  EQUITY    251591103   12429    238,196   SH         SOLE      1      238,196          --       --
DEVON ENERGY CORP              EQUITY    25179M103       2         38   SH        DEFINED    4           --          --       38
DEVON ENERGY CORP              EQUITY    25179M103      33        546   SH         SOLE      2          546          --       --
DEVON ENERGY CORP              EQUITY    25179M103   23836    394,576   SH         SOLE      1      394,576          --       --
DEVON ENERGY CORPORATION       CORP BOND 25179MAB9    1153    950,000  PRN         SOLE      1      950,000          --       --
DEVRY INC                      EQUITY    251893103    3763    171,295   SH         SOLE      1      171,295          --       --
DEVRY INC                      EQUITY    251893103    7690    350,000   SH         SOLE      2      350,000          --       --
DEXCOM INC                     EQUITY    252131107     170     12,552   SH         SOLE      1       12,552          --       --
DHB INDUSTRIES INC             EQUITY    23321E103      33     21,030   SH         SOLE      1       21,030          --       --
DIAGNOSTIC PRODUCTS CORP       EQUITY    252450101    6959    119,637   SH         SOLE      1      119,637          --       --
DIALYSIS CORP OF AMERICA       EQUITY    252529102    2188    196,800   SH         SOLE      2      196,800          --       --
DIAMOND FOODS INC              EQUITY    252603105     188     11,685   SH         SOLE      1       11,685          --       --
DIAMOND OFFSHORE DRILLING INC  EQUITY    25271C102     603      7,180   SH         SOLE      1        7,180          --       --
DIAMONDCLUSTER INTERNATIONAL I EQUITY    25278P106     173     21,798   SH         SOLE      1       21,798          --       --
DIAMONDROCK HOSPITALITY CO     EQUITY    252784301     708     47,830   SH         SOLE      1       47,830          --       --
DIAMONDS TRUST SERIES I        EQUITY    252787106       7         60   SH        DEFINED    4           --          --       60
DICK'S SPORTING GOODS INC      EQUITY    253393102      33        823   SH         SOLE      1          823          --       --
DICK'S SPORTING GOODS INC      EQUITY    253393102   10241    258,600   SH         SOLE      2      258,600          --       --
DIEBOLD INC                    EQUITY    253651103    5933    146,071   SH         SOLE      1      146,071          --       --
DIGENE CORP                    EQUITY    253752109     507     13,082   SH         SOLE      1       13,082          --       --
DIGI INTERNATIONAL INC         EQUITY    253798102     216     17,251   SH         SOLE      1       17,251          --       --
DIGITAL INSIGHT CORP           EQUITY    25385P106     240      7,000   SH         SOLE      2        7,000          --       --
DIGITAL INSIGHT CORP           EQUITY    25385P106    1727     50,379   SH         SOLE      1       50,379          --       --
DIGITAL REALTY TRUST INC       EQUITY    253868103    1596     64,626   SH         SOLE      1       64,626          --       --
DIGITAL RIVER INC              EQUITY    25388B104     436     10,800   SH         SOLE      2       10,800          --       --
DIGITAL RIVER INC              EQUITY    25388B104    1191     29,480   SH         SOLE      1       29,480          --       --
DIGITAS INC                    EQUITY    25388K104     784     67,445   SH         SOLE      1       67,445          --       --
DILLARD'S INC                  EQUITY    254067101       2         77   SH         SOLE      2           77          --       --
DILLARD'S INC                  EQUITY    254067101     936     29,402   SH         SOLE      1       29,402          --       --
DIME COMMUNITY BANCSHARES      EQUITY    253922108     253     18,658   SH         SOLE      1       18,658          --       --
DIODES INC                     EQUITY    254543101     210      5,061   SH        DEFINED    4           --          --    5,061
DIODES INC                     EQUITY    254543101     257      6,200   SH         SOLE      2        6,200          --       --
DIODES INC                     EQUITY    254543101    1415     34,142   SH         SOLE      1       34,142          --       --
DIONEX CORP                    EQUITY    254546104     815     14,916   SH         SOLE      1       14,916          --       --
DIRECT GENERAL CORP            EQUITY    25456W204     186     11,021   SH         SOLE      1       11,021          --       --
DIRECTED ELECTRONICS INC       EQUITY    254575103      92      6,985   SH         SOLE      1        6,985          --       --
DISCOVERY HOLDING CO           EQUITY    25468Y107     326     22,304   SH         SOLE      1       22,304          --       --
DITECH NETWORKS INC            EQUITY    25500T108     210     24,130   SH         SOLE      1       24,130          --       --
DIVERSA CORP                   EQUITY    255064107     219     22,719   SH         SOLE      1       22,719          --       --
DJO INC                        EQUITY    23325G104    1079     29,300   SH         SOLE      3       29,300          --       --
DJO INC                        EQUITY    23325G104    1786     48,485   SH         SOLE      1       48,485          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
DOBSON COMMUNICATIONS CORP     EQUITY    256069105     857    110,809   SH         SOLE      1      110,809          --       --
DOLBY LABORATORIES INC         EQUITY    25659T107      18        789   SH         SOLE      1          789          --       --
DOLBY LABORATORIES INC         EQUITY    25659T107     473     20,300   SH         SOLE      2       20,300          --       --
DOLLAR FINANCIAL CORP          EQUITY    256664103     129      7,176   SH         SOLE      1        7,176          --       --
DOLLAR GENERAL CORP            EQUITY    256669102       5        387   SH         SOLE      2          387          --       --
DOLLAR GENERAL CORP            EQUITY    256669102      27      1,900   SH        DEFINED    4           --          --    1,900
DOLLAR GENERAL CORP            EQUITY    256669102    4873    348,545   SH         SOLE      1      348,545          --       --
DOLLAR THRIFTY AUTOMOTIVE GROU EQUITY    256743105     829     18,387   SH         SOLE      1       18,387          --       --
DOLLAR TREE STORES INC         EQUITY    256747106    6030    227,557   SH         SOLE      1      227,557          --       --
DOMINION RESOURCES INC/VA      EQUITY    25746U109      42        560   SH        DEFINED    4           --          --      560
DOMINION RESOURCES INC/VA      EQUITY    25746U109     212      2,831   SH         SOLE      2        2,831          --       --
DOMINION RESOURCES INC/VA      EQUITY    25746U109   17431    233,061   SH         SOLE      1      233,061          --       --
DOMINO'S PIZZA INC             EQUITY    25754A201    1779     71,901   SH         SOLE      1       71,901          --       --
DOMTAR INC                     EQUITY    257561100      13      2,100   SH         OTHER     1           --       2,100       --
DONALDSON CO INC               EQUITY    257651109    4988    147,267   SH         SOLE      1      147,267          --       --
DONEGAL GROUP INC              EQUITY    257701201     188      9,686   SH         SOLE      1        9,686          --       --
DORAL FINANCIAL CORP           EQUITY    25811P100     429     66,998   SH         SOLE      1       66,998          --       --
DORCHESTER MINERALS LP         EQUITY    25820R105     105      4,200   SH         SOLE      1        4,200          --       --
DOVER CORP                     EQUITY    260003108    2301     46,543   SH         SOLE      2       46,543          --       --
DOVER CORP                     EQUITY    260003108   14934    302,115   SH         SOLE      1      302,115          --       --
DOVER DOWNS GAMING & ENTERTAIN EQUITY    260095104     213     10,852   SH         SOLE      1       10,852          --       --
DOVER DOWNS GAMING & ENTERTAIN EQUITY    260095104     346     17,600   SH         SOLE      2       17,600          --       --
DOVER MOTORSPORTS INC          EQUITY    260174107      72     12,248   SH         SOLE      1       12,248          --       --
DOW CHEMICAL CO/THE            EQUITY    260543103      44      1,118   SH        DEFINED    4           --          --    1,118
DOW CHEMICAL CO/THE            EQUITY    260543103    3313     84,892   SH         SOLE      2       84,892          --       --
DOW CHEMICAL CO/THE            EQUITY    260543103   23091    591,622   SH         SOLE      1      591,622          --       --
DOW JONES & CO INC             EQUITY    260561105       3         73   SH         SOLE      2           73          --       --
DOW JONES & CO INC             EQUITY    260561105     956     27,317   SH         SOLE      1       27,317          --       --
DOWNEY FINANCIAL CORP          EQUITY    261018105    1472     21,690   SH         SOLE      1       21,690          --       --
DPL INC                        EQUITY    233293109      66      2,447   SH        DEFINED    4           --          --    2,447
DPL INC                        EQUITY    233293109    7088    264,482   SH         SOLE      1      264,482          --       --
DR HORTON INC                  EQUITY    23331A109       8        337   SH         SOLE      2          337          --       --
DR HORTON INC                  EQUITY    23331A109    3042    127,725   SH         SOLE      1      127,725          --       --
DREAMWORKS ANIMATION SKG INC   EQUITY    26153C103      25      1,086   SH         SOLE      1        1,086          --       --
DRESS BARN INC                 EQUITY    261570105     335     13,200   SH         SOLE      2       13,200          --       --
DRESS BARN INC                 EQUITY    261570105    1412     55,716   SH         SOLE      1       55,716          --       --
DRESSER-RAND GROUP INC         EQUITY    261608103    1308     55,705   SH         SOLE      1       55,705          --       --
DREW INDUSTRIES INC            EQUITY    26168L205     448     13,813   SH         SOLE      1       13,813          --       --
DREYFUS MUNICIPAL INCOME INC   EQUITY    26201R102      17      1,952   SH        DEFINED    4           --          --    1,952
DRIL-QUIP INC                  EQUITY    262037104     681      8,258   SH         SOLE      1        8,258          --       --
DRS TECHNOLOGIES INC           EQUITY    23330X100    4232     86,816   SH         SOLE      1       86,816          --       --
DRS TECHNOLOGIES INC           EQUITY    23330X100   10589    217,200   SH         SOLE      2      217,200          --       --
DRUGSTORE.COM                  EQUITY    262241102     173     59,758   SH         SOLE      1       59,758          --       --
DSP GROUP INC                  EQUITY    23332B106     753     30,297   SH         SOLE      1       30,297          --       --
DST SYSTEMS INC                CORP BOND 233326AB3       1      1,000  PRN        DEFINED    4           --          --    1,000
DST SYSTEMS INC                EQUITY    233326107    7904    132,833   SH         SOLE      1      132,833          --       --
DSW INC                        EQUITY    23334L102     440     12,081   SH         SOLE      1       12,081          --       --
DTE ENERGY CO                  EQUITY    233331107       9        220   SH         SOLE      2          220          --       --
DTE ENERGY CO                  EQUITY    233331107   15217    373,508   SH         SOLE      1      373,508          --       --
DTS INC                        EQUITY    23335C101     256     13,118   SH         SOLE      1       13,118          --       --
DUKE ENERGY CORP               EQUITY    26441C105     850     28,932   SH         SOLE      2       28,932          --       --
DUKE ENERGY CORP               EQUITY    26441C105   21811    742,625   SH         SOLE      1      742,625          --       --
DUKE REALTY CORP               EQUITY    264411505     161      4,581   SH         SOLE      1        4,581          --       --
DUN & BRADSTREET CORP          EQUITY    26483E100      11        160   SH        DEFINED    4           --          --      160
DUN & BRADSTREET CORP          EQUITY    26483E100   10006    143,594   SH         SOLE      1      143,594          --       --
DUQUESNE LIGHT HOLDINGS INC    EQUITY    266233105    9611    584,598   SH         SOLE      1      584,598          --       --
DURECT CORP                    EQUITY    266605104     160     41,418   SH         SOLE      1       41,418          --       --
DWS STRATEGIC MUNICIPAL INCOME EQUITY    23338T101     246     20,000   SH         SOLE      1       20,000          --       --
DXP ENTERPRISES INC            EQUITY    233377407      40      1,292   SH         SOLE      1        1,292          --       --
DYCOM INDUSTRIES INC           EQUITY    267475101    2482    116,580   SH         SOLE      1      116,580          --       --
DYNAMEX INC                    EQUITY    26784F103     180      8,267   SH         SOLE      1        8,267          --       --
DYNAMIC MATERIALS CORP         EQUITY    267888105    1012     29,996   SH         SOLE      1       29,996          --       --
DYNCORP INTERNATIONAL INC      EQUITY    26817C101     194     18,670   SH         SOLE      1       18,670          --       --
DYNEGY INC                     EQUITY    26816Q101       3        458   SH         SOLE      2          458          --       --
DYNEGY INC                     EQUITY    26816Q101    2395    437,800   SH         SOLE      3      437,800          --       --
DYNEGY INC                     EQUITY    26816Q101    2486    454,399   SH         SOLE      1      454,399          --       --
E*TRADE FINANCIAL CORP         EQUITY    269246104      12        529   SH         SOLE      2          529          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
E*TRADE FINANCIAL CORP         EQUITY    269246104     183      8,035   SH        DEFINED    4           --          --    8,035
E*TRADE FINANCIAL CORP         EQUITY    269246104    4493    196,873   SH         SOLE      1      196,873          --       --
EAGLE MATERIALS INC            EQUITY    26969P108      54      1,134   SH         SOLE      1        1,134          --       --
EAGLE TEST SYSTEMS INC         EQUITY    270006109      77      5,469   SH         SOLE      1        5,469          --       --
EARTHLINK INC                  EQUITY    270321102     862     99,510   SH         SOLE      1       99,510          --       --
EAST WEST BANCORP INC          EQUITY    27579R104      54      1,423   SH         SOLE      1        1,423          --       --
EAST WEST BANCORP INC          EQUITY    27579R104    3510     92,600   SH         SOLE      3       39,400          --   53,200
EASTGROUP PROPERTIES INC       EQUITY    277276101     773     16,556   SH         SOLE      1       16,556          --       --
EASTMAN CHEMICAL CO            EQUITY    277432100       5        101   SH         SOLE      2          101          --       --
EASTMAN CHEMICAL CO            EQUITY    277432100    2091     38,728   SH         SOLE      1       38,728          --       --
EASTMAN KODAK CO               EQUITY    277461109       8        356   SH         SOLE      2          356          --       --
EASTMAN KODAK CO               EQUITY    277461109    3233    135,971   SH         SOLE      1      135,971          --       --
EATON CORP                     EQUITY    278058102      11        150   SH        DEFINED    4           --          --      150
EATON CORP                     EQUITY    278058102      14        186   SH         SOLE      2          186          --       --
EATON CORP                     EQUITY    278058102    5484     72,737   SH         SOLE      1       72,737          --       --
EATON VANCE CORP               EQUITY    278265103    6909    276,808   SH         SOLE      1      276,808          --       --
EATON VANCE LIMITED DURATION I EQUITY    27828H105      26      1,500   SH        DEFINED    4           --          --    1,500
EATON VANCE MUNICIPAL INCOME T EQUITY    27826U108     508     32,800   SH        DEFINED    4           --          --   32,800
EATON VANCE TAX MANAGED GLOBAL EQUITY    27829C105      18      1,000   SH        DEFINED    4           --          --    1,000
EATON VANCE TAX-MANAGED BUY-WR EQUITY    27828Y108      33      1,806   SH        DEFINED    4           --          --    1,806
EBAY INC                       EQUITY    278642103      10        350   SH        DEFINED    4           --          --      350
EBAY INC                       EQUITY    278642103     877     29,934   SH         SOLE      2       29,934          --       --
EBAY INC                       EQUITY    278642103   19743    674,050   SH         SOLE      1      674,050          --       --
ECHELON CORP                   EQUITY    27874N105     172     22,991   SH         SOLE      1       22,991          --       --
ECHOSTAR COMMUNICATIONS        CORP BOND 278762AG4       3      3,000  PRN        DEFINED    4           --          --    3,000
ECHOSTAR COMMUNICATIONS CORP   EQUITY    278762109    1900     61,669   SH         SOLE      1       61,669          --       --
ECI TELECOM LTD                EQUITY    268258100       2        200   SH        DEFINED    4           --          --      200
ECLIPSYS CORP                  EQUITY    278856109     613     33,734   SH         SOLE      1       33,734          --       --
ECOLAB INC                     EQUITY    278865100       9        226   SH         SOLE      2          226          --       --
ECOLAB INC                     EQUITY    278865100    3401     83,822   SH         SOLE      1       83,822          --       --
ECOLLEGE.COM INC               EQUITY    27887E100     285     13,503   SH         SOLE      1       13,503          --       --
EDGAR ONLINE INC               EQUITY    279765101      15      3,180   SH        DEFINED    4           --          --    3,180
EDGE PETROLEUM CORP            EQUITY    279862106     259     12,960   SH         SOLE      1       12,960          --       --
EDGE PETROLEUM CORP            EQUITY    279862106    3289    164,600   SH         SOLE      2      164,600          --       --
EDISON INTERNATIONAL           EQUITY    281020107       2         39   SH        DEFINED    4           --          --       39
EDISON INTERNATIONAL           EQUITY    281020107      16        404   SH         SOLE      2          404          --       --
EDISON INTERNATIONAL           EQUITY    281020107   37710    966,923   SH         SOLE      1      966,923          --       --
EDO CORP                       EQUITY    281347104     302     12,388   SH         SOLE      1       12,388          --       --
EDUCATE INC                    EQUITY    28138P100     101     13,191   SH         SOLE      1       13,191          --       --
EDWARDS LIFESCIENCES CORP      EQUITY    28176E108    5452    120,000   SH         SOLE      2      120,000          --       --
EDWARDS LIFESCIENCES CORP      EQUITY    28176E108    5803    127,729   SH         SOLE      1      127,729          --       --
EFUNDS CORP                    EQUITY    28224R101     765     34,702   SH         SOLE      1       34,702          --       --
EGL INC                        EQUITY    268484102    2197     43,771   SH         SOLE      1       43,771          --       --
EI DU PONT DE NEMOURS & CO     EQUITY    263534109     256      6,164   SH        DEFINED    4           --          --    6,164
EI DU PONT DE NEMOURS & CO     EQUITY    263534109    3080     74,036   SH         SOLE      2       74,036          --       --
EI DU PONT DE NEMOURS & CO     EQUITY    263534109   18926    454,962   SH         SOLE      1      454,962          --       --
EL PASO CORP                   EQUITY    28336L109      13        863   SH         SOLE      2          863          --       --
EL PASO CORP                   EQUITY    28336L109    4817    321,163   SH         SOLE      1      321,163          --       --
EL PASO ELECTRIC CO            EQUITY    283677854     728     36,116   SH         SOLE      1       36,116          --       --
ELDORADO GOLD CORP             EQUITY    284902103    3396    698,500   SH         OTHER     1           --     698,500       --
ELECTRO RENT CORP              EQUITY    285218103     228     14,210   SH         SOLE      1       14,210          --       --
ELECTRO SCIENTIFIC INDUSTRIES  EQUITY    285229100     389     21,633   SH         SOLE      1       21,633          --       --
ELECTRONIC ARTS INC            EQUITY    285512109      25        580   SH         SOLE      2          580          --       --
ELECTRONIC ARTS INC            EQUITY    285512109      29        680   SH        DEFINED    4           --          --      680
ELECTRONIC ARTS INC            EQUITY    285512109    6815    158,339   SH         SOLE      1      158,339          --       --
ELECTRONIC DATA SYSTEMS CORP   EQUITY    285661104      15        643   SH         SOLE      2          643          --       --
ELECTRONIC DATA SYSTEMS CORP   EQUITY    285661104    5826    242,140   SH         SOLE      1      242,140          --       --
ELECTRONICS FOR IMAGING        EQUITY    286082102     315     15,100   SH         SOLE      2       15,100          --       --
ELECTRONICS FOR IMAGING        EQUITY    286082102    1424     68,205   SH         SOLE      1       68,205          --       --
ELI LILLY & CO                 EQUITY    532457108      44        800   SH        DEFINED    4           --          --      800
ELI LILLY & CO                 EQUITY    532457108     492      8,901   SH         SOLE      2        8,901          --       --
ELI LILLY & CO                 EQUITY    532457108   29301    530,135   SH         SOLE      1      530,135          --       --
ELIZABETH ARDEN INC            EQUITY    28660G106     346     19,362   SH         SOLE      1       19,362          --       --
ELKCORP                        EQUITY    287456107      56      2,000   SH        DEFINED    4           --          --    2,000
ELKCORP                        EQUITY    287456107     424     15,280   SH         SOLE      1       15,280          --       --
EMAGEON INC                    EQUITY    29076V109     228     15,625   SH         SOLE      1       15,625          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
EMBARQ CORP                    EQUITY    29078E105       3         69   SH        DEFINED    4           --          --       69
EMBARQ CORP                    EQUITY    29078E105     164      4,000   SH         SOLE      2        4,000          --       --
EMBARQ CORP                    EQUITY    29078E105    2896     70,659   SH         SOLE      1       70,659          --       --
EMC CORP/MASSACHUSETTS         EQUITY    268648102      38      3,469   SH        DEFINED    4           --          --    3,469
EMC CORP/MASSACHUSETTS         EQUITY    268648102    1590    144,932   SH         SOLE      2      144,932          --       --
EMC CORP/MASSACHUSETTS         EQUITY    268648102   14401  1,312,772   SH         SOLE      1    1,312,772          --       --
EMC INSURANCE GROUP INC        EQUITY    268664109     127      4,419   SH         SOLE      1        4,419          --       --
EMCOR GROUP INC                EQUITY    29084Q100    2791     57,345   SH         SOLE      1       57,345          --       --
EMCORE CORP                    EQUITY    290846104     291     30,343   SH         SOLE      1       30,343          --       --
EMDEON CORP                    EQUITY    290849108      77      6,187   SH         SOLE      1        6,187          --       --
EMERITUS CORP                  EQUITY    291005106      69      3,685   SH         SOLE      1        3,685          --       --
EMERSON ELECTRIC CO            EQUITY    291011104      17        200   SH        DEFINED    4           --          --      200
EMERSON ELECTRIC CO            EQUITY    291011104   13330    159,046   SH         SOLE      2      159,046          --       --
EMERSON ELECTRIC CO            EQUITY    291011104   34568    412,462   SH         SOLE      1      412,462          --       --
EMISPHERE TECHNOLOGIES INC     EQUITY    291345106     151     17,770   SH         SOLE      1       17,770          --       --
EMMIS COMMUNICATIONS CORP      EQUITY    291525103    1631    104,253   SH         SOLE      1      104,253          --       --
EMPIRE DISTRICT ELECTRIC CO/TH EQUITY    291641108     459     22,344   SH         SOLE      1       22,344          --       --
EMPRESA NACIONAL DE ELECTRICID EQUITY    29244T101    3909    148,070   SH         SOLE      1      148,070          --       --
EMS TECHNOLOGIES INC           EQUITY    26873N108     203     11,309   SH         SOLE      1       11,309          --       --
EMULEX CORP                    EQUITY    292475209    1024     62,924   SH         SOLE      1       62,924          --       --
ENBRIDGE ENERGY PARTNERS LP    EQUITY    29250R106      43        980   SH        DEFINED    4           --          --      980
ENBRIDGE INC                   EQUITY    29250N105     110      3,600   SH         OTHER     1           --       3,600       --
ENCANA CORP                    EQUITY    292505104    9047    171,600   SH         OTHER     1           --     171,600       --
ENCORE ACQUISITION CO          EQUITY    29255W100    3368    125,529   SH         SOLE      1      125,529          --       --
ENCORE ACQUISITION CO          EQUITY    29255W100    5903    220,000   SH         SOLE      2      220,000          --       --
ENCORE MEDICAL CORP            EQUITY    29256E109     213     44,341   SH         SOLE      1       44,341          --       --
ENCORE WIRE CORP               EQUITY    292562105    1932     53,753   SH         SOLE      1       53,753          --       --
ENCYSIVE PHARMACEUTICALS INC   EQUITY    29256X107     306     44,167   SH         SOLE      1       44,167          --       --
ENDO PHARMACEUTICALS HOLDINGS  EQUITY    29264F205       8        244   SH        DEFINED    4           --          --      244
ENDO PHARMACEUTICALS HOLDINGS  EQUITY    29264F205     264      8,000   SH         SOLE      2        8,000          --       --
ENDO PHARMACEUTICALS HOLDINGS  EQUITY    29264F205     270      8,180   SH         SOLE      1        8,180          --       --
ENERGEN CORP                   EQUITY    29265N108    1617     42,095   SH         SOLE      1       42,095          --       --
ENERGIZER HOLDINGS INC         EQUITY    29266R108    7850    134,033   SH         SOLE      1      134,033          --       --
ENERGY CONVERSION DEVICES INC  EQUITY    292659109     288      7,900   SH         SOLE      2        7,900          --       --
ENERGY CONVERSION DEVICES INC  EQUITY    292659109    1061     29,132   SH         SOLE      1       29,132          --       --
ENERGY EAST CORP               EQUITY    29266M109      50      2,102   SH        DEFINED    4           --          --    2,102
ENERGY EAST CORP               EQUITY    29266M109   21789    910,546   SH         SOLE      1      910,546          --       --
ENERGY INCOME AND GROWTH FUND  EQUITY    292697109     190      9,268   SH        DEFINED    4           --          --    9,268
ENERGY PARTNERS LTD            EQUITY    29270U105     542     28,602   SH         SOLE      1       28,602          --       --
ENERGY SELECT SECTOR SPDR FUND EQUITY    81369Y506     263      4,630   SH        DEFINED    4           --          --    4,630
ENERGY TRANSFER PARTNERS LP    EQUITY    29273R109      14        305   SH        DEFINED    4           --          --      305
ENERGYSOUTH INC                EQUITY    292970100     161      5,148   SH         SOLE      1        5,148          --       --
ENERPLUS RESOURCES FUND        EQUITY    29274D604      73      1,300   SH         OTHER     1           --       1,300       --
ENERPLUS RESOURCES FUND        EQUITY    29274D604    1636     28,867   SH        DEFINED    4           --          --   28,867
ENERSYS                        EQUITY    29275Y102     726     34,732   SH         SOLE      1       34,732          --       --
ENGLOBAL CORP                  EQUITY    293306106      94     12,022   SH         SOLE      1       12,022          --       --
ENNIS INC                      EQUITY    293389102     374     19,011   SH         SOLE      1       19,011          --       --
ENNIS INC                      EQUITY    293389102     395     20,085   SH        DEFINED    4           --          --   20,085
ENPRO INDUSTRIES INC           EQUITY    29355X107     710     21,132   SH         SOLE      1       21,132          --       --
ENSCO INTERNATIONAL INC        EQUITY    26874Q100     796     17,305   SH        DEFINED    4           --          --   17,305
ENSCO INTERNATIONAL INC        EQUITY    26874Q100    2665     57,900   SH         SOLE      2       57,900          --       --
ENSCO INTERNATIONAL INC        EQUITY    26874Q100   15323    332,967   SH         SOLE      1      332,967          --       --
ENSTAR GROUP INC               EQUITY    29358R107     226      2,451   SH         SOLE      1        2,451          --       --
ENTEGRIS INC                   EQUITY    29362U104     978    102,636   SH         SOLE      1      102,636          --       --
ENTEGRIS INC                   EQUITY    29362U104    9289    974,700   SH         SOLE      2      974,700          --       --
ENTERCOM COMMUNICATIONS CORP   EQUITY    293639100    2490     95,190   SH         SOLE      1       95,190          --       --
ENTERGY CORP                   EQUITY    29364G103      18        258   SH         SOLE      2          258          --       --
ENTERGY CORP                   EQUITY    29364G103     631      8,925   SH        DEFINED    4           --          --    8,925
ENTERGY CORP                   EQUITY    29364G103   19379    273,910   SH         SOLE      1      273,910          --       --
ENTERPRISE FINANCIAL SERVICES  EQUITY    293712105     161      6,334   SH         SOLE      1        6,334          --       --
ENTERPRISE PRODUCTS PARTNERS L EQUITY    293792107    2200     88,350   SH         SOLE      1       88,350          --       --
ENTERTAINMENT PROPERTIES TRUST EQUITY    29380T105    1366     31,736   SH         SOLE      1       31,736          --       --
ENTRAVISION COMMUNICATIONS COR EQUITY    29382R107     428     49,950   SH         SOLE      1       49,950          --       --
ENZO BIOCHEM INC               EQUITY    294100102     308     20,418   SH         SOLE      1       20,418          --       --
ENZON PHARMACEUTICALS INC      EQUITY    293904108     246     32,651   SH         SOLE      1       32,651          --       --
EOG RESOURCES INC              EQUITY    26875P101    2489     35,901   SH         SOLE      2       35,901          --       --
EOG RESOURCES INC              EQUITY    26875P101   17693    255,161   SH         SOLE      1      255,161          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
EPICOR SOFTWARE CORP           EQUITY    29426L108     431     40,909   SH         SOLE      1       40,909          --       --
EPIQ SYSTEMS INC               EQUITY    26882D109     185     11,122   SH         SOLE      1       11,122          --       --
EQUIFAX INC                    EQUITY    294429105       4        104   SH        DEFINED    4           --          --      104
EQUIFAX INC                    EQUITY    294429105       5        159   SH         SOLE      2          159          --       --
EQUIFAX INC                    EQUITY    294429105    2039     59,380   SH         SOLE      1       59,380          --       --
EQUINIX INC                    EQUITY    29444U502     241      4,400   SH         SOLE      2        4,400          --       --
EQUINIX INC                    EQUITY    29444U502    1171     21,343   SH         SOLE      1       21,343          --       --
EQUITABLE RESOURCES INC        EQUITY    294549100    9240    275,831   SH         SOLE      1      275,831          --       --
EQUITY INNS INC                EQUITY    294703103    5187    313,199   SH         SOLE      1      313,199          --       --
EQUITY OFFICE PROPERTIES TRUST EQUITY    294741103      17        454   SH         SOLE      2          454          --       --
EQUITY RESIDENTIAL             EQUITY    29476L107    9696    216,772   SH         SOLE      1      216,772          --       --
ERESEARCH TECHNOLOGY INC       EQUITY    29481V108     334     36,746   SH         SOLE      1       36,746          --       --
ERICSSON                       EQUITY    294821608     209      6,320   SH         SOLE      1        6,320          --       --
ERIE INDEMNITY CO              EQUITY    29530P102      95      1,824   SH         SOLE      1        1,824          --       --
ESCHELON TELECOM INC           EQUITY    296290109     108      6,970   SH         SOLE      1        6,970          --       --
ESCO TECHNOLOGIES INC          EQUITY    296315104    1028     19,242   SH         SOLE      1       19,242          --       --
ESPEED INC                     EQUITY    296643109     127     15,296   SH         SOLE      1       15,296          --       --
ESSEX CORP                     EQUITY    296744105     265     14,411   SH         SOLE      1       14,411          --       --
ESSEX CORP                     EQUITY    296744105    1741     94,500   SH         SOLE      2       94,500          --       --
ESSEX PROPERTY TRUST INC       EQUITY    297178105      74        660   SH         SOLE      1          660          --       --
ESTEE LAUDER COS INC/THE       EQUITY    518439104       6        147   SH         SOLE      2          147          --       --
ESTEE LAUDER COS INC/THE       EQUITY    518439104    9389    242,790   SH         SOLE      1      242,790          --       --
ESTERLINE TECHNOLOGIES CORP    EQUITY    297425100     787     18,930   SH         SOLE      1       18,930          --       --
ESTERLINE TECHNOLOGIES CORP    EQUITY    297425100    2213     53,200   SH         SOLE      2       53,200          --       --
ETHAN ALLEN INTERIORS INC      EQUITY    297602104     901     24,653   SH         SOLE      1       24,653          --       --
EURONET WORLDWIDE INC          EQUITY    298736109    1868     48,671   SH         SOLE      1       48,671          --       --
EV3 INC                        EQUITY    26928A200     182     12,310   SH         SOLE      1       12,310          --       --
EV3 INC                        EQUITY    26928A200    1605    108,400   SH         SOLE      2      108,400          --       --
EVERGREEN INCOME ADVANTAGE FUN EQUITY    30023Y105     107      7,861   SH        DEFINED    4           --          --    7,861
EVERGREEN SOLAR INC            EQUITY    30033R108     647     49,848   SH         SOLE      1       49,848          --       --
EW SCRIPPS CO                  EQUITY    811054204       5        105   SH         SOLE      2          105          --       --
EW SCRIPPS CO                  EQUITY    811054204    1694     39,266   SH         SOLE      1       39,266          --       --
EXAR CORP                      EQUITY    300645108     728     54,878   SH         SOLE      1       54,878          --       --
EXCEL TECHNOLOGY INC           EQUITY    30067T103     269      9,003   SH         SOLE      1        9,003          --       --
EXCO RESOURCES INC             EQUITY    269279402     442     38,799   SH         SOLE      1       38,799          --       --
EXELIXIS INC                   EQUITY    30161Q104     629     62,617   SH         SOLE      1       62,617          --       --
EXELON CORP                    EQUITY    30161N101    3798     66,829   SH         SOLE      2       66,829          --       --
EXELON CORP                    EQUITY    30161N101   23535    414,129   SH         SOLE      1      414,129          --       --
EXPEDIA INC                    EQUITY    30212P105       4        245   SH        DEFINED    4           --          --      245
EXPEDIA INC                    EQUITY    30212P105     826     55,121   SH         SOLE      1       55,121          --       --
EXPEDITORS INTERNATIONAL WASHI EQUITY    302130109    8962    160,000   SH         SOLE      2      160,000          --       --
EXPEDITORS INTERNATIONAL WASHI EQUITY    302130109   27728    495,050   SH         SOLE      1      495,050          --       --
EXPLORATION CO OF DELAWARE INC EQUITY    302133202     232     21,763   SH         SOLE      1       21,763          --       --
EXPONENT INC                   EQUITY    30214U102     202     11,960   SH         SOLE      1       11,960          --       --
EXPRESS SCRIPTS INC            EQUITY    302182100      13        182   SH         SOLE      2          182          --       --
EXPRESS SCRIPTS INC            EQUITY    302182100    5354     74,636   SH         SOLE      1       74,636          --       --
EXPRESSJET HOLDINGS INC        EQUITY    30218U108     255     36,896   SH         SOLE      1       36,896          --       --
EXTREME NETWORKS               EQUITY    30226D106     370     88,929   SH         SOLE      1       88,929          --       --
EXXON MOBIL CORP               EQUITY    30231G102    1995     32,517   SH        DEFINED    4           --          --   32,517
EXXON MOBIL CORP               EQUITY    30231G102   51277    835,804   SH         SOLE      2      835,804          --       --
EXXON MOBIL CORP               EQUITY    30231G102  326727  5,325,380   SH         SOLE      1    5,325,380          --       --
EZCORP INC                     EQUITY    302301106     332      8,817   SH         SOLE      1        8,817          --       --
F5 NETWORKS INC                EQUITY    315616102    4696     87,814   SH         SOLE      1       87,814          --       --
F5 NETWORKS INC                EQUITY    315616102    9682    181,036   SH         SOLE      2      181,036          --       --
FACTSET RESEARCH SYSTEMS INC   EQUITY    303075105      44        939   SH         SOLE      1          939          --       --
FACTSET RESEARCH SYSTEMS INC   EQUITY    303075105     445      9,400   SH         SOLE      2        9,400          --       --
FAIR ISAAC CORP                EQUITY    303250104    5135    141,416   SH         SOLE      1      141,416          --       --
FAIRCHILD SEMICONDUCTOR INTERN EQUITY    303726103    4799    264,116   SH         SOLE      1      264,116          --       --
FAIRFAX FINANCIAL HOLDINGS LTD EQUITY    303901102      10        100   SH         OTHER     1           --         100       --
FAIRPOINT COMMUNICATIONS INC   EQUITY    305560104     296     20,521   SH         SOLE      1       20,521          --       --
FALCONBRIDGE LTD               EQUITY    306104100       7        140   SH        DEFINED    4           --          --      140
FALCONBRIDGE LTD               EQUITY    306104100     174      3,300   SH         OTHER     1           --       3,300       --
FALCONSTOR SOFTWARE INC        EQUITY    306137100     193     27,620   SH         SOLE      1       27,620          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
FAMILY DOLLAR STORES INC       EQUITY    307000109       5        193   SH         SOLE      2          193          --       --
FAMILY DOLLAR STORES INC       EQUITY    307000109    1772     72,539   SH         SOLE      1       72,539          --       --
FANNIE MAE                     EQUITY    313586109       8        162   SH        DEFINED    4           --          --      162
FANNIE MAE                     EQUITY    313586109   17427    362,300   SH         SOLE      2      362,300          --       --
FANNIE MAE                     EQUITY    313586109   24879    517,232   SH         SOLE      1      517,232          --       --
FARGO ELECTRONICS INC          EQUITY    30744P102     242      9,547   SH         SOLE      1        9,547          --       --
FARMER BROS CO                 EQUITY    307675108     108      4,990   SH         SOLE      1        4,990          --       --
FARMER MAC                     EQUITY    313148306     229      8,271   SH         SOLE      1        8,271          --       --
FARMERS CAPITAL BANK CORP      EQUITY    309562106     162      4,953   SH         SOLE      1        4,953          --       --
FASTENAL CO                    EQUITY    311900104      92      2,280   SH        DEFINED    4           --          --    2,280
FASTENAL CO                    EQUITY    311900104   11146    276,633   SH         SOLE      1      276,633          --       --
FBL FINANCIAL GROUP INC        EQUITY    30239F106     328     10,137   SH         SOLE      1       10,137          --       --
FEDERAL REALTY INVS TRUST      EQUITY    313747206     104      1,486   SH         SOLE      1        1,486          --       --
FEDERAL SIGNAL CORP            EQUITY    313855108    2111    139,403   SH         SOLE      1      139,403          --       --
FEDERATED DEPARTMENT STORES IN EQUITY    31410H101      91      2,486   SH         SOLE      2        2,486          --       --
FEDERATED DEPARTMENT STORES IN EQUITY    31410H101    8898    243,106   SH         SOLE      1      243,106          --       --
FEDERATED INVESTORS INC        EQUITY    314211103       3        105   SH         SOLE      2          105          --       --
FEDERATED INVESTORS INC        EQUITY    314211103    6269    199,031   SH         SOLE      1      199,031          --       --
FEDEX CORP                     EQUITY    31428X106      18        150   SH        DEFINED    4           --          --      150
FEDEX CORP                     EQUITY    31428X106    8794     75,253   SH         SOLE      2       75,253          --       --
FEDEX CORP                     EQUITY    31428X106   31783    271,978   SH         SOLE      1      271,978          --       --
FEI CO                         EQUITY    30241L109     403     17,770   SH         SOLE      1       17,770          --       --
FELCOR LODGING TRUST INC       EQUITY    31430F101    5890    270,940   SH         SOLE      1      270,940          --       --
FERRO CORP                     EQUITY    315405100    1962    122,937   SH         SOLE      1      122,937          --       --
FIDELITY BANKSHARES INC        EQUITY    31604Q107     598     18,783   SH         SOLE      1       18,783          --       --
FIDELITY NATIONAL FINANCIAL IN EQUITY    316326107   14818    380,436   SH         SOLE      1      380,436          --       --
FIDELITY NATIONAL INFORMATION  EQUITY    31620M106       2         52   SH        DEFINED    4           --          --       52
FIDELITY NATIONAL INFORMATION  EQUITY    31620M106    5080    143,500   SH         SOLE      2      143,500          --       --
FIDELITY NATIONAL INFORMATION  EQUITY    31620M106    7260    205,085   SH         SOLE      1      205,085          --       --
FIDELITY NATIONAL TITLE GROUP  EQUITY    31620R105      21      1,060   SH         SOLE      1        1,060          --       --
FIELDSTONE INVESTMENT CORP     EQUITY    31659U300    2088    227,973   SH         SOLE      1      227,973          --       --
FIFTH THIRD BANCORP            EQUITY    316773100      25        690   SH         SOLE      2          690          --       --
FIFTH THIRD BANCORP            EQUITY    316773100    9417    254,870   SH         SOLE      1      254,870          --       --
FILENET CORP                   EQUITY    316869106     847     31,438   SH         SOLE      1       31,438          --       --
FINANCIAL FEDERAL CORP         EQUITY    317492106     562     20,204   SH         SOLE      1       20,204          --       --
FINANCIAL SELECT SECTOR SPDR F EQUITY    81369Y605     203      6,270   SH        DEFINED    4           --          --    6,270
FINISAR CORP                   EQUITY    31787A101     555    169,841   SH         SOLE      1      169,841          --       --
FINISH LINE                    EQUITY    317923100     376     31,770   SH         SOLE      1       31,770          --       --
FIRST ACCEPTANCE CORP          EQUITY    318457108     147     12,480   SH         SOLE      1       12,480          --       --
FIRST ADVANTAGE CORP           EQUITY    31845F100     119      5,126   SH         SOLE      1        5,126          --       --
FIRST AMERICAN CORP            EQUITY    318522307    8877    210,011   SH         SOLE      1      210,011          --       --
FIRST AVENUE NETWORKS INC      EQUITY    31865X106     443     40,747   SH         SOLE      1       40,747          --       --
FIRST BANCORP/PUERTO RICO      EQUITY    318672102     487     52,315   SH         SOLE      1       52,315          --       --
FIRST BANCORP/TROY NC          EQUITY    318910106     186      8,837   SH         SOLE      1        8,837          --       --
FIRST BUSEY CORP               EQUITY    319383105     232     11,352   SH         SOLE      1       11,352          --       --
FIRST CASH FINANCIAL SERVICES  EQUITY    31942D107     526     26,613   SH         SOLE      1       26,613          --       --
FIRST CHARTER CORP             EQUITY    319439105     569     23,191   SH         SOLE      1       23,191          --       --
FIRST CITIZENS BANCSHARES INC/ EQUITY    31946M103      41        204   SH         SOLE      1          204          --       --
FIRST COMMONWEALTH FINANCIAL C EQUITY    319829107     669     52,669   SH         SOLE      1       52,669          --       --
FIRST COMMUNITY BANCORP INC/CA EQUITY    31983B101     853     14,435   SH         SOLE      1       14,435          --       --
FIRST COMMUNITY BANCSHARES INC EQUITY    31983A103     246      7,449   SH         SOLE      1        7,449          --       --
FIRST CONSULTING GROUP INC     EQUITY    31986R103      95     16,083   SH         SOLE      1       16,083          --       --
FIRST DATA CORP                EQUITY    319963104    2669     59,249   SH         SOLE      2       59,249          --       --
FIRST DATA CORP                EQUITY    319963104   28002    621,719   SH         SOLE      1      621,719          --       --
FIRST FINANCIAL BANCORP        EQUITY    320209109     373     25,029   SH         SOLE      1       25,029          --       --
FIRST FINANCIAL BANKSHARES INC EQUITY    32020R109      69      1,885   SH        DEFINED    4           --          --    1,885
FIRST FINANCIAL BANKSHARES INC EQUITY    32020R109     565     15,458   SH         SOLE      1       15,458          --       --
FIRST FINANCIAL CORP/IN        EQUITY    320218100     298      9,934   SH         SOLE      1        9,934          --       --
FIRST FINANCIAL HOLDINGS INC   EQUITY    320239106     287      8,972   SH         SOLE      1        8,972          --       --
FIRST HORIZON NATIONAL CORP    EQUITY    320517105       6        153   SH         SOLE      2          153          --       --
FIRST HORIZON NATIONAL CORP    EQUITY    320517105      54      1,350   SH        DEFINED    4           --          --    1,350
FIRST HORIZON NATIONAL CORP    EQUITY    320517105    9865    245,388   SH         SOLE      1      245,388          --       --
FIRST INDIANA CORP             EQUITY    32054R108     248      9,511   SH         SOLE      1        9,511          --       --
FIRST INDUSTRIAL REALTY TRUST  EQUITY    32054K103    1267     33,393   SH         SOLE      1       33,393          --       --
FIRST MARBLEHEAD CORP/THE      EQUITY    320771108      39        689   SH         SOLE      1          689          --       --
FIRST MARBLEHEAD CORP/THE      EQUITY    320771108    3701     65,000   SH         SOLE      2       65,000          --       --
FIRST MERCHANTS CORP           EQUITY    320817109     335     13,760   SH         SOLE      1       13,760          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
FIRST MIDWEST BANCORP INC/IL   EQUITY    320867104    1380     37,215   SH         SOLE      1       37,215          --       --
FIRST NIAGARA FINANCIAL GROUP  EQUITY    33582V108    4502    321,118   SH         SOLE      1      321,118          --       --
FIRST OAK BROOK BANCSHARES INC EQUITY    335847208     181      4,897   SH         SOLE      1        4,897          --       --
FIRST PLACE FINANCIAL CORP/OH  EQUITY    33610T109     260     11,293   SH         SOLE      1       11,293          --       --
FIRST POTOMAC REALTY TRUST     EQUITY    33610F109     456     15,294   SH         SOLE      1       15,294          --       --
FIRST REGIONAL BANCORP/LOS ANG EQUITY    33615C101     179      2,029   SH         SOLE      1        2,029          --       --
FIRST REPUBLIC BANK/SAN FRANCI EQUITY    336158100     740     16,167   SH         SOLE      1       16,167          --       --
FIRST SOUTH BANCORP INC/WASHIN EQUITY    33646W100     208      6,076   SH         SOLE      1        6,076          --       --
FIRST STATE BANCORPORATION/NM  EQUITY    336453105     312     13,115   SH         SOLE      1       13,115          --       --
FIRSTENERGY CORP               EQUITY    337932107      22        409   SH         SOLE      2          409          --       --
FIRSTENERGY CORP               EQUITY    337932107     486      8,962   SH        DEFINED    4           --          --    8,962
FIRSTENERGY CORP               EQUITY    337932107    7860    144,999   SH         SOLE      1      144,999          --       --
FIRSTFED FINANCIAL CORP        EQUITY    337907109    1395     24,188   SH         SOLE      1       24,188          --       --
FIRSTMERIT CORP                EQUITY    337915102    5581    266,517   SH         SOLE      1      266,517          --       --
FISERV INC                     EQUITY    337738108      10        218   SH         SOLE      2          218          --       --
FISERV INC                     EQUITY    337738108    4244     93,569   SH         SOLE      1       93,569          --       --
FISHER COMMUNICATIONS INC      EQUITY    337756209     239      5,680   SH         SOLE      1        5,680          --       --
FISHER SCIENTIFIC INTERNATIONA EQUITY    338032204       7        100   SH        DEFINED    4           --          --      100
FISHER SCIENTIFIC INTERNATIONA EQUITY    338032204    4211     57,651   SH         SOLE      1       57,651          --       --
FISHER SCIENTIFIC INTERNATIONA EQUITY    338032204   14190    194,254   SH         SOLE      2      194,254          --       --
FISHER SCIENTIFIC INTL         CORP BOND 338032AW5       2      1,000  PRN        DEFINED    4           --          --    1,000
FISHER SCIENTIFIC INTL         CORP BOND 338032AX3    1105  1,000,000  PRN         SOLE      1    1,000,000          --       --
FIVE STAR QUALITY CARE INC     EQUITY    33832D106     261     23,548   SH         SOLE      1       23,548          --       --
FLAG FINANCIAL CORP            EQUITY    33832H107       8        400   SH        DEFINED    4           --          --      400
FLAG FINANCIAL CORP            EQUITY    33832H107     184     10,493   SH         SOLE      1       10,493          --       --
FLAGSTAR BANCORP INC           EQUITY    337930101     483     30,274   SH         SOLE      1       30,274          --       --
FLAHERTY & CRUMRINE PREFERRED  EQUITY    33848E106      12      1,091   SH        DEFINED    4           --          --    1,091
FLAHERTY & CRUMRINE PREFERRED  EQUITY    338480106     810     53,309   SH        DEFINED    4           --          --   53,309
FLANDERS CORP                  EQUITY    338494107      96      9,550   SH         SOLE      1        9,550          --       --
FLEETWOOD ENTERPRISES INC      EQUITY    339099103     359     47,585   SH         SOLE      1       47,585          --       --
FLIR SYSTEMS INC               EQUITY    302445101      97      4,399   SH        DEFINED    4           --          --    4,399
FLIR SYSTEMS INC               EQUITY    302445101    1181     51,574   SH         SOLE      1       51,574          --       --
FLORIDA EAST COAST INDUSTRIES  EQUITY    340632108       6        115   SH        DEFINED    4           --          --      115
FLORIDA EAST COAST INDUSTRIES  EQUITY    340632108    1300     24,840   SH         SOLE      1       24,840          --       --
FLORIDA ROCK INDUSTRIES INC    EQUITY    341140101    5090    102,481   SH         SOLE      1      102,481          --       --
FLOW INTERNATIONAL CORP        EQUITY    343468104    1080     76,793   SH         SOLE      1       76,793          --       --
FLOWERS FOODS INC              EQUITY    343498101    2383     83,221   SH         SOLE      1       83,221          --       --
FLOWSERVE CORP                 EQUITY    34354P105    6960    122,322   SH         SOLE      1      122,322          --       --
FLUOR CORP                     EQUITY    343412102     484      5,209   SH         SOLE      2        5,209          --       --
FLUOR CORP                     EQUITY    343412102    6172     66,414   SH         SOLE      1       66,414          --       --
FLUSHING FINANCIAL CORP        EQUITY    343873105     228     12,699   SH         SOLE      1       12,699          --       --
FMC CORP                       EQUITY    302491303    5481     85,128   SH         SOLE      1       85,128          --       --
FMC TECHNOLOGIES INC           EQUITY    30249U101      81      1,200   SH        DEFINED    4           --          --    1,200
FMC TECHNOLOGIES INC           EQUITY    30249U101    8068    119,600   SH         SOLE      3       51,000          --   68,600
FMC TECHNOLOGIES INC           EQUITY    30249U101    9994    148,141   SH         SOLE      1      148,141          --       --
FNB CORP/PA                    EQUITY    302520101     677     42,905   SH         SOLE      1       42,905          --       --
FNB CORP/VA                    EQUITY    302930102     203      5,473   SH         SOLE      1        5,473          --       --
FOOT LOCKER INC                EQUITY    344849104    2743    112,000   SH         SOLE      2      112,000          --       --
FOOT LOCKER INC                EQUITY    344849104    8280    338,082   SH         SOLE      1      338,082          --       --
FORD MOTOR CO                  EQUITY    345370860       1        145   SH        DEFINED    4           --          --      145
FORD MOTOR CO                  EQUITY    345370860      16      2,326   SH         SOLE      2        2,326          --       --
FORD MOTOR CO                  EQUITY    345370860    8003  1,154,887   SH         SOLE      1    1,154,887          --       --
FORDING CANADIAN COAL TRUST    EQUITY    345425102     893     28,158   SH        DEFINED    4           --          --   28,158
FOREST CITY ENTERPRISES INC    EQUITY    345550107      79      1,588   SH         SOLE      1        1,588          --       --
FOREST LABORATORIES INC        EQUITY    345838106      16        404   SH         SOLE      2          404          --       --
FOREST LABORATORIES INC        EQUITY    345838106    7768    200,771   SH         SOLE      1      200,771          --       --
FOREST OIL CORP                EQUITY    346091705    3988    120,264   SH         SOLE      1      120,264          --       --
FOREST OIL CORP                EQUITY    346091705    8277    249,600   SH         SOLE      2      249,600          --       --
FORMFACTOR INC                 EQUITY    346375108     384      8,600   SH         SOLE      2        8,600          --       --
FORMFACTOR INC                 EQUITY    346375108    1524     34,154   SH         SOLE      1       34,154          --       --
FORRESTER RESEARCH INC         EQUITY    346563109     290     10,353   SH         SOLE      1       10,353          --       --
FORTUNE BRANDS INC             EQUITY    349631101      13        182   SH         SOLE      2          182          --       --
FORTUNE BRANDS INC             EQUITY    349631101      23        323   SH        DEFINED    4           --          --      323
FORTUNE BRANDS INC             EQUITY    349631101    4873     68,618   SH         SOLE      1       68,618          --       --
FORWARD AIR CORP               EQUITY    349853101     228      5,600   SH         SOLE      2        5,600          --       --
FORWARD AIR CORP               EQUITY    349853101     957     23,489   SH         SOLE      1       23,489          --       --
FOSSIL INC                     EQUITY    349882100     582     32,328   SH         SOLE      1       32,328          --       --






                                                                                                        VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
FOUNDATION COAL HOLDINGS INC   EQUITY    35039W100    3349     71,355   SH         SOLE      1       71,355          --       --
FOUNDRY NETWORKS INC           EQUITY    35063R100    1159    108,698   SH         SOLE      1      108,698          --       --
FOUR SEASONS HOTELS INC        EQUITY    35100E104      12        200   SH         OTHER     1           --         200       --
FOXHOLLOW TECHNOLOGIES INC     EQUITY    35166A103     380     13,916   SH         SOLE      1       13,916          --       --
FPIC INSURANCE GROUP INC       EQUITY    302563101     302      7,793   SH         SOLE      1        7,793          --       --
FPL GROUP INC                  EQUITY    302571104      21        501   SH         SOLE      2          501          --       --
FPL GROUP INC                  EQUITY    302571104    7355    177,741   SH         SOLE      1      177,741          --       --
FRANKLIN BANK CORP/HOUSTON TX  EQUITY    352451108     353     17,466   SH         SOLE      1       17,466          --       --
FRANKLIN ELECTRIC CO INC       EQUITY    353514102     873     16,896   SH         SOLE      1       16,896          --       --
FRANKLIN RESOURCES INC         EQUITY    354613101      16        190   SH         SOLE      2          190          --       --
FRANKLIN RESOURCES INC         EQUITY    354613101    5847     67,350   SH         SOLE      1       67,350          --       --
FRANKLIN STREET PROPERTIES COR EQUITY    35471R106     724     36,805   SH         SOLE      1       36,805          --       --
FREDDIE MAC                    EQUITY    313400301       6        100   SH        DEFINED    4           --          --      100
FREDDIE MAC                    EQUITY    313400301   16987    297,957   SH         SOLE      2      297,957          --       --
FREDDIE MAC                    EQUITY    313400301   39213    687,832   SH         SOLE      1      687,832          --       --
FRED'S INC                     EQUITY    356108100     398     29,777   SH         SOLE      1       29,777          --       --
FREEPORT-MCMORAN COPPER & GOLD EQUITY    35671D857      13        234   SH         SOLE      2          234          --       --
FREEPORT-MCMORAN COPPER & GOLD EQUITY    35671D857    4067     73,400   SH         SOLE      3       31,300          --   42,100
FREEPORT-MCMORAN COPPER & GOLD EQUITY    35671D857   10153    183,237   SH         SOLE      1      183,237          --       --
FREESCALE SEMICONDUCTOR INC    EQUITY    35687M206      15        503   SH         SOLE      2          503          --       --
FREESCALE SEMICONDUCTOR INC    EQUITY    35687M206      24        832   SH        DEFINED    4           --          --      832
FREESCALE SEMICONDUCTOR INC    EQUITY    35687M206    3719    126,500   SH         SOLE      3       54,100          --   72,400
FREESCALE SEMICONDUCTOR INC    EQUITY    35687M206    9892    336,455   SH         SOLE      1      336,455          --       --
FREIGHTCAR AMERICA INC         EQUITY    357023100     521      9,379   SH         SOLE      1        9,379          --       --
FREMONT GENERAL CORP           EQUITY    357288109    2090    112,603   SH         SOLE      1      112,603          --       --
FRIEDMAN BILLINGS RAMSEY GROUP EQUITY    358434108       9        800   SH        DEFINED    4           --          --      800
FRIEDMAN BILLINGS RAMSEY GROUP EQUITY    358434108    1202    109,593   SH         SOLE      1      109,593          --       --
FRONTIER AIRLINES HOLDINGS INC EQUITY    359059102     195     27,002   SH         SOLE      1       27,002          --       --
FRONTIER FINANCIAL CORP        EQUITY    35907K105     673     19,787   SH         SOLE      1       19,787          --       --
FRONTIER OIL CORP              EQUITY    35914P105     102      3,151   SH         SOLE      1        3,151          --       --
FRONTIER OIL CORP              EQUITY    35914P105    5553    171,400   SH         SOLE      2      171,400          --       --
FRONTLINE LTD                  EQUITY    G3682E127       9        245   SH        DEFINED    4           --          --      245
FTD GROUP INC                  EQUITY    30267U108     129      9,581   SH         SOLE      1        9,581          --       --
FTI CONSULTING INC             EQUITY    302941109     798     29,822   SH         SOLE      1       29,822          --       --
FUELCELL ENERGY INC            EQUITY    35952H106     380     39,634   SH         SOLE      1       39,634          --       --
FULTON FINANCIAL CORP          EQUITY    360271100      94      5,895   SH         SOLE      1        5,895          --       --
FURNITURE BRANDS INTERNATIONAL EQUITY    360921100    2890    138,657   SH         SOLE      1      138,657          --       --
G&K SERVICES INC               EQUITY    361268105     544     15,871   SH         SOLE      1       15,871          --       --
GABELLI EQUITY TRUST INC       EQUITY    362397101     406     49,453   SH        DEFINED    4           --          --   49,453
GAIAM INC                      EQUITY    36268Q103     169     12,086   SH         SOLE      1       12,086          --       --
GAMCO INVESTORS INC            EQUITY    361438104     155      4,207   SH         SOLE      1        4,207          --       --
GAMESTOP CORP                  EQUITY    36467W109    5400    128,580   SH         SOLE      1      128,580          --       --
GANNETT CO INC                 EQUITY    364730101    3239     57,917   SH         SOLE      2       57,917          --       --
GANNETT CO INC                 EQUITY    364730101   11432    204,392   SH         SOLE      1      204,392          --       --
GAP INC/THE                    EQUITY    364760108      12        682   SH         SOLE      2          682          --       --
GAP INC/THE                    EQUITY    364760108      48      2,777   SH        DEFINED    4           --          --    2,777
GAP INC/THE                    EQUITY    364760108   12359    710,292   SH         SOLE      1      710,292          --       --
GARDNER DENVER INC             EQUITY    365558105      35        920   SH        DEFINED    4           --          --      920
GARDNER DENVER INC             EQUITY    365558105      45      1,180   SH         SOLE      1        1,180          --       --
GARMIN LTD                     EQUITY    G37260109      99        943   SH        DEFINED    4           --          --      943
GARTNER INC                    EQUITY    366651107    2374    167,217   SH         SOLE      1      167,217          --       --
GASCO ENERGY INC               EQUITY    367220100     238     54,782   SH         SOLE      1       54,782          --       --
GATEWAY INC                    EQUITY    367626108     622    327,563   SH         SOLE      1      327,563          --       --
GATX CORP                      EQUITY    361448103     332      7,800   SH         SOLE      2        7,800          --       --
GATX CORP                      EQUITY    361448103    4686    110,258   SH         SOLE      1      110,258          --       --
GAYLORD ENTERTAINMENT CO       EQUITY    367905106    1323     30,310   SH         SOLE      1       30,310          --       --
GAYLORD ENTERTAINMENT CO       EQUITY    367905106    6319    144,800   SH         SOLE      2      144,800          --       --
GB&T BANCSHARES INC            EQUITY    361462104     210      9,656   SH         SOLE      1        9,656          --       --
GEHL CO                        EQUITY    368483103     147      5,740   SH        DEFINED    4           --          --    5,740
GEHL CO                        EQUITY    368483103     200      7,825   SH         SOLE      1        7,825          --       --
GEMSTAR-TV GUIDE INTERNATIONAL EQUITY    36866W106     651    185,061   SH         SOLE      1      185,061          --       --
GENCORP INC                    EQUITY    368682100     661     41,259   SH         SOLE      1       41,259          --       --
GENENTECH INC                  EQUITY    368710406   12333    150,770   SH         SOLE      1      150,770          --       --
GENENTECH INC                  EQUITY    368710406   43618    533,231   SH         SOLE      2      533,231          --       --
GENERAL CABLE CORP             EQUITY    369300108    1320     37,711   SH         SOLE      1       37,711          --       --
GENERAL COMMUNICATION INC      EQUITY    369385109     491     39,889   SH         SOLE      1       39,889          --       --
GENERAL DYNAMICS CORP          EQUITY    369550108      48        740   SH        DEFINED    4           --          --      740






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
GENERAL DYNAMICS CORP          EQUITY    369550108   28007    427,848   SH         SOLE      2      427,848          --       --
GENERAL DYNAMICS CORP          EQUITY    369550108   41456    633,301   SH         SOLE      1      633,301          --       --
GENERAL ELECTRIC CO            EQUITY    369604103    1070     32,476   SH        DEFINED    4           --          --   32,476
GENERAL ELECTRIC CO            EQUITY    369604103   45491  1,380,189   SH         SOLE      2    1,380,189          --       --
GENERAL ELECTRIC CO            EQUITY    369604103  310498  9,420,287   SH         SOLE      1    9,420,287          --       --
GENERAL GROWTH PROPERTIES INC  EQUITY    370021107    6927    153,729   SH         SOLE      1      153,729          --       --
GENERAL MILLS INC              EQUITY    370334104    4176     80,841   SH         SOLE      2       80,841          --       --
GENERAL MILLS INC              EQUITY    370334104   39115    757,153   SH         SOLE      1      757,153          --       --
GENERAL MOTORS CORP            EQUITY    370442105       1         40   SH        DEFINED    4           --          --       40
GENERAL MOTORS CORP            EQUITY    370442105    4635    155,585   SH         SOLE      2      155,585          --       --
GENERAL MOTORS CORP            EQUITY    370442105    7405    248,561   SH         SOLE      1      248,561          --       --
GENESCO INC                    EQUITY    371532102     588     17,374   SH         SOLE      1       17,374          --       --
GENESEE & WYOMING INC          EQUITY    371559105    1762     49,674   SH         SOLE      1       49,674          --       --
GENESIS HEALTHCARE CORP        EQUITY    37184D101    2169     45,799   SH         SOLE      1       45,799          --       --
GENESIS HEALTHCARE CORP        EQUITY    37184D101    7807    164,800   SH         SOLE      3       90,300          --   74,500
GENESIS MICROCHIP INC          EQUITY    37184C103     306     26,470   SH         SOLE      1       26,470          --       --
GENITOPE CORP                  EQUITY    37229P507     124     19,592   SH         SOLE      1       19,592          --       --
GENLYTE GROUP INC              EQUITY    372302109     232      3,200   SH         SOLE      2        3,200          --       --
GENLYTE GROUP INC              EQUITY    372302109    2050     28,309   SH         SOLE      1       28,309          --       --
GENOMIC HEALTH INC             EQUITY    37244C101     109      9,281   SH         SOLE      1        9,281          --       --
GEN-PROBE INC                  EQUITY    36866T103    6028    111,663   SH         SOLE      1      111,663          --       --
GENTA INC                      EQUITY    37245M207     164     99,731   SH         SOLE      1       99,731          --       --
GENTEK INC                     EQUITY    37245X203     205      7,626   SH         SOLE      1        7,626          --       --
GENTEX CORP                    EQUITY    371901109    4665    333,233   SH         SOLE      1      333,233          --       --
GENTIVA HEALTH SERVICES INC    EQUITY    37247A102     322     20,073   SH         SOLE      1       20,073          --       --
GENUINE PARTS CO               EQUITY    372460105    2974     71,378   SH         SOLE      2       71,378          --       --
GENUINE PARTS CO               EQUITY    372460105    3410     81,849   SH         SOLE      1       81,849          --       --
GENWORTH FINANCIAL INC         EQUITY    37247D106       3         80   SH        DEFINED    4           --          --       80
GENWORTH FINANCIAL INC         EQUITY    37247D106      16        452   SH         SOLE      2          452          --       --
GENWORTH FINANCIAL INC         EQUITY    37247D106   12416    356,373   SH         SOLE      1      356,373          --       --
GENZYME CORP                   EQUITY    372917104    8111    132,853   SH         SOLE      1      132,853          --       --
GENZYME CORP                   EQUITY    372917104   21754    356,323   SH         SOLE      2      356,323          --       --
GEO GROUP INC/THE              EQUITY    36159R103     339      9,678   SH         SOLE      1        9,678          --       --
GEOGLOBAL RESOURCES INC        EQUITY    37249T109     109     22,354   SH         SOLE      1       22,354          --       --
GEORGIA GULF CORP              EQUITY    373200203     638     25,519   SH         SOLE      1       25,519          --       --
GERBER SCIENTIFIC INC          EQUITY    373730100     219     16,842   SH         SOLE      1       16,842          --       --
GERDAU SA                      EQUITY    373737105      24      1,610   SH        DEFINED    4           --          --    1,610
GERON CORP                     EQUITY    374163103     339     49,180   SH         SOLE      1       49,180          --       --
GETTY IMAGES INC               EQUITY    374276103      74      1,171   SH         SOLE      1        1,171          --       --
GETTY IMAGES INC               EQUITY    374276103    6402    100,800   SH         SOLE      2      100,800          --       --
GETTY REALTY CORP              EQUITY    374297109     372     13,094   SH         SOLE      1       13,094          --       --
GEVITY HR INC                  EQUITY    374393106     519     19,562   SH         SOLE      1       19,562          --       --
GFI GROUP INC                  EQUITY    361652209     480      8,898   SH         SOLE      1        8,898          --       --
GIANT INDUSTRIES INC           EQUITY    374508109     727     10,924   SH         SOLE      1       10,924          --       --
GIBRALTAR INDUSTRIES INC       EQUITY    374689107     524     18,066   SH         SOLE      1       18,066          --       --
GILDAN ACTIVEWEAR INC          EQUITY    375916103      33        688   SH         OTHER     1           --         688       --
GILEAD SCIENCES INC            EQUITY    375558103     802     13,564   SH         SOLE      2       13,564          --       --
GILEAD SCIENCES INC            EQUITY    375558103   87459  1,478,395   SH         SOLE      1    1,478,395          --       --
GLACIER BANCORP INC            EQUITY    37637Q105     788     26,926   SH         SOLE      1       26,926          --       --
GLADSTONE CAPITAL CORP         EQUITY    376535100     180      8,438   SH         SOLE      1        8,438          --       --
GLADSTONE INVESTMENT CORP      EQUITY    376546107     147      9,785   SH         SOLE      1        9,785          --       --
GLAMIS GOLD LTD                EQUITY    376775102    2507     66,056   SH         OTHER     1           --      66,056       --
GLATFELTER                     EQUITY    377316104    2037    128,364   SH         SOLE      1      128,364          --       --
GLAXOSMITHKLINE PLC            EQUITY    37733W105      14        250   SH        DEFINED    4           --          --      250
GLAXOSMITHKLINE PLC            EQUITY    37733W105     525      9,400   SH         SOLE      2        9,400          --       --
GLOBAL CASH ACCESS HOLDINGS IN EQUITY    378967103     888     56,839   SH         SOLE      1       56,839          --       --
GLOBAL IMAGING SYSTEMS INC     EQUITY    37934A100     223      5,400   SH         SOLE      2        5,400          --       --
GLOBAL IMAGING SYSTEMS INC     EQUITY    37934A100     718     17,402   SH         SOLE      1       17,402          --       --
GLOBAL INDUSTRIES LTD          EQUITY    379336100      33      1,990   SH         SOLE      1        1,990          --       --
GLOBAL PAYMENTS INC            EQUITY    37940X102     655     13,500   SH         SOLE      2       13,500          --       --
GLOBAL PAYMENTS INC            EQUITY    37940X102    1555     32,020   SH         SOLE      1       32,020          --       --
GLOBAL SIGNAL INC              EQUITY    37944Q103      18        385   SH         SOLE      1          385          --       --
GLOBAL SIGNAL INC              EQUITY    37944Q103    5836    126,000   SH         SOLE      2      126,000          --       --
GLOBAL SOURCES LTD             EQUITY    G39300101      93      9,600   SH         SOLE      2        9,600          --       --
GLOBALSANTAFE CORP             EQUITY    G3930E101     191      3,300   SH         SOLE      2        3,300          --       --






                                                                                                        VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
GMH COMMUNITIES TRUST          EQUITY    36188G102     390     29,620   SH         SOLE      1       29,620          --       --
GMX RESOURCES INC              EQUITY    38011M108     185      5,995   SH         SOLE      1        5,995          --       --
GOLD KIST INC                  EQUITY    380614107     509     38,079   SH         SOLE      1       38,079          --       --
GOLDCORP INC                   EQUITY    380956409    1872     62,039   SH         OTHER     1           --      62,039       --
GOLDEN TELECOM INC             EQUITY    38122G107     784     30,913   SH         SOLE      1       30,913          --       --
GOLDEN WEST FINANCIAL CORP     EQUITY    381317106      24        318   SH         SOLE      2          318          --       --
GOLDEN WEST FINANCIAL CORP     EQUITY    381317106    8318    112,098   SH         SOLE      1      112,098          --       --
GOLDMAN SACHS GROUP INC        EQUITY    38141G104       1          9   SH        DEFINED    4           --          --        9
GOLDMAN SACHS GROUP INC        EQUITY    38141G104   27825    184,969   SH         SOLE      2      184,969          --       --
GOLDMAN SACHS GROUP INC        EQUITY    38141G104   30159    200,486   SH         SOLE      1      200,486          --       --
GOODMAN GLOBAL INC             EQUITY    38239A100     267     17,580   SH         SOLE      1       17,580          --       --
GOODRICH CORP                  EQUITY    382388106       2         41   SH        DEFINED    4           --          --       41
GOODRICH CORP                  EQUITY    382388106    2313     57,415   SH         SOLE      1       57,415          --       --
GOODRICH CORP                  EQUITY    382388106   11916    295,754   SH         SOLE      2      295,754          --       --
GOODRICH PETROLEUM CORP        EQUITY    382410405     265      9,320   SH         SOLE      1        9,320          --       --
GOODYEAR TIRE & RUBBER CO/THE  EQUITY    382550101       2        220   SH         SOLE      2          220          --       --
GOODYEAR TIRE & RUBBER CO/THE  EQUITY    382550101    1572    141,625   SH         SOLE      1      141,625          --       --
GOOGLE INC                     EQUITY    38259P508      10         24   SH        DEFINED    4           --          --       24
GOOGLE INC                     EQUITY    38259P508    3672      8,756   SH         SOLE      2        8,756          --       --
GOOGLE INC                     EQUITY    38259P508   50444    120,296   SH         SOLE      1      120,296          --       --
GORMAN-RUPP CO/THE             EQUITY    383082104     181      6,816   SH         SOLE      1        6,816          --       --
GRACO INC                      EQUITY    384109104    6816    148,243   SH         SOLE      1      148,243          --       --
GRAFTECH INTERNATIONAL LTD     EQUITY    384313102     426     73,449   SH         SOLE      1       73,449          --       --
GRAMERCY CAPITAL CORP/NEW YORK EQUITY    384871109    1824     70,431   SH         SOLE      1       70,431          --       --
GRANITE CONSTRUCTION INC       EQUITY    387328107    4375     96,646   SH         SOLE      1       96,646          --       --
GRANT PRIDECO INC              EQUITY    38821G101       3         63   SH        DEFINED    4           --          --       63
GRANT PRIDECO INC              EQUITY    38821G101    2797     62,500   SH         SOLE      3       17,500          --   45,000
GRANT PRIDECO INC              EQUITY    38821G101   21334    476,735   SH         SOLE      1      476,735          --       --
GRAPHIC PACKAGING CORP         EQUITY    388688103     214     56,482   SH         SOLE      1       56,482          --       --
GRAY TELEVISION INC            EQUITY    389375106     185     31,991   SH         SOLE      1       31,991          --       --
GREAT AMERICAN FINANCIAL RESOU EQUITY    389915109     138      6,576   SH         SOLE      1        6,576          --       --
GREAT ATLANTIC & PACIFIC TEA C EQUITY    390064103     327     14,373   SH         SOLE      1       14,373          --       --
GREAT PLAINS ENERGY INC        EQUITY    391164100    4823    173,099   SH         SOLE      1      173,099          --       --
GREAT SOUTHERN BANCORP INC     EQUITY    390905107     239      7,820   SH         SOLE      1        7,820          --       --
GREAT WOLF RESORTS INC         EQUITY    391523107     240     19,999   SH         SOLE      1       19,999          --       --
GREATBATCH INC                 EQUITY    39153L106     224      9,500   SH         SOLE      2        9,500          --       --
GREATBATCH INC                 EQUITY    39153L106     537     22,772   SH         SOLE      1       22,772          --       --
GREATER BAY BANCORP            EQUITY    391648102    4185    145,571   SH         SOLE      1      145,571          --       --
GREEN MOUNTAIN COFFEE ROASTERS EQUITY    393122106     143      3,558   SH         SOLE      1        3,558          --       --
GREENBRIER COS INC             EQUITY    393657101     331     10,096   SH         SOLE      1       10,096          --       --
GREENE COUNTY BANCSHARES INC   EQUITY    394361208     201      6,477   SH         SOLE      1        6,477          --       --
GREENHILL & CO INC             EQUITY    395259104     340      5,600   SH         SOLE      2        5,600          --       --
GREENHILL & CO INC             EQUITY    395259104     799     13,147   SH         SOLE      1       13,147          --       --
GREIF INC                      EQUITY    397624107     922     12,296   SH         SOLE      1       12,296          --       --
GREY WOLF INC                  EQUITY    397888108    1117    145,085   SH         SOLE      1      145,085          --       --
GRIFFON CORP                   EQUITY    398433102     580     22,205   SH         SOLE      1       22,205          --       --
GROUP 1 AUTOMOTIVE INC         EQUITY    398905109     852     15,131   SH        DEFINED    4           --          --   15,131
GROUP 1 AUTOMOTIVE INC         EQUITY    398905109    2008     35,632   SH         SOLE      1       35,632          --       --
GRUPO TELEVISA SA              EQUITY    40049J206     502     26,000   SH        DEFINED    4           --          --   26,000
GSI COMMERCE INC               EQUITY    36238G102     395     29,206   SH         SOLE      1       29,206          --       --
GTECH HOLDINGS CORP            EQUITY    400518106   10110    290,671   SH         SOLE      1      290,671          --       --
GTX INC                        EQUITY    40052B108      85      9,343   SH         SOLE      1        9,343          --       --
GUESS ? INC                    EQUITY    401617105     330      7,900   SH         SOLE      2        7,900          --       --
GUESS ? INC                    EQUITY    401617105    1876     44,927   SH         SOLE      1       44,927          --       --
GUITAR CENTER INC              EQUITY    402040109     872     19,598   SH         SOLE      1       19,598          --       --
GUITAR CENTER INC              EQUITY    402040109   10797    242,800   SH         SOLE      2      242,800          --       --
GULF ISLAND FABRICATION INC    EQUITY    402307102     180      8,996   SH         SOLE      1        8,996          --       --
GULFMARK OFFSHORE INC          EQUITY    402629109     307     11,869   SH         SOLE      1       11,869          --       --
GULFPORT ENERGY CORP           EQUITY    402635304     106      9,594   SH         SOLE      1        9,594          --       --
GYMBOREE CORP                  EQUITY    403777105     866     24,926   SH        DEFINED    4           --          --   24,926
GYMBOREE CORP                  EQUITY    403777105    2511     72,224   SH         SOLE      1       72,224          --       --
H&E EQUIPMENT SERVICES INC     EQUITY    404030108      18        600   SH        DEFINED    4           --          --      600
H&E EQUIPMENT SERVICES INC     EQUITY    404030108     252      8,549   SH         SOLE      1        8,549          --       --
H&Q HEALTHCARE INVESTORS       EQUITY    404052102     258     15,202   SH        DEFINED    4           --          --   15,202
H&R BLOCK INC                  EQUITY    093671105      10        407   SH         SOLE      2          407          --       --
H&R BLOCK INC                  EQUITY    093671105    3608    151,221   SH         SOLE      1      151,221          --       --
HAEMONETICS CORP/MASS          EQUITY    405024100    1197     25,746   SH         SOLE      1       25,746          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
HAEMONETICS CORP/MASS          EQUITY    405024100   12227    262,900   SH         SOLE      2      262,900          --       --
HAIN CELESTIAL GROUP INC       EQUITY    405217100     597     23,167   SH         SOLE      1       23,167          --       --
HALLIBURTON CO                 EQUITY    406216101      28        379   SH        DEFINED    4           --          --      379
HALLIBURTON CO                 EQUITY    406216101    1843     24,840   SH         SOLE      2       24,840          --       --
HALLIBURTON CO                 EQUITY    406216101   21771    293,370   SH         SOLE      1      293,370          --       --
HALLIBURTON COMPANY            CORP BOND 406216AM3       6      3,000  PRN        DEFINED    4           --          --    3,000
HALLIBURTON COMPANY            CORP BOND 406216AM3    2256  1,125,000  PRN         SOLE      1    1,125,000          --       --
HANA BIOSCIENCES INC           EQUITY    40963P105     194     21,418   SH         SOLE      1       21,418          --       --
HANCOCK HOLDING CO             EQUITY    410120109    1129     20,156   SH         SOLE      1       20,156          --       --
HANDLEMAN CO                   EQUITY    410252100       2        200   SH        DEFINED    4           --          --      200
HANMI FINANCIAL CORP           EQUITY    410495105     885     45,538   SH         SOLE      1       45,538          --       --
HANOVER COMPRESSOR CO          EQUITY    410768105    5138    273,584   SH         SOLE      1      273,584          --       --
HANOVER INSURANCE GROUP INC/TH EQUITY    410867105    5240    110,414   SH         SOLE      1      110,414          --       --
HANSEN NATURAL CORP            EQUITY    411310105      65        344   SH         SOLE      1          344          --       --
HANSEN NATURAL CORP            EQUITY    411310105     533      2,800   SH         SOLE      2        2,800          --       --
HANSEN NATURAL CORP            EQUITY    411310105     881      4,627   SH        DEFINED    4           --          --    4,627
HARBOR FLORIDA BANCSHARES INC  EQUITY    411901101     581     15,645   SH         SOLE      1       15,645          --       --
HARLEY-DAVIDSON INC            EQUITY    412822108       5        100   SH        DEFINED    4           --          --      100
HARLEY-DAVIDSON INC            EQUITY    412822108      18        333   SH         SOLE      2          333          --       --
HARLEY-DAVIDSON INC            EQUITY    412822108   12234    222,890   SH         SOLE      1      222,890          --       --
HARLEYSVILLE GROUP INC         EQUITY    412824104     325     10,261   SH         SOLE      1       10,261          --       --
HARLEYSVILLE NATIONAL CORP     EQUITY    412850109     435     20,529   SH         SOLE      1       20,529          --       --
HARMAN INTERNATIONAL INDUSTRIE EQUITY    413086109       7         83   SH         SOLE      2           83          --       --
HARMAN INTERNATIONAL INDUSTRIE EQUITY    413086109    3976     46,571   SH         SOLE      1       46,571          --       --
HARMONIC INC                   EQUITY    413160102     248     55,337   SH         SOLE      1       55,337          --       --
HARRAH'S ENTERTAINMENT INC     EQUITY    413619107      16        229   SH         SOLE      2          229          --       --
HARRAH'S ENTERTAINMENT INC     EQUITY    413619107    6096     85,637   SH         SOLE      1       85,637          --       --
HARRIS & HARRIS GROUP INC      EQUITY    413833104     171     15,486   SH         SOLE      1       15,486          --       --
HARRIS CORP                    EQUITY    413875105     277      6,675   SH        DEFINED    4           --          --    6,675
HARRIS CORP                    EQUITY    413875105   12068    290,727   SH         SOLE      1      290,727          --       --
HARRIS INTERACTIVE INC         EQUITY    414549105     230     40,404   SH         SOLE      1       40,404          --       --
HARSCO CORP                    EQUITY    415864107    7082     90,846   SH         SOLE      1       90,846          --       --
HARTE-HANKS INC                EQUITY    416196103    3099    120,861   SH         SOLE      1      120,861          --       --
HARTE-HANKS INC                EQUITY    416196103   10459    407,900   SH         SOLE      2      407,900          --       --
HARTFORD FINANCIAL SERVICES GR EQUITY    416515104     387      4,576   SH         SOLE      2        4,576          --       --
HARTFORD FINANCIAL SERVICES GR EQUITY    416515104     967     11,427   SH        DEFINED    4           --          --   11,427
HARTFORD FINANCIAL SERVICES GR EQUITY    416515104   46863    553,946   SH         SOLE      1      553,946          --       --
HARTMARX CORP                  EQUITY    417119104     142     23,650   SH         SOLE      1       23,650          --       --
HARVEST ENERGY TRUST           EQUITY    41752X101      29        972   SH         OTHER     1           --         972       --
HARVEST NATURAL RESOURCES INC  EQUITY    41754V103     375     27,713   SH         SOLE      1       27,713          --       --
HASBRO INC                     EQUITY    418056107       4        213   SH         SOLE      2          213          --       --
HASBRO INC                     EQUITY    418056107    2544    140,450   SH         SOLE      1      140,450          --       --
HAVERTY FURNITURE COS INC      EQUITY    419596101     264     16,802   SH         SOLE      1       16,802          --       --
HAWAIIAN ELECTRIC INDUSTRIES I EQUITY    419870100    9299    333,175   SH         SOLE      1      333,175          --       --
HB FULLER CO                   EQUITY    359694106    1941     44,539   SH         SOLE      1       44,539          --       --
HCA INC                        EQUITY    404119109      22        506   SH         SOLE      2          506          --       --
HCA INC                        EQUITY    404119109    7725    179,024   SH         SOLE      1      179,024          --       --
HCC INSURANCE HOLDINGS INC     EQUITY    404132102    7124    241,989   SH         SOLE      1      241,989          --       --
HEADWATERS INC                 EQUITY    42210P102     806     31,543   SH         SOLE      1       31,543          --       --
HEALTH CARE PROPERTY INVESTORS EQUITY    421915109    2531     94,648   SH         SOLE      1       94,648          --       --
HEALTH CARE SELECT SECTOR SPDR EQUITY    81369Y209     106      3,500   SH        DEFINED    4           --          --    3,500
HEALTH MANAGEMENT ASSOC        CORP BOND 421933AF9       3      3,000  PRN        DEFINED    4           --          --    3,000
HEALTH MANAGEMENT ASSOC        CORP BOND 421933AF9     706    700,000  PRN         SOLE      1      700,000          --       --
HEALTH MANAGEMENT ASSOCIATES I EQUITY    421933102       6        299   SH         SOLE      2          299          --       --
HEALTH MANAGEMENT ASSOCIATES I EQUITY    421933102      68      3,430   SH        DEFINED    4           --          --    3,430
HEALTH MANAGEMENT ASSOCIATES I EQUITY    421933102    2396    121,570   SH         SOLE      1      121,570          --       --
HEALTH NET INC                 EQUITY    42222G108       2         37   SH        DEFINED    4           --          --       37
HEALTH NET INC                 EQUITY    42222G108     542     12,000   SH         SOLE      2       12,000          --       --
HEALTH NET INC                 EQUITY    42222G108   11284    249,804   SH         SOLE      1      249,804          --       --
HEALTHCARE REALTY TRUST INC    EQUITY    421946104     106      3,333   SH        DEFINED    4           --          --    3,333
HEALTHCARE SERVICES GROUP      EQUITY    421906108     113      5,400   SH         SOLE      2        5,400          --       --
HEALTHCARE SERVICES GROUP      EQUITY    421906108     510     24,339   SH         SOLE      1       24,339          --       --
HEALTHEXTRAS INC               EQUITY    422211102    1158     38,304   SH         SOLE      1       38,304          --       --
HEALTHSPRING INC               EQUITY    42224N101     263     14,014   SH         SOLE      1       14,014          --       --
HEALTHTRONICS INC              EQUITY    42222L107     200     26,157   SH         SOLE      1       26,157          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
HEALTHWAYS INC                 EQUITY    422245100    1356     25,752   SH         SOLE      1       25,752          --       --
HEARST-ARGYLE TELEVISION INC   EQUITY    422317107      20        904   SH         SOLE      1          904          --       --
HEARTLAND EXPRESS INC          EQUITY    422347104     808     45,163   SH         SOLE      1       45,163          --       --
HEARTLAND FINANCIAL USA INC    EQUITY    42234Q102     288     10,808   SH         SOLE      1       10,808          --       --
HEARTLAND PAYMENT SYSTEMS INC  EQUITY    42235N108     290     10,386   SH         SOLE      1       10,386          --       --
HEARTLAND PAYMENT SYSTEMS INC  EQUITY    42235N108    4703    168,700   SH         SOLE      2      168,700          --       --
HECLA MINING CO                EQUITY    422704106     467     88,920   SH         SOLE      1       88,920          --       --
HEICO CORP                     EQUITY    422806109     435     15,357   SH         SOLE      1       15,357          --       --
HEIDRICK & STRUGGLES INTERNATI EQUITY    422819102     463     13,685   SH         SOLE      1       13,685          --       --
HELIX ENERGY SOLUTIONS GROUP I EQUITY    42330P107     274      6,800   SH         SOLE      2        6,800          --       --
HELMERICH & PAYNE INC          EQUITY    423452101    6839    113,485   SH         SOLE      1      113,485          --       --
HENRY SCHEIN INC               EQUITY    806407102    8934    191,191   SH         SOLE      1      191,191          --       --
HERCULES INC                   EQUITY    427056106       2        141   SH         SOLE      2          141          --       --
HERCULES INC                   EQUITY    427056106    3666    240,255   SH         SOLE      1      240,255          --       --
HERCULES OFFSHORE INC          EQUITY    427093109     529     15,121   SH         SOLE      1       15,121          --       --
HERCULES OFFSHORE INC          EQUITY    427093109    2174     62,100   SH         SOLE      2       62,100          --       --
HERITAGE COMMERCE CORP         EQUITY    426927109     219      8,834   SH         SOLE      1        8,834          --       --
HERITAGE PROPERTY INVESTMENT T EQUITY    42725M107     736     21,084   SH         SOLE      1       21,084          --       --
HERLEY INDUSTRIES INC          EQUITY    427398102     121     10,836   SH         SOLE      1       10,836          --       --
HERMAN MILLER INC              EQUITY    600544100    4940    191,695   SH         SOLE      1      191,695          --       --
HERSHEY CO/THE                 EQUITY    427866108      12        220   SH         SOLE      2          220          --       --
HERSHEY CO/THE                 EQUITY    427866108    6727    122,161   SH         SOLE      1      122,161          --       --
HESS CORP                      EQUITY    42809H107     851     16,099   SH         SOLE      2       16,099          --       --
HESS CORP                      EQUITY    42809H107    6024    113,977   SH         SOLE      1      113,977          --       --
HEWITT ASSOCIATES INC          EQUITY    42822Q100      39      1,745   SH         SOLE      1        1,745          --       --
HEWLETT-PACKARD CO             EQUITY    428236103     116      3,656   SH        DEFINED    4           --          --    3,656
HEWLETT-PACKARD CO             EQUITY    428236103   27959    882,559   SH         SOLE      2      882,559          --       --
HEWLETT-PACKARD CO             EQUITY    428236103   66326  2,093,639   SH         SOLE      1    2,093,639          --       --
HEXCEL CORP                    EQUITY    428291108    1094     69,634   SH         SOLE      1       69,634          --       --
HIBBETT SPORTING GOODS INC     EQUITY    428565105     641     26,820   SH         SOLE      1       26,820          --       --
HIGHLAND HOSPITALITY CORP      EQUITY    430141101     627     44,557   SH         SOLE      1       44,557          --       --
HIGHWOODS PROPERTIES INC       EQUITY    431284108     284      7,836   SH         SOLE      1        7,836          --       --
HILB ROGAL & HOBBS CO          EQUITY    431294107    1006     26,997   SH         SOLE      1       26,997          --       --
HILLENBRAND INDUSTRIES INC     EQUITY    431573104    6469    133,388   SH         SOLE      1      133,388          --       --
HILTON HOTELS CORP             CORP BOND 432848AZ2       5      4,000  PRN        DEFINED    4           --          --    4,000
HILTON HOTELS CORP             EQUITY    432848109      12        410   SH         SOLE      2          410          --       --
HILTON HOTELS CORP             EQUITY    432848109    4350    153,821   SH         SOLE      1      153,821          --       --
HI-TECH PHARMACAL CO INC       EQUITY    42840B101     124      7,494   SH         SOLE      1        7,494          --       --
HITTITE MICROWAVE CORP         EQUITY    43365Y104     242      6,700   SH         SOLE      2        6,700          --       --
HITTITE MICROWAVE CORP         EQUITY    43365Y104     350      9,693   SH         SOLE      1        9,693          --       --
HJ HEINZ CO                    EQUITY    423074103      17        415   SH         SOLE      2          415          --       --
HJ HEINZ CO                    EQUITY    423074103    6442    156,280   SH         SOLE      1      156,280          --       --
HMS HOLDINGS CORP              EQUITY    40425J101    1217    113,500   SH         SOLE      1      113,500          --       --
HMS HOLDINGS CORP              EQUITY    40425J101    4082    380,800   SH         SOLE      3      380,800          --       --
HNI CORP                       EQUITY    404251100      12        257   SH        DEFINED    4           --          --      257
HNI CORP                       EQUITY    404251100    5091    112,268   SH         SOLE      1      112,268          --       --
HOLLY CORP                     EQUITY    435758305      52      1,083   SH         SOLE      1        1,083          --       --
HOLOGIC INC                    EQUITY    436440101     607     12,300   SH         SOLE      2       12,300          --       --
HOLOGIC INC                    EQUITY    436440101    2745     55,615   SH         SOLE      1       55,615          --       --
HOME DEPOT INC                 EQUITY    437076102    1603     44,787   SH        DEFINED    4           --          --   44,787
HOME DEPOT INC                 EQUITY    437076102    5886    164,463   SH         SOLE      2      164,463          --       --
HOME DEPOT INC                 EQUITY    437076102   34614    967,147   SH         SOLE      1      967,147          --       --
HOME FEDERAL BANCORP INC/ID    EQUITY    43709A101      63      4,636   SH         SOLE      1        4,636          --       --
HOME SOLUTIONS OF AMERICA INC  EQUITY    437355100     173     28,080   SH         SOLE      1       28,080          --       --
HONEYWELL INTERNATIONAL INC    EQUITY    438516106     101      2,500   SH        DEFINED    4           --          --    2,500
HONEYWELL INTERNATIONAL INC    EQUITY    438516106    1109     27,527   SH         SOLE      2       27,527          --       --
HONEYWELL INTERNATIONAL INC    EQUITY    438516106   87752  2,177,637   SH         SOLE      1    2,177,637          --       --
HOOKER FURNITURE CORP          EQUITY    439038100     134      7,978   SH         SOLE      1        7,978          --       --
HORACE MANN EDUCATORS CORP     EQUITY    440327104    2107    124,282   SH         SOLE      1      124,282          --       --
HORIZON FINANCIAL CORP         EQUITY    44041F105     203      7,383   SH         SOLE      1        7,383          --       --
HORIZON HEALTH CORP            EQUITY    44041Y104     234     11,199   SH         SOLE      1       11,199          --       --
HORIZON LINES INC              EQUITY    44044K101     171     10,661   SH         SOLE      1       10,661          --       --
HORIZON OFFSHORE INC           EQUITY    44043J204    9432    450,000   SH         SOLE      1      450,000          --       --
HORMEL FOODS CORP              EQUITY    440452100    5909    159,106   SH         SOLE      1      159,106          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
HORNBECK OFFSHORE SERVICES INC EQUITY    440543106    1670     47,019   SH         SOLE      1       47,019          --       --
HOSPIRA INC                    EQUITY    441060100       8        194   SH         SOLE      2          194          --       --
HOSPIRA INC                    EQUITY    441060100    5566    129,626   SH         SOLE      1      129,626          --       --
HOSPITALITY PROPERTIES TRUST   EQUITY    44106M102     369      8,402   SH        DEFINED    4           --          --    8,402
HOSPITALITY PROPERTIES TRUST   EQUITY    44106M102    6884    156,744   SH         SOLE      1      156,744          --       --
HOST HOTELS & RESORTS INC      EQUITY    44107P104    7547    345,085   SH         SOLE      1      345,085          --       --
HOT TOPIC INC                  EQUITY    441339108     379     32,944   SH         SOLE      1       32,944          --       --
HOUSEVALUES INC                EQUITY    44183Y102      74     10,719   SH         SOLE      1       10,719          --       --
HOUSTON EXPLORATION CO         EQUITY    442120101    1328     21,705   SH         SOLE      1       21,705          --       --
HOVNANIAN ENTERPRISES INC      EQUITY    442487203    3429    114,005   SH         SOLE      1      114,005          --       --
HRPT PROPERTIES TRUST          EQUITY    40426W101     224     19,393   SH        DEFINED    4           --          --   19,393
HSBC HOLDINGS PLC              EQUITY    404280604     813     35,000   SH         SOLE      1       35,000          --       --
HUANENG POWER INTERNATIONAL IN EQUITY    443304100       3        100   SH        DEFINED    4           --          --      100
HUB GROUP INC                  EQUITY    443320106     732     29,848   SH         SOLE      1       29,848          --       --
HUBBELL INC                    EQUITY    443510201    6298    132,170   SH         SOLE      1      132,170          --       --
HUDSON CITY BANCORP INC        EQUITY    443683107     219     16,395   SH         SOLE      1       16,395          --       --
HUDSON CITY BANCORP INC        EQUITY    443683107    2799    210,000   SH         SOLE      2      210,000          --       --
HUDSON HIGHLAND GROUP INC      EQUITY    443792106     198     18,314   SH         SOLE      1       18,314          --       --
HUGOTON ROYALTY TRUST          EQUITY    444717102      18        600   SH        DEFINED    4           --          --      600
HUMAN GENOME SCIENCES INC      EQUITY    444903108    1049     98,059   SH         SOLE      1       98,059          --       --
HUMANA INC                     EQUITY    444859102      11        204   SH         SOLE      2          204          --       --
HUMANA INC                     EQUITY    444859102    4066     75,726   SH         SOLE      1       75,726          --       --
HUNTINGTON BANCSHARES INC/OH   EQUITY    446150104       4        150   SH        DEFINED    4           --          --      150
HUNTINGTON BANCSHARES INC/OH   EQUITY    446150104       7        304   SH         SOLE      2          304          --       --
HUNTINGTON BANCSHARES INC/OH   EQUITY    446150104    2741    116,224   SH         SOLE      1      116,224          --       --
HUNTSMAN CORP                  EQUITY    447011107    1039     59,972   SH         SOLE      1       59,972          --       --
HURON CONSULTING GROUP INC     EQUITY    447462102     456     12,985   SH         SOLE      1       12,985          --       --
HUTCHINSON TECHNOLOGY INC      EQUITY    448407106     414     19,138   SH         SOLE      1       19,138          --       --
HYDRIL                         EQUITY    448774109    1044     13,301   SH         SOLE      1       13,301          --       --
HYPERCOM CORP                  EQUITY    44913M105     374     40,026   SH         SOLE      1       40,026          --       --
HYPERION SOLUTIONS CORP        EQUITY    44914M104    1352     48,991   SH         SOLE      1       48,991          --       --
HYTHIAM INC                    EQUITY    44919F104     136     19,543   SH         SOLE      1       19,543          --       --
I2 TECHNOLOGIES INC            EQUITY    465754208     134     10,568   SH         SOLE      1       10,568          --       --
IAC/INTERACTIVECORP            EQUITY    44919P300      17        640   SH        DEFINED    4           --          --      640
IAC/INTERACTIVECORP            EQUITY    44919P300     650     24,522   SH         SOLE      1       24,522          --       --
IAMGOLD CORP                   EQUITY    450913108    1630    183,200   SH         OTHER     1           --     183,200       --
IBERIABANK CORP                EQUITY    450828108     417      7,244   SH         SOLE      1        7,244          --       --
IBM                            EQUITY    459200101     987     12,853   SH        DEFINED    4           --          --   12,853
IBM                            EQUITY    459200101    7200     93,722   SH         SOLE      2       93,722          --       --
IBM                            EQUITY    459200101   74280    966,849   SH         SOLE      1      966,849          --       --
ICONIX BRAND GROUP INC         EQUITY    451055107     427     26,161   SH         SOLE      1       26,161          --       --
ICOS CORP                      EQUITY    449295104    1071     48,712   SH         SOLE      1       48,712          --       --
ICT GROUP INC                  EQUITY    44929Y101      87      5,051   SH         SOLE      1        5,051          --       --
ICU MEDICAL INC                EQUITY    44930G107     228      5,400   SH         SOLE      2        5,400          --       --
ICU MEDICAL INC                EQUITY    44930G107     450     10,657   SH         SOLE      1       10,657          --       --
ID SYSTEMS INC                 EQUITY    449489103     146      8,262   SH         SOLE      1        8,262          --       --
IDACORP INC                    EQUITY    451107106    4239    123,628   SH         SOLE      1      123,628          --       --
IDENIX PHARMACEUTICALS INC     EQUITY    45166R204     173     18,418   SH         SOLE      1       18,418          --       --
IDENTIX INC                    EQUITY    451906101     468     66,926   SH         SOLE      1       66,926          --       --
IDEX CORP                      EQUITY    45167R104      57      1,203   SH         SOLE      1        1,203          --       --
IDEX CORP                      EQUITY    45167R104    8053    170,616   SH         SOLE      2      170,616          --       --
IDEXX LABORATORIES INC         EQUITY    45168D104      53        711   SH         SOLE      1          711          --       --
IDEXX LABORATORIES INC         EQUITY    45168D104     210      2,800   SH         SOLE      2        2,800          --       --
IDT CORP                       EQUITY    448947309     547     39,637   SH         SOLE      1       39,637          --       --
I-FLOW CORP                    EQUITY    449520303     189     17,444   SH         SOLE      1       17,444          --       --
IGATE CORP                     EQUITY    45169U105     105     16,433   SH         SOLE      1       16,433          --       --
IHOP CORP                      EQUITY    449623107     659     13,708   SH         SOLE      1       13,708          --       --
IHS INC                        EQUITY    451734107     516     17,428   SH         SOLE      1       17,428          --       --
II-VI INC                      EQUITY    902104108     216     11,800   SH         SOLE      2       11,800          --       --
II-VI INC                      EQUITY    902104108     321     17,529   SH         SOLE      1       17,529          --       --
IKANOS COMMUNICATIONS INC      EQUITY    45173E105     233     15,319   SH         SOLE      1       15,319          --       --
IKON OFFICE SOLUTIONS INC      EQUITY    451713101    1033     81,977   SH         SOLE      1       81,977          --       --
ILLINOIS TOOL WORKS INC        EQUITY    452308109      24        514   SH         SOLE      2          514          --       --
ILLINOIS TOOL WORKS INC        EQUITY    452308109   11004    231,664   SH         SOLE      1      231,664          --       --
ILLUMINA INC                   EQUITY    452327109     845     28,493   SH        DEFINED    4           --          --   28,493
ILLUMINA INC                   EQUITY    452327109     923     31,113   SH         SOLE      1       31,113          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
IMATION CORP                   EQUITY    45245A107    4139    100,825   SH         SOLE      1      100,825          --       --
IMCLONE SYSTEMS INC            EQUITY    45245W109      61      1,567   SH         SOLE      1        1,567          --       --
IMCLONE SYSTEMS INC            EQUITY    45245W109     649     16,800   SH         SOLE      2       16,800          --       --
IMMUCOR INC                    EQUITY    452526106     238     12,400   SH         SOLE      2       12,400          --       --
IMMUCOR INC                    EQUITY    452526106    2185    113,601   SH         SOLE      1      113,601          --       --
IMPAC MORTGAGE HOLDINGS INC    EQUITY    45254P102     635     56,788   SH         SOLE      1       56,788          --       --
IMPCO TECHNOLOGIES INC         EQUITY    45255W106     178     16,694   SH         SOLE      1       16,694          --       --
IMPERIAL INDUSTRIES INC        EQUITY    452848401       3        200   SH        DEFINED    4           --          --      200
IMPERIAL OIL LTD               EQUITY    453038408    3113     85,100   SH         OTHER     1           --      85,100       --
IMPERIAL SUGAR CO              EQUITY    453096208     298     12,563   SH         SOLE      1       12,563          --       --
IMS HEALTH INC                 EQUITY    449934108       7        248   SH         SOLE      2          248          --       --
IMS HEALTH INC                 EQUITY    449934108    2486     92,580   SH         SOLE      1       92,580          --       --
INCO LTD                       EQUITY    453258402     132      2,000   SH         OTHER     1           --       2,000       --
INCYTE CORP                    EQUITY    45337C102     287     62,407   SH         SOLE      1       62,407          --       --
INDEPENDENCE HOLDING CO        EQUITY    453440307      84      3,752   SH         SOLE      1        3,752          --       --
INDEPENDENT BANK CORP/MI       EQUITY    453838104     429     16,295   SH         SOLE      1       16,295          --       --
INDEPENDENT BANK CORP/ROCKLAND EQUITY    453836108     365     11,240   SH         SOLE      1       11,240          --       --
INDEVUS PHARMACEUTICALS INC    EQUITY    454072109     194     35,525   SH         SOLE      1       35,525          --       --
INDIA FUND INC                 EQUITY    454089103      37        810   SH        DEFINED    4           --          --      810
INDUSTRIAL SELECT SECTOR SPDR  EQUITY    81369Y704     172      5,074   SH        DEFINED    4           --          --    5,074
INDYMAC BANCORP INC            EQUITY    456607100    6532    142,463   SH         SOLE      1      142,463          --       --
INFINITY PROPERTY & CASUALTY C EQUITY    45665Q103     633     15,427   SH         SOLE      1       15,427          --       --
INFOCROSSING INC               EQUITY    45664X109     147     12,724   SH         SOLE      1       12,724          --       --
INFORMATICA CORP               EQUITY    45666Q102     513     39,000   SH         SOLE      2       39,000          --       --
INFORMATICA CORP               EQUITY    45666Q102     846     64,275   SH         SOLE      1       64,275          --       --
INFOSPACE INC                  EQUITY    45678T201    1160     51,177   SH         SOLE      1       51,177          --       --
INFOUSA INC                    EQUITY    456818301     258     25,061   SH         SOLE      1       25,061          --       --
INFRASOURCE SERVICES INC       EQUITY    45684P102     363     19,907   SH         SOLE      1       19,907          --       --
ING CLARION GLOBAL REAL ESTATE EQUITY    44982G104     164      9,180   SH        DEFINED    4           --          --    9,180
INGERSOLL-RAND CO LTD          EQUITY    G4776G101      11        256   SH        DEFINED    4           --          --      256
INGERSOLL-RAND CO LTD          EQUITY    G4776G101      17        408   SH         SOLE      2          408          --       --
INGLES MARKETS INC             EQUITY    457030104     149      8,771   SH         SOLE      1        8,771          --       --
INGRAM MICRO INC               EQUITY    457153104    4691    258,764   SH         SOLE      1      258,764          --       --
INLAND REAL ESTATE CORP        EQUITY    457461200     751     50,453   SH         SOLE      1       50,453          --       --
INNKEEPERS USA TRUST           EQUITY    4576J0104     557     32,222   SH         SOLE      1       32,222          --       --
INNOSPEC INC                   EQUITY    45768S105     233      9,173   SH         SOLE      1        9,173          --       --
INNOVATIVE SOLUTIONS & SUPPORT EQUITY    45769N105     126      8,947   SH         SOLE      1        8,947          --       --
INPHONIC INC                   EQUITY    45772G105     112     17,806   SH         SOLE      1       17,806          --       --
INPUT/OUTPUT INC               EQUITY    457652105     497     52,580   SH         SOLE      1       52,580          --       --
INSIGHT ENTERPRISES INC        EQUITY    45765U103     686     36,011   SH         SOLE      1       36,011          --       --
INSITUFORM TECHNOLOGIES INC    EQUITY    457667103     464     20,276   SH         SOLE      1       20,276          --       --
INSTEEL INDUSTRIES INC         EQUITY    45774W108     251     10,396   SH         SOLE      1       10,396          --       --
INSWEB CORP                    EQUITY    45809K202      24      9,194   SH         SOLE      1        9,194          --       --
INTEGRA BANK CORP              EQUITY    45814P105     284     13,050   SH         SOLE      1       13,050          --       --
INTEGRA LIFESCIENCES HOLDINGS  EQUITY    457985208     551     14,198   SH         SOLE      1       14,198          --       --
INTEGRAL SYSTEMS INC/MD        EQUITY    45810H107     220      8,203   SH         SOLE      1        8,203          --       --
INTEGRATED DEVICE TECHNOLOGY I EQUITY    458118106    6259    441,392   SH         SOLE      1      441,392          --       --
INTEGRATED DEVICE TECHNOLOGY I EQUITY    458118106    9341    658,710   SH         SOLE      2      658,710          --       --
INTEGRATED ELECTRICAL SERVICES EQUITY    45811E301     200     11,435   SH         SOLE      1       11,435          --       --
INTEL CORP                     EQUITY    458140100     112      5,908   SH        DEFINED    4           --          --    5,908
INTEL CORP                     EQUITY    458140100    8299    437,951   SH         SOLE      2      437,951          --       --
INTEL CORP                     EQUITY    458140100   94348  4,965,670   SH         SOLE      1    4,965,670          --       --
INTER PARFUMS INC              EQUITY    458334109      60      3,470   SH         SOLE      1        3,470          --       --
INTERACTIVE DATA CORP          EQUITY    45840J107     537     26,751   SH         SOLE      1       26,751          --       --
INTERCHANGE FINANCIAL SERVICES EQUITY    458447109     304     13,503   SH         SOLE      1       13,503          --       --
INTERCONTINENTALEXCHANGE INC   EQUITY    45865V100      12        200   SH        DEFINED    4           --          --      200
INTERCONTINENTALEXCHANGE INC   EQUITY    45865V100      27        460   SH         SOLE      1          460          --       --
INTERCONTINENTALEXCHANGE INC   EQUITY    45865V100     180      3,100   SH         SOLE      2        3,100          --       --
INTERDIGITAL COMMUNICATIONS CO EQUITY    45866A105    1418     40,628   SH         SOLE      1       40,628          --       --
INTERFACE INC                  EQUITY    458665106     408     35,641   SH         SOLE      1       35,641          --       --
INTERGRAPH CORP                EQUITY    458683109    1345     42,703   SH         SOLE      1       42,703          --       --
INTERGRAPH CORP                EQUITY    458683109    2422     76,900   SH         SOLE      2       76,900          --       --
INTERLINE BRANDS INC           EQUITY    458743101     473     20,230   SH         SOLE      1       20,230          --       --
INTERMAGNETICS GENERAL CORP    EQUITY    458771102     853     31,621   SH         SOLE      1       31,621          --       --
INTERMEC INC                   EQUITY    458786100      12        524   SH        DEFINED    4           --          --      524
INTERMEC INC                   EQUITY    458786100     862     37,573   SH         SOLE      1       37,573          --       --
INTERMUNE INC                  EQUITY    45884X103     319     19,402   SH         SOLE      1       19,402          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
INTERNAP NETWORK SERVICES      EQUITY    45885A102     240    228,149   SH         SOLE      1      228,149          --       --
INTERNATIONAL BANCSHARES CORP  EQUITY    459044103     954     34,718   SH         SOLE      1       34,718          --       --
INTERNATIONAL COAL GROUP INC   EQUITY    45928H106     609     84,754   SH         SOLE      1       84,754          --       --
INTERNATIONAL DISPLAYWORKS INC EQUITY    459412102     173     33,185   SH         SOLE      1       33,185          --       --
INTERNATIONAL FLAVORS & FRAGRA EQUITY    459506101       3         98   SH         SOLE      2           98          --       --
INTERNATIONAL FLAVORS & FRAGRA EQUITY    459506101    1306     37,069   SH         SOLE      1       37,069          --       --
INTERNATIONAL GAME TECHNOLOGY  EQUITY    459902102    5917    155,965   SH         SOLE      1      155,965          --       --
INTERNATIONAL GAME TECHNOLOGY  EQUITY    459902102    6276    165,420   SH         SOLE      2      165,420          --       --
INTERNATIONAL PAPER CO         EQUITY    460146103      20        611   SH         SOLE      2          611          --       --
INTERNATIONAL PAPER CO         EQUITY    460146103    8669    268,401   SH         SOLE      1      268,401          --       --
INTERNATIONAL RECTIFIER CORP   EQUITY    460254105    6068    155,280   SH         SOLE      1      155,280          --       --
INTERNATIONAL SECURITIES EXCHA EQUITY    46031W204    1081     28,385   SH         SOLE      1       28,385          --       --
INTERNATIONAL SECURITIES EXCHA EQUITY    46031W204    2509     65,900   SH         SOLE      2       65,900          --       --
INTERNATIONAL SPEEDWAY CORP    EQUITY    460335201    3556     76,697   SH         SOLE      1       76,697          --       --
INTERNET CAPITAL GROUP INC     EQUITY    46059C205      65      7,230   SH        DEFINED    4           --          --    7,230
INTERNET CAPITAL GROUP INC     EQUITY    46059C205     263     29,230   SH         SOLE      1       29,230          --       --
INTERNET SECURITY SYSTEMS      EQUITY    46060X107     554     29,398   SH         SOLE      1       29,398          --       --
INTERPOOL INC                  EQUITY    46062R108     198      8,930   SH         SOLE      1        8,930          --       --
INTERPUBLIC GROUP OF COS INC   EQUITY    460690100       5        541   SH         SOLE      2          541          --       --
INTERPUBLIC GROUP OF COS INC   EQUITY    460690100    1682    201,430   SH         SOLE      1      201,430          --       --
INTERSIL CORP                  EQUITY    46069S109    7294    313,718   SH         SOLE      1      313,718          --       --
INTER-TEL INC                  EQUITY    458372109     331     15,712   SH         SOLE      1       15,712          --       --
INTERVEST BANCSHARES CORP      EQUITY    460927106     146      3,616   SH         SOLE      1        3,616          --       --
INTERVOICE INC                 EQUITY    461142101     205     28,732   SH         SOLE      1       28,732          --       --
INTERWOVEN INC                 EQUITY    46114T508     273     31,857   SH         SOLE      1       31,857          --       --
INTEVAC INC                    EQUITY    461148108     340     15,666   SH         SOLE      1       15,666          --       --
INTL GAME TECHNOLOGY           CORP BOND 459902AM4       3      4,000  PRN        DEFINED    4           --          --    4,000
INTRALASE CORP                 EQUITY    461169104     268     15,991   SH         SOLE      1       15,991          --       --
INTRAWEST CORP                 EQUITY    460915200      13        424   SH         OTHER     1           --         424       --
INTUIT INC                     EQUITY    461202103      13        212   SH         SOLE      2          212          --       --
INTUIT INC                     EQUITY    461202103    8284    136,827   SH         SOLE      1      136,827          --       --
INTUITIVE SURGICAL INC         EQUITY    46120E602     519      4,400   SH         SOLE      2        4,400          --       --
INTUITIVE SURGICAL INC         EQUITY    46120E602    9340     81,214   SH         SOLE      1       81,214          --       --
INVACARE CORP                  EQUITY    461203101     576     23,154   SH         SOLE      1       23,154          --       --
INVERNESS MEDICAL INNOVATIONS  EQUITY    46126P106     583     20,643   SH         SOLE      1       20,643          --       --
INVESTMENT TECHNOLOGY GROUP IN EQUITY    46145F105     504      9,900   SH         SOLE      2        9,900          --       --
INVESTMENT TECHNOLOGY GROUP IN EQUITY    46145F105    1133     22,276   SH         SOLE      1       22,276          --       --
INVESTOOLS INC                 EQUITY    46145P103     268     33,721   SH         SOLE      1       33,721          --       --
INVESTORS BANCORP INC          EQUITY    46146P102     537     39,646   SH         SOLE      1       39,646          --       --
INVESTORS FINANCIAL SERVICES C EQUITY    461915100    6393    142,382   SH         SOLE      1      142,382          --       --
INVESTORS REAL ESTATE TRUST    EQUITY    461730103     314     34,740   SH         SOLE      1       34,740          --       --
INVITROGEN CORP                EQUITY    46185R100    7637    115,587   SH         SOLE      1      115,587          --       --
INVITROGEN CORP                EQUITY    46185R100    8986    136,000   SH         SOLE      2      136,000          --       --
INVITROGEN INC                 CORP BOND 46185RAD2       3      3,000  PRN        DEFINED    4           --          --    3,000
IONATRON INC                   EQUITY    462070103     145     22,792   SH         SOLE      1       22,792          --       --
IOWA TELECOMMUNICATIONS SERVIC EQUITY    462594201    3321    175,515   SH         SOLE      1      175,515          --       --
IPASS INC                      EQUITY    46261V108     271     48,445   SH         SOLE      1       48,445          --       --
IPC HOLDINGS LTD               EQUITY    G4933P101  379690 15,397,000   SH         SOLE      1   15,397,000          --       --
IPCS INC                       EQUITY    44980Y305  130069  2,692,930   SH         SOLE      1    2,692,930          --       --
IPSCO INC                      EQUITY    462622101      48        500   SH         OTHER     1           --         500       --
IRIS INTERNATIONAL INC         EQUITY    46270W105     172     13,058   SH         SOLE      1       13,058          --       --
IRIS INTERNATIONAL INC         EQUITY    46270W105    1075     81,700   SH         SOLE      2       81,700          --       --
IROBOT CORP                    EQUITY    462726100     212      8,517   SH         SOLE      1        8,517          --       --
IRON MOUNTAIN INC              EQUITY    462846106      97      2,584   SH         SOLE      1        2,584          --       --
IRWIN FINANCIAL CORP           EQUITY    464119106     293     15,090   SH         SOLE      1       15,090          --       --
ISHARES COHEN & STEERS REALTY  EQUITY    464287564     161      1,920   SH        DEFINED    4           --          --    1,920
ISHARES COMEX GOLD TRUST       EQUITY    464285105     771     12,585   SH        DEFINED    4           --          --   12,585
ISHARES DOW JONES SELECT DIVID EQUITY    464287168    6467    102,552   SH        DEFINED    4           --          --  102,552
ISHARES DOW JONES US BASIC MAT EQUITY    464287838     917     16,410   SH        DEFINED    4           --          --   16,410
ISHARES DOW JONES US CONSUMER  EQUITY    464287812    1092     20,425   SH        DEFINED    4           --          --   20,425
ISHARES DOW JONES US ENERGY SE EQUITY    464287796     313      3,245   SH        DEFINED    4           --          --    3,245
ISHARES DOW JONES US FINANCIAL EQUITY    464287770     209      1,765   SH        DEFINED    4           --          --    1,765
ISHARES DOW JONES US FINANCIAL EQUITY    464287788     400      3,840   SH        DEFINED    4           --          --    3,840
ISHARES DOW JONES US HEALTHCAR EQUITY    464287762    1222     20,217   SH        DEFINED    4           --          --   20,217
ISHARES DOW JONES US INDUSTRIA EQUITY    464287754      60        972   SH        DEFINED    4           --          --      972
ISHARES DOW JONES US REAL ESTA EQUITY    464287739     103      1,446   SH        DEFINED    4           --          --    1,446
ISHARES DOW JONES US TECHNOLOG EQUITY    464287721      80      1,685   SH        DEFINED    4           --          --    1,685






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
ISHARES DOW JONES US TELECOMMU EQUITY    464287713    1524     59,400   SH        DEFINED    4           --          --   59,400
ISHARES DOW JONES US TOTAL MAR EQUITY    464287846     108      1,740   SH        DEFINED    4           --          --    1,740
ISHARES DOW JONES US UTILITIES EQUITY    464287697     598      7,565   SH        DEFINED    4           --          --    7,565
ISHARES FTSE/XINHUA CHINA 25 I EQUITY    464287184      72        935   SH        DEFINED    4           --          --      935
ISHARES GOLDMAN SACHS NATURAL  EQUITY    464287374    1502     15,094   SH        DEFINED    4           --          --   15,094
ISHARES GOLDMAN SACHS NETWORKI EQUITY    464287531    1378     45,935   SH        DEFINED    4           --          --   45,935
ISHARES GOLDMAN SACHS SEMICOND EQUITY    464287523     421      7,260   SH        DEFINED    4           --          --    7,260
ISHARES GOLDMAN SACHS TECHNOLO EQUITY    464287549     995     22,200   SH        DEFINED    4           --          --   22,200
ISHARES GS INVESTOP            CORP BOND 464287242      21        200  PRN        DEFINED    4           --          --      200
ISHARES LEHMAN 1-3 YEAR TREASU EQUITY    464287457      50        620   SH        DEFINED    4           --          --      620
ISHARES LEHMAN 20+ YEAR TREASU EQUITY    464287432     125      1,484   SH        DEFINED    4           --          --    1,484
ISHARES LEHMAN 7-10 YEAR TREAS EQUITY    464287440      60        750   SH        DEFINED    4           --          --      750
ISHARES LEHMAN AGGREGATE BOND  EQUITY    464287226      41        425   SH        DEFINED    4           --          --      425
ISHARES LEHMAN TREASURY INFLAT EQUITY    464287176    2966     29,792   SH        DEFINED    4           --          --   29,792
ISHARES MORNINGSTAR LARGE GROW EQUITY    464287119      24        408   SH        DEFINED    4           --          --      408
ISHARES MORNINGSTAR LARGE VALU EQUITY    464288109      33        447   SH        DEFINED    4           --          --      447
ISHARES MORNINGSTAR MID CORE I EQUITY    464288208      10        140   SH        DEFINED    4           --          --      140
ISHARES MORNINGSTAR MID GROWTH EQUITY    464288307      33        405   SH        DEFINED    4           --          --      405
ISHARES MORNINGSTAR MID VALUE  EQUITY    464288406      32        418   SH        DEFINED    4           --          --      418
ISHARES MORNINGSTAR SMALL CORE EQUITY    464288505       6         77   SH        DEFINED    4           --          --       77
ISHARES MORNINGSTAR SMALL GROW EQUITY    464288604      21        292   SH        DEFINED    4           --          --      292
ISHARES MORNINGSTAR SMALL VALU EQUITY    464288703      69        923   SH        DEFINED    4           --          --      923
ISHARES MSCI AUSTRALIA INDEX F EQUITY    464286103    1132     54,535   SH        DEFINED    4           --          --   54,535
ISHARES MSCI BRAZIL INDEX FUND EQUITY    464286400     319      8,160   SH        DEFINED    4           --          --    8,160
ISHARES MSCI EAFE GROWTH INDEX EQUITY    464288885     859     13,900   SH         SOLE      1       13,900          --       --
ISHARES MSCI EAFE GROWTH INDEX EQUITY    464288885    1346     21,783   SH        DEFINED    4           --          --   21,783
ISHARES MSCI EAFE INDEX FUND   EQUITY    464287465     327      5,010   SH        DEFINED    4           --          --    5,010
ISHARES MSCI EAFE INDEX FUND   EQUITY    464287465   46682    713,900   SH         SOLE      1      713,900          --       --
ISHARES MSCI EAFE VALUE INDEX  EQUITY    464288877      17        278   SH        DEFINED    4           --          --      278
ISHARES MSCI EAFE VALUE INDEX  EQUITY    464288877     870     13,900   SH         SOLE      1       13,900          --       --
ISHARES MSCI EMERGING MARKETS  EQUITY    464287234    1035     11,043   SH        DEFINED    4           --          --   11,043
ISHARES MSCI EMU INDEX FUND    EQUITY    464286608      42        481   SH        DEFINED    4           --          --      481
ISHARES MSCI GERMANY INDEX FUN EQUITY    464286806      14        600   SH        DEFINED    4           --          --      600
ISHARES MSCI HONG KONG INDEX F EQUITY    464286871    1080     79,865   SH        DEFINED    4           --          --   79,865
ISHARES MSCI HONG KONG INDEX F EQUITY    464286871    2228    164,800   SH         SOLE      1      164,800          --       --
ISHARES MSCI JAPAN INDEX FUND  EQUITY    464286848      41      2,971   SH        DEFINED    4           --          --    2,971
ISHARES MSCI JAPAN INDEX FUND  EQUITY    464286848   21855  1,602,300   SH         SOLE      1    1,602,300          --       --
ISHARES MSCI MEXICO INDEX FUND EQUITY    464286822     548     14,745   SH        DEFINED    4           --          --   14,745
ISHARES MSCI PACIFIC EX-JAPAN  EQUITY    464286665      14        130   SH        DEFINED    4           --          --      130
ISHARES MSCI SINGAPORE INDEX F EQUITY    464286673     778     88,369   SH        DEFINED    4           --          --   88,369
ISHARES MSCI SOUTH AFRICA INDE EQUITY    464286780     145      1,480   SH        DEFINED    4           --          --    1,480
ISHARES MSCI UNITED KINGDOM IN EQUITY    464286699     777     36,909   SH        DEFINED    4           --          --   36,909
ISHARES NASDAQ BIOTECHNOLOGY I EQUITY    464287556     462      6,349   SH        DEFINED    4           --          --    6,349
ISHARES RUSSELL 1000 GROWTH IN EQUITY    464287614     382      7,552   SH        DEFINED    4           --          --    7,552
ISHARES RUSSELL 1000 INDEX FUN EQUITY    464287622      92      1,330   SH        DEFINED    4           --          --    1,330
ISHARES RUSSELL 1000 VALUE IND EQUITY    464287598    2467     33,733   SH        DEFINED    4           --          --   33,733
ISHARES RUSSELL 2000 GROWTH IN EQUITY    464287648      26        360   SH        DEFINED    4           --          --      360
ISHARES RUSSELL 2000 INDEX FUN EQUITY    464287655     193      2,693   SH        DEFINED    4           --          --    2,693
ISHARES RUSSELL 2000 INDEX FUN EQUITY    464287655    2618     36,500   SH         SOLE      1       36,500          --       --
ISHARES RUSSELL 2000 VALUE IND EQUITY    464287630     212      2,933   SH        DEFINED    4           --          --    2,933
ISHARES RUSSELL 3000 GROWTH IN EQUITY    464287671      14        350   SH        DEFINED    4           --          --      350
ISHARES RUSSELL 3000 VALUE IND EQUITY    464287663     119      1,247   SH        DEFINED    4           --          --    1,247
ISHARES RUSSELL MICROCAP INDEX EQUITY    464288869      41        770   SH        DEFINED    4           --          --      770
ISHARES RUSSELL MIDCAP GROWTH  EQUITY    464287481     108      1,123   SH        DEFINED    4           --          --    1,123
ISHARES RUSSELL MIDCAP INDEX F EQUITY    464287499     126      1,369   SH        DEFINED    4           --          --    1,369
ISHARES RUSSELL MIDCAP VALUE I EQUITY    464287473     140      1,063   SH        DEFINED    4           --          --    1,063
ISHARES S&P 500 GROWTH INDEX F EQUITY    464287309     665     11,385   SH        DEFINED    4           --          --   11,385
ISHARES S&P 500 INDEX FUND/US  EQUITY    464287200     204      1,601   SH        DEFINED    4           --          --    1,601
ISHARES S&P 500 VALUE INDEX FU EQUITY    464287408     764     11,118   SH        DEFINED    4           --          --   11,118
ISHARES S&P GLOBAL 100 INDEX F EQUITY    464287572       9        135   SH        DEFINED    4           --          --      135
ISHARES S&P GLOBAL 100 INDEX F EQUITY    464287572     186      2,800   SH         SOLE      1        2,800          --       --
ISHARES S&P GLOBAL ENERGY SECT EQUITY    464287341      16        150   SH        DEFINED    4           --          --      150
ISHARES S&P GLOBAL HEALTHCARE  EQUITY    464287325       3         65   SH        DEFINED    4           --          --       65
ISHARES S&P LATIN AMERICA 40 I EQUITY    464287390     112        820   SH        DEFINED    4           --          --      820
ISHARES S&P MIDCAP 400 GROWTH  EQUITY    464287606      33        430   SH        DEFINED    4           --          --      430
ISHARES S&P MIDCAP 400 INDEX F EQUITY    464287507     129      1,691   SH        DEFINED    4           --          --    1,691
ISHARES S&P MIDCAP 400/BARRA V EQUITY    464287705     177      2,380   SH        DEFINED    4           --          --    2,380






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
ISHARES S&P SMALLCAP 600 INDEX EQUITY    464287804     334      5,384   SH        DEFINED    4           --          --    5,384
ISHARES S&P SMALLCAP 600 VALUE EQUITY    464287879     799     11,503   SH        DEFINED    4           --          --   11,503
ISHARES S&P SMALLCAP 600/BARRA EQUITY    464287887     726      5,918   SH        DEFINED    4           --          --    5,918
ISHARES SILVER TRUST           EQUITY    46428Q109      28        250   SH        DEFINED    4           --          --      250
ISIS PHARMACEUTICALS INC       EQUITY    464330109     329     54,378   SH         SOLE      1       54,378          --       --
ISLE OF CAPRI CASINOS INC      EQUITY    464592104     300     11,686   SH         SOLE      1       11,686          --       --
ISTAR FINANCIAL INC            EQUITY    45031U101    3204     84,866   SH         SOLE      1       84,866          --       --
ITC HOLDINGS CORP              EQUITY    465685105     283     10,653   SH         SOLE      1       10,653          --       --
ITC HOLDINGS CORP              EQUITY    465685105    5013    188,600   SH         SOLE      2      188,600          --       --
ITLA CAPITAL CORP              EQUITY    450565106     218      4,140   SH         SOLE      1        4,140          --       --
ITRON INC                      EQUITY    465741106     486      8,200   SH         SOLE      2        8,200          --       --
ITRON INC                      EQUITY    465741106    1121     18,921   SH         SOLE      1       18,921          --       --
ITT CORP                       EQUITY    450911102    9051    182,841   SH         SOLE      1      182,841          --       --
ITT CORP                       EQUITY    450911102   26010    525,451   SH         SOLE      2      525,451          --       --
ITT EDUCATIONAL SERVICES INC   EQUITY    45068B109    5263     79,966   SH         SOLE      1       79,966          --       --
IVANHOE MINES LTD/CA           EQUITY    46579N103      14      2,026   SH         OTHER     1           --       2,026       --
IXIA                           EQUITY    45071R109     288     31,987   SH         SOLE      1       31,987          --       --
IXYS CORP                      EQUITY    46600W106     195     20,298   SH         SOLE      1       20,298          --       --
J&J SNACK FOODS CORP           EQUITY    466032109     338     10,223   SH         SOLE      1       10,223          --       --
J2 GLOBAL COMMUNICATIONS INC   EQUITY    46626E205      92      2,960   SH        DEFINED    4           --          --    2,960
J2 GLOBAL COMMUNICATIONS INC   EQUITY    46626E205    1157     37,069   SH         SOLE      1       37,069          --       --
JABIL CIRCUIT INC              EQUITY    466313103    3321    129,721   SH         SOLE      2      129,721          --       --
JABIL CIRCUIT INC              EQUITY    466313103   16478    643,662   SH         SOLE      1      643,662          --       --
JACK HENRY & ASSOCIATES INC    EQUITY    426281101    1750     89,000   SH         SOLE      2       89,000          --       --
JACK HENRY & ASSOCIATES INC    EQUITY    426281101    4367    222,128   SH         SOLE      1      222,128          --       --
JACK IN THE BOX INC            EQUITY    466367109     306      7,800   SH         SOLE      2        7,800          --       --
JACK IN THE BOX INC            EQUITY    466367109    1034     26,373   SH         SOLE      1       26,373          --       --
JACKSON HEWITT TAX SERVICE INC EQUITY    468202106     825     26,319   SH         SOLE      1       26,319          --       --
JACOBS ENGINEERING GROUP INC   EQUITY    469814107   10347    129,921   SH         SOLE      1      129,921          --       --
JACUZZI BRANDS INC             EQUITY    469865109     510     57,928   SH         SOLE      1       57,928          --       --
JAKKS PACIFIC INC              EQUITY    47012E106     487     24,244   SH         SOLE      1       24,244          --       --
JAMES HARDIE INDUSTRIES NV     EQUITY    47030M106       8        265   SH        DEFINED    4           --          --      265
JAMES RIVER COAL CO            EQUITY    470355207     329     12,427   SH         SOLE      1       12,427          --       --
JAMES RIVER GROUP INC          EQUITY    470359100     170      6,809   SH         SOLE      1        6,809          --       --
JANUS CAPITAL GROUP INC        EQUITY    47102X105       5        262   SH         SOLE      2          262          --       --
JANUS CAPITAL GROUP INC        EQUITY    47102X105    1766     98,642   SH         SOLE      1       98,642          --       --
JARDEN CORP                    EQUITY    471109108      42      1,370   SH         SOLE      1        1,370          --       --
JB HUNT TRANSPORT SERVICES INC EQUITY    445658107    6658    267,268   SH         SOLE      1      267,268          --       --
JC PENNEY CO INC               EQUITY    708160106       2         27   SH        DEFINED    4           --          --       27
JC PENNEY CO INC               EQUITY    708160106   18749    277,720   SH         SOLE      1      277,720          --       --
JC PENNEY CO INC               EQUITY    708160106   22298    330,291   SH         SOLE      2      330,291          --       --
JDA SOFTWARE GROUP INC         EQUITY    46612K108     683     48,663   SH         SOLE      1       48,663          --       --
JDS UNIPHASE CORP              EQUITY    46612J101       5      2,089   SH         SOLE      2        2,089          --       --
JDS UNIPHASE CORP              EQUITY    46612J101      10      4,110   SH        DEFINED    4           --          --    4,110
JDS UNIPHASE CORP              EQUITY    46612J101    2246    887,559   SH         SOLE      1      887,559          --       --
JEFFERIES GROUP INC            EQUITY    472319102    6519    220,026   SH         SOLE      1      220,026          --       --
JEFFERIES GROUP INC            EQUITY    472319102    8889    300,000   SH         SOLE      2      300,000          --       --
JER INVESTORS TRUST INC        EQUITY    46614H301     298     19,165   SH         SOLE      1       19,165          --       --
JETBLUE AIRWAYS CORP           EQUITY    477143101    5595    460,903   SH         SOLE      1      460,903          --       --
JLG INDUSTRIES INC             EQUITY    466210101    1134     50,398   SH         SOLE      1       50,398          --       --
JM SMUCKER CO/THE              EQUITY    832696405       5        108   SH        DEFINED    4           --          --      108
JM SMUCKER CO/THE              EQUITY    832696405    5667    126,777   SH         SOLE      1      126,777          --       --
JO-ANN STORES INC              EQUITY    47758P307     263     17,940   SH         SOLE      1       17,940          --       --
JOHN H HARLAND CO              EQUITY    412693103     231      5,300   SH         SOLE      2        5,300          --       --
JOHN H HARLAND CO              EQUITY    412693103     871     20,028   SH         SOLE      1       20,028          --       --
JOHN HANCOCK PATRIOT PREFERRED EQUITY    41013J107      11        900   SH        DEFINED    4           --          --      900
JOHN HANCOCK PATRIOT PREMIUM D EQUITY    41013T105     224     21,753   SH        DEFINED    4           --          --   21,753
JOHN HANCOCK PREFERRED INCOME  EQUITY    41013W108       7        312   SH        DEFINED    4           --          --      312
JOHN HANCOCK PREFERRED INCOME  EQUITY    41013X106     494     22,310   SH        DEFINED    4           --          --   22,310
JOHN WILEY & SONS INC          EQUITY    968223206      33        997   SH         SOLE      1          997          --       --
JOHNSON & JOHNSON              EQUITY    478160104     534      8,917   SH        DEFINED    4           --          --    8,917
JOHNSON & JOHNSON              EQUITY    478160104   16527    275,820   SH         SOLE      2      275,820          --       --
JOHNSON & JOHNSON              EQUITY    478160104  194843  3,251,724   SH         SOLE      1    3,251,724          --       --
JOHNSON CONTROLS INC           EQUITY    478366107      20        242   SH         SOLE      2          242          --       --
JOHNSON CONTROLS INC           EQUITY    478366107    7041     85,642   SH         SOLE      1       85,642          --       --
JONES APPAREL GROUP INC        EQUITY    480074103    1721     54,140   SH         SOLE      2       54,140          --       --
JONES APPAREL GROUP INC        EQUITY    480074103    3970    124,893   SH         SOLE      1      124,893          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
JONES LANG LASALLE INC         EQUITY    48020Q107      48        551   SH        DEFINED    4           --          --      551
JONES LANG LASALLE INC         EQUITY    48020Q107      71        807   SH         SOLE      1          807          --       --
JONES LANG LASALLE INC         EQUITY    48020Q107     368      4,200   SH         SOLE      2        4,200          --       --
JONES SODA CO                  EQUITY    48023P106     148     16,502   SH         SOLE      1       16,502          --       --
JOS A BANK CLOTHIERS INC       EQUITY    480838101     322     13,428   SH         SOLE      1       13,428          --       --
JOURNAL COMMUNICATIONS INC     EQUITY    481130102     367     32,647   SH         SOLE      1       32,647          --       --
JOURNAL REGISTER CO            EQUITY    481138105     265     29,523   SH         SOLE      1       29,523          --       --
JOY GLOBAL INC                 EQUITY    481165108   14304    274,607   SH         SOLE      1      274,607          --       --
JPMORGAN CHASE & CO            EQUITY    46625H100     692     16,470   SH        DEFINED    4           --          --   16,470
JPMORGAN CHASE & CO            EQUITY    46625H100   10090    240,247   SH         SOLE      2      240,247          --       --
JPMORGAN CHASE & CO            EQUITY    46625H100  158787  3,780,571   SH         SOLE      1    3,780,571          --       --
JUNIPER NETWORKS INC           EQUITY    48203R104       8        500   SH        DEFINED    4           --          --      500
JUNIPER NETWORKS INC           EQUITY    48203R104      11        701   SH         SOLE      2          701          --       --
JUNIPER NETWORKS INC           EQUITY    48203R104    4560    285,150   SH         SOLE      1      285,150          --       --
JUPITERMEDIA CORP              EQUITY    48207D101     210     16,183   SH         SOLE      1       16,183          --       --
K&F INDUSTRIES HOLDINGS INC    EQUITY    482241106     248     13,984   SH         SOLE      1       13,984          --       --
K2 INC                         EQUITY    482732104     384     35,103   SH         SOLE      1       35,103          --       --
KADANT INC                     EQUITY    48282T104     233     10,148   SH         SOLE      1       10,148          --       --
KAMAN CORP                     EQUITY    483548103     421     23,122   SH         SOLE      1       23,122          --       --
KANBAY INTERNATIONAL INC       EQUITY    48369P207     360     24,731   SH         SOLE      1       24,731          --       --
KANSAS CITY LIFE INSURANCE CO  EQUITY    484836101     126      2,981   SH         SOLE      1        2,981          --       --
KANSAS CITY SOUTHERN           EQUITY    485170302      62      2,245   SH         SOLE      1        2,245          --       --
KAYDON CORP                    EQUITY    486587108     220      5,900   SH         SOLE      2        5,900          --       --
KAYDON CORP                    EQUITY    486587108     785     21,043   SH         SOLE      1       21,043          --       --
KB HOME                        EQUITY    48666K109       4         93   SH         SOLE      2           93          --       --
KB HOME                        EQUITY    48666K109    1622     35,376   SH         SOLE      1       35,376          --       --
KCS ENERGY INC                 EQUITY    482434206    1120     37,704   SH         SOLE      1       37,704          --       --
KEANE INC                      EQUITY    486665102     775     62,036   SH         SOLE      1       62,036          --       --
KEARNY FINANCIAL CORP          EQUITY    487169104     241     16,281   SH         SOLE      1       16,281          --       --
KELLOGG CO                     EQUITY    487836108      15        302   SH         SOLE      2          302          --       --
KELLOGG CO                     EQUITY    487836108      31        642   SH        DEFINED    4           --          --      642
KELLOGG CO                     EQUITY    487836108    5171    106,782   SH         SOLE      1      106,782          --       --
KELLWOOD CO                    EQUITY    488044108    1364     46,597   SH         SOLE      1       46,597          --       --
KELLY SERVICES INC             EQUITY    488152208    1540     56,687   SH         SOLE      1       56,687          --       --
KEMET CORP                     EQUITY    488360108    2312    250,738   SH         SOLE      1      250,738          --       --
KENDLE INTERNATIONAL INC       EQUITY    48880L107     336      9,154   SH         SOLE      1        9,154          --       --
KENEXA CORP                    EQUITY    488879107     965     30,291   SH         SOLE      1       30,291          --       --
KENNAMETAL INC                 EQUITY    489170100    2521     40,500   SH         SOLE      2       40,500          --       --
KENNAMETAL INC                 EQUITY    489170100    5362     86,144   SH         SOLE      1       86,144          --       --
KENNETH COLE PRODUCTIONS INC   EQUITY    193294105     153      6,844   SH         SOLE      1        6,844          --       --
KENSEY NASH CORP               EQUITY    490057106     254      8,622   SH         SOLE      1        8,622          --       --
KERR-MCGEE CORP                EQUITY    492386107      19        281   SH         SOLE      2          281          --       --
KERR-MCGEE CORP                EQUITY    492386107   17116    246,811   SH         SOLE      1      246,811          --       --
KERYX BIOPHARMACEUTICALS INC   EQUITY    492515101     457     32,166   SH         SOLE      1       32,166          --       --
KEYCORP                        EQUITY    493267108      18        501   SH         SOLE      2          501          --       --
KEYCORP                        EQUITY    493267108    9151    256,469   SH         SOLE      1      256,469          --       --
KEYSPAN CORP                   EQUITY    49337W100       9        217   SH         SOLE      2          217          --       --
KEYSPAN CORP                   EQUITY    49337W100    8170    202,239   SH         SOLE      1      202,239          --       --
KEYSTONE AUTOMOTIVE INDUSTRIES EQUITY    49338N109     508     12,034   SH         SOLE      1       12,034          --       --
KFORCE INC                     EQUITY    493732101     336     21,700   SH         SOLE      1       21,700          --       --
KFX INC                        EQUITY    48245L107     809     52,944   SH         SOLE      1       52,944          --       --
KILROY REALTY CORP             EQUITY    49427F108      52        723   SH         SOLE      1          723          --       --
KIMBALL INTERNATIONAL INC      EQUITY    494274103     363     18,416   SH         SOLE      1       18,416          --       --
KIMBERLY-CLARK CORP            EQUITY    494368103   10451    169,391   SH         SOLE      2      169,391          --       --
KIMBERLY-CLARK CORP            EQUITY    494368103   33252    538,930   SH         SOLE      1      538,930          --       --
KIMCO REALTY CORP              EQUITY    49446R109      10        262   SH         SOLE      2          262          --       --
KIMCO REALTY CORP              EQUITY    49446R109   11763    322,365   SH         SOLE      1      322,365          --       --
KINDER MORGAN INC              EQUITY    49455P101      13        129   SH         SOLE      2          129          --       --
KINDER MORGAN INC              EQUITY    49455P101      30        300   SH        DEFINED    4           --          --      300
KINDER MORGAN INC              EQUITY    49455P101   14531    145,470   SH         SOLE      1      145,470          --       --
KINDER MORGAN MANAGEMENT LLC   EQUITY    49455U100     826     19,195   SH        DEFINED    4           --          --   19,195
KINDRED HEALTHCARE INC         EQUITY    494580103     651     25,024   SH         SOLE      1       25,024          --       --
KINETIC CONCEPTS INC           EQUITY    49460W208      44        989   SH         SOLE      1          989          --       --
KINETIC CONCEPTS INC           EQUITY    49460W208     521     11,800   SH         SOLE      2       11,800          --       --
KING PHARMACEUTICALS INC       EQUITY    495582108       5        300   SH         SOLE      2          300          --       --
KING PHARMACEUTICALS INC       EQUITY    495582108    3277    192,784   SH         SOLE      1      192,784          --       --
KINGSWAY FINANCIAL SERVICES IN EQUITY    496904103    1957    108,200   SH         OTHER     1           --     108,200       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
KINROSS GOLD CORP              EQUITY    496902404      46      4,200   SH         OTHER     1           --       4,200       --
KIRBY CORP                     EQUITY    497266106      47      1,188   SH         SOLE      1        1,188          --       --
KIRBY CORP                     EQUITY    497266106     363      9,200   SH         SOLE      2        9,200          --       --
KITE REALTY GROUP TRUST        EQUITY    49803T102     332     21,326   SH         SOLE      1       21,326          --       --
KKR FINANCIAL CORP             EQUITY    482476306    1248     59,967   SH         SOLE      1       59,967          --       --
KLA-TENCOR CORP                EQUITY    482480100    3910     94,047   SH         SOLE      2       94,047          --       --
KLA-TENCOR CORP                EQUITY    482480100    6791    163,363   SH         SOLE      1      163,363          --       --
KNBT BANCORP INC               EQUITY    482921103     357     21,607   SH         SOLE      1       21,607          --       --
KNIGHT CAPITAL GROUP INC       EQUITY    499005106     324     21,300   SH         SOLE      2       21,300          --       --
KNIGHT CAPITAL GROUP INC       EQUITY    499005106    1186     77,879   SH         SOLE      1       77,879          --       --
KNIGHT TRANSPORTATION INC      EQUITY    499064103     863     42,708   SH         SOLE      1       42,708          --       --
KNOLL INC                      EQUITY    498904200     454     24,725   SH         SOLE      1       24,725          --       --
KNOT INC/THE                   EQUITY    499184109     227     10,850   SH         SOLE      1       10,850          --       --
KOHL'S CORP                    EQUITY    500255104    1946     32,922   SH         SOLE      2       32,922          --       --
KOHL'S CORP                    EQUITY    500255104   14082    238,192   SH         SOLE      1      238,192          --       --
KOMAG INC                      EQUITY    500453204     236      5,100   SH         SOLE      2        5,100          --       --
KOMAG INC                      EQUITY    500453204    2296     49,727   SH         SOLE      1       49,727          --       --
KOPIN CORP                     EQUITY    500600101     184     50,998   SH         SOLE      1       50,998          --       --
KOPPERS HOLDINGS INC           EQUITY    50060P106     149      7,443   SH         SOLE      1        7,443          --       --
KOREA ELECTRIC POWER CORP      EQUITY    500631106    1706     90,000   SH         SOLE      2       90,000          --       --
KORN/FERRY INTERNATIONAL       EQUITY    500643200    2400    122,518   SH         SOLE      1      122,518          --       --
KOS PHARMACEUTICALS INC        EQUITY    500648100      16        436   SH         SOLE      1          436          --       --
KOS PHARMACEUTICALS INC        EQUITY    500648100      79      2,100   SH         SOLE      2        2,100          --       --
KRAFT FOODS INC                EQUITY    50075N104    1137     36,800   SH         SOLE      2       36,800          --       --
KRAFT FOODS INC                EQUITY    50075N104    1211     39,179   SH         SOLE      1       39,179          --       --
KRISPY KREME DOUGHNUTS INC     EQUITY    501014104     334     40,971   SH         SOLE      1       40,971          --       --
KROGER CO/THE                  EQUITY    501044101      11        516   SH        DEFINED    4           --          --      516
KROGER CO/THE                  EQUITY    501044101     769     35,197   SH         SOLE      2       35,197          --       --
KROGER CO/THE                  EQUITY    501044101   22760  1,041,174   SH         SOLE      1    1,041,174          --       --
KRONOS INC/MA                  EQUITY    501052104     866     23,913   SH         SOLE      1       23,913          --       --
KRONOS WORLDWIDE INC           EQUITY    50105F105      54      1,863   SH         SOLE      1        1,863          --       --
K-SWISS INC                    EQUITY    482686102     515     19,303   SH         SOLE      1       19,303          --       --
KULICKE & SOFFA INDUSTRIES INC EQUITY    501242101     314     42,328   SH         SOLE      1       42,328          --       --
KV PHARMACEUTICAL CO           EQUITY    482740206    1337     71,664   SH         SOLE      1       71,664          --       --
KYPHON INC                     EQUITY    501577100    1266     32,993   SH         SOLE      1       32,993          --       --
L-3 COMMUNICATIONS HOLDINGS IN EQUITY    502424104       8        100   SH        DEFINED    4           --          --      100
L-3 COMMUNICATIONS HOLDINGS IN EQUITY    502424104    4334     57,463   SH         SOLE      1       57,463          --       --
L-3 COMMUNICATIONS HOLDINGS IN EQUITY    502424104   10706    141,951   SH         SOLE      2      141,951          --       --
LABOR READY INC                EQUITY    505401208    2059     90,887   SH         SOLE      1       90,887          --       --
LABORATORY CORP OF AMERICA HOL EQUITY    50540R409      10        155   SH         SOLE      2          155          --       --
LABORATORY CORP OF AMERICA HOL EQUITY    50540R409    3516     56,500   SH         SOLE      3       24,100          --   32,400
LABORATORY CORP OF AMERICA HOL EQUITY    50540R409    3574     57,426   SH         SOLE      1       57,426          --       --
LABRANCHE & CO INC             EQUITY    505447102     479     39,558   SH         SOLE      1       39,558          --       --
LACLEDE GROUP INC/THE          EQUITY    505597104     547     15,912   SH         SOLE      1       15,912          --       --
LADISH CO INC                  EQUITY    505754200     255      6,800   SH         SOLE      2        6,800          --       --
LADISH CO INC                  EQUITY    505754200     392     10,460   SH         SOLE      1       10,460          --       --
LAIDLAW INTERNATIONAL INC      EQUITY    50730R102   11461    454,804   SH         SOLE      1      454,804          --       --
LAKELAND BANCORP INC           EQUITY    511637100     212     13,520   SH         SOLE      1       13,520          --       --
LAKELAND FINANCIAL CORP        EQUITY    511656100     219      8,998   SH         SOLE      1        8,998          --       --
LAKES ENTERTAINMENT INC        EQUITY    51206P109     206     17,067   SH         SOLE      1       17,067          --       --
LAM RESEARCH CORP              EQUITY    512807108      14        300   SH        DEFINED    4           --          --      300
LAM RESEARCH CORP              EQUITY    512807108   14620    312,921   SH         SOLE      1      312,921          --       --
LAMAR ADVERTISING CO           EQUITY    512815101     361      6,697   SH         SOLE      1        6,697          --       --
LAMSON & SESSIONS CO/THE       EQUITY    513696104     293     10,356   SH         SOLE      1       10,356          --       --
LANCASTER COLONY CORP          EQUITY    513847103    2794     70,795   SH         SOLE      1       70,795          --       --
LANCE INC                      EQUITY    514606102      15        650   SH        DEFINED    4           --          --      650
LANCE INC                      EQUITY    514606102     598     25,988   SH         SOLE      1       25,988          --       --
LANDAMERICA FINANCIAL GROUP IN EQUITY    514936103     828     12,824   SH         SOLE      1       12,824          --       --
LANDAUER INC                   EQUITY    51476K103     324      6,773   SH         SOLE      1        6,773          --       --
LANDRY'S RESTAURANTS INC       EQUITY    51508L103    1068     32,914   SH         SOLE      1       32,914          --       --
LANDSTAR SYSTEM INC            EQUITY    515098101      63      1,329   SH         SOLE      1        1,329          --       --
LANDSTAR SYSTEM INC            EQUITY    515098101     491     10,400   SH         SOLE      2       10,400          --       --
LAS VEGAS SANDS CORP           EQUITY    517834107   62586    803,827   SH         SOLE      2      803,827          --       --
LASALLE HOTEL PROPERTIES       EQUITY    517942108    6555    141,587   SH         SOLE      1      141,587          --       --
LASERSCOPE                     EQUITY    518081104     457     14,828   SH         SOLE      1       14,828          --       --
LATTICE SEMICONDUCTOR CORP     EQUITY    518415104    2037    329,642   SH         SOLE      1      329,642          --       --
LAUREATE EDUCATION INC         EQUITY    518613104    4730    110,962   SH         SOLE      1      110,962          --       --







                                                                                                        VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
LAWSON PRODUCTS                EQUITY    520776105     131      3,325   SH         SOLE      1        3,325          --       --
LAWSON SOFTWARE INC            EQUITY    52078P102     622     92,813   SH         SOLE      1       92,813          --       --
LAWSON SOFTWARE INC            EQUITY    52078P102    4043    603,400   SH         SOLE      2      603,400          --       --
LAYNE CHRISTENSEN CO           EQUITY    521050104     253      8,925   SH         SOLE      1        8,925          --       --
LAZARD LTD                     EQUITY    G54050102     335      8,300   SH         SOLE      2        8,300          --       --
LA-Z-BOY INC                   EQUITY    505336107     540     38,583   SH         SOLE      1       38,583          --       --
LB FOSTER CO                   EQUITY    350060109     185      7,614   SH         SOLE      1        7,614          --       --
LCA-VISION INC                 EQUITY    501803308     819     15,486   SH         SOLE      1       15,486          --       --
LEAP WIRELESS INTERNATIONAL IN EQUITY    521863308      74      1,569   SH         SOLE      1        1,569          --       --
LEAPFROG ENTERPRISES INC       EQUITY    52186N106     256     25,385   SH         SOLE      1       25,385          --       --
LEAR CORP                      EQUITY    521865105    4321    194,539   SH         SOLE      1      194,539          --       --
LECG CORP                      EQUITY    523234102     336     18,182   SH         SOLE      1       18,182          --       --
LEE ENTERPRISES INC            EQUITY    523768109    3564    132,230   SH         SOLE      1      132,230          --       --
LEGG MASON INC                 EQUITY    524901105    5540     55,664   SH         SOLE      2       55,664          --       --
LEGG MASON INC                 EQUITY    524901105    6093     61,219   SH         SOLE      1       61,219          --       --
LEGGETT & PLATT INC            EQUITY    524660107       6        226   SH         SOLE      2          226          --       --
LEGGETT & PLATT INC            EQUITY    524660107    2207     88,351   SH         SOLE      1       88,351          --       --
LEHMAN BROTHERS HOLDINGS INC   EQUITY    524908100      43        664   SH         SOLE      2          664          --       --
LEHMAN BROTHERS HOLDINGS INC   EQUITY    524908100   15316    235,084   SH         SOLE      1      235,084          --       --
LENNAR CORP                    EQUITY    526057104    2884     65,007   SH         SOLE      1       65,007          --       --
LENNAR CORP                    EQUITY    526057104   10917    246,045   SH         SOLE      2      246,045          --       --
LENNOX INTERNATIONAL INC       EQUITY    526107107      54      2,047   SH         SOLE      1        2,047          --       --
LEUCADIA NATIONAL CORP         EQUITY    527288104      88      3,000   SH        DEFINED    4           --          --    3,000
LEUCADIA NATIONAL CORP         EQUITY    527288104   11727    401,743   SH         SOLE      1      401,743          --       --
LEVEL 3 COMMUNICATIONS INC     EQUITY    52729N100      85     19,092   SH         SOLE      1       19,092          --       --
LEVEL 3 COMMUNICATIONS INC     EQUITY    52729N100    9176  2,066,700   SH         SOLE      2    2,066,700          --       --
LEVITT CORP                    EQUITY    52742P108     195     12,201   SH         SOLE      1       12,201          --       --
LEXICON GENETICS INC           EQUITY    528872104     212     48,216   SH         SOLE      1       48,216          --       --
LEXMARK INTERNATIONAL INC      EQUITY    529771107       7        131   SH         SOLE      2          131          --       --
LEXMARK INTERNATIONAL INC      EQUITY    529771107    2721     48,731   SH         SOLE      1       48,731          --       --
LHC GROUP INC                  EQUITY    50187A107     165      8,265   SH         SOLE      1        8,265          --       --
LIBERTY ALL STAR EQUITY        EQUITY    530158104      48      6,314   SH        DEFINED    4           --          --    6,314
LIBERTY GLOBAL INC             EQUITY    530555101     588     27,340   SH         SOLE      1       27,340          --       --
LIBERTY MEDIA CORP             CORP BOND 530718AF2       3      3,000  PRN        DEFINED    4           --          --    3,000
LIBERTY MEDIA HOLDING CORP - C EQUITY    53071M302     400      4,770   SH         SOLE      1        4,770          --       --
LIBERTY MEDIA HOLDING CORP - I EQUITY    53071M104     306     17,709   SH         SOLE      1       17,709          --       --
LIBERTY PROPERTY TRUST         EQUITY    531172104      15        350   SH        DEFINED    4           --          --      350
LIBERTY PROPERTY TRUST         EQUITY    531172104    8581    194,130   SH         SOLE      1      194,130          --       --
LIFE TIME FITNESS INC          EQUITY    53217R207    1049     22,673   SH         SOLE      1       22,673          --       --
LIFECELL CORP                  EQUITY    531927101     244      7,900   SH         SOLE      2        7,900          --       --
LIFECELL CORP                  EQUITY    531927101     773     24,999   SH         SOLE      1       24,999          --       --
LIFECORE BIOMEDICAL INC        EQUITY    532187101     122      7,800   SH         SOLE      2        7,800          --       --
LIFEPOINT HOSPITALS INC        EQUITY    53219L109     197      6,128   SH        DEFINED    4           --          --    6,128
LIFEPOINT HOSPITALS INC        EQUITY    53219L109    4014    124,921   SH         SOLE      1      124,921          --       --
LIFETIME BRANDS INC            EQUITY    53222Q103     182      8,404   SH         SOLE      1        8,404          --       --
LIGHTBRIDGE INC                EQUITY    532226107     197     20,302   SH         SOLE      1       20,302          --       --
LIN TV CORP                    EQUITY    532774106     156     20,602   SH         SOLE      1       20,602          --       --
LINCARE HOLDINGS INC           EQUITY    532791100    8039    212,456   SH         SOLE      1      212,456          --       --
LINCARE HOLDINGS INC           EQUITY    532791100   11148    294,600   SH         SOLE      2      294,600          --       --
LINCOLN EDUCATIONAL SERVICES C EQUITY    533535100      58      3,386   SH         SOLE      1        3,386          --       --
LINCOLN ELECTRIC HOLDINGS INC  EQUITY    533900106     890     14,210   SH        DEFINED    4           --          --   14,210
LINCOLN ELECTRIC HOLDINGS INC  EQUITY    533900106    5761     91,957   SH         SOLE      1       91,957          --       --
LINCOLN NATIONAL CORP          EQUITY    534187109      20        356   SH         SOLE      2          356          --       --
LINCOLN NATIONAL CORP          EQUITY    534187109   12545    222,267   SH         SOLE      1      222,267          --       --
LINDSAY MANUFACTURING CO       EQUITY    535555106     233      8,601   SH         SOLE      1        8,601          --       --
LINEAR TECHNOLOGY CORP         EQUITY    535678106      13        376   SH         SOLE      2          376          --       --
LINEAR TECHNOLOGY CORP         EQUITY    535678106    5463    163,131   SH         SOLE      1      163,131          --       --
LIONBRIDGE TECHNOLOGIES        EQUITY    536252109     246     44,533   SH         SOLE      1       44,533          --       --
LIONS GATE ENTERTAINMENT CORP  EQUITY    535919203    8359    977,700   SH         SOLE      2      977,700          --       --
LIQUIDITY SERVICES INC         EQUITY    53635B107      90      5,790   SH         SOLE      1        5,790          --       --
LITHIA MOTORS INC              EQUITY    536797103     358     11,810   SH         SOLE      1       11,810          --       --
LITTELFUSE INC                 EQUITY    537008104     573     16,654   SH         SOLE      1       16,654          --       --
LIVE NATION INC                EQUITY    538034109     969     47,600   SH         SOLE      1       47,600          --       --
LIVEPERSON INC                 EQUITY    538146101       2        430   SH        DEFINED    4           --          --      430
LIZ CLAIBORNE INC              EQUITY    539320101       5        130   SH         SOLE      2          130          --       --
LIZ CLAIBORNE INC              EQUITY    539320101    2343     63,219   SH         SOLE      1       63,219          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
LKQ CORP                       EQUITY    501889208     634     33,358   SH         SOLE      1       33,358          --       --
LOCKHEED MARTIN CORP           CORP BOND 539830AP4       3      3,000  PRN        DEFINED    4           --          --    3,000
LOCKHEED MARTIN CORP           EQUITY    539830109      80      1,110   SH        DEFINED    4           --          --    1,110
LOCKHEED MARTIN CORP           EQUITY    539830109     749     10,439   SH         SOLE      2       10,439          --       --
LOCKHEED MARTIN CORP           CORP BOND 539830AP4     852    750,000  PRN         SOLE      1      750,000          --       --
LOCKHEED MARTIN CORP           EQUITY    539830109   11174    155,760   SH         SOLE      1      155,760          --       --
LODGENET ENTERTAINMENT CORP    EQUITY    540211109     231     12,381   SH         SOLE      1       12,381          --       --
LODGIAN INC                    EQUITY    54021P403     219     15,378   SH         SOLE      1       15,378          --       --
LOEWS CORP                     EQUITY    540424108      18        504   SH         SOLE      2          504          --       --
LOEWS CORP                     EQUITY    540424108    6978    196,844   SH         SOLE      1      196,844          --       --
LOEWS CORP - CAROLINA GROUP    EQUITY    540424207     538     10,468   SH         SOLE      1       10,468          --       --
LOGITECH INTERNATIONAL SA      EQUITY    541419107       4        100   SH        DEFINED    4           --          --      100
LOJACK CORP                    EQUITY    539451104    1621     85,939   SH         SOLE      1       85,939          --       --
LONE STAR STEAKHOUSE & SALOON  EQUITY    542307103     708     26,997   SH         SOLE      1       26,997          --       --
LONE STAR TECHNOLOGIES INC     EQUITY    542312103    1241     22,964   SH         SOLE      1       22,964          --       --
LONGS DRUG STORES CORP         EQUITY    543162101    2338     51,253   SH         SOLE      1       51,253          --       --
LONGVIEW FIBRE CO              EQUITY    543213102    2818    147,608   SH         SOLE      1      147,608          --       --
LORAL SPACE & COMMUNICATIONS I EQUITY    543881106   11337    399,767   SH         SOLE      1      399,767          --       --
LOUISIANA-PACIFIC CORP         EQUITY    546347105       3        132   SH         SOLE      2          132          --       --
LOUISIANA-PACIFIC CORP         EQUITY    546347105    1102     50,319   SH         SOLE      1       50,319          --       --
LOWE'S COS INC                 EQUITY    548661107      18        300   SH        DEFINED    4           --          --      300
LOWE'S COS INC                 EQUITY    548661107    5232     86,244   SH         SOLE      2       86,244          --       --
LOWE'S COS INC                 EQUITY    548661107   27755    457,472   SH         SOLE      1      457,472          --       --
LSI INDUSTRIES INC             EQUITY    50216C108     254     14,937   SH         SOLE      1       14,937          --       --
LSI LOGIC CORP                 CORP BOND 502161AJ1       1      1,000  PRN        DEFINED    4           --          --    1,000
LSI LOGIC CORP                 EQUITY    502161102       1        150   SH        DEFINED    4           --          --      150
LSI LOGIC CORP                 EQUITY    502161102       4        492   SH         SOLE      2          492          --       --
LSI LOGIC CORP                 EQUITY    502161102    2443    272,935   SH         SOLE      1      272,935          --       --
LTC PROPERTIES INC             EQUITY    502175102     390     17,432   SH         SOLE      1       17,432          --       --
LTD BRANDS                     EQUITY    532716107      11        425   SH         SOLE      2          425          --       --
LTD BRANDS                     EQUITY    532716107    4054    158,416   SH         SOLE      1      158,416          --       --
LTX CORP                       EQUITY    502392103     323     46,039   SH         SOLE      1       46,039          --       --
LUBRIZOL CORP                  EQUITY    549271104    5931    148,822   SH         SOLE      1      148,822          --       --
LUBY'S INC                     EQUITY    549282101     167     15,976   SH         SOLE      1       15,976          --       --
LUCENT TECHNOLOGIES INC        EQUITY    549463107      13      5,555   SH         SOLE      2        5,555          --       --
LUCENT TECHNOLOGIES INC        EQUITY    549463107      34     13,994   SH        DEFINED    4           --          --   13,994
LUCENT TECHNOLOGIES INC        EQUITY    549463107    5844  2,414,896   SH         SOLE      1    2,414,896          --       --
LUFKIN INDUSTRIES INC          EQUITY    549764108    1482     24,940   SH         SOLE      1       24,940          --       --
LUMINEX CORP                   EQUITY    55027E102     415     23,858   SH         SOLE      1       23,858          --       --
LYONDELL CHEMICAL CO           EQUITY    552078107      10        456   SH        DEFINED    4           --          --      456
LYONDELL CHEMICAL CO           EQUITY    552078107   10135    447,266   SH         SOLE      1      447,266          --       --
M&F WORLDWIDE CORP             EQUITY    552541104     289     17,968   SH         SOLE      1       17,968          --       --
M&T BANK CORP                  EQUITY    55261F104      12         98   SH         SOLE      2           98          --       --
M&T BANK CORP                  EQUITY    55261F104   12145    102,990   SH         SOLE      1      102,990          --       --
M/I HOMES INC                  EQUITY    55305B101     315      8,982   SH         SOLE      1        8,982          --       --
MACATAWA BANK CORP             EQUITY    554225102     241     10,292   SH         SOLE      1       10,292          --       --
MACDERMID INC                  EQUITY    554273102     594     20,635   SH         SOLE      1       20,635          --       --
MACERICH CO/THE                EQUITY    554382101    9381    133,637   SH         SOLE      1      133,637          --       --
MACK-CALI REALTY CORP          EQUITY    554489104      18        400   SH        DEFINED    4           --          --      400
MACK-CALI REALTY CORP          EQUITY    554489104    6227    135,616   SH         SOLE      1      135,616          --       --
MACROVISION CORP               EQUITY    555904101    3215    149,378   SH         SOLE      1      149,378          --       --
MAF BANCORP INC                EQUITY    55261R108    1075     25,102   SH         SOLE      1       25,102          --       --
MAGELLAN HEALTH SERVICES INC   EQUITY    559079207     453     10,000   SH         SOLE      2       10,000          --       --
MAGELLAN HEALTH SERVICES INC   EQUITY    559079207    1251     27,600   SH         SOLE      1       27,600          --       --
MAGELLAN MIDSTREAM PARTNERS LP EQUITY    559080106    2718     80,000   SH         SOLE      1       80,000          --       --
MAGMA DESIGN AUTOMATION INC    EQUITY    559181102     195     26,523   SH         SOLE      1       26,523          --       --
MAGNA ENTERTAINMENT CORP       EQUITY    559211107     157     29,822   SH         SOLE      1       29,822          --       --
MAGNA INTERNATIONAL INC        EQUITY    559222401      79      1,100   SH         OTHER     1           --       1,100       --
MAIDENFORM BRANDS INC          EQUITY    560305104     134     10,844   SH         SOLE      1       10,844          --       --
MAINSOURCE FINANCIAL GROUP INC EQUITY    56062Y102     196     11,229   SH         SOLE      1       11,229          --       --
MANHATTAN ASSOCIATES INC       EQUITY    562750109     416     20,492   SH         SOLE      1       20,492          --       --
MANITOWOC CO INC/THE           EQUITY    563571108      61      1,380   SH         SOLE      1        1,380          --       --
MANNATECH INC                  EQUITY    563771104     154     12,222   SH         SOLE      1       12,222          --       --
MANNKIND CORP                  EQUITY    56400P201     356     16,701   SH         SOLE      1       16,701          --       --
MANOR CARE INC                 EQUITY    564055101    1708     36,399   SH         SOLE      1       36,399          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
MANOR CARE INC                 EQUITY    564055101    7512    160,098   SH         SOLE      2      160,098          --       --
MANPOWER INC                   EQUITY    56418H100       7        102   SH        DEFINED    4           --          --      102
MANPOWER INC                   EQUITY    56418H100   12275    190,020   SH         SOLE      1      190,020          --       --
MANTECH INTERNATIONAL CORP     EQUITY    564563104    1109     35,936   SH         SOLE      1       35,936          --       --
MANULIFE FINANCIAL CORP        EQUITY    56501R106    4156    131,000   SH         OTHER     1           --     131,000       --
MAPINFO CORP                   EQUITY    565105103     207     15,865   SH         SOLE      1       15,865          --       --
MARATHON OIL CORP              EQUITY    565849106   13269    159,295   SH         SOLE      1      159,295          --       --
MARATHON OIL CORP              EQUITY    565849106   24461    293,649   SH         SOLE      2      293,649          --       --
MARCHEX INC                    EQUITY    56624R108     283     17,195   SH         SOLE      1       17,195          --       --
MARCUS CORP                    EQUITY    566330106     468     22,431   SH         SOLE      1       22,431          --       --
MARINE PRODUCTS CORP           EQUITY    568427108      89      9,168   SH         SOLE      1        9,168          --       --
MARINEMAX INC                  EQUITY    567908108     323     12,296   SH         SOLE      1       12,296          --       --
MARINER ENERGY INC             EQUITY    56845T305    1004     54,632   SH         SOLE      1       54,632          --       --
MARITRANS INC                  EQUITY    570363101     223      8,968   SH         SOLE      1        8,968          --       --
MARKEL CORP                    EQUITY    570535104     107        308   SH         SOLE      1          308          --       --
MARKETAXESS HOLDINGS INC       EQUITY    57060D108     251     22,826   SH         SOLE      1       22,826          --       --
MARKWEST HYDROCARBON INC       EQUITY    570762104     115      4,662   SH         SOLE      1        4,662          --       --
MARLIN BUSINESS SERVICES CORP  EQUITY    571157106     199      8,833   SH         SOLE      1        8,833          --       --
MARRIOTT INTERNATIONAL INC     EQUITY    571903202      15        405   SH         SOLE      2          405          --       --
MARRIOTT INTERNATIONAL INC     EQUITY    571903202   10166    266,683   SH         SOLE      1      266,683          --       --
MARSH & MCLENNAN COS INC       EQUITY    571748102    2019     75,081   SH         SOLE      2       75,081          --       --
MARSH & MCLENNAN COS INC       EQUITY    571748102   71493  2,658,529   SH         SOLE      1    2,658,529          --       --
MARSHALL & ILSLEY CORP         EQUITY    571834100      13        279   SH         SOLE      2          279          --       --
MARSHALL & ILSLEY CORP         EQUITY    571834100    4915    107,456   SH         SOLE      1      107,456          --       --
MARTEK BIOSCIENCES CORP        EQUITY    572901106    2684     92,724   SH         SOLE      1       92,724          --       --
MARTEN TRANSPORT LTD           EQUITY    573075108     248     11,415   SH         SOLE      1       11,415          --       --
MARTHA STEWART LIVING OMNIMEDI EQUITY    573083102       2        100   SH        DEFINED    4           --          --      100
MARTHA STEWART LIVING OMNIMEDI EQUITY    573083102     315     18,867   SH         SOLE      1       18,867          --       --
MARTIN MARIETTA MATERIALS INC  EQUITY    573284106    2233     24,500   SH         SOLE      2       24,500          --       --
MARTIN MARIETTA MATERIALS INC  EQUITY    573284106    9036     99,131   SH         SOLE      1       99,131          --       --
MARVEL ENTERTAINMENT INC       EQUITY    57383T103     703     35,139   SH         SOLE      1       35,139          --       --
MARVELL TECHNOLOGY GROUP LTD   EQUITY    G5876H105    3489     78,700   SH         SOLE      2       78,700          --       --
MASCO CORP                     EQUITY    574599106      15        492   SH         SOLE      2          492          --       --
MASCO CORP                     EQUITY    574599106   28509    961,837   SH         SOLE      1      961,837          --       --
MASSEY ENERGY CO               EQUITY    576206106    1687     46,848   SH         SOLE      1       46,848          --       --
MASTEC INC                     EQUITY    576323109     397     30,019   SH         SOLE      1       30,019          --       --
MASTERCARD INC                 EQUITY    57636Q104      67      1,388   SH         SOLE      1        1,388          --       --
MASTERCARD INC                 EQUITY    57636Q104    3336     69,500   SH         SOLE      2       69,500          --       --
MATERIALS SELECT SECTOR SPDR F EQUITY    81369Y100      45      1,410   SH        DEFINED    4           --          --    1,410
MATRIA HEALTHCARE INC          EQUITY    576817209     335     15,647   SH         SOLE      1       15,647          --       --
MATRIA HEALTHCARE INC          EQUITY    576817209     450     21,000   SH         SOLE      2       21,000          --       --
MATRIX SERVICE CO              EQUITY    576853105     962     84,058   SH         SOLE      1       84,058          --       --
MATTEL INC                     EQUITY    577081102       8        483   SH         SOLE      2          483          --       --
MATTEL INC                     EQUITY    577081102      35      2,125   SH        DEFINED    4           --          --    2,125
MATTEL INC                     EQUITY    577081102    3155    191,082   SH         SOLE      1      191,082          --       --
MATTHEWS INTERNATIONAL CORP    EQUITY    577128101     826     23,964   SH         SOLE      1       23,964          --       --
MATTSON TECHNOLOGY INC         EQUITY    577223100     382     39,130   SH         SOLE      1       39,130          --       --
MAUI LAND & PINEAPPLE CO INC   EQUITY    577345101     100      2,637   SH         SOLE      1        2,637          --       --
MAVERICK TUBE CORP             EQUITY    577914104    1742     27,566   SH         SOLE      1       27,566          --       --
MAXIM INTEGRATED PRODUCTS INC  EQUITY    57772K101    5749    179,048   SH         SOLE      1      179,048          --       --
MAXIM INTEGRATED PRODUCTS INC  EQUITY    57772K101    6114    190,398   SH         SOLE      2      190,398          --       --
MAXIMUS INC                    EQUITY    577933104     370     15,997   SH         SOLE      1       15,997          --       --
MAXWELL TECHNOLOGIES INC       EQUITY    577767106     210     10,705   SH         SOLE      1       10,705          --       --
MAXYGEN INC                    EQUITY    577776107     164     21,980   SH         SOLE      1       21,980          --       --
MB FINANCIAL INC               EQUITY    55264U108     606     17,150   SH         SOLE      1       17,150          --       --
MBIA INC                       EQUITY    55262C100      10        167   SH         SOLE      2          167          --       --
MBIA INC                       EQUITY    55262C100    3730     63,703   SH         SOLE      1       63,703          --       --
MBT FINANCIAL CORP             EQUITY    578877102     176     11,020   SH         SOLE      1       11,020          --       --
MCAFEE INC                     EQUITY    579064106    8389    345,633   SH         SOLE      1      345,633          --       --
MCCLATCHY CO                   EQUITY    579489105      70      1,744   SH         SOLE      1        1,744          --       --
MCCORMICK & CO INC             EQUITY    579780206    3191     95,120   SH         SOLE      2       95,120          --       --
MCCORMICK & CO INC             EQUITY    579780206   11837    352,820   SH         SOLE      1      352,820          --       --
MCCORMICK & SCHMICK'S SEAFOOD  EQUITY    579793100     211      8,883   SH         SOLE      1        8,883          --       --
MCDATA CORP                    EQUITY    580031201    1859    455,709   SH         SOLE      1      455,709          --       --
MCDONALD'S CORP                EQUITY    580135101      36      1,064   SH        DEFINED    4           --          --    1,064
MCDONALD'S CORP                EQUITY    580135101     613     18,245   SH         SOLE      2       18,245          --       --
MCDONALD'S CORP                EQUITY    580135101   42066  1,251,968   SH         SOLE      1    1,251,968          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
MCG CAPITAL CORP               EQUITY    58047P107    2168    136,365   SH         SOLE      1      136,365          --       --
MCGRATH RENTCORP               EQUITY    580589109     456     16,382   SH         SOLE      1       16,382          --       --
MCGRAW-HILL COS INC/THE        EQUITY    580645109      22        444   SH         SOLE      2          444          --       --
MCGRAW-HILL COS INC/THE        EQUITY    580645109   22909    456,084   SH         SOLE      1      456,084          --       --
MCKESSON CORP                  EQUITY    58155Q103      18        377   SH         SOLE      2          377          --       --
MCKESSON CORP                  EQUITY    58155Q103    8787    185,857   SH         SOLE      1      185,857          --       --
MCMORAN EXPLORATION CO         EQUITY    582411104     320     18,203   SH         SOLE      1       18,203          --       --
MDC HOLDINGS INC               EQUITY    552676108    3703     71,298   SH         SOLE      1       71,298          --       --
MDS INC                        EQUITY    55269P302      27      1,500   SH         OTHER     1           --       1,500       --
MDU RESOURCES GROUP INC        EQUITY    552690109    9565    261,274   SH         SOLE      1      261,274          --       --
MEADOWBROOK INSURANCE GROUP IN EQUITY    58319P108     156     18,770   SH         SOLE      1       18,770          --       --
MEADWESTVACO CORP              EQUITY    583334107       6        225   SH         SOLE      2          225          --       --
MEADWESTVACO CORP              EQUITY    583334107    2397     85,807   SH         SOLE      1       85,807          --       --
MEASUREMENT SPECIALTIES INC    EQUITY    583421102     229     10,305   SH         SOLE      1       10,305          --       --
MEDALLION FINANCIAL CORP       EQUITY    583928106     122     10,952   SH         SOLE      1       10,952          --       --
MEDAREX INC                    EQUITY    583916101     876     91,159   SH         SOLE      1       91,159          --       --
MEDCATH CORP                   EQUITY    58404W109     111      5,906   SH         SOLE      1        5,906          --       --
MEDCO HEALTH SOLUTIONS INC     EQUITY    58405U102      14        244   SH        DEFINED    4           --          --      244
MEDCO HEALTH SOLUTIONS INC     EQUITY    58405U102    3590     62,674   SH         SOLE      2       62,674          --       --
MEDCO HEALTH SOLUTIONS INC     EQUITY    58405U102    7577    132,284   SH         SOLE      1      132,284          --       --
MEDIA GENERAL INC              EQUITY    584404107    2852     68,079   SH         SOLE      1       68,079          --       --
MEDIACOM COMMUNICATIONS CORP   EQUITY    58446K105     257     41,331   SH         SOLE      1       41,331          --       --
MEDICAL ACTION INDUSTRIES INC  EQUITY    58449L100     151      6,851   SH         SOLE      1        6,851          --       --
MEDICAL PROPERTIES TRUST INC   EQUITY    58463J304     330     29,885   SH         SOLE      1       29,885          --       --
MEDICINES CO                   EQUITY    584688105     731     37,386   SH         SOLE      1       37,386          --       --
MEDICIS PHARMACEUTICAL CORP    EQUITY    584690309    3776    157,313   SH         SOLE      1      157,313          --       --
MEDIFAST INC                   EQUITY    58470H101     155      8,664   SH         SOLE      1        8,664          --       --
MEDIMMUNE INC                  EQUITY    584699102     764     28,208   SH         SOLE      2       28,208          --       --
MEDIMMUNE INC                  EQUITY    584699102    3515    129,716   SH         SOLE      1      129,716          --       --
MEDIS TECHNOLOGIES LTD         EQUITY    58500P107     311     15,336   SH         SOLE      1       15,336          --       --
MEDTRONIC INC                  EQUITY    585055106       9        182   SH        DEFINED    4           --          --      182
MEDTRONIC INC                  EQUITY    585055106    8028    171,097   SH         SOLE      2      171,097          --       --
MEDTRONIC INC                  EQUITY    585055106   24785    528,247   SH         SOLE      1      528,247          --       --
MELLON FINANCIAL CORP          EQUITY    58551A108       3         80   SH        DEFINED    4           --          --       80
MELLON FINANCIAL CORP          EQUITY    58551A108      18        513   SH         SOLE      2          513          --       --
MELLON FINANCIAL CORP          EQUITY    58551A108    6251    181,543   SH         SOLE      1      181,543          --       --
MEMC ELECTRONIC MATERIALS INC  EQUITY    552715104     394     10,500   SH         SOLE      2       10,500          --       --
MEMC ELECTRONIC MATERIALS INC  EQUITY    552715104   13392    357,129   SH         SOLE      1      357,129          --       --
MEN'S WEARHOUSE INC            EQUITY    587118100     400     13,200   SH         SOLE      2       13,200          --       --
MEN'S WEARHOUSE INC            EQUITY    587118100    1077     35,535   SH         SOLE      1       35,535          --       --
MENTOR CORP                    EQUITY    587188103    1337     30,734   SH         SOLE      1       30,734          --       --
MENTOR CORP                    EQUITY    587188103    2909     66,875   SH         SOLE      2       66,875          --       --
MENTOR GRAPHICS CORP           EQUITY    587200106    3010    231,898   SH         SOLE      1      231,898          --       --
MERCANTILE BANK CORP           EQUITY    587376104     238      5,969   SH         SOLE      1        5,969          --       --
MERCANTILE BANKSHARES CORP     EQUITY    587405101       2         49   SH        DEFINED    4           --          --       49
MERCANTILE BANKSHARES CORP     EQUITY    587405101    9571    268,334   SH         SOLE      1      268,334          --       --
MERCER INTERNATIONAL INC       EQUITY    588056101     176     20,243   SH         SOLE      1       20,243          --       --
MERCK & CO INC                 EQUITY    589331107      13        347   SH        DEFINED    4           --          --      347
MERCK & CO INC                 EQUITY    589331107    3473     95,339   SH         SOLE      2       95,339          --       --
MERCK & CO INC                 EQUITY    589331107   52266  1,434,685   SH         SOLE      1    1,434,685          --       --
MERCURY COMPUTER SYSTEMS INC   EQUITY    589378108     241     15,652   SH         SOLE      1       15,652          --       --
MERCURY GENERAL CORP           EQUITY    589400100    4346     77,100   SH         SOLE      1       77,100          --       --
MEREDITH CORP                  EQUITY    589433101       3         52   SH         SOLE      2           52          --       --
MEREDITH CORP                  EQUITY    589433101     959     19,353   SH         SOLE      1       19,353          --       --
MERGE TECHNOLOGIES INC         EQUITY    589981109     189     15,355   SH         SOLE      1       15,355          --       --
MERIDIAN BIOSCIENCE INC        EQUITY    589584101      29      1,155   SH        DEFINED    4           --          --    1,155
MERIDIAN BIOSCIENCE INC        EQUITY    589584101     391     15,674   SH         SOLE      1       15,674          --       --
MERIDIAN GOLD INC              EQUITY    589975101      30        961   SH         OTHER     1           --         961       --
MERIDIAN RESOURCE CORP         EQUITY    58977Q109     227     64,856   SH         SOLE      1       64,856          --       --
MERIT MEDICAL SYSTEMS INC      EQUITY    589889104     280     20,314   SH         SOLE      1       20,314          --       --
MERITAGE HOMES CORP            EQUITY    59001A102     797     16,870   SH         SOLE      1       16,870          --       --
MERRILL LYNCH & CO INC         EQUITY    590188108       2         34   SH        DEFINED    4           --          --       34
MERRILL LYNCH & CO INC         EQUITY    590188108   27526    395,712   SH         SOLE      2      395,712          --       --
MERRILL LYNCH & CO INC         EQUITY    590188108   40192    577,806   SH         SOLE      1      577,806          --       --
MESA AIR GROUP INC             EQUITY    590479101     266     26,967   SH         SOLE      1       26,967          --       --
METABASIS THERAPEUTICS INC     EQUITY    59101M105     117     15,333   SH         SOLE      1       15,333          --       --
METAL MANAGEMENT INC           EQUITY    591097209     595     19,439   SH         SOLE      1       19,439          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
METHANEX CORP                  EQUITY    59151K108      25      1,197   SH         OTHER     1           --       1,197       --
METHODE ELECTRONICS INC        EQUITY    591520200     292     27,819   SH         SOLE      1       27,819          --       --
METLIFE INC                    EQUITY    59156R108      10        194   SH        DEFINED    4           --          --      194
METLIFE INC                    EQUITY    59156R108    6542    127,741   SH         SOLE      2      127,741          --       --
METLIFE INC                    EQUITY    59156R108   25578    499,471   SH         SOLE      1      499,471          --       --
METRETEK TECHNOLOGIES INC      EQUITY    59159Q107    1720    100,108   SH         SOLE      1      100,108          --       --
METRETEK TECHNOLOGIES INC      EQUITY    59159Q107    3622    210,800   SH         SOLE      3      210,800          --       --
METROCORP BANCSHARES INC       EQUITY    591650106     101      3,456   SH         SOLE      1        3,456          --       --
METROLOGIC INSTRUMENTS INC     EQUITY    591676101     147      9,792   SH         SOLE      1        9,792          --       --
METTLER TOLEDO INTERNATIONAL I EQUITY    592688105      56        919   SH         SOLE      1          919          --       --
MFA MORTGAGE INVESTMENTS INC   EQUITY    55272X102     407     59,087   SH         SOLE      1       59,087          --       --
MFS MULTIMARKET INCOME TRUST   EQUITY    552737108      28      4,800   SH        DEFINED    4           --          --    4,800
MGE ENERGY INC                 EQUITY    55277P104     475     15,261   SH         SOLE      1       15,261          --       --
MGI PHARMA INC                 EQUITY    552880106    1253     58,275   SH         SOLE      1       58,275          --       --
MGIC INVESTMENT CORP           EQUITY    552848103       7        108   SH         SOLE      2          108          --       --
MGIC INVESTMENT CORP           EQUITY    552848103    2688     41,347   SH         SOLE      1       41,347          --       --
MGM MIRAGE                     EQUITY    552953101     110      2,697   SH         SOLE      1        2,697          --       --
MGP INGREDIENTS INC            EQUITY    55302G103     165      7,121   SH         SOLE      1        7,121          --       --
MI DEVELOPMENTS INC            EQUITY    55304X104      14        400   SH         OTHER     1           --         400       --
MICHAELS STORES INC            EQUITY    594087108   11806    286,278   SH         SOLE      1      286,278          --       --
MICREL INC                     EQUITY    594793101    1905    190,308   SH         SOLE      1      190,308          --       --
MICROCHIP TECHNOLOGY INC       EQUITY    595017104   15919    474,483   SH         SOLE      1      474,483          --       --
MICROFINANCIAL INC             EQUITY    595072109       3      1,000   SH        DEFINED    4           --          --    1,000
MICRON TECHNOLOGY INC          EQUITY    595112103      14        899   SH         SOLE      2          899          --       --
MICRON TECHNOLOGY INC          EQUITY    595112103   10002    664,121   SH         SOLE      1      664,121          --       --
MICROS SYSTEMS INC             EQUITY    594901100    1267     29,001   SH         SOLE      1       29,001          --       --
MICROSEMI CORP                 EQUITY    595137100    1286     52,768   SH         SOLE      1       52,768          --       --
MICROSEMI CORP                 EQUITY    595137100   10674    437,800   SH         SOLE      2      437,800          --       --
MICROSOFT CORP                 EQUITY    594918104     797     34,188   SH        DEFINED    4           --          --   34,188
MICROSOFT CORP                 EQUITY    594918104   26729  1,147,156   SH         SOLE      2    1,147,156          --       --
MICROSOFT CORP                 EQUITY    594918104  218746  9,388,058   SH         SOLE      1    9,388,058          --       --
MICROSTRATEGY INC              EQUITY    594972408     730      7,487   SH         SOLE      1        7,487          --       --
MICROTUNE INC                  EQUITY    59514P109     247     39,471   SH         SOLE      1       39,471          --       --
MICRUS ENDOVASCULAR CORP       EQUITY    59518V102    1384    114,800   SH         SOLE      3      114,800          --       --
MID-AMERICA APARTMENT COMMUNIT EQUITY    59522J103     983     17,626   SH         SOLE      1       17,626          --       --
MIDAS INC                      EQUITY    595626102       8        430   SH        DEFINED    4           --          --      430
MIDAS INC                      EQUITY    595626102     838     45,534   SH         SOLE      1       45,534          --       --
MIDCAP SPDR TRUST SERIES 1     EQUITY    595635103     152      1,090   SH        DEFINED    4           --          --    1,090
MIDDLEBY CORP                  EQUITY    596278101     431      4,976   SH         SOLE      1        4,976          --       --
MIDLAND CO/THE                 EQUITY    597486109     330      8,679   SH         SOLE      1        8,679          --       --
MID-STATE BANCSHARES           EQUITY    595440108     466     16,645   SH         SOLE      1       16,645          --       --
MIDWAY GAMES INC               EQUITY    598148104     216     26,650   SH         SOLE      1       26,650          --       --
MIDWEST BANC HOLDINGS INC      EQUITY    598251106     278     12,501   SH         SOLE      1       12,501          --       --
MILLENNIUM PHARMACEUTICALS INC EQUITY    599902103       2        240   SH        DEFINED    4           --          --      240
MILLENNIUM PHARMACEUTICALS INC EQUITY    599902103    7071    709,243   SH         SOLE      1      709,243          --       --
MILLER INDUSTRIES INC/TN       EQUITY    600551204     147      7,124   SH         SOLE      1        7,124          --       --
MILLIPORE CORP                 EQUITY    601073109       4         66   SH         SOLE      2           66          --       --
MILLIPORE CORP                 EQUITY    601073109    2317     36,785   SH         SOLE      1       36,785          --       --
MILLS CORP/THE                 EQUITY    601148109    1130     42,232   SH         SOLE      1       42,232          --       --
MINDSPEED TECHNOLOGIES INC     EQUITY    602682106     198     82,183   SH         SOLE      1       82,183          --       --
MINE SAFETY APPLIANCES CO      EQUITY    602720104    3198     79,544   SH         SOLE      1       79,544          --       --
MINEFINDERS CORP               EQUITY    602900102     678     83,200   SH         OTHER     1           --      83,200       --
MINERALS TECHNOLOGIES INC      EQUITY    603158106    2992     57,535   SH         SOLE      1       57,535          --       --
MIPS TECHNOLOGIES INC          EQUITY    604567107     197     32,447   SH         SOLE      1       32,447          --       --
MIRANT CORP                    EQUITY    60467R100   44549  1,662,270   SH         SOLE      1    1,662,270          --       --
MKS INSTRUMENTS INC            EQUITY    55306N104     546     27,148   SH         SOLE      1       27,148          --       --
MOBILE MINI INC                EQUITY    60740F105    1460     49,900   SH         SOLE      1       49,900          --       --
MOBILE TELESYSTEMS OJSC        EQUITY    607409109    2735     92,900   SH         SOLE      1       92,900          --       --
MOBILITY ELECTRONICS INC       EQUITY    60741U101     152     20,890   SH         SOLE      1       20,890          --       --
MODINE MANUFACTURING CO        EQUITY    607828100    2267     97,048   SH         SOLE      1       97,048          --       --
MOHAWK INDUSTRIES INC          EQUITY    608190104    8184    116,332   SH         SOLE      1      116,332          --       --
MOLECULAR DEVICES CORP         EQUITY    60851C107     387     12,660   SH         SOLE      1       12,660          --       --
MOLEX INC                      EQUITY    608554101       6        176   SH         SOLE      2          176          --       --
MOLEX INC                      EQUITY    608554101    2198     65,482   SH         SOLE      1       65,482          --       --
MOLINA HEALTHCARE INC          EQUITY    60855R100     347      9,108   SH         SOLE      1        9,108          --       --
MOLSON COORS BREWING CO        EQUITY    60871R209       5         71   SH         SOLE      2           71          --       --
MOLSON COORS BREWING CO        EQUITY    60871R209    8777    129,299   SH         SOLE      1      129,299          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
MOMENTA PHARMACEUTICALS INC    EQUITY    60877T100     205     16,134   SH         SOLE      1       16,134          --       --
MONACO COACH CORP              EQUITY    60886R103     253     19,946   SH         SOLE      1       19,946          --       --
MONARCH CASINO & RESORT INC    EQUITY    609027107     218      7,760   SH         SOLE      1        7,760          --       --
MONEYGRAM INTERNATIONAL INC    EQUITY    60935Y109     655     19,300   SH         SOLE      2       19,300          --       --
MONEYGRAM INTERNATIONAL INC    EQUITY    60935Y109    6230    183,510   SH         SOLE      1      183,510          --       --
MONOGRAM BIOSCIENCES INC       EQUITY    60975U108     192     97,214   SH         SOLE      1       97,214          --       --
MONOLITHIC POWER SYSTEMS INC   EQUITY    609839105     193     16,293   SH         SOLE      1       16,293          --       --
MONRO MUFFLER INC              EQUITY    610236101     287      8,826   SH         SOLE      1        8,826          --       --
MONSANTO CO                    EQUITY    61166W101    1426     16,935   SH         SOLE      2       16,935          --       --
MONSANTO CO                    EQUITY    61166W101   12531    148,838   SH         SOLE      1      148,838          --       --
MONSTER WORLDWIDE INC          EQUITY    611742107       7        159   SH         SOLE      2          159          --       --
MONSTER WORLDWIDE INC          EQUITY    611742107    5784    135,573   SH         SOLE      1      135,573          --       --
MONTGOMERY STREET INCOME SECUR EQUITY    614115103      25      1,500   SH        DEFINED    4           --          --    1,500
MOODY'S CORP                   EQUITY    615369105      17        303   SH         SOLE      2          303          --       --
MOODY'S CORP                   EQUITY    615369105    7764    142,563   SH         SOLE      1      142,563          --       --
MOOG INC                       EQUITY    615394202     938     27,419   SH         SOLE      1       27,419          --       --
MORGAN STANLEY                 EQUITY    617446448      31        483   SH        DEFINED    4           --          --      483
MORGAN STANLEY                 EQUITY    617446448    1829     28,928   SH         SOLE      2       28,928          --       --
MORGAN STANLEY                 EQUITY    617446448  102012  1,613,966   SH         SOLE      1    1,613,966          --       --
MORGANS HOTEL GROUP CO         EQUITY    61748W108     209     13,421   SH         SOLE      1       13,421          --       --
MORNINGSTAR INC                EQUITY    617700109     435     10,490   SH         SOLE      1       10,490          --       --
MORNINGSTAR INC                EQUITY    617700109     469     11,300   SH         SOLE      2       11,300          --       --
MORTON'S RESTAURANT GROUP INC  EQUITY    619430101     114      7,464   SH         SOLE      1        7,464          --       --
MORTON'S RESTAURANT GROUP INC  EQUITY    619430101    3101    202,400   SH         SOLE      2      202,400          --       --
MOSAIC CO/THE                  EQUITY    61945A107      70      4,461   SH         SOLE      1        4,461          --       --
MOSYS INC                      EQUITY    619718109       8      1,000   SH        DEFINED    4           --          --    1,000
MOSYS INC                      EQUITY    619718109     131     16,821   SH         SOLE      1       16,821          --       --
MOTOROLA INC                   EQUITY    620076109     109      5,398   SH        DEFINED    4           --          --    5,398
MOTOROLA INC                   EQUITY    620076109   32112  1,593,662   SH         SOLE      2    1,593,662          --       --
MOTOROLA INC                   EQUITY    620076109   32400  1,607,962   SH         SOLE      1    1,607,962          --       --
MOVADO GROUP INC               EQUITY    624580106     303     13,196   SH         SOLE      1       13,196          --       --
MPS GROUP INC                  EQUITY    553409103    4816    319,779   SH         SOLE      1      319,779          --       --
MRO SOFTWARE INC               EQUITY    55347W105     302     15,047   SH         SOLE      1       15,047          --       --
MRV COMMUNICATIONS INC         EQUITY    553477100     290     93,235   SH         SOLE      1       93,235          --       --
MSC INDUSTRIAL DIRECT CO       EQUITY    553530106    5592    117,552   SH         SOLE      1      117,552          --       --
MTC TECHNOLOGIES INC           EQUITY    55377A106     178      7,553   SH         SOLE      1        7,553          --       --
MTC TECHNOLOGIES INC           EQUITY    55377A106    1330     56,300   SH         SOLE      3       56,300          --       --
MTR GAMING GROUP INC           EQUITY    553769100     159     16,905   SH         SOLE      1       16,905          --       --
MTS SYSTEMS CORP               EQUITY    553777103     225      5,700   SH         SOLE      2        5,700          --       --
MTS SYSTEMS CORP               EQUITY    553777103     680     17,215   SH         SOLE      1       17,215          --       --
MUELLER INDUSTRIES INC         EQUITY    624756102     908     27,498   SH         SOLE      1       27,498          --       --
MUELLER WATER PRODUCTS INC     EQUITY    624758108     325     18,690   SH         SOLE      1       18,690          --       --
MULTI-FINELINE ELECTRONIX INC  EQUITY    62541B101     206      6,214   SH         SOLE      1        6,214          --       --
MULTIMEDIA GAMES INC           EQUITY    625453105     205     20,251   SH         SOLE      1       20,251          --       --
MURPHY OIL CORP                EQUITY    626717102      12        206   SH         SOLE      2          206          --       --
MURPHY OIL CORP                EQUITY    626717102    4428     79,275   SH         SOLE      1       79,275          --       --
MVC CAPITAL INC                EQUITY    553829102     171     12,762   SH         SOLE      1       12,762          --       --
MWI VETERINARY SUPPLY INC      EQUITY    55402X105     141      3,857   SH         SOLE      1        3,857          --       --
MYERS INDUSTRIES INC           EQUITY    628464109     342     19,889   SH         SOLE      1       19,889          --       --
MYLAN LABORATORIES INC         EQUITY    628530107       5        261   SH         SOLE      2          261          --       --
MYLAN LABORATORIES INC         EQUITY    628530107    3002    150,081   SH         SOLE      1      150,081          --       --
MYOGEN INC                     EQUITY    62856E104     919     31,683   SH         SOLE      1       31,683          --       --
MYRIAD GENETICS INC            EQUITY    62855J104     556     22,000   SH         SOLE      2       22,000          --       --
MYRIAD GENETICS INC            EQUITY    62855J104     744     29,452   SH         SOLE      1       29,452          --       --
NABI BIOPHARMACEUTICALS        EQUITY    629519109     257     44,767   SH         SOLE      1       44,767          --       --
NABORS INDUSTRIES LTD          EQUITY    G6359F103      13        376   SH        DEFINED    4           --          --      376
NABORS INDUSTRIES LTD          EQUITY    G6359F103      13        385   SH         SOLE      2          385          --       --
NACCO INDUSTRIES INC           EQUITY    629579103    1088      7,917   SH         SOLE      1        7,917          --       --
NALCO HOLDING CO               EQUITY    62985Q101      42      2,394   SH         SOLE      1        2,394          --       --
NARA BANCORP INC               EQUITY    63080P105     297     15,832   SH         SOLE      1       15,832          --       --
NASB FINANCIAL INC             EQUITY    628968109     100      2,957   SH         SOLE      1        2,957          --       --
NASDAQ STOCK MARKET INC/THE    EQUITY    631103108      64      2,131   SH         SOLE      1        2,131          --       --
NASDAQ STOCK MARKET INC/THE    EQUITY    631103108    1973     66,000   SH         SOLE      2       66,000          --       --
NASDAQ-100 INDEX TRACKING STOC EQUITY    631100104      98      2,540   SH        DEFINED    4           --          --    2,540
NASDAQ-100 INDEX TRACKING STOC EQUITY    631100104    8940    230,600   SH         SOLE      1      230,600          --       --
NASH FINCH CO                  EQUITY    631158102     267     12,549   SH         SOLE      1       12,549          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
NASTECH PHARMACEUTICAL CO INC  EQUITY    631728409     256     16,192   SH         SOLE      1       16,192          --       --
NATCO GROUP INC                EQUITY    63227W203    1500     37,305   SH         SOLE      1       37,305          --       --
NATCO GROUP INC                EQUITY    63227W203    4342    108,000   SH         SOLE      3      108,000          --       --
NATIONAL BEVERAGE CORP         EQUITY    635017106      88      6,113   SH         SOLE      1        6,113          --       --
NATIONAL BEVERAGE CORP         EQUITY    635017106     132      9,200   SH         SOLE      2        9,200          --       --
NATIONAL CITY CORP             EQUITY    635405103      24        673   SH         SOLE      2          673          --       --
NATIONAL CITY CORP             EQUITY    635405103   20767    573,843   SH         SOLE      1      573,843          --       --
NATIONAL FINANCIAL PARTNERS CO EQUITY    63607P208    1236     27,901   SH         SOLE      1       27,901          --       --
NATIONAL FUEL GAS CO           EQUITY    636180101    8221    233,952   SH         SOLE      1      233,952          --       --
NATIONAL HEALTHCARE CORP       EQUITY    635906100     215      4,818   SH         SOLE      1        4,818          --       --
NATIONAL INSTRUMENTS CORP      EQUITY    636518102    3306    120,667   SH         SOLE      1      120,667          --       --
NATIONAL INTERSTATE CORP       EQUITY    63654U100     321     11,824   SH         SOLE      1       11,824          --       --
NATIONAL OILWELL VARCO INC     EQUITY    637071101      14        217   SH         SOLE      2          217          --       --
NATIONAL OILWELL VARCO INC     EQUITY    637071101    5113     80,743   SH         SOLE      1       80,743          --       --
NATIONAL PENN BANCSHARES INC   EQUITY    637138108     691     34,791   SH         SOLE      1       34,791          --       --
NATIONAL PRESTO INDUSTRIES INC EQUITY    637215104     185      3,540   SH         SOLE      1        3,540          --       --
NATIONAL RETAIL PROPERTIES INC EQUITY    637417106     703     35,246   SH        DEFINED    4           --          --   35,246
NATIONAL RETAIL PROPERTIES INC EQUITY    637417106    3283    164,583   SH         SOLE      1      164,583          --       --
NATIONAL SEMICONDUCTOR CORP    EQUITY    637640103      10        419   SH         SOLE      2          419          --       --
NATIONAL SEMICONDUCTOR CORP    EQUITY    637640103    3713    155,680   SH         SOLE      1      155,680          --       --
NATIONAL WESTERN LIFE INSURANC EQUITY    638522102     403      1,683   SH         SOLE      1        1,683          --       --
NATIONWIDE FINANCIAL SERVICES  EQUITY    638612101      73      1,661   SH         SOLE      1        1,661          --       --
NATIONWIDE HEALTH PROPERTIES I EQUITY    638620104    9288    412,604   SH         SOLE      1      412,604          --       --
NATUS MEDICAL INC              EQUITY    639050103     137     13,883   SH         SOLE      1       13,883          --       --
NAUTILUS INC                   EQUITY    63910B102     384     24,473   SH         SOLE      1       24,473          --       --
NAVIGANT CONSULTING INC        EQUITY    63935N107    3255    143,724   SH         SOLE      1      143,724          --       --
NAVIGANT INTERNATIONAL INC     EQUITY    63935R108     186     11,575   SH         SOLE      1       11,575          --       --
NAVIGATORS GROUP INC           EQUITY    638904102     427      9,737   SH         SOLE      1        9,737          --       --
NAVISTAR INTERNATIONAL CORP    EQUITY    63934E108       2         76   SH         SOLE      2           76          --       --
NAVISTAR INTERNATIONAL CORP    EQUITY    63934E108    1809     73,509   SH         SOLE      1       73,509          --       --
NAVTEQ CORP                    EQUITY    63936L100      94      2,094   SH         SOLE      1        2,094          --       --
NBT BANCORP INC                EQUITY    628778102     596     25,649   SH         SOLE      1       25,649          --       --
NBTY INC                       EQUITY    628782104     325     13,600   SH         SOLE      2       13,600          --       --
NBTY INC                       EQUITY    628782104     984     41,166   SH         SOLE      1       41,166          --       --
NCI BUILDING SYSTEMS INC       EQUITY    628852105     811     15,262   SH         SOLE      1       15,262          --       --
NCO GROUP INC                  EQUITY    628858102     637     24,107   SH         SOLE      1       24,107          --       --
NCR CORP                       EQUITY    62886E108       8        226   SH         SOLE      2          226          --       --
NCR CORP                       EQUITY    62886E108    3140     85,711   SH         SOLE      1       85,711          --       --
NDS GROUP PLC                  EQUITY    628891103   16149    349,753   SH         SOLE      1      349,753          --       --
NEENAH PAPER INC               EQUITY    640079109     335     11,017   SH         SOLE      1       11,017          --       --
NEKTAR THERAPEUTICS            EQUITY    640268108     734     40,000   SH         SOLE      2       40,000          --       --
NEKTAR THERAPEUTICS            EQUITY    640268108    2461    134,188   SH         SOLE      1      134,188          --       --
NELNET INC                     EQUITY    64031N108      19        467   SH         SOLE      1          467          --       --
NEOWARE INC                    EQUITY    64065P102     189     15,400   SH         SOLE      2       15,400          --       --
NEOWARE INC                    EQUITY    64065P102     404     14,773   SH         SOLE      1       14,773          --       --
NESS TECHNOLOGIES INC          EQUITY    64104X108    1334    124,128   SH         SOLE      1      124,128          --       --
NESS TECHNOLOGIES INC          EQUITY    64104X108    3245    301,900   SH         SOLE      3      301,900          --       --
NET 1 UEPS TECHNOLOGIES INC    EQUITY    64107N206     372     13,600   SH         SOLE      2       13,600          --       --
NET 1 UEPS TECHNOLOGIES INC    EQUITY    64107N206     979     35,820   SH         SOLE      1       35,820          --       --
NETBANK INC                    EQUITY    640933107     229     34,571   SH         SOLE      1       34,571          --       --
NETEASE.COM                    EQUITY    64110W102      48      2,155   SH        DEFINED    4           --          --    2,155
NETEASE.COM                    EQUITY    64110W102    2857    127,950   SH         SOLE      1      127,950          --       --
NETFLIX INC                    EQUITY    64110L106     799     29,374   SH         SOLE      1       29,374          --       --
NETGEAR INC                    EQUITY    64111Q104     197      9,100   SH         SOLE      2        9,100          --       --
NETGEAR INC                    EQUITY    64111Q104     535     24,728   SH         SOLE      1       24,728          --       --
NETIQ CORP                     EQUITY    64115P102     367     30,107   SH         SOLE      1       30,107          --       --
NETLOGIC MICROSYSTEMS INC      EQUITY    64118B100     323     10,000   SH         SOLE      2       10,000          --       --
NETLOGIC MICROSYSTEMS INC      EQUITY    64118B100     383     11,883   SH         SOLE      1       11,883          --       --
NETLOGIC MICROSYSTEMS INC      EQUITY    64118B100    1880     58,300   SH         SOLE      3       58,300          --       --
NETRATINGS INC                 EQUITY    64116M108     138      9,929   SH         SOLE      1        9,929          --       --
NETSCOUT SYSTEMS INC           EQUITY    64115T104     172     19,231   SH         SOLE      1       19,231          --       --
NETSMART TECHNOLOGIES INC      EQUITY    64114W306    1410    108,800   SH         SOLE      3      108,800          --       --
NETWORK APPLIANCE INC          EQUITY    64120L104      16        464   SH         SOLE      2          464          --       --
NETWORK APPLIANCE INC          EQUITY    64120L104    5179    146,700   SH         SOLE      3       62,800          --   83,900
NETWORK APPLIANCE INC          EQUITY    64120L104    6870    194,620   SH         SOLE      1      194,620          --       --
NEUROCRINE BIOSCIENCES INC     EQUITY    64125C109     298     28,145   SH         SOLE      1       28,145          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
NEUROMETRIX INC                EQUITY    641255104     283      9,305   SH         SOLE      1        9,305          --       --
NEUSTAR INC                    EQUITY    64126X201     486     14,400   SH         SOLE      2       14,400          --       --
NEUSTAR INC                    EQUITY    64126X201    1658     49,129   SH         SOLE      1       49,129          --       --
NEUSTAR INC                    EQUITY    64126X201    4182    123,900   SH         SOLE      3       68,300          --   55,600
NEW CENTURY FINANCIAL CORP     EQUITY    6435EV108    1082     23,651   SH         SOLE      1       23,651          --       --
NEW JERSEY RESOURCES CORP      EQUITY    646025106     978     20,911   SH         SOLE      1       20,911          --       --
NEW RIVER PHARMACEUTICALS INC  EQUITY    648468205     337     11,832   SH         SOLE      1       11,832          --       --
NEW YORK & CO INC              EQUITY    649295102     156     15,956   SH         SOLE      1       15,956          --       --
NEW YORK & CO INC              EQUITY    649295102    2003    205,000   SH         SOLE      2      205,000          --       --
NEW YORK COMMUNITY BANCORP INC EQUITY    649445103    3381    204,800   SH         SOLE      2      204,800          --       --
NEW YORK COMMUNITY BANCORP INC EQUITY    649445103    9452    572,516   SH         SOLE      1      572,516          --       --
NEW YORK TIMES CO              EQUITY    650111107       4        180   SH         SOLE      2          180          --       --
NEW YORK TIMES CO              EQUITY    650111107    1670     68,071   SH         SOLE      1       68,071          --       --
NEWALLIANCE BANCSHARES INC     EQUITY    650203102    1175     82,138   SH         SOLE      1       82,138          --       --
NEWELL RUBBERMAID INC          EQUITY    651229106      18        700   SH        DEFINED    4           --          --      700
NEWELL RUBBERMAID INC          EQUITY    651229106    2695    104,343   SH         SOLE      2      104,343          --       --
NEWELL RUBBERMAID INC          EQUITY    651229106    3336    129,170   SH         SOLE      1      129,170          --       --
NEWFIELD EXPLORATION CO        EQUITY    651290108   13707    280,068   SH         SOLE      1      280,068          --       --
NEWKIRK REALTY TRUST INC       EQUITY    651497109     251     14,456   SH         SOLE      1       14,456          --       --
NEWMARKET CORP                 EQUITY    651587107    1312     26,751   SH         SOLE      1       26,751          --       --
NEWMONT MINING CORP            EQUITY    651639106       5        100   SH        DEFINED    4           --          --      100
NEWMONT MINING CORP            EQUITY    651639106    1358     25,657   SH         SOLE      2       25,657          --       --
NEWMONT MINING CORP            EQUITY    651639106   20766    392,337   SH         SOLE      1      392,337          --       --
NEWPARK RESOURCES              EQUITY    651718504     410     66,682   SH         SOLE      1       66,682          --       --
NEWPORT CORP                   EQUITY    651824104    1891    117,316   SH         SOLE      1      117,316          --       --
NEWS CORP                      EQUITY    65248E104   33285  1,735,407   SH         SOLE      2    1,735,407          --       --
NEWS CORP                      EQUITY    65248E104   34420  1,794,601   SH         SOLE      1    1,794,601          --       --
NEWTEK BUSINESS SERVICES INC   EQUITY    652526104    1978  1,184,379   SH         SOLE      1    1,184,379          --       --
NEXEN INC                      EQUITY    65334H102    3385     60,000   SH         OTHER     1           --      60,000       --
NEXTEL COMMUNICATIONS          CORP BOND 65332VAY9     966  1,000,000  PRN         SOLE      1    1,000,000          --       --
NEXTEST SYSTEMS CORP           EQUITY    653339101      73      4,492   SH         SOLE      1        4,492          --       --
NGAS RESOURCES INC             EQUITY    62912T103    2168    274,800   SH         SOLE      2      274,800          --       --
NGP CAPITAL RESOURCES CO       EQUITY    62912R107     190     12,982   SH         SOLE      1       12,982          --       --
NIC INC                        EQUITY    62914B100     206     28,548   SH         SOLE      1       28,548          --       --
NICE SYSTEMS LTD               EQUITY    653656108       6        200   SH        DEFINED    4           --          --      200
NICHOLAS FINANCIAL INC         EQUITY    65373J209    1012     70,784   SH        DEFINED    4           --          --   70,784
NICOR INC                      EQUITY    654086107       2         55   SH         SOLE      2           55          --       --
NICOR INC                      EQUITY    654086107    2185     52,646   SH         SOLE      1       52,646          --       --
NIGHTHAWK RADIOLOGY HOLDINGS I EQUITY    65411N105      84      4,693   SH         SOLE      1        4,693          --       --
NII HOLDINGS INC               EQUITY    62913F201     655     11,625   SH         SOLE      1       11,625          --       --
NII HOLDINGS INC               EQUITY    62913F201    7651    135,700   SH         SOLE      2      135,700          --       --
NIKE INC                       EQUITY    654106103    8782    108,417   SH         SOLE      1      108,417          --       --
NIKE INC                       EQUITY    654106103   30645    378,334   SH         SOLE      2      378,334          --       --
NISOURCE INC                   EQUITY    65473P105       7        338   SH         SOLE      2          338          --       --
NISOURCE INC                   EQUITY    65473P105      10        450   SH        DEFINED    4           --          --      450
NISOURCE INC                   EQUITY    65473P105    2821    129,158   SH         SOLE      1      129,158          --       --
NITROMED INC                   EQUITY    654798503     644    133,346   SH         SOLE      1      133,346          --       --
NL INDUSTRIES                  EQUITY    629156407      61      5,651   SH         SOLE      1        5,651          --       --
NN INC                         EQUITY    629337106     159     12,860   SH         SOLE      1       12,860          --       --
NOBLE CORP                     EQUITY    G65422100    4433     59,571   SH         SOLE      2       59,571          --       --
NOBLE ENERGY INC               EQUITY    655044105   21898    467,317   SH         SOLE      1      467,317          --       --
NOBLE INTERNATIONAL LTD        EQUITY    655053106     123      8,562   SH         SOLE      1        8,562          --       --
NOKIA OYJ                      EQUITY    654902204     102      5,051   SH        DEFINED    4           --          --    5,051
NOKIA OYJ                      EQUITY    654902204   29194  1,441,420   SH         SOLE      1    1,441,420          --       --
NORDSON CORP                   EQUITY    655663102    4636     94,257   SH         SOLE      1       94,257          --       --
NORDSTROM INC                  EQUITY    655664100      10        267   SH         SOLE      2          267          --       --
NORDSTROM INC                  EQUITY    655664100    3646     99,897   SH         SOLE      1       99,897          --       --
NORFOLK SOUTHERN CORP          EQUITY    655844108      11        200   SH        DEFINED    4           --          --      200
NORFOLK SOUTHERN CORP          EQUITY    655844108      27        514   SH         SOLE      2          514          --       --
NORFOLK SOUTHERN CORP          EQUITY    655844108   17655    331,744   SH         SOLE      1      331,744          --       --
NORTEL NETWORKS CORP           CORP BOND 656568AB8       2      2,000  PRN        DEFINED    4           --          --    2,000
NORTEL NETWORKS CORP           EQUITY    656568102      11      4,689   SH        DEFINED    4           --          --    4,689
NORTEL NETWORKS CORP           EQUITY    656568102      98     44,100   SH         OTHER     1           --      44,100       --
NORTH FORK BANCORPORATION INC  EQUITY    659424105      15        500   SH        DEFINED    4           --          --      500
NORTH FORK BANCORPORATION INC  EQUITY    659424105      17        577   SH         SOLE      2          577          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
NORTH FORK BANCORPORATION INC  EQUITY    659424105   10442    346,113   SH         SOLE      1      346,113          --       --
NORTH PITTSBURGH SYSTEMS INC   EQUITY    661562108     309     11,195   SH         SOLE      1       11,195          --       --
NORTHEAST UTILITIES            EQUITY    664397106    6912    334,415   SH         SOLE      1      334,415          --       --
NORTHERN EMPIRE BANCSHARES     EQUITY    665112108     165      6,886   SH         SOLE      1        6,886          --       --
NORTHERN TRUST CORP            EQUITY    665859104      13        230   SH         SOLE      2          230          --       --
NORTHERN TRUST CORP            EQUITY    665859104    5046     91,252   SH         SOLE      1       91,252          --       --
NORTHFIELD LABORATORIES INC    EQUITY    666135108      20      2,000   SH        DEFINED    4           --          --    2,000
NORTHFIELD LABORATORIES INC    EQUITY    666135108     186     18,857   SH         SOLE      1       18,857          --       --
NORTHROP GRUMMAN CORP          EQUITY    666807102     354      5,526   SH         SOLE      2        5,526          --       --
NORTHROP GRUMMAN CORP          EQUITY    666807102   19950    311,426   SH         SOLE      1      311,426          --       --
NORTHSTAR NEUROSCIENCE INC     EQUITY    66704V101      83      8,046   SH         SOLE      1        8,046          --       --
NORTHSTAR REALTY FINANCE CORP  EQUITY    66704R100    1972    164,234   SH         SOLE      1      164,234          --       --
NORTHWEST BANCORP INC          EQUITY    667328108     369     13,938   SH         SOLE      1       13,938          --       --
NORTHWEST NATURAL GAS CO       EQUITY    667655104     762     20,575   SH         SOLE      1       20,575          --       --
NORTHWESTERN CORP              EQUITY    668074305    1631     47,481   SH         SOLE      1       47,481          --       --
NOVA CHEMICALS CORP            EQUITY    66977W109      29      1,000   SH         OTHER     1           --       1,000       --
NOVARTIS AG                    EQUITY    66987V109    4297     79,700   SH         SOLE      2       79,700          --       --
NOVASTAR FINANCIAL INC         EQUITY    669947400     775     24,503   SH         SOLE      1       24,503          --       --
NOVATEL WIRELESS INC           EQUITY    66987M604     229     21,971   SH         SOLE      1       21,971          --       --
NOVAVAX INC                    EQUITY    670002104     231     45,828   SH         SOLE      1       45,828          --       --
NOVELIS INC                    EQUITY    67000X106      14        662   SH         OTHER     1           --         662       --
NOVELL INC                     EQUITY    670006105       3        420   SH         SOLE      2          420          --       --
NOVELL INC                     EQUITY    670006105    1065    160,614   SH         SOLE      1      160,614          --       --
NOVELLUS SYSTEMS INC           EQUITY    670008101       4        158   SH         SOLE      2          158          --       --
NOVELLUS SYSTEMS INC           EQUITY    670008101    2946    119,284   SH         SOLE      1      119,284          --       --
NOVEN PHARMACEUTICALS INC      EQUITY    670009109     316     17,667   SH         SOLE      1       17,667          --       --
NOVEN PHARMACEUTICALS INC      EQUITY    670009109     448     25,000   SH         SOLE      2       25,000          --       --
NPS PHARMACEUTICALS INC        EQUITY    62936P103     168     34,388   SH         SOLE      1       34,388          --       --
NRG ENERGY INC                 EQUITY    629377508    8313    172,533   SH         SOLE      1      172,533          --       --
NS GROUP INC                   EQUITY    628916108     923     16,762   SH         SOLE      1       16,762          --       --
NSTAR                          EQUITY    67019E107    6661    232,887   SH         SOLE      1      232,887          --       --
NTELOS HOLDINGS CORP           EQUITY    67020Q107     163     11,246   SH         SOLE      1       11,246          --       --
NTL INC                        EQUITY    62941W101     670     26,903   SH         SOLE      1       26,903          --       --
NTN BUZZTIME INC               EQUITY    629410309      71     45,639   SH         SOLE      1       45,639          --       --
NU SKIN ENTERPRISES INC        EQUITY    67018T105     638     42,970   SH         SOLE      1       42,970          --       --
NUANCE COMMUNICATIONS INC      EQUITY    67020Y100     942     93,682   SH         SOLE      1       93,682          --       --
NUCO2 INC                      EQUITY    629428103     278     11,575   SH         SOLE      1       11,575          --       --
NUCOR CORP                     EQUITY    670346105      17        320   SH        DEFINED    4           --          --      320
NUCOR CORP                     EQUITY    670346105   16300    300,456   SH         SOLE      1      300,456          --       --
NUCOR CORP                     EQUITY    670346105   22263    410,386   SH         SOLE      2      410,386          --       --
NUTRI/SYSTEM INC               EQUITY    67069D108      45        724   SH         SOLE      1          724          --       --
NUTRI/SYSTEM INC               EQUITY    67069D108     460      7,400   SH         SOLE      2        7,400          --       --
NUVASIVE INC                   EQUITY    670704105    1528     83,803   SH         SOLE      1       83,803          --       --
NUVEEN INVESTMENTS INC         EQUITY    67090F106       2         47   SH        DEFINED    4           --          --       47
NUVEEN INVESTMENTS INC         EQUITY    67090F106      77      1,786   SH         SOLE      1        1,786          --       --
NUVEEN INVESTMENTS INC         EQUITY    67090F106    6458    150,000   SH         SOLE      2      150,000          --       --
NUVEEN PREFERRED AND CONVERTIB EQUITY    67073B106      96      7,821   SH        DEFINED    4           --          --    7,821
NUVEEN PREMIER INSURED MUNICIP EQUITY    670987106     438     31,650   SH        DEFINED    4           --          --   31,650
NUVEEN SELECT TAX FREE 3       EQUITY    67063X100       2        189   SH        DEFINED    4           --          --      189
NUVELO INC                     EQUITY    67072M301     644     38,651   SH         SOLE      1       38,651          --       --
NVIDIA CORP                    EQUITY    67066G104       9        437   SH         SOLE      2          437          --       --
NVIDIA CORP                    EQUITY    67066G104      20        960   SH        DEFINED    4           --          --      960
NVIDIA CORP                    EQUITY    67066G104    8936    419,736   SH         SOLE      1      419,736          --       --
NVR INC                        EQUITY    62944T105      52        105   SH         SOLE      1          105          --       --
NXSTAGE MEDICAL INC            EQUITY    67072V103      61      6,997   SH         SOLE      1        6,997          --       --
NY COMMUNITY CAP TRUST V       EQUITY    64944P307    1080     23,000   SH         SOLE      1       23,000          --       --
NYMAGIC INC                    EQUITY    629484106     125      4,317   SH         SOLE      1        4,317          --       --
NYSE GROUP INC                 EQUITY    62949W103     301      4,391   SH         SOLE      1        4,391          --       --
NYSE GROUP INC                 EQUITY    62949W103    3972     58,000   SH         SOLE      2       58,000          --       --
NYSE GROUP INC                 EQUITY    62949W103    6547     95,600   SH         SOLE      3       40,800          --   54,800
OAKLEY INC                     EQUITY    673662102     313     18,564   SH         SOLE      1       18,564          --       --
OCCIDENTAL PETROLEUM CORP      EQUITY    674599105      54        531   SH         SOLE      2          531          --       --
OCCIDENTAL PETROLEUM CORP      EQUITY    674599105   22966    223,951   SH         SOLE      1      223,951          --       --
OCEANEERING INTERNATIONAL INC  EQUITY    675232102      56      1,212   SH         SOLE      1        1,212          --       --
OCEANEERING INTERNATIONAL INC  EQUITY    675232102     248      5,400   SH         SOLE      2        5,400          --       --
OCEANFIRST FINANCIAL CORP      EQUITY    675234108     145      6,508   SH         SOLE      1        6,508          --       --
O'CHARLEYS INC                 EQUITY    670823103     293     17,231   SH         SOLE      1       17,231          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
OCWEN FINANCIAL CORP           EQUITY    675746309     325     25,542   SH         SOLE      1       25,542          --       --
ODYSSEY HEALTHCARE INC         EQUITY    67611V101     636     36,188   SH         SOLE      1       36,188          --       --
ODYSSEY RE HOLDINGS CORP       EQUITY    67612W108     253      9,592   SH         SOLE      1        9,592          --       --
OFFICE DEPOT INC               EQUITY    676220106      14        357   SH         SOLE      2          357          --       --
OFFICE DEPOT INC               EQUITY    676220106     598     15,740   SH        DEFINED    4           --          --   15,740
OFFICE DEPOT INC               EQUITY    676220106    5955    156,713   SH         SOLE      1      156,713          --       --
OFFICEMAX INC                  EQUITY    67622P101       4         88   SH         SOLE      2           88          --       --
OFFICEMAX INC                  EQUITY    67622P101    1374     33,724   SH         SOLE      1       33,724          --       --
OGE ENERGY CORP                EQUITY    670837103    9374    267,603   SH         SOLE      1      267,603          --       --
OHIO CASUALTY CORP             EQUITY    677240103    5460    183,638   SH         SOLE      1      183,638          --       --
OIL SERVICE HOLDRS TRUST       EQUITY    678002106      15        100   SH        DEFINED    4           --          --      100
OIL STATES INTERNATIONAL INC   EQUITY    678026105    1267     36,949   SH         SOLE      1       36,949          --       --
OLD DOMINION FREIGHT LINE      EQUITY    679580100     790     21,003   SH         SOLE      1       21,003          --       --
OLD NATIONAL BANCORP/IN        EQUITY    680033107    1000     50,072   SH         SOLE      1       50,072          --       --
OLD REPUBLIC INTERNATIONAL COR EQUITY    680223104   10703    500,823   SH         SOLE      1      500,823          --       --
OLD SECOND BANCORP INC         EQUITY    680277100     314     10,116   SH         SOLE      1       10,116          --       --
OLIN CORP                      EQUITY    680665205    3746    208,950   SH         SOLE      1      208,950          --       --
OLYMPIC STEEL INC              EQUITY    68162K106     221      6,244   SH         SOLE      1        6,244          --       --
OLYMPIC STEEL INC              EQUITY    68162K106    2414     68,200   SH         SOLE      3       68,200          --       --
OM GROUP INC                   EQUITY    670872100     675     21,873   SH         SOLE      1       21,873          --       --
OMEGA FINANCIAL CORP           EQUITY    682092101     294      9,397   SH         SOLE      1        9,397          --       --
OMEGA HEALTHCARE INVESTORS INC EQUITY    681936100    2240    169,448   SH         SOLE      1      169,448          --       --
OMI CORP                       EQUITY    Y6476W104       3        150   SH        DEFINED    4           --          --      150
OMNICARE INC                   EQUITY    681904108    1778     37,500   SH         SOLE      2       37,500          --       --
OMNICARE INC                   EQUITY    681904108   12474    263,045   SH         SOLE      1      263,045          --       --
OMNICELL INC                   EQUITY    68213N109     280     20,270   SH         SOLE      1       20,270          --       --
OMNICOM GROUP INC              EQUITY    681919106       4         40   SH        DEFINED    4           --          --       40
OMNICOM GROUP INC              EQUITY    681919106    1284     14,412   SH         SOLE      2       14,412          --       --
OMNICOM GROUP INC              EQUITY    681919106    8137     91,332   SH         SOLE      1       91,332          --       --
OMNIVISION TECHNOLOGIES INC    EQUITY    682128103    1572     74,414   SH         SOLE      1       74,414          --       --
OMNOVA SOLUTIONS INC           EQUITY    682129101     176     30,908   SH         SOLE      1       30,908          --       --
ON ASSIGNMENT INC              EQUITY    682159108     179     19,468   SH         SOLE      1       19,468          --       --
ON SEMICONDUCTOR CORP          EQUITY    682189105     668    113,572   SH         SOLE      1      113,572          --       --
ONEOK INC                      EQUITY    682680103    8704    255,687   SH         SOLE      1      255,687          --       --
ONLINE RESOURCES CORP          EQUITY    68273G101     108     10,398   SH        DEFINED    4           --          --   10,398
ONLINE RESOURCES CORP          EQUITY    68273G101     174     16,807   SH         SOLE      1       16,807          --       --
ONYX PHARMACEUTICALS INC       EQUITY    683399109     520     30,892   SH         SOLE      1       30,892          --       --
OPEN SOLUTIONS INC             EQUITY    68371P102     403     15,139   SH         SOLE      1       15,139          --       --
OPEN TEXT CORP                 EQUITY    683715106      15      1,018   SH         OTHER     1           --       1,018       --
OPENWAVE SYSTEMS INC           EQUITY    683718308     813     70,415   SH         SOLE      1       70,415          --       --
OPENWAVE SYSTEMS INC           EQUITY    683718308    7446    645,200   SH         SOLE      2      645,200          --       --
OPLINK COMMUNICATIONS INC      EQUITY    68375Q403     223     12,192   SH         SOLE      1       12,192          --       --
OPLINK COMMUNICATIONS INC      EQUITY    68375Q403    1560     85,200   SH         SOLE      3       85,200          --       --
OPNET TECHNOLOGIES INC         EQUITY    683757108     125      9,620   SH         SOLE      1        9,620          --       --
OPSWARE INC                    EQUITY    68383A101     503     61,042   SH         SOLE      1       61,042          --       --
OPTICAL COMMUNICATION PRODUCTS EQUITY    68382T101      30     14,880   SH         SOLE      1       14,880          --       --
OPTION CARE INC                EQUITY    683948103     234     19,512   SH         SOLE      1       19,512          --       --
OPTIONSXPRESS HOLDINGS INC     EQUITY    684010101     212      9,100   SH         SOLE      2        9,100          --       --
OPTIONSXPRESS HOLDINGS INC     EQUITY    684010101     361     15,476   SH         SOLE      1       15,476          --       --
ORACLE CORP                    EQUITY    68389X105     250     17,229   SH        DEFINED    4           --          --   17,229
ORACLE CORP                    EQUITY    68389X105    4402    303,829   SH         SOLE      2      303,829          --       --
ORACLE CORP                    EQUITY    68389X105   57093  3,940,173   SH         SOLE      1    3,940,173          --       --
ORASURE TECHNOLOGIES INC       EQUITY    68554V108     326     34,242   SH         SOLE      1       34,242          --       --
ORBITAL SCIENCES CORP          EQUITY    685564106     937     58,048   SH         SOLE      1       58,048          --       --
OREGON STEEL MILLS INC         EQUITY    686079104    2546     50,256   SH         SOLE      1       50,256          --       --
O'REILLY AUTOMOTIVE INC        EQUITY    686091109    7646    245,152   SH         SOLE      1      245,152          --       --
ORIENTAL FINANCIAL GROUP       EQUITY    68618W100     200     15,663   SH         SOLE      1       15,663          --       --
ORLEANS HOMEBUILDERS INC       EQUITY    686588104      57      3,514   SH         SOLE      1        3,514          --       --
ORMAT TECHNOLOGIES INC         EQUITY    686688102     231      6,053   SH         SOLE      1        6,053          --       --
OSCIENT PHARMACEUTICALS CORP   EQUITY    68812R105     511    593,768   SH         SOLE      1      593,768          --       --
OSHKOSH TRUCK CORP             EQUITY    688239201    7578    159,460   SH         SOLE      1      159,460          --       --
OSI PHARMACEUTICALS INC        EQUITY    671040103       5        160   SH        DEFINED    4           --          --      160
OSI PHARMACEUTICALS INC        EQUITY    671040103    1399     42,456   SH         SOLE      1       42,456          --       --
OSI RESTAURANT PARTNERS INC    EQUITY    67104A101    4949    143,043   SH         SOLE      1      143,043          --       --
OSI SYSTEMS INC                EQUITY    671044105     196     11,002   SH         SOLE      1       11,002          --       --
OTTER TAIL CORP                EQUITY    689648103     107      3,900   SH        DEFINED    4           --          --    3,900
OTTER TAIL CORP                EQUITY    689648103     601     21,981   SH         SOLE      1       21,981          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
OUTDOOR CHANNEL HOLDINGS INC   EQUITY    690027206     101      9,801   SH         SOLE      1        9,801          --       --
OVERSEAS SHIPHOLDING GROUP     EQUITY    690368105    3822     64,614   SH         SOLE      1       64,614          --       --
OVERSTOCK.COM INC              EQUITY    690370101     177      8,325   SH         SOLE      1        8,325          --       --
OWENS & MINOR INC              EQUITY    690732102     855     29,910   SH         SOLE      1       29,910          --       --
OWENS-ILLINOIS INC             EQUITY    690768403      58      3,457   SH         SOLE      1        3,457          --       --
OXFORD INDUSTRIES INC          EQUITY    691497309     445     11,288   SH         SOLE      1       11,288          --       --
OYO GEOSPACE CORP              EQUITY    671074102     168      2,937   SH         SOLE      1        2,937          --       --
PACCAR INC                     EQUITY    693718108      17        207   SH         SOLE      2          207          --       --
PACCAR INC                     EQUITY    693718108    7983     96,908   SH         SOLE      1       96,908          --       --
PACER INTERNATIONAL INC        EQUITY    69373H106     913     28,013   SH         SOLE      1       28,013          --       --
PACHOLDER HIGH YIELD FUND INC  EQUITY    693742108      88      9,140   SH        DEFINED    4           --          --    9,140
PACIFIC CAPITAL BANCORP        EQUITY    69404P101    1084     34,840   SH         SOLE      1       34,840          --       --
PACIFIC ETHANOL INC            EQUITY    69423U107      18        800   SH        DEFINED    4           --          --      800
PACIFIC ETHANOL INC            EQUITY    69423U107     370     16,001   SH         SOLE      1       16,001          --       --
PACIFIC SUNWEAR OF CALIFORNIA  EQUITY    694873100    3744    208,817   SH         SOLE      1      208,817          --       --
PACIFIC SUNWEAR OF CALIFORNIA  EQUITY    694873100    4608    257,000   SH         SOLE      2      257,000          --       --
PACKAGING CORP OF AMERICA      EQUITY    695156109    8522    386,990   SH         SOLE      1      386,990          --       --
PACKETEER INC                  EQUITY    695210104     294     25,905   SH         SOLE      1       25,905          --       --
PACTIV CORP                    EQUITY    695257105       4        175   SH         SOLE      2          175          --       --
PACTIV CORP                    EQUITY    695257105       6        250   SH        DEFINED    4           --          --      250
PACTIV CORP                    EQUITY    695257105    1614     65,207   SH         SOLE      1       65,207          --       --
PAIN THERAPEUTICS INC          EQUITY    69562K100     221     26,523   SH         SOLE      1       26,523          --       --
PALL CORP                      EQUITY    696429307       4        155   SH         SOLE      2          155          --       --
PALL CORP                      EQUITY    696429307      14        500   SH        DEFINED    4           --          --      500
PALL CORP                      EQUITY    696429307    1647     58,812   SH         SOLE      1       58,812          --       --
PALM HARBOR HOMES INC          EQUITY    696639103     126      7,172   SH         SOLE      1        7,172          --       --
PALM INC                       EQUITY    696643105    4265    264,878   SH         SOLE      1      264,878          --       --
PALOMAR MEDICAL TECHNOLOGIES I EQUITY    697529303     233      5,100   SH         SOLE      2        5,100          --       --
PALOMAR MEDICAL TECHNOLOGIES I EQUITY    697529303     593     12,989   SH         SOLE      1       12,989          --       --
PAM TRANSPORTATION SERVICES    EQUITY    693149106     115      3,970   SH         SOLE      1        3,970          --       --
PAN AMERICAN SILVER CORP       EQUITY    697900108    1243     68,892   SH         OTHER     1           --      68,892       --
PAN PACIFIC RETAIL PROPERTIES  EQUITY    69806L104      89      1,288   SH         SOLE      1        1,288          --       --
PANACOS PHARMACEUTICALS INC    EQUITY    69811Q106     207     37,569   SH         SOLE      1       37,569          --       --
PANACOS PHARMACEUTICALS INC    EQUITY    69811Q106     469     85,000   SH         SOLE      2       85,000          --       --
PANAMSAT HOLDING CORP          EQUITY    69831Y105      58      2,328   SH         SOLE      1        2,328          --       --
PANERA BREAD CO                EQUITY    69840W108      46        677   SH         SOLE      1          677          --       --
PANERA BREAD CO                EQUITY    69840W108     437      6,500   SH         SOLE      2        6,500          --       --
PANTRY INC/THE                 EQUITY    698657103     973     16,918   SH         SOLE      1       16,918          --       --
PAPA JOHN'S INTERNATIONAL INC  EQUITY    698813102    1888     56,866   SH         SOLE      1       56,866          --       --
PAR PHARMACEUTICAL COS INC     EQUITY    69888P106    1869    101,250   SH         SOLE      1      101,250          --       --
PARALLEL PETROLEUM CORP        EQUITY    699157103     644     26,051   SH         SOLE      1       26,051          --       --
PARAMETRIC TECHNOLOGY CORP     EQUITY    699173209    1679    132,069   SH         SOLE      1      132,069          --       --
PARAMETRIC TECHNOLOGY CORP     EQUITY    699173209    3300    259,638   SH         SOLE      2      259,638          --       --
PAREXEL INTERNATIONAL CORP     EQUITY    699462107     585     20,262   SH         SOLE      1       20,262          --       --
PARK ELECTROCHEMICAL CORP      EQUITY    700416209     387     15,037   SH         SOLE      1       15,037          --       --
PARK NATIONAL CORP             EQUITY    700658107       5         52   SH        DEFINED    4           --          --       52
PARK NATIONAL CORP             EQUITY    700658107     876      8,867   SH         SOLE      1        8,867          --       --
PARKER DRILLING CO             EQUITY    701081101     579     80,676   SH         SOLE      1       80,676          --       --
PARKER HANNIFIN CORP           EQUITY    701094104     570      7,349   SH         SOLE      2        7,349          --       --
PARKER HANNIFIN CORP           EQUITY    701094104    6241     80,428   SH         SOLE      1       80,428          --       --
PARKERVISION INC               EQUITY    701354102     128     14,049   SH         SOLE      1       14,049          --       --
PARLUX FRAGRANCES INC          EQUITY    701645103      87      8,932   SH         SOLE      1        8,932          --       --
PARTNERS TRUST FINANCIAL GROUP EQUITY    70213F102     405     35,502   SH         SOLE      1       35,502          --       --
PATHMARK STORES INC            EQUITY    70322A101     365     38,821   SH         SOLE      1       38,821          --       --
PATRIOT TRANSPORTATION HOLDING EQUITY    70337B102     101      1,166   SH         SOLE      1        1,166          --       --
PATTERSON COS INC              EQUITY    703395103       6        172   SH         SOLE      2          172          --       --
PATTERSON COS INC              EQUITY    703395103    2496     71,468   SH         SOLE      1       71,468          --       --
PATTERSON-UTI ENERGY INC       EQUITY    703481101    1764     62,300   SH         SOLE      2       62,300          --       --
PATTERSON-UTI ENERGY INC       EQUITY    703481101   10798    381,426   SH         SOLE      1      381,426          --       --
PAXAR CORP                     EQUITY    704227107     630     30,630   SH         SOLE      1       30,630          --       --
PAYCHEX INC                    EQUITY    704326107      16        414   SH         SOLE      2          414          --       --
PAYCHEX INC                    EQUITY    704326107      83      2,123   SH        DEFINED    4           --          --    2,123
PAYCHEX INC                    EQUITY    704326107    6801    174,471   SH         SOLE      1      174,471          --       --
PAYLESS SHOESOURCE INC         EQUITY    704379106    5273    194,056   SH         SOLE      1      194,056          --       --
PDF SOLUTIONS INC              EQUITY    693282105     195     15,709   SH         SOLE      1       15,709          --       --
PDL BIOPHARMA INC              EQUITY    69329Y104    4563    247,881   SH         SOLE      1      247,881          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
PEABODY ENERGY CORP            EQUITY    704549104   34958    627,052   SH         SOLE      1      627,052          --       --
PEDIATRIX MEDICAL GROUP INC    EQUITY    705324101      50      1,093   SH         SOLE      1        1,093          --       --
PEDIATRIX MEDICAL GROUP INC    EQUITY    705324101     435      9,600   SH         SOLE      2        9,600          --       --
PEET'S COFFEE & TEA INC        EQUITY    705560100     311     10,313   SH         SOLE      1       10,313          --       --
PEGASUS WIRELESS CORP          EQUITY    70558E108     361     40,371   SH         SOLE      1       40,371          --       --
PEGASYSTEMS INC                EQUITY    705573103      69     10,703   SH         SOLE      1       10,703          --       --
PENN NATIONAL GAMING INC       EQUITY    707569109      63      1,630   SH         SOLE      1        1,630          --       --
PENN VIRGINIA CORP             EQUITY    707882106     972     13,913   SH         SOLE      1       13,913          --       --
PENN VIRGINIA CORP             EQUITY    707882106    1074     15,375   SH        DEFINED    4           --          --   15,375
PENNFED FINANCIAL SERVICES INC EQUITY    708167101     133      7,140   SH         SOLE      1        7,140          --       --
PENNSYLVANIA REAL ESTATE INVES EQUITY    709102107    1104     27,342   SH         SOLE      1       27,342          --       --
PENSON WORLDWIDE INC           EQUITY    709600100      96      5,568   SH         SOLE      1        5,568          --       --
PENTAIR INC                    EQUITY    709631105       3         90   SH        DEFINED    4           --          --       90
PENTAIR INC                    EQUITY    709631105    4619    135,100   SH         SOLE      2      135,100          --       --
PENTAIR INC                    EQUITY    709631105    7553    220,914   SH         SOLE      1      220,914          --       --
PENWEST PHARMACEUTICALS CO     EQUITY    709754105     372     17,038   SH         SOLE      1       17,038          --       --
PEOPLES BANCORP INC/OH         EQUITY    709789101     236      7,909   SH         SOLE      1        7,909          --       --
PEOPLE'S BANK/BRIDGEPORT CT    EQUITY    710198102      43      1,315   SH         SOLE      1        1,315          --       --
PEOPLE'S BANK/BRIDGEPORT CT    EQUITY    710198102      63      1,916   SH        DEFINED    4           --          --    1,916
PEOPLES ENERGY CORP            EQUITY    711030106       2         48   SH         SOLE      2           48          --       --
PEOPLES ENERGY CORP            EQUITY    711030106   14083    392,165   SH         SOLE      1      392,165          --       --
PEOPLESUPPORT INC              EQUITY    712714302     186     13,807   SH         SOLE      1       13,807          --       --
PEP BOYS-MANNY MOE & JACK      EQUITY    713278109     475     40,463   SH         SOLE      1       40,463          --       --
PEPCO HOLDINGS INC             EQUITY    713291102    9771    414,365   SH         SOLE      1      414,365          --       --
PEPSI BOTTLING GROUP INC       EQUITY    713409100       5        166   SH         SOLE      2          166          --       --
PEPSI BOTTLING GROUP INC       EQUITY    713409100    6438    200,239   SH         SOLE      1      200,239          --       --
PEPSIAMERICAS INC              EQUITY    71343P200    2888    130,619   SH         SOLE      1      130,619          --       --
PEPSICO INC                    EQUITY    713448108     135      2,244   SH        DEFINED    4           --          --    2,244
PEPSICO INC                    EQUITY    713448108   10654    177,449   SH         SOLE      2      177,449          --       --
PEPSICO INC                    EQUITY    713448108   96957  1,614,868   SH         SOLE      1    1,614,868          --       --
PEREGRINE PHARMACEUTICALS INC  EQUITY    713661106     208    130,804   SH         SOLE      1      130,804          --       --
PERFICIENT INC                 EQUITY    71375U101     162     13,112   SH         SOLE      1       13,112          --       --
PERFORMANCE FOOD GROUP CO      EQUITY    713755106    1005     33,092   SH         SOLE      1       33,092          --       --
PERICOM SEMICONDUCTOR CORP     EQUITY    713831105     163     19,644   SH         SOLE      1       19,644          --       --
PERINI CORP                    EQUITY    713839108     365     16,225   SH         SOLE      1       16,225          --       --
PERKINELMER INC                EQUITY    714046109       3        157   SH         SOLE      2          157          --       --
PERKINELMER INC                EQUITY    714046109    2319    110,979   SH         SOLE      1      110,979          --       --
PEROT SYSTEMS CORP             EQUITY    714265105     934     64,474   SH         SOLE      1       64,474          --       --
PERRIGO CO                     EQUITY    714290103    3820    237,255   SH         SOLE      1      237,255          --       --
PERRY ELLIS INTERNATIONAL INC  EQUITY    288853104     137      5,418   SH         SOLE      1        5,418          --       --
PER-SE TECHNOLOGIES INC        EQUITY    713569309     638     25,324   SH         SOLE      1       25,324          --       --
PERU COPPER INC                EQUITY    715455101       9      1,800   SH        DEFINED    4           --          --    1,800
PETCO ANIMAL SUPPLIES INC      EQUITY    716016209     884     43,266   SH         SOLE      1       43,266          --       --
PETMED EXPRESS INC             EQUITY    716382106     154     14,002   SH         SOLE      1       14,002          --       --
PETMED EXPRESS INC             EQUITY    716382106     171     15,600   SH         SOLE      2       15,600          --       --
PETRO-CANADA                   EQUITY    71644E102     275      5,800   SH         OTHER     1           --       5,800       --
PETROFUND ENERGY TRUST         EQUITY    71648W108      17        700   SH        DEFINED    4           --          --      700
PETROFUND ENERGY TRUST         EQUITY    71648W108      27      1,130   SH         OTHER     1           --       1,130       --
PETROHAWK ENERGY CORP          EQUITY    716495106     553     43,907   SH         SOLE      1       43,907          --       --
PETROLEO BRASILEIRO SA         EQUITY    71654V408   20682    231,580   SH         SOLE      1      231,580          --       --
PETROLEUM DEVELOPMENT CORP     EQUITY    716578109     691     18,340   SH         SOLE      1       18,340          --       --
PETROQUEST ENERGY INC          EQUITY    716748108     375     30,550   SH         SOLE      1       30,550          --       --
PETSMART INC                   EQUITY    716768106      23        884   SH        DEFINED    4           --          --      884
PETSMART INC                   EQUITY    716768106    7973    311,438   SH         SOLE      1      311,438          --       --
PF CHANG'S CHINA BISTRO INC    EQUITY    69333Y108     752     19,785   SH         SOLE      1       19,785          --       --
PFF BANCORP INC                EQUITY    69331W104     606     18,274   SH         SOLE      1       18,274          --       --
PFIZER INC                     EQUITY    717081103    1003     42,730   SH        DEFINED    4           --          --   42,730
PFIZER INC                     EQUITY    717081103   20912    891,004   SH         SOLE      2      891,004          --       --
PFIZER INC                     EQUITY    717081103  122383  5,214,433   SH         SOLE      1    5,214,433          --       --
PG&E CORP                      EQUITY    69331C108       8        200   SH        DEFINED    4           --          --      200
PG&E CORP                      EQUITY    69331C108     724     18,430   SH         SOLE      2       18,430          --       --
PG&E CORP                      EQUITY    69331C108    6458    164,401   SH         SOLE      1      164,401          --       --
PHARMACEUTICAL PRODUCT DEVELOP EQUITY    717124101    7715    219,677   SH         SOLE      1      219,677          --       --
PHARMION CORP                  EQUITY    71715B409     307     18,025   SH         SOLE      1       18,025          --       --
PHASE FORWARD INC              EQUITY    71721R406    1234    107,115   SH         SOLE      1      107,115          --       --
PHASE FORWARD INC              EQUITY    71721R406    3231    280,500   SH         SOLE      3      280,500          --       --
PHELPS DODGE CORP              EQUITY    717265102      21        253   SH         SOLE      2          253          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
PHELPS DODGE CORP              EQUITY    717265102    7354     89,513   SH         SOLE      1       89,513          --       --
PHH CORP                       EQUITY    693320202    1095     39,745   SH         SOLE      1       39,745          --       --
PHI INC                        EQUITY    69336T205     339     10,229   SH         SOLE      1       10,229          --       --
PHILADELPHIA CONSOLIDATED HOLD EQUITY    717528103      41      1,351   SH         SOLE      1        1,351          --       --
PHILLIPS-VAN HEUSEN            EQUITY    718592108     355      9,300   SH         SOLE      2        9,300          --       --
PHILLIPS-VAN HEUSEN            EQUITY    718592108    1571     41,180   SH         SOLE      1       41,180          --       --
PHOENIX COS INC/THE            EQUITY    71902E109    1183     84,011   SH         SOLE      1       84,011          --       --
PHOTON DYNAMICS INC            EQUITY    719364101     159     12,715   SH         SOLE      1       12,715          --       --
PHOTRONICS INC                 EQUITY    719405102     575     38,880   SH         SOLE      1       38,880          --       --
PICO HOLDINGS INC              EQUITY    693366205     216      6,693   SH         SOLE      1        6,693          --       --
PIEDMONT NATURAL GAS CO        EQUITY    720186105    1384     56,955   SH         SOLE      1       56,955          --       --
PIER 1 IMPORTS INC             EQUITY    720279108    1756    251,573   SH         SOLE      1      251,573          --       --
PIKE ELECTRIC CORP             EQUITY    721283109     225     11,692   SH         SOLE      1       11,692          --       --
PILGRIM'S PRIDE CORP           EQUITY    721467108     962     37,292   SH         SOLE      1       37,292          --       --
PIMCO HIGH INCOME FUND         EQUITY    722014107      36      2,400   SH        DEFINED    4           --          --    2,400
PINNACLE ENTERTAINMENT INC     EQUITY    723456109    1097     35,775   SH         SOLE      1       35,775          --       --
PINNACLE FINANCIAL PARTNERS IN EQUITY    72346Q104     348     11,436   SH         SOLE      1       11,436          --       --
PINNACLE WEST CAPITAL CORP     EQUITY    723484101       5        123   SH         SOLE      2          123          --       --
PINNACLE WEST CAPITAL CORP     EQUITY    723484101      18        444   SH        DEFINED    4           --          --      444
PINNACLE WEST CAPITAL CORP     EQUITY    723484101    1877     47,042   SH         SOLE      1       47,042          --       --
PIONEER COS INC                EQUITY    723643300     240      8,781   SH         SOLE      1        8,781          --       --
PIONEER DRILLING CO            EQUITY    723655106       2        100   SH        DEFINED    4           --          --      100
PIONEER DRILLING CO            EQUITY    723655106     476     30,858   SH         SOLE      1       30,858          --       --
PIONEER HIGH INCOME TRUST      EQUITY    72369H106       7        400   SH        DEFINED    4           --          --      400
PIONEER NATURAL RESOURCES CO   EQUITY    723787107    3458     74,500   SH         SOLE      2       74,500          --       --
PIONEER NATURAL RESOURCES CO   EQUITY    723787107   17463    376,281   SH         SOLE      1      376,281          --       --
PIPER JAFFRAY COS              EQUITY    724078100      10        164   SH        DEFINED    4           --          --      164
PIPER JAFFRAY COS              EQUITY    724078100    2038     33,300   SH         SOLE      1       33,300          --       --
PITNEY BOWES INC               EQUITY    724479100      11        275   SH         SOLE      2          275          --       --
PITNEY BOWES INC               EQUITY    724479100    4274    103,487   SH         SOLE      1      103,487          --       --
PLACER SIERRA BANCSHARES       EQUITY    726079106       7        300   SH        DEFINED    4           --          --      300
PLACER SIERRA BANCSHARES       EQUITY    726079106     203      8,743   SH         SOLE      1        8,743          --       --
PLAINS EXPLORATION & PRODUCTIO EQUITY    726505100       4        100   SH        DEFINED    4           --          --      100
PLAINS EXPLORATION & PRODUCTIO EQUITY    726505100    6907    170,374   SH         SOLE      1      170,374          --       --
PLANTRONICS INC                EQUITY    727493108    3042    136,984   SH         SOLE      1      136,984          --       --
PLAYBOY ENTERPRISES INC        EQUITY    728117300     159     15,882   SH         SOLE      1       15,882          --       --
PLAYTEX PRODUCTS INC           EQUITY    72813P100     435     41,672   SH         SOLE      1       41,672          --       --
PLEXUS CORP                    EQUITY    729132100    4520    132,132   SH         SOLE      1      132,132          --       --
PLUG POWER INC                 EQUITY    72919P103     252     53,975   SH         SOLE      1       53,975          --       --
PLUM CREEK TIMBER CO INC (REIT EQUITY    729251108       8        229   SH         SOLE      2          229          --       --
PLUM CREEK TIMBER CO INC (REIT EQUITY    729251108      39      1,091   SH        DEFINED    4           --          --    1,091
PLUM CREEK TIMBER CO INC (REIT EQUITY    729251108   10437    294,008   SH         SOLE      1      294,008          --       --
PLX TECHNOLOGY INC             EQUITY    693417107     228     18,660   SH         SOLE      1       18,660          --       --
PMA CAPITAL CORP               EQUITY    693419202     248     24,052   SH         SOLE      1       24,052          --       --
PMC - SIERRA INC               EQUITY    69344F106       2        256   SH         SOLE      2          256          --       --
PMC - SIERRA INC               EQUITY    69344F106     896     95,331   SH         SOLE      1       95,331          --       --
PMI GROUP INC                  CORP BOND 69344MAE1       1      1,000  PRN        DEFINED    4           --          --    1,000
PMI GROUP INC/THE              EQUITY    69344M101    8907    199,806   SH         SOLE      1      199,806          --       --
PNC FINANCIAL SERVICES GROUP I EQUITY    693475105     342      4,867   SH         SOLE      2        4,867          --       --
PNC FINANCIAL SERVICES GROUP I EQUITY    693475105    9135    130,177   SH         SOLE      1      130,177          --       --
PNM RESOURCES INC              EQUITY    69349H107    4963    198,846   SH         SOLE      1      198,846          --       --
POGO PRODUCING CO              EQUITY    730448107    5821    126,269   SH         SOLE      1      126,269          --       --
POLARIS INDUSTRIES INC         EQUITY    731068102    1336     30,866   SH         SOLE      1       30,866          --       --
POLO RALPH LAUREN CORP         EQUITY    731572103    4612     84,000   SH         SOLE      2       84,000          --       --
POLO RALPH LAUREN CORP         EQUITY    731572103    7240    131,877   SH         SOLE      1      131,877          --       --
POLYCOM INC                    EQUITY    73172K104    5524    251,994   SH         SOLE      1      251,994          --       --
POLYMEDICA CORP                EQUITY    731738100     618     17,192   SH         SOLE      1       17,192          --       --
POLYMEDICA CORP                EQUITY    731738100    2132     59,300   SH         SOLE      2       59,300          --       --
POLYONE CORP                   EQUITY    73179P106     606     69,028   SH         SOLE      1       69,028          --       --
POOL CORP                      EQUITY    73278L105      52      1,194   SH         SOLE      1        1,194          --       --
POPULAR INC                    EQUITY    733174106     182      9,454   SH         SOLE      1        9,454          --       --
PORTALPLAYER INC               EQUITY    736187204     181     18,422   SH         SOLE      1       18,422          --       --
PORTFOLIO RECOVERY ASSOCIATES  EQUITY    73640Q105     542     11,859   SH         SOLE      1       11,859          --       --
PORTLAND GENERAL ELECTRIC CO   EQUITY    736508847     500     20,051   SH         SOLE      1       20,051          --       --
POSCO                          EQUITY    693483109       2         30   SH        DEFINED    4           --          --       30
POST PROPERTIES INC            EQUITY    737464107    1451     32,010   SH         SOLE      1       32,010          --       --
POTASH CORP OF SASKATCHEWAN    EQUITY    73755L107     103      1,200   SH         OTHER     1           --       1,200       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
POTASH CORP OF SASKATCHEWAN    EQUITY    73755L107     138      1,600   SH         SOLE      2        1,600          --       --
POWELL INDUSTRIES INC          EQUITY    739128106     138      5,746   SH         SOLE      1        5,746          --       --
POWER INTEGRATIONS INC         EQUITY    739276103     385     22,046   SH         SOLE      1       22,046          --       --
POWER INTEGRATIONS INC         EQUITY    739276103    2570    147,000   SH         SOLE      2      147,000          --       --
POWER-ONE INC                  EQUITY    739308104     345     52,199   SH         SOLE      1       52,199          --       --
POWERSHARES AEROSPACE & DEFENS EQUITY    73935X690      37      2,270   SH        DEFINED    4           --          --    2,270
POWERSHARES DYNAMIC ENERGY & E EQUITY    73935X658      18        980   SH        DEFINED    4           --          --      980
POWERSHARES DYNAMIC OIL & GAS  EQUITY    73935X625      98      4,725   SH        DEFINED    4           --          --    4,725
POWERSHARES FTSE RAFI US 1000  EQUITY    73935X583      26        508   SH        DEFINED    4           --          --      508
POWERSHARES GLOBAL WATER PORTF EQUITY    73935X575      86      5,177   SH        DEFINED    4           --          --    5,177
POWERSHARES LUX NANOTECH PORTF EQUITY    73935X633      15        845   SH        DEFINED    4           --          --      845
POWERSHARES VALUE LINE TIMELIN EQUITY    73935X682      49      3,115   SH        DEFINED    4           --          --    3,115
POWERSHARES WILDERHILL CLEAN E EQUITY    73935X500      45      2,355   SH        DEFINED    4           --          --    2,355
POWERWAVE TECHNOLOGIES INC     EQUITY    739363109    1834    201,100   SH         SOLE      2      201,100          --       --
POWERWAVE TECHNOLOGIES INC     EQUITY    739363109    2955    323,961   SH         SOLE      1      323,961          --       --
POZEN INC                      EQUITY    73941U102     132     18,711   SH         SOLE      1       18,711          --       --
PPG INDUSTRIES INC             EQUITY    693506107      14        205   SH         SOLE      2          205          --       --
PPG INDUSTRIES INC             EQUITY    693506107    8395    127,190   SH         SOLE      1      127,190          --       --
PPL CORP                       EQUITY    69351T106      15        472   SH         SOLE      2          472          --       --
PPL CORP                       EQUITY    69351T106    8425    260,825   SH         SOLE      1      260,825          --       --
PRA INTERNATIONAL              EQUITY    69353C101     297     13,337   SH         SOLE      1       13,337          --       --
PRAXAIR INC                    EQUITY    74005P104       6        105   SH        DEFINED    4           --          --      105
PRAXAIR INC                    EQUITY    74005P104     572     10,601   SH         SOLE      2       10,601          --       --
PRAXAIR INC                    EQUITY    74005P104    7656    141,771   SH         SOLE      1      141,771          --       --
PRECISION CASTPARTS CORP       EQUITY    740189105       2         33   SH        DEFINED    4           --          --       33
PRECISION CASTPARTS CORP       EQUITY    740189105   17357    290,447   SH         SOLE      1      290,447          --       --
PRECISION CASTPARTS CORP       EQUITY    740189105   22858    382,500   SH         SOLE      2      382,500          --       --
PRECISION DRILLING TRUST       EQUITY    740215108      30        900   SH         OTHER     1           --         900       --
PREFERRED BANK/LOS ANGELES CA  EQUITY    740367107     169      3,155   SH         SOLE      1        3,155          --       --
PREMIERE GLOBAL SERVICES INC   EQUITY    740585104     407     53,916   SH         SOLE      1       53,916          --       --
PREMIERWEST BANCORP            EQUITY    740921101     154     10,697   SH         SOLE      1       10,697          --       --
PREMIUM STANDARD FARMS INC     EQUITY    74060C105     167     10,309   SH         SOLE      1       10,309          --       --
PRE-PAID LEGAL SERVICES INC    EQUITY    740065107     707     20,499   SH         SOLE      1       20,499          --       --
PRESIDENTIAL LIFE CORP         EQUITY    740884101     516     21,012   SH         SOLE      1       21,012          --       --
PRESSTEK INC                   EQUITY    741113104     205     22,016   SH         SOLE      1       22,016          --       --
PRESTIGE BRANDS HOLDINGS INC   EQUITY    74112D101     248     24,828   SH         SOLE      1       24,828          --       --
PRICE COMMUNICATIONS CORP      EQUITY    741437305     576     33,984   SH         SOLE      1       33,984          --       --
PRICELINE.COM INC              EQUITY    741503403     567     18,983   SH         SOLE      1       18,983          --       --
PRICESMART INC                 EQUITY    741511109      59      5,936   SH         SOLE      1        5,936          --       --
PRIDE INTERNATIONAL INC        EQUITY    74153Q102   10965    351,096   SH         SOLE      1      351,096          --       --
PRIMEDIA INC                   EQUITY    74157K101     271    148,127   SH         SOLE      1      148,127          --       --
PRIMEENERGY CORP               EQUITY    74158E104      43        553   SH         SOLE      1          553          --       --
PRIMEWEST ENERGY TRUST         EQUITY    741930309      19        620   SH        DEFINED    4           --          --      620
PRIMEWEST ENERGY TRUST         EQUITY    741930309      28        941   SH         OTHER     1           --         941       --
PRINCIPAL FINANCIAL GROUP INC  EQUITY    74251V102      19        343   SH         SOLE      2          343          --       --
PRINCIPAL FINANCIAL GROUP INC  EQUITY    74251V102      56      1,000   SH        DEFINED    4           --          --    1,000
PRINCIPAL FINANCIAL GROUP INC  EQUITY    74251V102   21041    378,087   SH         SOLE      1      378,087          --       --
PRIVATE MEDIA GROUP LTD        EQUITY    74266R104      84     18,798   SH         SOLE      1       18,798          --       --
PRIVATEBANCORP INC             EQUITY    742962103     549     13,264   SH         SOLE      1       13,264          --       --
PROASSURANCE CORP              EQUITY    74267C106    1121     23,274   SH         SOLE      1       23,274          --       --
PROASSURANCE CORP              EQUITY    74267C106    7102    147,400   SH         SOLE      2      147,400          --       --
PROCTER & GAMBLE CO            EQUITY    742718109     424      7,626   SH        DEFINED    4           --          --    7,626
PROCTER & GAMBLE CO            EQUITY    742718109   16761    301,452   SH         SOLE      2      301,452          --       --
PROCTER & GAMBLE CO            EQUITY    742718109   88453  1,590,876   SH         SOLE      1    1,590,876          --       --
PROGENICS PHARMACEUTICALS INC  EQUITY    743187106     400     16,620   SH         SOLE      1       16,620          --       --
PROGRESS ENERGY INC            EQUITY    743263105      40        944   SH        DEFINED    4           --          --      944
PROGRESS ENERGY INC            EQUITY    743263105     464     10,814   SH         SOLE      2       10,814          --       --
PROGRESS ENERGY INC            EQUITY    743263105   20398    475,806   SH         SOLE      1      475,806          --       --
PROGRESS SOFTWARE CORP         EQUITY    743312100     717     30,647   SH         SOLE      1       30,647          --       --
PROGRESSIVE CORP/THE           EQUITY    743315103      25        970   SH         SOLE      2          970          --       --
PROGRESSIVE CORP/THE           EQUITY    743315103      36      1,384   SH        DEFINED    4           --          --    1,384
PROGRESSIVE CORP/THE           EQUITY    743315103    8822    343,150   SH         SOLE      1      343,150          --       --
PROGRESSIVE GAMING INTERNATION EQUITY    74332S102     199     25,462   SH         SOLE      1       25,462          --       --
PROLOGIS                       EQUITY    743410102   15729    301,785   SH         SOLE      1      301,785          --       --
PROQUEST CO                    EQUITY    74346P102     233     18,941   SH         SOLE      1       18,941          --       --
PROSPECT ENERGY CORP           EQUITY    74348T102      16        945   SH        DEFINED    4           --          --      945






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
PROSPERITY BANCSHARES INC      EQUITY    743606105     628     19,096   SH         SOLE      1       19,096          --       --
PROTECTIVE LIFE CORP           EQUITY    743674103    7090    152,074   SH         SOLE      1      152,074          --       --
PROVIDENCE SERVICE CORP/THE    EQUITY    743815102     244      8,957   SH         SOLE      1        8,957          --       --
PROVIDENT BANKSHARES CORP      EQUITY    743859100     895     24,588   SH         SOLE      1       24,588          --       --
PROVIDENT ENERGY TRUST         EQUITY    74386K104      28      2,280   SH         OTHER     1           --       2,280       --
PROVIDENT ENERGY TRUST         EQUITY    74386K104     505     40,719   SH        DEFINED    4           --          --   40,719
PROVIDENT FINANCIAL SERVICES I EQUITY    74386T105     908     50,569   SH         SOLE      1       50,569          --       --
PROVIDENT NEW YORK BANCORP     EQUITY    744028101     418     31,652   SH         SOLE      1       31,652          --       --
PRUDENTIAL FINANCIAL INC       EQUITY    744320102      47        610   SH         SOLE      2          610          --       --
PRUDENTIAL FINANCIAL INC       EQUITY    744320102      68        874   SH        DEFINED    4           --          --      874
PRUDENTIAL FINANCIAL INC       EQUITY    744320102   16768    215,800   SH         SOLE      1      215,800          --       --
PRUDENTIAL PLC                 EQUITY    G7293H114      15        600   SH        DEFINED    4           --          --      600
PS BUSINESS PARKS INC          EQUITY    69360J107     703     11,913   SH         SOLE      1       11,913          --       --
PSS WORLD MEDICAL INC          EQUITY    69366A100     221     12,500   SH         SOLE      2       12,500          --       --
PSS WORLD MEDICAL INC          EQUITY    69366A100     889     50,382   SH         SOLE      1       50,382          --       --
PSYCHIATRIC SOLUTIONS INC      EQUITY    74439H108    1132     39,490   SH         SOLE      1       39,490          --       --
PUBLIC SERVICE ENTERPRISE GROU EQUITY    744573106      21        312   SH         SOLE      2          312          --       --
PUBLIC SERVICE ENTERPRISE GROU EQUITY    744573106      79      1,200   SH        DEFINED    4           --          --    1,200
PUBLIC SERVICE ENTERPRISE GROU EQUITY    744573106   12334    186,542   SH         SOLE      1      186,542          --       --
PUBLIC STORAGE INC             EQUITY    74460D109       8        103   SH         SOLE      2          103          --       --
PUBLIC STORAGE INC             EQUITY    74460D109      40        526   SH        DEFINED    4           --          --      526
PUBLIC STORAGE INC             EQUITY    74460D109    2940     38,739   SH         SOLE      1       38,739          --       --
PUGET ENERGY INC               EQUITY    745310102      33      1,550   SH        DEFINED    4           --          --    1,550
PUGET ENERGY INC               EQUITY    745310102   14288    665,181   SH         SOLE      1      665,181          --       --
PULTE HOMES INC                EQUITY    745867101       8        264   SH         SOLE      2          264          --       --
PULTE HOMES INC                EQUITY    745867101    2868     99,604   SH         SOLE      1       99,604          --       --
PUTNAM HIGH INCOME SECURITIES  EQUITY    746779107      39      5,200   SH        DEFINED    4           --          --    5,200
PUTNAM MANAGED HIGH YIELD TRUS EQUITY    746819101       7        800   SH        DEFINED    4           --          --      800
PUTNAM PREMIER INCOME TRUST    EQUITY    746853100      55      9,200   SH        DEFINED    4           --          --    9,200
PW EAGLE INC                   EQUITY    69366Y108     233      7,700   SH         SOLE      2        7,700          --       --
PW EAGLE INC                   EQUITY    69366Y108     237      7,846   SH         SOLE      1        7,846          --       --
QAD INC                        EQUITY    74727D108      88     11,379   SH         SOLE      1       11,379          --       --
QC HOLDINGS INC                EQUITY    74729T101      55      4,058   SH         SOLE      1        4,058          --       --
QLOGIC CORP                    EQUITY    747277101       3        200   SH         SOLE      2          200          --       --
QLOGIC CORP                    EQUITY    747277101    1723     99,948   SH         SOLE      1       99,948          --       --
QLT INC                        EQUITY    746927102      13      1,900   SH         OTHER     1           --       1,900       --
QUALCOMM INC                   EQUITY    747525103      56      1,400   SH        DEFINED    4           --          --    1,400
QUALCOMM INC                   EQUITY    747525103   34684    865,582   SH         SOLE      2      865,582          --       --
QUALCOMM INC                   EQUITY    747525103   90192  2,250,705   SH         SOLE      1    2,250,705          --       --
QUALITY DISTRIBUTION INC       EQUITY    74756M102      84      6,357   SH         SOLE      1        6,357          --       --
QUALITY SYSTEMS INC            EQUITY    747582104     451     12,241   SH         SOLE      1       12,241          --       --
QUANEX CORP                    EQUITY    747620102    1213     28,169   SH         SOLE      1       28,169          --       --
QUANTA SERVICES INC            EQUITY    74762E102    4456    257,138   SH         SOLE      1      257,138          --       --
QUANTUM CORP                   EQUITY    747906204     369    140,969   SH         SOLE      1      140,969          --       --
QUANTUM FUEL SYSTEMS TECHNOLOG EQUITY    74765E109     110     32,346   SH         SOLE      1       32,346          --       --
QUEBECOR WORLD INC             EQUITY    748203106      14      1,300   SH         OTHER     1           --       1,300       --
QUEST DIAGNOSTICS INC          EQUITY    74834L100      12        201   SH         SOLE      2          201          --       --
QUEST DIAGNOSTICS INC          EQUITY    74834L100      15        250   SH        DEFINED    4           --          --      250
QUEST DIAGNOSTICS INC          EQUITY    74834L100    6668    111,281   SH         SOLE      1      111,281          --       --
QUEST RESOURCE CORP            EQUITY    748349305     198     14,590   SH         SOLE      1       14,590          --       --
QUEST SOFTWARE INC             EQUITY    74834T103     700     49,996   SH         SOLE      1       49,996          --       --
QUEST SOFTWARE INC             EQUITY    74834T103    2759    196,500   SH         SOLE      2      196,500          --       --
QUESTAR CORP                   EQUITY    748356102   14918    185,340   SH         SOLE      1      185,340          --       --
QUICKSILVER RESOURCES INC      EQUITY    74837R104    2521     68,500   SH         SOLE      2       68,500          --       --
QUICKSILVER RESOURCES INC      EQUITY    74837R104    5393    146,511   SH         SOLE      1      146,511          --       --
QUIDEL CORP                    EQUITY    74838J101     213     22,423   SH         SOLE      1       22,423          --       --
QUIDEL CORP                    EQUITY    74838J101     998    105,000   SH         SOLE      2      105,000          --       --
QUIKSILVER INC                 EQUITY    74838C106    1109     91,050   SH         SOLE      1       91,050          --       --
QWEST COMMUNICATIONS INTERNATI EQUITY    749121109      16      1,941   SH         SOLE      2        1,941          --       --
QWEST COMMUNICATIONS INTERNATI EQUITY    749121109   10003  1,236,428   SH         SOLE      1    1,236,428          --       --
RACKABLE SYSTEMS INC           EQUITY    750077109     816     20,652   SH         SOLE      1       20,652          --       --
RADIAN GROUP INC               EQUITY    750236101   11681    189,079   SH         SOLE      1      189,079          --       --
RADIANT SYSTEMS INC            EQUITY    75025N102       5        480   SH        DEFINED    4           --          --      480
RADIANT SYSTEMS INC            EQUITY    75025N102     206     19,483   SH         SOLE      1       19,483          --       --
RADIATION THERAPY SERVICES INC EQUITY    750323206     247      9,167   SH         SOLE      1        9,167          --       --
RADIO ONE INC                  EQUITY    75040P405     422     57,075   SH         SOLE      1       57,075          --       --
RADIOLOGIX INC                 EQUITY    75040K109       2      1,000   SH        DEFINED    4           --          --    1,000






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
RADIOSHACK CORP                EQUITY    750438103     878     62,724   SH         SOLE      1       62,724          --       --
RADIOSHACK CORP                EQUITY    750438103    2382    170,168   SH         SOLE      2      170,168          --       --
RADISYS CORP                   EQUITY    750459109     346     15,737   SH         SOLE      1       15,737          --       --
RADWARE LTD                    EQUITY    M81873107       1        100   SH        DEFINED    4           --          --      100
RADYNE CORP                    EQUITY    750611402     736     64,714   SH         SOLE      1       64,714          --       --
RAE SYSTEMS INC                EQUITY    75061P102     115     28,748   SH         SOLE      1       28,748          --       --
RAILAMERICA INC                EQUITY    750753105     303     29,003   SH         SOLE      1       29,003          --       --
RALCORP HOLDINGS INC           EQUITY    751028101     840     19,758   SH         SOLE      1       19,758          --       --
RAM ENERGY RESOURCES INC       EQUITY    75130P109      89     15,556   SH         SOLE      1       15,556          --       --
RAMBUS INC                     EQUITY    750917106      48      2,092   SH         SOLE      1        2,092          --       --
RANGE RESOURCES CORP           EQUITY    75281A109      80      2,959   SH         SOLE      1        2,959          --       --
RANGE RESOURCES CORP           EQUITY    75281A109    3165    116,400   SH         SOLE      2      116,400          --       --
RARE HOSPITALITY INTERNATIONAL EQUITY    753820109     727     25,291   SH         SOLE      1       25,291          --       --
RASER TECHNOLOGIES INC         EQUITY    754055101     146     15,147   SH         SOLE      1       15,147          --       --
RAVEN INDUSTRIES INC           EQUITY    754212108     378     12,002   SH         SOLE      1       12,002          --       --
RAYMOND JAMES FINANCIAL INC    EQUITY    754730109    5873    194,027   SH         SOLE      1      194,027          --       --
RAYONIER INC                   EQUITY    754907103     357      9,405   SH        DEFINED    4           --          --    9,405
RAYONIER INC                   EQUITY    754907103   10396    274,230   SH         SOLE      1      274,230          --       --
RAYTHEON CO                    EQUITY    755111507     609     13,653   SH         SOLE      2       13,653          --       --
RAYTHEON CO                    EQUITY    755111507   31204    700,193   SH         SOLE      1      700,193          --       --
RBC BEARINGS INC               EQUITY    75524B104     324     14,293   SH         SOLE      1       14,293          --       --
RBC BEARINGS INC               EQUITY    75524B104    1929     85,000   SH         SOLE      3       85,000          --       --
RC2 CORP                       EQUITY    749388104     601     15,539   SH         SOLE      1       15,539          --       --
RCN CORP                       EQUITY    749361200     542     21,733   SH         SOLE      1       21,733          --       --
READER'S DIGEST ASSOCIATION IN EQUITY    755267101    3888    278,501   SH         SOLE      1      278,501          --       --
REALNETWORKS INC               EQUITY    75605L104    1286    120,173   SH         SOLE      1      120,173          --       --
REALTY INCOME CORP             EQUITY    756109104      60      2,761   SH        DEFINED    4           --          --    2,761
REALTY INCOME CORP             EQUITY    756109104    1358     61,992   SH         SOLE      1       61,992          --       --
RECKSON ASSOCIATES REALTY CORP EQUITY    75621K106    6190    149,600   SH         SOLE      1      149,600          --       --
RED HAT INC                    EQUITY    756577102     340     14,546   SH         SOLE      1       14,546          --       --
RED HAT INC                    EQUITY    756577102     508     21,700   SH         SOLE      2       21,700          --       --
RED ROBIN GOURMET BURGERS INC  EQUITY    75689M101     525     12,332   SH         SOLE      1       12,332          --       --
REDBACK NETWORKS INC           EQUITY    757209507     759     41,365   SH         SOLE      1       41,365          --       --
REDDY ICE HOLDINGS INC         EQUITY    75734R105     253     12,447   SH         SOLE      1       12,447          --       --
REGAL ENTERTAINMENT GROUP      EQUITY    758766109      29      1,422   SH         SOLE      1        1,422          --       --
REGAL ENTERTAINMENT GROUP      EQUITY    758766109   14636    720,300   SH         SOLE      2      720,300          --       --
REGAL-BELOIT CORP              EQUITY    758750103    1013     22,938   SH         SOLE      1       22,938          --       --
REGENCY CENTERS CORP           EQUITY    758849103   18563    298,684   SH         SOLE      1      298,684          --       --
REGENERON PHARMACEUTICALS INC  EQUITY    75886F107     436     33,992   SH         SOLE      1       33,992          --       --
REGIONS FINANCIAL CORP         EQUITY    7591EP100      19        566   SH         SOLE      2          566          --       --
REGIONS FINANCIAL CORP         EQUITY    7591EP100      30        900   SH        DEFINED    4           --          --      900
REGIONS FINANCIAL CORP         EQUITY    7591EP100    6644    200,606   SH         SOLE      1      200,606          --       --
REGIS CORP                     EQUITY    758932107    4696    131,866   SH         SOLE      1      131,866          --       --
REHABCARE GROUP INC            EQUITY    759148109     220     12,666   SH         SOLE      1       12,666          --       --
REINSURANCE GROUP OF AMERICA I EQUITY    759351109      49        987   SH         SOLE      1          987          --       --
RELIANCE STEEL & ALUMINUM CO   EQUITY    759509102      17        200   SH        DEFINED    4           --          --      200
RELIANCE STEEL & ALUMINUM CO   EQUITY    759509102    6032     72,716   SH         SOLE      1       72,716          --       --
RELIANT ENERGY INC             EQUITY    75952B105     125     10,414   SH         SOLE      1       10,414          --       --
REMINGTON OIL & GAS CORP       EQUITY    759594302     956     21,740   SH         SOLE      1       21,740          --       --
RENAISSANCE LEARNING INC       EQUITY    75968L105      79      5,859   SH         SOLE      1        5,859          --       --
RENASANT CORP                  EQUITY    75970E107     311      7,717   SH         SOLE      1        7,717          --       --
RENOVIS INC                    EQUITY    759885106     249     16,243   SH         SOLE      1       16,243          --       --
RENT-A-CENTER INC              EQUITY    76009N100    4987    200,601   SH         SOLE      1      200,601          --       --
RENTECH INC                    EQUITY    760112102     479    103,100   SH         SOLE      1      103,100          --       --
REPLIGEN CORP                  EQUITY    759916109       3      1,000   SH        DEFINED    4           --          --    1,000
REPUBLIC AIRWAYS HOLDINGS INC  EQUITY    760276105     413     24,252   SH         SOLE      1       24,252          --       --
REPUBLIC BANCORP INC/KY        EQUITY    760281204     116      5,620   SH         SOLE      1        5,620          --       --
REPUBLIC BANCORP INC/MI        EQUITY    760282103     690     55,650   SH         SOLE      1       55,650          --       --
REPUBLIC PROPERTY TRUST        EQUITY    760737106     192     19,435   SH         SOLE      1       19,435          --       --
REPUBLIC SERVICES INC          EQUITY    760759100    2638     65,400   SH         SOLE      2       65,400          --       --
REPUBLIC SERVICES INC          EQUITY    760759100   10515    260,655   SH         SOLE      1      260,655          --       --
RES-CARE INC                   EQUITY    760943100     330     16,481   SH         SOLE      1       16,481          --       --
RESEARCH IN MOTION LTD         EQUITY    760975102    5673     81,300   SH         OTHER     1           --      81,300       --
RESMED INC                     EQUITY    761152107      80      1,700   SH         SOLE      1        1,700          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
RESMED INC                     EQUITY    761152107    3089     65,800   SH         SOLE      2       65,800          --       --
RESOURCE AMERICA INC           EQUITY    761195205     223     11,731   SH         SOLE      1       11,731          --       --
RESOURCE CAPITAL CORP          EQUITY    76120W302      38      2,990   SH         SOLE      1        2,990          --       --
RESOURCES CONNECTION INC       EQUITY    76122Q105     899     35,915   SH         SOLE      1       35,915          --       --
RESPIRONICS INC                EQUITY    761230101      56      1,638   SH         SOLE      1        1,638          --       --
RESPIRONICS INC                EQUITY    761230101     205      6,000   SH         SOLE      2        6,000          --       --
RESTORATION HARDWARE INC       EQUITY    760981100     158     22,061   SH         SOLE      1       22,061          --       --
RETAIL VENTURES INC            EQUITY    76128Y102     268     15,042   SH         SOLE      1       15,042          --       --
REVLON INC                     EQUITY    761525500     147    116,915   SH         SOLE      1      116,915          --       --
REWARDS NETWORK INC            EQUITY    761557107     162     19,771   SH         SOLE      1       19,771          --       --
REYNOLDS & REYNOLDS CO/THE     EQUITY    761695105    3483    113,580   SH         SOLE      1      113,580          --       --
REYNOLDS AMERICAN INC          EQUITY    761713106      12        106   SH         SOLE      2          106          --       --
REYNOLDS AMERICAN INC          EQUITY    761713106      17        150   SH        DEFINED    4           --          --      150
REYNOLDS AMERICAN INC          EQUITY    761713106   11362     98,546   SH         SOLE      1       98,546          --       --
RF MICRO DEVICES INC           EQUITY    749941100    3287    550,585   SH         SOLE      1      550,585          --       --
RF MONOLITHICS INC             EQUITY    74955F106      28      4,973   SH         SOLE      1        4,973          --       --
R-G FINANCIAL CORP             EQUITY    749136107     178     20,753   SH         SOLE      1       20,753          --       --
RH DONNELLEY CORP              EQUITY    74955W307      94      1,740   SH         SOLE      1        1,740          --       --
RH DONNELLEY CORP              EQUITY    74955W307    1730     32,000   SH         SOLE      2       32,000          --       --
RHODIA SA                      EQUITY    762397107    1990  1,000,000   SH         SOLE      1    1,000,000          --       --
RIGEL PHARMACEUTICALS INC      EQUITY    766559603     180     18,535   SH         SOLE      1       18,535          --       --
RIGHTNOW TECHNOLOGIES INC      EQUITY    76657R106     187     11,199   SH         SOLE      1       11,199          --       --
RIO TINTO PLC                  EQUITY    767204100    2307     11,000   SH         SOLE      1       11,000          --       --
RITCHIE BROS AUCTIONEERS INC   EQUITY    767744105      14        270   SH         OTHER     1           --         270       --
RITE AID CORP                  EQUITY    767754104      76     17,962   SH         SOLE      1       17,962          --       --
RIVIERA HOLDINGS CORP          EQUITY    769627100     165      8,183   SH         SOLE      1        8,183          --       --
RLI CORP                       EQUITY    749607107     802     16,650   SH         SOLE      1       16,650          --       --
ROBBINS & MYERS INC            EQUITY    770196103     229      8,769   SH         SOLE      1        8,769          --       --
ROBERT HALF INTERNATIONAL INC  EQUITY    770323103       9        213   SH         SOLE      2          213          --       --
ROBERT HALF INTERNATIONAL INC  EQUITY    770323103    3308     78,762   SH         SOLE      1       78,762          --       --
ROCK-TENN CO                   EQUITY    772739207     786     49,307   SH         SOLE      1       49,307          --       --
ROCKVILLE FINANCIAL INC        EQUITY    774186100      96      6,525   SH         SOLE      1        6,525          --       --
ROCKWELL AUTOMATION INC        EQUITY    773903109       6         82   SH        DEFINED    4           --          --       82
ROCKWELL AUTOMATION INC        EQUITY    773903109    9392    130,420   SH         SOLE      2      130,420          --       --
ROCKWELL AUTOMATION INC        EQUITY    773903109   36967    513,262   SH         SOLE      1      513,262          --       --
ROCKWELL COLLINS INC           EQUITY    774341101      12        212   SH         SOLE      2          212          --       --
ROCKWELL COLLINS INC           EQUITY    774341101    9156    163,889   SH         SOLE      1      163,889          --       --
ROCKWOOD HOLDINGS INC          EQUITY    774415103     604     26,258   SH         SOLE      1       26,258          --       --
ROFIN-SINAR TECHNOLOGIES INC   EQUITY    775043102     236      4,100   SH         SOLE      2        4,100          --       --
ROFIN-SINAR TECHNOLOGIES INC   EQUITY    775043102     658     11,447   SH         SOLE      1       11,447          --       --
ROGERS COMMUNICATIONS INC      EQUITY    775109200    2832     70,300   SH         OTHER     1           --      70,300       --
ROGERS CORP                    EQUITY    775133101     344      6,100   SH         SOLE      2        6,100          --       --
ROGERS CORP                    EQUITY    775133101     733     13,002   SH         SOLE      1       13,002          --       --
ROHM & HAAS CO                 EQUITY    775371107       2         39   SH        DEFINED    4           --          --       39
ROHM & HAAS CO                 EQUITY    775371107    3083     61,522   SH         SOLE      2       61,522          --       --
ROHM & HAAS CO                 EQUITY    775371107    5926    118,233   SH         SOLE      1      118,233          --       --
ROLLINS INC                    EQUITY    775711104    1675     85,267   SH         SOLE      1       85,267          --       --
ROLLINS INC                    EQUITY    775711104    5006    254,900   SH         SOLE      2      254,900          --       --
ROPER INDUSTRIES INC           EQUITY    776696106    9371    200,458   SH         SOLE      1      200,458          --       --
ROSETTA RESOURCES INC          EQUITY    777779307     627     37,747   SH         SOLE      1       37,747          --       --
ROSS STORES INC                EQUITY    778296103       2         63   SH        DEFINED    4           --          --       63
ROSS STORES INC                EQUITY    778296103    8911    317,665   SH         SOLE      1      317,665          --       --
ROSTELECOM                     EQUITY    778529107    1253     43,200   SH         SOLE      1       43,200          --       --
ROWAN COS INC                  EQUITY    779382100    1815     50,988   SH         SOLE      1       50,988          --       --
ROWAN COS INC                  EQUITY    779382100    6500    182,637   SH         SOLE      2      182,637          --       --
ROYAL BANCSHARES OF PENNSYLVAN EQUITY    780081105      83      3,419   SH         SOLE      1        3,419          --       --
ROYAL BANK OF CANADA           EQUITY    780087102   10292    253,200   SH         OTHER     1           --     253,200       --
ROYAL BK OF SCOT GRP PLC       EQUITY    780097788      13        625   SH        DEFINED    4           --          --      625
ROYAL BK OF SCOT GRP PLC       EQUITY    780097804    2313     90,000   SH         SOLE      1       90,000          --       --
ROYAL BK OF SCOT GRP PLC       EQUITY    780097770    4139    175,000   SH         SOLE      1      175,000          --       --
ROYAL GOLD INC                 EQUITY    780287108     403     14,502   SH         SOLE      1       14,502          --       --
ROYCE FOCUS TRUST INC          EQUITY    78080N108       7        678   SH        DEFINED    4           --          --      678
ROYCE MICRO-CAP TRUST INC      EQUITY    780915104     828     57,015   SH        DEFINED    4           --          --   57,015
ROYCE VALUE TRUST INC          EQUITY    780910105    1138     58,797   SH        DEFINED    4           --          --   58,797
RPC INC                        EQUITY    749660106     386     15,912   SH         SOLE      1       15,912          --       --
RPC INC                        EQUITY    749660106    2282     94,000   SH         SOLE      2       94,000          --       --
RPM INTERNATIONAL INC          EQUITY    749685103    4644    258,026   SH         SOLE      1      258,026          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
RR DONNELLEY & SONS CO         EQUITY    257867101       7        230   SH        DEFINED    4           --          --      230
RR DONNELLEY & SONS CO         EQUITY    257867101       9        268   SH         SOLE      2          268          --       --
RR DONNELLEY & SONS CO         EQUITY    257867101    3273    102,437   SH         SOLE      1      102,437          --       --
RSA SECURITY INC               EQUITY    749719100    5908    218,016   SH         SOLE      1      218,016          --       --
RTI INTERNATIONAL METALS INC   EQUITY    74973W107     948     16,985   SH         SOLE      1       16,985          --       --
RUBY TUESDAY INC               EQUITY    781182100    4163    170,539   SH         SOLE      1      170,539          --       --
RUDDICK CORP                   EQUITY    781258108    2546    103,889   SH         SOLE      1      103,889          --       --
RUDOLPH TECHNOLOGIES INC       EQUITY    781270103     265     18,242   SH         SOLE      1       18,242          --       --
RUDOLPH TECHNOLOGIES INC       EQUITY    781270103    3866    266,600   SH         SOLE      2      266,600          --       --
RUSH ENTERPRISES INC           EQUITY    781846209     296     16,265   SH         SOLE      1       16,265          --       --
RUSS BERRIE & CO INC           EQUITY    782233100     108      8,783   SH         SOLE      1        8,783          --       --
RUSSELL CORP                   EQUITY    782352108     451     24,818   SH         SOLE      1       24,818          --       --
RUTH'S CHRIS STEAK HOUSE       EQUITY    783332109     266     13,016   SH         SOLE      1       13,016          --       --
RYANAIR HOLDINGS PLC           EQUITY    783513104     135      2,552   SH         SOLE      1        2,552          --       --
RYAN'S RESTAURANT GROUP INC    EQUITY    783520109     375     31,472   SH         SOLE      1       31,472          --       --
RYDER SYSTEM INC               EQUITY    783549108       4         76   SH         SOLE      2           76          --       --
RYDER SYSTEM INC               EQUITY    783549108    1690     28,928   SH         SOLE      1       28,928          --       --
RYDEX S&P EQUAL WEIGHT ETF     EQUITY    78355W106     103      2,400   SH        DEFINED    4           --          --    2,400
RYERSON INC                    EQUITY    78375P107     730     27,033   SH         SOLE      1       27,033          --       --
RYLAND GROUP INC               EQUITY    783764103    4320     99,160   SH         SOLE      1       99,160          --       --
S&T BANCORP INC                EQUITY    783859101     644     19,395   SH         SOLE      1       19,395          --       --
S1 CORP                        EQUITY    78463B101     254     52,931   SH         SOLE      1       52,931          --       --
SABRE HOLDINGS CORP            EQUITY    785905100       4        165   SH         SOLE      2          165          --       --
SABRE HOLDINGS CORP            EQUITY    785905100    1384     62,893   SH         SOLE      1       62,893          --       --
SAFECO CORP                    EQUITY    786429100       8        148   SH         SOLE      2          148          --       --
SAFECO CORP                    EQUITY    786429100    7321    129,926   SH         SOLE      1      129,926          --       --
SAFEGUARD SCIENTIFICS INC      EQUITY    786449108     194     89,646   SH         SOLE      1       89,646          --       --
SAFENET INC                    EQUITY    78645R107     364     20,553   SH         SOLE      1       20,553          --       --
SAFETY INSURANCE GROUP INC     EQUITY    78648T100     586     12,317   SH         SOLE      1       12,317          --       --
SAFEWAY INC                    EQUITY    786514208      15        558   SH         SOLE      2          558          --       --
SAFEWAY INC                    EQUITY    786514208    7933    305,115   SH         SOLE      1      305,115          --       --
SAIA INC                       EQUITY    81111T102     301     10,935   SH         SOLE      1       10,935          --       --
SAKS INC                       EQUITY    79377W108    4821    298,123   SH         SOLE      1      298,123          --       --
SALEM COMMUNICATIONS CORP      EQUITY    794093104      96      7,415   SH         SOLE      1        7,415          --       --
SALESFORCE.COM INC             EQUITY    79466L302      51      1,904   SH         SOLE      1        1,904          --       --
SALIX PHARMACEUTICALS LTD      EQUITY    795435106     427     34,709   SH         SOLE      1       34,709          --       --
SALOMON BROTHERS EMERGING MARK EQUITY    79550E107      31      1,887   SH        DEFINED    4           --          --    1,887
SAN JUAN BASIN ROYALTY TR      EQUITY    798241105       8        200   SH        DEFINED    4           --          --      200
SANDERS MORRIS HARRIS GROUP IN EQUITY    80000Q104     150      9,936   SH         SOLE      1        9,936          --       --
SANDERSON FARMS INC            EQUITY    800013104     355     12,666   SH         SOLE      1       12,666          --       --
SANDISK CORP                   EQUITY    80004C101    2197     43,097   SH         SOLE      2       43,097          --       --
SANDISK CORP                   EQUITY    80004C101   19526    382,910   SH         SOLE      1      382,910          --       --
SANDY SPRING BANCORP INC       EQUITY    800363103     398     11,046   SH         SOLE      1       11,046          --       --
SANGAMO BIOSCIENCES INC        EQUITY    800677106     115     19,516   SH         SOLE      1       19,516          --       --
SANMINA-SCI CORP               EQUITY    800907107       3        661   SH         SOLE      2          661          --       --
SANMINA-SCI CORP               EQUITY    800907107    1149    249,864   SH         SOLE      1      249,864          --       --
SANTANDER BANCORP              EQUITY    802809103      81      3,271   SH         SOLE      1        3,271          --       --
SANTARUS INC                   EQUITY    802817304     228     34,299   SH         SOLE      1       34,299          --       --
SAPIENT CORP                   EQUITY    803062108     322     60,820   SH         SOLE      1       60,820          --       --
SARA LEE CORP                  EQUITY    803111103      15        942   SH         SOLE      2          942          --       --
SARA LEE CORP                  EQUITY    803111103     150      9,359   SH        DEFINED    4           --          --    9,359
SARA LEE CORP                  EQUITY    803111103    5737    358,133   SH         SOLE      1      358,133          --       --
SASOL LTD                      EQUITY    803866300     419     10,840   SH        DEFINED    4           --          --   10,840
SATYAM COMPUTER SERVICES LTD   EQUITY    804098101      14        428   SH        DEFINED    4           --          --      428
SAUER-DANFOSS INC              EQUITY    804137107     196      7,692   SH         SOLE      1        7,692          --       --
SAUL CENTERS INC               EQUITY    804395101    1173     28,776   SH         SOLE      1       28,776          --       --
SAVIENT PHARMACEUTICALS INC    EQUITY    80517Q100     242     46,137   SH         SOLE      1       46,137          --       --
SAVVIS INC                     EQUITY    805423308     184      6,216   SH         SOLE      1        6,216          --       --
SBA COMMUNICATIONS CORP        EQUITY    78388J106      61      2,323   SH         SOLE      1        2,323          --       --
SCANA CORP                     EQUITY    80589M102   16602    430,322   SH         SOLE      1      430,322          --       --
SCANSOURCE INC                 EQUITY    806037107     561     19,145   SH         SOLE      1       19,145          --       --
SCBT FINANCIAL CORP            EQUITY    78401V102     231      6,474   SH         SOLE      1        6,474          --       --
SCHAWK INC                     EQUITY    806373106     202     11,536   SH         SOLE      1       11,536          --       --
SCHERING-PLOUGH CORP           EQUITY    806605101       6        293   SH        DEFINED    4           --          --      293
SCHERING-PLOUGH CORP           EQUITY    806605606    1158     23,000   SH         SOLE      1       23,000          --       --
SCHERING-PLOUGH CORP           EQUITY    806605101   12334    648,146   SH         SOLE      1      648,146          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
SCHERING-PLOUGH CORP           EQUITY    806605101   25695  1,350,236   SH         SOLE      2    1,350,236          --       --
SCHLUMBERGER LIMITED           CORP BOND 806857AC2       5      3,000  PRN        DEFINED    4           --          --    3,000
SCHLUMBERGER LIMITED           CORP BOND 806857AD0    2631  1,565,000  PRN         SOLE      1    1,565,000          --       --
SCHLUMBERGER LTD               EQUITY    806857108    9725    149,363   SH         SOLE      2      149,363          --       --
SCHLUMBERGER LTD               EQUITY    806857108   52464    805,769   SH         SOLE      1      805,769          --       --
SCHNITZER STEEL INDUSTRIES INC EQUITY    806882106     598     16,854   SH         SOLE      1       16,854          --       --
SCHOLASTIC CORP                EQUITY    807066105    2685    103,379   SH         SOLE      1      103,379          --       --
SCHOOL SPECIALTY INC           EQUITY    807863105     545     17,120   SH         SOLE      1       17,120          --       --
SCHULMAN A INC                 EQUITY    808194104     677     29,578   SH         SOLE      1       29,578          --       --
SCHWEITZER-MAUDUIT INTERNATION EQUITY    808541106     249     11,517   SH         SOLE      1       11,517          --       --
SCIENTIFIC GAMES CORP          EQUITY    80874P109    5061    142,092   SH         SOLE      1      142,092          --       --
SCIENTIFIC GAMES CORP          EQUITY    80874P109    6412    180,000   SH         SOLE      2      180,000          --       --
SCOTTISH POWER PLC             EQUITY    81013T804     661     15,324   SH        DEFINED    4           --          --   15,324
SCOTTS MIRACLE-GRO CO/THE      EQUITY    810186106    4143     97,889   SH         SOLE      1       97,889          --       --
SCPIE HOLDINGS INC             EQUITY    78402P104     174      7,498   SH         SOLE      1        7,498          --       --
SEABOARD CORP                  EQUITY    811543107     868        678   SH         SOLE      1          678          --       --
SEABRIGHT INSURANCE HOLDINGS I EQUITY    811656107     234     14,524   SH         SOLE      1       14,524          --       --
SEACOAST BANKING CORP OF FLORI EQUITY    811707306     259      9,742   SH         SOLE      1        9,742          --       --
SEACOR HOLDINGS INC            EQUITY    811904101       5         65   SH        DEFINED    4           --          --       65
SEACOR HOLDINGS INC            EQUITY    811904101     367      4,468   SH         SOLE      1        4,468          --       --
SEAGATE TECHNOLOGY             EQUITY    G7945J104     320     14,149   SH        DEFINED    4           --          --   14,149
SEALED AIR CORP                EQUITY    81211K100       5        101   SH         SOLE      2          101          --       --
SEALED AIR CORP                EQUITY    81211K100    1997     38,338   SH         SOLE      1       38,338          --       --
SEALY CORP                     EQUITY    812139301     200     15,060   SH         SOLE      1       15,060          --       --
SEARS HOLDINGS CORP            EQUITY    812350106      19        120   SH         SOLE      2          120          --       --
SEARS HOLDINGS CORP            EQUITY    812350106    8610     55,440   SH         SOLE      1       55,440          --       --
SECURE COMPUTING CORP          EQUITY    813705100     286     33,312   SH         SOLE      1       33,312          --       --
SECURITY BANK CORP/MACON GA    EQUITY    814047106     240     10,755   SH         SOLE      1       10,755          --       --
SEI INVESTMENTS CO             EQUITY    784117103    6354    130,000   SH         SOLE      2      130,000          --       --
SEI INVESTMENTS CO             EQUITY    784117103    6673    136,517   SH         SOLE      1      136,517          --       --
SELECT COMFORT CORP            EQUITY    81616X103     923     40,169   SH         SOLE      1       40,169          --       --
SELECTIVE INSURANCE GROUP      EQUITY    816300107    1499     26,827   SH         SOLE      1       26,827          --       --
SEMITOOL INC                   EQUITY    816909105     148     16,398   SH         SOLE      1       16,398          --       --
SEMPRA ENERGY                  EQUITY    816851109       6        130   SH        DEFINED    4           --          --      130
SEMPRA ENERGY                  EQUITY    816851109      15        321   SH         SOLE      2          321          --       --
SEMPRA ENERGY                  EQUITY    816851109    5584    122,780   SH         SOLE      1      122,780          --       --
SEMTECH CORP                   EQUITY    816850101    2926    202,500   SH         SOLE      2      202,500          --       --
SEMTECH CORP                   EQUITY    816850101    3036    210,128   SH         SOLE      1      210,128          --       --
SENIOR HOUSING PROPERTIES TRUS EQUITY    81721M109     854     47,685   SH         SOLE      1       47,685          --       --
SENOMYX INC                    EQUITY    81724Q107     321     22,247   SH         SOLE      1       22,247          --       --
SENSIENT TECHNOLOGIES CORP     EQUITY    81725T100    2802    133,980   SH         SOLE      1      133,980          --       --
SEPRACOR INC                   EQUITY    817315104       1         26   SH        DEFINED    4           --          --       26
SEPRACOR INC                   EQUITY    817315104   13801    241,522   SH         SOLE      1      241,522          --       --
SEQUA CORP                     EQUITY    817320104    1582     19,410   SH         SOLE      1       19,410          --       --
SEROLOGICALS CORP              EQUITY    817523103    7275    231,400   SH         SOLE      1      231,400          --       --
SERVICE CORP INTERNATIONAL/US  EQUITY    817565104      82     10,045   SH         SOLE      1       10,045          --       --
SERVICEMASTER CO/THE           EQUITY    81760N109      92      8,871   SH         SOLE      1        8,871          --       --
SFBC INTERNATIONAL INC         EQUITY    784121105     205     13,547   SH         SOLE      1       13,547          --       --
SHAW COMMUNICATIONS INC        EQUITY    82028K200      57      2,000   SH         OTHER     1           --       2,000       --
SHAW GROUP INC/THE             EQUITY    820280105      76      2,726   SH         SOLE      1        2,726          --       --
SHENANDOAH TELECOM CO          EQUITY    82312B106     270      5,750   SH         SOLE      1        5,750          --       --
SHERWIN-WILLIAMS CO/THE        EQUITY    824348106       7        138   SH         SOLE      2          138          --       --
SHERWIN-WILLIAMS CO/THE        EQUITY    824348106    2470     52,027   SH         SOLE      1       52,027          --       --
SHILOH INDUSTRIES INC          EQUITY    824543102      54      3,600   SH         SOLE      1        3,600          --       --
SHINHAN FINANCIAL GROUP CO LTD EQUITY    824596100       9         90   SH        DEFINED    4           --          --       90
SHIP FINANCE INTERNATIONAL LTD EQUITY    G81075106      14        813   SH        DEFINED    4           --          --      813
SHOE CARNIVAL INC              EQUITY    824889109     149      6,245   SH         SOLE      1        6,245          --       --
SHORE BANCSHARES INC           EQUITY    825107105     205      6,241   SH         SOLE      1        6,241          --       --
SHUFFLE MASTER INC             EQUITY    825549108     318      9,700   SH         SOLE      2        9,700          --       --
SHUFFLE MASTER INC             EQUITY    825549108     850     25,942   SH         SOLE      1       25,942          --       --
SHURGARD STORAGE CENTERS INC   EQUITY    82567D104      52        833   SH        DEFINED    4           --          --      833
SHURGARD STORAGE CENTERS INC   EQUITY    82567D104      67      1,066   SH         SOLE      1        1,066          --       --
SI INTERNATIONAL INC           EQUITY    78427V102     971     31,671   SH         SOLE      1       31,671          --       --
SI INTERNATIONAL INC           EQUITY    78427V102    2293     74,800   SH         SOLE      3       74,800          --       --
SIERRA BANCORP                 EQUITY    82620P102     117      4,464   SH         SOLE      1        4,464          --       --
SIERRA HEALTH SERVICES INC     EQUITY    826322109     338      7,500   SH         SOLE      2        7,500          --       --
SIERRA HEALTH SERVICES INC     EQUITY    826322109     341      7,562   SH         SOLE      1        7,562          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
SIERRA PACIFIC RESOURCES       EQUITY    826428104    2240    160,000   SH         SOLE      2      160,000          --       --
SIERRA PACIFIC RESOURCES       EQUITY    826428104    6124    437,422   SH         SOLE      1      437,422          --       --
SIERRA WIRELESS                EQUITY    826516106    2574    143,000   SH         OTHER     1           --     143,000       --
SIGMA DESIGNS INC              EQUITY    826565103     272     16,976   SH         SOLE      1       16,976          --       --
SIGMA-ALDRICH CORP             EQUITY    826552101    2040     28,083   SH         SOLE      2       28,083          --       --
SIGMA-ALDRICH CORP             EQUITY    826552101    2545     35,038   SH         SOLE      1       35,038          --       --
SIGNATURE BANK/NEW YORK NY     EQUITY    82669G104     708     21,872   SH         SOLE      1       21,872          --       --
SILGAN HOLDINGS INC            EQUITY    827048109     642     17,357   SH         SOLE      1       17,357          --       --
SILICON IMAGE INC              EQUITY    82705T102     655     60,798   SH         SOLE      1       60,798          --       --
SILICON LABORATORIES INC       EQUITY    826919102    3512     99,928   SH         SOLE      1       99,928          --       --
SILICON STORAGE TECHNOLOGY INC EQUITY    827057100     270     67,497   SH         SOLE      1       67,497          --       --
SILVER WHEATON CORP            EQUITY    828336107    2329    247,300   SH         OTHER     1           --     247,300       --
SIMMONS FIRST NATIONAL CORP    EQUITY    828730200     309     10,643   SH         SOLE      1       10,643          --       --
SIMON PROPERTY GROUP INC       EQUITY    828806109      19        227   SH         SOLE      2          227          --       --
SIMON PROPERTY GROUP INC       EQUITY    828806109   18205    219,500   SH         SOLE      1      219,500          --       --
SIMPSON MANUFACTURING CO INC   EQUITY    829073105     995     27,614   SH         SOLE      1       27,614          --       --
SINCLAIR BROADCAST GROUP INC   EQUITY    829226109     291     33,966   SH         SOLE      1       33,966          --       --
SIRENZA MICRODEVICES INC       EQUITY    82966T106     225     18,532   SH         SOLE      1       18,532          --       --
SIRF TECHNOLOGY HOLDINGS INC   EQUITY    82967H101    1234     38,305   SH         SOLE      1       38,305          --       --
SIRIUS SATELLITE RADIO INC     EQUITY    82966U103      30      6,400   SH        DEFINED    4           --          --    6,400
SIRIUS SATELLITE RADIO INC     EQUITY    82966U103    2426    510,778   SH         SOLE      1      510,778          --       --
SIRNA THERAPEUTICS INC         EQUITY    829669100     120     29,993   SH         SOLE      1       29,993          --       --
SIRVA INC                      EQUITY    82967Y104     239     36,991   SH         SOLE      1       36,991          --       --
SITEL CORP                     EQUITY    82980K107     171     43,659   SH         SOLE      1       43,659          --       --
SIX FLAGS INC                  EQUITY    83001P109     298     53,057   SH         SOLE      1       53,057          --       --
SIZELER PROPERTY INVESTORS INC EQUITY    830137105     207     12,896   SH         SOLE      1       12,896          --       --
SJW CORP                       EQUITY    784305104     286     11,233   SH         SOLE      1       11,233          --       --
SKECHERS U.S.A. INC            EQUITY    830566105     193      8,022   SH         SOLE      1        8,022          --       --
SKECHERS U.S.A. INC            EQUITY    830566105     239      9,900   SH         SOLE      2        9,900          --       --
SKY FINANCIAL GROUP INC        EQUITY    83080P103      81      3,422   SH         SOLE      1        3,422          --       --
SKYLINE CORP                   EQUITY    830830105     218      5,089   SH         SOLE      1        5,089          --       --
SKYWEST INC                    EQUITY    830879102    1178     47,512   SH         SOLE      1       47,512          --       --
SKYWORKS SOLUTIONS INC         EQUITY    83088M102      15      2,800   SH        DEFINED    4           --          --    2,800
SKYWORKS SOLUTIONS INC         EQUITY    83088M102     659    119,678   SH         SOLE      1      119,678          --       --
SL GREEN REALTY CORP           EQUITY    78440X101     107        974   SH         SOLE      1          974          --       --
SLM CORP                       EQUITY    78442P106       7        137   SH        DEFINED    4           --          --      137
SLM CORP                       EQUITY    78442P106      27        509   SH         SOLE      2          509          --       --
SLM CORP                       EQUITY    78442P106    9610    181,589   SH         SOLE      1      181,589          --       --
SMART & FINAL INC              EQUITY    831683107     174     10,334   SH         SOLE      1       10,334          --       --
SMITH & WESSON HOLDING CORP    EQUITY    831756101    1557    189,463   SH         SOLE      1      189,463          --       --
SMITH INTERNATIONAL INC        EQUITY    832110100   16212    364,568   SH         SOLE      2      364,568          --       --
SMITH INTERNATIONAL INC        EQUITY    832110100   19323    434,524   SH         SOLE      1      434,524          --       --
SMITH MICRO SOFTWARE INC       EQUITY    832154108     128      8,000   SH         SOLE      2        8,000          --       --
SMITH MICRO SOFTWARE INC       EQUITY    832154108     320     19,989   SH         SOLE      1       19,989          --       --
SMITHFIELD FOODS INC           EQUITY    832248108    7316    253,756   SH         SOLE      1      253,756          --       --
SMITHTOWN BANCORP INC          EQUITY    832449102     140      5,807   SH         SOLE      1        5,807          --       --
SMURFIT-STONE CONTAINER CORP   EQUITY    832727101      95      8,643   SH         SOLE      1        8,643          --       --
SNAP-ON INC                    EQUITY    833034101       3         72   SH         SOLE      2           72          --       --
SNAP-ON INC                    EQUITY    833034101    1114     27,562   SH         SOLE      1       27,562          --       --
SOHU.COM INC                   EQUITY    83408W103     497     19,274   SH         SOLE      1       19,274          --       --
SOLECTRON CORP                 EQUITY    834182107       4      1,134   SH         SOLE      2        1,134          --       --
SOLECTRON CORP                 EQUITY    834182107    1989    581,480   SH         SOLE      1      581,480          --       --
SOLEXA INC                     EQUITY    83420X105     149     17,559   SH         SOLE      1       17,559          --       --
SOMAXON PHARMACEUTICALS INC    EQUITY    834453102      58      3,729   SH         SOLE      1        3,729          --       --
SONIC AUTOMOTIVE INC           EQUITY    83545G102    1512     68,186   SH         SOLE      1       68,186          --       --
SONIC CORP                     EQUITY    835451105    1331     64,028   SH         SOLE      1       64,028          --       --
SONIC SOLUTIONS INC            EQUITY    835460106     123      7,460   SH        DEFINED    4           --          --    7,460
SONIC SOLUTIONS INC            EQUITY    835460106     316     19,164   SH         SOLE      1       19,164          --       --
SONICWALL INC                  EQUITY    835470105     432     48,060   SH         SOLE      1       48,060          --       --
SONOCO PRODUCTS CO             EQUITY    835495102    6823    215,564   SH         SOLE      1      215,564          --       --
SONOSITE INC                   EQUITY    83568G104     475     12,155   SH         SOLE      1       12,155          --       --
SONUS NETWORKS INC             EQUITY    835916107     933    188,394   SH         SOLE      1      188,394          --       --
SOTHEBY'S                      EQUITY    835898107     583     22,200   SH         SOLE      2       22,200          --       --
SOTHEBY'S                      EQUITY    835898107    3838    146,200   SH         SOLE      1      146,200          --       --
SOUND FEDERAL BANCORP INC      EQUITY    83607V104     791     38,025   SH         SOLE      1       38,025          --       --
SOURCE INTERLINK COS INC       EQUITY    836151209     302     25,386   SH         SOLE      1       25,386          --       --
SOURCE INTERLINK COS INC       EQUITY    836151209    2769    232,700   SH         SOLE      2      232,700          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
SOURCECORP                     EQUITY    836167106    1034     41,703   SH         SOLE      1       41,703          --       --
SOUTH FINANCIAL GROUP INC/THE  EQUITY    837841105      67      2,547   SH         SOLE      1        2,547          --       --
SOUTH JERSEY INDUSTRIES INC    EQUITY    838518108     596     21,758   SH         SOLE      1       21,758          --       --
SOUTHERN CO/THE                EQUITY    842587107     306      9,545   SH        DEFINED    4           --          --    9,545
SOUTHERN CO/THE                EQUITY    842587107    4119    128,520   SH         SOLE      2      128,520          --       --
SOUTHERN CO/THE                EQUITY    842587107   26988    842,050   SH         SOLE      1      842,050          --       --
SOUTHERN COPPER CORP           EQUITY    84265V105     304      3,411   SH        DEFINED    4           --          --    3,411
SOUTHERN COPPER CORP           EQUITY    84265V105    7554     84,753   SH         SOLE      1       84,753          --       --
SOUTHERN COPPER CORP           EQUITY    84265V105   14305    160,500   SH         SOLE      2      160,500          --       --
SOUTHERN UNION CO              EQUITY    844030106      92      3,385   SH         SOLE      1        3,385          --       --
SOUTHSIDE BANCSHARES INC       EQUITY    84470P109     175      7,843   SH         SOLE      1        7,843          --       --
SOUTHWEST AIRLINES CO          EQUITY    844741108      14        876   SH         SOLE      2          876          --       --
SOUTHWEST AIRLINES CO          EQUITY    844741108      16      1,004   SH        DEFINED    4           --          --    1,004
SOUTHWEST AIRLINES CO          EQUITY    844741108   16024    978,889   SH         SOLE      1      978,889          --       --
SOUTHWEST BANCORP INC/STILLWAT EQUITY    844767103     269     10,558   SH         SOLE      1       10,558          --       --
SOUTHWEST GAS CORP             EQUITY    844895102     937     29,883   SH         SOLE      1       29,883          --       --
SOUTHWEST WATER CO             EQUITY    845331107     202     16,912   SH         SOLE      1       16,912          --       --
SOUTHWESTERN ENERGY CO         EQUITY    845467109   11314    363,080   SH         SOLE      1      363,080          --       --
SOVEREIGN BANCORP INC          EQUITY    845905108       9        467   SH         SOLE      2          467          --       --
SOVEREIGN BANCORP INC          EQUITY    845905108      10        500   SH        DEFINED    4           --          --      500
SOVEREIGN BANCORP INC          EQUITY    845905108    3576    176,062   SH         SOLE      1      176,062          --       --
SOVRAN SELF STORAGE INC        EQUITY    84610H108    2247     44,239   SH         SOLE      1       44,239          --       --
SPANISH BROADCASTING SYSTEM    EQUITY    846425882     170     33,253   SH         SOLE      1       33,253          --       --
SPANSION INC                   EQUITY    84649R101      22      1,404   SH         SOLE      1        1,404          --       --
SPARTAN STORES INC             EQUITY    846822104     229     15,686   SH         SOLE      1       15,686          --       --
SPARTECH CORP                  EQUITY    847220209     541     23,916   SH         SOLE      1       23,916          --       --
SPDR TRUST SERIES 1            EQUITY    78462F103     311      2,447   SH        DEFINED    4           --          --    2,447
SPDR TRUST SERIES 1            EQUITY    78462F103   46055    361,983   SH         SOLE      1      361,983          --       --
SPECTRANETICS CORP             EQUITY    84760C107     244     22,822   SH         SOLE      1       22,822          --       --
SPECTRUM BRANDS INC            EQUITY    84762L105     356     27,554   SH         SOLE      1       27,554          --       --
SPEEDWAY MOTORSPORTS INC       EQUITY    847788106     431     11,416   SH         SOLE      1       11,416          --       --
SPHERION CORP                  EQUITY    848420105     832     91,200   SH         SOLE      1       91,200          --       --
SPIRIT FINANCE CORP            EQUITY    848568309    3784    336,066   SH         SOLE      1      336,066          --       --
SPORTSMAN'S GUIDE INC/THE      EQUITY    848907200     188      6,167   SH         SOLE      1        6,167          --       --
SPRINT NEXTEL CORP             EQUITY    852061100      34      1,685   SH        DEFINED    4           --          --    1,685
SPRINT NEXTEL CORP             EQUITY    852061100     214     10,694   SH         SOLE      2       10,694          --       --
SPRINT NEXTEL CORP             EQUITY    852061100   50652  2,533,857   SH         SOLE      1    2,533,857          --       --
SPSS INC                       EQUITY    78462K102     605     18,832   SH         SOLE      1       18,832          --       --
SPX CORP                       EQUITY    784635104    7286    130,230   SH         SOLE      1      130,230          --       --
SRA INTERNATIONAL INC          EQUITY    78464R105    2923    109,780   SH         SOLE      1      109,780          --       --
SSA GLOBAL TECHNOLOGIES INC    EQUITY    78465P108    4703    242,690   SH         SOLE      1      242,690          --       --
ST JOE CO/THE                  EQUITY    790148100      23        500   SH        DEFINED    4           --          --      500
ST JOE CO/THE                  EQUITY    790148100      78      1,681   SH         SOLE      1        1,681          --       --
ST JUDE MEDICAL INC            EQUITY    790849103       1         33   SH        DEFINED    4           --          --       33
ST JUDE MEDICAL INC            EQUITY    790849103     543     16,748   SH         SOLE      2       16,748          --       --
ST JUDE MEDICAL INC            EQUITY    790849103    5385    166,116   SH         SOLE      1      166,116          --       --
ST MARY LAND & EXPLORATION CO  EQUITY    792228108     945     23,488   SH         SOLE      1       23,488          --       --
ST PAUL TRAVELERS COS INC/THE  EQUITY    792860108      34        773   SH        DEFINED    4           --          --      773
ST PAUL TRAVELERS COS INC/THE  EQUITY    792860108      38        863   SH         SOLE      2          863          --       --
ST PAUL TRAVELERS COS INC/THE  EQUITY    792860108   67762  1,519,990   SH         SOLE      1    1,519,990          --       --
STAGE STORES INC               EQUITY    85254C305     998     30,256   SH         SOLE      1       30,256          --       --
STAKTEK HOLDINGS INC           EQUITY    85256P106      43      8,900   SH         SOLE      1        8,900          --       --
STAMPS.COM INC                 EQUITY    852857200     387     13,923   SH         SOLE      1       13,923          --       --
STANCORP FINANCIAL GROUP INC   EQUITY    852891100    6357    124,858   SH         SOLE      1      124,858          --       --
STANDARD MICROSYSTEMS CORP     EQUITY    853626109     361     16,547   SH         SOLE      1       16,547          --       --
STANDARD PARKING CORP          EQUITY    853790103     103      3,809   SH         SOLE      1        3,809          --       --
STANDARD REGISTER CO/THE       EQUITY    853887107     158     13,311   SH         SOLE      1       13,311          --       --
STANDARD-PACIFIC CORP          EQUITY    85375C101      51      1,966   SH         SOLE      1        1,966          --       --
STANDEX INTERNATIONAL CORP     EQUITY    854231107     280      9,226   SH         SOLE      1        9,226          --       --
STANLEY FURNITURE CO INC       EQUITY    854305208     219      9,139   SH         SOLE      1        9,139          --       --
STANLEY WORKS/THE              EQUITY    854616109       4         88   SH         SOLE      2           88          --       --
STANLEY WORKS/THE              EQUITY    854616109    1570     33,258   SH         SOLE      1       33,258          --       --
STAPLES INC                    EQUITY    855030102      22        903   SH         SOLE      2          903          --       --
STAPLES INC                    EQUITY    855030102     591     24,288   SH        DEFINED    4           --          --   24,288
STAPLES INC                    EQUITY    855030102    8506    349,333   SH         SOLE      1      349,333          --       --
STAR MARITIME ACQUISITION CORP EQUITY    85516E107     143     14,077   SH         SOLE      1       14,077          --       --
STARBUCKS CORP                 EQUITY    855244109      36        952   SH         SOLE      2          952          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
STARBUCKS CORP                 EQUITY    855244109   16861    446,522   SH         SOLE      1      446,522          --       --
STARTEK INC                    EQUITY    85569C107    1304     87,227   SH         SOLE      1       87,227          --       --
STARWOOD HOTELS & RESORTS WORL EQUITY    85590A401      16        269   SH         SOLE      2          269          --       --
STARWOOD HOTELS & RESORTS WORL EQUITY    85590A401    6059    100,411   SH         SOLE      1      100,411          --       --
STATE AUTO FINANCIAL CORP      EQUITY    855707105     349     10,737   SH         SOLE      1       10,737          --       --
STATE NATIONAL BANCSHARES INC  EQUITY    857124101     299      7,852   SH         SOLE      1        7,852          --       --
STATE STREET CORP              EQUITY    857477103      24        412   SH         SOLE      2          412          --       --
STATE STREET CORP              EQUITY    857477103    8471    145,822   SH         SOLE      1      145,822          --       --
STATION CASINOS INC            EQUITY    857689103      78      1,141   SH         SOLE      1        1,141          --       --
STATS CHIPPAC LTD              EQUITY    85771T104     274     43,742   SH         SOLE      1       43,742          --       --
STEAK N SHAKE CO/THE           EQUITY    857873103     318     21,007   SH         SOLE      1       21,007          --       --
STEEL DYNAMICS INC             EQUITY    858119100       7        100   SH        DEFINED    4           --          --      100
STEEL DYNAMICS INC             EQUITY    858119100    6216     94,553   SH         SOLE      1       94,553          --       --
STEEL TECHNOLOGIES INC         EQUITY    858147101     251     12,924   SH         SOLE      1       12,924          --       --
STEELCASE INC                  EQUITY    858155203      32      1,938   SH         SOLE      1        1,938          --       --
STEIN MART INC                 EQUITY    858375108     289     19,552   SH         SOLE      1       19,552          --       --
STEINWAY MUSICAL INSTRUMENTS   EQUITY    858495104   10042    409,544   SH         SOLE      1      409,544          --       --
STELLENT INC                   EQUITY    85856W105    1422    148,910   SH         SOLE      1      148,910          --       --
STELLENT INC                   EQUITY    85856W105    4132    432,700   SH         SOLE      3      432,700          --       --
STEPAN CO                      EQUITY    858586100     145      4,595   SH         SOLE      1        4,595          --       --
STEREOTAXIS INC                EQUITY    85916J102     189     17,475   SH         SOLE      1       17,475          --       --
STERICYCLE INC                 EQUITY    858912108    6236     95,798   SH         SOLE      1       95,798          --       --
STERIS CORP                    EQUITY    859152100    4379    191,579   SH         SOLE      1      191,579          --       --
STERLING BANCORP/NY            EQUITY    859158107     273     14,011   SH         SOLE      1       14,011          --       --
STERLING BANCSHARES INC/TX     EQUITY    858907108     639     34,101   SH         SOLE      1       34,101          --       --
STERLING CONSTRUCTION CO INC   EQUITY    859241101     179      6,478   SH         SOLE      1        6,478          --       --
STERLING FINANCIAL CORP/PA     EQUITY    859317109     416     18,978   SH         SOLE      1       18,978          --       --
STERLING FINANCIAL CORP/WA     EQUITY    859319105     798     26,164   SH         SOLE      1       26,164          --       --
STEVEN MADDEN LTD              EQUITY    556269108     460     15,528   SH         SOLE      1       15,528          --       --
STEWART ENTERPRISES INC        EQUITY    860370105     451     78,402   SH         SOLE      1       78,402          --       --
STEWART INFORMATION SERVICES C EQUITY    860372101    1406     38,734   SH         SOLE      1       38,734          --       --
STIFEL FINANCIAL CORP          EQUITY    860630102     313      8,870   SH         SOLE      1        8,870          --       --
STILLWATER MINING CO           EQUITY    86074Q102     391     30,812   SH         SOLE      1       30,812          --       --
STONE ENERGY CORP              EQUITY    861642106     947     20,343   SH         SOLE      1       20,343          --       --
STRATASYS INC                  EQUITY    862685104     223      7,556   SH         SOLE      1        7,556          --       --
STRATEGIC GLOBAL INCOME FUND I EQUITY    862719101      23      2,028   SH        DEFINED    4           --          --    2,028
STRATEGIC HOTELS & RESORTS INC EQUITY    86272T106    1132     54,592   SH         SOLE      1       54,592          --       --
STRATEX NETWORKS INC           EQUITY    86279T109     882    260,117   SH         SOLE      1      260,117          --       --
STRATEX NETWORKS INC           EQUITY    86279T109    2161    637,400   SH         SOLE      3      637,400          --       --
STRAYER EDUCATION INC          EQUITY    863236105    1039     10,698   SH         SOLE      1       10,698          --       --
STREETTRACKS DOW JONES WILSHIR EQUITY    86330E885      44        475   SH        DEFINED    4           --          --      475
STREETTRACKS DOW JONES WILSHIR EQUITY    86330E604      56        739   SH        DEFINED    4           --          --      739
STREETTRACKS GOLD TRUST        EQUITY    863307104     151      2,466   SH        DEFINED    4           --          --    2,466
STRIDE RITE CORP               EQUITY    863314100     923     69,998   SH         SOLE      1       69,998          --       --
STRYKER CORP                   EQUITY    863667101      15        350   SH        DEFINED    4           --          --      350
STRYKER CORP                   EQUITY    863667101      15        363   SH         SOLE      2          363          --       --
STRYKER CORP                   EQUITY    863667101    5567    132,213   SH         SOLE      1      132,213          --       --
STUDENT LOAN CORP              EQUITY    863902102      27        136   SH         SOLE      1          136          --       --
SUFFOLK BANCORP                EQUITY    864739107     252      7,686   SH         SOLE      1        7,686          --       --
SULPHCO INC                    EQUITY    865378103     186     25,953   SH         SOLE      1       25,953          --       --
SUMMIT BANCSHARES INC/TX       EQUITY    866011109     165      7,769   SH         SOLE      1        7,769          --       --
SUN BANCORP INC/NJ             EQUITY    86663B102     172     10,583   SH         SOLE      1       10,583          --       --
SUN COMMUNITIES INC            EQUITY    866674104     393     12,087   SH         SOLE      1       12,087          --       --
SUN HEALTHCARE GROUP INC       EQUITY    866933401     976    112,256   SH         SOLE      1      112,256          --       --
SUN LIFE FINANCIAL INC         EQUITY    866796105     255      6,400   SH         OTHER     1           --       6,400       --
SUN MICROSYSTEMS INC           EQUITY    866810104       6      1,500   SH        DEFINED    4           --          --    1,500
SUN MICROSYSTEMS INC           EQUITY    866810104      18      4,337   SH         SOLE      2        4,337          --       --
SUN MICROSYSTEMS INC           EQUITY    866810104    6743  1,624,928   SH         SOLE      1    1,624,928          --       --
SUNAMERICA FOCUSED ALPHA GROWT EQUITY    867037103      95      5,500   SH        DEFINED    4           --          --    5,500
SUNCOR ENERGY INC              EQUITY    867229106    6612     81,600   SH         OTHER     1           --      81,600       --
SUNOCO INC                     EQUITY    86764P109    4299     62,038   SH         SOLE      1       62,038          --       --
SUNOCO INC                     EQUITY    86764P109   20798    300,164   SH         SOLE      2      300,164          --       --
SUNPOWER CORP                  EQUITY    867652109     214      7,642   SH         SOLE      1        7,642          --       --
SUNRISE SENIOR LIVING INC      EQUITY    86768K106    2022     73,132   SH         SOLE      1       73,132          --       --
SUNSTONE HOTEL INVESTORS INC   EQUITY    867892101    4295    147,785   SH         SOLE      1      147,785          --       --
SUN-TIMES MEDIA GROUP INC      EQUITY    435569108     449     55,882   SH         SOLE      1       55,882          --       --
SUNTRUST BANKS INC             EQUITY    867914103      11        140   SH        DEFINED    4           --          --      140






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
SUNTRUST BANKS INC             EQUITY    867914103     362      4,751   SH         SOLE      2        4,751          --       --
SUNTRUST BANKS INC             EQUITY    867914103   39224    514,341   SH         SOLE      1      514,341          --       --
SUPERGEN INC                   EQUITY    868059106     134     36,896   SH         SOLE      1       36,896          --       --
SUPERIOR BANCORP               EQUITY    86806M106     144     13,093   SH         SOLE      1       13,093          --       --
SUPERIOR ENERGY SERVICES       EQUITY    868157108      61      1,799   SH         SOLE      1        1,799          --       --
SUPERIOR ENERGY SERVICES       EQUITY    868157108     237      7,000   SH         SOLE      2        7,000          --       --
SUPERIOR ESSEX INC             EQUITY    86815V105     449     15,016   SH         SOLE      1       15,016          --       --
SUPERIOR INDUSTRIES INTERNATIO EQUITY    868168105     314     17,154   SH         SOLE      1       17,154          --       --
SUPERIOR WELL SERVICES INC     EQUITY    86837X105      19        750   SH        DEFINED    4           --          --      750
SUPERIOR WELL SERVICES INC     EQUITY    86837X105     203      8,139   SH         SOLE      1        8,139          --       --
SUPERTEX INC                   EQUITY    868532102     357      8,949   SH         SOLE      1        8,949          --       --
SUPERVALU INC                  EQUITY    868536103       8        254   SH         SOLE      2          254          --       --
SUPERVALU INC                  EQUITY    868536103    9887    322,042   SH         SOLE      1      322,042          --       --
SUREWEST COMMUNICATIONS        EQUITY    868733106     211     10,916   SH         SOLE      1       10,916          --       --
SURMODICS INC                  EQUITY    868873100     202      5,600   SH         SOLE      2        5,600          --       --
SURMODICS INC                  EQUITY    868873100     703     19,482   SH         SOLE      1       19,482          --       --
SUSQUEHANNA BANCSHARES INC     EQUITY    869099101     837     35,036   SH         SOLE      1       35,036          --       --
SVB FINANCIAL GROUP            EQUITY    78486Q101    4665    102,612   SH         SOLE      1      102,612          --       --
SWIFT ENERGY CO                EQUITY    870738101    2135     49,737   SH         SOLE      1       49,737          --       --
SWIFT TRANSPORTATION CO INC    EQUITY    870756103    3707    116,732   SH         SOLE      1      116,732          --       --
SWS GROUP INC                  EQUITY    78503N107    1148     47,587   SH         SOLE      1       47,587          --       --
SWS GROUP INC                  EQUITY    78503N107    2931    121,500   SH         SOLE      3      121,500          --       --
SY BANCORP INC                 EQUITY    785060104     252      9,169   SH         SOLE      1        9,169          --       --
SYBASE INC                     EQUITY    871130100    5045    260,048   SH         SOLE      1      260,048          --       --
SYCAMORE NETWORKS INC          EQUITY    871206108     558    137,507   SH         SOLE      1      137,507          --       --
SYKES ENTERPRISES INC          EQUITY    871237103     231     14,300   SH         SOLE      2       14,300          --       --
SYKES ENTERPRISES INC          EQUITY    871237103     645     39,907   SH         SOLE      1       39,907          --       --
SYMANTEC CORP                  EQUITY    871503108      20      1,283   SH         SOLE      2        1,283          --       --
SYMANTEC CORP                  EQUITY    871503108    8014    515,724   SH         SOLE      1      515,724          --       --
SYMBION INC                    EQUITY    871507109     279     13,452   SH         SOLE      1       13,452          --       --
SYMBION INC                    EQUITY    871507109    4409    212,400   SH         SOLE      2      212,400          --       --
SYMBOL TECHNOLOGIES INC        EQUITY    871508107    1273    117,960   SH         SOLE      1      117,960          --       --
SYMBOL TECHNOLOGIES INC        EQUITY    871508107    1622    150,315   SH         SOLE      2      150,315          --       --
SYMMETRICOM INC                EQUITY    871543104     242     34,285   SH         SOLE      1       34,285          --       --
SYMMETRY MEDICAL INC           EQUITY    871546206     401     26,024   SH         SOLE      1       26,024          --       --
SYMS CORP                      EQUITY    871551107      89      4,858   SH         SOLE      1        4,858          --       --
SYMYX TECHNOLOGIES             EQUITY    87155S108     608     25,168   SH         SOLE      1       25,168          --       --
SYNAGRO TECHNOLOGIES INC       EQUITY    871562203     180     45,816   SH         SOLE      1       45,816          --       --
SYNAPTICS INC                  EQUITY    87157D109     220     10,300   SH         SOLE      2       10,300          --       --
SYNAPTICS INC                  EQUITY    87157D109     399     18,658   SH         SOLE      1       18,658          --       --
SYNIVERSE HOLDINGS INC         EQUITY    87163F106     259     17,616   SH         SOLE      1       17,616          --       --
SYNNEX CORP                    EQUITY    87162W100     177      9,312   SH         SOLE      1        9,312          --       --
SYNOPSYS INC                   EQUITY    871607107    6082    324,037   SH         SOLE      1      324,037          --       --
SYNOVUS FINANCIAL CORP         EQUITY    87161C105      11        400   SH         SOLE      2          400          --       --
SYNOVUS FINANCIAL CORP         EQUITY    87161C105   13895    518,873   SH         SOLE      1      518,873          --       --
SYNTAX-BRILLIAN CORP           EQUITY    87163L103       2        882   SH        DEFINED    4           --          --      882
SYNTEL INC                     EQUITY    87162H103     129      6,302   SH         SOLE      1        6,302          --       --
SYNTROLEUM CORP                EQUITY    871630109     178     29,365   SH         SOLE      1       29,365          --       --
SYSCO CORP                     EQUITY    871829107       6        200   SH        DEFINED    4           --          --      200
SYSCO CORP                     EQUITY    871829107    3115    101,927   SH         SOLE      2      101,927          --       --
SYSCO CORP                     EQUITY    871829107    8273    270,697   SH         SOLE      1      270,697          --       --
SYSTEMAX INC                   EQUITY    871851101      56      7,200   SH         SOLE      1        7,200          --       --
T ROWE PRICE GROUP INC         EQUITY    74144T108      12        330   SH         SOLE      2          330          --       --
T ROWE PRICE GROUP INC         EQUITY    74144T108   11003    291,007   SH         SOLE      1      291,007          --       --
T-3 ENERGY SERVICES INC        EQUITY    87306E107      21      1,066   SH         SOLE      1        1,066          --       --
TAKE-TWO INTERACTIVE SOFTWARE  EQUITY    874054109     577     53,365   SH         SOLE      1       53,365          --       --
TAL INTERNATIONAL GROUP INC    EQUITY    874083108     290     12,045   SH         SOLE      1       12,045          --       --
TALBOTS INC                    EQUITY    874161102     310     16,787   SH         SOLE      1       16,787          --       --
TALEO CORP                     EQUITY    87424N104     120     10,151   SH         SOLE      1       10,151          --       --
TALISMAN ENERGY INC            EQUITY    87425E103    6821    390,400   SH         OTHER     1           --     390,400       --
TALK AMERICA HOLDINGS INC      EQUITY    87426R202     141     22,702   SH         SOLE      1       22,702          --       --
TALX CORP                      EQUITY    874918105      88      4,024   SH        DEFINED    4           --          --    4,024
TALX CORP                      EQUITY    874918105     753     34,427   SH         SOLE      1       34,427          --       --
TANGER FACTORY OUTLET CENTRS   EQUITY    875465106    5205    160,807   SH         SOLE      1      160,807          --       --
TANOX INC                      EQUITY    87588Q109     251     18,151   SH         SOLE      1       18,151          --       --
TARGET CORP                    EQUITY    87612E106      48        977   SH        DEFINED    4           --          --      977
TARGET CORP                    EQUITY    87612E106    7314    149,671   SH         SOLE      2      149,671          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
TARGET CORP                    EQUITY    87612E106   40026    819,029   SH         SOLE      1      819,029          --       --
TARO PHARMACEUTICALS INDUSTRIE EQUITY    M8737E108       1        100   SH        DEFINED    4           --          --      100
TARRAGON CORP                  EQUITY    876287103     140     10,081   SH         SOLE      1       10,081          --       --
TASER INTERNATIONAL INC        EQUITY    87651B104     366     46,295   SH         SOLE      1       46,295          --       --
TATA MOTORS LTD                EQUITY    876568502     353     20,490   SH         SOLE      1       20,490          --       --
TAUBMAN CENTERS INC            EQUITY    876664103    1562     38,201   SH         SOLE      1       38,201          --       --
TAYLOR CAPITAL GROUP INC       EQUITY    876851106     182      4,450   SH         SOLE      1        4,450          --       --
TCF FINANCIAL CORP             EQUITY    872275102    6459    244,207   SH         SOLE      1      244,207          --       --
TD AMERITRADE HOLDING CORP     EQUITY    87236Y108     104      7,025   SH         SOLE      1        7,025          --       --
TD BANKNORTH INC               EQUITY    87235A101     101      3,423   SH         SOLE      1        3,423          --       --
TEAM INC                       EQUITY    878155100     119      4,740   SH         SOLE      1        4,740          --       --
TECH DATA CORP                 EQUITY    878237106    4635    120,988   SH         SOLE      1      120,988          --       --
TECHNE CORP                    EQUITY    878377100    4343     85,288   SH         SOLE      1       85,288          --       --
TECHNICAL OLYMPIC USA INC      EQUITY    878483106     211     14,673   SH         SOLE      1       14,673          --       --
TECHNITROL INC                 EQUITY    878555101     700     30,257   SH         SOLE      1       30,257          --       --
TECHNOLOGY INVESTMENT CAPITAL  EQUITY    878717305     213     14,519   SH         SOLE      1       14,519          --       --
TECO ENERGY INC                EQUITY    872375100       4        259   SH         SOLE      2          259          --       --
TECO ENERGY INC                EQUITY    872375100    2533    169,529   SH         SOLE      1      169,529          --       --
TECUMSEH PRODUCTS CO           EQUITY    878895200    1000     52,095   SH         SOLE      1       52,095          --       --
TEJON RANCH CO                 EQUITY    879080109     335      8,130   SH         SOLE      1        8,130          --       --
TEKELEC                        EQUITY    879101103     532     43,099   SH         SOLE      1       43,099          --       --
TEKTRONIX INC                  EQUITY    879131100       3        104   SH         SOLE      2          104          --       --
TEKTRONIX INC                  EQUITY    879131100    1145     38,912   SH         SOLE      1       38,912          --       --
TELECOM CORP OF NEW ZEALAND LT EQUITY    879278208      36      1,810   SH        DEFINED    4           --          --    1,810
TELEDYNE TECHNOLOGIES INC      EQUITY    879360105     837     25,547   SH         SOLE      1       25,547          --       --
TELEFLEX INC                   EQUITY    879369106    6960    128,847   SH         SOLE      1      128,847          --       --
TELEPHONE & DATA SYSTEMS INC   EQUITY    879433100    9432    227,833   SH         SOLE      1      227,833          --       --
TELETECH HOLDINGS INC          EQUITY    879939106     308     24,366   SH         SOLE      1       24,366          --       --
TELIK INC                      EQUITY    87959M109     643     38,986   SH         SOLE      1       38,986          --       --
TELLABS INC                    EQUITY    879664100       7        556   SH         SOLE      2          556          --       --
TELLABS INC                    EQUITY    879664100    3106    233,345   SH         SOLE      1      233,345          --       --
TELUS CORP                     EQUITY    87971M202      73      1,800   SH         OTHER     1           --       1,800       --
TEMPLE-INLAND INC              EQUITY    879868107       6        137   SH         SOLE      2          137          --       --
TEMPLE-INLAND INC              EQUITY    879868107    2246     52,390   SH         SOLE      1       52,390          --       --
TEMPLETON DRAGON FUND INC      EQUITY    88018T101     719     34,835   SH        DEFINED    4           --          --   34,835
TEMPLETON EMERGING MARKETS INC EQUITY    880192109     132     11,034   SH        DEFINED    4           --          --   11,034
TEMPLETON GLOBAL INCOME FUND   EQUITY    880198106    2255    262,162   SH        DEFINED    4           --          --  262,162
TEMPUR-PEDIC INTERNATIONAL INC EQUITY    88023U101    1309     96,900   SH         SOLE      1       96,900          --       --
TEMPUR-PEDIC INTERNATIONAL INC EQUITY    88023U101    6671    493,800   SH         SOLE      3      250,000          --  243,800
TENARIS SA                     EQUITY    88031M109      15        365   SH        DEFINED    4           --          --      365
TENARIS SA                     EQUITY    88031M109    5863    144,810   SH         SOLE      1      144,810          --       --
TENET HEALTHCARE CORP          EQUITY    88033G100       4        584   SH         SOLE      2          584          --       --
TENET HEALTHCARE CORP          EQUITY    88033G100    1530    219,249   SH         SOLE      1      219,249          --       --
TENNANT CO                     EQUITY    880345103     309      6,140   SH         SOLE      1        6,140          --       --
TENNECO INC                    EQUITY    880349105     878     33,759   SH         SOLE      1       33,759          --       --
TERADYNE INC                   EQUITY    880770102       3        246   SH         SOLE      2          246          --       --
TERADYNE INC                   EQUITY    880770102    1284     92,144   SH         SOLE      1       92,144          --       --
TEREX CORP                     EQUITY    880779103     141      1,433   SH         SOLE      1        1,433          --       --
TEREX CORP                     EQUITY    880779103     859      8,703   SH        DEFINED    4           --          --    8,703
TERRA INDUSTRIES INC           EQUITY    880915103     452     71,005   SH         SOLE      1       71,005          --       --
TERREMARK WORLDWIDE INC        EQUITY    881448203     105     29,208   SH         SOLE      1       29,208          --       --
TESORO CORP                    EQUITY    881609101     173      2,329   SH         SOLE      1        2,329          --       --
TESSERA TECHNOLOGIES INC       EQUITY    88164L100     947     34,437   SH         SOLE      1       34,437          --       --
TESSERA TECHNOLOGIES INC       EQUITY    88164L100   16729    608,339   SH         SOLE      2      608,339          --       --
TETRA TECH INC                 EQUITY    88162G103     760     42,815   SH         SOLE      1       42,815          --       --
TETRA TECHNOLOGIES INC         EQUITY    88162F105      49      1,610   SH         SOLE      1        1,610          --       --
TETRA TECHNOLOGIES INC         EQUITY    88162F105     236      7,800   SH         SOLE      2        7,800          --       --
TETRA TECHNOLOGIES INC         EQUITY    88162F105     883     29,138   SH        DEFINED    4           --          --   29,138
TEVA PHARMACEUT FIN BV         CORP BOND 88164MAB4     734    500,000  PRN         SOLE      1      500,000          --       --
TEVA PHARMACEUTICAL INDUSTRIES EQUITY    881624209     562     17,806   SH        DEFINED    4           --          --   17,806
TEVA PHARMACEUTICAL INDUSTRIES EQUITY    881624209     812     25,700   SH         SOLE      2       25,700          --       --
TEVA PHARMACEUTICAL INDUSTRIES EQUITY    881624209    2563     81,140   SH         SOLE      1       81,140          --       --
TEXAS CAPITAL BANCSHARES INC   EQUITY    88224Q107     404     17,331   SH         SOLE      1       17,331          --       --
TEXAS INDUSTRIES INC           EQUITY    882491103       8        150   SH        DEFINED    4           --          --      150
TEXAS INDUSTRIES INC           EQUITY    882491103     917     17,261   SH         SOLE      1       17,261          --       --
TEXAS INSTRUMENTS INC          EQUITY    882508104     636     20,995   SH        DEFINED    4           --          --   20,995
TEXAS INSTRUMENTS INC          EQUITY    882508104   10400    343,332   SH         SOLE      2      343,332          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
TEXAS INSTRUMENTS INC          EQUITY    882508104   32708  1,079,832   SH         SOLE      1    1,079,832          --       --
TEXAS REGIONAL BANCSHARES INC  EQUITY    882673106    4995    131,712   SH         SOLE      1      131,712          --       --
TEXAS ROADHOUSE INC            EQUITY    882681109     526     38,897   SH         SOLE      1       38,897          --       --
TEXAS UNITED BANCSHARES INC    EQUITY    882838105     194      6,908   SH         SOLE      1        6,908          --       --
TEXTRON INC                    EQUITY    883203101      15        161   SH         SOLE      2          161          --       --
TEXTRON INC                    EQUITY    883203101    5714     61,992   SH         SOLE      1       61,992          --       --
THERMO ELECTRON CORP           EQUITY    883556102       6        162   SH        DEFINED    4           --          --      162
THERMO ELECTRON CORP           EQUITY    883556102    2653     73,203   SH         SOLE      2       73,203          --       --
THERMO ELECTRON CORP           EQUITY    883556102    2787     76,902   SH         SOLE      1       76,902          --       --
THERMOGENESIS CORP             EQUITY    883623209     169     40,927   SH         SOLE      1       40,927          --       --
THESTREET.COM INC              EQUITY    88368Q103     105     13,697   SH         SOLE      1       13,697          --       --
THOMAS & BETTS CORP            EQUITY    884315102    2411     47,000   SH         SOLE      2       47,000          --       --
THOMAS & BETTS CORP            EQUITY    884315102    6038    117,707   SH         SOLE      1      117,707          --       --
THOMAS WEISEL PARTNERS GROUP I EQUITY    884481102     812     42,724   SH         SOLE      1       42,724          --       --
THOMSON CORP/THE               EQUITY    884903105     104      2,700   SH         OTHER     1           --       2,700       --
THOR INDUSTRIES INC            EQUITY    885160101    3634     75,003   SH         SOLE      1       75,003          --       --
THORATEC CORP                  EQUITY    885175307     546     39,338   SH         SOLE      1       39,338          --       --
THORNBURG MORTGAGE INC         EQUITY    885218107       5        164   SH        DEFINED    4           --          --      164
THORNBURG MORTGAGE INC         EQUITY    885218107     106      3,800   SH         SOLE      1        3,800          --       --
THQ INC                        EQUITY    872443403    1029     47,621   SH         SOLE      1       47,621          --       --
THQ INC                        EQUITY    872443403   14757    683,200   SH         SOLE      2      683,200          --       --
TIBCO SOFTWARE INC             EQUITY    88632Q103    1107    157,063   SH         SOLE      1      157,063          --       --
TIDEWATER INC                  EQUITY    886423102    1538     31,265   SH        DEFINED    4           --          --   31,265
TIDEWATER INC                  EQUITY    886423102    6443    130,949   SH         SOLE      1      130,949          --       --
TIENS BIOTECH GROUP USA INC    EQUITY    88650T104      11      2,608   SH         SOLE      1        2,608          --       --
TIERONE CORP                   EQUITY    88650R108     457     13,536   SH         SOLE      1       13,536          --       --
TIFFANY & CO                   EQUITY    886547108       6        174   SH         SOLE      2          174          --       --
TIFFANY & CO                   EQUITY    886547108    3088     93,512   SH         SOLE      1       93,512          --       --
TIMBERLAND CO                  EQUITY    887100105       5        204   SH        DEFINED    4           --          --      204
TIMBERLAND CO                  EQUITY    887100105    3942    151,031   SH         SOLE      1      151,031          --       --
TIME WARNER INC                EQUITY    887317105      21      1,218   SH        DEFINED    4           --          --    1,218
TIME WARNER INC                EQUITY    887317105     840     48,553   SH         SOLE      2       48,553          --       --
TIME WARNER INC                EQUITY    887317105   67509  3,902,282   SH         SOLE      1    3,902,282          --       --
TIME WARNER TELECOM INC        EQUITY    887319101     843     56,797   SH         SOLE      1       56,797          --       --
TIMKEN CO                      EQUITY    887389104    2429     72,500   SH         SOLE      2       72,500          --       --
TIMKEN CO                      EQUITY    887389104    6139    183,185   SH         SOLE      1      183,185          --       --
TITAN INTERNATIONAL INC        EQUITY    88830M102     231     12,360   SH         SOLE      1       12,360          --       --
TITANIUM METALS CORP           EQUITY    888339207      58      1,675   SH         SOLE      1        1,675          --       --
TIVO INC                       EQUITY    888706108     409     57,193   SH         SOLE      1       57,193          --       --
TJX COMPANIES INC              CORP BOND 872540AL3    2358  2,975,000  PRN         SOLE      1    2,975,000          --       --
TJX COS INC                    EQUITY    872540109      13        567   SH         SOLE      2          567          --       --
TJX COS INC                    EQUITY    872540109   42485  1,858,477   SH         SOLE      1    1,858,477          --       --
TNS INC                        EQUITY    872960109     372     17,972   SH         SOLE      1       17,972          --       --
TODCO                          EQUITY    88889T107      12        300   SH        DEFINED    4           --          --      300
TODCO                          EQUITY    88889T107      57      1,394   SH         SOLE      1        1,394          --       --
TODCO                          EQUITY    88889T107    8869    217,100   SH         SOLE      2      217,100          --       --
TOLL BROTHERS INC              EQUITY    889478103    6513    254,704   SH         SOLE      1      254,704          --       --
TOMPKINS TRUSTCO INC           EQUITY    890110109     195      4,540   SH         SOLE      1        4,540          --       --
TOOTSIE ROLL INDUSTRIES INC    EQUITY    890516107    2376     81,571   SH         SOLE      1       81,571          --       --
TOPPS CO INC/THE               EQUITY    890786106     212     25,737   SH         SOLE      1       25,737          --       --
TORCH ENERGY ROYALTY TRUST     EQUITY    891013104      18      2,125   SH        DEFINED    4           --          --    2,125
TORCHMARK CORP                 EQUITY    891027104       8        124   SH         SOLE      2          124          --       --
TORCHMARK CORP                 EQUITY    891027104    6707    110,452   SH         SOLE      1      110,452          --       --
TOREADOR RESOURCES CORP        EQUITY    891050106     254      9,021   SH         SOLE      1        9,021          --       --
TORO CO                        EQUITY    891092108      45        961   SH         SOLE      1          961          --       --
TORONTO-DOMINION BANK          EQUITY    891160509    8997    176,984   SH         OTHER     1           --     176,984       --
TOTAL SYSTEM SERVICES INC      EQUITY    891906109      16        846   SH         SOLE      1          846          --       --
TOTAL SYSTEM SERVICES INC      EQUITY    891906109      45      2,329   SH        DEFINED    4           --          --    2,329
TOWER GROUP INC                EQUITY    891777104     380     12,556   SH         SOLE      1       12,556          --       --
TRACTOR SUPPLY CO              EQUITY    892356106      45        810   SH         SOLE      1          810          --       --
TRADESTATION GROUP INC         EQUITY    89267P105     243     19,155   SH         SOLE      1       19,155          --       --
TRAMMELL CROW CO               EQUITY    89288R106     946     26,905   SH         SOLE      1       26,905          --       --
TRANSACTION SYSTEMS ARCHITECTS EQUITY    893416107     342      8,200   SH         SOLE      2        8,200          --       --
TRANSACTION SYSTEMS ARCHITECTS EQUITY    893416107    5661    135,798   SH         SOLE      1      135,798          --       --
TRANSALTA CORP                 EQUITY    89346D107      39      1,900   SH         OTHER     1           --       1,900       --
TRANSATLANTIC HOLDINGS INC     EQUITY    893521104 2185280 39,092,662   SH         SOLE      1   39,092,662          --       --
TRANSATLANTIC HOLDINGS INC     EQUITY    893521104      45        800   SH         SOLE      1          800          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
TRANSCANADA CORP               EQUITY    89353D107     149      5,200   SH         OTHER     1           --       5,200       --
TRANSDIGM GROUP INC            EQUITY    893641100     197      8,247   SH         SOLE      1        8,247          --       --
TRANSDIGM GROUP INC            EQUITY    893641100    2491    104,000   SH         SOLE      2      104,000          --       --
TRANSMERIDIAN EXPLORATION INC  EQUITY    89376N108     917    160,818   SH         SOLE      1      160,818          --       --
TRANSMETA CORP/DELAWARE        EQUITY    89376R109     239    145,896   SH         SOLE      1      145,896          --       --
TRANSMONTAIGNE INC             EQUITY    893934109     374     33,320   SH         SOLE      1       33,320          --       --
TRANSOCEAN INC                 EQUITY    G90078109      32        403   SH         SOLE      2          403          --       --
TRANSWITCH CORP                EQUITY    894065101     874    414,035   SH         SOLE      1      414,035          --       --
TRAVELERS PPTY CASUALTY        EQUITY    89420G307    1827     74,500   SH         SOLE      1       74,500          --       --
TRAVELZOO INC                  EQUITY    89421Q106      69      2,271   SH         SOLE      1        2,271          --       --
TREDEGAR CORP                  EQUITY    894650100     402     25,441   SH         SOLE      1       25,441          --       --
TREEHOUSE FOODS INC            EQUITY    89469A104     554     23,195   SH         SOLE      1       23,195          --       --
TREX CO INC                    EQUITY    89531P105     229      8,857   SH         SOLE      1        8,857          --       --
TRIAD GUARANTY INC             EQUITY    895925105     420      8,589   SH         SOLE      1        8,589          --       --
TRIAD HOSPITALS INC            EQUITY    89579K109    3606     91,100   SH         SOLE      2       91,100          --       --
TRIAD HOSPITALS INC            EQUITY    89579K109    7536    190,409   SH         SOLE      1      190,409          --       --
TRIARC COS INC                 EQUITY    895927309     718     45,919   SH         SOLE      1       45,919          --       --
TRIBUNE CO                     EQUITY    896047107       9        272   SH         SOLE      2          272          --       --
TRIBUNE CO                     EQUITY    896047107    7676    236,699   SH         SOLE      1      236,699          --       --
TRICO BANCSHARES               EQUITY    896095106     282     10,288   SH         SOLE      1       10,288          --       --
TRICO MARINE SERVICES INC      EQUITY    896106200   33296    979,298   SH         SOLE      1      979,298          --       --
TRIDENT MICROSYSTEMS INC       EQUITY    895919108     809     42,605   SH         SOLE      1       42,605          --       --
TRIMBLE NAVIGATION LTD         EQUITY    896239100      55      1,232   SH         SOLE      1        1,232          --       --
TRIMBLE NAVIGATION LTD         EQUITY    896239100     232      5,200   SH         SOLE      2        5,200          --       --
TRIMERIS INC                   EQUITY    896263100     152     13,192   SH         SOLE      1       13,192          --       --
TRINITY INDUSTRIES INC         EQUITY    896522109    7330    181,433   SH         SOLE      1      181,433          --       --
TRIPATH IMAGING INC            EQUITY    896942109     155     23,464   SH         SOLE      1       23,464          --       --
TRIQUINT SEMICONDUCTOR INC     EQUITY    89674K103    1800    403,615   SH         SOLE      1      403,615          --       --
TRIUMPH GROUP INC              EQUITY    896818101     959     19,973   SH         SOLE      1       19,973          --       --
TRIZEC PROPERTIES INC          EQUITY    89687P107      96      3,337   SH         SOLE      1        3,337          --       --
TRIZETTO GROUP                 EQUITY    896882107     778     52,626   SH         SOLE      1       52,626          --       --
TRONOX INC                     EQUITY    897051207     406     30,827   SH         SOLE      1       30,827          --       --
TRUE RELIGION APPAREL INC      EQUITY    89784N104     174      9,833   SH         SOLE      1        9,833          --       --
TRUE RELIGION APPAREL INC      EQUITY    89784N104    2724    153,900   SH         SOLE      2      153,900          --       --
TRUMP ENTERTAINMENT RESORTS IN EQUITY    89816T103     420     20,887   SH         SOLE      1       20,887          --       --
TRUSTCO BANK CORP NY           EQUITY    898349105     617     55,982   SH         SOLE      1       55,982          --       --
TRUSTMARK CORP                 EQUITY    898402102    1075     34,702   SH         SOLE      1       34,702          --       --
TRUSTREET PROPERTIES INC       EQUITY    898404108     665     50,382   SH         SOLE      1       50,382          --       --
TRW AUTOMOTIVE HOLDINGS CORP   EQUITY    87264S106      40      1,480   SH         SOLE      1        1,480          --       --
TSMC                           EQUITY    874039100     697     75,896   SH        DEFINED    4           --          --   75,896
TTM TECHNOLOGIES INC           EQUITY    87305R109     340     23,500   SH         SOLE      2       23,500          --       --
TTM TECHNOLOGIES INC           EQUITY    87305R109     451     31,157   SH         SOLE      1       31,157          --       --
TUESDAY MORNING CORP           EQUITY    899035505     294     22,354   SH         SOLE      1       22,354          --       --
TUPPERWARE BRANDS CORP         EQUITY    899896104    3167    160,844   SH         SOLE      1      160,844          --       --
TURBOCHEF TECHNOLOGIES INC     EQUITY    900006206     112     10,083   SH         SOLE      1       10,083          --       --
TWEEN BRANDS INC               EQUITY    890333107     311      8,100   SH         SOLE      2        8,100          --       --
TWEEN BRANDS INC               EQUITY    890333107     962     25,069   SH         SOLE      1       25,069          --       --
TXU CORP                       EQUITY    873168108      14        235   SH        DEFINED    4           --          --      235
TXU CORP                       EQUITY    873168108    7496    125,373   SH         SOLE      2      125,373          --       --
TXU CORP                       EQUITY    873168108   12954    216,663   SH         SOLE      1      216,663          --       --
TYCO INTERNATIONAL LTD         EQUITY    902124106      69      2,525   SH         SOLE      2        2,525          --       --
TYCO INTERNATIONAL LTD         EQUITY    902124106     820     29,811   SH        DEFINED    4           --          --   29,811
TYCO INTERNATIONAL LTD         EQUITY    902124106   36602  1,330,969   SH         SOLE      1    1,330,969          --       --
TYLER TECHNOLOGIES INC         EQUITY    902252105     327     29,229   SH         SOLE      1       29,229          --       --
TYSON FOODS INC                EQUITY    902494103       5        312   SH         SOLE      2          312          --       --
TYSON FOODS INC                EQUITY    902494103    3755    252,676   SH         SOLE      1      252,676          --       --
UAL CORP                       EQUITY    902549807    1603     51,681   SH         SOLE      1       51,681          --       --
UAP HOLDING CORP               EQUITY    903441103     828     37,983   SH         SOLE      1       37,983          --       --
UBIQUITEL INC                  EQUITY    903474302     630     60,957   SH         SOLE      1       60,957          --       --
UCBH HOLDINGS INC              EQUITY    90262T308    1166     70,474   SH         SOLE      1       70,474          --       --
UCBH HOLDINGS INC              EQUITY    90262T308    6910    417,800   SH         SOLE      2      417,800          --       --
UGI CORP                       EQUITY    902681105      88      3,577   SH         SOLE      1        3,577          --       --
UIL HOLDINGS CORP              EQUITY    902748102    2431     43,189   SH         SOLE      1       43,189          --       --
ULTICOM INC                    EQUITY    903844108     101      9,655   SH         SOLE      1        9,655          --       --
ULTIMATE SOFTWARE GROUP INC    EQUITY    90385D107     342     17,829   SH         SOLE      1       17,829          --       --
ULTRALIFE BATTERIES INC        EQUITY    903899102    1080    106,600   SH         SOLE      2      106,600          --       --
ULTRATECH INC                  EQUITY    904034105     281     17,843   SH         SOLE      1       17,843          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
UMB FINANCIAL CORP             EQUITY    902788108     787     23,597   SH         SOLE      1       23,597          --       --
UMPQUA HOLDINGS CORP           EQUITY    904214103    1706     66,523   SH         SOLE      1       66,523          --       --
UNDER ARMOUR INC               EQUITY    904311107     661     15,509   SH         SOLE      1       15,509          --       --
UNIBANCO                       EQUITY    90458E107   12451    187,540   SH         SOLE      1      187,540          --       --
UNICA CORP                     EQUITY    904583101      22      2,175   SH         SOLE      1        2,175          --       --
UNIFIRST CORP/MA               EQUITY    904708104     248      7,178   SH         SOLE      1        7,178          --       --
UNION BANKSHARES CORP/VA       EQUITY    905399101     284      6,583   SH         SOLE      1        6,583          --       --
UNION DRILLING INC             EQUITY    90653P105     149     10,012   SH         SOLE      1       10,012          --       --
UNION PACIFIC CORP             EQUITY    907818108     273      2,933   SH         SOLE      2        2,933          --       --
UNION PACIFIC CORP             EQUITY    907818108   12675    136,353   SH         SOLE      1      136,353          --       --
UNIONBANCAL CORP               EQUITY    908906100     117      1,818   SH         SOLE      1        1,818          --       --
UNISOURCE ENERGY CORP          EQUITY    909205106     815     26,163   SH         SOLE      1       26,163          --       --
UNISYS CORP                    EQUITY    909214108       3        425   SH         SOLE      2          425          --       --
UNISYS CORP                    EQUITY    909214108    1020    162,455   SH         SOLE      1      162,455          --       --
UNIT CORP                      EQUITY    909218109     560      9,843   SH         SOLE      1        9,843          --       --
UNITED AUTO GROUP INC          EQUITY    909440109      38      1,792   SH         SOLE      1        1,792          --       --
UNITED BANKSHARES INC          EQUITY    909907107    1015     27,720   SH         SOLE      1       27,720          --       --
UNITED COMMUNITY BANKS INC/GA  EQUITY    90984P105     144      4,736   SH        DEFINED    4           --          --    4,736
UNITED COMMUNITY BANKS INC/GA  EQUITY    90984P105     769     25,263   SH         SOLE      1       25,263          --       --
UNITED COMMUNITY FINANCIAL COR EQUITY    909839102     243     20,232   SH         SOLE      1       20,232          --       --
UNITED DOMINION REALTY TRUST I EQUITY    910197102    8146    290,827   SH         SOLE      1      290,827          --       --
UNITED FIRE & CASUALTY CO      EQUITY    910331107     464     15,389   SH         SOLE      1       15,389          --       --
UNITED INDUSTRIAL CORP/NEW YOR EQUITY    910671106     467     10,329   SH         SOLE      1       10,329          --       --
UNITED NATURAL FOODS INC       EQUITY    911163103     327      9,900   SH         SOLE      2        9,900          --       --
UNITED NATURAL FOODS INC       EQUITY    911163103    1040     31,483   SH         SOLE      1       31,483          --       --
UNITED ONLINE INC              EQUITY    911268100     575     47,887   SH         SOLE      1       47,887          --       --
UNITED PANAM FINANCIAL CORP    EQUITY    911301109     233      7,655   SH         SOLE      1        7,655          --       --
UNITED PARCEL SERVICE INC      EQUITY    911312106      83      1,012   SH        DEFINED    4           --          --    1,012
UNITED PARCEL SERVICE INC      EQUITY    911312106    6722     81,645   SH         SOLE      2       81,645          --       --
UNITED PARCEL SERVICE INC      EQUITY    911312106   60534    735,265   SH         SOLE      1      735,265          --       --
UNITED RENTALS INC             EQUITY    911363109     608     19,000   SH        DEFINED    4           --          --   19,000
UNITED RENTALS INC             EQUITY    911363109    4746    148,396   SH         SOLE      1      148,396          --       --
UNITED SECURITY BANCSHARES/FRE EQUITY    911460103     183      5,533   SH         SOLE      1        5,533          --       --
UNITED STATES OIL FUND LP      EQUITY    91232N108      12        170   SH        DEFINED    4           --          --      170
UNITED STATES STEEL CORP       EQUITY    912909108      11        155   SH         SOLE      2          155          --       --
UNITED STATES STEEL CORP       EQUITY    912909108    4107     58,565   SH         SOLE      1       58,565          --       --
UNITED STATIONERS INC          EQUITY    913004107    1961     39,766   SH         SOLE      1       39,766          --       --
UNITED SURGICAL PARTNERS INTER EQUITY    913016309     996     33,133   SH         SOLE      1       33,133          --       --
UNITED SURGICAL PARTNERS INTER EQUITY    913016309    8203    272,800   SH         SOLE      2      272,800          --       --
UNITED TECHNOLOGIES CORP       EQUITY    913017109      24        381   SH        DEFINED    4           --          --      381
UNITED TECHNOLOGIES CORP       EQUITY    913017109    7703    121,453   SH         SOLE      2      121,453          --       --
UNITED TECHNOLOGIES CORP       EQUITY    913017109   30713    484,283   SH         SOLE      1      484,283          --       --
UNITED THERAPEUTICS CORP       EQUITY    91307C102     341      5,900   SH         SOLE      2        5,900          --       --
UNITED THERAPEUTICS CORP       EQUITY    91307C102    1016     17,586   SH         SOLE      1       17,586          --       --
UNITED UTILITIES PLC           EQUITY    91311Q105      91      3,849   SH        DEFINED    4           --          --    3,849
UNITEDHEALTH GROUP INC         EQUITY    91324P102       4        100   SH        DEFINED    4           --          --      100
UNITEDHEALTH GROUP INC         EQUITY    91324P102   30529    681,760   SH         SOLE      1      681,760          --       --
UNITEDHEALTH GROUP INC         EQUITY    91324P102   62512  1,395,983   SH         SOLE      2    1,395,983          --       --
UNITRIN INC                    EQUITY    913275103    4303     98,712   SH         SOLE      1       98,712          --       --
UNIVERSAL AMERICAN FINANCIAL C EQUITY    913377107     374     28,408   SH         SOLE      1       28,408          --       --
UNIVERSAL COMPRESSION HOLDINGS EQUITY    913431102    1416     22,492   SH         SOLE      1       22,492          --       --
UNIVERSAL CORP/RICHMOND VA     EQUITY    913456109    2769     74,392   SH         SOLE      1       74,392          --       --
UNIVERSAL DISPLAY CORP         EQUITY    91347P105     235     17,667   SH         SOLE      1       17,667          --       --
UNIVERSAL ELECTRONICS INC      EQUITY    913483103     182     10,284   SH         SOLE      1       10,284          --       --
UNIVERSAL FOREST PRODUCTS INC  EQUITY    913543104    1537     24,507   SH         SOLE      1       24,507          --       --
UNIVERSAL HEALTH REALTY INCOME EQUITY    91359E105     148      4,718   SH        DEFINED    4           --          --    4,718
UNIVERSAL HEALTH REALTY INCOME EQUITY    91359E105     276      8,791   SH         SOLE      1        8,791          --       --
UNIVERSAL HEALTH SERVICES INC  EQUITY    913903100    5912    117,633   SH         SOLE      1      117,633          --       --
UNIVERSAL STAINLESS & ALLOY    EQUITY    913837100     252      8,600   SH         SOLE      2        8,600          --       --
UNIVERSAL TECHNICAL INSTITUTE  EQUITY    913915104     377     17,118   SH         SOLE      1       17,118          --       --
UNIVERSAL TRUCKLOAD SERVICES I EQUITY    91388P105     151      4,425   SH         SOLE      1        4,425          --       --
UNIVEST CORP OF PENNSYLVANIA   EQUITY    915271100     237      8,579   SH         SOLE      1        8,579          --       --
UNIVISION COMMUNICATIONS INC   EQUITY    914906102       9        277   SH         SOLE      2          277          --       --
UNIVISION COMMUNICATIONS INC   EQUITY    914906102    5080    151,639   SH         SOLE      1      151,639          --       --
UNUMPROVIDENT CORP             EQUITY    91529Y106       7        371   SH         SOLE      2          371          --       --
UNUMPROVIDENT CORP             EQUITY    91529Y106    2572    141,840   SH         SOLE      1      141,840          --       --
URBAN OUTFITTERS INC           EQUITY    917047102    4369    249,827   SH         SOLE      1      249,827          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
URBAN OUTFITTERS INC           EQUITY    917047102    7131    407,700   SH         SOLE      2      407,700          --       --
URS CORP                       EQUITY    903236107      72      1,705   SH         SOLE      1        1,705          --       --
URSTADT BIDDLE PROPERTIES INC  EQUITY    917286205     257     15,752   SH         SOLE      1       15,752          --       --
US AIRWAYS GROUP INC/NEW       EQUITY    90341W108      69      1,371   SH         SOLE      1        1,371          --       --
US BANCORP                     EQUITY    902973304      65      2,089   SH        DEFINED    4           --          --    2,089
US BANCORP                     EQUITY    902973304    1016     32,907   SH         SOLE      2       32,907          --       --
US BANCORP                     EQUITY    902973304   55351  1,792,457   SH         SOLE      1    1,792,457          --       --
US CELLULAR CORP               EQUITY    911684108      26        430   SH         SOLE      1          430          --       --
US CONCRETE INC                EQUITY    90333L102     275     24,928   SH         SOLE      1       24,928          --       --
US XPRESS ENTERPRISES INC      EQUITY    90338N103     186      6,885   SH         SOLE      1        6,885          --       --
USA MOBILITY INC               EQUITY    90341G103     340     20,502   SH         SOLE      1       20,502          --       --
USA TRUCK INC                  EQUITY    902925106     115      6,465   SH         SOLE      1        6,465          --       --
USANA HEALTH SCIENCES INC      EQUITY    90328M107     727     19,191   SH         SOLE      1       19,191          --       --
USB HOLDING CO INC             EQUITY    902910108     198      8,796   SH         SOLE      1        8,796          --       --
USEC INC                       EQUITY    90333E108      21      1,800   SH        DEFINED    4           --          --    1,800
USEC INC                       EQUITY    90333E108     769     64,861   SH         SOLE      1       64,861          --       --
USG CORP                       EQUITY    903293405     337      4,622   SH         SOLE      1        4,622          --       --
USI HOLDINGS CORP              EQUITY    90333H101     462     34,439   SH         SOLE      1       34,439          --       --
UST INC                        EQUITY    902911106    3395     75,117   SH         SOLE      1       75,117          --       --
UST INC                        EQUITY    902911106    9544    211,200   SH         SOLE      2      211,200          --       --
UTILITIES SELECT SECTOR SPDR F EQUITY    81369Y886      47      1,449   SH        DEFINED    4           --          --    1,449
UTSTARCOM INC                  EQUITY    918076100    2457    315,438   SH         SOLE      1      315,438          --       --
VA SOFTWARE CORP               EQUITY    91819B105     180     46,537   SH         SOLE      1       46,537          --       --
VAALCO ENERGY INC              EQUITY    91851C201     419     42,979   SH         SOLE      1       42,979          --       --
VAIL RESORTS INC               EQUITY    91879Q109     838     22,586   SH         SOLE      1       22,586          --       --
VALASSIS COMMUNICATIONS INC    EQUITY    918866104    3257    138,052   SH         SOLE      1      138,052          --       --
VALEANT PHARMACEUTICALS INTERN EQUITY    91911X104    4535    268,038   SH         SOLE      1      268,038          --       --
VALERO ENERGY CORP             EQUITY    91913Y100    1724     25,922   SH        DEFINED    4           --          --   25,922
VALERO ENERGY CORP             EQUITY    91913Y100   19757    297,003   SH         SOLE      1      297,003          --       --
VALERO ENERGY CORP             EQUITY    91913Y100   26599    399,863   SH         SOLE      2      399,863          --       --
VALERO LP                      EQUITY    91913W104      10        204   SH        DEFINED    4           --          --      204
VALERO LP                      EQUITY    91913W104    1875     38,000   SH         SOLE      1       38,000          --       --
VALHI INC                      EQUITY    918905100       4        164   SH         SOLE      1          164          --       --
VALLEY NATIONAL BANCORP        EQUITY    919794107      97      3,781   SH         SOLE      1        3,781          --       --
VALLEY NATIONAL GASES INC      EQUITY    919792101      47      1,815   SH         SOLE      1        1,815          --       --
VALMONT INDUSTRIES INC         EQUITY    920253101     219      4,700   SH         SOLE      2        4,700          --       --
VALMONT INDUSTRIES INC         EQUITY    920253101     729     15,690   SH         SOLE      1       15,690          --       --
VALSPAR CORP                   EQUITY    920355104    5859    221,853   SH         SOLE      1      221,853          --       --
VALUE LINE INC                 EQUITY    920437100      43      1,005   SH         SOLE      1        1,005          --       --
VALUECLICK INC                 EQUITY    92046N102    1174     76,475   SH         SOLE      1       76,475          --       --
VALUEVISION MEDIA INC          EQUITY    92047K107     251     22,735   SH         SOLE      1       22,735          --       --
VANGUARD EMERGING MARKETS ETF  EQUITY    922042858      10        149   SH        DEFINED    4           --          --      149
VANGUARD ENERGY ETF            EQUITY    92204A306      23        285   SH        DEFINED    4           --          --      285
VARIAN INC                     EQUITY    922206107    3709     89,354   SH         SOLE      1       89,354          --       --
VARIAN MEDICAL SYSTEMS INC     EQUITY    92220P105   13474    284,562   SH         SOLE      1      284,562          --       --
VARIAN SEMICONDUCTOR EQUIPMENT EQUITY    922207105    1393     42,702   SH         SOLE      1       42,702          --       --
VASCO DATA SECURITY INTERNATIO EQUITY    92230Y104     155     18,569   SH         SOLE      1       18,569          --       --
VCA ANTECH INC                 EQUITY    918194101     335     10,505   SH        DEFINED    4           --          --   10,505
VCA ANTECH INC                 EQUITY    918194101    5743    179,873   SH         SOLE      1      179,873          --       --
VECTOR GROUP LTD               EQUITY    92240M108    4293    264,209   SH         SOLE      1      264,209          --       --
VECTREN CORP                   EQUITY    92240G101    4520    165,887   SH         SOLE      1      165,887          --       --
VEECO INSTRUMENTS INC          EQUITY    922417100     538     22,568   SH         SOLE      1       22,568          --       --
VENTANA MEDICAL SYSTEMS INC    EQUITY    92276H106    1015     21,510   SH         SOLE      1       21,510          --       --
VENTAS INC                     EQUITY    92276F100    7562    223,193   SH         SOLE      1      223,193          --       --
VERIFONE HOLDINGS INC          EQUITY    92342Y109      27        876   SH         SOLE      1          876          --       --
VERINT SYSTEMS INC             EQUITY    92343X100     290      9,918   SH         SOLE      1        9,918          --       --
VERINT SYSTEMS INC             EQUITY    92343X100    2376     81,400   SH         SOLE      2       81,400          --       --
VERISIGN INC                   EQUITY    92343E102       7        304   SH         SOLE      2          304          --       --
VERISIGN INC                   EQUITY    92343E102    5140    221,834   SH         SOLE      1      221,834          --       --
VERITAS DGC INC                EQUITY    92343P107     351      6,800   SH         SOLE      2        6,800          --       --
VERITAS DGC INC                EQUITY    92343P107    2720     52,731   SH         SOLE      1       52,731          --       --
VERIZON COMMUNICATIONS INC     EQUITY    92343V104     197      5,871   SH        DEFINED    4           --          --    5,871
VERIZON COMMUNICATIONS INC     EQUITY    92343V104   10031    299,513   SH         SOLE      2      299,513          --       --
VERIZON COMMUNICATIONS INC     EQUITY    92343V104  147783  4,412,872   SH         SOLE      1    4,412,872          --       --
VERTEX PHARMACEUTICALS INC     EQUITY    92532F100     253      6,900   SH         SOLE      2        6,900          --       --
VERTEX PHARMACEUTICALS INC     EQUITY    92532F100   20351    554,384   SH         SOLE      1      554,384          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
VERTRUE INC                    EQUITY    92534N101     228      5,300   SH         SOLE      2        5,300          --       --
VERTRUE INC                    EQUITY    92534N101     243      5,638   SH         SOLE      1        5,638          --       --
VF CORP                        EQUITY    918204108       7        109   SH         SOLE      2          109          --       --
VF CORP                        EQUITY    918204108    2853     42,011   SH         SOLE      1       42,011          --       --
VIACOM INC                     EQUITY    92553P201    3896    108,694   SH         SOLE      2      108,694          --       --
VIACOM INC                     EQUITY    92553P201   11346    316,564   SH         SOLE      1      316,564          --       --
VIAD CORP                      EQUITY    92552R406     518     16,556   SH         SOLE      1       16,556          --       --
VIASAT INC                     EQUITY    92552V100     424     16,516   SH         SOLE      1       16,516          --       --
VIASYS HEALTHCARE INC          EQUITY    92553Q209    1373     53,652   SH         SOLE      1       53,652          --       --
VICOR CORP                     EQUITY    925815102     245     14,789   SH         SOLE      1       14,789          --       --
VIGNETTE CORP                  EQUITY    926734401     324     22,203   SH         SOLE      1       22,203          --       --
VIISAGE TECHNOLOGY INC         EQUITY    92675K205     252     16,638   SH         SOLE      1       16,638          --       --
VILLAGE SUPER MARKET           EQUITY    927107409      80      1,223   SH         SOLE      1        1,223          --       --
VIMPEL-COMMUNICATIONS OAO      EQUITY    68370R109    9221    202,085   SH         SOLE      1      202,085          --       --
VINEYARD NATIONAL BANCORP      EQUITY    927426106     182      6,759   SH         SOLE      1        6,759          --       --
VIRAGE LOGIC CORP              EQUITY    92763R104     109     11,581   SH         SOLE      1       11,581          --       --
VIRGINIA COMMERCE BANCORP      EQUITY    92778Q109     278     11,630   SH         SOLE      1       11,630          --       --
VIRGINIA FINANCIAL GROUP INC   EQUITY    927810101     226      5,356   SH         SOLE      1        5,356          --       --
VIROPHARMA INC                 EQUITY    928241108     441     51,173   SH         SOLE      1       51,173          --       --
VISHAY INTERTECHNOLOGY         CORP BOND 928298AF5       1      1,000  PRN        DEFINED    4           --          --    1,000
VISHAY INTERTECHNOLOGY INC     EQUITY    928298108    6302    400,615   SH         SOLE      1      400,615          --       --
VISICU INC                     EQUITY    92831L204      91      5,142   SH         SOLE      1        5,142          --       --
VISTACARE INC                  EQUITY    92839Y109      94      7,755   SH         SOLE      1        7,755          --       --
VISTEON CORP                   EQUITY    92839U107     688     95,488   SH         SOLE      1       95,488          --       --
VITAL IMAGES INC               EQUITY    92846N104     243      9,840   SH         SOLE      1        9,840          --       --
VITAL SIGNS INC                EQUITY    928469105     253      5,099   SH         SOLE      1        5,099          --       --
VOCUS INC                      EQUITY    92858J108    1493    104,800   SH         SOLE      3      104,800          --       --
VODAFONE GROUP PLC             EQUITY    92857W100     422     19,800   SH        DEFINED    4           --          --   19,800
VOLCOM INC                     EQUITY    92864N101     313      9,784   SH         SOLE      1        9,784          --       --
VOLT INFORMATION SCIENCES INC  EQUITY    928703107     559     11,989   SH         SOLE      1       11,989          --       --
VOLT INFORMATION SCIENCES INC  EQUITY    928703107     851     18,269   SH        DEFINED    4           --          --   18,269
VOLTERRA SEMICONDUCTOR CORP    EQUITY    928708106     213     13,963   SH         SOLE      1       13,963          --       --
VONAGE HOLDINGS CORP           EQUITY    92886T201     201     23,354   SH         SOLE      1       23,354          --       --
VORNADO REALTY TRUST           EQUITY    929042109      14        147   SH         SOLE      2          147          --       --
VULCAN MATERIALS CO            EQUITY    929160109      10        125   SH         SOLE      2          125          --       --
VULCAN MATERIALS CO            EQUITY    929160109    3627     46,503   SH         SOLE      1       46,503          --       --
W HOLDING CO INC               EQUITY    929251106     540     81,241   SH         SOLE      1       81,241          --       --
W&T OFFSHORE INC               EQUITY    92922P106      16        401   SH         SOLE      1          401          --       --
WABASH NATIONAL CORP           EQUITY    929566107     357     23,238   SH         SOLE      1       23,238          --       --
WABTEC CORP                    EQUITY    929740108     471     12,600   SH         SOLE      2       12,600          --       --
WABTEC CORP                    EQUITY    929740108    1354     36,203   SH         SOLE      1       36,203          --       --
WACHOVIA CORP                  EQUITY    929903102      26        480   SH        DEFINED    4           --          --      480
WACHOVIA CORP                  EQUITY    929903102    8999    166,394   SH         SOLE      2      166,394          --       --
WACHOVIA CORP                  EQUITY    929903102   44734    827,174   SH         SOLE      1      827,174          --       --
WADDELL & REED FINANCIAL INC   EQUITY    930059100    5034    244,828   SH         SOLE      1      244,828          --       --
WALGREEN CO                    EQUITY    931422109     118      2,642   SH        DEFINED    4           --          --    2,642
WALGREEN CO                    EQUITY    931422109     316      7,052   SH         SOLE      2        7,052          --       --
WALGREEN CO                    EQUITY    931422109   20371    454,302   SH         SOLE      1      454,302          --       --
WAL-MART STORES INC            EQUITY    931142103      73      1,511   SH        DEFINED    4           --          --    1,511
WAL-MART STORES INC            EQUITY    931142103    5458    113,300   SH         SOLE      2      113,300          --       --
WAL-MART STORES INC            EQUITY    931142103   77067  1,599,898   SH         SOLE      1    1,599,898          --       --
WALT DISNEY CO                 EQUITY    254687106      65      2,176   SH        DEFINED    4           --          --    2,176
WALT DISNEY CO                 EQUITY    254687106     586     19,521   SH         SOLE      2       19,521          --       --
WALT DISNEY CO                 EQUITY    254687106  104741  3,491,453   SH         SOLE      1    3,491,453          --       --
WALT DISNEY COMPANY            CORP BOND 254687AU0       4      4,000  PRN        DEFINED    4           --          --    4,000
WALT DISNEY COMPANY            CORP BOND 254687AU0    3414  3,100,000  PRN         SOLE      1    3,100,000          --       --
WALTER INDUSTRIES INC          EQUITY    93317Q105     122      2,108   SH         SOLE      1        2,108          --       --
WALTER INDUSTRIES INC          EQUITY    93317Q105    2104     36,500   SH         SOLE      2       36,500          --       --
WARNACO GROUP INC/THE          EQUITY    934390402     655     35,083   SH         SOLE      1       35,083          --       --
WARNER MUSIC GROUP CORP        EQUITY    934550104      76      2,566   SH         SOLE      1        2,566          --       --
WARREN RESOURCES INC           EQUITY    93564A100     571     39,795   SH         SOLE      1       39,795          --       --
WARREN RESOURCES INC           EQUITY    93564A100    2051    142,800   SH         SOLE      2      142,800          --       --
WARRIOR ENERGY SERVICE CORP    EQUITY    936258102     175      7,216   SH         SOLE      1        7,216          --       --
WASHINGTON FEDERAL INC         EQUITY    938824109    4405    189,972   SH         SOLE      1      189,972          --       --
WASHINGTON GROUP INTERNATIONAL EQUITY    938862208    1152     21,600   SH         SOLE      1       21,600          --       --
WASHINGTON MUTUAL INC          EQUITY    939322103     155      3,394   SH        DEFINED    4           --          --    3,394






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
WASHINGTON MUTUAL INC          EQUITY    939322103   14298    313,691   SH         SOLE      2      313,691          --       --
WASHINGTON MUTUAL INC          EQUITY    939322103   51504  1,129,965   SH         SOLE      1    1,129,965          --       --
WASHINGTON POST CO/THE         EQUITY    939640108   10192     13,067   SH         SOLE      1       13,067          --       --
WASHINGTON TRUST BANCORP INC   EQUITY    940610108     238      8,583   SH         SOLE      1        8,583          --       --
WASTE CONNECTIONS INC          EQUITY    941053100     313      8,600   SH         SOLE      2        8,600          --       --
WASTE CONNECTIONS INC          EQUITY    941053100    1209     33,223   SH         SOLE      1       33,223          --       --
WASTE INDUSTRIES USA INC       EQUITY    941057101     126      5,553   SH         SOLE      1        5,553          --       --
WASTE MANAGEMENT INC           EQUITY    94106L109       3         72   SH        DEFINED    4           --          --       72
WASTE MANAGEMENT INC           EQUITY    94106L109      24        676   SH         SOLE      2          676          --       --
WASTE MANAGEMENT INC           EQUITY    94106L109   21881    609,847   SH         SOLE      1      609,847          --       --
WASTE SERVICES INC             EQUITY    941075103      41      4,526   SH         SOLE      1        4,526          --       --
WATERS CORP                    EQUITY    941848103       6        128   SH         SOLE      2          128          --       --
WATERS CORP                    EQUITY    941848103    4940    111,272   SH         SOLE      1      111,272          --       --
WATSCO INC                     EQUITY    942622200    1244     20,789   SH         SOLE      1       20,789          --       --
WATSON PHARMACEUTICALS         CORP BOND 942683AC7       3      3,000  PRN        DEFINED    4           --          --    3,000
WATSON PHARMACEUTICALS INC     EQUITY    942683103       3        126   SH         SOLE      2          126          --       --
WATSON PHARMACEUTICALS INC     EQUITY    942683103    1671     71,761   SH         SOLE      1       71,761          --       --
WATSON WYATT WORLDWIDE INC     EQUITY    942712100     439     12,500   SH         SOLE      2       12,500          --       --
WATSON WYATT WORLDWIDE INC     EQUITY    942712100    1109     31,570   SH         SOLE      1       31,570          --       --
WATTS WATER TECHNOLOGIES INC   EQUITY    942749102     632     18,828   SH         SOLE      1       18,828          --       --
WAUSAU PAPER CORP              EQUITY    943315101     416     33,449   SH         SOLE      1       33,449          --       --
WAUWATOSA HOLDINGS INC         EQUITY    94348P108     133      7,794   SH         SOLE      1        7,794          --       --
WCI COMMUNITIES INC            EQUITY    92923C104     502     24,940   SH         SOLE      1       24,940          --       --
WD-40 CO                       EQUITY    929236107     421     12,531   SH         SOLE      1       12,531          --       --
WEATHERFORD INTERNATIONAL LTD  EQUITY    G95089101      21        432   SH         SOLE      2          432          --       --
WEBEX COMMUNICATIONS INC       EQUITY    94767L109    1109     31,209   SH         SOLE      1       31,209          --       --
WEBMD HEALTH CORP              EQUITY    94770V102       8        159   SH         SOLE      1          159          --       --
WEBMETHODS INC                 EQUITY    94768C108     400     40,541   SH         SOLE      1       40,541          --       --
WEBSENSE INC                   EQUITY    947684106     735     35,802   SH         SOLE      1       35,802          --       --
WEBSENSE INC                   EQUITY    947684106    1384     67,400   SH         SOLE      2       67,400          --       --
WEBSIDESTORY INC               EQUITY    947685103     159     13,050   SH         SOLE      1       13,050          --       --
WEBSITE PROS INC               EQUITY    94769V105    1329    129,200   SH         SOLE      3      129,200          --       --
WEBSTER FINANCIAL CORP         EQUITY    947890109    5455    114,993   SH         SOLE      1      114,993          --       --
WEIGHT WATCHERS INTERNATIONAL  EQUITY    948626106       8        200   SH        DEFINED    4           --          --      200
WEIGHT WATCHERS INTERNATIONAL  EQUITY    948626106      43      1,043   SH         SOLE      1        1,043          --       --
WEINGARTEN REALTY INVESTORS    EQUITY    948741103    6711    175,301   SH         SOLE      1      175,301          --       --
WEIS MARKETS INC               EQUITY    948849104     293      7,117   SH         SOLE      1        7,117          --       --
WELLCARE HEALTH PLANS INC      EQUITY    94946T106      36        737   SH         SOLE      1          737          --       --
WELLCARE HEALTH PLANS INC      EQUITY    94946T106     324      6,600   SH         SOLE      2        6,600          --       --
WELLPOINT INC                  EQUITY    94973V107       5         65   SH        DEFINED    4           --          --       65
WELLPOINT INC                  EQUITY    94973V107   15530    213,415   SH         SOLE      2      213,415          --       --
WELLPOINT INC                  EQUITY    94973V107   30499    419,110   SH         SOLE      1      419,110          --       --
WELLS FARGO & CO               EQUITY    949746101     104      1,554   SH        DEFINED    4           --          --    1,554
WELLS FARGO & CO               EQUITY    949746101    7176    106,983   SH         SOLE      2      106,983          --       --
WELLS FARGO & CO               EQUITY    949746101   66060    984,800   SH         SOLE      1      984,800          --       --
WENDY'S INTERNATIONAL INC      EQUITY    950590109       8        145   SH         SOLE      2          145          --       --
WENDY'S INTERNATIONAL INC      EQUITY    950590109    3176     54,493   SH         SOLE      1       54,493          --       --
WERNER ENTERPRISES INC         EQUITY    950755108    2995    147,742   SH         SOLE      1      147,742          --       --
WESBANCO INC                   EQUITY    950810101     507     16,366   SH         SOLE      1       16,366          --       --
WESCO FINANCIAL CORP           EQUITY    950817106      18         48   SH         SOLE      1           48          --       --
WESCO INTERNATIONAL INC        EQUITY    95082P105      75      1,091   SH         SOLE      1        1,091          --       --
WESCO INTERNATIONAL INC        EQUITY    95082P105     242      3,500   SH         SOLE      2        3,500          --       --
WEST BANCORPORATION INC        EQUITY    95123P106     233     12,461   SH         SOLE      1       12,461          --       --
WEST COAST BANCORP/OR          EQUITY    952145100     324     10,988   SH         SOLE      1       10,988          --       --
WEST CORP                      EQUITY    952355105     511     10,675   SH         SOLE      1       10,675          --       --
WEST MARINE INC                EQUITY    954235107     144     10,693   SH         SOLE      1       10,693          --       --
WEST PHARMACEUTICAL SERVICES I EQUITY    955306105     334      9,200   SH         SOLE      2        9,200          --       --
WEST PHARMACEUTICAL SERVICES I EQUITY    955306105    1411     38,900   SH         SOLE      1       38,900          --       --
WESTAMERICA BANCORPORATION     EQUITY    957090103    4449     90,849   SH         SOLE      1       90,849          --       --
WESTAR ENERGY INC              EQUITY    95709T100      21      1,000   SH        DEFINED    4           --          --    1,000
WESTAR ENERGY INC              EQUITY    95709T100    5298    251,704   SH         SOLE      1      251,704          --       --
WESTERN ALLIANCE BANCORP       EQUITY    957638109     340      9,784   SH         SOLE      1        9,784          --       --
WESTERN DIGITAL CORP           EQUITY    958102105      14        710   SH        DEFINED    4           --          --      710
WESTERN DIGITAL CORP           EQUITY    958102105    9469    477,976   SH         SOLE      1      477,976          --       --
WESTERN GAS RESOURCES INC      EQUITY    958259103    7591    126,827   SH         SOLE      1      126,827          --       --
WESTERN REFINING INC           EQUITY    959319104       9        400   SH        DEFINED    4           --          --      400






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
WESTERN REFINING INC           EQUITY    959319104     373     17,301   SH         SOLE      1       17,301          --       --
WESTFIELD FINANCIAL INC        EQUITY    96008D101      83      2,870   SH         SOLE      1        2,870          --       --
WESTLAKE CHEMICAL CORP         EQUITY    960413102      14        460   SH         SOLE      1          460          --       --
WESTMORELAND COAL CO           EQUITY    960878106     126      5,012   SH         SOLE      1        5,012          --       --
WESTWOOD ONE INC               EQUITY    961815107    1422    189,561   SH         SOLE      1      189,561          --       --
WET SEAL INC/THE               EQUITY    961840105     232     47,458   SH         SOLE      1       47,458          --       --
WEYCO GROUP INC                EQUITY    962149100     120      5,154   SH         SOLE      1        5,154          --       --
WEYERHAEUSER CO                EQUITY    962166104      19        305   SH         SOLE      2          305          --       --
WEYERHAEUSER CO                EQUITY    962166104   14925    239,756   SH         SOLE      1      239,756          --       --
WGL HOLDINGS INC               EQUITY    92924F106   11271    389,341   SH         SOLE      1      389,341          --       --
W-H ENERGY SERVICES INC        EQUITY    92925E108    1117     21,978   SH         SOLE      1       21,978          --       --
WHEELING-PITTSBURGH CORP       EQUITY    963142302     455     22,887   SH         SOLE      1       22,887          --       --
WHIRLPOOL CORP                 EQUITY    963320106       8         97   SH         SOLE      2           97          --       --
WHIRLPOOL CORP                 EQUITY    963320106      12        145   SH        DEFINED    4           --          --      145
WHIRLPOOL CORP                 EQUITY    963320106    3040     36,787   SH         SOLE      1       36,787          --       --
WHITING PETROLEUM CORP         EQUITY    966387102    1155     27,574   SH         SOLE      1       27,574          --       --
WHITNEY HOLDING CORP           EQUITY    966612103      79      2,231   SH         SOLE      1        2,231          --       --
WHITNEY HOLDING CORP           EQUITY    966612103     738     20,870   SH        DEFINED    4           --          --   20,870
WHOLE FOODS MARKET INC         EQUITY    966837106      11        174   SH         SOLE      2          174          --       --
WHOLE FOODS MARKET INC         EQUITY    966837106    4672     72,282   SH         SOLE      1       72,282          --       --
WILD OATS MARKETS INC          EQUITY    96808B107      10        500   SH        DEFINED    4           --          --      500
WILD OATS MARKETS INC          EQUITY    96808B107     422     21,534   SH         SOLE      1       21,534          --       --
WILLIAMS COS INC               EQUITY    969457100      17        738   SH         SOLE      2          738          --       --
WILLIAMS COS INC               EQUITY    969457100    6462    276,617   SH         SOLE      1      276,617          --       --
WILLIAMS SCOTSMAN INTERNATIONA EQUITY    96950G102     485     22,203   SH         SOLE      1       22,203          --       --
WILLIAMS-SONOMA INC            EQUITY    969904101    8586    252,168   SH         SOLE      1      252,168          --       --
WILLOW GROVE BANCORP INC       EQUITY    97111W101     175     11,111   SH         SOLE      1       11,111          --       --
WILMINGTON TRUST CORP          EQUITY    971807102    6260    148,417   SH         SOLE      1      148,417          --       --
WILSHIRE BANCORP INC           EQUITY    97186T108     730     40,486   SH         SOLE      1       40,486          --       --
WIMM-BILL-DANN FOODS OJSC      EQUITY    97263M109    1194     30,500   SH         SOLE      1       30,500          --       --
WIND RIVER SYSTEMS INC         EQUITY    973149107    1941    218,049   SH         SOLE      1      218,049          --       --
WINDROSE MEDICAL PROPERTIES TR EQUITY    973491103     222     15,188   SH         SOLE      1       15,188          --       --
WINDSTREAM CORP                EQUITY    920255106   10570    923,179   SH         SOLE      1      923,179          --       --
WINNEBAGO INDUSTRIES           EQUITY    974637100     754     24,287   SH         SOLE      1       24,287          --       --
WINSTON HOTELS INC             EQUITY    97563A102     242     19,749   SH         SOLE      1       19,749          --       --
WINTHROP REALTY TRUST          EQUITY    976391102     107     17,998   SH         SOLE      1       17,998          --       --
WINTRUST FINANCIAL CORP        EQUITY    97650W108     921     18,112   SH         SOLE      1       18,112          --       --
WIRELESS FACILITIES INC        EQUITY    97653A103     117     42,610   SH         SOLE      1       42,610          --       --
WISCONSIN ENERGY CORP          EQUITY    976657106       8        200   SH        DEFINED    4           --          --      200
WISCONSIN ENERGY CORP          EQUITY    976657106   10420    258,563   SH         SOLE      1      258,563          --       --
WITNESS SYSTEMS INC            EQUITY    977424100    1057     52,395   SH         SOLE      1       52,395          --       --
WM WRIGLEY JR CO               EQUITY    982526105    4648    102,477   SH         SOLE      1      102,477          --       --
WM WRIGLEY JR CO               EQUITY    982526105    9613    211,929   SH         SOLE      2      211,929          --       --
WMS INDUSTRIES INC             EQUITY    929297109     552     20,147   SH         SOLE      1       20,147          --       --
WOLVERINE WORLD WIDE INC       EQUITY    978097103     971     41,601   SH         SOLE      1       41,601          --       --
WOODWARD GOVERNOR CO           EQUITY    980745103     684     22,424   SH         SOLE      1       22,424          --       --
WORLD ACCEPTANCE CORP          EQUITY    981419104     213      6,000   SH         SOLE      2        6,000          --       --
WORLD ACCEPTANCE CORP          EQUITY    981419104    1047     29,479   SH         SOLE      1       29,479          --       --
WORLD FUEL SERVICES CORP       EQUITY    981475106     334      7,300   SH         SOLE      2        7,300          --       --
WORLD FUEL SERVICES CORP       EQUITY    981475106     938     20,533   SH         SOLE      1       20,533          --       --
WORTHINGTON INDUSTRIES         EQUITY    981811102    4351    207,700   SH         SOLE      1      207,700          --       --
WPS RESOURCES CORP             EQUITY    92931B106      10        200   SH        DEFINED    4           --          --      200
WPS RESOURCES CORP             EQUITY    92931B106    4353     87,761   SH         SOLE      1       87,761          --       --
WR BERKLEY CORP                EQUITY    084423102   12535    367,261   SH         SOLE      1      367,261          --       --
WR GRACE & CO                  EQUITY    38388F108     592     50,621   SH         SOLE      1       50,621          --       --
WRIGHT EXPRESS CORP            EQUITY    98233Q105     864     30,070   SH         SOLE      1       30,070          --       --
WRIGHT MEDICAL GROUP INC       EQUITY    98235T107     978     46,730   SH         SOLE      1       46,730          --       --
WSFS FINANCIAL CORP            EQUITY    929328102     271      4,408   SH         SOLE      1        4,408          --       --
WW GRAINGER INC                EQUITY    384802104       7         95   SH         SOLE      2           95          --       --
WW GRAINGER INC                EQUITY    384802104    3007     39,976   SH         SOLE      1       39,976          --       --
WWE                            EQUITY    98156Q108     270     15,972   SH         SOLE      1       15,972          --       --
WYETH                          EQUITY    983024100      36        807   SH        DEFINED    4           --          --      807
WYETH                          EQUITY    983024100    7113    160,169   SH         SOLE      2      160,169          --       --
WYETH                          EQUITY    983024100   27562    620,632   SH         SOLE      1      620,632          --       --
WYNN RESORTS LTD               EQUITY    983134107     544      7,419   SH         SOLE      1        7,419          --       --
WYNN RESORTS LTD               EQUITY    983134107   16493    225,000   SH         SOLE      2      225,000          --       --
XCEL ENERGY INC                EQUITY    98389B100      10        503   SH         SOLE      2          503          --       --






                                                                                                         VOTING AUTHORITY
                                TITLE OF   CUSIP    VALUE    SHARES/   SH/ PUT/            OTHER -------------------------------
          ISSUER NAME            CLASS     NUMBER  X $1000  PRINCIPAL  PRN CALL DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
          -----------          --------- --------- ------- ----------  --- ---- ---------- ----- ----------  ---------- --------
                                                                                       
XCEL ENERGY INC                EQUITY    98389B100    3683    192,044   SH         SOLE      1      192,044          --       --
XENOPORT INC                   EQUITY    98411C100     222     12,248   SH         SOLE      1       12,248          --       --
XERIUM TECHNOLOGIES INC        EQUITY    98416J100     139     14,712   SH         SOLE      1       14,712          --       --
XEROX CORP                     EQUITY    984121103    9183    660,138   SH         SOLE      1      660,138          --       --
XEROX CORP                     EQUITY    984121103   21437  1,541,139   SH         SOLE      2    1,541,139          --       --
XILINX INC                     EQUITY    983919101      10        426   SH         SOLE      2          426          --       --
XILINX INC                     EQUITY    983919101    5784    255,321   SH         SOLE      1      255,321          --       --
XL CAPITAL LTD                 EQUITY    G98255105     332      5,424   SH         SOLE      2        5,424          --       --
XM SATELLITE RADIO HOLDINGS IN EQUITY    983759101       3        200   SH        DEFINED    4           --          --      200
XM SATELLITE RADIO HOLDINGS IN EQUITY    983759101     310     21,135   SH         SOLE      1       21,135          --       --
X-RITE INC                     EQUITY    983857103     175     15,921   SH         SOLE      1       15,921          --       --
XTO ENERGY INC                 EQUITY    98385X106    7053    159,326   SH         SOLE      1      159,326          --       --
XTO ENERGY INC                 EQUITY    98385X106    9055    204,551   SH         SOLE      2      204,551          --       --
XYRATEX LTD                    EQUITY    G98268108     421     15,900   SH         SOLE      2       15,900          --       --
YAHOO! INC                     EQUITY    984332106      22        675   SH        DEFINED    4           --          --      675
YAHOO! INC                     CORP BOND 984332AB2    1956  1,200,000  PRN         SOLE      1    1,200,000          --       --
YAHOO! INC                     EQUITY    984332106   22694    687,695   SH         SOLE      1      687,695          --       --
YAHOO! INC                     EQUITY    984332106   26280    796,355   SH         SOLE      2      796,355          --       --
YAMANA GOLD INC                EQUITY    98462Y100    5653    575,060   SH         OTHER     1           --     575,060       --
YANKEE CANDLE CO INC           EQUITY    984757104     759     30,329   SH         SOLE      1       30,329          --       --
YARDVILLE NATIONAL BANCORP     EQUITY    985021104     260      7,274   SH         SOLE      1        7,274          --       --
YOUNG INNOVATIONS INC          EQUITY    987520103     128      3,626   SH         SOLE      1        3,626          --       --
YRC WORLDWIDE INC              EQUITY    984249102       4        100   SH        DEFINED    4           --          --      100
YRC WORLDWIDE INC              EQUITY    984249102    2737     65,000   SH         SOLE      2       65,000          --       --
YRC WORLDWIDE INC              EQUITY    984249102    5270    125,151   SH         SOLE      1      125,151          --       --
YUM! BRANDS INC                EQUITY    988498101       6        114   SH        DEFINED    4           --          --      114
YUM! BRANDS INC                EQUITY    988498101      17        337   SH         SOLE      2          337          --       --
YUM! BRANDS INC                EQUITY    988498101    8194    163,008   SH         SOLE      1      163,008          --       --
ZALE CORP                      EQUITY    988858106     861     35,734   SH         SOLE      1       35,734          --       --
ZARLINK SEMICONDUCTOR INC      EQUITY    989139100      15      6,677   SH        DEFINED    4           --          --    6,677
ZEBRA TECHNOLOGIES CORP        EQUITY    989207105    5233    153,195   SH         SOLE      1      153,195          --       --
ZENITH NATIONAL INSURANCE CORP EQUITY    989390109    1093     27,555   SH         SOLE      1       27,555          --       --
ZHONE TECHNOLOGIES INC         EQUITY    98950P108     169     82,746   SH         SOLE      1       82,746          --       --
ZIMMER HOLDINGS INC            EQUITY    98956P102      21        374   SH        DEFINED    4           --          --      374
ZIMMER HOLDINGS INC            EQUITY    98956P102    1294     22,808   SH         SOLE      2       22,808          --       --
ZIMMER HOLDINGS INC            EQUITY    98956P102    7344    129,473   SH         SOLE      1      129,473          --       --
ZIONS BANCORPORATION           EQUITY    989701107      10        132   SH         SOLE      2          132          --       --
ZIONS BANCORPORATION           EQUITY    989701107    3913     50,206   SH         SOLE      1       50,206          --       --
ZOLL MEDICAL CORP              EQUITY    989922109     235      7,181   SH         SOLE      1        7,181          --       --
ZOLTEK COS INC                 EQUITY    98975W104     315     10,552   SH         SOLE      1       10,552          --       --
ZORAN CORP                     EQUITY    98975F101     890     36,566   SH         SOLE      1       36,566          --       --
ZUMIEZ INC                     EQUITY    989817101     404     10,757   SH         SOLE      1       10,757          --       --
ZYGO CORP                      EQUITY    989855101     221     13,473   SH         SOLE      1       13,473          --       --
ZYMOGENETICS INC               EQUITY    98985T109     531     27,986   SH         SOLE      1       27,986          --       --