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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: March 31, 2006


Check here if Amendment [X]; Amendment Number: 1


  This Amendment (Check only one.):      [X] 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        May 25, 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: 4,557


Form 13F Information Table Value Total: $20,513,458 (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 - 1Q 2006



                                                                                                           VOTING AUTHORITY
                                 TITLE OF     CUSIP     VALUE    SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
        ISSUER NAME                CLASS     NUMBER     X 1000  PRINCIPAL PRN CALL DISCRETION MGRS   SOLE (A)  SHARED (B) NONE (C)
-------------------------------- --------- ----------- ------- ---------- --- ---- ---------- ----- ---------- ---------- --------
                                                                                         
1-800 CONTACTS INC               EQUITY    681977 10 4      87      6,486 SH         SOLE       1        6,486
1-800-FLOWERS.COM INC            EQUITY    68243Q 10 6     137     19,291 SH         SOLE       1       19,291
1ST SOURCE CORP                  EQUITY    336901 10 3     267      8,913 SH         SOLE       1        8,913
21ST CENTURY INSURANCE GROUP     EQUITY    90130N 10 3     387     24,476 SH         SOLE       1       24,476
21ST CENTURY INSURANCE GROUP     EQUITY    90130N 10 3  844441 53,445,620 SH         SOLE       1   53,445,620
3COM CORP                        EQUITY    885535 10 4    5641  1,101,845 SH         SOLE       1    1,101,845
3D SYSTEMS CORP                  EQUITY    88554D 20 5     197      9,239 SH         SOLE       1        9,239
3M CO                            EQUITY    88579Y 10 1   51654    682,448 SH         SOLE       1      682,448
3M CO                            EQUITY    88579Y 10 1    3136     41,433 SH         SOLE       2       41,433
3M CO                            EQUITY    88579Y 10 1     189      2,495 SH       DEFINED      4                           2,495
3M COMPANY                       CORP BOND 88579Y AB 7    3212  3,650,000 PRN        SOLE       1    3,650,000
3M COMPANY                       CORP BOND 88579Y AB 7       4      4,000 PRN      DEFINED      4                           4,000
4KIDS ENTERTAINMENT INC          EQUITY    350865 10 1     174     10,135 SH         SOLE       1       10,135
99 CENTS ONLY STORES             EQUITY    65440K 10 6    1789    131,946 SH         SOLE       1      131,946
AAMES INVESTMENT CORP            EQUITY    00253G 10 8     178     31,340 SH         SOLE       1       31,340
AAON INC                         EQUITY    000360 20 6     160      6,675 SH         SOLE       1        6,675
AAR CORP                         EQUITY    000361 10 5    1016     35,666 SH         SOLE       1       35,666
AARON RENTS INC                  EQUITY    002535 20 1     805     29,638 SH         SOLE       1       29,638
AASTROM BIOSCIENCES INC          EQUITY    00253U 10 7     157     77,397 SH         SOLE       1       77,397
ABAXIS INC                       EQUITY    002567 10 5     341     15,050 SH         SOLE       1       15,050
ABBEY NATIONAL PLC               CORP BOND 002920 80 9   32683  1,276,200 PRN        SOLE       1    1,276,200
ABBEY NATIONAL PLC               CORP BOND 002920 80 9      10        400 PRN      DEFINED      4                             400
ABBOTT LABORATORIES              EQUITY    002824 10 0   47567  1,120,014 SH         SOLE       1    1,120,014
ABBOTT LABORATORIES              EQUITY    002824 10 0      23        530 SH       DEFINED      4                             530
ABBOTT LABS                      EQUITY    002824 10 0   13274    312,549 SH         SOLE       2      312,549
ABERCROMBIE & FITCH CO           EQUITY    002896 20 7   11258    193,106 SH         SOLE       1      193,106
ABERCROMBIE & FITCH CO           EQUITY    002896 20 7    2559     43,900 SH         SOLE       3       42,900
ABERCROMBIE AND FITCH CO         EQUITY    002896 20 7    4891     83,900 SH         SOLE       2       83,900
ABERDEEN ASIA-PACIFIC INCOME F   EQUITY    003009 10 7      12      2,000 SH       DEFINED      4                           2,000
ABGENIX INC                      EQUITY    00339B 10 7    8555    380,217 SH         SOLE       1      380,217
ABIOMED INC                      EQUITY    003654 10 0     186     14,457 SH         SOLE       1       14,457
ABM INDUSTRIES INC               EQUITY    000957 10 0     576     30,024 SH         SOLE       1       30,024
ABRAXIS BIOSCIENCE INC           EQUITY    02886P 10 9      14        500 SH         SOLE       1          500
ABX AIR INC                      EQUITY    00080S 10 1     302     44,309 SH         SOLE       1       44,309
AC MOORE ARTS & CRAFTS INC       EQUITY    00086T 10 3     203     11,026 SH         SOLE       1       11,026
ACADIA PHARMACEUTICALS INC       EQUITY    004225 10 8     198     12,412 SH         SOLE       1       12,412
ACADIA REALTY TRUST              EQUITY    004239 10 9     497     21,103 SH         SOLE       1       21,103
ACCENTURE LTD BERMUDA            EQUITY    G1150G 11 1    5825    193,700 SH         SOLE       2      193,700
ACCO BRANDS CORP                 EQUITY    00081T 10 8      22        986 SH         SOLE       1          986
ACCO BRANDS CORP                 EQUITY    00081T 10 8       1         25 SH       DEFINED      4                              25
ACCREDITED HOME LENDERS HOLDIN   EQUITY    00437P 10 7     685     13,381 SH         SOLE       1       13,381
ACCURIDE CORP                    EQUITY    004398 10 3      96      8,360 SH         SOLE       1        8,360
ACE CASH EXPRESS INC             EQUITY    004403 10 1     215      8,642 SH         SOLE       1        8,642
ACE LTD                          EQUITY    G0070K 10 3      21        398 SH         SOLE       2          398
ACE*COMM CORP                    EQUITY    004404 10 9       1        375 SH       DEFINED      4                             375
ACM INCOME FUND INC              EQUITY    000912 10 5     281     34,764 SH       DEFINED      4                          34,764
ACTEL CORP                       EQUITY    004934 10 5     305     19,142 SH         SOLE       1       19,142
ACTIVISION INC                   EQUITY    004930 20 2    8196    594,370 SH         SOLE       1      594,370
ACTIVISION INC NEW               EQUITY    004930 20 2      41      3,000 SH         SOLE       2        3,000
ACTUANT CORP                     EQUITY    00508X 20 3    1246     20,345 SH         SOLE       1       20,345
ACTUATE CORP                     EQUITY    00508B 10 2     111     26,100 SH         SOLE       2       26,100
ACUITY BRANDS INC                EQUITY    00508Y 10 2    1786     44,648 SH         SOLE       1       44,648
ACUITY BRANDS INC                EQUITY    00508Y 10 2     216      5,400 SH         SOLE       2        5,400
ACXIOM CORP                      EQUITY    005125 10 9    5865    226,960 SH         SOLE       1      226,960





                                                                                         
ADAMS RESPIRATORY THERAPEUTICS   EQUITY    00635P 10 7     256      6,438 SH         SOLE       1        6,438
ADAPTEC INC                      EQUITY    00651F 10 8     469     84,845 SH         SOLE       1       84,845
ADC TELECOMMUNICATIONS INC       EQUITY    000886 30 9    2193     85,717 SH         SOLE       1       85,717
ADC TELECOMMUNICATIONS INC       EQUITY    000886 30 9       4        145 SH         SOLE       2          145
ADE CORP                         EQUITY    00089C 10 7     234      7,658 SH         SOLE       1        7,658
ADESA INC                        EQUITY    00686U 10 4    5038    188,414 SH         SOLE       1      188,414
ADEZA BIOMEDICAL CORP            EQUITY    006864 10 2      67      3,179 SH         SOLE       1        3,179
ADMINISTAFF INC                  EQUITY    007094 10 5    2263     41,629 SH         SOLE       1       41,629
ADMINISTAFF INC                  EQUITY    007094 10 5     435      8,000 SH         SOLE       2        8,000
ADOBE SYS INC                    EQUITY    00724F 10 1    4695    134,441 SH         SOLE       2      134,441
ADOBE SYSTEMS INC                EQUITY    00724F 10 1   10371    296,741 SH         SOLE       1      296,741
ADOBE SYSTEMS INC                EQUITY    00724F 10 1       6        185 SH       DEFINED      4                             185
ADOLOR CORP                      EQUITY    00724X 10 2     978     41,085 SH         SOLE       1       41,085
ADTRAN INC                       EQUITY    00738A 10 6    5012    191,501 SH         SOLE       1      191,501
ADTRAN INC                       EQUITY    00738A 10 6    1463     55,900 SH         SOLE       2       55,900
ADVANCE AMERICA CASH ADVANCE C   EQUITY    00739W 10 7     746     51,903 SH         SOLE       1       51,903
ADVANCE AUTO PARTS INC           EQUITY    00751Y 10 6    9451    226,968 SH         SOLE       1      226,968
ADVANCED ANALOGIC TECHNOLOGIES   EQUITY    00752J 10 8      97      8,488 SH         SOLE       1        8,488
ADVANCED DIGITAL INFORMATION C   EQUITY    007525 10 8     426     48,535 SH         SOLE       1       48,535
ADVANCED ENERGY INDUSTRIES INC   EQUITY    007973 10 0     299     21,141 SH         SOLE       1       21,141
ADVANCED MEDICAL OPTICS INC      EQUITY    00763M 10 8    6524    139,887 SH         SOLE       1      139,887
ADVANCED MICRO DEVICES INC       EQUITY    007903 10 7    7380    222,566 SH         SOLE       1      222,566
ADVANCED MICRO DEVICES INC       EQUITY    007903 10 7     321      9,694 SH         SOLE       2        9,694
ADVANCED MICRO DEVICES INC       EQUITY    007903 10 7    2076     62,600 SH         SOLE       3       60,200
ADVANCED MICRO DEVICES INC       EQUITY    007903 10 7     654     19,734 SH       DEFINED      4                          19,734
ADVANTA CORP                     EQUITY    007942 20 4     532     14,442 SH         SOLE       1       14,442
ADVANTA CORP                     EQUITY    007942 20 4     324      8,800 SH         SOLE       2        8,800
ADVANTAGE ENERGY INCOME FUND     EQUITY    00762L 10 1       6        300 SH       DEFINED      4                             300
ADVENT SOFTWARE INC              EQUITY    007974 10 8    1416     49,818 SH         SOLE       1       49,818
ADVISORY BOARD CO/THE            EQUITY    00762W 10 7     814     14,602 SH         SOLE       1       14,602
ADVISORY BRD CO                  EQUITY    00762W 10 7     435      7,800 SH         SOLE       2        7,800
ADVO INC                         EQUITY    007585 10 2     761     23,776 SH         SOLE       1       23,776
AEROFLEX INC                     EQUITY    007768 10 4     779     56,737 SH         SOLE       1       56,737
AEROPOSTALE                      EQUITY    007865 10 8     202      6,700 SH         SOLE       2        6,700
AEROPOSTALE INC                  EQUITY    007865 10 8    4671    154,885 SH         SOLE       1      154,885
AES CORP                         EQUITY    00130H 10 5      14        811 SH         SOLE       2          811
AES CORP/THE                     EQUITY    00130H 10 5    8670    508,228 SH         SOLE       1      508,228
AETNA INC                        EQUITY    00817Y 10 8   31208    635,087 SH         SOLE       1      635,087
AETNA INC                        EQUITY    00817Y 10 8     654     13,301 SH         SOLE       2       13,301
AETNA INC                        EQUITY    00817Y 10 8      11        216 SH       DEFINED      4                             216
AFC ENTERPRISES                  EQUITY    00104Q 10 7     210     15,109 SH         SOLE       1       15,109
AFFILIATED COMPUTER SERVICES I   EQUITY    008190 10 0    3244     54,371 SH         SOLE       1       54,371
AFFILIATED COMPUTER SERVICES I   EQUITY    008190 10 0    2971     49,800 SH         SOLE       3       48,000
AFFILIATED COMPUTER SERVICES I   EQUITY    008190 10 0     191      3,200 SH       DEFINED      4                           3,200
AFFILIATED COMPUTER SVCS I       EQUITY    008190 10 0       9        145 SH         SOLE       2          145
AFFILIATED MANAGERS GROUP INC    EQUITY    008252 10 8      87        818 SH         SOLE       1          818
AFFILIATED MANAGERS GROUP INC    EQUITY    008252 10 8       1          9 SH       DEFINED      4                               9
AFFIRMATIVE INSURANCE HOLDINGS   EQUITY    008272 10 6      85      6,464 SH         SOLE       1        6,464
AFFORDABLE RESIDENTIAL COMMUNI   EQUITY    008273 10 4     208     19,767 SH         SOLE       1       19,767
AFFYMETRIX INC                   EQUITY    00826T 10 8    4654    141,320 SH         SOLE       1      141,320
AFLAC INC                        EQUITY    001055 10 2   16472    364,992 SH         SOLE       1      364,992
AFLAC INC                        EQUITY    001055 10 2     673     14,916 SH         SOLE       2       14,916
AFTERMARKET TECHNOLOGY CORP      EQUITY    008318 10 7     366     16,202 SH         SOLE       1       16,202
AG EDWARDS INC                   EQUITY    281760 10 8    7950    159,440 SH         SOLE       1      159,440
AGCO CORP                        EQUITY    001084 10 2    5319    256,459 SH         SOLE       1      256,459
AGERE SYSTEMS INC                EQUITY    00845V 30 8      66      4,412 SH         SOLE       1        4,412
AGERE SYSTEMS INC                EQUITY    00845V 30 8       7        469 SH       DEFINED      4                             469
AGILE SOFTWARE CORP              EQUITY    00846X 10 5     309     40,513 SH         SOLE       1       40,513
AGILENT TECHNOLOGIES INC         EQUITY    00846U 10 1    7437    198,044 SH         SOLE       1      198,044





                                                                                         
AGILENT TECHNOLOGIES INC         EQUITY    00846U 10 1    6118    162,930 SH         SOLE       2      162,930
AGILENT TECHNOLOGIES INC         EQUITY    00846U 10 1    1908     50,800 SH         SOLE       3       48,700
AGILENT TECHNOLOGIES INC         EQUITY    00846U 10 1      14        381 SH       DEFINED      4                             381
AGILYSYS INC                     EQUITY    00847J 10 5    1073     71,231 SH         SOLE       1       71,231
AGL RESOURCES INC                EQUITY    001204 10 6    5907    163,843 SH         SOLE       1      163,843
AGREE REALTY CORP                EQUITY    008492 10 0     187      5,835 SH         SOLE       1        5,835
AIR PRODS + CHEMS INC            EQUITY    009158 10 6      18        275 SH         SOLE       2          275
AIR PRODUCTS & CHEMICALS INC     EQUITY    009158 10 6   36553    544,025 SH         SOLE       1      544,025
AIR PRODUCTS & CHEMICALS INC     EQUITY    009158 10 6     219      3,263 SH       DEFINED      4                           3,263
AIRGAS INC                       EQUITY    009363 10 2    5530    141,476 SH         SOLE       1      141,476
AIRGAS INC                       EQUITY    009363 10 2      33        850 SH       DEFINED      4                             850
AIRSPAN NETWORKS INC             EQUITY    00950H 10 2     196     29,049 SH         SOLE       1       29,049
AIRTRAN HOLDINGS INC             EQUITY    00949P 10 8    4553    251,411 SH         SOLE       1      251,411
AK STEEL HOLDING CORP            EQUITY    001547 10 8    1252     83,472 SH         SOLE       1       83,472
AKAMAI TECHNOLOGIES INC          EQUITY    00971T 10 1     219      6,669 SH         SOLE       1        6,669
AKAMAI TECHNOLOGIES INC          EQUITY    00971T 10 1     605     18,400 SH         SOLE       2       18,400
AKAMAI TECHNOLOGIES INC          EQUITY    00971T 10 1    4733    143,900 SH         SOLE       3      138,000
ALABAMA NATIONAL BANCORPORATIO   EQUITY    010317 10 5     708     10,352 SH         SOLE       1       10,352
ALAMO GROUP INC                  EQUITY    011311 10 7     104      4,683 SH         SOLE       1        4,683
ALASKA AIR GROUP INC             EQUITY    011659 10 9    3353     94,593 SH         SOLE       1       94,593
ALASKA COMMUNICATIONS SYS        EQUITY    01167P 10 1    1491    122,900 SH         SOLE       2      122,900
ALASKA COMMUNICATIONS SYSTEMS    EQUITY    01167P 10 1     120      9,864 SH         SOLE       1        9,864
ALBANY INTERNATIONAL CORP        EQUITY    012348 10 8    1293     33,954 SH         SOLE       1       33,954
ALBANY MOLECULAR RESEARCH INC    EQUITY    012423 10 9     183     18,059 SH         SOLE       1       18,059
ALBEMARLE CORP                   EQUITY    012653 10 1    3647     80,411 SH         SOLE       1       80,411
ALBERTO CULVER CO                EQUITY    013068 10 1       4         93 SH         SOLE       2           93
ALBERTO-CULVER CO                EQUITY    013068 10 1    1555     35,164 SH         SOLE       1       35,164
ALBERTSONS INC                   EQUITY    013104 10 4      12        456 SH         SOLE       2          456
ALBERTSON'S INC                  EQUITY    013104 10 4   11778    458,816 SH         SOLE       1      458,816
ALCATEL SA                       EQUITY    013904 30 5    1695    110,064 SH         SOLE       1      110,064
ALCATEL SA                       EQUITY    013904 30 5    1292     83,900 SH         SOLE       3       83,900
ALCOA INC                        EQUITY    013817 10 1   11829    387,075 SH         SOLE       1      387,075
ALCOA INC                        EQUITY    013817 10 1    5528    180,878 SH         SOLE       2      180,878
ALCOA INC                        EQUITY    013817 10 1      42      1,380 SH       DEFINED      4                           1,380
ALDERWOODS GROUP INC             EQUITY    014383 10 3     546     30,487 SH         SOLE       1       30,487
ALERIS INTERNATIONAL INC         EQUITY    014477 10 3    1125     23,400 SH         SOLE       1       23,400
ALEXANDER & BALDWIN INC          EQUITY    014482 10 3    4436     93,030 SH         SOLE       1       93,030
ALEXANDER'S INC                  EQUITY    014752 10 9     423      1,462 SH         SOLE       1        1,462
ALEXANDRIA REAL ESTATE EQUITIE   EQUITY    015271 10 9    1630     17,101 SH         SOLE       1       17,101
ALEXION PHARMACEUTICALS INC      EQUITY    015351 10 9     827     23,337 SH         SOLE       1       23,337
ALFA CORP                        EQUITY    015385 10 7     424     24,722 SH         SOLE       1       24,722
ALICO INC                        EQUITY    016230 10 4     132      2,898 SH         SOLE       1        2,898
ALIGN TECHNOLOGY INC             EQUITY    016255 10 1     429     46,736 SH         SOLE       1       46,736
ALKERMES INC                     EQUITY    01642T 10 8    2500    113,389 SH         SOLE       1      113,389
ALLEGHANY CORP                   EQUITY    017175 10 0      44        151 SH         SOLE       1          151
ALLEGHENY ENERGY INC             EQUITY    017361 10 6    2585     76,371 SH         SOLE       1       76,371
ALLEGHENY ENERGY INC             EQUITY    017361 10 6       7        202 SH         SOLE       2          202
ALLEGHENY TECHNOLOGIES INC       EQUITY    01741R 10 2    2454     40,103 SH         SOLE       1       40,103
ALLEGHENY TECHNOLOGIES INC       EQUITY    01741R 10 2     698     11,407 SH         SOLE       2       11,407
ALLERGAN INC                     EQUITY    018490 10 2    7539     69,483 SH         SOLE       1       69,483
ALLERGAN INC                     EQUITY    018490 10 2      20        187 SH         SOLE       2          187
ALLETE INC                       EQUITY    018522 30 0     898     19,278 SH         SOLE       1       19,278
ALLETE INC                       EQUITY    018522 30 0      43        920 SH       DEFINED      4                             920
ALLIANCE ALL-MARKET ADVANTAGE    EQUITY    01852M 10 8     331     22,043 SH       DEFINED      4                          22,043
ALLIANCE DATA SYSTEMS CORP       EQUITY    018581 10 8    6573    140,535 SH         SOLE       1      140,535
ALLIANCE DATA SYSTEMS CORP       EQUITY    018581 10 8   13713    293,200 SH         SOLE       2      293,200
ALLIANCE DATA SYSTEMS CORP       EQUITY    018581 10 8    1562     33,400 SH         SOLE       3       32,200
ALLIANCE IMAGING INC             EQUITY    018606 20 2      67     10,452 SH         SOLE       1       10,452
ALLIANCE ONE INTERNATIONAL INC   EQUITY    018772 10 3     320     65,847 SH         SOLE       1       65,847





                                                                                         
ALLIANCE WORLD DOLLAR GOVERNME   EQUITY    01879R 10 6      10        800 SH       DEFINED      4                             800
ALLIANCEBERNSTEIN HOLDING LP     EQUITY    01881G 10 6     159      2,405 SH       DEFINED      4                           2,405
ALLIANT ENERGY CORP              EQUITY    018802 10 8    7765    246,731 SH         SOLE       1      246,731
ALLIANT TECHSYSTEMS INC          EQUITY    018804 10 4    5916     76,663 SH         SOLE       1       76,663
ALLIANT TECHSYSTEMS INC          EQUITY    018804 10 4    4862     63,000 SH         SOLE       2       63,000
ALLIED CAPITAL CORP              EQUITY    01903Q 10 8     124      4,060 SH         SOLE       1        4,060
ALLIED HEALTHCARE INTERNATIONA   EQUITY    01923A 10 9     112     23,112 SH         SOLE       1       23,112
ALLIED WASTE INDUSTRIES IN       EQUITY    019589 30 8       3        271 SH         SOLE       2          271
ALLIED WASTE INDUSTRIES INC      EQUITY    019589 30 8    1248    101,977 SH         SOLE       1      101,977
ALLION HEALTHCARE INC            EQUITY    019615 10 3      50      3,659 SH         SOLE       1        3,659
ALLION HEALTHCARE INC            EQUITY    019615 10 3    1671    123,200 SH         SOLE       2      123,200
ALLOS THERAPEUTICS               EQUITY    019777 10 1      29      8,294 SH         SOLE       1        8,294
ALLOY INC                        EQUITY    019855 30 3      93      6,954 SH         SOLE       1        6,954
ALLSCRIPTS HEALTHCARE SOLUTION   EQUITY    01988P 10 8     532     29,036 SH         SOLE       1       29,036
ALLSCRIPTS HEATHCARE SOLUT       EQUITY    01988P 10 8    1578     86,200 SH         SOLE       2       86,200
ALLSTATE CORP                    EQUITY    020002 10 1    9015    172,997 SH         SOLE       2      172,997
ALLSTATE CORP/THE                EQUITY    020002 10 1   25151    482,656 SH         SOLE       1      482,656
ALLTEL CORP                      EQUITY    020039 10 3   10960    169,260 SH         SOLE       1      169,260
ALLTEL CORP                      EQUITY    020039 10 3      31        480 SH         SOLE       2          480
ALLTEL CORP                      EQUITY    020039 10 3      74      1,145 SH       DEFINED      4                           1,145
ALON USA ENERGY INC              EQUITY    020520 10 2     198      8,031 SH         SOLE       1        8,031
ALPHA NATURAL RESOURCES INC      EQUITY    02076X 10 2     519     22,423 SH         SOLE       1       22,423
ALPHARMA INC                     EQUITY    020813 10 1    2013     75,040 SH         SOLE       1       75,040
ALTERA CORP                      EQUITY    021441 10 0    6681    323,686 SH         SOLE       1      323,686
ALTERA CORP                      EQUITY    021441 10 0    4688    227,144 SH         SOLE       2      227,144
ALTIRIS INC                      EQUITY    02148M 10 0     368     16,740 SH         SOLE       1       16,740
ALTRIA GROUP INC                 EQUITY    02209S 10 3   87848  1,239,736 SH         SOLE       1    1,239,736
ALTRIA GROUP INC                 EQUITY    02209S 10 3   10816    152,640 SH         SOLE       2      152,640
ALTRIA GROUP INC                 EQUITY    02209S 10 3     106      1,500 SH       DEFINED      4                           1,500
ALZA CORP                        CORP BOND 02261W AB 5    2441  3,000,000 PRN        SOLE       1    3,000,000
ALZA CORP                        CORP BOND 02261W AB 5       2      3,000 PRN      DEFINED      4                           3,000
AM CASTLE & CO                   EQUITY    148411 10 1     235      7,977 SH         SOLE       1        7,977
AMAZON COM INC                   EQUITY    023135 10 6      14        381 SH         SOLE       2          381
AMAZON.COM INC                   EQUITY    023135 10 6    5518    151,041 SH         SOLE       1      151,041
AMB PROPERTY CORP                EQUITY    00163T 10 9    9999    184,254 SH         SOLE       1      184,254
AMBAC FINANCIAL GROUP INC        EQUITY    023139 10 8    3911     49,127 SH         SOLE       1       49,127
AMBAC FINANCIAL GROUP INC        EQUITY    023139 10 8      16        200 SH       DEFINED      4                             200
AMBAC FINL GROUP INC             EQUITY    023139 10 8      10        130 SH         SOLE       2          130
AMBASSADORS GROUP INC            EQUITY    023177 10 8     325     12,812 SH         SOLE       1       12,812
AMCOL INTERNATIONAL CORP         EQUITY    02341W 10 3    1349     46,824 SH         SOLE       1       46,824
AMCOL INTERNATIONAL CORP         EQUITY    02341W 10 3    2984    103,600 SH         SOLE       3      103,600
AMCOL INTL CORP                  EQUITY    02341W 10 3     219      7,600 SH         SOLE       2        7,600
AMCORE FINANCIAL INC             EQUITY    023912 10 8     509     16,101 SH         SOLE       1       16,101
AMDOCS LIMITED                   CORP BOND 02342T AD 1    2974  3,000,000 PRN        SOLE       1    3,000,000
AMDOCS LIMITED                   CORP BOND 02342T AD 1       1      1,000 PRN      DEFINED      4                           1,000
AMDOCS LTD                       EQUITY    G02602 10 3       7        200 SH       DEFINED      4                             200
AMEDISYS INC                     EQUITY    023436 10 8     409     11,763 SH         SOLE       1       11,763
AMERADA HESS CORP                EQUITY    023551 10 4    5296     37,192 SH         SOLE       1       37,192
AMERADA HESS CORP                EQUITY    023551 10 4    3517     24,699 SH         SOLE       2       24,699
AMERCO                           EQUITY    023586 10 0     327      3,300 SH         SOLE       2        3,300
AMERCO INC                       EQUITY    023586 10 0     772      7,801 SH         SOLE       1        7,801
AMEREN CORP                      EQUITY    023608 10 2   12366    248,205 SH         SOLE       1      248,205
AMEREN CORP                      EQUITY    023608 10 2      13        253 SH         SOLE       2          253
AMERICA MOVIL SA DE CV           EQUITY    02364W 10 5   12471    364,020 SH         SOLE       1      364,020
AMERICA SERVICE GROUP INC        EQUITY    02364L 10 9     108      8,267 SH         SOLE       1        8,267
AMERICAN AXLE & MANUFACTURING    EQUITY    024061 10 3     558     32,566 SH         SOLE       1       32,566
AMERICAN CAMPUS COMMUNITIES IN   EQUITY    024835 10 0     327     12,634 SH         SOLE       1       12,634
AMERICAN CAPITAL STRATEGIES LT   EQUITY    024937 10 4    2012     57,235 SH         SOLE       1       57,235
AMERICAN CAPITAL STRATEGIES LT   EQUITY    024937 10 4    1002     28,498 SH       DEFINED      4                          28,498





                                                                                         
AMERICAN DENTAL PARTNERS INC     EQUITY    025353 10 3     123      9,087 SH         SOLE       1        9,087
AMERICAN EAGLE OUTFITTERS        EQUITY    02553E 10 6    8383    280,733 SH         SOLE       1      280,733
AMERICAN ECOLOGY CORP            EQUITY    025533 40 7    1799     88,282 SH         SOLE       1       88,282
AMERICAN ECOLOGY CORP            EQUITY    025533 40 7    6950    341,021 SH         SOLE       3      341,021
AMERICAN ELEC PWR INC            EQUITY    025537 10 1      17        487 SH         SOLE       2          487
AMERICAN ELECTRIC POWER CO INC   EQUITY    025537 10 1   30400    893,585 SH         SOLE       1      893,585
AMERICAN ELECTRIC POWER CO INC   EQUITY    025537 10 1      26        756 SH       DEFINED      4                             756
AMERICAN EQUITY INVESTMENT LIF   EQUITY    025676 20 6    1242     86,633 SH         SOLE       1       86,633
AMERICAN EQUITY INVESTMENT LIF   EQUITY    025676 20 6    2553    178,000 SH         SOLE       3      178,000
AMERICAN EXPRESS                 CORP BOND 025816 AS 8       3      3,000 PRN      DEFINED      4                           3,000
AMERICAN EXPRESS CO              EQUITY    025816 10 9   54632  1,039,622 SH         SOLE       1    1,039,622
AMERICAN EXPRESS CO              EQUITY    025816 10 9   15545    295,809 SH         SOLE       2      295,809
AMERICAN EXPRESS CO              EQUITY    025816 10 9      17        320 SH       DEFINED      4                             320
AMERICAN FINANCIAL GROUP INC/O   EQUITY    025932 10 4    4108     98,730 SH         SOLE       1       98,730
AMERICAN FINANCIAL REALTY TRUS   EQUITY    02607P 30 5    6442    552,990 SH         SOLE       1      552,990
AMERICAN GREETINGS CORP          EQUITY    026375 10 5    3862    178,613 SH         SOLE       1      178,613
AMERICAN HOME MORTGAGE INVESTM   EQUITY    02660R 10 7   14933    478,477 SH         SOLE       1      478,477
AMERICAN INTERNATIONAL GROUP I   EQUITY    026874 10 7   72439  1,096,068 SH         SOLE       1    1,096,068
AMERICAN INTERNATIONAL GROUP I   EQUITY    026874 10 7      51        765 SH       DEFINED      4                             765
AMERICAN INTL GROUP INC          EQUITY    026874 10 7     212      3,208 SH         SOLE       2        3,208
AMERICAN ITALIAN PASTA CO        EQUITY    027070 10 1      88     14,018 SH         SOLE       1       14,018
AMERICAN MEDICAL SYSTEMS HOLDI   EQUITY    02744M 10 8    1182     52,512 SH         SOLE       1       52,512
AMERICAN NATIONAL INSURANCE      EQUITY    028591 10 5      27        241 SH         SOLE       1          241
AMERICAN PHYSICIANS CAPITAL IN   EQUITY    028884 10 4     269      5,600 SH         SOLE       1        5,600
AMERICAN POWER CONVERSION CORP   EQUITY    029066 10 7    2103     90,991 SH         SOLE       1       90,991
AMERICAN PWR CONVERSION CO       EQUITY    029066 10 7       5        212 SH         SOLE       2          212
AMERICAN RAILCAR INDUSTRIES IN   EQUITY    02916P 10 3     905     25,800 SH         SOLE       1       25,800
AMERICAN RAILCAR INDUSTRIES IN   EQUITY    02916P 10 3    3090     88,100 SH         SOLE       3       88,100
AMERICAN REPROGRAPHICS CO        EQUITY    029263 10 0     352     10,155 SH         SOLE       1       10,155
AMERICAN RETIREMENT CORP         EQUITY    028913 10 1     603     23,517 SH         SOLE       1       23,517
AMERICAN RETIREMENT CORP         EQUITY    028913 10 1     220      8,600 SH         SOLE       2        8,600
AMERICAN SCIENCE & ENGINEERING   EQUITY    029429 10 7     581      6,219 SH         SOLE       1        6,219
AMERICAN SCIENCE + ENGR IN       EQUITY    029429 10 7     252      2,700 SH         SOLE       2        2,700
AMERICAN STANDARD COS INC        EQUITY    029712 10 6    3532     82,410 SH         SOLE       1       82,410
AMERICAN STATES WATER CO         EQUITY    029899 10 1     476     12,753 SH         SOLE       1       12,753
AMERICAN STD COS INC DEL         EQUITY    029712 10 6       9        220 SH         SOLE       2          220
AMERICAN SUPERCONDUCTOR CORP     EQUITY    030111 10 8     276     24,290 SH         SOLE       1       24,290
AMERICAN TOWER CORP              EQUITY    029912 20 1     299      9,868 SH         SOLE       1        9,868
AMERICAN TOWER CORP              EQUITY    029912 20 1    1962     64,700 SH         SOLE       2       64,700
AMERICAN VANGUARD CORP           EQUITY    030371 10 8     261      8,530 SH         SOLE       1        8,530
AMERICAN WOODMARK CORP           EQUITY    030506 10 9     306      8,608 SH         SOLE       1        8,608
AMERICANWEST BANCORP             EQUITY    03058P 10 9     209      7,901 SH         SOLE       1        7,901
AMERICA'S CAR-MART INC           EQUITY    03062T 10 5     146      6,804 SH         SOLE       1        6,804
AMERICREDIT CORP                 EQUITY    03060R 10 1    8340    271,383 SH         SOLE       1      271,383
AMERIGROUP CORP                  EQUITY    03073T 10 2      26      1,249 SH         SOLE       1        1,249
AMERIPRISE FINANCIAL INC         EQUITY    03076C 10 6   10679    236,998 SH         SOLE       1      236,998
AMERIPRISE FINL INC              EQUITY    03076C 10 6      14        310 SH         SOLE       2          310
AMERIS BANCORP                   EQUITY    03076K 10 8     210      9,014 SH         SOLE       1        9,014
AMERISOURCEBERGEN CORP           EQUITY    03073E 10 5   14439    299,131 SH         SOLE       1      299,131
AMERISOURCEBERGEN CORP           EQUITY    03073E 10 5      12        258 SH         SOLE       2          258
AMERISTAR CASINOS INC            EQUITY    03070Q 10 1     480     18,596 SH         SOLE       1       18,596
AMERON INTERNATIONAL CORP        EQUITY    030710 10 7     472      6,440 SH         SOLE       1        6,440
AMERUS GROUP CO                  EQUITY    03072M 10 8    4903     81,390 SH         SOLE       1       81,390
AMES NATIONAL CORP               EQUITY    031001 10 0     155      6,404 SH         SOLE       1        6,404
AMETEK INC                       EQUITY    031100 10 0    6668    148,300 SH         SOLE       1      148,300
AMETEK INC NEW                   EQUITY    031100 10 0   35379    786,900 SH         SOLE       2      786,900
AMGEN INC                        EQUITY    031162 10 0  105611  1,451,702 SH         SOLE       1    1,451,702
AMGEN INC                        EQUITY    031162 10 0   17251    237,125 SH         SOLE       2      237,125
AMGEN INC                        EQUITY    031162 10 0     755     10,381 SH       DEFINED      4                          10,381





                                                                                         
AMICAS INC                       EQUITY    001712 10 8     172     36,541 SH         SOLE       1       36,541
AMIS HLDGS INC                   EQUITY    031538 10 1    1477    163,000 SH         SOLE       2      163,000
AMIS HOLDINGS INC                EQUITY    031538 10 1     303     33,419 SH         SOLE       1       33,419
AMKOR TECHNOLOGY INC             EQUITY    031652 10 0     658     76,193 SH         SOLE       1       76,193
AMN HEALTHCARE SERVICES INC      EQUITY    001744 10 1     164      8,787 SH         SOLE       1        8,787
AMPHENOL CORP                    EQUITY    032095 10 1    9729    186,454 SH         SOLE       1      186,454
AMR CORP                         EQUITY    001765 10 6     437     16,143 SH         SOLE       1       16,143
AMSOUTH BANCORP                  EQUITY    032165 10 2   11839    437,671 SH         SOLE       1      437,671
AMSOUTH BANCORP                  EQUITY    032165 10 2     147      5,441 SH       DEFINED      4                           5,441
AMSOUTH BANCORPORATION           EQUITY    032165 10 2      12        427 SH         SOLE       2          427
AMSURG CORP                      EQUITY    03232P 40 5     509     22,432 SH         SOLE       1       22,432
AMYLIN PHARMACEUTICALS INC       EQUITY    032346 10 8    4405     89,998 SH         SOLE       1       89,998
ANADARKO PETE CORP               EQUITY    032511 10 7      29        285 SH         SOLE       2          285
ANADARKO PETROLEUM CORP          EQUITY    032511 10 7   10126    100,245 SH         SOLE       1      100,245
ANADARKO PETROLEUM CORP          EQUITY    032511 10 7      35        350 SH       DEFINED      4                             350
ANALOG DEVICES INC               EQUITY    032654 10 5   14975    391,086 SH         SOLE       1      391,086
ANALOG DEVICES INC               EQUITY    032654 10 5    8843    230,953 SH         SOLE       2      230,953
ANALOG DEVICES INC               EQUITY    032654 10 5       8        200 SH       DEFINED      4                             200
ANALOGIC CORP                    EQUITY    032657 20 7     690     10,423 SH         SOLE       1       10,423
ANAREN INC                       EQUITY    032744 10 4     256     13,170 SH         SOLE       1       13,170
ANAREN INC                       EQUITY    032744 10 4    1040     53,400 SH         SOLE       3       53,400
ANCHOR BANCORP WISCONSIN INC     EQUITY    032839 10 2     524     17,290 SH         SOLE       1       17,290
ANDERSONS INC                    EQUITY    034164 10 3     383      4,900 SH         SOLE       2        4,900
ANDERSONS INC/THE                EQUITY    034164 10 3     395      5,053 SH         SOLE       1        5,053
ANDREW CORP                      EQUITY    034425 10 8     914     74,456 SH         SOLE       1       74,456
ANDREW CORP                      EQUITY    034425 10 8       2        197 SH         SOLE       2          197
ANDRX CORP                       EQUITY    034553 10 7    1321     55,651 SH         SOLE       1       55,651
ANGELICA CORP                    EQUITY    034663 10 4     143      6,978 SH         SOLE       1        6,978
ANGIODYNAMICS INC                EQUITY    03475V 10 1      53      1,761 SH         SOLE       1        1,761
ANGIODYNAMICS INC                EQUITY    03475V 10 1     445     14,800 SH         SOLE       2       14,800
ANHEUSER BUSCH COS INC           EQUITY    035229 10 3    3173     74,185 SH         SOLE       2       74,185
ANHEUSER-BUSCH COS INC           EQUITY    035229 10 3   22201    519,080 SH         SOLE       1      519,080
ANHEUSER-BUSCH COS INC           EQUITY    035229 10 3      19        450 SH       DEFINED      4                             450
ANIXTER INTERNATIONAL INC        EQUITY    035290 10 5    1160     24,270 SH         SOLE       1       24,270
ANNALY MORTGAGE MANAGEMENT INC   EQUITY    035710 40 9      45      3,685 SH         SOLE       1        3,685
ANNTAYLOR STORES CORP            EQUITY    036115 10 3    5618    152,712 SH         SOLE       1      152,712
ANSOFT CORP                      EQUITY    036384 10 5     463     11,115 SH         SOLE       1       11,115
ANSOFT CORP                      EQUITY    036384 10 5     329      7,900 SH         SOLE       2        7,900
ANSYS INC                        EQUITY    03662Q 10 5    1774     32,759 SH         SOLE       1       32,759
ANSYS INC                        EQUITY    03662Q 10 5     330      6,100 SH         SOLE       2        6,100
ANTARES PHARMA INC               EQUITY    036642 10 6       3      2,000 SH       DEFINED      4                           2,000
ANTEON INTERNATIONAL CORP        EQUITY    03674E 10 8    4847     88,839 SH         SOLE       1       88,839
ANTHRACITE CAPITAL INC           EQUITY    037023 10 8    4386    399,474 SH         SOLE       1      399,474
ANTIGENICS INC                   EQUITY    037032 10 9      60     21,932 SH         SOLE       1       21,932
ANWORTH MORTGAGE ASSET CORP      EQUITY    037347 10 1     283     36,026 SH         SOLE       1       36,026
AO SMITH CORP                    EQUITY    831865 20 9    2053     38,874 SH         SOLE       1       38,874
AON CORP                         EQUITY    037389 10 3    6245    150,435 SH         SOLE       1      150,435
AON CORP                         EQUITY    037389 10 3      17        398 SH         SOLE       2          398
APACHE CORP                      EQUITY    037411 10 5   14466    220,828 SH         SOLE       1      220,828
APACHE CORP                      EQUITY    037411 10 5    5765     88,008 SH         SOLE       2       88,008
APACHE CORP                      EQUITY    037411 10 5     324      4,944 SH       DEFINED      4                           4,944
APARTMENT INVESTMENT & MANAGEM   EQUITY    03748R 10 1    2118     45,164 SH         SOLE       1       45,164
APARTMENT INVT + MGMT CO         EQUITY    03748R 10 1       6        119 SH         SOLE       2          119
APOGEE ENTERPRISES INC           EQUITY    037598 10 9     357     21,140 SH         SOLE       1       21,140
APOGEE ENTERPRISES INC           EQUITY    037598 10 9      13        781 SH       DEFINED      4                             781
APOLLO GROUP INC                 EQUITY    037604 10 5    6019    114,634 SH         SOLE       1      114,634
APOLLO GROUP INC                 EQUITY    037604 10 5       9        174 SH         SOLE       2          174
APOLLO INVESTMENT CORP           EQUITY    03761U 10 6     844     47,370 SH         SOLE       1       47,370
APPLE COMPUTER                   EQUITY    037833 10 0   13074    208,453 SH         SOLE       2      208,453





                                                                                         
APPLE COMPUTER INC               EQUITY    037833 10 0   37734    601,621 SH         SOLE       1      601,621
APPLE COMPUTER INC               EQUITY    037833 10 0     697     11,118 SH       DEFINED      4                          11,118
APPLEBEES INTERNATIONAL INC      EQUITY    037899 10 1    3834    156,162 SH         SOLE       1      156,162
APPLERA CORP - APPLIED BIOSYST   EQUITY    038020 10 3    2951    108,724 SH         SOLE       1      108,724
APPLERA CORP - CELERA GENOMICS   EQUITY    038020 20 2     655     56,072 SH         SOLE       1       56,072
APPLERA CORP APPLIED BIOSY       EQUITY    038020 10 3       6        227 SH         SOLE       2          227
APPLIED DIGITAL SOLUTIONS INC    EQUITY    038188 30 6     148     50,978 SH         SOLE       1       50,978
APPLIED FILMS CORP               EQUITY    038197 10 9     231     11,906 SH         SOLE       1       11,906
APPLIED FILMS CORP               EQUITY    038197 10 9    2363    121,600 SH         SOLE       2      121,600
APPLIED INDL TECHNOLOGIES        EQUITY    03820C 10 5     433      9,700 SH         SOLE       2        9,700
APPLIED INDUSTRIAL TECHNOLOGIE   EQUITY    03820C 10 5    2366     53,051 SH         SOLE       1       53,051
APPLIED MATERIALS INC            EQUITY    038222 10 5   47785  2,729,031 SH         SOLE       1    2,729,031
APPLIED MATERIALS INC            EQUITY    038222 10 5    6005    342,961 SH         SOLE       2      342,961
APPLIED MATERIALS INC            EQUITY    038222 10 5       5        300 SH       DEFINED      4                             300
APPLIED MICRO CIRCUITS COR       EQUITY    03822W 10 9       1        364 SH         SOLE       2          364
APPLIED MICRO CIRCUITS CORP      EQUITY    03822W 10 9    2446    600,862 SH         SOLE       1      600,862
APPLIED SIGNAL TECHNOLOGY INC    EQUITY    038237 10 3     171      8,638 SH         SOLE       1        8,638
APRIA HEALTHCARE GROUP INC       EQUITY    037933 10 8    3221    140,183 SH         SOLE       1      140,183
APTARGROUP INC                   EQUITY    038336 10 3      60      1,078 SH         SOLE       1        1,078
AQUA AMERICA INC                 EQUITY    03836W 10 3    9571    344,033 SH         SOLE       1      344,033
AQUANTIVE INC                    EQUITY    03839G 10 5    1014     43,077 SH         SOLE       1       43,077
AQUANTIVE INC                    EQUITY    03839G 10 5     278     11,800 SH         SOLE       2       11,800
AQUILA INC                       EQUITY    03840P 10 2    4225  1,058,939 SH         SOLE       1    1,058,939
AQUILA INC                       EQUITY    03840P 10 2       4        963 SH       DEFINED      4                             963
ARACRUZ CELULOSE SA              EQUITY    038496 20 4    2319     43,800 SH         SOLE       1       43,800
ARAMARK CORP                     EQUITY    038521 10 0      52      1,749 SH         SOLE       1        1,749
ARBINET-THEXCHANGE INC           EQUITY    03875P 10 0      37      5,020 SH         SOLE       1        5,020
ARBITRON INC                     EQUITY    03875Q 10 8    1907     56,389 SH         SOLE       1       56,389
ARBITRON INC                     EQUITY    03875Q 10 8       2         50 SH       DEFINED      4                              50
ARBOR REALTY TRUST INC           EQUITY    038923 10 8    2223     82,380 SH         SOLE       1       82,380
ARCH CHEMICALS INC               EQUITY    03937R 10 2     546     17,972 SH         SOLE       1       17,972
ARCH COAL INC                    EQUITY    039380 10 0   11352    149,493 SH         SOLE       1      149,493
ARCHER DANIELS MIDLAND CO        EQUITY    039483 10 2    7969    236,808 SH         SOLE       2      236,808
ARCHER-DANIELS-MIDLAND CO        EQUITY    039483 10 2   11937    354,735 SH         SOLE       1      354,735
ARCHER-DANIELS-MIDLAND CO        EQUITY    039483 10 2      45      1,342 SH       DEFINED      4                           1,342
ARCHSTONE SMITH TR               EQUITY    039583 10 9      13        264 SH         SOLE       2          264
ARCHSTONE-SMITH TRUST            EQUITY    039583 10 9    4868     99,825 SH         SOLE       1       99,825
ARCTIC CAT INC                   EQUITY    039670 10 4     460     19,128 SH         SOLE       1       19,128
ARDEN GROUP INC                  EQUITY    039762 10 9      94      1,007 SH         SOLE       1        1,007
ARDEN REALTY INC                 EQUITY    039793 10 4    6432    142,529 SH         SOLE       1      142,529
ARENA PHARMACEUTICALS INC        EQUITY    040047 10 2     616     34,011 SH         SOLE       1       34,011
ARES CAPITAL CORP                EQUITY    04010L 10 3     495     28,826 SH         SOLE       1       28,826
ARGON ST INC                     EQUITY    040149 10 6     245      7,294 SH         SOLE       1        7,294
ARGONAUT GROUP INC               EQUITY    040157 10 9     813     22,883 SH         SOLE       1       22,883
ARIAD PHARMACEUTICALS INC        EQUITY    04033A 10 0     303     45,990 SH         SOLE       1       45,990
ARIBA INC                        EQUITY    04033V 20 3     535     54,733 SH         SOLE       1       54,733
ARKANSAS BEST CORP               EQUITY    040790 10 7     828     21,178 SH         SOLE       1       21,178
ARMOR HLDGS INC                  EQUITY    042260 10 9     431      7,400 SH         SOLE       2        7,400
ARMOR HOLDINGS INC               EQUITY    042260 10 9    1531     26,262 SH         SOLE       1       26,262
ARQULE INC                       EQUITY    04269E 10 7     138     23,984 SH         SOLE       1       23,984
ARRAY BIOPHARMA INC              EQUITY    04269X 10 5     219     23,926 SH         SOLE       1       23,926
ARRIS GROUP INC                  EQUITY    04269Q 10 0    1087     79,005 SH         SOLE       1       79,005
ARRIS GROUP INC                  EQUITY    04269Q 10 0    2727    198,200 SH         SOLE       2      198,200
ARROW ELECTRONICS INC            EQUITY    042735 10 0    8383    259,775 SH         SOLE       1      259,775
ARROW FINANCIAL CORP             EQUITY    042744 10 2     220      8,025 SH         SOLE       1        8,025
ARROW INTERNATIONAL INC          EQUITY    042764 10 0     526     16,091 SH         SOLE       1       16,091
ARTESYN TECHNOLOGIES INC         EQUITY    043127 10 9     312     28,510 SH         SOLE       1       28,510
ARTHROCARE CORP                  EQUITY    043136 10 0    1188     24,834 SH         SOLE       1       24,834
ARTHUR J GALLAGHER & CO          EQUITY    363576 10 9   32906  1,183,227 SH         SOLE       1    1,183,227





                                                                                         
ARVINMERITOR INC                 EQUITY    043353 10 1    2973    199,410 SH         SOLE       1      199,410
ASBURY AUTOMOTIVE GROUP INC      EQUITY    043436 10 4     194      9,841 SH         SOLE       1        9,841
ASHFORD HOSPITALITY TRUST INC    EQUITY    044103 10 9     422     34,049 SH         SOLE       1       34,049
ASHLAND INC                      EQUITY    044209 10 4    2360     33,195 SH         SOLE       1       33,195
ASHLAND INC NEW                  EQUITY    044209 10 4       6         88 SH         SOLE       2           88
ASIAINFO HOLDINGS INC            EQUITY    04518A 10 4     140     28,034 SH         SOLE       1       28,034
ASPECT MEDICAL SYSTEMS INC       EQUITY    045235 10 8     339     12,363 SH         SOLE       1       12,363
ASPEN TECHNOLOGY INC             EQUITY    045327 10 3     413     32,616 SH         SOLE       1       32,616
ASPREVA PHARMACEUTICALS CORP     EQUITY    04538T 10 9     247      9,931 SH         SOLE       1        9,931
ASSET ACCEPTANCE CAPITAL CORP    EQUITY    04543P 10 0     132      6,794 SH         SOLE       1        6,794
ASSOCIATED BANC-CORP             EQUITY    045487 10 5    9730    286,352 SH         SOLE       1      286,352
ASSURANT INC                     EQUITY    04621X 10 8     164      3,325 SH         SOLE       1        3,325
ASTA FDG INC                     EQUITY    046220 10 9     216      6,500 SH         SOLE       2        6,500
ASTA FUNDING INC                 EQUITY    046220 10 9     261      7,860 SH         SOLE       1        7,860
ASTEC INDS INC                   EQUITY    046224 10 1    1623     45,200 SH         SOLE       2       45,200
ASTEC INDUSTRIES INC             EQUITY    046224 10 1     799     22,253 SH         SOLE       1       22,253
ASTEC INDUSTRIES INC             EQUITY    046224 10 1    2111     58,800 SH         SOLE       3       56,600
ASTORIA FINANCIAL CORP           EQUITY    046265 10 4    5639    182,125 SH         SOLE       1      182,125
ASV INC                          EQUITY    001963 10 7    1108     34,400 SH         SOLE       1       34,400
ASV INC                          EQUITY    001963 10 7    2272     70,500 SH         SOLE       3       70,500
ASYST TECHNOLOGIES INC           EQUITY    04648X 10 7     377     36,183 SH         SOLE       1       36,183
AT&T INC                         EQUITY    00206R 10 2   66257  2,450,329 SH         SOLE       1    2,450,329
AT&T INC                         EQUITY    00206R 10 2     206      7,619 SH       DEFINED      4                           7,619
AT+T INC                         EQUITY    00206R 10 2   21508    795,406 SH         SOLE       2      795,406
ATARI INC                        EQUITY    04651M 10 5      26     40,986 SH         SOLE       1       40,986
ATHEROGENICS INC                 EQUITY    047439 10 4     468     28,669 SH         SOLE       1       28,669
ATHEROGENICS INC                 EQUITY    047439 10 4       8        500 SH       DEFINED      4                             500
ATHEROS COMMUNICATIONS INC       EQUITY    04743P 10 8    1319     50,368 SH         SOLE       1       50,368
ATHEROS COMMUNICATIONS INC       EQUITY    04743P 10 8    1930     73,700 SH         SOLE       3       73,700
ATLAS AMERICA INC                EQUITY    049167 10 9     864     18,067 SH         SOLE       1       18,067
ATMEL CORP                       EQUITY    049513 10 4    5672  1,201,726 SH         SOLE       1    1,201,726
ATMI INC                         EQUITY    00207R 10 1     853     28,256 SH         SOLE       1       28,256
ATMOS ENERGY CORP                EQUITY    049560 10 5      64      2,429 SH         SOLE       1        2,429
ATP OIL & GAS CORP               EQUITY    00208J 10 8     607     13,814 SH         SOLE       1       13,814
ATWOOD OCEANICS INC              EQUITY    050095 10 8    1016     10,060 SH         SOLE       1       10,060
ATWOOD OCEANICS INC              EQUITY    050095 10 8     212      2,100 SH         SOLE       2        2,100
AU OPTRONICS CORP                EQUITY    002255 10 7    5489    368,141 SH         SOLE       1      368,141
AUDIBLE INC                      EQUITY    05069A 30 2     193     18,323 SH         SOLE       1       18,323
AUDIOVOX CORP                    EQUITY    050757 10 3     155     12,982 SH         SOLE       1       12,982
AUTOBYTEL INC                    EQUITY    05275N 10 6     153     31,760 SH         SOLE       1       31,760
AUTODESK INC                     EQUITY    052769 10 6    6714    174,301 SH         SOLE       1      174,301
AUTODESK INCORPORATED            EQUITY    052769 10 6      11        285 SH         SOLE       2          285
AUTOLIV INC                      EQUITY    052800 10 9     139      2,461 SH         SOLE       1        2,461
AUTOMATIC DATA PROCESSING        EQUITY    053015 10 3    1001     21,916 SH         SOLE       2       21,916
AUTOMATIC DATA PROCESSING INC    EQUITY    053015 10 3   19432    425,385 SH         SOLE       1      425,385
AUTONATION INC                   EQUITY    05329W 10 2    1826     84,737 SH         SOLE       1       84,737
AUTONATION INC DEL               EQUITY    05329W 10 2       5        224 SH         SOLE       2          224
AUTOZONE INC                     EQUITY    053332 10 2    4844     48,586 SH         SOLE       1       48,586
AUTOZONE INC                     EQUITY    053332 10 2       7         68 SH         SOLE       2           68
AVALON PHARMACEUTICALS INC       EQUITY    05346P 10 6     355     70,313 SH         SOLE       1       70,313
AVALONBAY COMMUNITIES INC        EQUITY    053484 10 1     242      2,216 SH         SOLE       1        2,216
AVANIR PHARMACEUTICALS           EQUITY    05348P 40 1     339     23,172 SH         SOLE       1       23,172
AVATAR HOLDINGS INC              EQUITY    053494 10 0     269      4,405 SH         SOLE       1        4,405
AVAYA INC                        EQUITY    053499 10 9    8383    741,843 SH         SOLE       1      741,843
AVAYA INC                        EQUITY    053499 10 9       6        515 SH         SOLE       2          515
AVAYA INC                        EQUITY    053499 10 9       1        104 SH       DEFINED      4                             104
AVERY DENNISON CORP              EQUITY    053611 10 9   12683    216,870 SH         SOLE       1      216,870
AVERY DENNISON CORP              EQUITY    053611 10 9    3316     56,700 SH         SOLE       2       56,700
AVI BIOPHARMA INC                EQUITY    002346 10 4       4        500 SH       DEFINED      4                             500





                                                                                         
AVIALL INC                       EQUITY    05366B 10 2     969     25,450 SH         SOLE       1       25,450
AVID TECHNOLOGY INC              EQUITY    05367P 10 0      45      1,027 SH         SOLE       1        1,027
AVISTA CORP                      EQUITY    05379B 10 7     848     41,082 SH         SOLE       1       41,082
AVNET INC                        EQUITY    053807 10 3    7805    307,532 SH         SOLE       1      307,532
AVOCENT CORP                     EQUITY    053893 10 3    4442    139,965 SH         SOLE       1      139,965
AVON PRODS INC                   EQUITY    054303 10 2    3475    111,479 SH         SOLE       2      111,479
AVON PRODUCTS INC                EQUITY    054303 10 2   26440    848,368 SH         SOLE       1      848,368
AVX CORP                         EQUITY    002444 10 7      26      1,492 SH         SOLE       1        1,492
AXA SA                           EQUITY    054536 10 7       2         58 SH       DEFINED      4                              58
AXCELIS TECHNOLOGIES INC         EQUITY    054540 10 9     446     76,188 SH         SOLE       1       76,188
AZTAR CORP                       EQUITY    054802 10 3    1112     26,487 SH         SOLE       1       26,487
BADGER METER INC                 EQUITY    056525 10 8     243      4,270 SH         SOLE       1        4,270
BADGER METER INC                 EQUITY    056525 10 8     997     17,500 SH         SOLE       3       17,500
BAKER HUGHES INC                 EQUITY    057224 10 7   10200    149,123 SH         SOLE       1      149,123
BAKER HUGHES INC                 EQUITY    057224 10 7     774     11,323 SH         SOLE       2       11,323
BAKER HUGHES INC                 EQUITY    057224 10 7     352      5,144 SH       DEFINED      4                           5,144
BALCHEM CORP                     EQUITY    057665 20 0     203      8,780 SH         SOLE       1        8,780
BALDOR ELECTRIC CO               EQUITY    057741 10 0     855     25,231 SH         SOLE       1       25,231
BALDWIN & LYONS INC              EQUITY    057755 20 9     152      5,710 SH         SOLE       1        5,710
BALL CORP                        EQUITY    058498 10 6    2127     48,533 SH         SOLE       1       48,533
BALL CORP                        EQUITY    058498 10 6       6        129 SH         SOLE       2          129
BALLY TECHNOLOGIES INC           EQUITY    05874B 10 7     660     38,856 SH         SOLE       1       38,856
BANC CORP/THE                    EQUITY    05944B 10 3     127     10,736 SH         SOLE       1       10,736
BANCFIRST CORP                   EQUITY    05945F 10 3     260      5,969 SH         SOLE       1        5,969
BANCOLOMBIA SA                   EQUITY    05968L 10 2    8675    248,560 SH         SOLE       1      248,560
BANCORP INC/WILMINGTON DE        EQUITY    05969A 10 5     193      7,863 SH         SOLE       1        7,863
BANCORPSOUTH INC                 EQUITY    059692 10 3    1429     59,525 SH         SOLE       1       59,525
BANCTRUST FINANCIAL GROUP INC    EQUITY    05978R 10 7     158      7,126 SH         SOLE       1        7,126
BANDAG INC                       EQUITY    059815 10 0    1372     32,759 SH         SOLE       1       32,759
BANK AMER CORP                   EQUITY    060505 10 4   42809    940,041 SH         SOLE       2      940,041
BANK MUTUAL CORP                 EQUITY    063750 10 3     515     43,505 SH         SOLE       1       43,505
BANK NEW YORK INC                EQUITY    064057 10 2    2997     83,153 SH         SOLE       2       83,153
BANK OF AMERICA CORP             EQUITY    060505 10 4  127871  2,807,891 SH         SOLE       1    2,807,891
BANK OF AMERICA CORP             EQUITY    060505 10 4     319      7,004 SH       DEFINED      4                           7,004
BANK OF GRANITE CORP             EQUITY    062401 10 4     203     10,037 SH         SOLE       1       10,037
BANK OF HAWAII CORP              EQUITY    062540 10 9    6208    116,450 SH         SOLE       1      116,450
BANK OF MONTREAL                 EQUITY    063671 10 1    7902    139,000 SH        OTHER       1                 139,000
BANK OF NEW YORK CO INC/THE      EQUITY    064057 10 2   52687  1,461,892 SH         SOLE       1    1,461,892
BANK OF NOVA SCOTIA              EQUITY    064149 10 7    8944    218,300 SH        OTHER       1                 218,300
BANK OF NOVA SCOTIA              EQUITY    064149 10 7       3         85 SH       DEFINED      4                              85
BANK OF THE OZARKS INC           EQUITY    063904 10 6     315      8,634 SH         SOLE       1        8,634
BANKATLANTIC BANCORP INC         EQUITY    065908 50 1     479     33,300 SH         SOLE       1       33,300
BANKFINANCIAL CORP               EQUITY    06643P 10 4     296     18,604 SH         SOLE       1       18,604
BANKRATE INC                     EQUITY    06646V 10 8     314      7,209 SH         SOLE       1        7,209
BANKUNITED FINANCIAL CORP        EQUITY    06652B 10 3     632     23,360 SH         SOLE       1       23,360
BANNER CORP                      EQUITY    06652V 10 9     271      7,969 SH         SOLE       1        7,969
BANTA CORP                       EQUITY    066821 10 9    3590     69,065 SH         SOLE       1       69,065
BARCLAYS PLC                     EQUITY    06738E 20 4    1642     35,085 SH       DEFINED      4                          35,085
BARD C R INC                     EQUITY    067383 10 9     639      9,429 SH         SOLE       2        9,429
BARNES & NOBLE INC               EQUITY    067774 10 9    5114    110,582 SH         SOLE       1      110,582
BARNES GROUP INC                 EQUITY    067806 10 9     622     15,354 SH         SOLE       1       15,354
BARR PHARMACEUTICALS INC         EQUITY    068306 10 9    5502     87,362 SH         SOLE       1       87,362
BARR PHARMACEUTICALS INC         EQUITY    068306 10 9     827     13,131 SH         SOLE       2       13,131
BARRETT BILL CORP                EQUITY    06846N 10 4    5765    176,900 SH         SOLE       2      176,900
BARRICK GOLD CORP                EQUITY    067901 10 8     422     15,500 SH         SOLE       2       15,500
BARRIER THERAPEUTICS INC         EQUITY    06850R 10 8     108     11,137 SH         SOLE       1       11,137
BASIC ENERGY SVCS INC NEW        EQUITY    06985P 10 0    1994     66,900 SH         SOLE       2       66,900
BASSETT FURNITURE INDUSTRIES I   EQUITY    070203 10 4     157      7,874 SH         SOLE       1        7,874
BAUSCH & LOMB INC                EQUITY    071707 10 3    1582     24,840 SH         SOLE       1       24,840





                                                                                         
BAUSCH + LOMB INC                EQUITY    071707 10 3       4         66 SH         SOLE       2           66
BAXTER INTERNATIONAL INC         EQUITY    071813 10 9   14010    360,982 SH         SOLE       1      360,982
BAXTER INTERNATIONAL INC         EQUITY    071813 10 9      13        340 SH       DEFINED      4                             340
BAXTER INTL INC                  EQUITY    071813 10 9     574     14,802 SH         SOLE       2       14,802
BB&T CORP                        EQUITY    054937 10 7    9692    247,242 SH         SOLE       1      247,242
BB+T CORP                        EQUITY    054937 10 7      26        662 SH         SOLE       2          662
BCE INC                          EQUITY    05534B 10 9    7583    312,500 SH        OTHER       1                 312,500
BE AEROSPACE INC                 EQUITY    073302 10 1    1393     55,457 SH         SOLE       1       55,457
BEA SYSTEMS INC                  EQUITY    073325 10 2     482     36,690 SH         SOLE       1       36,690
BEACON ROOFING SUPPLY INC        EQUITY    073685 10 9     555     13,651 SH         SOLE       1       13,651
BEAR STEARNS COS INC             EQUITY    073902 10 8   17497    126,148 SH         SOLE       2      126,148
BEAR STEARNS COS INC/THE         EQUITY    073902 10 8    7982     57,552 SH         SOLE       1       57,552
BEARINGPOINT INC                 EQUITY    074002 10 6    1185    139,521 SH         SOLE       1      139,521
BEARINGPOINT INC                 EQUITY    074002 10 6    2326    274,000 SH         SOLE       2      274,000
BEASLEY BROADCASTING GROUP INC   EQUITY    074014 10 1      68      5,640 SH         SOLE       1        5,640
BEAZER HOMES USA INC             EQUITY    07556Q 10 5    5680     86,458 SH         SOLE       1       86,458
BEBE STORES INC                  EQUITY    075571 10 9       8        461 SH         SOLE       1          461
BECKMAN COULTER INC              EQUITY    075811 10 9    7226    132,410 SH         SOLE       1      132,410
BECTON DICKINSON & CO            EQUITY    075887 10 9    6624    107,566 SH         SOLE       1      107,566
BECTON DICKINSON + CO            EQUITY    075887 10 9      19        306 SH         SOLE       2          306
BED BATH & BEYOND INC            EQUITY    075896 10 0    5890    153,387 SH         SOLE       1      153,387
BED BATH + BEYOND INC            EQUITY    075896 10 0    7693    200,347 SH         SOLE       2      200,347
BEDFORD PROPERTY INVESTORS       EQUITY    076446 30 1    1794     66,613 SH         SOLE       1       66,613
BEL FUSE INC                     EQUITY    077347 30 0     306      8,728 SH         SOLE       1        8,728
BELDEN CDT INC                   EQUITY    077454 10 6     897     32,953 SH         SOLE       1       32,953
BELL MICROPRODUCTS INC           EQUITY    078137 10 6     136     22,029 SH         SOLE       1       22,029
BELLSOUTH CORP                   EQUITY    079860 10 2   46739  1,348,887 SH         SOLE       1    1,348,887
BELLSOUTH CORP                   EQUITY    079860 10 2    4886    141,022 SH         SOLE       2      141,022
BELO CORP                        EQUITY    080555 10 5    3825    192,414 SH         SOLE       1      192,414
BEMA GOLD CORP                   EQUITY    08135F 10 7    5566  1,258,900 SH        OTHER       1               1,258,900
BEMIS CO                         EQUITY    081437 10 5    1560     49,386 SH         SOLE       1       49,386
BEMIS CO INC                     EQUITY    081437 10 5    3590    113,686 SH         SOLE       2      113,686
BENCHMARK ELECTRONICS INC        EQUITY    08160H 10 1    1215     31,692 SH         SOLE       1       31,692
BENTLEY PHARMACEUTICALS INC      EQUITY    082657 10 7     182     13,878 SH         SOLE       1       13,878
BERKSHIRE HATHAWAY INC           EQUITY    084670 20 7      21          7 SH       DEFINED      4                               7
BERKSHIRE HILLS BANCORP INC      EQUITY    084680 10 7     205      5,859 SH         SOLE       1        5,859
BERRY PETROLEUM CO               EQUITY    085789 10 5     893     13,041 SH         SOLE       1       13,041
BEST BUY                         CORP BOND 086516 AF 8    1829  1,450,000 PRN        SOLE       1    1,450,000
BEST BUY                         CORP BOND 086516 AF 8       4      3,000 PRN      DEFINED      4                           3,000
BEST BUY CO INC                  EQUITY    086516 10 1   27507    491,817 SH         SOLE       1      491,817
BEST BUY CO INC                  EQUITY    086516 10 1      28        503 SH         SOLE       2          503
BEVERLY HILLS BANCORP INC        EQUITY    087866 10 9     111     10,438 SH         SOLE       1       10,438
BFC FINANCIAL CORP               EQUITY    055384 20 0     120     18,341 SH         SOLE       1       18,341
BIG 5 SPORTING GOODS CORP        EQUITY    08915P 10 1     302     15,447 SH         SOLE       1       15,447
BIG LOTS INC                     EQUITY    089302 10 3    1903    136,324 SH         SOLE       1      136,324
BIG LOTS INC                     EQUITY    089302 10 3       2        141 SH         SOLE       2          141
BILL BARRETT CORP                EQUITY    06846N 10 4     323      9,898 SH         SOLE       1        9,898
BIOENVISION INC                  EQUITY    09059N 10 0     219     30,745 SH         SOLE       1       30,745
BIOGEN IDEC INC                  EQUITY    09062X 10 3    9207    195,469 SH         SOLE       1      195,469
BIOGEN IDEC INC                  EQUITY    09062X 10 3    9968    211,625 SH         SOLE       2      211,625
BIOLASE TECHNOLOGY INC           EQUITY    090911 10 8    1869    195,700 SH         SOLE       3      195,700
BIOMARIN PHARMACEUTICAL IN       EQUITY    09061G 10 1     470     35,000 SH         SOLE       2       35,000
BIOMARIN PHARMACEUTICALS INC     EQUITY    09061G 10 1     747     55,696 SH         SOLE       1       55,696
BIOMED REALTY TRUST INC          EQUITY    09063H 10 7    1005     33,917 SH         SOLE       1       33,917
BIOMET INC                       EQUITY    090613 10 0    4765    134,145 SH         SOLE       1      134,145
BIOMET INC                       EQUITY    090613 10 0    3790    106,706 SH         SOLE       2      106,706
BIO-RAD LABORATORIES INC         EQUITY    090572 20 7     834     13,374 SH         SOLE       1       13,374
BIO-REFERENCE LABS INC           EQUITY    09057G 60 2     139      7,706 SH         SOLE       1        7,706
BIOSCRIP INC                     EQUITY    09069N 10 8     203     28,088 SH         SOLE       1       28,088





                                                                                         
BIOSITE INC                      EQUITY    090945 10 6     667     12,846 SH         SOLE       1       12,846
BIRCH MOUNTAIN RESOURCES LTD     EQUITY    09066X 10 9      31      4,140 SH       DEFINED      4                           4,140
BISYS GROUP INC/THE              EQUITY    055472 10 4    3423    253,942 SH         SOLE       1      253,942
BJ SERVICES CO                   EQUITY    055482 10 3    7861    227,207 SH         SOLE       1      227,207
BJ SERVICES CO                   EQUITY    055482 10 3       2         50 SH       DEFINED      4                              50
BJ SVCS CO                       EQUITY    055482 10 3      14        401 SH         SOLE       2          401
BJ'S RESTAURANTS INC             EQUITY    09180C 10 6     294     10,906 SH         SOLE       1       10,906
BJ'S WHOLESALE CLUB INC          EQUITY    05548J 10 6    4484    142,299 SH         SOLE       1      142,299
BKF CAPITAL GROUP INC            EQUITY    05548G 10 2      67      5,170 SH         SOLE       1        5,170
BLACK & DECKER CORP              EQUITY    091797 10 0    5253     60,454 SH         SOLE       1       60,454
BLACK & DECKER CORP              EQUITY    091797 10 0     855      9,845 SH       DEFINED      4                           9,845
BLACK + DECKER CORPORATION       EQUITY    091797 10 0       8         96 SH         SOLE       2           96
BLACK BOX CORP                   EQUITY    091826 10 7     615     12,805 SH         SOLE       1       12,805
BLACK HILLS CORP                 EQUITY    092113 10 9    3180     93,541 SH         SOLE       1       93,541
BLACKBAUD INC                    EQUITY    09227Q 10 0     166      7,837 SH         SOLE       1        7,837
BLACKBOARD INC                   EQUITY    091935 50 2     393     13,824 SH         SOLE       1       13,824
BLACKROCK HIGH YIELD TRUST       EQUITY    09248N 10 2      33      4,000 SH       DEFINED      4                           4,000
BLACKROCK INC/NEW YORK           EQUITY    09247X 10 1      68        483 SH         SOLE       1          483
BLACKROCK INCOME OPPORTUNITY T   EQUITY    092475 10 2      23      2,197 SH       DEFINED      4                           2,197
BLACKROCK INCOME TRUST INC       EQUITY    09247F 10 0      19      3,000 SH       DEFINED      4                           3,000
BLACKROCK INSURED MUNICIPAL TE   EQUITY    092474 10 5      21      1,950 SH       DEFINED      4                           1,950
BLACKROCK MUNICIPAL INCOME TRU   EQUITY    09249N 10 1      22      1,300 SH       DEFINED      4                           1,300
BLACKROCK MUNICIPAL TARGET TER   EQUITY    09247M 10 5      20      2,000 SH       DEFINED      4                           2,000
BLAIR CORP                       EQUITY    092828 10 2     121      2,932 SH         SOLE       1        2,932
BLOCK H + R INC                  EQUITY    093671 10 5       9        405 SH         SOLE       2          405
BLOCKBUSTER INC                  EQUITY    093679 10 8     575    144,774 SH         SOLE       1      144,774
BLOUNT INTERNATIONAL INC         EQUITY    095180 10 5     365     22,669 SH         SOLE       1       22,669
BLOUT INTL INC NEW               EQUITY    095180 10 5    6550    406,600 SH         SOLE       2      406,600
BLUE CHIP VALUE FUND INC         EQUITY    095333 10 0     216     37,531 SH       DEFINED      4                          37,531
BLUE COAT SYSTEMS INC            EQUITY    09534T 50 8     260     11,953 SH         SOLE       1       11,953
BLUE NILE INC                    EQUITY    09578R 10 3     396     11,256 SH         SOLE       1       11,256
BLUEGREEN CORP                   EQUITY    096231 10 5     208     15,759 SH         SOLE       1       15,759
BLUELINX HLDGS INC               EQUITY    09624H 10 9    3552    222,000 SH         SOLE       2      222,000
BLUELINX HOLDINGS INC            EQUITY    09624H 10 9     118      7,368 SH         SOLE       1        7,368
BLYTH INC                        EQUITY    09643P 10 8    1587     75,496 SH         SOLE       1       75,496
BMC SOFTWARE INC                 EQUITY    055921 10 0    3055    141,057 SH         SOLE       1      141,057
BMC SOFTWARE INC                 EQUITY    055921 10 0       6        263 SH         SOLE       2          263
BOB EVANS FARMS INC              EQUITY    096761 10 1    3009    101,290 SH         SOLE       1      101,290
BOEING CO                        EQUITY    097023 10 5   30870    396,119 SH         SOLE       1      396,119
BOEING CO                        EQUITY    097023 10 5   20682    265,389 SH         SOLE       2      265,389
BOEING CO                        EQUITY    097023 10 5     192      2,466 SH       DEFINED      4                           2,466
BOIS D'ARC ENERGY INC            EQUITY    09738U 10 3     171     10,243 SH         SOLE       1       10,243
BOK FINANCIAL CORP               EQUITY    05561Q 20 1      33        691 SH         SOLE       1          691
BOMBAY CO INC/THE                EQUITY    097924 10 4      90     27,241 SH         SOLE       1       27,241
BON-TON STORES INC/THE           EQUITY    09776J 10 1     157      4,868 SH         SOLE       1        4,868
BOOKHAM INC                      EQUITY    09856E 10 5     652     68,300 SH         SOLE       1       68,300
BOOKHAM INC                      EQUITY    09856E 10 5    2993    313,700 SH         SOLE       3      313,700
BOOKHAM INC                      EQUITY    09856E 10 5       2        200 SH       DEFINED      4                             200
BORDERS GROUP INC                EQUITY    099709 10 7    3547    140,529 SH         SOLE       1      140,529
BORGWARNER INC                   EQUITY    099724 10 6    7224    120,314 SH         SOLE       1      120,314
BORLAND SOFTWARE CORP            EQUITY    099849 10 1     327     60,499 SH         SOLE       1       60,499
BOSTON BEER CO INC               EQUITY    100557 10 7     191      7,345 SH         SOLE       1        7,345
BOSTON PRIVATE FINANCIAL HOLDI   EQUITY    101119 10 5     882     26,100 SH         SOLE       1       26,100
BOSTON PROPERTIES INC            EQUITY    101121 10 1    3991     42,796 SH         SOLE       1       42,796
BOSTON SCIENTIFIC CORP           EQUITY    101137 10 7    6743    292,551 SH         SOLE       1      292,551
BOSTON SCIENTIFIC CORP           EQUITY    101137 10 7     386     16,731 SH         SOLE       2       16,731
BOSTON SCIENTIFIC CORP           EQUITY    101137 10 7      15        650 SH       DEFINED      4                             650
BOTTOMLINE TECHNOLOGIES DE       EQUITY    101388 10 6    2393    174,300 SH         SOLE       2      174,300
BOTTOMLINE TECHNOLOGIES INC      EQUITY    101388 10 6     166     12,112 SH         SOLE       1       12,112





                                                                                         
BOULDER GROWTH & INCOME FUND I   EQUITY    101507 10 1      65      8,400 SH         SOLE       1        8,400
BOWATER INC                      EQUITY    102183 10 0    4689    158,523 SH         SOLE       1      158,523
BOWNE & CO INC                   EQUITY    103043 10 5     433     25,999 SH         SOLE       1       25,999
BOYD GAMING CORP                 EQUITY    103304 10 1    4581     91,731 SH         SOLE       1       91,731
BOYD GAMING CORP                 EQUITY    103304 10 1    9479    189,800 SH         SOLE       2      189,800
BOYKIN LODGING CO                EQUITY    103430 10 4     151     13,333 SH         SOLE       1       13,333
BP PLC                           EQUITY    055622 10 4     101      1,461 SH       DEFINED      4                           1,461
BP PRUDHOE BAY ROYALTY TRUST     EQUITY    055630 10 7      25        359 SH       DEFINED      4                             359
BRADY CORP                       EQUITY    104674 10 6    1174     31,345 SH         SOLE       1       31,345
BRADY CORP                       EQUITY    104674 10 6     438     11,700 SH         SOLE       2       11,700
BRADY CORP                       EQUITY    104674 10 6      16        426 SH       DEFINED      4                             426
BRANDYWINE REALTY TRUST          EQUITY    105368 20 3    2104     66,259 SH         SOLE       1       66,259
BRE PROPERTIES INC               EQUITY    05564E 10 6      86      1,544 SH         SOLE       1        1,544
BRIGGS & STRATTON CORP           EQUITY    109043 10 9    1388     39,232 SH         SOLE       1       39,232
BRIGHAM EXPLORATION CO           EQUITY    109178 10 3     180     20,579 SH         SOLE       1       20,579
BRIGHAM EXPLORATION CO           EQUITY    109178 10 3       9      1,000 SH       DEFINED      4                           1,000
BRIGHT HORIZONS FAMILY SOLUTIO   EQUITY    109195 10 7     798     20,593 SH         SOLE       1       20,593
BRIGHTPOINT INC                  EQUITY    109473 40 5    1631     52,511 SH         SOLE       1       52,511
BRIGHTPOINT INC                  EQUITY    109473 40 5     433     13,950 SH         SOLE       2       13,950
BRIGHTPOINT INC                  EQUITY    109473 40 5     863     27,788 SH       DEFINED      4                          27,788
BRINKER INTERNATIONAL INC        EQUITY    109641 10 0    7604    179,966 SH         SOLE       1      179,966
BRINK'S CO/THE                   EQUITY    109696 10 4    6257    123,270 SH         SOLE       1      123,270
BRISTOL MYERS SQUIBB CO          EQUITY    110122 10 8     648     26,322 SH         SOLE       2       26,322
BRISTOL WEST HOLDINGS INC        EQUITY    11037M 10 5     254     13,196 SH         SOLE       1       13,196
BRISTOL-MYERS SQUIBB CO          EQUITY    110122 10 8   38074  1,547,102 SH         SOLE       1    1,547,102
BRISTOL-MYERS SQUIBB CO          EQUITY    110122 10 8      54      2,200 SH       DEFINED      4                           2,200
BRISTOW GROUP INC                EQUITY    110394 10 3     548     17,729 SH         SOLE       1       17,729
BROADBAND HOLDRS TRUST           EQUITY    11130P 10 4       4        200 SH       DEFINED      4                             200
BROADCOM CORP                    EQUITY    111320 10 7   11225    260,072 SH         SOLE       1      260,072
BROADCOM CORP                    EQUITY    111320 10 7    1750     40,544 SH         SOLE       2       40,544
BROADWING CORP                   EQUITY    11161E 10 1     730     49,557 SH         SOLE       1       49,557
BROCADE COMMUNICATIONS           CORP BOND 111621 AB 4       4      4,000 PRN      DEFINED      4                           4,000
BROCADE COMMUNICATIONS SYSTEMS   EQUITY    111621 10 8    1364    204,181 SH         SOLE       1      204,181
BRONCO DRILLING CO INC           EQUITY    112211 10 7     128      4,861 SH         SOLE       1        4,861
BROOKDALE SENIOR LIVING INC      EQUITY    112463 10 4     319      8,439 SH         SOLE       1        8,439
BROOKFIELD HOMES CORP            EQUITY    112723 10 1     578     11,144 SH         SOLE       1       11,144
BROOKLINE BANCORP INC            EQUITY    11373M 10 7     727     46,907 SH         SOLE       1       46,907
BROOKS AUTOMATION INC            EQUITY    114340 10 2     804     56,466 SH         SOLE       1       56,466
BROWN & BROWN INC                EQUITY    115236 10 1    7745    233,271 SH         SOLE       1      233,271
BROWN FORMAN CORP                EQUITY    115637 20 9       8        103 SH         SOLE       2          103
BROWN SHOE CO INC                EQUITY    115736 10 0     981     18,687 SH         SOLE       1       18,687
BROWN-FORMAN CORP                EQUITY    115637 20 9    2901     37,695 SH         SOLE       1       37,695
BRUKER BIOSCIENCES CORP          EQUITY    116794 10 8     154     28,438 SH         SOLE       1       28,438
BRUNSWICK CORP                   EQUITY    117043 10 9    1716     44,164 SH         SOLE       1       44,164
BRUNSWICK CORP                   EQUITY    117043 10 9       5        117 SH         SOLE       2          117
BRUSH ENGINEERED MATERIALS INC   EQUITY    117421 10 7     289     14,621 SH         SOLE       1       14,621
BUCKEYE PARTNERS LP              EQUITY    118230 10 1      18        432 SH       DEFINED      4                             432
BUCKEYE TECHNOLOGIES INC         EQUITY    118255 10 8     212     23,402 SH         SOLE       1       23,402
BUCKLE INC/THE                   EQUITY    118440 10 6     240      5,862 SH         SOLE       1        5,862
BUCYRUS INTERNATIONAL INC        EQUITY    118759 10 9    2310     47,933 SH         SOLE       1       47,933
BUCYRUS INTL INC NEW             EQUITY    118759 10 9     318      6,600 SH         SOLE       2        6,600
BUFFALO WILD WINGS INC           EQUITY    119848 10 9     219      5,260 SH         SOLE       1        5,260
BUILD-A-BEAR WORKSHOP INC        EQUITY    120076 10 4     223      7,269 SH         SOLE       1        7,269
BUILDERS FIRSTSOURCE INC         EQUITY    12008R 10 7     211      9,313 SH         SOLE       1        9,313
BUILDING MATERIAL HOLDING CORP   EQUITY    120113 10 5    3312     57,160 SH         SOLE       1       57,160
BURLINGTON COAT FACTORY WAREHO   EQUITY    121579 10 6    4296     94,524 SH         SOLE       1       94,524
BURLINGTON NORTHERN SANTA FE C   EQUITY    12189T 10 4   15427    185,131 SH         SOLE       1      185,131
BURLINGTON NORTHERN SANTA FE C   EQUITY    12189T 10 4    1367     16,400 SH         SOLE       3       16,400
BURLINGTON NORTHERN SANTA FE C   EQUITY    12189T 10 4     873     10,480 SH       DEFINED      4                          10,480





                                                                                         
BURLINGTON NORTHN SANTA FE       EQUITY    12189T 10 4     647      7,761 SH         SOLE       2        7,761
BURLINGTON RES INC               EQUITY    122014 10 3      43        465 SH         SOLE       2          465
BURLINGTON RESOURCES INC         EQUITY    122014 10 3   30555    332,445 SH         SOLE       1      332,445
C&D TECHNOLOGIES INC             EQUITY    124661 10 9     178     19,273 SH         SOLE       1       19,273
CA INC                           CORP BOND 204912 AQ 2     730    525,000 PRN        SOLE       1      525,000
CA INC                           EQUITY    12673P 10 5    5839    214,597 SH         SOLE       1      214,597
CA INC                           EQUITY    12673P 10 5      15        564 SH         SOLE       2          564
CA INC                           CORP BOND 204912 AQ 2       1      1,000 PRN      DEFINED      4                           1,000
CABELA'S INC                     EQUITY    126804 30 1     481     23,433 SH         SOLE       1       23,433
CABLEVISION SYSTEMS CORP         EQUITY    12686C 10 9     130      4,879 SH         SOLE       1        4,879
CABOT CORP                       EQUITY    127055 10 1    4524    133,084 SH         SOLE       1      133,084
CABOT MICROELECTRONICS COR       EQUITY    12709P 10 3    5732    154,500 SH         SOLE       2      154,500
CABOT MICROELECTRONICS CORP      EQUITY    12709P 10 3    2570     69,278 SH         SOLE       1       69,278
CABOT OIL & GAS CORP             EQUITY    127097 10 3    1783     37,203 SH         SOLE       1       37,203
CACHE INC                        EQUITY    127150 30 8     172      9,375 SH         SOLE       1        9,375
CACI INTERNATIONAL INC           EQUITY    127190 30 4      48        731 SH         SOLE       1          731
CADENCE DESIGN SYSTEMS INC       EQUITY    127387 10 8   11347    613,695 SH         SOLE       1      613,695
CALAMOS ASSET MANAGEMENT INC     EQUITY    12811R 10 4     654     17,490 SH         SOLE       1       17,490
CALAMOS CONVERTIBLE AND HIGH I   EQUITY    12811P 10 8      99      6,074 SH       DEFINED      4                           6,074
CALGON CARBON CORP               EQUITY    129603 10 6     158     25,694 SH         SOLE       1       25,694
CALIFORNIA COASTAL COMMUNITIES   EQUITY    129915 20 3     221      5,964 SH         SOLE       1        5,964
CALIFORNIA PIZZA KITCHEN INC     EQUITY    13054D 10 9     476     14,679 SH         SOLE       1       14,679
CALIFORNIA WATER SERVICE GROUP   EQUITY    130788 10 2     592     13,132 SH         SOLE       1       13,132
CALIPER LIFE SCIENCES INC        EQUITY    130872 10 4     146     22,767 SH         SOLE       1       22,767
CALIPER LIFE SCIENCES INC        EQUITY    130872 10 4    1192    186,300 SH         SOLE       2      186,300
CALLAWAY GOLF CO                 EQUITY    131193 10 4    3342    194,316 SH         SOLE       1      194,316
CALLON PETROLEUM CO              EQUITY    13123X 10 2     217     10,344 SH         SOLE       1       10,344
CAMBREX CORP                     EQUITY    132011 10 7     392     20,071 SH         SOLE       1       20,071
CAMDEN NATIONAL CORP             EQUITY    133034 10 8     223      5,801 SH         SOLE       1        5,801
CAMDEN PROPERTY TRUST            EQUITY    133131 10 2     102      1,416 SH         SOLE       1        1,416
CAMECO CORP                      EQUITY    13321L 10 8      46      1,290 SH       DEFINED      4                           1,290
CAMERON INTERNATIONAL CORP       EQUITY    216640 10 2   59943  1,359,747 SH         SOLE       1    1,359,747
CAMERON INTL CORP                CORP BOND 216640 AE 2     481    350,000 PRN        SOLE       1      350,000
CAMPBELL SOUP CO                 EQUITY    134429 10 9   24908    768,750 SH         SOLE       1      768,750
CAMPBELL SOUP CO                 EQUITY    134429 10 9     872     26,928 SH         SOLE       2       26,928
CANADIAN IMPERIAL BANK OF COMM   EQUITY    136069 10 1    3773     51,200 SH        OTHER       1                  51,200
CANADIAN NATURAL RESOURCES LTD   EQUITY    136385 10 1    3614     65,000 SH        OTHER       1                  65,000
CANDELA CORP                     EQUITY    136907 10 2     371     17,173 SH         SOLE       1       17,173
CANON INC                        EQUITY    138006 30 9       7        100 SH       DEFINED      4                             100
CANTEL MEDICAL CORP              EQUITY    138098 10 8     140      8,566 SH         SOLE       1        8,566
CAPITAL CITY BANK GROUP INC      EQUITY    139674 10 5     331      9,303 SH         SOLE       1        9,303
CAPITAL CORP OF THE WEST         EQUITY    140065 20 2     259      7,062 SH         SOLE       1        7,062
CAPITAL CROSSING BANK            EQUITY    140071 10 1     128      4,010 SH         SOLE       1        4,010
CAPITAL LEASE FUNDING INC        EQUITY    140288 10 1     204     18,398 SH         SOLE       1       18,398
CAPITAL ONE FINANCIAL CORP       EQUITY    14040H 10 5   19862    246,677 SH         SOLE       1      246,677
CAPITAL ONE FINL CORP            EQUITY    14040H 10 5    9467    117,572 SH         SOLE       2      117,572
CAPITAL SOUTHWEST CORP           EQUITY    140501 10 7     200      2,099 SH         SOLE       1        2,099
CAPITAL TRUST INC/NY             EQUITY    14052H 50 6     284      9,115 SH         SOLE       1        9,115
CAPITALSOURCE INC                EQUITY    14055X 10 2      53      2,123 SH         SOLE       1        2,123
CAPITALSOURCE INC                EQUITY    14055X 10 2    5876    236,180 SH         SOLE       2      236,180
CAPITOL BANCORP LTD              EQUITY    14056D 10 5     467      9,988 SH         SOLE       1        9,988
CAPITOL FEDERAL FINANCIAL        EQUITY    14057C 10 6      21        662 SH         SOLE       1          662
CARACO PHARMACEUTICAL LABORATO   EQUITY    14075T 10 7      95      7,294 SH         SOLE       1        7,294
CARAUSTAR INDUSTRIES INC         EQUITY    140909 10 2     225     21,872 SH         SOLE       1       21,872
CARBO CERAMICS INC               EQUITY    140781 10 5     844     14,831 SH         SOLE       1       14,831
CARDINAL FINANCIAL CORP          EQUITY    14149F 10 9     250     18,481 SH         SOLE       1       18,481
CARDINAL HEALTH INC              EQUITY    14149Y 10 8   18873    253,262 SH         SOLE       1      253,262
CARDINAL HEALTH INC              EQUITY    14149Y 10 8     665      8,922 SH         SOLE       2        8,922
CAREER EDUCATION CORP            EQUITY    141665 10 9    7776    206,108 SH         SOLE       1      206,108





                                                                                         
CAREER EDUCATION CORP            EQUITY    141665 10 9     144      3,815 SH       DEFINED      4                           3,815
CAREMARK RX INC                  EQUITY    141705 10 3   25012    508,588 SH         SOLE       1      508,588
CAREMARK RX INC                  EQUITY    141705 10 3     976     19,855 SH         SOLE       2       19,855
CAREMARK RX INC                  EQUITY    141705 10 3    1417     28,821 SH       DEFINED      4                          28,821
CARLISLE COS INC                 EQUITY    142339 10 0    5051     61,750 SH         SOLE       1       61,750
CARMAX INC                       EQUITY    143130 10 2    7188    219,948 SH         SOLE       1      219,948
CARMIKE CINEMAS INC              EQUITY    143436 40 0     226      9,360 SH         SOLE       1        9,360
CARNIVAL CORP                    CORP BOND 143658 AN 2    3201  2,600,000 PRN        SOLE       1    2,600,000
CARNIVAL CORP                    EQUITY    143658 30 0   22667    478,507 SH         SOLE       1      478,507
CARNIVAL CORP                    EQUITY    143658 30 0    2793     58,966 SH         SOLE       2       58,966
CARNIVAL CORP                    EQUITY    143658 30 0      95      2,000 SH       DEFINED      4                           2,000
CARPENTER TECHNOLOGY CORP        EQUITY    144285 10 3    1768     18,704 SH         SOLE       1       18,704
CARRAMERICA REALTY CORP          EQUITY    144418 10 0      79      1,777 SH         SOLE       1        1,777
CARRAMERICA REALTY CORP          EQUITY    144418 10 0       4        100 SH       DEFINED      4                             100
CARRIZO OIL & GAS INC            EQUITY    144577 10 3     394     15,172 SH         SOLE       1       15,172
CARTER'S INC                     EQUITY    146229 10 9     944     13,982 SH         SOLE       1       13,982
CASCADE BANCORP                  EQUITY    147154 10 8     378     12,805 SH         SOLE       1       12,805
CASCADE CORP                     EQUITY    147195 10 1     491      9,298 SH         SOLE       1        9,298
CASCADE NATURAL GAS CORP         EQUITY    147339 10 5     170      8,648 SH         SOLE       1        8,648
CASELLA WASTE SYSTEMS INC        EQUITY    147448 10 4     209     14,699 SH         SOLE       1       14,699
CASEY'S GENERAL STORES INC       EQUITY    147528 10 3     873     38,155 SH         SOLE       1       38,155
CASH AMERICA INTERNATIONAL INC   EQUITY    14754D 10 0     669     22,277 SH         SOLE       1       22,277
CASUAL MALE RETAIL GROUP INC     EQUITY    148711 10 4     192     19,755 SH         SOLE       1       19,755
CATALINA MARKETING CORP          EQUITY    148867 10 4    2754    119,220 SH         SOLE       1      119,220
CATAPULT COMMUNICATIONS CORP     EQUITY    149016 10 7      99      7,455 SH         SOLE       1        7,455
CATERPILLAR INC                  EQUITY    149123 10 1   24927    347,119 SH         SOLE       1      347,119
CATERPILLAR INC                  EQUITY    149123 10 1    1051     14,629 SH         SOLE       2       14,629
CATERPILLAR INC                  EQUITY    149123 10 1       4         60 SH       DEFINED      4                              60
CATHAY GENERAL BANCORP           EQUITY    149150 10 4    5220    138,683 SH         SOLE       1      138,683
CATO CORP/THE                    EQUITY    149205 10 6     554     23,232 SH         SOLE       1       23,232
CB RICHARD ELLIS GROUP INC       EQUITY    12497T 10 1     366      4,532 SH         SOLE       1        4,532
CBEYOND COMMUNICATIONS INC       EQUITY    149847 10 5      82      4,668 SH         SOLE       1        4,668
CBIZ INC                         EQUITY    124805 10 2     370     46,243 SH         SOLE       1       46,243
CBL & ASSOCIATES PROPERTIES IN   EQUITY    124830 10 0      57      1,347 SH         SOLE       1        1,347
CBOT HOLDINGS INC                EQUITY    14984K 10 6      11         93 SH         SOLE       1           93
CBRL GROUP INC                   EQUITY    12489V 10 6    4369     99,503 SH         SOLE       1       99,503
CBRL GROUP INC                   EQUITY    12489V 10 6      64      1,452 SH       DEFINED      4                           1,452
CBS CORP                         EQUITY    124857 20 2    8084    337,135 SH         SOLE       1      337,135
CBS CORP CLASS B                 EQUITY    124857 20 2      23        955 SH         SOLE       2          955
C-COR INC                        EQUITY    125010 10 8     317     36,296 SH         SOLE       1       36,296
CDI CORP                         EQUITY    125071 10 0     274      9,512 SH         SOLE       1        9,512
CDW CORP                         EQUITY    12512N 10 5    8620    146,477 SH         SOLE       1      146,477
CEC ENTERTAINMENT INC            EQUITY    125137 10 9     898     26,715 SH         SOLE       1       26,715
CEDAR FAIR -LP                   EQUITY    150185 10 6       5        180 SH       DEFINED      4                             180
CEDAR SHOPPING CENTERS INC       EQUITY    150602 20 9     310     19,553 SH         SOLE       1       19,553
CELANESE CORP                    EQUITY    150870 10 3      32      1,503 SH         SOLE       1        1,503
CELGENE CORP                     EQUITY    151020 10 4    1282     28,986 SH         SOLE       1       28,986
CELL GENESYS INC                 EQUITY    150921 10 4     276     34,525 SH         SOLE       1       34,525
CELL THERAPEUTICS INC            EQUITY    150934 10 7     104     54,637 SH         SOLE       1       54,637
CEMEX SA DE CV                   EQUITY    151290 88 9    9926    152,050 SH         SOLE       1      152,050
CEMEX SA DE CV                   EQUITY    151290 88 9     803     12,305 SH       DEFINED      4                          12,305
CENDANT CORP                     EQUITY    151313 10 3    8278    477,116 SH         SOLE       1      477,116
CENDANT CORP                     EQUITY    151313 10 3      22      1,246 SH         SOLE       2        1,246
CENTENE CORP                     EQUITY    15135B 10 1     928     31,803 SH         SOLE       1       31,803
CENTENE CORP DEL                 EQUITY    15135B 10 1     951     32,600 SH         SOLE       2       32,600
CENTENNIAL BANK HOLDINGS INC     EQUITY    151345 30 3     544     46,481 SH         SOLE       1       46,481
CENTENNIAL COMMUNICATIONS CORP   EQUITY    15133V 20 8     123     16,753 SH         SOLE       1       16,753
CENTER FINANCIAL CORP            EQUITY    15146E 10 2     205      8,479 SH         SOLE       1        8,479
CENTERPOINT ENERGY INC           CORP BOND 15189T AM 9    1435  1,300,000 PRN        SOLE       1    1,300,000





                                                                                         
CENTERPOINT ENERGY INC           EQUITY    15189T 10 7    3929    329,369 SH         SOLE       1      329,369
CENTERPOINT ENERGY INC           EQUITY    15189T 10 7       5        383 SH         SOLE       2          383
CENTEX CORP                      EQUITY    152312 10 4    3525     56,857 SH         SOLE       1       56,857
CENTEX CORP                      EQUITY    152312 10 4       9        152 SH         SOLE       2          152
CENTEX CORP                      EQUITY    152312 10 4      31        501 SH       DEFINED      4                             501
CENTRACORE PROPERTIES TRUST      EQUITY    15235H 10 7     209      8,363 SH         SOLE       1        8,363
CENTRAL EUROPEAN DISTRIBUTION    EQUITY    153435 10 2     567     14,755 SH         SOLE       1       14,755
CENTRAL GARDEN AND PET CO        EQUITY    153527 10 6     780     14,669 SH         SOLE       1       14,669
CENTRAL PACIFIC FINANCIAL CORP   EQUITY    154760 10 2    1380     37,582 SH         SOLE       1       37,582
CENTRAL PARKING CORP             EQUITY    154785 10 9     214     13,387 SH         SOLE       1       13,387
CENTRAL VERMONT PUBLIC SERVICE   EQUITY    155771 10 8     198      9,313 SH         SOLE       1        9,313
CENTURY ALUMINUM CO              EQUITY    156431 10 8     733     17,258 SH         SOLE       1       17,258
CENTURYTEL INC                   EQUITY    156700 10 6    2401     61,381 SH         SOLE       1       61,381
CENTURYTEL INC                   EQUITY    156700 10 6       6        162 SH         SOLE       2          162
CENTURYTEL INC                   EQUITY    156700 10 6       7        175 SH       DEFINED      4                             175
CENVEO INC                       EQUITY    15670S 10 5     666     40,188 SH         SOLE       1       40,188
CEPHALON INC                     EQUITY    156708 10 9    7580    125,817 SH         SOLE       1      125,817
CEPHALON INC                     EQUITY    156708 10 9     584      9,700 SH         SOLE       2        9,700
CEPHEID INC                      EQUITY    15670R 10 7     296     32,286 SH         SOLE       1       32,286
CERADYNE INC                     EQUITY    156710 10 5    1000     20,041 SH         SOLE       1       20,041
CERADYNE INC                     EQUITY    156710 10 5     686     13,748 SH       DEFINED      4                          13,748
CERADYNE INC CALIF               EQUITY    156710 10 5     304      6,100 SH         SOLE       2        6,100
CERES GROUP INC                  EQUITY    156772 10 5     145     26,281 SH         SOLE       1       26,281
CERIDIAN CORP                    EQUITY    156779 10 0    7773    305,419 SH         SOLE       1      305,419
CERNER CORP                      EQUITY    156782 10 4      69      1,460 SH         SOLE       1        1,460
CF INDUSTRIES HOLDINGS INC       EQUITY    125269 10 0     728     42,867 SH         SOLE       1       42,867
CH ENERGY GROUP INC              EQUITY    12541M 10 2     575     11,986 SH         SOLE       1       11,986
CH ROBINSON WORLDWIDE INC        EQUITY    12541W 20 9   19416    395,511 SH         SOLE       1      395,511
CHAMPION ENTERPRISES INC         EQUITY    158496 10 9     861     57,558 SH         SOLE       1       57,558
CHAPARRAL STEEL CO               EQUITY    159423 10 2    1853     28,546 SH         SOLE       1       28,546
CHARLES & COLVARD LTD            EQUITY    159765 10 6     126     11,608 SH         SOLE       1       11,608
CHARLES RIVER LABORATORIES INT   EQUITY    159864 10 7    7450    151,980 SH         SOLE       1      151,980
CHARLES SCHWAB CORP/THE          EQUITY    808513 10 5    7754    450,525 SH         SOLE       1      450,525
CHARLES SCHWAB CORP/THE          EQUITY    808513 10 5       1         75 SH       DEFINED      4                              75
CHARLOTTE RUSSE HOLDING INC      EQUITY    161048 10 3     243     11,359 SH         SOLE       1       11,359
CHARMING SHOPPES INC             EQUITY    161133 10 3    1355     91,109 SH         SOLE       1       91,109
CHARMING SHOPPES INC             EQUITY    161133 10 3       1         85 SH       DEFINED      4                              85
CHARTER COMMUN INC               CORP BOND 16117M AE 7    4734  7,000,000 PRN        SOLE       1    7,000,000
CHARTER COMMUNICATIONS INC       EQUITY    16117M 10 7    1853  1,699,816 SH         SOLE       1    1,699,816
CHARTER FINANCIAL CORP/GA        EQUITY    16122M 10 0     113      2,981 SH         SOLE       1        2,981
CHARTERMAC                       EQUITY    160908 10 9    2502    123,275 SH         SOLE       1      123,275
CHATTEM INC                      EQUITY    162456 10 7     509     13,524 SH         SOLE       1       13,524
CHECKFREE CORP                   EQUITY    162813 10 9    9932    196,667 SH         SOLE       1      196,667
CHECKPOINT SYSTEMS INC           EQUITY    162825 10 3     773     28,773 SH         SOLE       1       28,773
CHEESECAKE FACTORY/THE           EQUITY    163072 10 1    6198    165,506 SH         SOLE       1      165,506
CHEMED CORP                      EQUITY    16359R 10 3    1141     19,230 SH         SOLE       1       19,230
CHEMICAL FINANCIAL CORP          EQUITY    163731 10 2     619     19,156 SH         SOLE       1       19,156
CHEMTURA CORP                    EQUITY    163893 10 0    5938    504,078 SH         SOLE       1      504,078
CHENIERE ENERGY INC              EQUITY    16411R 20 8    1477     36,413 SH         SOLE       1       36,413
CHEROKEE INC                     EQUITY    16444H 10 2     215      5,334 SH         SOLE       1        5,334
CHEROKEE INC DEL NEW             EQUITY    16444H 10 2     221      5,500 SH         SOLE       2        5,500
CHESAPEAKE CORP                  EQUITY    165159 10 4     208     14,984 SH         SOLE       1       14,984
CHESAPEAKE ENERGY CORP           EQUITY    165167 10 7    5428    172,814 SH         SOLE       1      172,814
CHESAPEAKE ENERGY CORP           EQUITY    165167 10 7      15        462 SH         SOLE       2          462
CHESAPEAKE ENERGY CORP           EQUITY    165167 10 7       9        300 SH       DEFINED      4                             300
CHEVRON CORP                     EQUITY    166764 10 0   98015  1,690,747 SH         SOLE       1    1,690,747
CHEVRON CORP                     EQUITY    166764 10 0   13840    238,752 SH         SOLE       2      238,752
CHEVRON CORP                     EQUITY    166764 10 0      51        873 SH       DEFINED      4                             873
CHICAGO MERCANTILE EXCHANG       EQUITY    167760 10 7     671      1,500 SH         SOLE       2        1,500





                                                                                         
CHICAGO MERCANTILE EXCHANGE HO   EQUITY    167760 10 7     956      2,136 SH         SOLE       1        2,136
CHICO'S FAS INC                  EQUITY    168615 10 2   15561    382,902 SH         SOLE       1      382,902
CHICO'S FAS INC                  EQUITY    168615 10 2       9        230 SH       DEFINED      4                             230
CHILDRENS PLACE RETAIL STORES    EQUITY    168905 10 7     926     15,987 SH         SOLE       1       15,987
CHINA ENERGY SAVINGS TECHNOLOG   EQUITY    16938W 10 2       7      1,044 SH         SOLE       1        1,044
CHINA MOBILE HONG KONG LTD       EQUITY    16941M 10 9    9865    371,700 SH         SOLE       1      371,700
CHINA MOBILE HONG KONG LTD       EQUITY    16941M 10 9       1         20 SH       DEFINED      4                              20
CHINA PETROLEUM & CHEMICAL COR   EQUITY    16941R 10 8    6158    105,510 SH         SOLE       1      105,510
CHINA PETROLEUM & CHEMICAL COR   EQUITY    16941R 10 8       2         35 SH       DEFINED      4                              35
CHIQUITA BRANDS INTERNATIONAL    EQUITY    170032 80 9     532     31,712 SH         SOLE       1       31,712
CHIRON CORP                      EQUITY    170040 10 9    3076     67,149 SH         SOLE       1       67,149
CHIRON CORP                      EQUITY    170040 10 9       6        135 SH         SOLE       2          135
CHITTENDEN CORP                  EQUITY    170228 10 0    1998     68,985 SH         SOLE       1       68,985
CHOICE HOTELS INTERNATIONAL IN   EQUITY    169905 10 6    1064     23,245 SH         SOLE       1       23,245
CHOICEPOINT INC                  EQUITY    170388 10 2    8301    185,502 SH         SOLE       1      185,502
CHRISTOPHER & BANKS CORP         EQUITY    171046 10 5     632     27,211 SH         SOLE       1       27,211
CHUBB CORP                       EQUITY    171232 10 1   22889    239,827 SH         SOLE       1      239,827
CHUBB CORP                       EQUITY    171232 10 1    9844    103,147 SH         SOLE       2      103,147
CHURCH & DWIGHT CO INC           EQUITY    171340 10 2    4997    135,350 SH         SOLE       1      135,350
CHURCHILL DOWNS INC              EQUITY    171484 10 8     226      5,908 SH         SOLE       1        5,908
CIA ANONIMA NACIONAL TELEFONOS   EQUITY    204421 10 1     116      5,500 SH         SOLE       1        5,500
CIA DE BEBIDAS DAS AMERICAS      EQUITY    20441W 20 3    6990    162,700 SH         SOLE       1      162,700
CIA DE MINAS BUENAVENTURA SA     EQUITY    204448 10 4    3160    128,000 SH         SOLE       1      128,000
CIA VALE DO RIO DOCE             EQUITY    204412 20 9   15035    309,800 SH         SOLE       1      309,800
CIA VALE DO RIO DOCE             EQUITY    204412 20 9      15        300 SH       DEFINED      4                             300
CIBER INC                        EQUITY    17163B 10 2     258     40,444 SH         SOLE       1       40,444
CIENA CORP                       EQUITY    171779 10 1    3592    689,471 SH         SOLE       1      689,471
CIENA CORP                       EQUITY    171779 10 1       4        720 SH         SOLE       2          720
CIGNA CORP                       EQUITY    125509 10 9   13862    106,127 SH         SOLE       1      106,127
CIGNA CORP                       EQUITY    125509 10 9    2645     20,250 SH         SOLE       2       20,250
CIGNA CORP                       EQUITY    125509 10 9      38        291 SH       DEFINED      4                             291
CIMAREX ENERGY CO                EQUITY    171798 10 1    2674     61,809 SH         SOLE       1       61,809
CIMAREX ENERGY CO                EQUITY    171798 10 1      13        300 SH       DEFINED      4                             300
CINCINNATI BELL INC              EQUITY    171871 10 6    3153    697,477 SH         SOLE       1      697,477
CINCINNATI FINANCIAL CORP        EQUITY    172062 10 1    7318    173,941 SH         SOLE       1      173,941
CINCINNATI FINL CORP             EQUITY    172062 10 1       9        215 SH         SOLE       2          215
CINERGY CORP                     EQUITY    172474 10 8    4247     93,533 SH         SOLE       1       93,533
CINERGY CORP                     EQUITY    172474 10 8      11        247 SH         SOLE       2          247
CINTAS CORP                      EQUITY    172908 10 5    3233     75,848 SH         SOLE       1       75,848
CINTAS CORP                      EQUITY    172908 10 5       7        170 SH         SOLE       2          170
CIRCOR INTERNATIONAL INC         EQUITY    17273K 10 9     347     11,890 SH         SOLE       1       11,890
CIRCUIT CITY STORES INC          EQUITY    172737 10 8    2837    115,898 SH         SOLE       1      115,898
CIRCUIT CITY STORES INC          EQUITY    172737 10 8       5        188 SH         SOLE       2          188
CIRRUS LOGIC INC                 EQUITY    172755 10 0     850    100,203 SH         SOLE       1      100,203
CIRRUS LOGIC INC                 EQUITY    172755 10 0     227     26,800 SH         SOLE       2       26,800
CISCO SYS INC                    EQUITY    17275R 10 2   22838  1,053,902 SH         SOLE       2    1,053,902
CISCO SYSTEMS INC                EQUITY    17275R 10 2   88520  4,084,932 SH         SOLE       1    4,084,932
CISCO SYSTEMS INC                EQUITY    17275R 10 2    1207     55,700 SH         SOLE       3       55,700
CISCO SYSTEMS INC                EQUITY    17275R 10 2     128      5,928 SH       DEFINED      4                           5,928
CIT GROUP INC                    EQUITY    125581 10 8    4998     93,387 SH         SOLE       1       93,387
CIT GROUP INC                    EQUITY    125581 10 8      56      1,050 SH       DEFINED      4                           1,050
CIT GROUP INC NEW                EQUITY    125581 10 8      13        247 SH         SOLE       2          247
CITADEL BROADCASTING CORP        EQUITY    17285T 10 6     370     33,339 SH         SOLE       1       33,339
CITI TRENDS INC                  EQUITY    17306X 10 2     130      3,258 SH         SOLE       1        3,258
CITIGROUP INC                    EQUITY    172967 10 1  275371  5,830,411 SH         SOLE       1    5,830,411
CITIGROUP INC                    EQUITY    172967 10 1   11040    422,300 SH         SOLE       2      422,300
CITIGROUP INC                    EQUITY    172967 10 1     395      8,358 SH       DEFINED      4                           8,358
CITIZENS & NORTHERN CORP         EQUITY    172922 10 6     153      6,305 SH         SOLE       1        6,305
CITIZENS BANKING CORP            EQUITY    174420 10 9     881     32,830 SH         SOLE       1       32,830





                                                                                         
CITIZENS COMMUNICATIONS CO       EQUITY    17453B 10 1   15208  1,146,065 SH         SOLE       1    1,146,065
CITIZENS COMMUNICATIONS CO       EQUITY    17453B 10 1       5        406 SH         SOLE       2          406
CITIZENS INC/TX                  EQUITY    174740 10 0     132     25,646 SH         SOLE       1       25,646
CITRIX SYS INC                   EQUITY    177376 10 0       8        221 SH         SOLE       2          221
CITRIX SYSTEMS INC               EQUITY    177376 10 0    4564    120,413 SH         SOLE       1      120,413
CITRIX SYSTEMS INC               EQUITY    177376 10 0      15        400 SH       DEFINED      4                             400
CITY BANK/LYNNWOOD WA            EQUITY    17770A 10 9     275      5,913 SH         SOLE       1        5,913
CITY HOLDING CO                  EQUITY    177835 10 5     503     13,669 SH         SOLE       1       13,669
CITY NATIONAL CORP/BEVERLY HIL   EQUITY    178566 10 5    6723     87,556 SH         SOLE       1       87,556
CKE RESTAURANTS INC              EQUITY    12561E 10 5     781     44,870 SH         SOLE       1       44,870
CKX INC                          EQUITY    12562M 10 6       7        531 SH         SOLE       1          531
CLAIRE S STORES INC              EQUITY    179584 10 7     221      6,100 SH         SOLE       2        6,100
CLAIRE'S STORES INC              EQUITY    179584 10 7    7564    208,305 SH         SOLE       1      208,305
CLARCOR INC                      EQUITY    179895 10 7    1395     39,176 SH         SOLE       1       39,176
CLARCOR INC                      EQUITY    179895 10 7     324      9,100 SH         SOLE       2        9,100
CLARCOR INC                      EQUITY    179895 10 7      50      1,400 SH       DEFINED      4                           1,400
CLARK INC                        EQUITY    181457 10 2     145     12,299 SH         SOLE       1       12,299
CLAYTON WILLIAMS ENERGY INC      EQUITY    969490 10 1     175      4,278 SH         SOLE       1        4,278
CLEAN HARBORS INC                EQUITY    184496 10 7     427     14,406 SH         SOLE       1       14,406
CLEAR CHANNEL COMMUNICATIO       EQUITY    184502 10 2      19        639 SH         SOLE       2          639
CLEAR CHANNEL COMMUNICATIONS I   EQUITY    184502 10 2   33265  1,146,670 SH         SOLE       1    1,146,670
CLEAR CHANNEL OUTDOOR HOLDINGS   EQUITY    18451C 10 9      22        924 SH         SOLE       1          924
CLECO CORP                       EQUITY    12561W 10 5    1004     44,947 SH         SOLE       1       44,947
CLEVELAND-CLIFFS INC             EQUITY    185896 10 7    1449     16,634 SH         SOLE       1       16,634
CLICK COMMERCE INC               EQUITY    18681D 20 8     150      6,283 SH         SOLE       1        6,283
CLIFTON SAVINGS BANCORP INC      EQUITY    18712Q 10 3     109     10,214 SH         SOLE       1       10,214
CLOROX CO                        EQUITY    189054 10 9    4590     76,700 SH         SOLE       1       76,700
CLOROX CO                        EQUITY    189054 10 9    3751     62,671 SH         SOLE       2       62,671
CLOROX CO                        EQUITY    189054 10 9      16        275 SH       DEFINED      4                             275
CMGI INC                         EQUITY    125750 10 9     543    366,781 SH         SOLE       1      366,781
CMS ENERGY CORP                  EQUITY    125896 10 0    1337    103,230 SH         SOLE       1      103,230
CMS ENERGY CORP                  EQUITY    125896 10 0       4        273 SH         SOLE       2          273
CNA FINANCIAL CORP               EQUITY    126117 10 0      22        700 SH         SOLE       1          700
CNA SURETY CORP                  EQUITY    12612L 10 8     199     11,875 SH         SOLE       1       11,875
CNET NETWORKS INC                EQUITY    12613R 10 4    1398     98,411 SH         SOLE       1       98,411
CNS INC                          EQUITY    126136 10 0     232     10,764 SH         SOLE       1       10,764
COACH INC                        EQUITY    189754 10 4   11803    341,322 SH         SOLE       1      341,322
COACH INC                        EQUITY    189754 10 4   10176    294,274 SH         SOLE       2      294,274
COACH INC                        EQUITY    189754 10 4      18        510 SH       DEFINED      4                             510
COACHMEN INDUSTRIES INC          EQUITY    189873 10 2     123     10,793 SH         SOLE       1       10,793
COASTAL FINANCIAL CORP/SC        EQUITY    19046E 10 5     167     12,163 SH         SOLE       1       12,163
COBIZ INC                        EQUITY    190897 10 8     230     11,151 SH         SOLE       1       11,151
COCA COLA CO                     EQUITY    191216 10 0    3851     91,986 SH         SOLE       2       91,986
COCA COLA ENTERPRISES INC        EQUITY    191219 10 4       8        375 SH         SOLE       2          375
COCA-COLA BOTTLING CO CONSOLID   EQUITY    191098 10 2     163      3,537 SH         SOLE       1        3,537
COCA-COLA CO/THE                 EQUITY    191216 10 0   62479  1,492,210 SH         SOLE       1    1,492,210
COCA-COLA CO/THE                 EQUITY    191216 10 0     122      2,911 SH       DEFINED      4                           2,911
COCA-COLA ENTERPRISES INC        EQUITY    191219 10 4    2887    141,957 SH         SOLE       1      141,957
COEUR D'ALENE MINES CORP         EQUITY    192108 10 8    1939    295,618 SH         SOLE       1      295,618
COGENT COMMUNICATIONS GROUP IN   EQUITY    19239V 30 2      53      5,390 SH         SOLE       1        5,390
COGENT INC                       EQUITY    19239Y 10 8     334     18,194 SH         SOLE       1       18,194
COGENT INC                       EQUITY    19239Y 10 8    4847    264,300 SH         SOLE       2      264,300
COGNEX CORP                      EQUITY    192422 10 3     934     31,501 SH         SOLE       1       31,501
COGNIZANT TECHNOLOGY SOLUTIONS   EQUITY    192446 10 2   17819    299,536 SH         SOLE       1      299,536
COHEN & STEERS INC               EQUITY    19247A 10 0     156      6,377 SH         SOLE       1        6,377
COHEN & STEERS PREMIUM INCOME    EQUITY    19247V 10 4      33      1,450 SH       DEFINED      4                           1,450
COHEN & STEERS TOTAL RETURN RE   EQUITY    19247R 10 3      10        500 SH       DEFINED      4                             500
COHEN & STEERS WORLDWIDE REALT   EQUITY    19248J 10 0      86      4,100 SH       DEFINED      4                           4,100
COHERENT INC                     EQUITY    192479 10 3    1970     56,113 SH         SOLE       1       56,113





                                                                                         
COHU INC                         EQUITY    192576 10 6     349     16,459 SH         SOLE       1       16,459
COINSTAR INC                     EQUITY    19259P 30 0     500     19,314 SH         SOLE       1       19,314
COLDWATER CREEK INC              EQUITY    193068 10 3    1127     40,557 SH         SOLE       1       40,557
COLDWATER CREEK INC              EQUITY    193068 10 3     320     11,500 SH         SOLE       2       11,500
COLEY PHARMACEUTICAL GROUP INC   EQUITY    19388P 10 6      76      4,996 SH         SOLE       1        4,996
COLGATE PALMOLIVE CO             EQUITY    194162 10 3    4357     76,308 SH         SOLE       2       76,308
COLGATE-PALMOLIVE CO             EQUITY    194162 10 3   44521    779,700 SH         SOLE       1      779,700
COLGATE-PALMOLIVE CO             EQUITY    194162 10 3       6        100 SH       DEFINED      4                             100
COLONIAL BANCGROUP INC/THE       EQUITY    195493 30 9    8121    324,820 SH         SOLE       1      324,820
COLONIAL INVESTMENT GRADE MUNI   EQUITY    195768 10 6       5        500 SH       DEFINED      4                             500
COLONIAL PROPERTIES TRUST        EQUITY    195872 10 6    1707     34,058 SH         SOLE       1       34,058
COLONY BANKCORP INC              EQUITY    19623P 10 1      92      4,163 SH         SOLE       1        4,163
COLOR KINETICS INC               EQUITY    19624P 10 0     210      9,923 SH         SOLE       1        9,923
COLUMBIA BANKING SYSTEM INC      EQUITY    197236 10 2     398     11,901 SH         SOLE       1       11,901
COLUMBIA EQUITY TRUST INC        EQUITY    197627 10 2     185     10,541 SH         SOLE       1       10,541
COLUMBIA SPORTSWEAR CO           EQUITY    198516 10 6      23        430 SH         SOLE       1          430
COLUMBUS MCKINNON CORP NY        EQUITY    199333 10 5     221      8,200 SH         SOLE       2        8,200
COMCAST CORP                     EQUITY    20030N 10 1   39864  1,523,853 SH         SOLE       1    1,523,853
COMCAST CORP                     EQUITY    20030N 10 1      14        537 SH       DEFINED      4                             537
COMCAST CORP NEW                 EQUITY    20030N 10 1    5821    222,543 SH         SOLE       2      222,543
COMERICA INC                     EQUITY    200340 10 7   12197    210,400 SH         SOLE       1      210,400
COMERICA INC                     EQUITY    200340 10 7      12        201 SH         SOLE       2          201
COMERICA INC                     EQUITY    200340 10 7      17        300 SH       DEFINED      4                             300
COMFORT SYSTEMS USA INC          EQUITY    199908 10 4     405     29,987 SH         SOLE       1       29,987
COMMERCE BANCORP INC/NJ          EQUITY    200519 10 6   13357    364,460 SH         SOLE       1      364,460
COMMERCE BANCSHARES INC/KANSAS   EQUITY    200525 10 3      99      1,914 SH         SOLE       1        1,914
COMMERCE GROUP INC               EQUITY    200641 10 8      42        798 SH         SOLE       1          798
COMMERCIAL BANKSHARES INC/MIAM   EQUITY    201607 10 8     126      3,563 SH         SOLE       1        3,563
COMMERCIAL CAPITAL BANCORP INC   EQUITY    20162L 10 5     473     33,650 SH         SOLE       1       33,650
COMMERCIAL METALS CO             EQUITY    201723 10 3    2561     47,876 SH         SOLE       1       47,876
COMMERCIAL NET LEASE REALTY      EQUITY    202218 10 3    2279     97,807 SH         SOLE       1       97,807
COMMERCIAL NET LEASE RLTY IN COM EQUITY    202218 10 3     668     28,673 SH       DEFINED      4                          28,673
COMMERCIAL VEHICLE GROUP INC     EQUITY    202608 10 5     212     11,031 SH         SOLE       1       11,031
COMMONWEALTH TELEPHONE ENTERPR   EQUITY    203349 10 5     965     28,005 SH         SOLE       1       28,005
COMMSCOPE INC                    EQUITY    203372 10 7    4536    158,873 SH         SOLE       1      158,873
COMMSCOPE INC                    EQUITY    203372 10 7     214      7,500 SH         SOLE       2        7,500
COMMSCOPE INC                    EQUITY    203372 10 7     347     12,170 SH       DEFINED      4                          12,170
COMMUNITY BANCORP/NV             EQUITY    20343T 10 0     127      4,103 SH         SOLE       1        4,103
COMMUNITY BANK SYSTEM INC        EQUITY    203607 10 6     515     23,082 SH         SOLE       1       23,082
COMMUNITY BANKS INC              EQUITY    203628 10 2     466     16,381 SH         SOLE       1       16,381
COMMUNITY HEALTH SYSTEMS INC     EQUITY    203668 10 8    7395    204,563 SH         SOLE       1      204,563
COMMUNITY TRUST BANCORP INC      EQUITY    204149 10 8     383     11,309 SH         SOLE       1       11,309
COMPANHIA VALE DO RIO DOCE       EQUITY    204412 20 9    8517    175,500 SH         SOLE       2      175,500
COMPASS BANCSHARES INC           EQUITY    20449H 10 9    2929     57,869 SH         SOLE       1       57,869
COMPASS BANCSHARES INC           EQUITY    20449H 10 9       8        153 SH         SOLE       2          153
COMPASS MINERALS INTERNATIONAL   EQUITY    20451N 10 1     382     15,303 SH         SOLE       1       15,303
COMPTON PETROLEUM CORP           EQUITY    204940 10 0    4097    321,100 SH        OTHER       1                 321,100
COMPUCREDIT CORP                 EQUITY    20478N 10 0     626     17,002 SH         SOLE       1       17,002
COMPUTER PROGRAMS & SYSTEMS IN   EQUITY    205306 10 3     290      5,799 SH         SOLE       1        5,799
COMPUTER PROGRAMS + SYS IN       EQUITY    205306 10 3     130      2,600 SH         SOLE       2        2,600
COMPUTER SCIENCES CORP           EQUITY    205363 10 4    9567    172,227 SH         SOLE       1      172,227
COMPUTER SCIENCES CORP           EQUITY    205363 10 4      13        231 SH         SOLE       2          231
COMPUWARE CORP                   EQUITY    205638 10 9    1394    177,975 SH         SOLE       1      177,975
COMPUWARE CORP                   EQUITY    205638 10 9       4        473 SH         SOLE       2          473
COMPX INTERNATIONAL INC          EQUITY    20563P 10 1      24      1,497 SH         SOLE       1        1,497
COMSTOCK HOMEBUILDING COS INC    EQUITY    205684 10 3      43      3,879 SH         SOLE       1        3,879
COMSTOCK RESOURCES INC           EQUITY    205768 20 3     919     30,956 SH         SOLE       1       30,956
COMSYS IT PARTNERS INC           EQUITY    20581E 10 4    4550    417,824 SH         SOLE       1      417,824
COMTECH TELECOMMUNICATIONS       EQUITY    205826 20 9    2940    100,800 SH         SOLE       2      100,800





                                                                                         
COMTECH TELECOMMUNICATIONS COR   EQUITY    205826 20 9     944     32,367 SH         SOLE       1       32,367
COMVERSE TECHNOLOGY INC          EQUITY    205862 40 2    2492    105,913 SH         SOLE       1      105,913
COMVERSE TECHNOLOGY INC          EQUITY    205862 40 2    2371    100,750 SH         SOLE       2      100,750
CONAGRA FOODS INC                EQUITY    205887 10 2   12421    578,798 SH         SOLE       1      578,798
CONAGRA FOODS INC                EQUITY    205887 10 2      18        850 SH       DEFINED      4                             850
CONAGRA INC                      EQUITY    205887 10 2      14        642 SH         SOLE       2          642
CONCUR TECHNOLOGIES INC          EQUITY    206708 10 9     440     23,736 SH         SOLE       1       23,736
CONEXANT SYSTEMS INC             EQUITY    207142 10 0    1236    358,348 SH         SOLE       1      358,348
CONMED CORP                      EQUITY    207410 10 1     428     22,338 SH         SOLE       1       22,338
CONNECTICUT WATER SERVICE INC    EQUITY    207797 10 1     161      6,135 SH         SOLE       1        6,135
CONNETICS CORP                   EQUITY    208192 10 4     448     26,456 SH         SOLE       1       26,456
CONN'S INC                       EQUITY    208242 10 7     124      3,616 SH         SOLE       1        3,616
CONOCOPHILLIPS                   EQUITY    20825C 10 4   62456    988,841 SH         SOLE       1      988,841
CONOCOPHILLIPS                   EQUITY    20825C 10 4   13015    206,104 SH         SOLE       2      206,104
CONOR MEDSYSTEMS INC             EQUITY    208264 10 1     186      6,339 SH         SOLE       1        6,339
CONSECO INC                      EQUITY    208464 88 3     114      4,590 SH         SOLE       1        4,590
CONSOL ENERGY INC                EQUITY    20854P 10 9     178      2,394 SH         SOLE       1        2,394
CONSOLIDATED COMMUNICATIONS HO   EQUITY    209034 10 7     194     11,919 SH         SOLE       1       11,919
CONSOLIDATED EDISON INC          EQUITY    209115 10 4    5016    115,310 SH         SOLE       1      115,310
CONSOLIDATED EDISON INC          EQUITY    209115 10 4      13        303 SH         SOLE       2          303
CONSOLIDATED GRAPHICS INC        EQUITY    209341 10 6     447      8,580 SH         SOLE       1        8,580
CONSOLIDATED-TOMOKA LAND CO      EQUITY    210226 10 6     553      8,906 SH         SOLE       1        8,906
CONSTELLATION BRANDS INC         EQUITY    21036P 10 8    2299     91,786 SH         SOLE       1       91,786
CONSTELLATION BRANDS INC         EQUITY    21036P 10 8    6391    255,144 SH         SOLE       2      255,144
CONSTELLATION BRANDS INC         CORP BOND 21036P 30 6      15        400 PRN      DEFINED      4                             400
CONSTELLATION BRANDS INC         EQUITY    21036P 10 8      19        755 SH       DEFINED      4                             755
CONSTELLATION ENERGY GROUP       EQUITY    210371 10 0      12        221 SH         SOLE       2          221
CONSTELLATION ENERGY GROUP INC   EQUITY    210371 10 0    9443    172,595 SH         SOLE       1      172,595
CONSUMER DISCRETIONARY SELECT    EQUITY    81369Y 40 7      10        300 SH       DEFINED      4                             300
CONSUMER STAPLES SELECT SECTOR   EQUITY    81369Y 30 8      80      3,380 SH       DEFINED      4                           3,380
CONTINENTAL AIRLINES INC         EQUITY    210795 30 8    1791     66,585 SH         SOLE       1       66,585
CONTINENTAL AIRLS INC            EQUITY    210795 30 8     646     24,000 SH         SOLE       2       24,000
CONVERGYS CORP                   EQUITY    212485 10 6    1192     65,434 SH         SOLE       1       65,434
CONVERGYS CORP                   EQUITY    212485 10 6       3        173 SH         SOLE       2          173
CON-WAY INC                      EQUITY    12612W 10 4    5468    109,485 SH         SOLE       1      109,485
COOPER CAMERON CORP              EQUITY    216640 10 2    2923     66,300 SH         SOLE       2       66,300
COOPER COS INC                   EQUITY    216648 40 2    3771     69,800 SH         SOLE       2       69,800
COOPER COS INC/THE               EQUITY    216648 40 2      61      1,125 SH         SOLE       1        1,125
COOPER INDUSTRIES LTD            EQUITY    G24182 10 0      10        113 SH         SOLE       2          113
COOPER TIRE & RUBBER CO          EQUITY    216831 10 7    1082     75,484 SH         SOLE       1       75,484
COOPER TIRE + RUBR CO            EQUITY    216831 10 7       1         76 SH         SOLE       2           76
COPART INC                       EQUITY    217204 10 6    4009    146,030 SH         SOLE       1      146,030
CORE-MARK HOLDING CO INC         EQUITY    218681 10 4    6699    175,092 SH         SOLE       1      175,092
CORINTHIAN COLLEGES INC          EQUITY    218868 10 7    3513    243,965 SH         SOLE       1      243,965
CORN PRODUCTS INTERNATIONAL IN   EQUITY    219023 10 8    1691     57,172 SH         SOLE       1       57,172
CORN PRODUCTS INTL INC           EQUITY    219023 10 8   14401    487,000 SH         SOLE       2      487,000
CORNING INC                      EQUITY    219350 10 5   46660  1,733,201 SH         SOLE       1    1,733,201
CORNING INC                      EQUITY    219350 10 5    8811    327,411 SH         SOLE       2      327,411
CORNING INC                      EQUITY    219350 10 5     470     17,471 SH       DEFINED      4                          17,471
CORPORATE EXECUTIVE BOARD CO     EQUITY    21988R 10 2    8356     82,810 SH         SOLE       1       82,810
CORPORATE OFFICE PROPERTIES TR   EQUITY    22002T 10 8    1077     23,541 SH         SOLE       1       23,541
CORRECTIONS CORP OF AMERICA      EQUITY    22025Y 40 7    3095     68,477 SH         SOLE       1       68,477
CORRECTIONS CORP OF AMERICA      EQUITY    22025Y 40 7    8755    193,700 SH         SOLE       3      188,300
CORUS BANKSHARES INC             EQUITY    220873 10 3     845     14,209 SH         SOLE       1       14,209
CORUS GROUP PLC                  EQUITY    22087M 10 1       1         95 SH       DEFINED      4                              95
CORVEL CORP                      EQUITY    221006 10 9      97      4,418 SH         SOLE       1        4,418
COST PLUS INC                    EQUITY    221485 10 5     286     16,738 SH         SOLE       1       16,738
COSTAR GROUP INC                 EQUITY    22160N 10 9     642     12,366 SH         SOLE       1       12,366
COSTCO WHOLESALE CORP            EQUITY    22160K 10 5   12026    222,045 SH         SOLE       1      222,045





                                                                                         
COSTCO WHOLESALE CORP            CORP BOND 22160Q AC 6       4      3,000 PRN      DEFINED      4                           3,000
COSTCO WHSL CORP NEW             EQUITY    22160K 10 5      32        585 SH         SOLE       2          585
COTHERIX INC                     EQUITY    22163T 10 3     102     11,134 SH         SOLE       1       11,134
COUNTRYWIDE FINANCIAL CORP       EQUITY    222372 10 4    9804    267,147 SH         SOLE       1      267,147
COUNTRYWIDE FINL CORP            EQUITY    222372 10 4      27        745 SH         SOLE       2          745
COURIER CORP                     EQUITY    222660 10 2     332      7,496 SH         SOLE       1        7,496
COUSINS PROPERTIES INC           EQUITY    222795 10 6     999     29,887 SH         SOLE       1       29,887
COVANCE INC                      EQUITY    222816 10 0    7769    132,238 SH         SOLE       1      132,238
COVANSYS CORP                    EQUITY    22281W 10 3     403     23,430 SH         SOLE       1       23,430
COVANTA HLDG CORP                EQUITY    22282E 10 2    7001    420,000 SH         SOLE       2      420,000
COVANTA HOLDING CORP             EQUITY    22282E 10 2    1364     81,836 SH         SOLE       1       81,836
COVENANT TRANSPORT INC           EQUITY    22284P 10 5      93      6,396 SH         SOLE       1        6,396
COVENTRY HEALTH CARE INC         EQUITY    222862 10 4    3981     73,750 SH         SOLE       1       73,750
COVENTRY HEALTH CARE INC         EQUITY    222862 10 4   10051    186,443 SH         SOLE       2      186,443
COVENTRY HEALTH CARE INC         EQUITY    222862 10 4     189      3,503 SH       DEFINED      4                           3,503
COX RADIO INC                    EQUITY    224051 10 2     392     29,199 SH         SOLE       1       29,199
CR BARD INC                      EQUITY    067383 10 9    3249     47,915 SH         SOLE       1       47,915
CRA INTERNATIONAL INC            EQUITY    12618T 10 5     416      8,439 SH         SOLE       1        8,439
CRANE CO                         EQUITY    224399 10 5    5916    144,265 SH         SOLE       1      144,265
CRANE CO                         EQUITY    224399 10 5     217      5,300 SH         SOLE       2        5,300
CRAWFORD & CO                    EQUITY    224633 10 7     106     17,730 SH         SOLE       1       17,730
CREDENCE SYSTEMS CORP            EQUITY    225302 10 8    2020    275,166 SH         SOLE       1      275,166
CREDIT SUISSE GROUP              EQUITY    225401 10 8       4         70 SH       DEFINED      4                              70
CREE INC                         EQUITY    225447 10 1    5251    160,037 SH         SOLE       1      160,037
CREE INC                         EQUITY    225447 10 1      36      1,105 SH       DEFINED      4                           1,105
CRESCENT REAL ESTATE EQT CO      EQUITY    225756 10 5      50      2,358 SH         SOLE       1        2,358
CROSS COUNTRY HEALTHCARE INC     EQUITY    227483 10 4     475     24,511 SH         SOLE       1       24,511
CROSSTEX ENERGY INC              EQUITY    22765Y 10 4     362      4,676 SH         SOLE       1        4,676
CROWN CASTLE INTERNATIONAL COR   EQUITY    228227 10 4     165      5,809 SH         SOLE       1        5,809
CROWN CASTLE INTERNATIONAL COR   EQUITY    228227 10 4       2         84 SH       DEFINED      4                              84
CROWN HOLDINGS INC               EQUITY    228368 10 6    1122     63,236 SH         SOLE       1       63,236
CROWN HOLDINGS INC               EQUITY    228368 10 6      24      1,370 SH       DEFINED      4                           1,370
CROWN MEDIA HOLDINGS INC         EQUITY    228411 10 4      71     11,127 SH         SOLE       1       11,127
CRYPTOLOGIC INC                  EQUITY    228906 10 3     219      8,500 SH         SOLE       2        8,500
CSG SYSTEMS INTERNATIONAL INC    EQUITY    126349 10 9    3236    139,186 SH         SOLE       1      139,186
CSK AUTO CORP                    EQUITY    125965 10 3     476     34,331 SH         SOLE       1       34,331
CSS INDUSTRIES INC               EQUITY    125906 10 7     147      4,493 SH         SOLE       1        4,493
CSX CORP                         CORP BOND 126408 GA 5    2047  1,900,000 PRN        SOLE       1    1,900,000
CSX CORP                         EQUITY    126408 10 3    8423    140,851 SH         SOLE       1      140,851
CSX CORP                         EQUITY    126408 10 3      16        271 SH         SOLE       2          271
CT COMMUNICATIONS INC            EQUITY    126426 40 2     196     14,450 SH         SOLE       1       14,450
CTS CORP                         EQUITY    126501 10 5     374     27,950 SH         SOLE       1       27,950
CUBIC CORP                       EQUITY    229669 10 6     408     17,025 SH         SOLE       1       17,025
CUBIST PHARMACEUTICALS INC       EQUITY    229678 10 7     930     40,481 SH         SOLE       1       40,481
CULLEN/FROST BANKERS INC         EQUITY    229899 10 9    5382    100,128 SH         SOLE       1      100,128
CUMMINS INC                      EQUITY    231021 10 6    3322     31,610 SH         SOLE       1       31,610
CUMMINS INC                      EQUITY    231021 10 6       6         57 SH         SOLE       2           57
CUMMINS INC                      EQUITY    231021 10 6      33        311 SH       DEFINED      4                             311
CUMULUS MEDIA INC                EQUITY    231082 10 8     455     40,428 SH         SOLE       1       40,428
CURAGEN CORP                     EQUITY    23126R 10 1     180     35,865 SH         SOLE       1       35,865
CURIS INC                        EQUITY    231269 10 1      87     36,424 SH         SOLE       1       36,424
CURTISS-WRIGHT CORP              EQUITY    231561 10 1    1088     16,435 SH         SOLE       1       16,435
CV THERAPEUTICS INC              EQUITY    126667 10 4     728     32,990 SH         SOLE       1       32,990
CV THERAPEUTICS INC              EQUITY    126667 10 4    4873    220,700 SH         SOLE       2      220,700
CVB FINANCIAL CORP               EQUITY    126600 10 5     765     44,741 SH         SOLE       1       44,741
CVS CORP                         EQUITY    126650 10 0   80205  2,685,190 SH         SOLE       1    2,685,190
CVS CORP                         EQUITY    126650 10 0   12005    401,910 SH         SOLE       2      401,910
CVS CORP                         EQUITY    126650 10 0       6        200 SH       DEFINED      4                             200
CYBERONICS INC                   EQUITY    23251P 10 2     417     16,180 SH         SOLE       1       16,180





                                                                                         
CYBERSOURCE CORP                 EQUITY    23251J 10 6     227     20,361 SH         SOLE       1       20,361
CYMER INC                        EQUITY    232572 10 7    1254     27,586 SH         SOLE       1       27,586
CYPRESS BIOSCIENCE INC           EQUITY    232674 50 7     146     23,121 SH         SOLE       1       23,121
CYPRESS SEMICONDUCTOR CORP       EQUITY    232806 10 9    7002    413,103 SH         SOLE       1      413,103
CYTEC INDUSTRIES INC             EQUITY    232820 10 0    5042     84,021 SH         SOLE       1       84,021
CYTYC CORP                       EQUITY    232946 10 3    6819    241,983 SH         SOLE       1      241,983
D R HORTON INC                   EQUITY    23331A 10 9      11        336 SH         SOLE       2          336
DADE BEHRING HOLDINGS INC        EQUITY    23342J 20 6      77      2,162 SH         SOLE       1        2,162
DAKTRONICS INC                   EQUITY    234264 10 9     416     11,403 SH         SOLE       1       11,403
DAKTRONICS INC                   EQUITY    234264 10 9     325      8,900 SH         SOLE       2        8,900
DANAHER CORP                     EQUITY    235851 10 2   10195    160,423 SH         SOLE       1      160,423
DANAHER CORP                     EQUITY    235851 10 2   10720    168,693 SH         SOLE       2      168,693
DANAHER CORP                     EQUITY    235851 10 2       5         80 SH       DEFINED      4                              80
DARDEN RESTAURANTS INC           EQUITY    237194 10 5    4407    107,418 SH         SOLE       1      107,418
DARDEN RESTAURANTS INC           EQUITY    237194 10 5       7        163 SH         SOLE       2          163
DARLING INTERNATIONAL INC        EQUITY    237266 10 1     227     48,601 SH         SOLE       1       48,601
DATASCOPE CORP                   EQUITY    238113 10 4     351      8,898 SH         SOLE       1        8,898
DAVITA INC                       EQUITY    23918K 10 8     147      2,444 SH         SOLE       1        2,444
DEALERTRACK HOLDINGS INC         EQUITY    242309 10 2     695     32,600 SH         SOLE       1       32,600
DEAN FOODS CO                    EQUITY    242370 10 4    2471     63,631 SH         SOLE       1       63,631
DEB SHOPS INC                    EQUITY    242728 10 3      97      3,265 SH         SOLE       1        3,265
DECKERS OUTDOOR CORP             EQUITY    243537 10 7     313      7,722 SH         SOLE       1        7,722
DECODE GENETICS INC              EQUITY    243586 10 4     360     41,477 SH         SOLE       1       41,477
DEERE & CO                       EQUITY    244199 10 5   12329    155,963 SH         SOLE       1      155,963
DEERE & CO                       EQUITY    244199 10 5      65        820 SH       DEFINED      4                             820
DEERE + CO                       EQUITY    244199 10 5     245      3,093 SH         SOLE       2        3,093
DEERFIELD TRIARC CAPITAL CORP    EQUITY    244572 30 1     256     19,013 SH         SOLE       1       19,013
DEL MONTE FOODS CO               EQUITY    24522P 10 3      72      6,055 SH         SOLE       1        6,055
DELIA*S INC                      EQUITY    246911 10 1     130     13,955 SH         SOLE       1       13,955
DELL INC                         EQUITY    24702R 10 1   82312  2,765,702 SH         SOLE       1    2,765,702
DELL INC                         EQUITY    24702R 10 1     259      8,709 SH         SOLE       2        8,709
DELL INC                         EQUITY    24702R 10 1     205      6,904 SH       DEFINED      4                           6,904
DELPHI FINANCIAL GROUP           EQUITY    247131 10 5    1094     21,191 SH         SOLE       1       21,191
DELPHI FINL GROUP INC            EQUITY    247131 10 5    1435     27,800 SH         SOLE       2       27,800
DELTA & PINE LAND CO             EQUITY    247357 10 6     818     27,126 SH         SOLE       1       27,126
DELTA FINANCIAL CORP             EQUITY    247918 10 5      78      8,191 SH         SOLE       1        8,191
DELTA PETROLEUM CORP             EQUITY    247907 20 7     563     26,774 SH         SOLE       1       26,774
DELTIC TIMBER CORP               EQUITY    247850 10 0     463      7,637 SH         SOLE       1        7,637
DELTIC TIMBER CORP               EQUITY    247850 10 0     370      6,105 SH       DEFINED      4                           6,105
DELUXE CORP                      EQUITY    248019 10 1    3415    130,496 SH         SOLE       1      130,496
DENBURY RESOURCES INC            EQUITY    247916 20 8    7663    241,972 SH         SOLE       1      241,972
DENDREON CORP                    EQUITY    24823Q 10 7     907    192,587 SH         SOLE       1      192,587
DENDRITE INTERNATIONAL INC       EQUITY    248239 10 5     442     32,382 SH         SOLE       1       32,382
DENNYS CORP                      EQUITY    24869P 10 4    2852    599,100 SH         SOLE       2      599,100
DENNY'S CORP                     EQUITY    24869P 10 4     328     68,960 SH         SOLE       1       68,960
DENTSPLY INTERNATIONAL INC       EQUITY    249030 10 7    9865    169,652 SH         SOLE       1      169,652
DENTSPLY INTL INC NEW            EQUITY    249030 10 7    3954     68,000 SH         SOLE       2       68,000
DEPOMED INC                      EQUITY    249908 10 4    1642    251,500 SH         SOLE       2      251,500
DESARROLLADORA HOMEX SA DE CV    EQUITY    25030W 10 0    1092     30,910 SH       DEFINED      4                          30,910
DESERT SUN MINING CORP           EQUITY    25043V 10 7    2312    417,100 SH        OTHER       1                 417,100
DESIGN WITHIN REACH INC          EQUITY    250557 10 5      51      9,048 SH         SOLE       1        9,048
DEVELOPERS DIVERSIFIED REALTY    EQUITY    251591 10 3   12560    229,399 SH         SOLE       1      229,399
DEVON ENERGY CORP                EQUITY    25179M 10 3   22343    365,266 SH         SOLE       1      365,266
DEVON ENERGY CORP                EQUITY    25179M 10 3       2         38 SH       DEFINED      4                              38
DEVON ENERGY CORPORATION         CORP BOND 25179M AB 9    1102    950,000 PRN        SOLE       1      950,000
DEVON ENERGY CORPORATION N       EQUITY    25179M 10 3      33        546 SH         SOLE       2          546
DEVRY INC                        EQUITY    251893 10 3    3775    165,788 SH         SOLE       1      165,788
DEXCOM INC                       EQUITY    252131 10 7      72      3,556 SH         SOLE       1        3,556
DHB INDUSTRIES INC               EQUITY    23321E 10 3     101     21,030 SH         SOLE       1       21,030





                                                                                         
DIAGEO PLC                       EQUITY    25243Q 20 5    8855    139,600 SH         SOLE       2      139,600
DIAGNOSTIC PRODUCTS CORP         EQUITY    252450 10 1     827     17,363 SH         SOLE       1       17,363
DIALYSIS CORP AMER               EQUITY    252529 10 2    2005    151,100 SH         SOLE       2      151,100
DIAMOND FOODS INC                EQUITY    252603 10 5      83      4,838 SH         SOLE       1        4,838
DIAMOND OFFSHORE DRILLING INC    EQUITY    25271C 10 2     731      8,168 SH         SOLE       1        8,168
DIAMONDCLUSTER INTERNATIONAL I   EQUITY    25278P 10 6     227     21,176 SH         SOLE       1       21,176
DIAMONDROCK HOSPITALITY CO       EQUITY    252784 30 1     273     19,745 SH         SOLE       1       19,745
DIAMONDS TRUST SERIES I          EQUITY    252787 10 6       7         60 SH       DEFINED      4                              60
DICK'S SPORTING GOODS INC        EQUITY    253393 10 2      34        848 SH         SOLE       1          848
DIEBOLD INC                      EQUITY    253651 10 3    5979    145,486 SH         SOLE       1      145,486
DIGENE CORP                      EQUITY    253752 10 9     492     12,592 SH         SOLE       1       12,592
DIGI INTERNATIONAL INC           EQUITY    253798 10 2     200     17,166 SH         SOLE       1       17,166
DIGITAL INSIGHT CORP             EQUITY    25385P 10 6    1446     39,716 SH         SOLE       1       39,716
DIGITAL MUSIC GROUP INC          EQUITY    25388X 10 6    1102    117,600 SH         SOLE       3      117,600
DIGITAL REALTY TRUST INC         EQUITY    253868 10 3     242      8,595 SH         SOLE       1        8,595
DIGITAL RIVER INC                EQUITY    25388B 10 4    1134     26,011 SH         SOLE       1       26,011
DIGITAL RIVER INC                EQUITY    25388B 10 4       3         60 SH       DEFINED      4                              60
DIGITAS INC                      EQUITY    25388K 10 4     977     67,836 SH         SOLE       1       67,836
DILLARDS INC                     EQUITY    254067 10 1       2         76 SH         SOLE       2           76
DILLARD'S INC                    EQUITY    254067 10 1     755     28,997 SH         SOLE       1       28,997
DIME COMMUNITY BANCSHARES        EQUITY    253922 10 8     291     20,254 SH         SOLE       1       20,254
DIODES INC                       EQUITY    254543 10 1     526     12,685 SH         SOLE       1       12,685
DIODES INC                       EQUITY    254543 10 1    7819    188,400 SH         SOLE       2      188,400
DIODES INC                       EQUITY    254543 10 1     533     12,835 SH       DEFINED      4                          12,835
DIONEX CORP                      EQUITY    254546 10 4     949     15,431 SH         SOLE       1       15,431
DIRECT GENERAL CORP              EQUITY    25456W 20 4     193     11,355 SH         SOLE       1       11,355
DISCOVERY HOLDING CO             EQUITY    25468Y 10 7     217     14,460 SH         SOLE       1       14,460
DISCOVERY LABORATORIES INC       EQUITY    254668 10 6     339     46,279 SH         SOLE       1       46,279
DISNEY WALT CO                   EQUITY    254687 10 6   26972    967,080 SH         SOLE       2      967,080
DITECH COMMUNICATIONS CORP       EQUITY    25500M 10 3     254     24,315 SH         SOLE       1       24,315
DIVERSA CORP                     EQUITY    255064 10 7     161     17,705 SH         SOLE       1       17,705
DIXIE GROUP INC                  EQUITY    255519 10 0     122      8,150 SH         SOLE       1        8,150
DIXIE GROUP INC                  EQUITY    255519 10 0      28      1,860 SH       DEFINED      4                           1,860
DJ ORTHOPEDICS INC               EQUITY    23325G 10 4    1388     34,900 SH         SOLE       1       34,900
DJ ORTHOPEDICS INC               EQUITY    23325G 10 4    1165     29,300 SH         SOLE       3       29,300
DOBSON COMMUNICATIONS CORP       EQUITY    256069 10 5     864    107,745 SH         SOLE       1      107,745
DOLBY LABORATORIES INC           EQUITY    25659T 10 7      14        671 SH         SOLE       1          671
DOLLAR GEN CORP                  EQUITY    256669 10 2       7        391 SH         SOLE       2          391
DOLLAR GENERAL CORP              EQUITY    256669 10 2    6691    378,661 SH         SOLE       1      378,661
DOLLAR GENERAL CORP              EQUITY    256669 10 2      34      1,900 SH       DEFINED      4                           1,900
DOLLAR THRIFTY AUTOMOTIVE GROU   EQUITY    256743 10 5     868     19,119 SH         SOLE       1       19,119
DOLLAR TREE STORES INC           EQUITY    256747 10 6    6183    223,466 SH         SOLE       1      223,466
DOMINION RES INC VA NEW          EQUITY    25746U 10 9      85      1,230 SH         SOLE       2        1,230
DOMINION RESOURCES INC/VA        EQUITY    25746U 10 9   17197    249,120 SH         SOLE       1      249,120
DOMINION RESOURCES INC/VA        EQUITY    25746U 10 9      39        560 SH       DEFINED      4                             560
DOMINO'S PIZZA INC               EQUITY    25754A 20 1    1936     67,807 SH         SOLE       1       67,807
DONALDSON CO INC                 EQUITY    257651 10 9    4856    143,714 SH         SOLE       1      143,714
DONEGAL GROUP INC                EQUITY    257701 20 1     188      7,188 SH         SOLE       1        7,188
DONNELLEY R R + SONS CO          EQUITY    257867 10 1       9        267 SH         SOLE       2          267
DORAL FINANCIAL CORP             EQUITY    25811P 10 0     756     65,488 SH         SOLE       1       65,488
DORCHESTER MINERALS LP           EQUITY    25820R 10 5     114      4,200 SH         SOLE       1        4,200
DOT HILL SYSTEMS CORP            EQUITY    25848T 10 9     236     33,309 SH         SOLE       1       33,309
DOV PHARMACEUTICAL INC           EQUITY    259858 10 8     277     17,307 SH         SOLE       1       17,307
DOVER CORP                       EQUITY    260003 10 8    7430    153,007 SH         SOLE       1      153,007
DOVER CORP                       EQUITY    260003 10 8    7932    163,341 SH         SOLE       2      163,341
DOVER DOWNS GAMING & ENTERTAIN   EQUITY    260095 10 4     158      7,249 SH         SOLE       1        7,249
DOVER MOTORSPORTS INC            EQUITY    260174 10 7      64     11,704 SH         SOLE       1       11,704
DOW CHEM CO                      EQUITY    260543 10 3    5266    129,696 SH         SOLE       2      129,696
DOW CHEMICAL CO/THE              EQUITY    260543 10 3   23808    586,406 SH         SOLE       1      586,406





                                                                                         
DOW CHEMICAL CO/THE              EQUITY    260543 10 3      44      1,076 SH       DEFINED      4                           1,076
DOW JONES & CO INC               EQUITY    260561 10 5    1134     28,863 SH         SOLE       1       28,863
DOW JONES + CO INC               EQUITY    260561 10 5       3         73 SH         SOLE       2           73
DOWNEY FINANCIAL CORP            EQUITY    261018 10 5     506      7,524 SH         SOLE       1        7,524
DPL INC                          EQUITY    233293 10 9    7191    266,344 SH         SOLE       1      266,344
DPL INC                          EQUITY    233293 10 9    5789    214,400 SH         SOLE       2      214,400
DPL INC                          EQUITY    233293 10 9      66      2,447 SH       DEFINED      4                           2,447
DR HORTON INC                    EQUITY    23331A 10 9    4162    125,298 SH         SOLE       1      125,298
DR REDDY'S LABORATORIES LTD      EQUITY    256135 20 3       6        200 SH       DEFINED      4                             200
DREAMWORKS ANIMATION SKG INC     EQUITY    26153C 10 3      26        986 SH         SOLE       1          986
DRESS BARN INC                   EQUITY    261570 10 5    1293     26,958 SH         SOLE       1       26,958
DRESS BARN INC                   EQUITY    261570 10 5     403      8,400 SH         SOLE       2        8,400
DRESSER-RAND GROUP INC           EQUITY    261608 10 3    2005     80,680 SH         SOLE       1       80,680
DREW INDUSTRIES INC              EQUITY    26168L 20 5     410     11,533 SH         SOLE       1       11,533
DREYFUS MUNICIPAL INCOME INC     EQUITY    26201R 10 2      11      1,262 SH       DEFINED      4                           1,262
DRIL QUIP INC                    EQUITY    262037 10 4     241      3,400 SH         SOLE       2        3,400
DRIL-QUIP INC                    EQUITY    262037 10 4     416      5,875 SH         SOLE       1        5,875
DRS TECHNOLOGIES INC             EQUITY    23330X 10 0    6132    111,753 SH         SOLE       1      111,753
DRS TECHNOLOGIES INC             EQUITY    23330X 10 0    6151    112,100 SH         SOLE       2      112,100
DRUGSTORE.COM                    EQUITY    262241 10 2     160     51,921 SH         SOLE       1       51,921
DSP GROUP INC                    EQUITY    23332B 10 6     787     27,140 SH         SOLE       1       27,140
DST SYSTEMS INC                  EQUITY    233326 10 7    7657    132,147 SH         SOLE       1      132,147
DST SYSTEMS INC                  CORP BOND 233326 AB 3       1      1,000 PRN      DEFINED      4                           1,000
DST SYSTEMS INC                  EQUITY    233326 10 7       8        145 SH       DEFINED      4                             145
DSW INC                          EQUITY    23334L 10 2     272      8,691 SH         SOLE       1        8,691
DTE ENERGY CO                    EQUITY    233331 10 7    4936    123,132 SH         SOLE       1      123,132
DTE ENERGY CO                    EQUITY    233331 10 7       9        220 SH         SOLE       2          220
DTE ENERGY CO                    EQUITY    233331 10 7       4        101 SH       DEFINED      4                             101
DTS INC                          EQUITY    23335C 10 1     259     13,158 SH         SOLE       1       13,158
DU PONT E I DE NEMOURS + C       EQUITY    263534 10 9    3166     74,995 SH         SOLE       2       74,995
DUKE ENERGY CO                   EQUITY    264399 10 6    3578    122,747 SH         SOLE       2      122,747
DUKE ENERGY CORP                 CORP BOND 264399 EJ 1    1659  1,350,000 PRN        SOLE       1    1,350,000
DUKE ENERGY CORP                 EQUITY    264399 10 6   32594  1,118,137 SH         SOLE       1    1,118,137
DUKE REALTY CORP                 EQUITY    264411 50 5     165      4,359 SH         SOLE       1        4,359
DUN & BRADSTREET CORP            EQUITY    26483E 10 0   10771    140,463 SH         SOLE       1      140,463
DUQUESNE LIGHT HOLDINGS INC      EQUITY    266233 10 5   11389    690,240 SH         SOLE       1      690,240
DUQUESNE LIGHT HOLDINGS INC      EQUITY    266233 10 5       1         56 SH       DEFINED      4                              56
DURATEK INC                      EQUITY    26658Q 10 2     233     10,618 SH         SOLE       1       10,618
DURECT CORP                      EQUITY    266605 10 4     204     32,020 SH         SOLE       1       32,020
DUSA PHARMACEUTICALS INC         EQUITY    266898 10 5      91     12,867 SH         SOLE       1       12,867
DUSA PHARMACEUTICALS INC         EQUITY    266898 10 5    1779    252,000 SH         SOLE       2      252,000
DWS HIGH INCOME TRUST            EQUITY    23337C 10 9      11      1,540 SH       DEFINED      4                           1,540
DWS STRATEGIC MUNICIPAL INCOME   EQUITY    23338T 10 1     252     20,000 SH         SOLE       1       20,000
DXP ENTERPRISES INC              EQUITY    233377 40 7      15        435 SH       DEFINED      4                             435
DYCOM INDUSTRIES INC             EQUITY    267475 10 1    2433    114,483 SH         SOLE       1      114,483
DYNAMEX INC                      EQUITY    26784F 10 3     170      8,810 SH         SOLE       1        8,810
DYNAMIC MATERIALS CORP           EQUITY    267888 10 5     155      4,340 SH         SOLE       1        4,340
DYNEGY INC                       EQUITY    26816Q 10 1    2212    460,747 SH         SOLE       1      460,747
DYNEGY INC                       EQUITY    26816Q 10 1    7278  1,516,300 SH         SOLE       3    1,477,300
DYNEGY INC NEW                   EQUITY    26816Q 10 1       2        372 SH         SOLE       2          372
E TRADE FINL CORP                EQUITY    269246 10 4      14        517 SH         SOLE       2          517
E*TRADE FINANCIAL CORP           EQUITY    269246 10 4    5256    194,824 SH         SOLE       1      194,824
E*TRADE FINANCIAL CORP           EQUITY    269246 10 4      49      1,805 SH       DEFINED      4                           1,805
EAGLE MATERIALS INC              EQUITY    26969P 10 8    2668     41,844 SH         SOLE       1       41,844
EAGLE MATLS INC                  EQUITY    26969P 10 8     182      2,850 SH         SOLE       2        2,850
EARLE M JORGENSEN CO             EQUITY    480829 10 0     209     13,797 SH         SOLE       1       13,797
EARTHLINK INC                    EQUITY    270321 10 2     869     90,987 SH         SOLE       1       90,987
EAST WEST BANCORP INC            EQUITY    27579R 10 4      53      1,373 SH         SOLE       1        1,373
EASTGROUP PROPERTIES INC         EQUITY    277276 10 1     793     16,716 SH         SOLE       1       16,716





                                                                                         
EASTMAN CHEM CO                  EQUITY    277432 10 0       5        101 SH         SOLE       2          101
EASTMAN CHEMICAL CO              EQUITY    277432 10 0    1956     38,212 SH         SOLE       1       38,212
EASTMAN KODAK CO                 EQUITY    277461 10 9    3819    134,278 SH         SOLE       1      134,278
EASTMAN KODAK CO                 EQUITY    277461 10 9      10        355 SH         SOLE       2          355
EATON CORP                       EQUITY    278058 10 2    5199     71,250 SH         SOLE       1       71,250
EATON CORP                       EQUITY    278058 10 2      13        184 SH         SOLE       2          184
EATON CORP                       EQUITY    278058 10 2      11        150 SH       DEFINED      4                             150
EATON VANCE CORP                 EQUITY    278265 10 3    7427    271,252 SH         SOLE       1      271,252
EATON VANCE LIMITED DURATION I   EQUITY    27828H 10 5      26      1,500 SH       DEFINED      4                           1,500
EATON VANCE MUNICIPAL INCOME T   EQUITY    27826U 10 8     497     32,800 SH       DEFINED      4                          32,800
EATON VANCE TAX MANAGED GLOBAL   EQUITY    27829C 10 5      18      1,000 SH       DEFINED      4                           1,000
EATON VANCE TAX-MANAGED BUY-WR   EQUITY    27828Y 10 8      11        599 SH       DEFINED      4                             599
EBAY INC                         EQUITY    278642 10 3   29690    761,282 SH         SOLE       1      761,282
EBAY INC                         EQUITY    278642 10 3    7813    200,026 SH         SOLE       2      200,026
EBAY INC                         EQUITY    278642 10 3      18        450 SH       DEFINED      4                             450
ECC CAPITAL CORP                 EQUITY    26826M 10 8      66     43,350 SH         SOLE       1       43,350
ECHELON CORP                     EQUITY    27874N 10 5     212     22,455 SH         SOLE       1       22,455
ECHELON CORP                     EQUITY    27874N 10 5       1         62 SH       DEFINED      4                              62
ECHOSTAR COMMUNICATIONS          CORP BOND 278762 AG 4       3      3,000 PRN      DEFINED      4                           3,000
ECHOSTAR COMMUNICATIONS CORP     EQUITY    278762 10 9     564     18,887 SH         SOLE       1       18,887
ECLIPSYS CORP                    EQUITY    278856 10 9     687     29,107 SH         SOLE       1       29,107
ECOLAB INC                       EQUITY    278865 10 0    6050    158,365 SH         SOLE       1      158,365
ECOLAB INC                       EQUITY    278865 10 0       9        225 SH         SOLE       2          225
ECOLLEGE.COM INC                 EQUITY    27887E 10 0     253     13,443 SH         SOLE       1       13,443
EDGAR ONLINE INC                 EQUITY    279765 10 1      39      7,570 SH       DEFINED      4                           7,570
EDGE PETROLEUM CORP              EQUITY    279862 10 6     325     13,017 SH         SOLE       1       13,017
EDISON INTERNATIONAL             EQUITY    281020 10 7   39451    957,806 SH         SOLE       1      957,806
EDISON INTL                      EQUITY    281020 10 7      17        403 SH         SOLE       2          403
EDO CORP                         EQUITY    281347 10 4     371     12,040 SH         SOLE       1       12,040
EDUCATE INC                      EQUITY    28138P 10 0     119     13,924 SH         SOLE       1       13,924
EDUCATION MANAGEMENT CORP        EQUITY    28139T 10 1    9361    225,014 SH         SOLE       1      225,014
EDUCATION REALTY TRUST INC       EQUITY    28140H 10 4     304     19,901 SH         SOLE       1       19,901
EDWARDS LIFESCIENCES CORP        EQUITY    28176E 10 8    5405    124,253 SH         SOLE       1      124,253
EFUNDS CORP                      EQUITY    28224R 10 1     890     34,444 SH         SOLE       1       34,444
EFUNDS CORP                      EQUITY    28224R 10 1     323     12,500 SH         SOLE       2       12,500
EGL INC                          EQUITY    268484 10 2    1316     29,237 SH         SOLE       1       29,237
EI DU PONT DE NEMOURS & CO       EQUITY    263534 10 9   19094    452,347 SH         SOLE       1      452,347
EI DU PONT DE NEMOURS & CO       EQUITY    263534 10 9     260      6,159 SH       DEFINED      4                           6,159
EL PASO CORP                     EQUITY    28336L 10 9    3710    307,869 SH         SOLE       1      307,869
EL PASO CORP                     EQUITY    28336L 10 9      10        815 SH         SOLE       2          815
EL PASO ELECTRIC CO              EQUITY    283677 85 4     691     36,296 SH         SOLE       1       36,296
ELDORADO GOLD CORP               EQUITY    284902 10 3    4145    857,800 SH        OTHER       1                 857,800
ELECTRO RENT CORP                EQUITY    285218 10 3     232     13,648 SH         SOLE       1       13,648
ELECTRO SCIENTIFIC INDUSTRIES    EQUITY    285229 10 0     481     21,714 SH         SOLE       1       21,714
ELECTRONIC ARTS INC              EQUITY    285512 10 9    8247    150,706 SH         SOLE       1      150,706
ELECTRONIC ARTS INC              EQUITY    285512 10 9      21        376 SH         SOLE       2          376
ELECTRONIC ARTS INC              EQUITY    285512 10 9      36        651 SH       DEFINED      4                             651
ELECTRONIC DATA SYS CORP N       EQUITY    285661 10 4      17        636 SH         SOLE       2          636
ELECTRONIC DATA SYSTEMS CORP     EQUITY    285661 10 4    6442    240,089 SH         SOLE       1      240,089
ELECTRONICS FOR IMAGING          EQUITY    286082 10 2    2536     90,651 SH         SOLE       1       90,651
ELI LILLY & CO                   EQUITY    532457 10 8   29047    525,261 SH         SOLE       1      525,261
ELI LILLY & CO                   EQUITY    532457 10 8     493      8,910 SH       DEFINED      4                           8,910
ELIZABETH ARDEN INC              EQUITY    28660G 10 6     451     19,344 SH         SOLE       1       19,344
ELKCORP                          EQUITY    287456 10 7     517     15,333 SH         SOLE       1       15,333
EMAGEON INC                      EQUITY    29076V 10 9     186     10,920 SH         SOLE       1       10,920
EMC CORP                         EQUITY    268648 10 2   26482  1,942,938 SH         SOLE       2    1,942,938
EMC CORP/MASSACHUSETTS           EQUITY    268648 10 2   18736  1,374,598 SH         SOLE       1    1,374,598
EMC CORP/MASSACHUSETTS           EQUITY    268648 10 2      39      2,874 SH       DEFINED      4                           2,874
EMC INSURANCE GROUP INC          EQUITY    268664 10 9     133      4,773 SH         SOLE       1        4,773





                                                                                         
EMCOR GROUP INC                  EQUITY    29084Q 10 0    3001     60,432 SH         SOLE       1       60,432
EMCORE CORP                      EQUITY    290846 10 4     287     28,159 SH         SOLE       1       28,159
EMDEON CORP                      EQUITY    290849 10 8      95      8,773 SH         SOLE       1        8,773
EMERSON ELEC CO                  EQUITY    291011 10 4   17186    205,503 SH         SOLE       2      205,503
EMERSON ELECTRIC CO              EQUITY    291011 10 4   33256    397,662 SH         SOLE       1      397,662
EMERSON ELECTRIC CO              EQUITY    291011 10 4      46        550 SH       DEFINED      4                             550
EMMIS COMMUNICATIONS CORP        EQUITY    291525 10 3    1615    100,915 SH         SOLE       1      100,915
EMPIRE DISTRICT ELECTRIC CO/TH   EQUITY    291641 10 8     436     19,630 SH         SOLE       1       19,630
EMPRESA NACIONAL DE ELECTRICID   EQUITY    29244T 10 1    5778    191,450 SH         SOLE       1      191,450
EMULEX CORP                      EQUITY    292475 20 9    1080     63,195 SH         SOLE       1       63,195
ENBRIDGE ENERGY PARTNERS LP      EQUITY    29250R 10 6      43        980 SH       DEFINED      4                             980
ENCANA CORP                      EQUITY    292505 10 4   12851    275,200 SH        OTHER       1                 275,200
ENCORE ACQUISITION CO            EQUITY    29255W 10 0    3832    123,628 SH         SOLE       1      123,628
ENCORE CAPITAL GROUP INC         EQUITY    292554 10 2     165     11,171 SH         SOLE       1       11,171
ENCORE MEDICAL CORP              EQUITY    29256E 10 9     157     30,651 SH         SOLE       1       30,651
ENCORE WIRE CORP                 EQUITY    292562 10 5     412     12,159 SH         SOLE       1       12,159
ENCORE WIRE CORP                 EQUITY    292562 10 5     237      7,000 SH         SOLE       2        7,000
ENCYSIVE PHARMACEUTICALS INC     EQUITY    29256X 10 7     216     44,186 SH         SOLE       1       44,186
ENDEAVOUR INTERNATIONAL CORP     EQUITY    29259G 10 1     124     42,698 SH         SOLE       1       42,698
ENDESA SA                        EQUITY    29258N 10 7       4        110 SH       DEFINED      4                             110
ENDO PHARMACEUTICALS HLDGS       EQUITY    29264F 20 5     328     10,000 SH         SOLE       2       10,000
ENDO PHARMACEUTICALS HOLDINGS    EQUITY    29264F 20 5     211      6,427 SH         SOLE       1        6,427
ENDO PHARMACEUTICALS HOLDINGS    EQUITY    29264F 20 5       6        175 SH       DEFINED      4                             175
ENDWAVE CORP                     EQUITY    29264A 20 6      81      5,499 SH         SOLE       1        5,499
ENERGEN CORP                     EQUITY    29265N 10 8    1492     42,626 SH         SOLE       1       42,626
ENERGIZER HOLDINGS INC           EQUITY    29266R 10 8    6968    131,464 SH         SOLE       1      131,464
ENERGY CONVERSION DEVICES        EQUITY    292659 10 9     339      6,900 SH         SOLE       2        6,900
ENERGY CONVERSION DEVICES INC    EQUITY    292659 10 9     800     16,269 SH         SOLE       1       16,269
ENERGY EAST CORP                 EQUITY    29266M 10 9   27058  1,113,515 SH         SOLE       1    1,113,515
ENERGY EAST CORP                 EQUITY    29266M 10 9      51      2,102 SH       DEFINED      4                           2,102
ENERGY INCOME AND GROWTH FUND    EQUITY    292697 10 9     109      5,237 SH       DEFINED      4                           5,237
ENERGY PARTNERS LTD              EQUITY    29270U 10 5     599     25,400 SH         SOLE       1       25,400
ENERGY SELECT SECTOR SPDR FUND   EQUITY    81369Y 50 6     199      3,655 SH       DEFINED      4                           3,655
ENERGY TRANSFER PARTNERS LP      EQUITY    29273R 10 9      12        305 SH       DEFINED      4                             305
ENERGYSOUTH INC                  EQUITY    292970 10 0     164      5,170 SH         SOLE       1        5,170
ENERPLUS RESOURCES FUND          EQUITY    29274D 60 4     988     19,677 SH       DEFINED      4                          19,677
ENERSYS                          EQUITY    29275Y 10 2     483     34,982 SH         SOLE       1       34,982
ENGELHARD CORP                   EQUITY    292845 10 4    3084     77,868 SH         SOLE       1       77,868
ENGELHARD CORP                   EQUITY    292845 10 4       6        153 SH         SOLE       2          153
ENNIS INC                        EQUITY    293389 10 2     377     19,328 SH         SOLE       1       19,328
ENNIS INC                        EQUITY    293389 10 2     246     12,590 SH       DEFINED      4                          12,590
ENPRO INDUSTRIES INC             EQUITY    29355X 10 7     735     21,414 SH         SOLE       1       21,414
ENSCO INTERNATIONAL INC          EQUITY    26874Q 10 0   16580    322,263 SH         SOLE       1      322,263
ENSCO INTERNATIONAL INC          EQUITY    26874Q 10 0    4391     85,349 SH         SOLE       3       81,912
ENSTAR GROUP INC                 EQUITY    29358R 10 7     222      2,472 SH         SOLE       1        2,472
ENTEGRIS INC                     EQUITY    29362U 10 4     959     90,118 SH         SOLE       1       90,118
ENTEGRIS INC                     EQUITY    29362U 10 4    7593    713,600 SH         SOLE       2      713,600
ENTERCOM COMMUNICATIONS CORP     EQUITY    293639 10 0    9375    335,791 SH         SOLE       1      335,791
ENTERGY CORP                     EQUITY    29364G 10 3   36699    532,327 SH         SOLE       1      532,327
ENTERGY CORP                     EQUITY    29364G 10 3     618      8,965 SH       DEFINED      4                           8,965
ENTERGY CORP NEW                 EQUITY    29364G 10 3      18        257 SH         SOLE       2          257
ENTERPRISE FINANCIAL SERVICES    EQUITY    293712 10 5     161      5,888 SH         SOLE       1        5,888
ENTERPRISE PRODUCTS PARTNERS L   EQUITY    293792 10 7    2181     88,350 SH         SOLE       1       88,350
ENTERTAINMENT PROPERTIES TRUST   EQUITY    29380T 10 5    5222    124,397 SH         SOLE       1      124,397
ENTRAVISION COMMUNICATIONS COR   EQUITY    29382R 10 7     533     58,209 SH         SOLE       1       58,209
ENTRUST INC                      EQUITY    293848 10 7     212     47,122 SH         SOLE       1       47,122
ENZO BIOCHEM INC                 EQUITY    294100 10 2     282     20,891 SH         SOLE       1       20,891
ENZON PHARMACEUTICALS INC        EQUITY    293904 10 8     270     33,351 SH         SOLE       1       33,351
EOG RESOURCES INC                EQUITY    26875P 10 1   11985    166,461 SH         SOLE       1      166,461





                                                                                         
EOG RESOURCES INC                EQUITY    26875P 10 1    2671     37,100 SH         SOLE       2       37,100
EPICOR SOFTWARE CORP             EQUITY    29426L 10 8     541     40,298 SH         SOLE       1       40,298
EPIQ SYSTEMS INC                 EQUITY    26882D 10 9     192     10,097 SH         SOLE       1       10,097
EPIX PHARMACEUTICALS INC         EQUITY    26881Q 10 1      62     17,632 SH         SOLE       1       17,632
EQUIFAX INC                      EQUITY    294429 10 5    2225     59,735 SH         SOLE       1       59,735
EQUIFAX INC                      EQUITY    294429 10 5       6        160 SH         SOLE       2          160
EQUINIX INC                      EQUITY    29444U 50 2     754     11,736 SH         SOLE       1       11,736
EQUITABLE RESOURCES INC          EQUITY    294549 10 0   12806    350,743 SH         SOLE       1      350,743
EQUITY INNS INC                  EQUITY    294703 10 3     665     41,040 SH         SOLE       1       41,040
EQUITY LIFESTYLE PROPERTIES IN   EQUITY    29472R 10 8     714     14,361 SH         SOLE       1       14,361
EQUITY OFFICE PPTYS TR           EQUITY    294741 10 3      17        502 SH         SOLE       2          502
EQUITY OFFICE PROPERTIES TRUST   EQUITY    294741 10 3   14677    437,075 SH         SOLE       1      437,075
EQUITY ONE INC                   EQUITY    294752 10 0     690     28,111 SH         SOLE       1       28,111
EQUITY RESIDENTIAL               EQUITY    29476L 10 7   11934    255,048 SH         SOLE       1      255,048
EQUITY RESIDENTIAL               EQUITY    29476L 10 7      17        359 SH         SOLE       2          359
ERESEARCH TECHNOLOGY INC         EQUITY    29481V 10 8     552     38,390 SH         SOLE       1       38,390
ERICSSON                         EQUITY    294821 60 8   13388    354,940 SH         SOLE       1      354,940
ERIE INDEMNITY CO                EQUITY    29530P 10 2      66      1,252 SH         SOLE       1        1,252
ESCALA GROUP INC                 EQUITY    29605W 10 7     119      4,558 SH         SOLE       1        4,558
ESCALADE INC                     EQUITY    296056 10 4      66      5,966 SH         SOLE       1        5,966
ESCO TECHNOLOGIES INC            EQUITY    296315 10 4     979     19,329 SH         SOLE       1       19,329
ESPEED INC                       EQUITY    296643 10 9     127     15,919 SH         SOLE       1       15,919
ESSEX CORP                       EQUITY    296744 10 5     286     13,006 SH         SOLE       1       13,006
ESSEX PROPERTY TRUST INC         EQUITY    297178 10 5      76        701 SH         SOLE       1          701
ESTEE LAUDER COS INC/THE         EQUITY    518439 10 4    6190    166,430 SH         SOLE       1      166,430
ESTERLINE TECHNOLOGIES COR       EQUITY    297425 10 0   10461    244,700 SH         SOLE       2      244,700
ESTERLINE TECHNOLOGIES CORP      EQUITY    297425 10 0    1051     24,577 SH         SOLE       1       24,577
ETHAN ALLEN INTERIORS INC        EQUITY    297602 10 4    1057     25,157 SH         SOLE       1       25,157
ETHAN ALLEN INTERIORS INC        EQUITY    297602 10 4     214      5,100 SH         SOLE       2        5,100
EUROBANCSHARES INC               EQUITY    298716 10 1      83      7,000 SH         SOLE       1        7,000
EURONET WORLDWIDE INC            EQUITY    298736 10 9     894     23,625 SH         SOLE       1       23,625
EV3 INC                          EQUITY    26928A 20 0     182     10,265 SH         SOLE       1       10,265
EV3 INC                          EQUITY    26928A 20 0    1787    100,900 SH         SOLE       2      100,900
EVERGREEN INCOME ADVANTAGE FUN   EQUITY    30023Y 10 5     110      7,861 SH       DEFINED      4                           7,861
EVERGREEN SOLAR INC              EQUITY    30033R 10 8     463     30,037 SH         SOLE       1       30,037
EW SCRIPPS CO                    EQUITY    811054 20 4    1751     39,155 SH         SOLE       1       39,155
EW SCRIPPS CO                    EQUITY    811054 20 4       3         70 SH       DEFINED      4                              70
EXAR CORP                        EQUITY    300645 10 8     839     58,744 SH         SOLE       1       58,744
EXCEL TECHNOLOGY INC             EQUITY    30067T 10 3     270      9,166 SH         SOLE       1        9,166
EXELIXIS INC                     EQUITY    30161Q 10 4     758     63,124 SH         SOLE       1       63,124
EXELON CORP                      EQUITY    30161N 10 1   15389    290,905 SH         SOLE       1      290,905
EXELON CORP                      EQUITY    30161N 10 1      44        825 SH         SOLE       2          825
EXPEDIA INC                      EQUITY    30212P 10 5     533     26,280 SH         SOLE       1       26,280
EXPEDIA INC                      EQUITY    30212P 10 5      14        692 SH       DEFINED      4                             692
EXPEDITORS INTERNATIONAL WASHI   EQUITY    302130 10 9   27848    322,354 SH         SOLE       1      322,354
EXPONENT INC                     EQUITY    30214U 10 2     192      6,066 SH         SOLE       1        6,066
EXPRESS SCRIPTS INC              EQUITY    302182 10 0    6561     74,636 SH         SOLE       1       74,636
EXPRESS SCRIPTS INC              EQUITY    302182 10 0      16        181 SH         SOLE       2          181
EXPRESSJET HOLDINGS INC          EQUITY    30218U 10 8     247     33,263 SH         SOLE       1       33,263
EXTRA SPACE STORAGE INC          EQUITY    30225T 10 2     666     38,762 SH         SOLE       1       38,762
EXTREME NETWORKS                 EQUITY    30226D 10 6     465     92,663 SH         SOLE       1       92,663
EXXON MOBIL CORP                 EQUITY    30231G 10 2  319889  5,256,076 SH         SOLE       1    5,256,076
EXXON MOBIL CORP                 EQUITY    30231G 10 2   56560    929,350 SH         SOLE       2      929,350
EXXON MOBIL CORP                 EQUITY    30231G 10 2    2361     38,793 SH       DEFINED      4                          38,793
F5 NETWORKS INC                  EQUITY    315616 10 2    6072     83,767 SH         SOLE       1       83,767
F5 NETWORKS INC                  EQUITY    315616 10 2     319      4,400 SH         SOLE       2        4,400
FACTSET RESEARCH SYSTEMS INC     EQUITY    303075 10 5    1157     26,099 SH         SOLE       1       26,099
FAIR ISAAC CORP                  EQUITY    303250 10 4    5414    136,646 SH         SOLE       1      136,646
FAIRCHILD SEMICONDUCTOR INTERN   EQUITY    303726 10 3    6541    343,023 SH         SOLE       1      343,023





                                                                                         
FAIRMONT HOTELS & RESORTS INC    EQUITY    305204 10 9    4269     95,500 SH         SOLE       1       95,500
FAIRPOINT COMMUNICATIONS INC     EQUITY    305560 10 4     285     20,620 SH         SOLE       1       20,620
FALCONBRIDGE LTD                 EQUITY    306104 10 0    3978    113,600 SH        OTHER       1                 113,600
FALCONBRIDGE LTD                 EQUITY    306104 10 0       2         61 SH       DEFINED      4                              61
FALCONSTOR SOFTWARE INC          EQUITY    306137 10 0     174     18,374 SH         SOLE       1       18,374
FAMILY DLR STORES INC            EQUITY    307000 10 9       5        192 SH         SOLE       2          192
FAMILY DOLLAR STORES INC         EQUITY    307000 10 9    1908     71,748 SH         SOLE       1       71,748
FANNIE MAE                       EQUITY    313586 10 9   26906    523,468 SH         SOLE       1      523,468
FANNIE MAE                       EQUITY    313586 10 9       8        162 SH       DEFINED      4                             162
FARGO ELECTRONICS INC            EQUITY    30744P 10 2     162      9,609 SH         SOLE       1        9,609
FARMER BROS CO                   EQUITY    307675 10 8     114      5,106 SH         SOLE       1        5,106
FARMER MAC                       EQUITY    313148 30 6     245      8,335 SH         SOLE       1        8,335
FARMERS CAPITAL BANK CORP        EQUITY    309562 10 6     146      4,631 SH         SOLE       1        4,631
FARO TECHNOLOGIES INC            EQUITY    311642 10 2     123      8,615 SH         SOLE       1        8,615
FASTENAL CO                      EQUITY    311900 10 4   12722    268,729 SH         SOLE       1      268,729
FASTENAL CO                      EQUITY    311900 10 4      27        580 SH       DEFINED      4                             580
FBL FINANCIAL GROUP INC          EQUITY    30239F 10 6     340      9,867 SH         SOLE       1        9,867
FEDERAL HOME LN MTG CORP         EQUITY    313400 30 1      52        854 SH         SOLE       2          854
FEDERAL NATL MTG ASSN            EQUITY    313586 10 9      61      1,196 SH         SOLE       2        1,196
FEDERAL REALTY INVS TRUST        EQUITY    313747 20 6     111      1,475 SH         SOLE       1        1,475
FEDERAL SIGNAL CORP              EQUITY    313855 10 8    2527    136,596 SH         SOLE       1      136,596
FEDERATED DEPARTMENT STORES IN   EQUITY    31410H 10 1    9295    127,322 SH         SOLE       1      127,322
FEDERATED DEPT STORES INC        EQUITY    31410H 10 1      25        336 SH         SOLE       2          336
FEDERATED INVESTORS INC          EQUITY    314211 10 3   13387    342,820 SH         SOLE       1      342,820
FEDERATED INVS INC PA            EQUITY    314211 10 3       4        104 SH         SOLE       2          104
FEDEX CORP                       EQUITY    31428X 10 6   14972    132,566 SH         SOLE       1      132,566
FEDEX CORP                       EQUITY    31428X 10 6    1285     11,376 SH         SOLE       2       11,376
FEDEX CORP                       EQUITY    31428X 10 6      40        358 SH       DEFINED      4                             358
FEI CO                           EQUITY    30241L 10 9     361     18,162 SH         SOLE       1       18,162
FELCOR LODGING TRUST INC         EQUITY    31430F 10 1     803     38,046 SH         SOLE       1       38,046
FERRO CORP                       EQUITY    315405 10 0    2377    118,864 SH         SOLE       1      118,864
FIDELITY BANKSHARES INC          EQUITY    31604Q 10 7     574     17,058 SH         SOLE       1       17,058
FIDELITY NATIONAL FINANCIAL IN   EQUITY    316326 10 7   12962    364,813 SH         SOLE       1      364,813
FIDELITY NATIONAL INFORMATION    EQUITY    31620M 10 6    8040    198,275 SH         SOLE       1      198,275
FIDELITY NATIONAL TITLE GROUP    EQUITY    31620R 10 5      19        852 SH         SOLE       1          852
FIELDSTONE INVESTMENT CORP       EQUITY    31659U 30 0    2701    228,895 SH         SOLE       1      228,895
FIFTH THIRD BANCORP              EQUITY    316773 10 0   16223    412,177 SH         SOLE       1      412,177
FIFTH THIRD BANCORP              EQUITY    316773 10 0      27        687 SH         SOLE       2          687
FILENET CORP                     EQUITY    316869 10 6     841     31,130 SH         SOLE       1       31,130
FINANCIAL FEDERAL CORP           EQUITY    317492 10 6     582     19,870 SH         SOLE       1       19,870
FINANCIAL INSTITUTIONS INC       EQUITY    317585 40 4     130      6,870 SH         SOLE       1        6,870
FINANCIAL SELECT SECTOR SPDR F   EQUITY    81369Y 60 5     204      6,270 SH       DEFINED      4                           6,270
FINISAR CORP                     EQUITY    31787A 10 1    3395    689,966 SH         SOLE       1      689,966
FINISAR CORP                     EQUITY    31787A 10 1     717    144,800 SH         SOLE       3      144,800
FINISH LINE                      EQUITY    317923 10 0     526     32,005 SH         SOLE       1       32,005
FIRST ACCEPTANCE CORP            EQUITY    318457 10 8     172     12,915 SH         SOLE       1       12,915
FIRST ADVANTAGE CORP             EQUITY    31845F 10 0     146      6,050 SH         SOLE       1        6,050
FIRST AMERICAN CORP              EQUITY    318522 30 7    7871    201,002 SH         SOLE       1      201,002
FIRST BANCORP/PUERTO RICO        EQUITY    318672 10 2     643     52,049 SH         SOLE       1       52,049
FIRST BANCORP/TROY NC            EQUITY    318910 10 6     194      8,656 SH         SOLE       1        8,656
FIRST BUSEY CORP                 EQUITY    319383 10 5     224     10,628 SH         SOLE       1       10,628
FIRST CASH FINANCIAL SERVICES    EQUITY    31942D 10 7     388     19,420 SH         SOLE       1       19,420
FIRST CHARTER CORP               EQUITY    319439 10 5     571     23,106 SH         SOLE       1       23,106
FIRST CITIZENS BANCSHARES INC/   EQUITY    31946M 10 3     885      4,586 SH         SOLE       1        4,586
FIRST COMMONWEALTH FINANCIAL C   EQUITY    319829 10 7     780     53,182 SH         SOLE       1       53,182
FIRST COMMUNITY BANCORP INC/CA   EQUITY    31983B 10 1     644     11,169 SH         SOLE       1       11,169
FIRST COMMUNITY BANCSHARES INC   EQUITY    31983A 10 3     245      7,663 SH         SOLE       1        7,663
FIRST DATA CORP                  EQUITY    319963 10 4   23876    509,948 SH         SOLE       1      509,948
FIRST DATA CORP                  EQUITY    319963 10 4      44        948 SH         SOLE       2          948





                                                                                         
FIRST DATA CORP                  EQUITY    319963 10 4       7        150 SH       DEFINED      4                             150
FIRST DEFIANCE FINANCIAL CORP    EQUITY    32006W 10 6     141      5,344 SH         SOLE       1        5,344
FIRST FINANCIAL BANCORP          EQUITY    320209 10 9     408     24,503 SH         SOLE       1       24,503
FIRST FINANCIAL BANKSHARES INC   EQUITY    32020R 10 9     536     13,986 SH         SOLE       1       13,986
FIRST FINANCIAL BANKSHARES INC   EQUITY    32020R 10 9     117      3,063 SH       DEFINED      4                           3,063
FIRST FINANCIAL CORP/IN          EQUITY    320218 10 0     306     10,260 SH         SOLE       1       10,260
FIRST FINANCIAL HOLDINGS INC     EQUITY    320239 10 6     298      9,393 SH         SOLE       1        9,393
FIRST HORIZON NATIONAL CORP      EQUITY    320517 10 5   10544    253,168 SH         SOLE       1      253,168
FIRST HORIZON NATIONAL CORP      EQUITY    320517 10 5      58      1,385 SH       DEFINED      4                           1,385
FIRST HORIZON NATL CORP          EQUITY    320517 10 5       6        156 SH         SOLE       2          156
FIRST HORIZON PHARMACEUTICAL C   EQUITY    32051K 10 6    1578     62,601 SH         SOLE       1       62,601
FIRST HORIZON PHARMACEUTICAL C   EQUITY    32051K 10 6    4558    180,800 SH         SOLE       3      180,800
FIRST INDIANA CORP               EQUITY    32054R 10 8     284     10,163 SH         SOLE       1       10,163
FIRST INDUSTRIAL REALTY TRUST    EQUITY    32054K 10 3    6581    154,148 SH         SOLE       1      154,148
FIRST MARBLEHEAD CORP/THE        EQUITY    320771 10 8      28        636 SH         SOLE       1          636
FIRST MERCHANTS CORP             EQUITY    320817 10 9     373     14,068 SH         SOLE       1       14,068
FIRST MIDWEST BANCORP INC/IL     EQUITY    320867 10 4    1271     34,749 SH         SOLE       1       34,749
FIRST NIAGARA FINANCIAL GROUP    EQUITY    33582V 10 8    4663    318,053 SH         SOLE       1      318,053
FIRST OAK BROOK BANCSHARES INC   EQUITY    335847 20 8     135      5,035 SH         SOLE       1        5,035
FIRST PLACE FINANCIAL CORP/OH    EQUITY    33610T 10 9     283     11,394 SH         SOLE       1       11,394
FIRST POTOMAC REALTY TRUST       EQUITY    33610F 10 9     421     14,903 SH         SOLE       1       14,903
FIRST REGIONAL BANCORP/LOS ANG   EQUITY    33615C 10 1     164      1,841 SH         SOLE       1        1,841
FIRST REPUBLIC BANK/SAN FRANCI   EQUITY    336158 10 0     623     16,461 SH         SOLE       1       16,461
FIRST SOUTH BANCORP INC/WASHIN   EQUITY    33646W 10 0     140      3,688 SH         SOLE       1        3,688
FIRST STATE BANCORPORATION/NM    EQUITY    336453 10 5     310     11,673 SH         SOLE       1       11,673
FIRSTENERGY CORP                 EQUITY    337932 10 7    7056    144,298 SH         SOLE       1      144,298
FIRSTENERGY CORP                 EQUITY    337932 10 7      20        408 SH         SOLE       2          408
FIRSTFED FINANCIAL CORP          EQUITY    337907 10 9    1458     24,371 SH         SOLE       1       24,371
FIRSTMERIT CORP                  EQUITY    337915 10 2    4149    168,241 SH         SOLE       1      168,241
FISERV INC                       EQUITY    337738 10 8    4213     99,008 SH         SOLE       1       99,008
FISERV INC                       EQUITY    337738 10 8      10        228 SH         SOLE       2          228
FISHER COMMUNICATIONS INC        EQUITY    337756 20 9     225      5,029 SH         SOLE       1        5,029
FISHER SCIENTIFIC INTERNATIONA   EQUITY    338032 20 4    3877     56,976 SH         SOLE       1       56,976
FISHER SCIENTIFIC INTERNATIONA   EQUITY    338032 20 4       7        100 SH       DEFINED      4                             100
FISHER SCIENTIFIC INTL           CORP BOND 338032 AX 3    2148  2,000,000 PRN        SOLE       1    2,000,000
FISHER SCIENTIFIC INTL           CORP BOND 338032 AW 5       2      1,000 PRN      DEFINED      4                           1,000
FISHER SCIENTIFIC INTL INC       EQUITY    338032 20 4   12988    190,853 SH         SOLE       2      190,853
FLAG FINANCIAL CORP              EQUITY    33832H 10 7       7        400 SH       DEFINED      4                             400
FLAGSTAR BANCORP INC             EQUITY    337930 10 1     397     26,320 SH         SOLE       1       26,320
FLAHERTY & CRUMRINE PREFERRED    EQUITY    33848E 10 6       6        524 SH       DEFINED      4                             524
FLAHERTY & CRUMRINE PREFERRED    EQUITY    338480 10 6     863     53,669 SH       DEFINED      4                          53,669
FLANDERS CORP                    EQUITY    338494 10 7     767     65,682 SH         SOLE       1       65,682
FLEETWOOD ENTERPRISES INC        EQUITY    339099 10 3     536     48,000 SH         SOLE       1       48,000
FLIR SYS INC                     EQUITY    302445 10 1    5614    197,600 SH         SOLE       2      197,600
FLIR SYSTEMS INC                 EQUITY    302445 10 1      42      1,490 SH         SOLE       1        1,490
FLIR SYSTEMS INC                 EQUITY    302445 10 1     125      4,399 SH       DEFINED      4                           4,399
FLORIDA EAST COAST INDUSTRIES    EQUITY    340632 10 8    1328     24,635 SH         SOLE       1       24,635
FLORIDA EAST COAST INDUSTRIES    EQUITY    340632 10 8       6        115 SH       DEFINED      4                             115
FLORIDA ROCK INDS INC            EQUITY    341140 10 1     214      3,800 SH         SOLE       2        3,800
FLORIDA ROCK INDUSTRIES INC      EQUITY    341140 10 1    6718    119,493 SH         SOLE       1      119,493
FLOW INTERNATIONAL CORP          EQUITY    343468 10 4    1036     78,700 SH         SOLE       1       78,700
FLOWERS FOODS INC                EQUITY    343498 10 1    2553     85,972 SH         SOLE       1       85,972
FLOWSERVE CORP                   EQUITY    34354P 10 5    9255    158,631 SH         SOLE       1      158,631
FLUOR CORP                       EQUITY    343412 10 2    7528     87,742 SH         SOLE       1       87,742
FLUOR CORP NEW                   EQUITY    343412 10 2    6461     75,307 SH         SOLE       2       75,307
FLUSHING FINANCIAL CORP          EQUITY    343873 10 5     255     14,617 SH         SOLE       1       14,617
FMC CORP                         EQUITY    302491 30 3    5048     81,440 SH         SOLE       1       81,440
FMC TECHNOLOGIES INC             EQUITY    30249U 10 1    7365    143,789 SH         SOLE       1      143,789
FMC TECHNOLOGIES INC             EQUITY    30249U 10 1      61      1,200 SH       DEFINED      4                           1,200





                                                                                         
FNB CORP/PA                      EQUITY    302520 10 1     731     42,773 SH         SOLE       1       42,773
FNB CORP/VA                      EQUITY    302930 10 2     188      5,538 SH         SOLE       1        5,538
FNX MINING CO INC                EQUITY    30253R 10 1    1863    167,300 SH        OTHER       1                 167,300
FOCUS MEDIA HOLDING LTD          EQUITY    34415V 10 9      12        205 SH       DEFINED      4                             205
FOMENTO ECONOMICO MEXICANO SA    EQUITY    344419 10 6       6         69 SH       DEFINED      4                              69
FOOT LOCKER INC                  EQUITY    344849 10 4    7829    327,864 SH         SOLE       1      327,864
FORD MOTOR CO                    EQUITY    345370 86 0    9138  1,148,014 SH         SOLE       1    1,148,014
FORD MOTOR CO                    EQUITY    345370 86 0       1        125 SH       DEFINED      4                             125
FORD MTR CO DEL                  EQUITY    345370 86 0      18      2,304 SH         SOLE       2        2,304
FORDING CANADIAN COAL TRUST      EQUITY    345425 10 2     581     15,303 SH       DEFINED      4                          15,303
FOREST CITY ENTERPRISES INC      EQUITY    345550 10 7      76      1,610 SH         SOLE       1        1,610
FOREST LABORATORIES INC          EQUITY    345838 10 6    8899    199,389 SH         SOLE       1      199,389
FOREST LABS INC                  EQUITY    345838 10 6      18        403 SH         SOLE       2          403
FOREST OIL CORP                  EQUITY    346091 70 5    5214    140,235 SH         SOLE       1      140,235
FORMFACTOR INC                   EQUITY    346375 10 8    1011     25,723 SH         SOLE       1       25,723
FORRESTER RESEARCH INC           EQUITY    346563 10 9     220      9,849 SH         SOLE       1        9,849
FORTUNE BRANDS INC               EQUITY    349631 10 1    5428     67,322 SH         SOLE       1       67,322
FORTUNE BRANDS INC               EQUITY    349631 10 1    2038     25,281 SH         SOLE       2       25,281
FORTUNE BRANDS INC               EQUITY    349631 10 1      23        285 SH       DEFINED      4                             285
FORTUNET INC                     EQUITY    34969Q 10 0    1081     75,300 SH         SOLE       3       75,300
FORWARD AIR CORP                 EQUITY    349853 10 1     916     24,574 SH         SOLE       1       24,574
FORWARD INDUSTRIES INC           EQUITY    349862 30 0       8        735 SH       DEFINED      4                             735
FOSSIL INC                       EQUITY    349882 10 0     684     36,806 SH         SOLE       1       36,806
FOUNDATION COAL HOLDINGS INC     EQUITY    35039W 10 0    3636     88,381 SH         SOLE       1       88,381
FOUNDRY NETWORKS INC             EQUITY    35063R 10 0    1690     93,057 SH         SOLE       1       93,057
FOXHOLLOW TECHNOLOGIES INC       EQUITY    35166A 10 3     323     10,558 SH         SOLE       1       10,558
FPIC INS GROUP INC               EQUITY    302563 10 1     325      8,600 SH         SOLE       2        8,600
FPIC INSURANCE GROUP INC         EQUITY    302563 10 1     292      7,727 SH         SOLE       1        7,727
FPL GROUP INC                    EQUITY    302571 10 4    7087    176,569 SH         SOLE       1      176,569
FPL GROUP INC                    EQUITY    302571 10 4    6398    159,399 SH         SOLE       2      159,399
FRANKLIN BANK CORP               EQUITY    352451 10 8    4788    249,000 SH         SOLE       2      249,000
FRANKLIN BANK CORP/HOUSTON TX    EQUITY    352451 10 8     295     15,364 SH         SOLE       1       15,364
FRANKLIN ELECTRIC CO INC         EQUITY    353514 10 2     923     16,896 SH         SOLE       1       16,896
FRANKLIN RES INC                 EQUITY    354613 10 1      18        189 SH         SOLE       2          189
FRANKLIN RESOURCES INC           EQUITY    354613 10 1    6274     66,579 SH         SOLE       1       66,579
FREDDIE MAC                      EQUITY    313400 30 1   40655    666,469 SH         SOLE       1      666,469
FREDDIE MAC                      EQUITY    313400 30 1       6        100 SH       DEFINED      4                             100
FRED'S INC                       EQUITY    356108 10 0     401     30,274 SH         SOLE       1       30,274
FREEPORT MCMORAN COPPER +        EQUITY    35671D 85 7    9457    158,227 SH         SOLE       2      158,227
FREEPORT-MCMORAN COPPER & GOLD   EQUITY    35671D 85 7    7806    130,594 SH         SOLE       1      130,594
FREEPORT-MCMORAN COPPER & GOLD   EQUITY    35671D 85 7    2194     36,700 SH         SOLE       3       34,400
FREESCALE SEMICONDUCTOR IN       EQUITY    35687M 20 6      14        507 SH         SOLE       2          507
FREESCALE SEMICONDUCTOR INC      EQUITY    35687M 20 6    5303    190,979 SH         SOLE       1      190,979
FREESCALE SEMICONDUCTOR INC      EQUITY    35687M 20 6       9        338 SH       DEFINED      4                             338
FREIGHTCAR AMERICA INC           EQUITY    357023 10 0     405      6,367 SH         SOLE       1        6,367
FREMONT GENERAL CORP             EQUITY    357288 10 9    2315    107,363 SH         SOLE       1      107,363
FRIEDMAN BILLINGS RAMSEY GROUP   EQUITY    358434 10 8      40      4,291 SH         SOLE       1        4,291
FRIEDMAN BILLINGS RAMSEY GROUP   EQUITY    358434 10 8       8        800 SH       DEFINED      4                             800
FRONTIER AIRLINES, INC.          EQUITY    359065 10 9     209     27,107 SH         SOLE       1       27,107
FRONTIER FINANCIAL CORP          EQUITY    35907K 10 5     619     18,726 SH         SOLE       1       18,726
FRONTIER OIL CORP                EQUITY    35914P 10 5    2473     41,670 SH         SOLE       1       41,670
FRONTIER OIL CORP                EQUITY    35914P 10 5    1300     21,900 SH         SOLE       2       21,900
FRONTLINE LTD                    EQUITY    G3682E 12 7     177      5,321 SH       DEFINED      4                           5,321
FROZEN FOOD EXPRESS INDUSTRIES   EQUITY    359360 10 4     119     11,397 SH         SOLE       1       11,397
FTD GROUP INC                    EQUITY    30267U 10 8      93      9,639 SH         SOLE       1        9,639
FTI CONSULTING INC               EQUITY    302941 10 9     847     29,678 SH         SOLE       1       29,678
FUELCELL ENERGY INC              EQUITY    35952H 10 6     420     36,642 SH         SOLE       1       36,642
FUELCELL ENERGY INC              EQUITY    35952H 10 6      10        900 SH       DEFINED      4                             900
FULTON FINANCIAL CORP            EQUITY    360271 10 0      86      5,020 SH         SOLE       1        5,020





                                                                                         
FURNITURE BRANDS INTERNATIONAL   EQUITY    360921 10 0    3500    142,781 SH         SOLE       1      142,781
FX ENERGY INC                    EQUITY    302695 10 1     138     26,347 SH         SOLE       1       26,347
G&K SERVICES INC                 EQUITY    361268 10 5     627     14,736 SH         SOLE       1       14,736
GABELLI EQUITY TRUST INC         EQUITY    362397 10 1     293     34,508 SH       DEFINED      4                          34,508
GAMCO INVESTORS INC              EQUITY    361438 10 4     217      5,423 SH         SOLE       1        5,423
GAMESTOP CORP                    EQUITY    36467W 10 9    7542    159,996 SH         SOLE       1      159,996
GANNETT CO INC                   EQUITY    364730 10 1    7586    126,604 SH         SOLE       1      126,604
GANNETT INC                      EQUITY    364730 10 1    3043     50,790 SH         SOLE       2       50,790
GAP INC                          EQUITY    364760 10 8   26761  1,432,609 SH         SOLE       2    1,432,609
GAP INC/THE                      EQUITY    364760 10 8   13355    714,949 SH         SOLE       1      714,949
GAP INC/THE                      EQUITY    364760 10 8      52      2,775 SH       DEFINED      4                           2,775
GARDNER DENVER INC               EQUITY    365558 10 5    1245     19,091 SH         SOLE       1       19,091
GARTNER INC                      EQUITY    366651 10 7    2277    163,251 SH         SOLE       1      163,251
GASCO ENERGY INC                 EQUITY    367220 10 0     321     57,335 SH         SOLE       1       57,335
GATEWAY INC                      EQUITY    367626 10 8     683    311,857 SH         SOLE       1      311,857
GATEWAY INC                      EQUITY    367626 10 8       1        327 SH         SOLE       2          327
GATX CORP                        EQUITY    361448 10 3    5729    138,756 SH         SOLE       1      138,756
GATX CORPORATION                 EQUITY    361448 10 3     446     10,800 SH         SOLE       2       10,800
GAYLORD ENTERTAINMENT CO         EQUITY    367905 10 6    1385     30,521 SH         SOLE       1       30,521
GAYLORD ENTMT CO NEW             EQUITY    367905 10 6    6557    144,500 SH         SOLE       2      144,500
GB&T BANCSHARES INC              EQUITY    361462 10 4     215      9,631 SH         SOLE       1        9,631
GEHL CO                          EQUITY    368483 10 3    1349     40,727 SH         SOLE       1       40,727
GEHL CO                          EQUITY    368483 10 3      17        525 SH       DEFINED      4                             525
GEMSTAR-TV GUIDE INTERNATIONAL   EQUITY    36866W 10 6     573    187,245 SH         SOLE       1      187,245
GENCORP INC                      EQUITY    368682 10 0     851     41,409 SH         SOLE       1       41,409
GENENTECH INC                    EQUITY    368710 40 6   21385    253,050 SH         SOLE       1      253,050
GENENTECH INC                    EQUITY    368710 40 6     955     11,300 SH         SOLE       2       11,300
GENENTECH INC                    EQUITY    368710 40 6       2         20 SH       DEFINED      4                              20
GENERAL CABLE CORP               EQUITY    369300 10 8     912     30,067 SH         SOLE       1       30,067
GENERAL CABLE CORP               EQUITY    369300 10 8     866     28,544 SH       DEFINED      4                          28,544
GENERAL COMMUNICATION INC        EQUITY    369385 10 9     510     42,150 SH         SOLE       1       42,150
GENERAL DYNAMICS CORP            EQUITY    369550 10 8   39099    611,114 SH         SOLE       1      611,114
GENERAL DYNAMICS CORP            EQUITY    369550 10 8     940     14,694 SH         SOLE       2       14,694
GENERAL DYNAMICS CORP            EQUITY    369550 10 8      23        360 SH       DEFINED      4                             360
GENERAL ELEC CO                  EQUITY    369604 10 3   60253  1,732,416 SH         SOLE       2    1,732,416
GENERAL ELECTRIC CO              EQUITY    369604 10 3  319441  9,184,668 SH         SOLE       1    9,184,668
GENERAL ELECTRIC CO              EQUITY    369604 10 3     886     25,466 SH       DEFINED      4                          25,466
GENERAL GROWTH PROPERTIES INC    EQUITY    370021 10 7     238      4,863 SH         SOLE       1        4,863
GENERAL MILLS INC                EQUITY    370334 10 4   36456    719,332 SH         SOLE       1      719,332
GENERAL MLS INC                  EQUITY    370334 10 4      22        440 SH         SOLE       2          440
GENERAL MOTORS CORP              EQUITY    370442 10 5    6177    290,419 SH         SOLE       1      290,419
GENERAL MOTORS CORP              EQUITY    370442 10 5      48      2,261 SH       DEFINED      4                           2,261
GENERAL MTRS CORP                EQUITY    370442 10 5    3532    166,044 SH         SOLE       2      166,044
GENERALE CABLE CORP DEL NE       EQUITY    369300 10 8     221      7,300 SH         SOLE       2        7,300
GENESCO INC                      EQUITY    371532 10 2     668     17,165 SH         SOLE       1       17,165
GENESCO INC                      EQUITY    371532 10 2     327      8,400 SH         SOLE       2        8,400
GENESEE & WYOMING INC            EQUITY    371559 10 5     814     26,547 SH         SOLE       1       26,547
GENESEE & WYOMING INC            EQUITY    371559 10 5     308     10,055 SH       DEFINED      4                          10,055
GENESIS HEALTHCARE CORP          EQUITY    37184D 10 1     662     15,072 SH         SOLE       1       15,072
GENESIS MICROCHIP INC            EQUITY    37184C 10 3     458     26,874 SH         SOLE       1       26,874
GENITOPE CORP                    EQUITY    37229P 50 7     192     22,039 SH         SOLE       1       22,039
GENLYTE GROUP INC                EQUITY    372302 10 9    1242     18,232 SH         SOLE       1       18,232
GENOMIC HEALTH INC               EQUITY    37244C 10 1      40      3,833 SH         SOLE       1        3,833
GEN-PROBE INC                    EQUITY    36866T 10 3    5938    107,734 SH         SOLE       1      107,734
GENTEX CORP                      EQUITY    371901 10 9    5662    324,308 SH         SOLE       1      324,308
GENTIVA HEALTH SERVICES INC      EQUITY    37247A 10 2     323     17,748 SH         SOLE       1       17,748
GENUINE PARTS CO                 EQUITY    372460 10 5    3551     81,024 SH         SOLE       1       81,024
GENUINE PARTS CO                 EQUITY    372460 10 5    3164     72,198 SH         SOLE       2       72,198
GENWORTH FINANCIAL INC           EQUITY    37247D 10 6    5741    171,737 SH         SOLE       1      171,737





                                                                                         
GENWORTH FINL INC                EQUITY    37247D 10 6      16        466 SH         SOLE       2          466
GENZYME CORP                     EQUITY    372917 10 4    8935    132,921 SH         SOLE       1      132,921
GENZYME CORP                     EQUITY    372917 10 4   24012    357,221 SH         SOLE       2      357,221
GEO GROUP INC/THE                EQUITY    36159R 10 3     242      7,272 SH         SOLE       1        7,272
GEORGIA GULF CORP                EQUITY    373200 20 3     674     25,947 SH         SOLE       1       25,947
GERON CORP                       EQUITY    374163 10 3     404     48,601 SH         SOLE       1       48,601
GETTY IMAGES INC                 EQUITY    374276 10 3      89      1,189 SH         SOLE       1        1,189
GETTY IMAGES INC                 EQUITY    374276 10 3    2389     31,900 SH         SOLE       2       31,900
GETTY REALTY CORP                EQUITY    374297 10 9     388     13,323 SH         SOLE       1       13,323
GETTY RLTY CORP NEW              EQUITY    374297 10 9      67      2,300 SH         SOLE       2        2,300
GEVITY HR INC                    EQUITY    374393 10 6     514     21,034 SH         SOLE       1       21,034
GFI GROUP INC                    EQUITY    361652 20 9     231      4,456 SH         SOLE       1        4,456
GIANT INDUSTRIES INC             EQUITY    374508 10 9     763     10,969 SH         SOLE       1       10,969
GIBRALTAR INDUSTRIES INC         EQUITY    374689 10 7     540     18,317 SH         SOLE       1       18,317
GILDAN ACTIVEWEAR INC            EQUITY    375916 10 3     328      6,900 SH         SOLE       2        6,900
GILDAN ACTIVEWEAR INC            EQUITY    375916 10 3     362      7,645 SH       DEFINED      4                           7,645
GILEAD SCIENCES INC              EQUITY    375558 10 3   75544  1,214,252 SH         SOLE       1    1,214,252
GILEAD SCIENCES INC              EQUITY    375558 10 3    1460     23,471 SH         SOLE       2       23,471
GLACIER BANCORP INC              EQUITY    37637Q 10 5     737     23,743 SH         SOLE       1       23,743
GLADSTONE CAPITAL CORP           EQUITY    376535 10 0     185      8,592 SH         SOLE       1        8,592
GLADSTONE INVESTMENT CORP        EQUITY    376546 10 7     190     12,592 SH         SOLE       1       12,592
GLAMIS GOLD LTD                  EQUITY    376775 10 2    2592     80,000 SH        OTHER       1                  80,000
GLATFELTER                       EQUITY    377316 10 4    2296    125,240 SH         SOLE       1      125,240
GLAXOSMITHKLINE PLC              EQUITY    37733W 10 5     936     17,900 SH         SOLE       2       17,900
GLAXOSMITHKLINE PLC              EQUITY    37733W 10 5      13        250 SH       DEFINED      4                             250
GLENAYRE TECHNOLOGIES INC        EQUITY    377899 10 9     267     50,890 SH         SOLE       1       50,890
GLENBOROUGH REALTY TRUST INC     EQUITY    37803P 10 5     500     22,973 SH         SOLE       1       22,973
GLIMCHER REALTY TRUST            EQUITY    379302 10 2     773     27,219 SH         SOLE       1       27,219
GLOBAL CASH ACCESS INC           EQUITY    378967 10 3     214     12,243 SH         SOLE       1       12,243
GLOBAL IMAGING SYSTEMS INC       EQUITY    37934A 10 0     678     17,847 SH         SOLE       1       17,847
GLOBAL INDUSTRIES INC            EQUITY    379336 10 0    2372    163,700 SH         SOLE       2      163,700
GLOBAL INDUSTRIES LTD            EQUITY    379336 10 0     912     62,965 SH         SOLE       1       62,965
GLOBAL PAYMENTS INC              EQUITY    37940X 10 2    1702     32,101 SH         SOLE       1       32,101
GLOBAL PMTS INC                  EQUITY    37940X 10 2     329      6,200 SH         SOLE       2        6,200
GLOBAL POWER EQUIPMENT GROUP I   EQUITY    37941P 10 8     105     27,185 SH         SOLE       1       27,185
GLOBAL SIGNAL INC                EQUITY    37944Q 10 3      18        366 SH         SOLE       1          366
GLOBALSANTAFE CORPORATION        EQUITY    G3930E 10 1    5589     92,000 SH         SOLE       2       92,000
GLOBETEL COMMUNICATIONS CORP     EQUITY    37958F 20 9     130     52,184 SH         SOLE       1       52,184
GMH COMMUNITIES TRUST            EQUITY    36188G 10 2     351     30,184 SH         SOLE       1       30,184
GOLD BANC CORP INC               EQUITY    379907 10 8     546     29,778 SH         SOLE       1       29,778
GOLD KIST INC                    EQUITY    380614 10 7     495     39,164 SH         SOLE       1       39,164
GOLDCORP INC                     EQUITY    380956 40 9    2148     73,375 SH        OTHER       1                  73,375
GOLDEN TELECOM INC               EQUITY    38122G 10 7    1038     34,538 SH         SOLE       1       34,538
GOLDEN WEST FINANCIAL CORP       EQUITY    381317 10 6    7567    111,447 SH         SOLE       1      111,447
GOLDEN WEST FINL CORP DEL        EQUITY    381317 10 6      22        317 SH         SOLE       2          317
GOLDMAN SACHS GROUP INC          EQUITY    38141G 10 4   29976    190,979 SH         SOLE       1      190,979
GOLDMAN SACHS GROUP INC          EQUITY    38141G 10 4   25714    163,823 SH         SOLE       2      163,823
GOLDMAN SACHS GROUP INC          EQUITY    38141G 10 4      13         82 SH       DEFINED      4                              82
GOLF GALAXY INC                  EQUITY    381639 10 3      75      3,447 SH         SOLE       1        3,447
GOODRICH CORP                    EQUITY    382388 10 6    2483     56,936 SH         SOLE       1       56,936
GOODRICH CORP                    EQUITY    382388 10 6   13203    302,753 SH         SOLE       2      302,753
GOODRICH PETROLEUM CORP          EQUITY    382410 40 5     210      7,782 SH         SOLE       1        7,782
GOODYEAR TIRE & RUBBER CO/THE    EQUITY    382550 10 1    2032    140,311 SH         SOLE       1      140,311
GOODYEAR TIRE AND RUBBER         EQUITY    382550 10 1       3        219 SH         SOLE       2          219
GOOGLE INC                       EQUITY    38259P 50 8   37690     96,640 SH         SOLE       1       96,640
GOOGLE INC                       EQUITY    38259P 50 8   11037     28,300 SH         SOLE       2       28,300
GOOGLE INC                       EQUITY    38259P 50 8       9         24 SH       DEFINED      4                              24
GORMAN-RUPP CO/THE               EQUITY    383082 10 4     170      6,961 SH         SOLE       1        6,961
GRACO INC                        EQUITY    384109 10 4    6537    143,889 SH         SOLE       1      143,889





                                                                                         
GRAFTECH INTERNATIONAL LTD       EQUITY    384313 10 2     453     74,215 SH         SOLE       1       74,215
GRAINGER W W INC                 EQUITY    384802 10 4       7         95 SH         SOLE       2           95
GRAMERCY CAPITAL CORP/NEW YORK   EQUITY    384871 10 9     314     12,600 SH         SOLE       1       12,600
GRANITE CONSTRUCTION INC         EQUITY    387328 10 7    4611     94,724 SH         SOLE       1       94,724
GRANT PRIDECO INC                EQUITY    38821G 10 1   22501    525,229 SH         SOLE       1      525,229
GRANT PRIDECO INC                EQUITY    38821G 10 1    1915     44,700 SH         SOLE       3       41,900
GRANT PRIDECO INC                EQUITY    38821G 10 1       3         63 SH       DEFINED      4                              63
GRAPHIC PACKAGING CORP           EQUITY    388688 10 3     103     49,534 SH         SOLE       1       49,534
GRAY TELEVISION INC              EQUITY    389375 10 6     276     32,880 SH         SOLE       1       32,880
GREAT AMERICAN FINANCIAL RESOU   EQUITY    389915 10 9     127      6,435 SH         SOLE       1        6,435
GREAT ATLANTIC & PACIFIC TEA C   EQUITY    390064 10 3     464     13,288 SH         SOLE       1       13,288
GREAT PLAINS ENERGY INC          EQUITY    391164 10 0    4435    157,566 SH         SOLE       1      157,566
GREAT SOUTHERN BANCORP INC       EQUITY    390905 10 7     229      7,916 SH         SOLE       1        7,916
GREAT WOLF RESORTS INC           EQUITY    391523 10 7     225     19,375 SH         SOLE       1       19,375
GREATBATCH INC                   EQUITY    39153L 10 6     945     43,110 SH         SOLE       1       43,110
GREATER BAY BANCORP              EQUITY    391648 10 2    3984    143,608 SH         SOLE       1      143,608
GREEN MOUNTAIN COFFEE ROASTERS   EQUITY    393122 10 6     133      3,357 SH         SOLE       1        3,357
GREENBRIER COS INC               EQUITY    393657 10 1     189      4,726 SH         SOLE       1        4,726
GREENBRIER COS INC               EQUITY    393657 10 1     421     10,500 SH         SOLE       2       10,500
GREENE COUNTY BANCSHARES INC     EQUITY    394361 20 8     180      6,153 SH         SOLE       1        6,153
GREENFIELD ONLINE INC            EQUITY    395150 10 5      75     12,496 SH         SOLE       1       12,496
GREENHILL & CO INC               EQUITY    395259 10 4     701     10,599 SH         SOLE       1       10,599
GREENHILL + CO INC               EQUITY    395259 10 4     317      4,800 SH         SOLE       2        4,800
GREIF INC                        EQUITY    397624 10 7     802     11,724 SH         SOLE       1       11,724
GREY WOLF INC                    EQUITY    397888 10 8    1080    145,131 SH         SOLE       1      145,131
GRIFFON CORP                     EQUITY    398433 10 2     551     22,162 SH         SOLE       1       22,162
GROUP 1 AUTOMOTIVE INC           EQUITY    398905 10 9    1124     23,640 SH         SOLE       1       23,640
GRUPO AEROPORTUARIO DEL PACIFI   EQUITY    400506 10 1    4533    141,890 SH         SOLE       1      141,890
GRUPO TELEVISA SA                EQUITY    40049J 20 6     510     25,640 SH       DEFINED      4                          25,640
GSI COMMERCE INC                 EQUITY    36238G 10 2     422     24,805 SH         SOLE       1       24,805
GTECH HOLDINGS CORP              EQUITY    400518 10 6    9543    280,254 SH         SOLE       1      280,254
GTX INC                          EQUITY    40052B 10 8      77      7,065 SH         SOLE       1        7,065
GUESS ? INC                      EQUITY    401617 10 5    1124     28,737 SH         SOLE       1       28,737
GUESS INC                        EQUITY    401617 10 5     336      8,600 SH         SOLE       2        8,600
GUIDANT CORP                     EQUITY    401698 10 5   13037    167,017 SH         SOLE       1      167,017
GUIDANT CORP                     EQUITY    401698 10 5      33        419 SH         SOLE       2          419
GUIDANT CORP                     EQUITY    401698 10 5       6         73 SH       DEFINED      4                              73
GUITAR CENTER INC                EQUITY    402040 10 9     938     19,668 SH         SOLE       1       19,668
GUITAR CTR INC                   EQUITY    402040 10 9    9731    204,000 SH         SOLE       2      204,000
GULF ISLAND FABRICATION INC      EQUITY    402307 10 2     189      7,996 SH         SOLE       1        7,996
GULFMARK OFFSHORE INC            EQUITY    402629 10 9     313     11,274 SH         SOLE       1       11,274
GYMBOREE CORP                    EQUITY    403777 10 5    2445     93,910 SH         SOLE       1       93,910
H&Q HEALTHCARE INVESTORS         EQUITY    404052 10 2     249     13,269 SH       DEFINED      4                          13,269
H&R BLOCK INC                    EQUITY    093671 10 5    3259    150,554 SH         SOLE       1      150,554
HAEMONETICS CORP/MASS            EQUITY    405024 10 0    1299     25,578 SH         SOLE       1       25,578
HAIN CELESTIAL GROUP INC         EQUITY    405217 10 0     582     22,211 SH         SOLE       1       22,211
HALLIBURTON CO                   EQUITY    406216 10 1   19401    265,688 SH         SOLE       1      265,688
HALLIBURTON CO                   EQUITY    406216 10 1    5311     72,738 SH         SOLE       2       72,738
HALLIBURTON CO                   EQUITY    406216 10 1      26        357 SH       DEFINED      4                             357
HALLIBURTON COMPANY              CORP BOND 406216 AM 3    2520  1,275,000 PRN        SOLE       1    1,275,000
HALLIBURTON COMPANY              CORP BOND 406216 AM 3       6      3,000 PRN      DEFINED      4                           3,000
HANCOCK HOLDING CO               EQUITY    410120 10 9     946     20,345 SH         SOLE       1       20,345
HANDLEMAN CO                     EQUITY    410252 10 0     151     15,702 SH         SOLE       1       15,702
HANDLEMAN CO                     EQUITY    410252 10 0       2        200 SH       DEFINED      4                             200
HANMI FINANCIAL CORP             EQUITY    410495 10 5     548     30,342 SH         SOLE       1       30,342
HANOVER COMPRESSOR CO            EQUITY    410768 10 5    4821    258,927 SH         SOLE       1      258,927
HANOVER INSURANCE GROUP INC/TH   EQUITY    410867 10 5    5918    112,899 SH         SOLE       1      112,899
HANSEN NAT CORP                  EQUITY    411310 10 5     466      3,700 SH         SOLE       2        3,700
HANSEN NATURAL CORP              EQUITY    411310 10 5    1430     11,347 SH         SOLE       1       11,347





                                                                                         
HANSEN NATURAL CORP              EQUITY    411310 10 5      50        397 SH       DEFINED      4                             397
HARBOR FLORIDA BANCSHARES INC    EQUITY    411901 10 1     599     15,821 SH         SOLE       1       15,821
HARLEY DAVIDSON INC              EQUITY    412822 10 8      17        337 SH         SOLE       2          337
HARLEY-DAVIDSON INC              EQUITY    412822 10 8   14414    277,827 SH         SOLE       1      277,827
HARLEY-DAVIDSON INC              EQUITY    412822 10 8      33        633 SH       DEFINED      4                             633
HARLEYSVILLE GROUP INC           EQUITY    412824 10 4     299     10,075 SH         SOLE       1       10,075
HARLEYSVILLE NATIONAL CORP       EQUITY    412850 10 9     477     20,955 SH         SOLE       1       20,955
HARMAN INTERNATIONAL INDUSTRIE   EQUITY    413086 10 9    3806     34,245 SH         SOLE       1       34,245
HARMAN INTL INDS INC NEW         EQUITY    413086 10 9       9         81 SH         SOLE       2           81
HARMONIC INC                     EQUITY    413160 10 2     354     55,586 SH         SOLE       1       55,586
HARRAH'S ENTERTAINMENT INC       EQUITY    413619 10 7    6641     85,182 SH         SOLE       1       85,182
HARRAHS ENTMT INC                EQUITY    413619 10 7      18        228 SH         SOLE       2          228
HARRIS & HARRIS GROUP INC        EQUITY    413833 10 4     220     15,783 SH         SOLE       1       15,783
HARRIS CORP                      EQUITY    413875 10 5   13302    281,290 SH         SOLE       1      281,290
HARRIS CORP                      EQUITY    413875 10 5     310      6,550 SH       DEFINED      4                           6,550
HARRIS INTERACTIVE INC           EQUITY    414549 10 5     219     38,916 SH         SOLE       1       38,916
HARSCO CORP                      EQUITY    415864 10 7    7258     87,845 SH         SOLE       1       87,845
HARTE-HANKS INC                  EQUITY    416196 10 3    3260    119,181 SH         SOLE       1      119,181
HARTFORD FINANCIAL SERVICES GR   EQUITY    416515 10 4   45913    569,974 SH         SOLE       1      569,974
HARTFORD FINANCIAL SERVICES GR   EQUITY    416515 10 4    1203     14,940 SH       DEFINED      4                          14,940
HARTFORD FINANCIAL SVCS GR       EQUITY    416515 10 4     779      9,674 SH         SOLE       2        9,674
HARTMARX CORP                    EQUITY    417119 10 4     175     19,615 SH         SOLE       1       19,615
HARVEST NATURAL RESOURCES INC    EQUITY    41754V 10 3     278     28,622 SH         SOLE       1       28,622
HASBRO INC                       EQUITY    418056 10 7    2976    141,022 SH         SOLE       1      141,022
HASBRO INC                       EQUITY    418056 10 7       5        220 SH         SOLE       2          220
HAVERTY FURNITURE COS INC        EQUITY    419596 10 1     212     14,800 SH         SOLE       1       14,800
HAWAIIAN ELECTRIC INDUSTRIES I   EQUITY    419870 10 0    4630    170,655 SH         SOLE       1      170,655
HAYES LEMMERZ INTERNATIONAL IN   EQUITY    420781 30 4      79     28,793 SH         SOLE       1       28,793
HB FULLER CO                     EQUITY    359694 10 6    2141     41,700 SH         SOLE       1       41,700
HCA INC                          EQUITY    404119 10 9    8150    177,982 SH         SOLE       1      177,982
HCA INC                          EQUITY    404119 10 9      23        504 SH         SOLE       2          504
HCC INSURANCE HOLDINGS INC       EQUITY    404132 10 2    7762    223,039 SH         SOLE       1      223,039
HEADWATERS INC                   EQUITY    42210P 10 2    1251     31,449 SH         SOLE       1       31,449
HEADWATERS INC                   EQUITY    42210P 10 2       8        200 SH       DEFINED      4                             200
HEALTH CARE PROPERTY INVESTORS   EQUITY    421915 10 9    2672     94,081 SH         SOLE       1       94,081
HEALTH CARE REIT INC             EQUITY    42217K 10 6      67      1,751 SH         SOLE       1        1,751
HEALTH CARE SELECT SECTOR SPDR   EQUITY    81369Y 20 9     112      3,500 SH       DEFINED      4                           3,500
HEALTH GRADES INC                EQUITY    42218Q 10 2    1641    307,800 SH         SOLE       3      307,800
HEALTH MANAGEMENT ASSOC          CORP BOND 421933 AF 9     701    700,000 PRN        SOLE       1      700,000
HEALTH MANAGEMENT ASSOC          CORP BOND 421933 AF 9       3      3,000 PRN      DEFINED      4                           3,000
HEALTH MANAGEMENT ASSOCIATES I   EQUITY    421933 10 2    2580    119,597 SH         SOLE       1      119,597
HEALTH MANAGEMENT ASSOCIATES I   EQUITY    421933 10 2      74      3,428 SH       DEFINED      4                           3,428
HEALTH MGMT ASSOC                EQUITY    421933 10 2     610     28,297 SH         SOLE       2       28,297
HEALTH NET INC                   EQUITY    42222G 10 8   12264    241,321 SH         SOLE       1      241,321
HEALTHCARE REALTY TRUST INC      EQUITY    421946 10 4    2484     66,449 SH         SOLE       1       66,449
HEALTHCARE REALTY TRUST INC      EQUITY    421946 10 4     125      3,333 SH       DEFINED      4                           3,333
HEALTHCARE SERVICES GROUP        EQUITY    421906 10 8     494     23,109 SH         SOLE       1       23,109
HEALTHCARE SVCS GROUP INC        EQUITY    421906 10 8    1625     76,100 SH         SOLE       2       76,100
HEALTHEXTRAS INC                 EQUITY    422211 10 2    1210     34,280 SH         SOLE       1       34,280
HEALTHEXTRAS INC                 EQUITY    422211 10 2     431     12,200 SH         SOLE       2       12,200
HEALTHTRONICS INC                EQUITY    42222L 10 7     213     25,730 SH         SOLE       1       25,730
HEALTHWAYS INC                   EQUITY    422245 10 0    1285     25,219 SH         SOLE       1       25,219
HEARST-ARGYLE TELEVISION INC     EQUITY    422317 10 7      21        885 SH         SOLE       1          885
HEARTLAND EXPRESS INC            EQUITY    422347 10 4     753     34,572 SH         SOLE       1       34,572
HEARTLAND FINANCIAL USA INC      EQUITY    42234Q 10 2     190      8,062 SH         SOLE       1        8,062
HEARTLAND PAYMENT SYSTEMS INC    EQUITY    42235N 10 8     154      6,233 SH         SOLE       1        6,233
HEARTLAND PMT SYS INC            EQUITY    42235N 10 8    5259    212,300 SH         SOLE       2      212,300
HECLA MINING CO                  EQUITY    422704 10 6     595     90,031 SH         SOLE       1       90,031
HEICO CORP                       EQUITY    422806 10 9     519     16,374 SH         SOLE       1       16,374





                                                                                         
HEIDRICK & STRUGGLES INTERNATI   EQUITY    422819 10 2     538     14,834 SH         SOLE       1       14,834
HEIDRICK + STRUGGLES INTL        EQUITY    422819 10 2    8344    230,000 SH         SOLE       2      230,000
HEINZ H J CO                     EQUITY    423074 10 3     330      8,714 SH         SOLE       2        8,714
HELMERICH & PAYNE INC            EQUITY    423452 10 1    7656    109,654 SH         SOLE       1      109,654
HENRY SCHEIN INC                 EQUITY    806407 10 2    8769    183,218 SH         SOLE       1      183,218
HERCULES INC                     EQUITY    427056 10 6    3303    239,367 SH         SOLE       1      239,367
HERCULES INC                     EQUITY    427056 10 6       2        140 SH         SOLE       2          140
HERCULES OFFSHORE INC            EQUITY    427093 10 9     238      6,991 SH         SOLE       1        6,991
HERITAGE COMMERCE CORP           EQUITY    426927 10 9     226      9,024 SH         SOLE       1        9,024
HERITAGE PROPERTY INVESTMENT T   EQUITY    42725M 10 7     829     20,939 SH         SOLE       1       20,939
HERLEY INDUSTRIES INC            EQUITY    427398 10 2     205      9,826 SH         SOLE       1        9,826
HERMAN MILLER INC                EQUITY    600544 10 0    4621    142,618 SH         SOLE       1      142,618
HERSHA HOSPITALITY TRUST         EQUITY    427825 10 4     151     15,431 SH         SOLE       1       15,431
HERSHEY CO / THE                 EQUITY    427866 10 8    6452    123,522 SH         SOLE       2      123,522
HERSHEY CO/THE                   EQUITY    427866 10 8    4087     78,252 SH         SOLE       1       78,252
HEWITT ASSOCIATES INC            EQUITY    42822Q 10 0      30      1,022 SH         SOLE       1        1,022
HEWLETT PACKARD CO               EQUITY    428236 10 3   18917    574,996 SH         SOLE       2      574,996
HEWLETT-PACKARD CO               EQUITY    428236 10 3   65552  1,992,476 SH         SOLE       1    1,992,476
HEWLETT-PACKARD CO               EQUITY    428236 10 3     120      3,661 SH       DEFINED      4                           3,661
HEXCEL CORP                      EQUITY    428291 10 8    1310     59,646 SH         SOLE       1       59,646
HIBBETT SPORTING GOODS INC       EQUITY    428565 10 5    1156     35,049 SH         SOLE       1       35,049
HIGHLAND HOSPITALITY CORP        EQUITY    430141 10 1     484     38,076 SH         SOLE       1       38,076
HIGHWOODS PROPERTIES INC         EQUITY    431284 10 8    5161    153,020 SH         SOLE       1      153,020
HILB ROGAL & HOBBS CO            EQUITY    431294 10 7    1005     24,377 SH         SOLE       1       24,377
HILLENBRAND INDUSTRIES INC       EQUITY    431573 10 4    7081    128,768 SH         SOLE       1      128,768
HILTON HOTELS CORP               CORP BOND 432848 AZ 2     516    425,000 PRN        SOLE       1      425,000
HILTON HOTELS CORP               EQUITY    432848 10 9    6033    236,960 SH         SOLE       1      236,960
HILTON HOTELS CORP               EQUITY    432848 10 9      10        407 SH         SOLE       2          407
HILTON HOTELS CORP               CORP BOND 432848 AZ 2       5      4,000 PRN      DEFINED      4                           4,000
HI-TECH PHARMACAL CO INC         EQUITY    42840B 10 1     165      5,857 SH         SOLE       1        5,857
HITTITE MICROWAVE CORP           EQUITY    43365Y 10 4     118      3,498 SH         SOLE       1        3,498
HJ HEINZ CO                      EQUITY    423074 10 3    5909    155,840 SH         SOLE       1      155,840
HNI CORP                         EQUITY    404251 10 0    6428    108,944 SH         SOLE       1      108,944
HNI CORP                         EQUITY    404251 10 0      15        257 SH       DEFINED      4                             257
HOLLINGER INTERNATIONAL INC      EQUITY    435569 10 8     376     44,887 SH         SOLE       1       44,887
HOLLY CORP                       EQUITY    435758 30 5    1158     15,618 SH         SOLE       1       15,618
HOLOGIC INC                      EQUITY    436440 10 1    2753     49,735 SH         SOLE       1       49,735
HOLOGIC INC                      EQUITY    436440 10 1     653     11,800 SH         SOLE       2       11,800
HOME DEPOT INC                   EQUITY    437076 10 2   41583    983,040 SH         SOLE       1      983,040
HOME DEPOT INC                   EQUITY    437076 10 2   12733    301,026 SH         SOLE       2      301,026
HOME DEPOT INC                   EQUITY    437076 10 2    1755     41,495 SH       DEFINED      4                          41,495
HOME PROPERTIES INC              EQUITY    437306 10 3    1224     23,956 SH         SOLE       1       23,956
HOME SOLUTIONS OF AMERICA INC    EQUITY    437355 10 0    1032    152,700 SH         SOLE       1      152,700
HOMEBANC CORP/ATLANTA GA         EQUITY    43738R 10 9     377     42,907 SH         SOLE       1       42,907
HOMESTORE INC                    EQUITY    437852 10 6     735    111,982 SH         SOLE       1      111,982
HONEYWELL INTERNATIONAL INC      EQUITY    438516 10 6   91905  2,149,017 SH         SOLE       1    2,149,017
HONEYWELL INTERNATIONAL INC      EQUITY    438516 10 6     145      3,400 SH       DEFINED      4                           3,400
HONEYWELL INTL INC               EQUITY    438516 10 6    3953     92,427 SH         SOLE       2       92,427
HOOKER FURNITURE CORP            EQUITY    439038 10 0     150      7,953 SH         SOLE       1        7,953
HOOPER HOLMES INC                EQUITY    439104 10 0     143     49,616 SH         SOLE       1       49,616
HORACE MANN EDUCATORS CORP       EQUITY    440327 10 4    2290    121,810 SH         SOLE       1      121,810
HORIZON FINANCIAL CORP           EQUITY    44041F 10 5     197      7,696 SH         SOLE       1        7,696
HORIZON HEALTH CORP              EQUITY    44041Y 10 4     158      8,005 SH         SOLE       1        8,005
HORIZON LINES INC                EQUITY    44044K 10 1     142     10,942 SH         SOLE       1       10,942
HORMEL FOODS CORP                EQUITY    440452 10 0    5200    153,850 SH         SOLE       1      153,850
HORNBECK OFFSHORE SERVICES INC   EQUITY    440543 10 6    1849     51,266 SH         SOLE       1       51,266
HORNBECK OFFSHORE SVCS INC       EQUITY    440543 10 6    2824     78,300 SH         SOLE       2       78,300
HOSPIRA INC                      EQUITY    441060 10 0    2930     74,256 SH         SOLE       1       74,256
HOSPIRA INC                      EQUITY    441060 10 0       8        199 SH         SOLE       2          199





                                                                                         
HOSPITALITY PROPERTIES TRUST     EQUITY    44106M 10 2   18266    418,279 SH         SOLE       1      418,279
HOSPITALITY PROPERTIES TRUST     EQUITY    44106M 10 2     201      4,612 SH       DEFINED      4                           4,612
HOST HOTELS & RESORTS INC        EQUITY    44107P 10 4     229     10,709 SH         SOLE       1       10,709
HOT TOPIC INC                    EQUITY    441339 10 8     494     34,078 SH         SOLE       1       34,078
HOUSEVALUES INC                  EQUITY    44183Y 10 2      40      4,865 SH         SOLE       1        4,865
HOUSTON EXPLORATION CO           EQUITY    442120 10 1    1149     21,798 SH         SOLE       1       21,798
HOVNANIAN ENTERPRISES INC        EQUITY    442487 20 3    3296     75,019 SH         SOLE       1       75,019
HRPT PROPERTIES TRUST            EQUITY    40426W 10 1      75      6,375 SH         SOLE       1        6,375
HRPT PROPERTIES TRUST            EQUITY    40426W 10 1      98      8,346 SH       DEFINED      4                           8,346
HSBC HOLDINGS PLC                CORP BOND 404280 60 4     859     35,000 PRN        SOLE       1       35,000
HUANENG POWER INTERNATIONAL IN   EQUITY    443304 10 0       3        100 SH       DEFINED      4                             100
HUB GROUP INC                    EQUITY    443320 10 6     675     14,818 SH         SOLE       1       14,818
HUBBELL INC                      EQUITY    443510 20 1    6538    127,546 SH         SOLE       1      127,546
HUDSON CITY BANCORP INC          EQUITY    443683 10 7     194     14,591 SH         SOLE       1       14,591
HUDSON HIGHLAND GROUP INC        EQUITY    443792 10 6     346     18,262 SH         SOLE       1       18,262
HUMAN GENOME SCIENCES INC        EQUITY    444903 10 8    1080     99,344 SH         SOLE       1       99,344
HUMANA INC                       EQUITY    444859 10 2    3963     75,272 SH         SOLE       1       75,272
HUMANA INC                       EQUITY    444859 10 2      11        202 SH         SOLE       2          202
HUNGARIAN TELEPHONE & CABLE      EQUITY    445542 10 3      47      2,932 SH         SOLE       1        2,932
HUNTINGTON BANCSHARES INC        EQUITY    446150 10 4       7        307 SH         SOLE       2          307
HUNTINGTON BANCSHARES INC/OH     EQUITY    446150 10 4   14470    599,652 SH         SOLE       1      599,652
HUNTINGTON BANCSHARES INC/OH     EQUITY    446150 10 4       4        150 SH       DEFINED      4                             150
HUNTSMAN CORP                    EQUITY    447011 10 7     546     28,275 SH         SOLE       1       28,275
HURON CONSULTING GROUP INC       EQUITY    447462 10 2     154      5,069 SH         SOLE       1        5,069
HUTCHINSON TECHNOLOGY INC        EQUITY    448407 10 6     580     19,209 SH         SOLE       1       19,209
HUTTIG BUILDING PRODUCTS INC     EQUITY    448451 10 4      99     10,654 SH         SOLE       1       10,654
HYDRIL                           EQUITY    448774 10 9    1125     14,431 SH         SOLE       1       14,431
HYPERCOM CORP                    EQUITY    44913M 10 5     372     39,993 SH         SOLE       1       39,993
HYPERION SOLUTIONS CORP          EQUITY    44914M 10 4      48      1,479 SH         SOLE       1        1,479
IAC/INTERACTIVECORP              EQUITY    44919P 30 0     598     20,280 SH         SOLE       1       20,280
IAC/INTERACTIVECORP              EQUITY    44919P 30 0      36      1,217 SH       DEFINED      4                           1,217
IAMGOLD CORP                     EQUITY    450913 10 8    1948    226,200 SH        OTHER       1                 226,200
IBERIABANK CORP                  EQUITY    450828 10 8     412      7,287 SH         SOLE       1        7,287
IBM                              EQUITY    459200 10 1   92864  1,125,967 SH         SOLE       1    1,125,967
IBM                              EQUITY    459200 10 1    1033     12,525 SH       DEFINED      4                          12,525
ICOS CORP                        EQUITY    449295 10 4    1071     48,549 SH         SOLE       1       48,549
ICT GROUP INC                    EQUITY    44929Y 10 1     231      8,500 SH         SOLE       2        8,500
ICU MEDICAL INC                  EQUITY    44930G 10 7     381     10,514 SH         SOLE       1       10,514
IDACORP INC                      EQUITY    451107 10 6    3912    120,286 SH         SOLE       1      120,286
IDENIX PHARMACEUTICALS INC       EQUITY    45166R 20 4     149     10,956 SH         SOLE       1       10,956
IDENTIX INC                      EQUITY    451906 10 1     538     67,618 SH         SOLE       1       67,618
IDEX CORP                        EQUITY    45167R 10 4    1179     22,595 SH         SOLE       1       22,595
IDEX CORP                        EQUITY    45167R 10 4   12604    241,600 SH         SOLE       2      241,600
IDEXX LABORATORIES INC           EQUITY    45168D 10 4      69        796 SH         SOLE       1          796
IDT CORP                         EQUITY    448947 30 9     490     44,256 SH         SOLE       1       44,256
I-FLOW CORP                      EQUITY    449520 30 3     202     15,162 SH         SOLE       1       15,162
IGATE CORP                       EQUITY    45169U 10 5      95     16,019 SH         SOLE       1       16,019
IHOP CORP                        EQUITY    449623 10 7     685     14,292 SH         SOLE       1       14,292
IHS INC                          EQUITY    451734 10 7     316     11,543 SH         SOLE       1       11,543
II-VI INC                        EQUITY    902104 10 8     317     17,539 SH         SOLE       1       17,539
IKANOS COMMUNICATIONS INC        EQUITY    45173E 10 5     901     45,718 SH         SOLE       1       45,718
IKANOS COMMUNICATIONS INC        EQUITY    45173E 10 5    2962    150,300 SH         SOLE       3      150,300
IKON OFFICE SOLUTIONS INC        EQUITY    451713 10 1    1188     83,370 SH         SOLE       1       83,370
ILLINOIS TOOL WKS INC            EQUITY    452308 10 9      24        253 SH         SOLE       2          253
ILLINOIS TOOL WORKS INC          EQUITY    452308 10 9   11034    114,563 SH         SOLE       1      114,563
ILLUMINA INC                     EQUITY    452327 10 9     648     27,288 SH         SOLE       1       27,288
ILLUMINA INC                     EQUITY    452327 10 9     618     26,000 SH         SOLE       2       26,000
IMATION CORP                     EQUITY    45245A 10 7    4208     98,077 SH         SOLE       1       98,077
IMCLONE SYS INC                  EQUITY    45245W 10 9     572     16,800 SH         SOLE       2       16,800





                                                                                         
IMCLONE SYSTEMS INC              EQUITY    45245W 10 9      57      1,689 SH         SOLE       1        1,689
IMMUCOR INC                      EQUITY    452526 10 6    2196     76,545 SH         SOLE       1       76,545
IMMUNOGEN INC                    EQUITY    45253H 10 1     135     31,184 SH         SOLE       1       31,184
IMPAC MORTGAGE HOLDINGS INC      EQUITY    45254P 10 2     552     57,221 SH         SOLE       1       57,221
IMPERIAL OIL LTD                 EQUITY    453038 40 8    3620     33,600 SH        OTHER       1                  33,600
IMS HEALTH INC                   EQUITY    449934 10 8    4830    187,420 SH         SOLE       1      187,420
IMS HEALTH INC                   EQUITY    449934 10 8    7603    295,046 SH         SOLE       2      295,046
INCYTE CORP                      EQUITY    45337C 10 2     381     63,207 SH         SOLE       1       63,207
INDEPENDENCE COMMUNITY BANK CO   EQUITY    453414 10 4    6492    155,750 SH         SOLE       1      155,750
INDEPENDENCE HOLDING CO          EQUITY    453440 30 7      81      3,511 SH         SOLE       1        3,511
INDEPENDENT BANK CORP/MI         EQUITY    453838 10 4     480     16,884 SH         SOLE       1       16,884
INDEPENDENT BANK CORP/ROCKLAND   EQUITY    453836 10 8     376     11,707 SH         SOLE       1       11,707
INDUSTRIAL SELECT SECTOR SPDR    EQUITY    81369Y 70 4     157      4,650 SH       DEFINED      4                           4,650
INDYMAC BANCORP INC              EQUITY    456607 10 0    5546    135,502 SH         SOLE       1      135,502
INERGY L P                       EQUITY    456615 10 3   11058    413,400 SH         SOLE       2      413,400
INFINITY PROPERTY & CASUALTY C   EQUITY    45665Q 10 3     657     15,732 SH         SOLE       1       15,732
INFOCROSSING INC                 EQUITY    45664X 10 9     186     15,398 SH         SOLE       1       15,398
INFORMATICA CORP                 EQUITY    45666Q 10 2    1027     66,038 SH         SOLE       1       66,038
INFORMATICA CORP                 EQUITY    45666Q 10 2     442     28,400 SH         SOLE       2       28,400
INFORMATICA CORP                 EQUITY    45666Q 10 2       3        210 SH       DEFINED      4                             210
INFOSPACE INC                    EQUITY    45678T 20 1     832     29,780 SH         SOLE       1       29,780
INFOUSA INC                      EQUITY    456818 30 1     323     24,861 SH         SOLE       1       24,861
INFRASOURCE SERVICES INC         EQUITY    45684P 10 2     169      9,814 SH         SOLE       1        9,814
ING CLARION GLOBAL REAL ESTATE   EQUITY    44982G 10 4      11        600 SH       DEFINED      4                             600
ING GROEP N V                    EQUITY    456837 10 3    7860    199,500 SH         SOLE       2      199,500
ING GROEP NV                     EQUITY    456837 10 3       6        146 SH       DEFINED      4                             146
INGERSOLL RAND COMPANY LIM       EQUITY    G4776G 10 1      17        405 SH         SOLE       2          405
INGERSOLL-RAND CO LTD            EQUITY    G4776G 10 1      11        256 SH       DEFINED      4                             256
INGLES MARKETS INC               EQUITY    457030 10 4     151      8,485 SH         SOLE       1        8,485
INGRAM MICRO INC                 EQUITY    457153 10 4    4880    244,015 SH         SOLE       1      244,015
INLAND REAL ESTATE CORP          EQUITY    457461 20 0     834     51,121 SH         SOLE       1       51,121
INNKEEPERS USA TRUST             EQUITY    4576J0 10 4     551     32,526 SH         SOLE       1       32,526
INNOSPEC INC                     EQUITY    45768S 10 5     243      9,479 SH         SOLE       1        9,479
INNOVATIVE SOLUTIONS & SUPPORT   EQUITY    45769N 10 5     132     10,148 SH         SOLE       1       10,148
INNOVO GROUP INC                 EQUITY    457954 60 0      14     19,262 SH         SOLE       1       19,262
INPHONIC INC                     EQUITY    45772G 10 5      88     12,565 SH         SOLE       1       12,565
INPUT/OUTPUT INC                 EQUITY    457652 10 5     516     53,121 SH         SOLE       1       53,121
INSIGHT ENTERPRISES INC          EQUITY    45765U 10 3     810     36,809 SH         SOLE       1       36,809
INSITUFORM TECHNOLOGIES INC      EQUITY    457667 10 3     542     20,385 SH         SOLE       1       20,385
INSPIRE PHARMACEUTICALS INC      EQUITY    457733 10 3     167     31,988 SH         SOLE       1       31,988
INSWEB CORP                      EQUITY    45809K 20 2      24      9,194 SH         SOLE       1        9,194
INTEGRA BANK CORP                EQUITY    45814P 10 5     267     11,664 SH         SOLE       1       11,664
INTEGRA LIFESCIENCES HOLDINGS    EQUITY    457985 20 8     604     14,747 SH         SOLE       1       14,747
INTEGRAL SYSTEMS INC/MD          EQUITY    45810H 10 7     213      7,890 SH         SOLE       1        7,890
INTEGRATED DEVICE TECHNOLOGY I   EQUITY    458118 10 6    8481    570,705 SH         SOLE       1      570,705
INTEGRATED SILICON SOLUTION IN   EQUITY    45812P 10 7     186     28,008 SH         SOLE       1       28,008
INTEL CORP                       EQUITY    458140 10 0  117110  6,017,690 SH         SOLE       1    6,017,690
INTEL CORP                       EQUITY    458140 10 0    8523    440,474 SH         SOLE       2      440,474
INTEL CORP                       EQUITY    458140 10 0     117      6,039 SH       DEFINED      4                           6,039
INTER PARFUMS INC                EQUITY    458334 10 9      66      3,304 SH         SOLE       1        3,304
INTERACTIVE DATA CORP            EQUITY    45840J 10 7      24      1,010 SH         SOLE       1        1,010
INTERCHANGE FINANCIAL SERVICES   EQUITY    458447 10 9     259     13,630 SH         SOLE       1       13,630
INTERCONTINENTALEXCHANGE I       EQUITY    45865V 10 0     214      3,100 SH         SOLE       2        3,100
INTERCONTINENTALEXCHANGE INC     EQUITY    45865V 10 0     990     14,340 SH         SOLE       1       14,340
INTERCONTINENTALEXCHANGE INC     EQUITY    45865V 10 0      12        200 SH       DEFINED      4                             200
INTERCONTINENTALEXCHANGE INC     OPTION    917047 90 2      -2         -2     CALL DEFINED      4                              (2)
INTERDIGITAL COMMUNICATIONS CO   EQUITY    45866A 10 5     996     40,640 SH         SOLE       1       40,640
INTERFACE INC                    EQUITY    458665 10 6     479     34,721 SH         SOLE       1       34,721
INTERGRAPH CORP                  EQUITY    458683 10 9    1761     42,260 SH         SOLE       1       42,260





                                                                                         
INTERGRAPH CORP                  EQUITY    458683 10 9    4883    117,200 SH         SOLE       2      117,200
INTERLINE BRANDS INC             EQUITY    458743 10 1     240      9,496 SH         SOLE       1        9,496
INTERMAGNETICS GENERAL CORP      EQUITY    458771 10 2     802     32,007 SH         SOLE       1       32,007
INTERMEC INC                     EQUITY    458786 10 0    1137     37,251 SH         SOLE       1       37,251
INTERMEC INC                     EQUITY    458786 10 0       7        224 SH       DEFINED      4                             224
INTERMUNE INC                    EQUITY    45884X 10 3     352     19,011 SH         SOLE       1       19,011
INTERNATIONAL BANCSHARES CORP    EQUITY    459044 10 3      40      1,394 SH         SOLE       1        1,394
INTERNATIONAL BUSINESS MAC       EQUITY    459200 10 1   32430    393,237 SH         SOLE       2      393,237
INTERNATIONAL COAL GROUP I       EQUITY    45928H 10 6    6380    655,000 SH         SOLE       2      655,000
INTERNATIONAL DISPLAYWORKS INC   EQUITY    459412 10 2     218     33,308 SH         SOLE       1       33,308
INTERNATIONAL FLAVORS & FRAGRA   EQUITY    459506 10 1    1264     36,818 SH         SOLE       1       36,818
INTERNATIONAL FLAVOURS           EQUITY    459506 10 1       3         98 SH         SOLE       2           98
INTERNATIONAL GAME TECHNOL       EQUITY    459902 10 2      15        417 SH         SOLE       2          417
INTERNATIONAL GAME TECHNOLOGY    EQUITY    459902 10 2    6352    180,340 SH         SOLE       1      180,340
INTERNATIONAL PAPER CO           EQUITY    460146 10 3   21191    612,975 SH         SOLE       1      612,975
INTERNATIONAL PAPER CO           EQUITY    460146 10 3      21        609 SH         SOLE       2          609
INTERNATIONAL RECTIFIER CORP     EQUITY    460254 10 5    6169    148,912 SH         SOLE       1      148,912
INTERNATIONAL SECS EXCHANG       EQUITY    46031W 20 4    7081    170,000 SH         SOLE       2      170,000
INTERNATIONAL SECURITIES EXCHA   EQUITY    46031W 20 4     358      8,588 SH         SOLE       1        8,588
INTERNATIONAL SPEEDWAY CORP      EQUITY    460335 20 1    3768     74,037 SH         SOLE       1       74,037
INTERNET CAPITAL GROUP INC       EQUITY    46059C 20 5     275     29,200 SH         SOLE       1       29,200
INTERNET CAPITAL GROUP INC       EQUITY    46059C 20 5      66      6,970 SH       DEFINED      4                           6,970
INTERNET SECURITY SYSTEMS        EQUITY    46060X 10 7     714     29,767 SH         SOLE       1       29,767
INTERPOOL INC                    EQUITY    46062R 10 8     125      6,200 SH         SOLE       1        6,200
INTERPUBLIC GROUP COS INC        EQUITY    460690 10 0       5        532 SH         SOLE       2          532
INTERPUBLIC GROUP OF COS INC     EQUITY    460690 10 0    1902    198,983 SH         SOLE       1      198,983
INTERSIL CORP                    EQUITY    46069S 10 9    8818    304,918 SH         SOLE       1      304,918
INTER-TEL INC                    EQUITY    458372 10 9     349     16,289 SH         SOLE       1       16,289
INTERVIDEO INC                   EQUITY    46114Y 10 1      84      7,721 SH         SOLE       1        7,721
INTERVOICE INC                   EQUITY    461142 10 1     248     28,796 SH         SOLE       1       28,796
INTERWOVEN INC                   EQUITY    46114T 50 8     282     31,416 SH         SOLE       1       31,416
INTEVAC INC                      EQUITY    461148 10 8     446     15,489 SH         SOLE       1       15,489
INTEVAC INC                      EQUITY    461148 10 8     435     15,100 SH         SOLE       2       15,100
INTEVAC INC                      EQUITY    461148 10 8      16        565 SH       DEFINED      4                             565
INTL GAME TECHNOLOGY             CORP BOND 459902 AL 6    1535  2,050,000 PRN        SOLE       1    2,050,000
INTL GAME TECHNOLOGY             CORP BOND 459902 AL 6       3      4,000 PRN      DEFINED      4                           4,000
INTRADO INC                      EQUITY    46117A 10 0    1471     56,622 SH         SOLE       1       56,622
INTRALASE CORP                   EQUITY    461169 10 4     229      9,880 SH         SOLE       1        9,880
INTROGEN THERAPEUTICS INC        EQUITY    46119F 10 7      80     15,076 SH         SOLE       1       15,076
INTUIT                           EQUITY    461202 10 3      12        219 SH         SOLE       2          219
INTUIT INC                       EQUITY    461202 10 3    8314    156,310 SH         SOLE       1      156,310
INTUITIVE SURGICAL INC           EQUITY    46120E 60 2   12044    102,071 SH         SOLE       1      102,071
INVACARE CORP                    EQUITY    461203 10 1     721     23,199 SH         SOLE       1       23,199
INVERNESS MEDICAL INNOVATIONS    EQUITY    46126P 10 6     440     15,322 SH         SOLE       1       15,322
INVESTMENT TECHNOLOGY GROU       EQUITY    46145F 10 5    1245     25,000 SH         SOLE       2       25,000
INVESTMENT TECHNOLOGY GROUP IN   EQUITY    46145F 10 5    2562     51,445 SH         SOLE       1       51,445
INVESTORS BANCORP INC            EQUITY    46146P 10 2     563     40,407 SH         SOLE       1       40,407
INVESTORS FINANCIAL SERVICES C   EQUITY    461915 10 0    6427    137,131 SH         SOLE       1      137,131
INVESTORS REAL ESTATE TRUST      EQUITY    461730 10 3     323     33,855 SH         SOLE       1       33,855
INVITROGEN CORP                  EQUITY    46185R 10 0    7809    111,345 SH         SOLE       1      111,345
INVITROGEN CORP                  EQUITY    46185R 10 0    4839     69,000 SH         SOLE       2       69,000
INVITROGEN INC                   CORP BOND 46185R AD 2       3      3,000 PRN      DEFINED      4                           3,000
IONATRON INC                     EQUITY    462070 10 3     248     18,355 SH         SOLE       1       18,355
IOWA TELECOMMUNICATIONS SERVIC   EQUITY    462594 20 1     326     17,108 SH         SOLE       1       17,108
IPASS INC                        EQUITY    46261V 10 8     328     40,967 SH         SOLE       1       40,967
IPAYMENT INC                     EQUITY    46262E 10 5     677     15,798 SH         SOLE       1       15,798
IPC HOLDINGS LTD                 EQUITY    G4933P 10 1  431886 15,397,000 SH         SOLE       1   15,397,000
IRIS INTERNATIONAL INC           EQUITY    46270W 10 5     195     12,482 SH         SOLE       1       12,482
IROBOT CORP                      EQUITY    462726 10 0      96      3,470 SH         SOLE       1        3,470





                                                                                         
IRON MOUNTAIN INC                EQUITY    462846 10 6     109      2,673 SH         SOLE       1        2,673
IRWIN FINANCIAL CORP             EQUITY    464119 10 6     405     20,944 SH         SOLE       1       20,944
ISHARES COHEN & STEERS REALTY    EQUITY    464287 56 4     124      1,445 SH       DEFINED      4                           1,445
ISHARES COMEX GOLD TRUST         EQUITY    464285 10 5       3         50 SH       DEFINED      4                              50
ISHARES DOW JONES SELECT DIVID   EQUITY    464287 16 8    6492    103,537 SH       DEFINED      4                         103,537
ISHARES DOW JONES US BASIC MAT   EQUITY    464287 83 8    1271     22,695 SH       DEFINED      4                          22,695
ISHARES DOW JONES US CONSUMER    EQUITY    464287 81 2    1818     33,780 SH       DEFINED      4                          33,780
ISHARES DOW JONES US ENERGY SE   EQUITY    464287 79 6     276      2,995 SH       DEFINED      4                           2,995
ISHARES DOW JONES US FINANCIAL   EQUITY    464287 77 0     393      3,295 SH       DEFINED      4                           3,295
ISHARES DOW JONES US FINANCIAL   EQUITY    464287 78 8     758      7,205 SH       DEFINED      4                           7,205
ISHARES DOW JONES US HEALTHCAR   EQUITY    464287 76 2    1602     25,122 SH       DEFINED      4                          25,122
ISHARES DOW JONES US INDUSTRIA   EQUITY    464287 75 4      49        772 SH       DEFINED      4                             772
ISHARES DOW JONES US REAL ESTA   EQUITY    464287 73 9      84      1,146 SH       DEFINED      4                           1,146
ISHARES DOW JONES US TECHNOLOG   EQUITY    464287 72 1      72      1,385 SH       DEFINED      4                           1,385
ISHARES DOW JONES US TELECOMMU   EQUITY    464287 71 3    1536     59,350 SH       DEFINED      4                          59,350
ISHARES DOW JONES US UTILITIES   EQUITY    464287 69 7     533      7,045 SH       DEFINED      4                           7,045
ISHARES FTSE/XINHUA CHINA 25 I   EQUITY    464287 18 4      61        825 SH       DEFINED      4                             825
ISHARES GOLDMAN SACHS NATURAL    EQUITY    464287 37 4    1763     18,370 SH       DEFINED      4                          18,370
ISHARES GOLDMAN SACHS NETWORKI   EQUITY    464287 53 1    1224     33,525 SH       DEFINED      4                          33,525
ISHARES GOLDMAN SACHS SEMICOND   EQUITY    464287 52 3    1319     20,235 SH       DEFINED      4                          20,235
ISHARES GOLDMAN SACHS TECHNOLO   EQUITY    464287 54 9     975     19,715 SH       DEFINED      4                          19,715
ISHARES GS INVESTOP              CORP BOND 464287 24 2      21        200 PRN      DEFINED      4                             200
ISHARES INC                      EQUITY    464286 84 8     981     68,100 SH         SOLE       2       68,100
ISHARES LEHMAN 1-3 YEAR TREASU   EQUITY    464287 45 7     647      8,089 SH       DEFINED      4                           8,089
ISHARES LEHMAN 20+ YEAR TREASU   EQUITY    464287 43 2      93      1,072 SH       DEFINED      4                           1,072
ISHARES LEHMAN 7-10 YEAR TREAS   EQUITY    464287 44 0      37        450 SH       DEFINED      4                             450
ISHARES LEHMAN AGGREGATE BOND    EQUITY    464287 22 6      42        425 SH       DEFINED      4                             425
ISHARES LEHMAN TREASURY INFLAT   EQUITY    464287 17 6    3366     33,438 SH       DEFINED      4                          33,438
ISHARES MORNINGSTAR LARGE GROW   EQUITY    464287 11 9      25        408 SH       DEFINED      4                             408
ISHARES MORNINGSTAR LARGE VALU   EQUITY    464288 10 9      32        447 SH       DEFINED      4                             447
ISHARES MORNINGSTAR MID CORE I   EQUITY    464288 20 8      11        140 SH       DEFINED      4                             140
ISHARES MORNINGSTAR MID GROWTH   EQUITY    464288 30 7      34        405 SH       DEFINED      4                             405
ISHARES MORNINGSTAR MID VALUE    EQUITY    464288 40 6      33        418 SH       DEFINED      4                             418
ISHARES MORNINGSTAR SMALL CORE   EQUITY    464288 50 5       6         70 SH       DEFINED      4                              70
ISHARES MORNINGSTAR SMALL GROW   EQUITY    464288 60 4      22        292 SH       DEFINED      4                             292
ISHARES MORNINGSTAR SMALL VALU   EQUITY    464288 70 3      22        277 SH       DEFINED      4                             277
ISHARES MSCI AUSTRALIA INDEX F   EQUITY    464286 10 3     754     37,645 SH       DEFINED      4                          37,645
ISHARES MSCI BRAZIL INDEX FUND   EQUITY    464286 40 0     403     10,080 SH       DEFINED      4                          10,080
ISHARES MSCI EAFE GROWTH INDEX   EQUITY    464288 88 5    1326     21,521 SH       DEFINED      4                          21,521
ISHARES MSCI EAFE INDEX FUND     EQUITY    464287 46 5   22716    349,900 SH         SOLE       1      349,900
ISHARES MSCI EAFE INDEX FUND     EQUITY    464287 46 5     432      6,655 SH       DEFINED      4                           6,655
ISHARES MSCI EMERGING MARKETS    EQUITY    464287 23 4     259      2,613 SH       DEFINED      4                           2,613
ISHARES MSCI EMU INDEX FUND      EQUITY    464286 60 8      42        481 SH       DEFINED      4                             481
ISHARES MSCI GERMANY INDEX FUN   EQUITY    464286 80 6       5        200 SH       DEFINED      4                             200
ISHARES MSCI HONG KONG INDEX F   EQUITY    464286 87 1    2196    162,800 SH         SOLE       1      162,800
ISHARES MSCI HONG KONG INDEX F   EQUITY    464286 87 1     925     68,535 SH       DEFINED      4                          68,535
ISHARES MSCI JAPAN INDEX FUND    EQUITY    464286 84 8   11877    824,800 SH         SOLE       1      824,800
ISHARES MSCI MEXICO INDEX FUND   EQUITY    464286 82 2     821     21,425 SH       DEFINED      4                          21,425
ISHARES MSCI PACIFIC EX-JAPAN    EQUITY    464286 66 5      15        140 SH       DEFINED      4                             140
ISHARES MSCI SINGAPORE INDEX F   EQUITY    464286 67 3     788     89,749 SH       DEFINED      4                          89,749
ISHARES MSCI UNITED KINGDOM IN   EQUITY    464286 69 9     723     35,844 SH       DEFINED      4                          35,844
ISHARES NASDAQ BIOTECHNOLOGY I   EQUITY    464287 55 6    1606     19,500 SH         SOLE       1       19,500
ISHARES NASDAQ BIOTECHNOLOGY I   EQUITY    464287 55 6    1160     14,081 SH       DEFINED      4                          14,081
ISHARES RUSSELL                  EQUITY    464287 63 0    5830     78,000 SH         SOLE       2       78,000
ISHARES RUSSELL 1000 GROWTH IN   EQUITY    464287 61 4     383      7,262 SH       DEFINED      4                           7,262
ISHARES RUSSELL 1000 INDEX FUN   EQUITY    464287 62 2     117      1,660 SH       DEFINED      4                           1,660
ISHARES RUSSELL 1000 VALUE IND   EQUITY    464287 59 8    2518     34,442 SH       DEFINED      4                          34,442
ISHARES RUSSELL 2000 GROWTH IN   EQUITY    464287 64 8      24        300 SH       DEFINED      4                             300
ISHARES RUSSELL 2000 INDEX FUN   EQUITY    464287 65 5    4543     59,800 SH         SOLE       1       59,800





                                                                                         
ISHARES RUSSELL 2000 INDEX FUN   EQUITY    464287 65 5     133      1,755 SH       DEFINED      4                           1,755
ISHARES RUSSELL 2000 VALUE IND   EQUITY    464287 63 0     184      2,463 SH       DEFINED      4                           2,463
ISHARES RUSSELL 3000 GROWTH IN   EQUITY    464287 67 1      15        350 SH       DEFINED      4                             350
ISHARES RUSSELL 3000 VALUE IND   EQUITY    464287 66 3     119      1,247 SH       DEFINED      4                           1,247
ISHARES RUSSELL MICROCAP INDEX   EQUITY    464288 86 9      45        770 SH       DEFINED      4                             770
ISHARES RUSSELL MIDCAP GROWTH    EQUITY    464287 48 1      69        676 SH       DEFINED      4                             676
ISHARES RUSSELL MIDCAP INDEX F   EQUITY    464287 49 9     120      1,269 SH       DEFINED      4                           1,269
ISHARES RUSSELL MIDCAP VALUE I   EQUITY    464287 47 3     130        976 SH       DEFINED      4                             976
ISHARES S&P 100 INDEX FUND       EQUITY    464287 10 1     207      3,498 SH       DEFINED      4                           3,498
ISHARES S&P 500 GROWTH INDEX F   EQUITY    464287 30 9     453      7,432 SH       DEFINED      4                           7,432
ISHARES S&P 500 INDEX FUND/US    EQUITY    464287 20 0     190      1,460 SH       DEFINED      4                           1,460
ISHARES S&P 500 VALUE INDEX FU   EQUITY    464287 40 8     571      8,306 SH       DEFINED      4                           8,306
ISHARES S&P GLOBAL 100 INDEX F   EQUITY    464287 57 2     184      2,800 SH         SOLE       1        2,800
ISHARES S&P GLOBAL 100 INDEX F   EQUITY    464287 57 2       9        135 SH       DEFINED      4                             135
ISHARES S&P GLOBAL ENERGY SECT   EQUITY    464287 34 1      31        300 SH       DEFINED      4                             300
ISHARES S&P GLOBAL HEALTHCARE    EQUITY    464287 32 5      31        565 SH       DEFINED      4                             565
ISHARES S&P LATIN AMERICA 40 I   EQUITY    464287 39 0     102        730 SH       DEFINED      4                             730
ISHARES S&P MIDCAP 400 GROWTH    EQUITY    464287 60 6      14        180 SH       DEFINED      4                             180
ISHARES S&P MIDCAP 400 INDEX F   EQUITY    464287 50 7     120      1,509 SH       DEFINED      4                           1,509
ISHARES S&P MIDCAP 400/BARRA V   EQUITY    464287 70 5     151      1,975 SH       DEFINED      4                           1,975
ISHARES S&P SMALLCAP 600 INDEX   EQUITY    464287 80 4     329      5,047 SH       DEFINED      4                           5,047
ISHARES S&P SMALLCAP 600 VALUE   EQUITY    464287 87 9     563      7,738 SH       DEFINED      4                           7,738
ISHARES S&P SMALLCAP 600/BARRA   EQUITY    464287 88 7     509      3,933 SH       DEFINED      4                           3,933
ISIS PHARMACEUTICALS INC         EQUITY    464330 10 9     495     54,903 SH         SOLE       1       54,903
ISLE OF CAPRI CASINOS INC        EQUITY    464592 10 4     357     10,740 SH         SOLE       1       10,740
ISTA PHARMACEUTICALS INC         EQUITY    45031X 20 4      66     10,346 SH         SOLE       1       10,346
ISTAR FINANCIAL INC              EQUITY    45031U 10 1    4955    129,448 SH         SOLE       1      129,448
ITC HOLDINGS CORP                EQUITY    465685 10 5     256      9,750 SH         SOLE       1        9,750
ITLA CAPITAL CORP                EQUITY    450565 10 6     211      4,376 SH         SOLE       1        4,376
ITRON INC                        EQUITY    465741 10 6    1738     29,045 SH         SOLE       1       29,045
ITRON INC                        EQUITY    465741 10 6     569      9,500 SH         SOLE       2        9,500
ITT EDUCATIONAL SERVICES INC     EQUITY    45068B 10 9    5187     80,977 SH         SOLE       1       80,977
ITT INDS INC                     EQUITY    450911 10 2   33948    603,850 SH         SOLE       2      603,850
ITT INDUSTRIES INC               EQUITY    450911 10 2   11091    197,274 SH         SOLE       1      197,274
IVANHOE MINES LTD/CA             EQUITY    46579N 10 3    5101    536,400 SH        OTHER       1                 536,400
IVILLAGE INC                     EQUITY    46588H 10 5     303     35,993 SH         SOLE       1       35,993
IXIA                             EQUITY    45071R 10 9     356     24,987 SH         SOLE       1       24,987
IXYS CORP                        EQUITY    46600W 10 6     173     18,785 SH         SOLE       1       18,785
IXYS CORP                        EQUITY    46600W 10 6      15      1,615 SH       DEFINED      4                           1,615
J JILL GROUP INC/THE             EQUITY    466189 10 7    6942    290,320 SH         SOLE       1      290,320
J&J SNACK FOODS CORP             EQUITY    466032 10 9     320      9,522 SH         SOLE       1        9,522
J2 GLOBAL COMMUNICATIONS INC     EQUITY    46626E 20 5     979     20,837 SH         SOLE       1       20,837
J2 GLOBAL COMMUNICATIONS INC     EQUITY    46626E 20 5      84      1,780 SH       DEFINED      4                           1,780
JABIL CIRCUIT INC                EQUITY    466313 10 3   12627    294,604 SH         SOLE       1      294,604
JABIL CIRCUIT INC                EQUITY    466313 10 3       9        216 SH         SOLE       2          216
JABIL CIRCUIT INC                EQUITY    466313 10 3       7        168 SH       DEFINED      4                             168
JACK HENRY & ASSOCIATES INC      EQUITY    426281 10 1    4825    210,970 SH         SOLE       1      210,970
JACK IN THE BOX INC              EQUITY    466367 10 9    1208     27,764 SH         SOLE       1       27,764
JACKSON HEWITT TAX SERVICE INC   EQUITY    468202 10 6     849     26,889 SH         SOLE       1       26,889
JACOBS ENGINEERING GROUP INC     EQUITY    469814 10 7   10632    122,569 SH         SOLE       1      122,569
JACUZZI BRANDS INC               EQUITY    469865 10 9     573     58,321 SH         SOLE       1       58,321
JAKKS PACIFIC INC                EQUITY    47012E 10 6     635     23,761 SH         SOLE       1       23,761
JAMES HARDIE INDUSTRIES NV       EQUITY    47030M 10 6       9        265 SH       DEFINED      4                             265
JAMES RIVER COAL CO              EQUITY    470355 20 7     339      9,965 SH         SOLE       1        9,965
JAMES RIVER GROUP INC            EQUITY    470359 10 0      91      3,366 SH         SOLE       1        3,366
JANUS CAP GROUP INC              EQUITY    47102X 10 5       6        265 SH         SOLE       2          265
JANUS CAPITAL GROUP INC          EQUITY    47102X 10 5    2328    100,468 SH         SOLE       1      100,468
JARDEN CORP                      EQUITY    471109 10 8    1697     51,667 SH         SOLE       1       51,667
JARDEN CORP                      EQUITY    471109 10 8    3791    115,400 SH         SOLE       2      115,400





                                                                                         
JB HUNT TRANSPORT SERVICES INC   EQUITY    445658 10 7    5574    258,766 SH         SOLE       1      258,766
JC PENNEY CO INC                 EQUITY    708160 10 6   14781    244,677 SH         SOLE       1      244,677
JDA SOFTWARE GROUP INC           EQUITY    46612K 10 8     674     46,706 SH         SOLE       1       46,706
JDS UNIPHASE CORP                EQUITY    46612J 10 1    3720    892,156 SH         SOLE       1      892,156
JDS UNIPHASE CORP                EQUITY    46612J 10 1       9      2,072 SH         SOLE       2        2,072
JDS UNIPHASE CORP                EQUITY    46612J 10 1    1158    277,800 SH         SOLE       3      260,200
JDS UNIPHASE CORP                EQUITY    46612J 10 1      17      4,110 SH       DEFINED      4                           4,110
JEFFERIES GROUP INC              EQUITY    472319 10 2    6216    106,258 SH         SOLE       1      106,258
JEFFERSON PILOT CORP             EQUITY    475070 10 8       9        167 SH         SOLE       2          167
JEFFERSON-PILOT CORP             EQUITY    475070 10 8    3543     63,327 SH         SOLE       1       63,327
JER INVESTORS TRUST INC          EQUITY    46614H 30 1     167     10,019 SH         SOLE       1       10,019
JETBLUE AIRWAYS CORP             EQUITY    477143 10 1    3464    323,112 SH         SOLE       1      323,112
JLG INDS INC                     EQUITY    466210 10 1     323     10,500 SH         SOLE       2       10,500
JLG INDUSTRIES INC               EQUITY    466210 10 1    7613    163,124 SH         SOLE       1      163,124
JLG INDUSTRIES INC               EQUITY    466210 10 1     861     27,978 SH       DEFINED      4                          27,978
JM SMUCKER CO/THE                EQUITY    832696 40 5    4858    122,362 SH         SOLE       1      122,362
JO-ANN STORES INC                EQUITY    47758P 30 7     236     17,498 SH         SOLE       1       17,498
JOHN B. SANFILIPPO & SON         EQUITY    800422 10 7      95      5,974 SH         SOLE       1        5,974
JOHN H HARLAND CO                EQUITY    412693 10 3     821     20,890 SH         SOLE       1       20,890
JOHN HANCOCK PATRIOT PREFERRED   EQUITY    41013J 10 7      11        900 SH       DEFINED      4                             900
JOHN HANCOCK PATRIOT PREMIUM D   EQUITY    41013T 10 5     164     14,550 SH       DEFINED      4                          14,550
JOHN HANCOCK PREFERRED INCOME    EQUITY    41013X 10 6     510     22,257 SH       DEFINED      4                          22,257
JOHN WILEY & SONS INC            EQUITY    968223 20 6      43      1,134 SH         SOLE       1        1,134
JOHNSON & JOHNSON                EQUITY    478160 10 4  157772  2,664,162 SH         SOLE       1    2,664,162
JOHNSON & JOHNSON                EQUITY    478160 10 4     496      8,369 SH       DEFINED      4                           8,369
JOHNSON + JOHNSON                EQUITY    478160 10 4   22908    386,833 SH         SOLE       2      386,833
JOHNSON CONTROLS INC             EQUITY    478366 10 7    6871     90,489 SH         SOLE       1       90,489
JOHNSON CTLS INC                 EQUITY    478366 10 7      18        240 SH         SOLE       2          240
JONES APPAREL GROUP INC          EQUITY    480074 10 3    4322    122,206 SH         SOLE       1      122,206
JONES APPAREL GROUP INC          EQUITY    480074 10 3       5        141 SH         SOLE       2          141
JONES LANG LASALLE INC           EQUITY    48020Q 10 7    1982     25,891 SH         SOLE       1       25,891
JONES LANG LASALLE INC           EQUITY    48020Q 10 7     337      4,400 SH         SOLE       2        4,400
JONES LANG LASALLE INC           EQUITY    48020Q 10 7      42        551 SH       DEFINED      4                             551
JOS A BANK CLOTHIERS INC         EQUITY    480838 10 1     614     12,800 SH         SOLE       1       12,800
JOURNAL COMMUNICATIONS INC       EQUITY    481130 10 2     263     21,237 SH         SOLE       1       21,237
JOURNAL REGISTER CO              EQUITY    481138 10 5     386     31,728 SH         SOLE       1       31,728
JOY GLOBAL INC                   EQUITY    481165 10 8   15865    265,429 SH         SOLE       1      265,429
JOY GLOBAL INC                   EQUITY    481165 10 8    7172    120,000 SH         SOLE       2      120,000
JOY GLOBAL INC                   EQUITY    481165 10 8     867     14,500 SH       DEFINED      4                          14,500
JPMORGAN CHASE & CO              EQUITY    46625H 10 0  146256  3,512,381 SH         SOLE       1    3,512,381
JPMORGAN CHASE & CO              EQUITY    46625H 10 0     691     16,605 SH       DEFINED      4                          16,605
JPMORGAN CHASE + CO              EQUITY    46625H 10 0   14893    357,659 SH         SOLE       2      357,659
JUNIPER NETWORKS INC             EQUITY    48203R 10 4    9770    511,004 SH         SOLE       1      511,004
JUNIPER NETWORKS INC             EQUITY    48203R 10 4    5638    294,900 SH         SOLE       2      294,900
JUNIPER NETWORKS INC             EQUITY    48203R 10 4      10        500 SH       DEFINED      4                             500
JUPITERMEDIA CORP                EQUITY    48207D 10 1     277     15,403 SH         SOLE       1       15,403
K&F INDUSTRIES HOLDINGS INC      EQUITY    482241 10 6     227     13,665 SH         SOLE       1       13,665
K2 INC                           EQUITY    482732 10 4     454     36,164 SH         SOLE       1       36,164
KADANT INC                       EQUITY    48282T 10 4     240     10,570 SH         SOLE       1       10,570
KAMAN CORP                       EQUITY    483548 10 3     424     16,841 SH         SOLE       1       16,841
KANBAY INTERNATIONAL INC         EQUITY    48369P 20 7     287     18,801 SH         SOLE       1       18,801
KANSAS CITY LIFE INS CO          EQUITY    484836 10 1     143      2,791 SH         SOLE       1        2,791
KANSAS CITY SOUTHERN             EQUITY    485170 30 2    1387     56,154 SH         SOLE       1       56,154
KAYDON CORP                      EQUITY    486587 10 8     864     21,417 SH         SOLE       1       21,417
KB HOME                          EQUITY    48666K 10 9    3985     61,334 SH         SOLE       1       61,334
KB HOME                          EQUITY    48666K 10 9       6         95 SH         SOLE       2           95
KCS ENERGY INC                   EQUITY    482434 20 6     985     37,874 SH         SOLE       1       37,874
KCS ENERGY INC                   EQUITY    482434 20 6    2605    100,200 SH         SOLE       2      100,200
KEANE INC                        EQUITY    486665 10 2     659     41,866 SH         SOLE       1       41,866





                                                                                         
KEARNY FINANCIAL CORP            EQUITY    487169 10 4     228     16,593 SH         SOLE       1       16,593
KEITHLEY INSTRUMENTS INC         EQUITY    487584 10 4     149      9,717 SH         SOLE       1        9,717
KELLOGG CO                       EQUITY    487836 10 8    4821    109,471 SH         SOLE       1      109,471
KELLOGG CO                       EQUITY    487836 10 8      14        311 SH         SOLE       2          311
KELLOGG CO                       EQUITY    487836 10 8      25        578 SH       DEFINED      4                             578
KELLWOOD CO                      EQUITY    488044 10 8    1054     33,585 SH         SOLE       1       33,585
KELLY SERVICES INC               EQUITY    488152 20 8    1469     54,133 SH         SOLE       1       54,133
KEMET CORP                       EQUITY    488360 10 8    2327    245,772 SH         SOLE       1      245,772
KENEXA CORP                      EQUITY    488879 10 7     998     32,464 SH         SOLE       1       32,464
KENNAMETAL INC                   EQUITY    489170 10 0    6760    110,563 SH         SOLE       1      110,563
KENNETH COLE PRODUCTIONS INC     EQUITY    193294 10 5     191      6,888 SH         SOLE       1        6,888
KENSEY NASH CORP                 EQUITY    490057 10 6     203      7,108 SH         SOLE       1        7,108
KERR MCGEE CORP                  EQUITY    492386 10 7      14        143 SH         SOLE       2          143
KERR-MCGEE CORP                  EQUITY    492386 10 7    6089     63,770 SH         SOLE       1       63,770
KERYX BIOPHARMACEUTICALS INC     EQUITY    492515 10 1    1018     53,274 SH         SOLE       1       53,274
KEYCORP                          EQUITY    493267 10 8    9373    254,708 SH         SOLE       1      254,708
KEYCORP NEW                      EQUITY    493267 10 8      18        501 SH         SOLE       2          501
KEYNOTE SYSTEMS INC              EQUITY    493308 10 0     145     12,633 SH         SOLE       1       12,633
KEYSPAN CORP                     EQUITY    49337W 10 0    6417    157,011 SH         SOLE       1      157,011
KEYSPAN CORP                     EQUITY    49337W 10 0       9        216 SH         SOLE       2          216
KEYSTONE AUTOMOTIVE INDUSTRIES   EQUITY    49338N 10 9     506     11,980 SH         SOLE       1       11,980
KFORCE INC                       EQUITY    493732 10 1     312     24,442 SH         SOLE       1       24,442
KFX INC                          EQUITY    48245L 10 7     952     52,335 SH         SOLE       1       52,335
KILROY REALTY CORP               EQUITY    49427F 10 8    1698     21,972 SH         SOLE       1       21,972
KIMBALL INTERNATIONAL INC        EQUITY    494274 10 3     255     16,942 SH         SOLE       1       16,942
KIMBERLY CLARK CORP              EQUITY    494368 10 3    3475     60,116 SH         SOLE       2       60,116
KIMBERLY-CLARK CORP              EQUITY    494368 10 3   30521    528,040 SH         SOLE       1      528,040
KIMCO REALTY CORP                EQUITY    49446R 10 9    3828     94,182 SH         SOLE       1       94,182
KINDER MORGAN INC                EQUITY    49455P 10 1   16534    179,735 SH         SOLE       1      179,735
KINDER MORGAN INC                EQUITY    49455P 10 1      18        200 SH       DEFINED      4                             200
KINDER MORGAN INC KANS           EQUITY    49455P 10 1      12        130 SH         SOLE       2          130
KINDRED HEALTHCARE INC           EQUITY    494580 10 3     545     21,652 SH         SOLE       1       21,652
KINDRED HEALTHCARE INC           EQUITY    494580 10 3    4640    184,500 SH         SOLE       2      184,500
KINETIC CONCEPTS INC             EQUITY    49460W 20 8      48      1,174 SH         SOLE       1        1,174
KINETIC CONCEPTS INC             EQUITY    49460W 20 8    3742     90,900 SH         SOLE       2       90,900
KING PHARMACEUTICALS INC         EQUITY    495582 10 8    3324    192,702 SH         SOLE       1      192,702
KING PHARMACEUTICALS INC         EQUITY    495582 10 8       5        299 SH         SOLE       2          299
KING PHARMACEUTICALS INC         EQUITY    495582 10 8     105      6,060 SH       DEFINED      4                           6,060
KINGSWAY FINANCIAL SERVICES IN   EQUITY    496904 10 3    2703    133,100 SH        OTHER       1                 133,100
KIRBY CORP                       EQUITY    497266 10 6    1128     16,566 SH         SOLE       1       16,566
KITE REALTY GROUP TRUST          EQUITY    49803T 10 2     335     21,029 SH         SOLE       1       21,029
KKR FINANCIAL CORP               EQUITY    482476 30 6      24      1,074 SH         SOLE       1        1,074
KLA TENCOR CORP                  EQUITY    482480 10 0    6105    126,247 SH         SOLE       2      126,247
KLA-TENCOR CORP                  EQUITY    482480 10 0   10376    214,562 SH         SOLE       1      214,562
KMG AMERICA CORP                 EQUITY    482563 10 3     138     16,078 SH         SOLE       1       16,078
KNBT BANCORP INC                 EQUITY    482921 10 3     384     23,477 SH         SOLE       1       23,477
KNIGHT CAP GROUP INC             EQUITY    499005 10 6   11590    832,000 SH         SOLE       2      832,000
KNIGHT CAPITAL GROUP INC         EQUITY    499005 10 6    1138     81,690 SH         SOLE       1       81,690
KNIGHT RIDDER INC                EQUITY    499040 10 3    1998     31,613 SH         SOLE       1       31,613
KNIGHT RIDDER INC                EQUITY    499040 10 3       5         83 SH         SOLE       2           83
KNIGHT TRANSPORTATION INC        EQUITY    499064 10 3     858     43,458 SH         SOLE       1       43,458
KNOLL INC                        EQUITY    498904 20 0     178      8,368 SH         SOLE       1        8,368
KOHLS CORP                       EQUITY    500255 10 4   23002    433,926 SH         SOLE       2      433,926
KOHL'S CORP                      EQUITY    500255 10 4    7952    150,016 SH         SOLE       1      150,016
KOMAG INC                        EQUITY    500453 20 4    2324     48,823 SH         SOLE       1       48,823
KOMAG INC                        EQUITY    500453 20 4     300      6,300 SH         SOLE       2        6,300
KONINKLIJKE PHILIPS ELECTR       EQUITY    500472 30 3     734     21,800 SH         SOLE       2       21,800
KOPIN CORP                       EQUITY    500600 10 1     268     53,525 SH         SOLE       1       53,525
KOPPERS HLDGS INC                EQUITY    50060P 10 6    5699    290,000 SH         SOLE       2      290,000





                                                                                         
KORN/FERRY INTERNATIONAL         EQUITY    500643 20 0    2349    115,194 SH         SOLE       1      115,194
KOS PHARMACEUTICALS INC          EQUITY    500648 10 0      18        376 SH         SOLE       1          376
KOS PHARMACEUTICALSINC           EQUITY    500648 10 0     105      2,200 SH         SOLE       2        2,200
KRAFT FOODS INC                  EQUITY    50075N 10 4    1302     42,949 SH         SOLE       1       42,949
KRAFT FOODS INC                  EQUITY    50075N 10 4    1052     34,700 SH         SOLE       2       34,700
KRISPY KREME DOUGHNUTS INC       EQUITY    501014 10 4     377     42,028 SH         SOLE       1       42,028
KROGER CO                        EQUITY    501044 10 1     979     48,097 SH         SOLE       2       48,097
KROGER CO/THE                    EQUITY    501044 10 1   18826    924,680 SH         SOLE       1      924,680
KROGER CO/THE                    EQUITY    501044 10 1       6        315 SH       DEFINED      4                             315
KRONOS INC/MA                    EQUITY    501052 10 4     912     24,386 SH         SOLE       1       24,386
KRONOS WORLDWIDE INC             EQUITY    50105F 10 5      81      2,671 SH         SOLE       1        2,671
K-SWISS INC                      EQUITY    482686 10 2     572     18,965 SH         SOLE       1       18,965
KT CORP                          EQUITY    48268K 10 1       5        239 SH       DEFINED      4                             239
KULICKE & SOFFA INDUSTRIES INC   EQUITY    501242 10 1     376     39,370 SH         SOLE       1       39,370
KV PHARMACEUTICAL CO             EQUITY    482740 20 6    1691     70,101 SH         SOLE       1       70,101
KYPHON INC                       EQUITY    501577 10 0     822     22,101 SH         SOLE       1       22,101
KYPHON INC                       EQUITY    501577 10 0    6369    171,200 SH         SOLE       2      171,200
L 3 COMMUNICATIONS HLDG CO       EQUITY    502424 10 4   19316    225,150 SH         SOLE       2      225,150
L-3 COMMUNICATIONS HOLDINGS IN   EQUITY    502424 10 4    4809     56,053 SH         SOLE       1       56,053
L-3 COMMUNICATIONS HOLDINGS IN   EQUITY    502424 10 4      11        125 SH       DEFINED      4                             125
LABARGE INC                      EQUITY    502470 10 7     115      7,662 SH         SOLE       1        7,662
LABOR READY INC                  EQUITY    505401 20 8    2018     84,272 SH         SOLE       1       84,272
LABORATORY CORP AMER HLDGS       EQUITY    50540R 40 9       9        155 SH         SOLE       2          155
LABORATORY CORP OF AMERICA HOL   EQUITY    50540R 40 9    4577     78,271 SH         SOLE       1       78,271
LABRANCHE & CO INC               EQUITY    505447 10 2     649     41,028 SH         SOLE       1       41,028
LACLEDE GROUP INC/THE            EQUITY    505597 10 4     553     16,055 SH         SOLE       1       16,055
LAFARGE NORTH AMERICA INC        EQUITY    505862 10 2      87      1,038 SH         SOLE       1        1,038
LAIDLAW INTERNATIONAL INC        EQUITY    50730R 10 2   12363    454,524 SH         SOLE       1      454,524
LAKELAND BANCORP INC             EQUITY    511637 10 0     216     13,890 SH         SOLE       1       13,890
LAKELAND FINANCIAL CORP          EQUITY    511656 10 0     210      4,497 SH         SOLE       1        4,497
LAM RESEARCH CORP                EQUITY    512807 10 8   12997    302,254 SH         SOLE       1      302,254
LAM RESEARCH CORP                EQUITY    512807 10 8      13        300 SH       DEFINED      4                             300
LAMAR ADVERTISING CO             EQUITY    512815 10 1     389      7,395 SH         SOLE       1        7,395
LAMSON & SESSIONS CO/THE         EQUITY    513696 10 4     850     30,539 SH       DEFINED      4                          30,539
LAMSON + SESSIONS CO             EQUITY    513696 10 4     253      9,100 SH         SOLE       2        9,100
LANCASTER COLONY CORP            EQUITY    513847 10 3    3009     71,651 SH         SOLE       1       71,651
LANCE INC                        EQUITY    514606 10 2     510     22,682 SH         SOLE       1       22,682
LANCE INC                        EQUITY    514606 10 2    7763    345,000 SH         SOLE       2      345,000
LANCE INC                        EQUITY    514606 10 2      15        650 SH       DEFINED      4                             650
LANDAMERICA FINANCIAL GROUP IN   EQUITY    514936 10 3     933     13,752 SH         SOLE       1       13,752
LANDAUER INC                     EQUITY    51476K 10 3     342      6,814 SH         SOLE       1        6,814
LANDRYS RESTAURANTS INC          EQUITY    51508L 10 3    5829    165,000 SH         SOLE       2      165,000
LANDRY'S RESTAURANTS INC         EQUITY    51508L 10 3    1172     33,175 SH         SOLE       1       33,175
LANDSTAR SYSTEM INC              EQUITY    515098 10 1      64      1,458 SH         SOLE       1        1,458
LANDSTAR SYSTEM INC              EQUITY    515098 10 1      33        737 SH       DEFINED      4                             737
LAS VEGAS SANDS CORP             EQUITY    517834 10 7      33        579 SH         SOLE       1          579
LAS VEGAS SANDS CORP             EQUITY    517834 10 7    2221     39,200 SH         SOLE       2       39,200
LASALLE HOTEL PROPERTIES         EQUITY    517942 10 8    1017     24,793 SH         SOLE       1       24,793
LASERSCOPE                       EQUITY    518081 10 4     357     15,102 SH         SOLE       1       15,102
LATTICE SEMICONDUCTOR CORP       EQUITY    518415 10 4    2145    322,092 SH         SOLE       1      322,092
LAUDER ESTEE COS INC             EQUITY    518439 10 4       5        147 SH         SOLE       2          147
LAUREATE EDUCATION INC           EQUITY    518613 10 4    5570    104,433 SH         SOLE       1      104,433
LAWSON PRODUCTS                  EQUITY    520776 10 5     142      3,481 SH         SOLE       1        3,481
LAWSON SOFTWARE INC              EQUITY    520780 10 7     362     47,193 SH         SOLE       1       47,193
LAWSON SOFTWARE INC              EQUITY    520780 10 7    4434    578,100 SH         SOLE       2      578,100
LAYNE CHRISTENSEN CO             EQUITY    521050 10 4     290      8,652 SH         SOLE       1        8,652
LAZARD LTD                       EQUITY    G54050 10 2     460     10,400 SH         SOLE       2       10,400
LA-Z-BOY INC                     EQUITY    505336 10 7     674     39,669 SH         SOLE       1       39,669
LCA-VISION INC                   EQUITY    501803 30 8     775     15,472 SH         SOLE       1       15,472





                                                                                         
LEADIS TECHNOLOGY INC            EQUITY    52171N 10 3      78     13,723 SH         SOLE       1       13,723
LEAP WIRELESS INTERNATIONAL IN   EQUITY    521863 30 8      12        273 SH         SOLE       1          273
LEAPFROG ENTERPRISES INC         EQUITY    52186N 10 6     262     24,640 SH         SOLE       1       24,640
LEAR CORP                        EQUITY    521865 10 5    2506    141,338 SH         SOLE       1      141,338
LEAR CORP                        EQUITY    521865 10 5      11        625 SH       DEFINED      4                             625
LEARNING TREE INTERNATIONAL IN   EQUITY    522015 10 6      83      6,812 SH         SOLE       1        6,812
LECG CORP                        EQUITY    523234 10 2     216     11,196 SH         SOLE       1       11,196
LECROY CORP                      EQUITY    52324W 10 9     147      9,383 SH         SOLE       1        9,383
LEE ENTERPRISES INC              EQUITY    523768 10 9    3205     96,279 SH         SOLE       1       96,279
LEGG MASON INC                   EQUITY    524901 10 5   32564    259,824 SH         SOLE       1      259,824
LEGG MASON INC                   EQUITY    524901 10 5    1780     14,200 SH         SOLE       2       14,200
LEGGETT & PLATT INC              EQUITY    524660 10 7    2155     88,435 SH         SOLE       1       88,435
LEGGETT + PLATT INC              EQUITY    524660 10 7       5        225 SH         SOLE       2          225
LEHMAN BROTHERS HLDGS INC        EQUITY    524908 10 0     713      4,934 SH         SOLE       2        4,934
LEHMAN BROTHERS HOLDINGS INC     EQUITY    524908 10 0   17064    118,064 SH         SOLE       1      118,064
LEHMAN BROTHERS HOLDINGS INC     EQUITY    524908 10 0       4         25 SH       DEFINED      4                              25
LENNAR CORP                      EQUITY    526057 10 4    3825     63,341 SH         SOLE       1       63,341
LENNAR CORP                      EQUITY    526057 10 4      10        169 SH         SOLE       2          169
LENNOX INTERNATIONAL INC         EQUITY    526107 10 7    1292     43,283 SH         SOLE       1       43,283
LEUCADIA NATIONAL CORP           EQUITY    527288 10 4   10310    172,816 SH         SOLE       1      172,816
LEUCADIA NATIONAL CORP           EQUITY    527288 10 4      89      1,500 SH       DEFINED      4                           1,500
LEVEL 3 COMMUNICATIONS INC       EQUITY    52729N 10 0    3195    616,849 SH         SOLE       1      616,849
LEVEL 3 COMMUNICATIONS INC       EQUITY    52729N AS 9    4108  5,175,000 SH         SOLE       2    5,175,000
LEVITT CORP                      EQUITY    52742P 10 8     275     12,491 SH         SOLE       1       12,491
LEXAR MEDIA INC                  EQUITY    52886P 10 4     520     60,629 SH         SOLE       1       60,629
LEXICON GENETICS INC             EQUITY    528872 10 4     268     48,337 SH         SOLE       1       48,337
LEXINGTON CORPORATE PROPERTIES   EQUITY    529043 10 1     821     39,399 SH         SOLE       1       39,399
LEXMARK INTERNATIONAL INC        EQUITY    529771 10 7    2264     49,887 SH         SOLE       1       49,887
LEXMARK INTL INC                 EQUITY    529771 10 7       6        134 SH         SOLE       2          134
LHC GROUP INC                    EQUITY    50187A 10 7      58      3,631 SH         SOLE       1        3,631
LIBBEY INC                       EQUITY    529898 10 8      75     10,527 SH         SOLE       1       10,527
LIBERTY ALL STAR EQUITY          EQUITY    530158 10 4      68      8,184 SH       DEFINED      4                           8,184
LIBERTY GLOBAL INC               EQUITY    530555 10 1     568     27,764 SH         SOLE       1       27,764
LIBERTY MEDIA CORP               CORP BOND 530718 AF 2    3165  3,025,000 PRN        SOLE       1    3,025,000
LIBERTY MEDIA CORP               CORP BOND 530715 AR 2       1      1,000 PRN      DEFINED      4                           1,000
LIBERTY MEDIA CORP               CORP BOND 530715 AN 1       1      1,000 PRN      DEFINED      4                           1,000
LIBERTY MEDIA CORP               CORP BOND 530718 AF 2       3      3,000 PRN      DEFINED      4                           3,000
LIBERTY MEDIA CORP               EQUITY    530718 10 5       9      1,100 SH       DEFINED      4                           1,100
LIBERTY PROPERTY TRUST           EQUITY    531172 10 4    8760    185,745 SH         SOLE       1      185,745
LIBERTY PROPERTY TRUST           EQUITY    531172 10 4      17        350 SH       DEFINED      4                             350
LIFE TIME FITNESS INC            EQUITY    53217R 20 7     834     17,791 SH         SOLE       1       17,791
LIFECELL CORP                    EQUITY    531927 10 1     550     24,399 SH         SOLE       1       24,399
LIFEPOINT HOSPITALS INC          EQUITY    53219L 10 9    3724    119,738 SH         SOLE       1      119,738
LIFEPOINT HOSPITALS INC          EQUITY    53219L 10 9     219      7,046 SH       DEFINED      4                           7,046
LIFEPOINT HOSPS INC              EQUITY    53219L 10 9    8692    279,500 SH         SOLE       2      279,500
LIFETIME BRANDS INC              EQUITY    53222Q 10 3     177      6,279 SH         SOLE       1        6,279
LILLY ELI + CO                   EQUITY    532457 10 8     492      8,897 SH         SOLE       2        8,897
LIMITED BRANDS INC               EQUITY    532716 10 7      11        430 SH         SOLE       2          430
LIN TV CORP                      EQUITY    532774 10 6     186     20,629 SH         SOLE       1       20,629
LINCARE HOLDINGS                 CORP BOND 532791 AB 6       1      1,000 PRN      DEFINED      4                           1,000
LINCARE HOLDINGS INC             EQUITY    532791 10 0    8031    206,144 SH         SOLE       1      206,144
LINCOLN EDUCATIONAL SERVICES C   EQUITY    533535 10 0      54      3,186 SH         SOLE       1        3,186
LINCOLN ELECTRIC HOLDINGS INC    EQUITY    533900 10 6    1506     27,901 SH         SOLE       1       27,901
LINCOLN NATIONAL CORP            EQUITY    534187 10 9   11519    211,003 SH         SOLE       1      211,003
LINCOLN NATIONAL CORP            EQUITY    534187 10 9       3         50 SH       DEFINED      4                              50
LINCOLN NATL CORP IN             EQUITY    534187 10 9      12        214 SH         SOLE       2          214
LINDSAY MANUFACTURING CO         EQUITY    535555 10 6     239      8,820 SH         SOLE       1        8,820
LINEAR TECHNOLOGY CORP           EQUITY    535678 10 6    5800    165,348 SH         SOLE       1      165,348
LINEAR TECHNOLOGY CORP           EQUITY    535678 10 6      13        378 SH         SOLE       2          378





                                                                                         
LIONBRIDGE TECHNOLOGIES          EQUITY    536252 10 9     311     39,258 SH         SOLE       1       39,258
LITHIA MOTORS INC                EQUITY    536797 10 3     407     11,723 SH         SOLE       1       11,723
LITTELFUSE INC                   EQUITY    537008 10 4     582     17,041 SH         SOLE       1       17,041
LIVEPERSON INC                   EQUITY    538146 10 1      40      5,580 SH       DEFINED      4                           5,580
LIZ CLAIBORNE INC                EQUITY    539320 10 1    2013     49,112 SH         SOLE       1       49,112
LIZ CLAIBORNE INC                EQUITY    539320 10 1       5        130 SH         SOLE       2          130
LKQ CORP                         EQUITY    501889 20 8     553     26,559 SH         SOLE       1       26,559
LO JACK CORP                     EQUITY    539451 10 4     348     14,500 SH         SOLE       2       14,500
LOCKHEED MARTIN CORP             CORP BOND 539830 AP 4    4918  4,250,000 PRN        SOLE       1    4,250,000
LOCKHEED MARTIN CORP             EQUITY    539830 10 9   11777    156,754 SH         SOLE       1      156,754
LOCKHEED MARTIN CORP             EQUITY    539830 10 9     830     11,043 SH         SOLE       2       11,043
LOCKHEED MARTIN CORP             CORP BOND 539830 AP 4       3      3,000 PRN      DEFINED      4                           3,000
LOCKHEED MARTIN CORP             EQUITY    539830 10 9      31        410 SH       DEFINED      4                             410
LODGENET ENTERTAINMENT CORP      EQUITY    540211 10 9     192     12,308 SH         SOLE       1       12,308
LODGIAN INC                      EQUITY    54021P 40 3     261     18,789 SH         SOLE       1       18,789
LOEWS CORP                       EQUITY    540424 10 8    6013     59,418 SH         SOLE       1       59,418
LOEWS CORP                       EQUITY    540424 10 8    6115    129,168 SH         SOLE       2      129,168
LOEWS CORP - CAROLINA GROUP      EQUITY    540424 20 7     119      2,516 SH         SOLE       1        2,516
LOGITECH INTERNATIONAL SA        EQUITY    541419 10 7       4        100 SH       DEFINED      4                             100
LOJACK CORP                      EQUITY    539451 10 4    2033     84,765 SH         SOLE       1       84,765
LONE STAR STEAKHOUSE & SALOON    EQUITY    542307 10 3     801     28,174 SH         SOLE       1       28,174
LONE STAR TECHNOLOGIES INC       EQUITY    542312 10 3    1258     22,696 SH         SOLE       1       22,696
LONGS DRUG STORES CORP           EQUITY    543162 10 1    2429     52,486 SH         SOLE       1       52,486
LONGVIEW FIBRE CO                EQUITY    543213 10 2    3743    144,839 SH         SOLE       1      144,839
LORAL SPACE & COMMUNICATIONS L   EQUITY    543881 10 6   14061    489,089 SH         SOLE       1      489,089
LOUISIANA PAC CORP               EQUITY    546347 10 5       4        131 SH         SOLE       2          131
LOUISIANA-PACIFIC CORP           EQUITY    546347 10 5    1355     49,819 SH         SOLE       1       49,819
LOWE'S COMPANIES INC             CORP BOND 548661 CG 0    1510  1,350,000 PRN        SOLE       1    1,350,000
LOWES COS INC                    EQUITY    548661 10 7      62        966 SH         SOLE       2          966
LOWE'S COS INC                   EQUITY    548661 10 7   26860    416,826 SH         SOLE       1      416,826
LOWE'S COS INC                   EQUITY    548661 10 7      25        385 SH       DEFINED      4                             385
LSI INDUSTRIES INC               EQUITY    50216C 10 8     256     15,051 SH         SOLE       1       15,051
LSI LOGIC CORP                   EQUITY    502161 10 2    2730    236,140 SH         SOLE       1      236,140
LSI LOGIC CORP                   EQUITY    502161 10 2       6        484 SH         SOLE       2          484
LSI LOGIC CORP                   CORP BOND 502161 AJ 1       1      1,000 PRN      DEFINED      4                           1,000
LSI LOGIC CORP                   EQUITY    502161 10 2       2        150 SH       DEFINED      4                             150
LTC PROPERTIES INC               EQUITY    502175 10 2     410     17,629 SH         SOLE       1       17,629
LTD BRANDS                       EQUITY    532716 10 7    3934    160,817 SH         SOLE       1      160,817
LTD BRANDS                       EQUITY    532716 10 7       3        105 SH       DEFINED      4                             105
LTX CORP                         EQUITY    502392 10 3     252     46,659 SH         SOLE       1       46,659
LUBRIZOL CORP                    EQUITY    549271 10 4    6152    143,559 SH         SOLE       1      143,559
LUBY'S INC                       EQUITY    549282 10 1     247     19,744 SH         SOLE       1       19,744
LUCENT TECHNOLOGIES INC          EQUITY    549463 10 7    6363  2,086,170 SH         SOLE       1    2,086,170
LUCENT TECHNOLOGIES INC          EQUITY    549463 10 7      17      5,524 SH         SOLE       2        5,524
LUCENT TECHNOLOGIES INC          EQUITY    549463 10 7      58     18,964 SH       DEFINED      4                          18,964
LUFKIN INDUSTRIES INC            EQUITY    549764 10 8    1515     27,331 SH         SOLE       1       27,331
LUMINENT MORTGAGE CAPITAL INC    EQUITY    550278 30 3     250     30,838 SH         SOLE       1       30,838
LUMINEX CORP                     EQUITY    55027E 10 2     288     19,409 SH         SOLE       1       19,409
LYONDELL CHEMICAL CO             EQUITY    552078 10 7    8578    431,056 SH         SOLE       1      431,056
LYONDELL CHEMICAL CO             EQUITY    552078 10 7     154      7,719 SH       DEFINED      4                           7,719
M + T BK CORP                    EQUITY    55261F 10 4      11         98 SH         SOLE       2           98
M&F WORLDWIDE CORP               EQUITY    552541 10 4     261     18,276 SH         SOLE       1       18,276
M&T BANK CORP                    EQUITY    55261F 10 4   11809    103,459 SH         SOLE       1      103,459
M/I HOMES INC                    EQUITY    55305B 10 1     444      9,442 SH         SOLE       1        9,442
MACATAWA BANK CORP               EQUITY    554225 10 2     294      7,750 SH         SOLE       1        7,750
MACDERMID INC                    EQUITY    554273 10 2     741     23,051 SH         SOLE       1       23,051
MACERICH CO/THE                  EQUITY    554382 10 1   11107    150,202 SH         SOLE       1      150,202
MACK-CALI REALTY CORP            EQUITY    554489 10 4    6282    130,870 SH         SOLE       1      130,870
MACK-CALI REALTY CORP            EQUITY    554489 10 4      19        400 SH       DEFINED      4                             400





                                                                                         
MACROVISION CORP                 EQUITY    555904 10 1    3209    144,862 SH         SOLE       1      144,862
MAF BANCORP INC                  EQUITY    55261R 10 8    1130     25,824 SH         SOLE       1       25,824
MAGELLAN HEALTH SERVICES INC     EQUITY    559079 20 7     829     20,483 SH         SOLE       1       20,483
MAGELLAN MIDSTREAM PARTNERS LP   EQUITY    559080 10 6    2630     80,000 SH         SOLE       1       80,000
MAGMA DESIGN AUTOMATION INC      EQUITY    559181 10 2     231     26,700 SH         SOLE       1       26,700
MAGNA ENTERTAINMENT CORP         EQUITY    559211 10 7     193     28,491 SH         SOLE       1       28,491
MAGUIRE PROPERTIES INC           EQUITY    559775 10 1    1013     27,758 SH         SOLE       1       27,758
MAIDENFORM BRANDS INC            EQUITY    560305 10 4     107      9,751 SH         SOLE       1        9,751
MAIN STREET BANKS INC            EQUITY    56034R 10 2     308     11,905 SH         SOLE       1       11,905
MAINSOURCE FINANCIAL GROUP INC   EQUITY    56062Y 10 2     170      9,001 SH         SOLE       1        9,001
MAIR HOLDINGS INC                EQUITY    560635 10 4      43      9,218 SH         SOLE       1        9,218
MAJESCO ENTERTAINMENT CO         EQUITY    560690 20 8      17     12,266 SH         SOLE       1       12,266
MANHATTAN ASSOCIATES INC         EQUITY    562750 10 9     463     21,049 SH         SOLE       1       21,049
MANITOWOC CO INC/THE             EQUITY    563571 10 8    2972     32,604 SH         SOLE       1       32,604
MANNATECH INC                    EQUITY    563771 10 4     208     11,987 SH         SOLE       1       11,987
MANNKIND CORP                    EQUITY    56400P 20 1     394     19,271 SH         SOLE       1       19,271
MANOR CARE INC                   EQUITY    564055 10 1    1613     36,361 SH         SOLE       1       36,361
MANOR CARE INC NEW               EQUITY    564055 10 1       4         98 SH         SOLE       2           98
MANPOWER INC                     EQUITY    56418H 10 0   10566    184,793 SH         SOLE       1      184,793
MANPOWER INC                     EQUITY    56418H 10 0       6        102 SH       DEFINED      4                             102
MANTECH INTERNATIONAL CORP       EQUITY    564563 10 4     394     11,870 SH         SOLE       1       11,870
MANULIFE FINANCIAL CORP          EQUITY    56501R 10 6    4406     70,200 SH        OTHER       1                  70,200
MANULIFE FINANCIAL CORP          EQUITY    56501R 10 6       5         75 SH       DEFINED      4                              75
MAPINFO CORP                     EQUITY    565105 10 3     220     15,699 SH         SOLE       1       15,699
MARATHON OIL CORP                EQUITY    565849 10 6   15568    204,379 SH         SOLE       1      204,379
MARATHON OIL CORP                EQUITY    565849 10 6    2464     32,353 SH         SOLE       2       32,353
MARCHEX INC                      EQUITY    56624R 10 8     324     15,053 SH         SOLE       1       15,053
MARCUS CORP                      EQUITY    566330 10 6     407     20,422 SH         SOLE       1       20,422
MARINE PRODUCTS CORP             EQUITY    568427 10 8     109      9,896 SH         SOLE       1        9,896
MARINEMAX INC                    EQUITY    567908 10 8     342     10,216 SH         SOLE       1       10,216
MARINER ENERGY INC               EQUITY    56845T 30 5      27      1,298 SH         SOLE       1        1,298
MARITRANS INC                    EQUITY    570363 10 1     212      8,658 SH         SOLE       1        8,658
MARKEL CORP                      EQUITY    570535 10 4      92        271 SH         SOLE       1          271
MARKETAXESS HOLDINGS INC         EQUITY    57060D 10 8     222     18,430 SH         SOLE       1       18,430
MARKWEST HYDROCARBON INC         EQUITY    570762 10 4      98      4,272 SH         SOLE       1        4,272
MARLIN BUSINESS SERVICES CORP    EQUITY    571157 10 6     108      4,895 SH         SOLE       1        4,895
MARRIOTT INTERNATIONAL INC       EQUITY    571903 20 2   15606    227,497 SH         SOLE       1      227,497
MARRIOTT INTL INC NEW            EQUITY    571903 20 2      14        201 SH         SOLE       2          201
MARSH & MCLENNAN COS INC         EQUITY    571748 10 2   61342  2,089,325 SH         SOLE       1    2,089,325
MARSH + MCLENNAN COS INC         EQUITY    571748 10 2    5469    186,276 SH         SOLE       2      186,276
MARSHALL & ILSLEY CORP           EQUITY    571834 10 0    4299     98,636 SH         SOLE       1       98,636
MARSHALL + ILSLEY CORP           EQUITY    571834 10 0      11        259 SH         SOLE       2          259
MARSHALL EDWARDS INC             EQUITY    572322 30 3      32      5,654 SH         SOLE       1        5,654
MARTEK BIOSCIENCES CORP          EQUITY    572901 10 6    2967     90,385 SH         SOLE       1       90,385
MARTEN TRANSPORT LTD             EQUITY    573075 10 8     205     11,312 SH         SOLE       1       11,312
MARTHA STEWART LIVING OMNIMEDI   EQUITY    573083 10 2     288     17,067 SH         SOLE       1       17,067
MARTHA STEWART LIVING OMNIMEDI   EQUITY    573083 10 2       2        100 SH       DEFINED      4                             100
MARTIN MARIETTA MATERIALS INC    EQUITY    573284 10 6   10284     96,087 SH         SOLE       1       96,087
MARVEL ENTERTAINMENT INC         EQUITY    57383T 10 3      33      1,631 SH         SOLE       1        1,631
MARVELL TECHNOLOGY GROUP LTD     EQUITY    G5876H 10 5    1844     34,090 SH         SOLE       3       32,875
MARVELL TECHNOLOGY GROUP LTD     EQUITY    G5876H 10 5       1         18 SH       DEFINED      4                              18
MASCO CORP                       EQUITY    574599 10 6    8468    260,628 SH         SOLE       1      260,628
MASCO CORP                       EQUITY    574599 10 6      17        515 SH         SOLE       2          515
MASSEY ENERGY CO                 EQUITY    576206 10 6    1695     46,998 SH         SOLE       1       46,998
MASSEY ENERGY CORP               EQUITY    576206 10 6    3466     96,100 SH         SOLE       2       96,100
MASTEC INC                       EQUITY    576323 10 9     365     25,767 SH         SOLE       1       25,767
MATERIALS SELECT SECTOR SPDR F   EQUITY    81369Y 10 0      46      1,410 SH       DEFINED      4                           1,410
MATRIA HEALTHCARE INC            EQUITY    576817 20 9     592     15,600 SH         SOLE       1       15,600
MATRIA HEALTHCARE INC            EQUITY    576817 20 9     569     15,000 SH         SOLE       2       15,000





                                                                                         
MATRIXONE INC                    EQUITY    57685P 30 4     293     40,960 SH         SOLE       1       40,960
MATRIXX INITIATIVES INC          EQUITY    57685L 10 5    1284     55,100 SH         SOLE       3       55,100
MATTEL INC                       EQUITY    577081 10 2    3424    188,885 SH         SOLE       1      188,885
MATTEL INC                       EQUITY    577081 10 2       9        481 SH         SOLE       2          481
MATTEL INC                       EQUITY    577081 10 2      39      2,125 SH       DEFINED      4                           2,125
MATTHEWS INTERNATIONAL CORP      EQUITY    577128 10 1     929     24,294 SH         SOLE       1       24,294
MATTHEWS INTL CORP               EQUITY    577128 10 1    1301     34,000 SH         SOLE       2       34,000
MATTSON TECHNOLOGY INC           EQUITY    577223 10 0     388     32,374 SH         SOLE       1       32,374
MAUI LAND & PINEAPPLE CO INC     EQUITY    577345 10 1      97      2,582 SH         SOLE       1        2,582
MAVERICK TUBE CORP               EQUITY    577914 10 4    1728     32,612 SH         SOLE       1       32,612
MAVERICK TUBE CORP               EQUITY    577914 10 4      16        300 SH       DEFINED      4                             300
MAXIM INTEGRATED PRODS INC       EQUITY    57772K 10 1      15        396 SH         SOLE       2          396
MAXIM INTEGRATED PRODUCTS INC    EQUITY    57772K 10 1    6702    180,403 SH         SOLE       1      180,403
MAXIMUS INC                      EQUITY    577933 10 4     524     14,567 SH         SOLE       1       14,567
MAXTOR CORP                      EQUITY    577729 20 5    8485    887,546 SH         SOLE       1      887,546
MAXYGEN INC                      EQUITY    577776 10 7     161     19,406 SH         SOLE       1       19,406
MAYTAG CORP                      EQUITY    578592 10 7    2045     95,863 SH         SOLE       1       95,863
MAYTAG CORP                      EQUITY    578592 10 7       2         99 SH         SOLE       2           99
MAYTAG CORP                      EQUITY    578592 10 7      61      3,500 SH       DEFINED      4                           3,500
MAYTAG CORP                      OPTION    917047 90 2     -14        -35     CALL DEFINED      4                             (35)
MB FINANCIAL INC                 EQUITY    55264U 10 8     591     16,699 SH         SOLE       1       16,699
MBIA INC                         EQUITY    55262C 10 0    3764     62,590 SH         SOLE       1       62,590
MBIA INC                         EQUITY    55262C 10 0      10        166 SH         SOLE       2          166
MBT FINANCIAL CORP               EQUITY    578877 10 2     189     11,222 SH         SOLE       1       11,222
MCAFEE INC                       EQUITY    579064 10 6    8488    348,873 SH         SOLE       1      348,873
MCCLATCHY CO                     EQUITY    579489 10 5      30        619 SH         SOLE       1          619
MCCORMICK & CO INC               EQUITY    579780 20 6    2186     64,557 SH         SOLE       1       64,557
MCCORMICK & SCHMICK'S SEAFOOD    EQUITY    579793 10 0     147      5,764 SH         SOLE       1        5,764
MCCORMICK + CO INC               EQUITY    579780 20 6    3472    102,549 SH         SOLE       2      102,549
MCDATA CORP                      EQUITY    580031 20 1    2011    435,174 SH         SOLE       1      435,174
MCDERMOTT INTERNATIONAL INC      EQUITY    580037 10 9     850     15,605 SH       DEFINED      4                          15,605
MCDONALDS CORP                   EQUITY    580135 10 1    6400    186,268 SH         SOLE       2      186,268
MCDONALD'S CORP                  EQUITY    580135 10 1   36728  1,068,906 SH         SOLE       1    1,068,906
MCDONALD'S CORP                  EQUITY    580135 10 1      35      1,010 SH       DEFINED      4                           1,010
MCG CAPITAL CORP                 EQUITY    58047P 10 7    1928    136,665 SH         SOLE       1      136,665
MCGRATH RENTCORP                 EQUITY    580589 10 9     470     15,647 SH         SOLE       1       15,647
MCGRAW HILL COS INC              EQUITY    580645 10 9      26        454 SH         SOLE       2          454
MCGRAW-HILL COS INC/THE          EQUITY    580645 10 9   12186    211,494 SH         SOLE       1      211,494
MCKESSON CORP                    EQUITY    58155Q 10 3   10993    210,885 SH         SOLE       1      210,885
MCKESSON CORP                    EQUITY    58155Q 10 3      20        378 SH         SOLE       2          378
MCMORAN EXPLORATION CO           EQUITY    582411 10 4     316     17,730 SH         SOLE       1       17,730
MDC HOLDINGS INC                 EQUITY    552676 10 8    4396     68,353 SH         SOLE       1       68,353
MDU RESOURCES GROUP INC          EQUITY    552690 10 9    8446    252,498 SH         SOLE       1      252,498
MEADWESTVACO CORP                EQUITY    583334 10 7    2322     85,034 SH         SOLE       1       85,034
MEADWESTVACO CORP                EQUITY    583334 10 7       6        224 SH         SOLE       2          224
MEASUREMENT SPECIALTIES INC      EQUITY    583421 10 2     235      8,985 SH         SOLE       1        8,985
MECHEL OAO                       EQUITY    583840 10 3     463     18,000 SH         SOLE       1       18,000
MEDAREX INC                      EQUITY    583916 10 1    1113     84,160 SH         SOLE       1       84,160
MEDCATH CORP                     EQUITY    58404W 10 9     106      5,570 SH         SOLE       1        5,570
MEDCO HEALTH SOLUTIONS INC       EQUITY    58405U 10 2    7597    132,766 SH         SOLE       1      132,766
MEDCO HEALTH SOLUTIONS INC       EQUITY    58405U 10 2    6207    108,476 SH         SOLE       2      108,476
MEDCO HEALTH SOLUTIONS INC       EQUITY    58405U 10 2      14        252 SH       DEFINED      4                             252
MEDIA GENERAL INC                EQUITY    584404 10 7    3089     66,250 SH         SOLE       1       66,250
MEDIACOM COMMUNICATIONS CORP     EQUITY    58446K 10 5     270     46,907 SH         SOLE       1       46,907
MEDICAL PROPERTIES TRUST INC     EQUITY    58463J 30 4     105      9,756 SH         SOLE       1        9,756
MEDICINES CO                     EQUITY    584688 10 5     773     37,572 SH         SOLE       1       37,572
MEDICIS PHARMACEUTICAL CORP      EQUITY    584690 30 9    5022    154,063 SH         SOLE       1      154,063
MEDIMMUNE INC                    EQUITY    584699 10 2    6317    172,685 SH         SOLE       1      172,685
MEDIMMUNE INC                    EQUITY    584699 10 2    3048     83,316 SH         SOLE       2       83,316





                                                                                         
MEDIS TECHNOLOGIES LTD           EQUITY    58500P 10 7     263     11,294 SH         SOLE       1       11,294
MEDTRONIC INC                    CORP BOND 585055 AD 8    4362  4,400,000 PRN        SOLE       1    4,400,000
MEDTRONIC INC                    EQUITY    585055 10 6   28537    562,302 SH         SOLE       1      562,302
MEDTRONIC INC                    EQUITY    585055 10 6   13596    267,892 SH         SOLE       2      267,892
MEDTRONIC INC                    EQUITY    585055 10 6     214      4,212 SH       DEFINED      4                           4,212
MELLON FINANCIAL CORP            EQUITY    58551A 10 8    6895    193,684 SH         SOLE       1      193,684
MELLON FINL CORP                 EQUITY    58551A 10 8      18        512 SH         SOLE       2          512
MEMC ELECTR MATLS INC            EQUITY    552715 10 4     886     24,000 SH         SOLE       2       24,000
MEMC ELECTRONIC MATERIALS INC    EQUITY    552715 10 4   12770    345,875 SH         SOLE       1      345,875
MENS WEARHOUSE INC               EQUITY    587118 10 0     539     15,000 SH         SOLE       2       15,000
MEN'S WEARHOUSE INC              EQUITY    587118 10 0      42      1,179 SH         SOLE       1        1,179
MENTOR CORP                      EQUITY    587188 10 3    2234     49,296 SH         SOLE       1       49,296
MENTOR GRAPHICS CORP             EQUITY    587200 10 6    2471    223,614 SH         SOLE       1      223,614
MERCANTILE BANK CORP             EQUITY    587376 10 4     225      5,764 SH         SOLE       1        5,764
MERCANTILE BANKSHARES CORP       EQUITY    587405 10 1    9961    259,072 SH         SOLE       1      259,072
MERCER INTERNATIONAL INC         EQUITY    588056 10 1     203     21,790 SH         SOLE       1       21,790
MERCK & CO INC                   EQUITY    589331 10 7   38315  1,087,562 SH         SOLE       1    1,087,562
MERCK & CO INC                   EQUITY    589331 10 7      27        770 SH       DEFINED      4                             770
MERCK + CO INC                   EQUITY    589331 10 7    6176    175,305 SH         SOLE       2      175,305
MERCURY COMPUTER SYSTEMS INC     EQUITY    589378 10 8     258     15,924 SH         SOLE       1       15,924
MERCURY GENERAL CORP             EQUITY    589400 10 0    4090     74,497 SH         SOLE       1       74,497
MERCURY INTERACTIVE CORP         CORP BOND 589405 AB 5       3      3,000 PRN      DEFINED      4                           3,000
MEREDITH CORP                    EQUITY    589433 10 1    1078     19,324 SH         SOLE       1       19,324
MEREDITH CORP                    EQUITY    589433 10 1       3         52 SH         SOLE       2           52
MERGE TECHNOLOGIES INC           EQUITY    589981 10 9     451     28,249 SH         SOLE       1       28,249
MERIDIAN BIOSCIENCE INC          EQUITY    589584 10 1    1336     49,535 SH         SOLE       1       49,535
MERIDIAN BIOSCIENCE INC          EQUITY    589584 10 1     362     13,400 SH         SOLE       2       13,400
MERIDIAN BIOSCIENCE INC          EQUITY    589584 10 1      31      1,155 SH       DEFINED      4                           1,155
MERIDIAN RESOURCE CORP           EQUITY    58977Q 10 9     267     65,846 SH         SOLE       1       65,846
MERISTAR HOSPITALITY CORP        EQUITY    58984Y 10 3    2351    226,500 SH         SOLE       1      226,500
MERIT MEDICAL SYSTEMS INC        EQUITY    589889 10 4     243     20,205 SH         SOLE       1       20,205
MERITAGE HOMES CORP              EQUITY    59001A 10 2      38        684 SH         SOLE       1          684
MERRILL LYNCH & CO               CORP BOND 590188 W4 6    3109  2,700,000 PRN        SOLE       1    2,700,000
MERRILL LYNCH & CO INC           EQUITY    590188 10 8   39995    507,805 SH         SOLE       1      507,805
MERRILL LYNCH + CO INC           EQUITY    590188 10 8   38020    482,735 SH         SOLE       2      482,735
MESA AIR GROUP INC               EQUITY    590479 10 1     421     36,792 SH         SOLE       1       36,792
MESA AIR GROUP INC               EQUITY    590479 10 1     224     19,600 SH         SOLE       2       19,600
MESTEK INC                       EQUITY    590829 10 7      28      2,255 SH         SOLE       1        2,255
METAL MANAGEMENT INC             EQUITY    591097 20 9     523     16,519 SH         SOLE       1       16,519
METHODE ELECTRONICS INC          EQUITY    591520 20 0     301     27,658 SH         SOLE       1       27,658
METLIFE INC                      EQUITY    59156R 10 8   22904    473,507 SH         SOLE       1      473,507
METLIFE INC                      EQUITY    59156R 10 8    2812     58,137 SH         SOLE       2       58,137
METLIFE INC                      EQUITY    59156R 10 8       9        194 SH       DEFINED      4                             194
METRETEK TECHNOLOGIES INC        EQUITY    59159Q 10 7     785     52,500 SH         SOLE       1       52,500
METRETEK TECHNOLOGIES INC        EQUITY    59159Q 10 7    4310    288,300 SH         SOLE       3      288,300
METROLOGIC INSTRS INC            EQUITY    591676 10 1     338     14,600 SH         SOLE       2       14,600
METROLOGIC INSTRUMENTS INC       EQUITY    591676 10 1     208      8,974 SH         SOLE       1        8,974
METTLER TOLEDO INTERNATIONAL I   EQUITY    592688 10 5      67      1,104 SH         SOLE       1        1,104
MFA MORTGAGE INVESTMENTS INC     EQUITY    55272X 10 2     398     62,646 SH         SOLE       1       62,646
MFS MULTIMARKET INCOME TRUST     EQUITY    552737 10 8      29      4,800 SH       DEFINED      4                           4,800
MGE ENERGY INC                   EQUITY    55277P 10 4     516     15,554 SH         SOLE       1       15,554
MGI PHARMA INC                   EQUITY    552880 10 6   19220  1,098,310 SH         SOLE       1    1,098,310
MGI PHARMA INC                   EQUITY    552880 10 6    6193    353,900 SH         SOLE       2      353,900
MGIC INVESTMENT CORP             EQUITY    552848 10 3    2733     41,025 SH         SOLE       1       41,025
MGIC INVT CORP WIS               EQUITY    552848 10 3       7        108 SH         SOLE       2          108
MGM MIRAGE                       EQUITY    552953 10 1     127      2,949 SH         SOLE       1        2,949
MICHAELS STORES INC              EQUITY    594087 10 8   10542    280,532 SH         SOLE       1      280,532
MICREL INC                       EQUITY    594793 10 1    2662    179,646 SH         SOLE       1      179,646
MICROCHIP TECHNOLOGY INC         EQUITY    595017 10 4   16616    457,740 SH         SOLE       1      457,740





                                                                                         
MICROFINANCIAL INC               EQUITY    595072 10 9       4      1,000 SH       DEFINED      4                           1,000
MICRON TECHNOLOGY INC            EQUITY    595112 10 3    4218    286,552 SH         SOLE       1      286,552
MICRON TECHNOLOGY INC            EQUITY    595112 10 3      11        765 SH         SOLE       2          765
MICRON TECHNOLOGY INC            EQUITY    595112 10 3       4        280 SH       DEFINED      4                             280
MICROS SYSTEMS INC               EQUITY    594901 10 0    1332     28,919 SH         SOLE       1       28,919
MICROSEMI CORP                   EQUITY    595137 10 0    1432     49,183 SH         SOLE       1       49,183
MICROSOFT CORP                   EQUITY    594918 10 4  242635  8,917,104 SH         SOLE       1    8,917,104
MICROSOFT CORP                   EQUITY    594918 10 4   45875  1,685,962 SH         SOLE       2    1,685,962
MICROSOFT CORP                   EQUITY    594918 10 4     860     31,604 SH       DEFINED      4                          31,604
MICROSTRATEGY INC                EQUITY    594972 40 8    1105     10,493 SH         SOLE       1       10,493
MICROTUNE INC                    EQUITY    59514P 10 9     206     39,541 SH         SOLE       1       39,541
MICRUS ENDOVASCULAR CORP         EQUITY    59518V 10 2    1215     85,900 SH         SOLE       3       85,900
MID-AMERICA APARTMENT COMMUNIT   EQUITY    59522J 10 3     787     14,378 SH         SOLE       1       14,378
MIDAS INC                        EQUITY    595626 10 2    1008     46,113 SH         SOLE       1       46,113
MIDAS INC                        EQUITY    595626 10 2    4048    185,100 SH         SOLE       2      185,100
MIDAS INC                        EQUITY    595626 10 2       9        430 SH       DEFINED      4                             430
MIDCAP SPDR TRUST SERIES 1       EQUITY    595635 10 3     217      1,498 SH       DEFINED      4                           1,498
MIDDLEBY CORP                    EQUITY    596278 10 1     323      3,863 SH         SOLE       1        3,863
MIDDLESEX WATER CO               EQUITY    596680 10 8     164      8,650 SH         SOLE       1        8,650
MIDLAND CO/THE                   EQUITY    597486 10 9     286      8,163 SH         SOLE       1        8,163
MID-STATE BANCSHARES             EQUITY    595440 10 8     513     17,417 SH         SOLE       1       17,417
MIDWAY GAMES INC                 EQUITY    598148 10 4     125     13,536 SH         SOLE       1       13,536
MIDWEST BANC HOLDINGS INC        EQUITY    598251 10 6     262     10,100 SH         SOLE       1       10,100
MIKOHN GAMING CORP               EQUITY    59862K 10 8     275     28,742 SH         SOLE       1       28,742
MILLENNIUM PHARMACEUTICALS INC   EQUITY    599902 10 3    6878    681,710 SH         SOLE       1      681,710
MILLENNIUM PHARMACEUTICALS INC   EQUITY    599902 10 3       2        240 SH       DEFINED      4                             240
MILLIPORE CORP                   EQUITY    601073 10 9    2644     36,193 SH         SOLE       1       36,193
MILLIPORE CORP                   EQUITY    601073 10 9       5         64 SH         SOLE       2           64
MILLS CORP/THE                   EQUITY    601148 10 9      38      1,369 SH         SOLE       1        1,369
MINE SAFETY APPLIANCES CO        EQUITY    602720 10 4    3215     76,543 SH         SOLE       1       76,543
MINEFINDERS CORP                 EQUITY    602900 10 2    1542    200,000 SH        OTHER       1                 200,000
MINERALS TECHNOLOGIES INC        EQUITY    603158 10 6    3329     56,999 SH         SOLE       1       56,999
MIPS TECHNOLOGIES INC            EQUITY    604567 10 7     241     32,273 SH         SOLE       1       32,273
MIRANT CORP                      EQUITY    60467R 10 0   46245  1,849,780 SH         SOLE       1    1,849,780
MKS INSTRUMENTS INC              EQUITY    55306N 10 4     581     24,810 SH         SOLE       1       24,810
MOBILE MINI INC                  EQUITY    60740F 10 5    1991     46,087 SH         SOLE       1       46,087
MOBILE TELESYSTEMS OJSC          EQUITY    607409 10 9    3787    114,400 SH         SOLE       1      114,400
MOBILITY ELECTRONICS INC         EQUITY    60741U 10 1     170     20,404 SH         SOLE       1       20,404
MODINE MANUFACTURING CO          EQUITY    607828 10 0    2837     96,154 SH         SOLE       1       96,154
MOHAWK INDUSTRIES INC            EQUITY    608190 10 4    8969    111,111 SH         SOLE       1      111,111
MOLECULAR DEVICES CORP           EQUITY    60851C 10 7     427     12,868 SH         SOLE       1       12,868
MOLEX INC                        EQUITY    608554 10 1    2196     66,144 SH         SOLE       1       66,144
MOLEX INC                        EQUITY    608554 10 1       6        176 SH         SOLE       2          176
MOLINA HEALTHCARE INC            EQUITY    60855R 10 0     282      8,415 SH         SOLE       1        8,415
MOLSON COORS BREWING CO          EQUITY    60871R 20 9    1823     26,566 SH         SOLE       1       26,566
MOLSON COORS BREWING CO          EQUITY    60871R 20 9    3301     48,110 SH         SOLE       2       48,110
MOMENTA PHARMACEUTICALS INC      EQUITY    60877T 10 0     142      7,224 SH         SOLE       1        7,224
MONACO COACH CORP                EQUITY    60886R 10 3     266     19,822 SH         SOLE       1       19,822
MONARCH CASINO & RESORT INC      EQUITY    609027 10 7     200      7,031 SH         SOLE       1        7,031
MONEYGRAM INTERNATIONAL INC      EQUITY    60935Y 10 9    7455    242,670 SH         SOLE       1      242,670
MONEYGRAM INTL INC               EQUITY    60935Y 10 9     215      7,000 SH         SOLE       2        7,000
MONOGRAM BIOSCIENCES INC         EQUITY    60975U 10 8     170     92,481 SH         SOLE       1       92,481
MONOLITHIC POWER SYSTEMS INC     EQUITY    609839 10 5     244     13,082 SH         SOLE       1       13,082
MONOLITHIC SYSTEM TECHNOLOGY I   EQUITY    609842 10 9       9      1,000 SH       DEFINED      4                           1,000
MONRO MUFFLER INC                EQUITY    610236 10 1     296      7,977 SH         SOLE       1        7,977
MONSANTO CO                      EQUITY    61166W 10 1   12011    141,723 SH         SOLE       1      141,723
MONSANTO CO                      EQUITY    61166W 10 1       2         25 SH       DEFINED      4                              25
MONSANTO CO NEW                  EQUITY    61166W 10 1    1342     15,833 SH         SOLE       2       15,833
MONSTER WORLDWIDE INC            EQUITY    611742 10 7    7911    158,674 SH         SOLE       1      158,674





                                                                                         
MONSTER WORLDWIDE INC            EQUITY    611742 10 7       8        156 SH         SOLE       2          156
MONTGOMERY STREET INCOME SECUR   EQUITY    614115 10 3      26      1,500 SH       DEFINED      4                           1,500
MOODYS CORP                      EQUITY    615369 10 5    7832    109,601 SH         SOLE       2      109,601
MOODY'S CORP                     EQUITY    615369 10 5   15523    217,220 SH         SOLE       1      217,220
MOOG INC                         EQUITY    615394 20 2     981     27,629 SH         SOLE       1       27,629
MORGAN STANLEY                   EQUITY    617446 44 8   98949  1,575,015 SH         SOLE       1    1,575,015
MORGAN STANLEY                   EQUITY    617446 44 8    3696     58,827 SH         SOLE       2       58,827
MORGAN STANLEY                   EQUITY    617446 44 8      28        440 SH       DEFINED      4                             440
MORNINGSTAR INC                  EQUITY    617700 10 9     289      6,466 SH         SOLE       1        6,466
MORTGAGEIT HOLDINGS INC          EQUITY    61915Q 10 8     207     19,108 SH         SOLE       1       19,108
MOSAIC CO/THE                    EQUITY    61945A 10 7      56      3,915 SH         SOLE       1        3,915
MOTIVE INC                       EQUITY    61980V 10 7      65     16,706 SH         SOLE       1       16,706
MOTOROLA INC                     EQUITY    620076 10 9   34928  1,524,580 SH         SOLE       1    1,524,580
MOTOROLA INC                     EQUITY    620076 10 9   44134  1,926,390 SH         SOLE       2    1,926,390
MOTOROLA INC                     EQUITY    620076 10 9      27      1,200 SH       DEFINED      4                           1,200
MOVADO GROUP INC                 EQUITY    624580 10 6     322     13,933 SH         SOLE       1       13,933
MOVIE GALLERY INC                EQUITY    624581 10 4      58     19,044 SH         SOLE       1       19,044
MPS GROUP INC                    EQUITY    553409 10 3    4580    299,327 SH         SOLE       1      299,327
MRO SOFTWARE INC                 EQUITY    55347W 10 5     243     15,201 SH         SOLE       1       15,201
MRV COMMUNICATIONS INC           EQUITY    553477 10 0     325     79,295 SH         SOLE       1       79,295
MSC INDUSTRIAL DIRECT CO         EQUITY    553530 10 6    6128    113,436 SH         SOLE       1      113,436
MTC TECHNOLOGIES INC             EQUITY    55377A 10 6     214      7,651 SH         SOLE       1        7,651
MTC TECHNOLOGIES INC             EQUITY    55377A 10 6    1372     49,000 SH         SOLE       3       49,000
MTR GAMING GROUP INC             EQUITY    553769 10 0     174     16,921 SH         SOLE       1       16,921
MTS SYSTEMS CORP                 EQUITY    553777 10 3     747     17,848 SH         SOLE       1       17,848
MUELLER INDUSTRIES INC           EQUITY    624756 10 2     993     27,829 SH         SOLE       1       27,829
MULTI FINELINE ELECTRONIX        EQUITY    62541B 10 1     485      8,300 SH         SOLE       2        8,300
MULTI-FINELINE ELECTRONIX INC    EQUITY    62541B 10 1     357      6,109 SH         SOLE       1        6,109
MULTIMEDIA GAMES INC             EQUITY    625453 10 5     310     20,852 SH         SOLE       1       20,852
MURPHY OIL CORP                  EQUITY    626717 10 2    3965     79,589 SH         SOLE       1       79,589
MURPHY OIL CORP                  EQUITY    626717 10 2      10        204 SH         SOLE       2          204
MWI VETERINARY SUPPLY INC        EQUITY    55402X 10 5     120      3,638 SH         SOLE       1        3,638
MYERS INDUSTRIES INC             EQUITY    628464 10 9     320     19,990 SH         SOLE       1       19,990
MYLAN LABORATORIES INC           EQUITY    628530 10 7    2370    101,292 SH         SOLE       1      101,292
MYLAN LABS INC                   EQUITY    628530 10 7       6        270 SH         SOLE       2          270
MYOGEN INC                       EQUITY    62856E 10 4     570     15,750 SH         SOLE       1       15,750
MYRIAD GENETICS INC              EQUITY    62855J 10 4     774     29,669 SH         SOLE       1       29,669
MYRIAD GENETICS INC              EQUITY    62855J 10 4     313     12,000 SH         SOLE       2       12,000
NABI BIOPHARMACEUTICALS          EQUITY    629519 10 9     252     44,745 SH         SOLE       1       44,745
NABORS INDUSTRIES LTD            EQUITY    G6359F 10 3      14        195 SH         SOLE       2          195
NACCO INDUSTRIES INC             EQUITY    629579 10 3    1146      7,446 SH         SOLE       1        7,446
NALCO HOLDING CO                 EQUITY    62985Q 10 1      36      2,030 SH         SOLE       1        2,030
NANOGEN INC                      EQUITY    630075 10 9     124     41,198 SH         SOLE       1       41,198
NARA BANCORP INC                 EQUITY    63080P 10 5     269     15,310 SH         SOLE       1       15,310
NASB FINANCIAL INC               EQUITY    628968 10 9      80      2,323 SH         SOLE       1        2,323
NASDAQ STOCK MARKET INC/THE      EQUITY    631103 10 8    1538     38,418 SH         SOLE       1       38,418
NASDAQ-100 INDEX TRACKING STOC   EQUITY    631100 10 4   10130    241,600 SH         SOLE       1      241,600
NASDAQ-100 INDEX TRACKING STOC   EQUITY    631100 10 4     101      2,400 SH       DEFINED      4                           2,400
NASH FINCH CO                    EQUITY    631158 10 2     368     12,306 SH         SOLE       1       12,306
NASTECH PHARMACEUTICAL CO INC    EQUITY    631728 40 9     282     15,674 SH         SOLE       1       15,674
NATCO GROUP INC                  EQUITY    63227W 20 3    1810     66,800 SH         SOLE       3       66,800
NATIONAL BEVERAGE CORP           EQUITY    635017 10 6      66      5,719 SH         SOLE       1        5,719
NATIONAL CITY CORP               EQUITY    635405 10 3   23281    667,077 SH         SOLE       1      667,077
NATIONAL CITY CORP               EQUITY    635405 10 3      24        677 SH         SOLE       2          677
NATIONAL FINANCIAL PARTNERS CO   EQUITY    63607P 20 8    1516     26,818 SH         SOLE       1       26,818
NATIONAL FUEL GAS CO             EQUITY    636180 10 1    7435    227,239 SH         SOLE       1      227,239
NATIONAL HEALTH INVESTORS INC    EQUITY    63633D 10 4     453     17,816 SH         SOLE       1       17,816
NATIONAL HEALTH REALTY INC       EQUITY    635905 10 2     109      5,485 SH         SOLE       1        5,485
NATIONAL HEALTHCARE CORP         EQUITY    635906 10 0     192      4,782 SH         SOLE       1        4,782





                                                                                         
NATIONAL INSTRUMENTS CORP        EQUITY    636518 10 2    3789    116,145 SH         SOLE       1      116,145
NATIONAL INTERSTATE CORP         EQUITY    63654U 10 0      74      3,422 SH         SOLE       1        3,422
NATIONAL MED HEALTH CARD S       EQUITY    636918 30 2     672     24,000 SH         SOLE       2       24,000
NATIONAL OILWELL VARCO INC       EQUITY    637071 10 1    5177     80,746 SH         SOLE       1       80,746
NATIONAL OILWELL VARCO INC       EQUITY    637071 10 1      14        216 SH         SOLE       2          216
NATIONAL PENN BANCSHARES INC     EQUITY    637138 10 8     700     32,908 SH         SOLE       1       32,908
NATIONAL PRESTO INDUSTRIES INC   EQUITY    637215 10 4     177      3,597 SH         SOLE       1        3,597
NATIONAL SEMICONDUCTOR COR       EQUITY    637640 10 3      12        417 SH         SOLE       2          417
NATIONAL SEMICONDUCTOR CORP      EQUITY    637640 10 3    4338    155,809 SH         SOLE       1      155,809
NATIONAL WESTERN LIFE INSURANC   EQUITY    638522 10 2     394      1,696 SH         SOLE       1        1,696
NATIONWIDE FINANCIAL SERVICES    EQUITY    638612 10 1      75      1,734 SH         SOLE       1        1,734
NATIONWIDE HEALTH PROPERTIES I   EQUITY    638620 10 4    1097     51,022 SH         SOLE       1       51,022
NATURAL RESOURCE PARTNERS        EQUITY    63900P 10 3    9785    185,400 SH         SOLE       2      185,400
NATURES SUNSHINE PRODS INC       EQUITY    639027 10 1     107      8,520 SH         SOLE       1        8,520
NAUTILUS INC                     EQUITY    63910B 10 2     378     25,315 SH         SOLE       1       25,315
NAVARRE CORP                     EQUITY    639208 10 7      84     19,479 SH         SOLE       1       19,479
NAVIGANT CONSULTING INC          EQUITY    63935N 10 7    3023    141,572 SH         SOLE       1      141,572
NAVIGATORS GROUP INC             EQUITY    638904 10 2     423      8,528 SH         SOLE       1        8,528
NAVISTAR INTERNATIONAL CORP      EQUITY    63934E 10 8     788     28,581 SH         SOLE       1       28,581
NAVISTAR INTL CORP INC           EQUITY    63934E 10 8       2         76 SH         SOLE       2           76
NAVTEQ CORP                      EQUITY    63936L 10 0     111      2,189 SH         SOLE       1        2,189
NBC CAPITAL CORP                 EQUITY    628729 10 5     121      5,271 SH         SOLE       1        5,271
NBT BANCORP INC                  EQUITY    628778 10 2     573     24,650 SH         SOLE       1       24,650
NBTY INC                         EQUITY    628782 10 4     953     42,303 SH         SOLE       1       42,303
NCI BUILDING SYSTEMS INC         EQUITY    628852 10 5     946     15,821 SH         SOLE       1       15,821
NCO GROUP INC                    EQUITY    628858 10 2     580     24,401 SH         SOLE       1       24,401
NCR CORP                         EQUITY    62886E 10 8    3545     84,824 SH         SOLE       1       84,824
NCR CORP NEW                     EQUITY    62886E 10 8       9        225 SH         SOLE       2          225
NDS GROUP PLC                    EQUITY    628891 10 3   15667    301,363 SH         SOLE       1      301,363
NDS GROUP PLC                    EQUITY    628891 10 3     224      4,300 SH         SOLE       2        4,300
NEENAH PAPER INC                 EQUITY    640079 10 9     368     11,226 SH         SOLE       1       11,226
NEKTAR THERAPEUTICS              EQUITY    640268 10 8    1317     64,608 SH         SOLE       1       64,608
NEKTAR THERAPEUTICS              EQUITY    640268 10 8     510     25,000 SH         SOLE       2       25,000
NELNET INC                       EQUITY    64031N 10 8      18        424 SH         SOLE       1          424
NEOPHARM INC                     EQUITY    640919 10 6     109     13,072 SH         SOLE       1       13,072
NESS TECHNOLOGIES INC            EQUITY    64104X 10 8     182     14,424 SH         SOLE       1       14,424
NESS TECHNOLOGIES INC            EQUITY    64104X 10 8    2576    204,600 SH         SOLE       3      204,600
NETBANK INC                      EQUITY    640933 10 7     255     35,159 SH         SOLE       1       35,159
NETEASE.COM                      EQUITY    64110W 10 2    5827    174,000 SH         SOLE       1      174,000
NETEASE.COM                      EQUITY    64110W 10 2      56      2,272 SH       DEFINED      4                           2,272
NETFLIX INC                      EQUITY    64110L 10 6     807     27,849 SH         SOLE       1       27,849
NETGEAR INC                      EQUITY    64111Q 10 4     460     24,194 SH         SOLE       1       24,194
NETIQ CORP                       EQUITY    64115P 10 2     338     30,283 SH         SOLE       1       30,283
NETLOGIC MICROSYSTEMS INC        EQUITY    64118B 10 0    1548     37,564 SH         SOLE       1       37,564
NETLOGIC MICROSYSTEMS INC        EQUITY    64118B 10 0     470     11,400 SH         SOLE       2       11,400
NETLOGIC MICROSYSTEMS INC        EQUITY    64118B 10 0    5572    135,200 SH         SOLE       3      135,200
NETLOGIC MICROSYSTEMS INC        EQUITY    64118B 10 0      14        340 SH       DEFINED      4                             340
NETRATINGS INC                   EQUITY    64116M 10 8     143     10,809 SH         SOLE       1       10,809
NETSCOUT SYSTEMS INC             EQUITY    64115T 10 4     164     18,005 SH         SOLE       1       18,005
NETSMART TECHNOLOGIES INC        EQUITY    64114W 30 6    2341    168,900 SH         SOLE       3      168,900
NETWORK APPLIANCE INC            EQUITY    64120L 10 4    8724    242,131 SH         SOLE       1      242,131
NETWORK APPLIANCE INC            EQUITY    64120L 10 4      17        462 SH         SOLE       2          462
NEUROCRINE BIOSCIENCES INC       EQUITY    64125C 10 9    1798     27,862 SH         SOLE       1       27,862
NEUROCRINE BIOSCIENCES INC       EQUITY    64125C 10 9       6        100 SH       DEFINED      4                             100
NEUROGEN CORP                    EQUITY    64124E 10 6     107     17,278 SH         SOLE       1       17,278
NEUROMETRIX INC                  EQUITY    641255 10 4     169      4,346 SH         SOLE       1        4,346
NEUSTAR INC                      EQUITY    64126X 20 1     569     18,357 SH         SOLE       1       18,357
NEW CENTURY FINANCIAL CORP       EQUITY    6435EV 10 8    1217     26,438 SH         SOLE       1       26,438
NEW JERSEY RESOURCES CORP        EQUITY    646025 10 6     944     20,862 SH         SOLE       1       20,862





                                                                                         
NEW PLAN EXCEL REALTY TRUST      EQUITY    648053 10 6    5700    219,735 SH         SOLE       1      219,735
NEW RIV PHARMACEUTICALS IN       EQUITY    648468 20 5     286      8,600 SH         SOLE       2        8,600
NEW RIVER PHARMACEUTICALS INC    EQUITY    648468 20 5     306      9,222 SH         SOLE       1        9,222
NEW YORK & CO INC                EQUITY    649295 10 2     148      9,915 SH         SOLE       1        9,915
NEW YORK COMMUNITY BANCORP INC   EQUITY    649445 10 3    8861    505,769 SH         SOLE       1      505,769
NEW YORK TIMES CO                EQUITY    650111 10 7    1715     67,775 SH         SOLE       1       67,775
NEW YORK TIMES CO                EQUITY    650111 10 7       5        179 SH         SOLE       2          179
NEWALLIANCE BANCSHARES INC       EQUITY    650203 10 2    1253     86,807 SH         SOLE       1       86,807
NEWCASTLE INVESTMENT CORP        EQUITY    65105M 10 8     796     33,279 SH         SOLE       1       33,279
NEWELL RUBBERMAID INC            EQUITY    651229 10 6    3234    128,379 SH         SOLE       1      128,379
NEWELL RUBBERMAID INC            EQUITY    651229 10 6       9        339 SH         SOLE       2          339
NEWELL RUBBERMAID INC            EQUITY    651229 10 6      18        700 SH       DEFINED      4                             700
NEWFIELD EXPL CO                 EQUITY    651290 10 8    3193     76,200 SH         SOLE       2       76,200
NEWFIELD EXPLORATION CO          EQUITY    651290 10 8   11304    269,791 SH         SOLE       1      269,791
NEWKIRK REALTY TRUST INC         EQUITY    651497 10 9     206     11,403 SH         SOLE       1       11,403
NEWMARKET CORP                   EQUITY    651587 10 7     616     12,938 SH         SOLE       1       12,938
NEWMONT MINING CORP              EQUITY    651639 10 6   10105    194,732 SH         SOLE       1      194,732
NEWMONT MINING CORP              EQUITY    651639 10 6       5        100 SH       DEFINED      4                             100
NEWMONT MNG CORP                 EQUITY    651639 10 6    1715     33,052 SH         SOLE       2       33,052
NEWPARK RESOURCES                EQUITY    651718 50 4     525     64,023 SH         SOLE       1       64,023
NEWPORT CORP                     EQUITY    651824 10 4    2092    110,924 SH         SOLE       1      110,924
NEWS CORP                        EQUITY    65248E 10 4   24404  1,469,251 SH         SOLE       1    1,469,251
NEWS CORP                        EQUITY    65248E 10 4   20637  1,242,467 SH         SOLE       2    1,242,467
NEWTEK BUSINESS SERVICES INC     EQUITY    652526 10 4    2570  1,184,379 SH         SOLE       1    1,184,379
NEXEN INC                        EQUITY    65334H 10 2    6077    110,300 SH        OTHER       1                 110,300
NEXTEL COMMUNICATIONS            CORP BOND 65332V AY 9    2000  2,000,000 PRN        SOLE       1    2,000,000
NEXTEL PARTNERS INC              EQUITY    65333F 10 7     429     15,133 SH         SOLE       1       15,133
NGP CAPITAL RESOURCES CO         EQUITY    62912R 10 7     180     13,231 SH         SOLE       1       13,231
NIC INC                          EQUITY    62914B 10 0     156     25,477 SH         SOLE       1       25,477
NICHOLAS FINANCIAL INC           EQUITY    65373J 20 9     622     52,231 SH       DEFINED      4                          52,231
NICOR INC                        EQUITY    654086 10 7    2886     72,947 SH         SOLE       1       72,947
NICOR INC                        EQUITY    654086 10 7       2         55 SH         SOLE       2           55
NII HLDGS INC                    EQUITY    62913F 20 1    2866     48,600 SH         SOLE       2       48,600
NII HOLDINGS INC                 EQUITY    62913F 20 1     709     12,015 SH         SOLE       1       12,015
NIKE INC                         EQUITY    654106 10 3   18873    221,779 SH         SOLE       1      221,779
NIKE INC                         EQUITY    654106 10 3   46068    541,334 SH         SOLE       2      541,334
NIKE INC                         EQUITY    654106 10 3    1031     12,116 SH       DEFINED      4                          12,116
NISOURCE INC                     EQUITY    65473P 10 5    2579    127,537 SH         SOLE       1      127,537
NISOURCE INC                     EQUITY    65473P 10 5       7        337 SH         SOLE       2          337
NISOURCE INC                     EQUITY    65473P 10 5       9        450 SH       DEFINED      4                             450
NITROMED INC                     EQUITY    654798 50 3     126     14,973 SH         SOLE       1       14,973
NL INDUSTRIES                    EQUITY    629156 40 7      63      5,963 SH         SOLE       1        5,963
NN INC                           EQUITY    629337 10 6     166     12,859 SH         SOLE       1       12,859
NOBLE CORPORATION                EQUITY    G65422 10 0      14        170 SH         SOLE       2          170
NOBLE ENERGY INC                 EQUITY    655044 10 5   20105    457,761 SH         SOLE       1      457,761
NOBLE INTERNATIONAL LTD          EQUITY    655053 10 6     144      8,478 SH         SOLE       1        8,478
NOKIA CORP                       EQUITY    654902 20 4    5393    260,300 SH         SOLE       2      260,300
NOKIA OYJ                        EQUITY    654902 20 4   34792  1,678,110 SH         SOLE       1    1,678,110
NOKIA OYJ                        EQUITY    654902 20 4     108      5,203 SH       DEFINED      4                           5,203
NOMURA HOLDINGS INC              EQUITY    65535H 20 8       3        115 SH       DEFINED      4                             115
NORDSON CORP                     EQUITY    655663 10 2    4410     88,446 SH         SOLE       1       88,446
NORDSON CORP                     EQUITY    655663 10 2     170      3,400 SH         SOLE       2        3,400
NORDSTROM INC                    EQUITY    655664 10 0    3953    100,903 SH         SOLE       1      100,903
NORDSTROM INC                    EQUITY    655664 10 0      11        270 SH         SOLE       2          270
NORFOLK SOUTHERN CORP            EQUITY    655844 10 8   13367    247,219 SH         SOLE       1      247,219
NORFOLK SOUTHERN CORP            EQUITY    655844 10 8      12        225 SH       DEFINED      4                             225
NORFOLK SOUTHN CORP              EQUITY    655844 10 8    6143    113,610 SH         SOLE       2      113,610
NORTEL NETWORKS CORP             CORP BOND 656568 AB 8       2      2,000 PRN      DEFINED      4                           2,000
NORTEL NETWORKS CORP             EQUITY    656568 10 2      14      4,689 SH       DEFINED      4                           4,689





                                                                                         
NORTH FORK BANCORPORATION        EQUITY    659424 10 5      17        588 SH         SOLE       2          588
NORTH FORK BANCORPORATION INC    EQUITY    659424 10 5   13954    484,009 SH         SOLE       1      484,009
NORTH FORK BANCORPORATION INC    EQUITY    659424 10 5      14        500 SH       DEFINED      4                             500
NORTH PITTSBURGH SYSTEMS INC     EQUITY    661562 10 8     266     11,410 SH         SOLE       1       11,410
NORTHEAST UTILITIES              EQUITY    664397 10 6    6305    322,860 SH         SOLE       1      322,860
NORTHERN EMPIRE BANCSHARES       EQUITY    665112 10 8     153      6,069 SH         SOLE       1        6,069
NORTHERN ORION RESOURCES INC     EQUITY    665575 10 6    2738    607,500 SH        OTHER       1                 607,500
NORTHERN TRUST CORP              EQUITY    665859 10 4    6707    127,751 SH         SOLE       1      127,751
NORTHERN TRUST CORP              EQUITY    665859 10 4      12        229 SH         SOLE       2          229
NORTHFIELD LABORATORIES INC      EQUITY    666135 10 8     179     17,856 SH         SOLE       1       17,856
NORTHFIELD LABORATORIES INC      EQUITY    666135 10 8      10      1,000 SH       DEFINED      4                           1,000
NORTHROP GRUMMAN CORP            EQUITY    666807 10 2   23390    342,503 SH         SOLE       1      342,503
NORTHROP GRUMMAN CORP            EQUITY    666807 10 2     385      5,633 SH         SOLE       2        5,633
NORTHROP GRUMMAN CORP            EQUITY    666807 10 2       6         95 SH       DEFINED      4                              95
NORTHSTAR REALTY FINANCE CORP    EQUITY    66704R 10 0     225     20,524 SH         SOLE       1       20,524
NORTHWEST BANCORP INC            EQUITY    667328 10 8     369     14,918 SH         SOLE       1       14,918
NORTHWEST NATURAL GAS CO         EQUITY    667655 10 4     744     20,951 SH         SOLE       1       20,951
NORTHWESTERN CORP                EQUITY    668074 30 5    1497     48,087 SH         SOLE       1       48,087
NOVARTIS AG                      EQUITY    66987V 10 9    7956    143,500 SH         SOLE       2      143,500
NOVASTAR FINANCIAL INC           EQUITY    669947 40 0     704     21,058 SH         SOLE       1       21,058
NOVATEL WIRELESS INC             EQUITY    66987M 60 4     198     22,071 SH         SOLE       1       22,071
NOVELL INC                       EQUITY    670006 10 5    2108    274,496 SH         SOLE       1      274,496
NOVELL INC                       EQUITY    670006 10 5       4        481 SH         SOLE       2          481
NOVELLUS SYS INC                 EQUITY    670008 10 1       4        165 SH         SOLE       2          165
NOVELLUS SYSTEMS INC             EQUITY    670008 10 1    3474    144,730 SH         SOLE       1      144,730
NOVEN PHARMACEUTICALS INC        EQUITY    670009 10 9     323     17,915 SH         SOLE       1       17,915
NOVEN PHARMACEUTICALS INC        EQUITY    670009 10 9    8465    470,000 SH         SOLE       2      470,000
NPS PHARMACEUTICALS INC          EQUITY    62936P 10 3     298     34,951 SH         SOLE       1       34,951
NPS PHARMACEUTICALS INC          EQUITY    62936P 10 3    1382    161,800 SH         SOLE       2      161,800
NRG ENERGY INC                   EQUITY    629377 50 8    6548    144,813 SH         SOLE       1      144,813
NS GROUP INC                     EQUITY    628916 10 8     778     16,900 SH         SOLE       1       16,900
NSTAR                            EQUITY    67019E 10 7    6440    225,102 SH         SOLE       1      225,102
NTELOS HLDGS CORP                EQUITY    67020Q 10 7    1785    127,400 SH         SOLE       2      127,400
NTL INC                          EQUITY    62941W 10 1     776     26,653 SH         SOLE       1       26,653
NTL INC                          EQUITY    62941W 10 1       1         21 SH       DEFINED      4                              21
NTN BUZZTIME INC                 EQUITY    629410 30 9      66     45,639 SH         SOLE       1       45,639
NU SKIN ENTERPRISES INC          EQUITY    67018T 10 5     750     42,798 SH         SOLE       1       42,798
NUANCE COMMUNICATIONS INC        EQUITY    67020Y 10 0    1166     98,710 SH         SOLE       1       98,710
NUCO2 INC                        EQUITY    629428 10 3     259      8,158 SH         SOLE       1        8,158
NUCOR CORP                       EQUITY    670346 10 5   15483    147,749 SH         SOLE       1      147,749
NUCOR CORP                       EQUITY    670346 10 5     701      6,692 SH         SOLE       2        6,692
NUCOR CORP                       EQUITY    670346 10 5      17        160 SH       DEFINED      4                             160
NUTRI SYS INC NEW                EQUITY    67069D 10 8     371      7,800 SH         SOLE       2        7,800
NUTRI/SYSTEM INC                 EQUITY    67069D 10 8     874     18,402 SH         SOLE       1       18,402
NUVASIVE INC                     EQUITY    670704 10 5    1200     63,667 SH         SOLE       1       63,667
NUVEEN INVESTMENTS INC           EQUITY    67090F 10 6      61      1,265 SH         SOLE       1        1,265
NUVEEN MUNICIPAL VALUE FUND      EQUITY    670928 10 0      39      4,000 SH       DEFINED      4                           4,000
NUVEEN PREFERRED AND CONVERTIB   EQUITY    67073B 10 6      78      6,321 SH       DEFINED      4                           6,321
NUVEEN PREMIER INSURED MUNICIP   EQUITY    670987 10 6     474     31,650 SH       DEFINED      4                          31,650
NUVEEN SELECT TAX FREE 2         EQUITY    67063C 10 6      33      2,500 SH       DEFINED      4                           2,500
NUVEEN SELECT TAX FREE 3         EQUITY    67063X 10 0       7        500 SH       DEFINED      4                             500
NUVELO INC                       EQUITY    67072M 30 1     656     36,815 SH         SOLE       1       36,815
NVIDIA CORP                      EQUITY    67066G 10 4    8350    145,821 SH         SOLE       1      145,821
NVIDIA CORP                      EQUITY    67066G 10 4     734     12,812 SH         SOLE       2       12,812
NVIDIA CORP                      EQUITY    67066G 10 4    2623     45,800 SH         SOLE       3       44,100
NVR INC                          EQUITY    62944T 10 5      85        115 SH         SOLE       1          115
NXSTAGE MEDICAL INC              EQUITY    67072V 10 3      56      4,373 SH         SOLE       1        4,373
NY COMMUNITY CAP TRUST V         CORP BOND 64944P 30 7    1122     23,000 PRN        SOLE       1       23,000
OAKLEY INC                       EQUITY    673662 10 2     315     18,493 SH         SOLE       1       18,493





                                                                                         
OCCIDENTAL PETE CORP             EQUITY    674599 10 5      49        532 SH         SOLE       2          532
OCCIDENTAL PETROLEUM CORP        EQUITY    674599 10 5   17871    192,882 SH         SOLE       1      192,882
OCEANEERING INTERNATIONAL INC    EQUITY    675232 10 2    1131     19,740 SH         SOLE       1       19,740
OCEANFIRST FINANCIAL CORP        EQUITY    675234 10 8     167      6,827 SH         SOLE       1        6,827
O'CHARLEYS INC                   EQUITY    670823 10 3     311     16,840 SH         SOLE       1       16,840
OCWEN FINANCIAL CORP             EQUITY    675746 10 1     267     26,148 SH         SOLE       1       26,148
ODYSSEY HEALTHCARE INC           EQUITY    67611V 10 1     630     36,632 SH         SOLE       1       36,632
ODYSSEY MARINE EXPLORATION INC   EQUITY    676118 10 2     109     29,830 SH         SOLE       1       29,830
ODYSSEY RE HOLDINGS CORP         EQUITY    67612W 10 8     208      9,577 SH         SOLE       1        9,577
OFFICE DEPOT INC                 EQUITY    676220 10 6    6044    162,302 SH         SOLE       1      162,302
OFFICE DEPOT INC                 EQUITY    676220 10 6      14        365 SH         SOLE       2          365
OFFICE DEPOT INC                 EQUITY    676220 10 6     587     15,770 SH       DEFINED      4                          15,770
OFFICEMAX INC                    EQUITY    67622P 10 1    1651     54,736 SH         SOLE       1       54,736
OFFICEMAX INC DEL                EQUITY    67622P 10 1       3         88 SH         SOLE       2           88
OGE ENERGY CORP                  EQUITY    670837 10 3    9631    332,110 SH         SOLE       1      332,110
OHIO CASUALTY CORP               EQUITY    677240 10 3    5681    179,226 SH         SOLE       1      179,226
OIL STATES INTERNATIONAL INC     EQUITY    678026 10 5    1140     30,933 SH         SOLE       1       30,933
OIL STATES INTL INC              EQUITY    678026 10 5     335      9,100 SH         SOLE       2        9,100
OLD DOMINION FREIGHT LINE        EQUITY    679580 10 0     577     21,423 SH         SOLE       1       21,423
OLD NATIONAL BANCORP/IN          EQUITY    680033 10 7    1124     51,952 SH         SOLE       1       51,952
OLD REPUBLIC INTERNATIONAL COR   EQUITY    680223 10 4   10551    483,556 SH         SOLE       1      483,556
OLD SECOND BANCORP INC           EQUITY    680277 10 0     337     10,263 SH         SOLE       1       10,263
OLIN CORP                        EQUITY    680665 20 5    4376    203,821 SH         SOLE       1      203,821
OM GROUP INC                     EQUITY    670872 10 0     498     21,657 SH         SOLE       1       21,657
OMEGA FINANCIAL CORP             EQUITY    682092 10 1     324      9,582 SH         SOLE       1        9,582
OMEGA FLEX INC                   EQUITY    682095 10 4      51      2,671 SH         SOLE       1        2,671
OMEGA HEALTHCARE INVESTORS INC   EQUITY    681936 10 0     595     42,425 SH         SOLE       1       42,425
OMI CORP                         EQUITY    Y6476W 10 4       3        150 SH       DEFINED      4                             150
OMNICARE INC                     EQUITY    681904 10 8   13853    251,917 SH         SOLE       1      251,917
OMNICARE INC                     EQUITY    681904 10 8   15463    281,200 SH         SOLE       2      281,200
OMNICOM GROUP                    EQUITY    681919 10 6    9176    110,221 SH         SOLE       2      110,221
OMNICOM GROUP                    CORP BOND 681919 AR 7       1      1,000 PRN      DEFINED      4                           1,000
OMNICOM GROUP INC                EQUITY    681919 10 6   14167    170,171 SH         SOLE       1      170,171
OMNICOM GROUP INC                EQUITY    681919 10 6       3         40 SH       DEFINED      4                              40
OMNIVISION TECHNOLOGIES INC      EQUITY    682128 10 3    3031    100,377 SH         SOLE       1      100,377
OMNIVISION TECHNOLOGIES INC      EQUITY    682128 10 3     930     30,780 SH       DEFINED      4                          30,780
ON SEMICONDUCTOR CORP            EQUITY    682189 10 5     957    131,857 SH         SOLE       1      131,857
ON SEMICONDUCTOR CORP            EQUITY    682189 10 5    6642    914,900 SH         SOLE       2      914,900
ONE LIBERTY PROPERTIES INC       EQUITY    682406 10 3     116      5,848 SH         SOLE       1        5,848
ONEOK INC                        EQUITY    682680 10 3    7943    246,299 SH         SOLE       1      246,299
ONLINE RESOURCES CORP            EQUITY    68273G 10 1     209     16,066 SH         SOLE       1       16,066
ONLINE RESOURCES CORP            EQUITY    68273G 10 1     509     39,172 SH       DEFINED      4                          39,172
ONYX PHARMACEUTICALS INC         EQUITY    683399 10 9     807     30,714 SH         SOLE       1       30,714
OPEN SOLUTIONS INC               EQUITY    68371P 10 2     405     14,837 SH         SOLE       1       14,837
OPENWAVE SYS INC                 EQUITY    683718 30 8    5960    276,200 SH         SOLE       2      276,200
OPENWAVE SYSTEMS INC             EQUITY    683718 30 8    1442     66,824 SH         SOLE       1       66,824
OPLINK COMMUNICATIONS INC        EQUITY    68375Q 40 3     814     46,964 SH         SOLE       1       46,964
OPLINK COMMUNICATIONS INC        EQUITY    68375Q 40 3    2852    164,500 SH         SOLE       3      164,500
OPSWARE INC                      EQUITY    68383A 10 1     486     56,677 SH         SOLE       1       56,677
OPTEUM INC                       EQUITY    68384A 10 0     137     15,979 SH         SOLE       1       15,979
OPTICAL COMMUNICATION PRODUCTS   EQUITY    68382T 10 1      35     11,385 SH         SOLE       1       11,385
OPTION CARE INC                  EQUITY    683948 10 3     233     16,467 SH         SOLE       1       16,467
OPTIONSXPRESS HLDGS INC          EQUITY    684010 10 1     567     19,500 SH         SOLE       2       19,500
OPTIONSXPRESS HOLDINGS INC       EQUITY    684010 10 1     456     15,678 SH         SOLE       1       15,678
ORACLE CORP                      EQUITY    68389X 10 5   52276  3,818,572 SH         SOLE       1    3,818,572
ORACLE CORP                      EQUITY    68389X 10 5   14429  1,053,958 SH         SOLE       2    1,053,958
ORACLE CORP                      EQUITY    68389X 10 5     373     27,245 SH       DEFINED      4                          27,245
ORASURE TECHNOLOGIES INC         EQUITY    68554V 10 8     350     33,985 SH         SOLE       1       33,985
ORBITAL SCIENCES CORP            EQUITY    685564 10 6     937     59,221 SH         SOLE       1       59,221





                                                                                         
ORBITAL SCIENCES CORP            EQUITY    685564 10 6       5        300 SH       DEFINED      4                             300
ORCHID CELLMARK INC              EQUITY    68573C 10 7     107     18,602 SH         SOLE       1       18,602
ORCHID CELLMARK INC              EQUITY    68573C 10 7    1579    275,100 SH         SOLE       2      275,100
OREGON STEEL MILLS INC           EQUITY    686079 10 4    1379     26,941 SH         SOLE       1       26,941
O'REILLY AUTOMOTIVE INC          EQUITY    686091 10 9    8586    234,841 SH         SOLE       1      234,841
ORIENTAL FINANCIAL GROUP         EQUITY    68618W 10 0     233     16,115 SH         SOLE       1       16,115
ORIGEN FINANCIAL INC             EQUITY    68619E 20 8      79     13,036 SH         SOLE       1       13,036
ORLEANS HOMEBUILDERS INC         EQUITY    686588 10 4      63      3,118 SH         SOLE       1        3,118
ORMAT TECHNOLOGIES INC           EQUITY    686688 10 2     208      5,471 SH         SOLE       1        5,471
OSCIENT PHARMACEUTICALS CORP     EQUITY    68812R 10 5    1188    593,768 SH         SOLE       1      593,768
OSHKOSH TRUCK CORP               EQUITY    688239 20 1    3169     50,915 SH         SOLE       1       50,915
OSHKOSH TRUCK CORP               EQUITY    688239 20 1     436      7,000 SH         SOLE       2        7,000
OSI PHARMACEUTICALS INC          EQUITY    671040 10 3      43      1,353 SH         SOLE       1        1,353
OSI SYSTEMS INC                  EQUITY    671044 10 5     242     11,436 SH         SOLE       1       11,436
OTTER TAIL CORP                  EQUITY    689648 10 3     636     22,174 SH         SOLE       1       22,174
OTTER TAIL CORP                  EQUITY    689648 10 3     112      3,900 SH       DEFINED      4                           3,900
OUTBACK STEAKHOUSE INC           EQUITY    689899 10 2    6062    137,772 SH         SOLE       1      137,772
OUTDOOR CHANNEL HOLDINGS INC     EQUITY    690027 20 6      58      5,726 SH         SOLE       1        5,726
OVERSEAS SHIPHOLDING GROUP       EQUITY    690368 10 5    2991     62,401 SH         SOLE       1       62,401
OVERSTOCK.COM INC                EQUITY    690370 10 1     237      7,961 SH         SOLE       1        7,961
OWENS & MINOR INC                EQUITY    690732 10 2     989     30,185 SH         SOLE       1       30,185
OWENS-ILLINOIS INC               EQUITY    690768 40 3      80      4,624 SH         SOLE       1        4,624
OXFORD INDUSTRIES INC            EQUITY    691497 30 9     543     10,621 SH         SOLE       1       10,621
PACCAR INC                       EQUITY    693718 10 8    6343     89,996 SH         SOLE       1       89,996
PACCAR INC                       EQUITY    693718 10 8      15        209 SH         SOLE       2          209
PACER INTERNATIONAL INC          EQUITY    69373H 10 6     928     28,402 SH         SOLE       1       28,402
PACHOLDER HIGH YIELD FUND INC    EQUITY    693742 10 8      72      7,546 SH       DEFINED      4                           7,546
PACIFIC CAPITAL BANCORP          EQUITY    69404P 10 1    1179     34,847 SH         SOLE       1       34,847
PACIFIC ETHANOL INC              EQUITY    69423U 10 7      51      2,352 SH         SOLE       1        2,352
PACIFIC ETHANOL INC              EQUITY    69423U 10 7    8677    401,900 SH         SOLE       2      401,900
PACIFIC SUNWEAR OF CALIF         EQUITY    694873 10 0    8164    368,400 SH         SOLE       2      368,400
PACIFIC SUNWEAR OF CALIFORNIA    EQUITY    694873 10 0    4680    211,210 SH         SOLE       1      211,210
PACKAGING CORP OF AMERICA        EQUITY    695156 10 9    7292    324,963 SH         SOLE       1      324,963
PACKETEER INC                    EQUITY    695210 10 4     299     25,765 SH         SOLE       1       25,765
PACTIV CORP                      EQUITY    695257 10 5    1644     67,004 SH         SOLE       1       67,004
PACTIV CORP                      EQUITY    695257 10 5       4        177 SH         SOLE       2          177
PACTIV CORP                      EQUITY    695257 10 5       6        250 SH       DEFINED      4                             250
PAIN THERAPEUTICS INC            EQUITY    69562K 10 0     231     21,237 SH         SOLE       1       21,237
PAINCARE HOLDINGS INC            EQUITY    69562E 10 4      71     37,174 SH         SOLE       1       37,174
PALL CORP                        EQUITY    696429 30 7    1818     58,301 SH         SOLE       1       58,301
PALL CORP                        EQUITY    696429 30 7       5        154 SH         SOLE       2          154
PALL CORP                        EQUITY    696429 30 7      16        500 SH       DEFINED      4                             500
PALM HARBOR HOMES INC            EQUITY    696639 10 3     155      7,256 SH         SOLE       1        7,256
PALM INC                         EQUITY    696643 10 5    1471     63,522 SH         SOLE       1       63,522
PALM INC                         EQUITY    696643 10 5     100      5,004 SH       DEFINED      4                           5,004
PALM INC NEW                     OPTION    696643 90 5     -16        -50     CALL DEFINED      4                             (50)
PALOMAR MEDICAL TECHNOLOGIES I   EQUITY    697529 30 3    1306     39,029 SH         SOLE       1       39,029
PAM TRANSPORTATION SERVICES      EQUITY    693149 10 6     116      4,711 SH         SOLE       1        4,711
PAN AMERICAN SILVER CORP         EQUITY    697900 10 8    2126     84,100 SH        OTHER       1                  84,100
PAN PACIFIC RETAIL PROPERTIES    EQUITY    69806L 10 4      87      1,234 SH         SOLE       1        1,234
PANAMSAT HOLDING CORP            EQUITY    69831Y 10 5      35      1,394 SH         SOLE       1        1,394
PANERA BREAD CO                  EQUITY    69840W 10 8      50        659 SH         SOLE       1          659
PANTRY INC                       EQUITY    698657 10 3     318      5,100 SH         SOLE       2        5,100
PANTRY INC/THE                   EQUITY    698657 10 3     807     12,931 SH         SOLE       1       12,931
PAPA JOHN'S INTERNATIONAL INC    EQUITY    698813 10 2    1834     55,904 SH         SOLE       1       55,904
PAR PHARMACEUTICAL COS INC       EQUITY    69888P 10 6    2733     97,000 SH         SOLE       1       97,000
PAR TECHNOLOGY CORP              EQUITY    698884 10 3     153      8,635 SH         SOLE       1        8,635
PARALLEL PETROLEUM CORP          EQUITY    699157 10 3     477     25,873 SH         SOLE       1       25,873
PARAMETRIC TECHNOLOGY CORP       EQUITY    699173 20 9    2142    131,187 SH         SOLE       1      131,187





                                                                                         
PARAMETRIC TECHNOLOGY CORP       EQUITY    699173 20 9    7733    473,537 SH         SOLE       2      473,537
PAREXEL INTERNATIONAL CORP       EQUITY    699462 10 7     525     19,847 SH         SOLE       1       19,847
PARK ELECTROCHEMICAL CORP        EQUITY    700416 20 9     448     15,192 SH         SOLE       1       15,192
PARK NATIONAL CORP               EQUITY    700658 10 7     985      9,248 SH         SOLE       1        9,248
PARK NATIONAL CORP               EQUITY    700658 10 7       6         52 SH       DEFINED      4                              52
PARKER DRILLING CO               EQUITY    701081 10 1     675     72,799 SH         SOLE       1       72,799
PARKER HANNIFIN CORP             EQUITY    701094 10 4    7327     90,898 SH         SOLE       1       90,898
PARKER HANNIFIN CORP             EQUITY    701094 10 4     762      9,448 SH         SOLE       2        9,448
PARKWAY PROPERTIES INC/MD        EQUITY    70159Q 10 4     467     10,701 SH         SOLE       1       10,701
PARLUX FRAGRANCES INC            EQUITY    701645 10 3     153      4,742 SH         SOLE       1        4,742
PARLUX FRAGRANCES INC            EQUITY    701645 10 3     332     10,300 SH         SOLE       2       10,300
PARTNERS TRUST FINANCIAL GROUP   EQUITY    70213F 10 2     452     37,955 SH         SOLE       1       37,955
PATHMARK STORES INC              EQUITY    70322A 10 1     398     38,080 SH         SOLE       1       38,080
PATTERSON COS INC                EQUITY    703395 10 3    2527     71,786 SH         SOLE       1       71,786
PATTERSON COS INC                EQUITY    703395 10 3       6        171 SH         SOLE       2          171
PATTERSON UTI ENERGY INC         EQUITY    703481 10 1    4100    128,300 SH         SOLE       2      128,300
PATTERSON-UTI ENERGY INC         EQUITY    703481 10 1   11935    373,440 SH         SOLE       1      373,440
PATTERSON-UTI ENERGY INC         EQUITY    703481 10 1      10        300 SH       DEFINED      4                             300
PAXAR CORP                       EQUITY    704227 10 7     522     26,684 SH         SOLE       1       26,684
PAYCHEX INC                      EQUITY    704326 10 7    7304    175,326 SH         SOLE       1      175,326
PAYCHEX INC                      EQUITY    704326 10 7     642     15,413 SH         SOLE       2       15,413
PAYCHEX INC                      EQUITY    704326 10 7      51      1,223 SH       DEFINED      4                           1,223
PAYLESS SHOESOURCE INC           EQUITY    704379 10 6    4662    203,664 SH         SOLE       1      203,664
PDF SOLUTIONS INC                EQUITY    693282 10 5     265     14,024 SH         SOLE       1       14,024
PDL BIOPHARMA INC                EQUITY    69329Y 10 4    7766    236,754 SH         SOLE       1      236,754
PEABODY ENERGY CORP              EQUITY    704549 10 4   28808    571,475 SH         SOLE       1      571,475
PEAPACK GLADSTONE FINANCIAL CO   EQUITY    704699 10 7     162      6,311 SH         SOLE       1        6,311
PEDIATRIX MED GROUP              EQUITY    705324 10 1     452      4,400 SH         SOLE       2        4,400
PEDIATRIX MEDICAL GROUP INC      EQUITY    705324 10 1    1928     18,784 SH         SOLE       1       18,784
PEET'S COFFEE & TEA INC          EQUITY    705560 10 0     311     10,378 SH         SOLE       1       10,378
PEGASUS SOLUTIONS INC            EQUITY    705906 10 5     397     42,145 SH         SOLE       1       42,145
PEGASYSTEMS INC                  EQUITY    705573 10 3      82     10,024 SH         SOLE       1       10,024
PENN NATIONAL GAMING INC         EQUITY    707569 10 9      70      1,654 SH         SOLE       1        1,654
PENN VIRGINIA CORP               EQUITY    707882 10 6     999     14,075 SH         SOLE       1       14,075
PENN VIRGINIA CORP               EQUITY    707882 10 6    1086     15,295 SH       DEFINED      4                          15,295
PENNEY J C INC                   EQUITY    708160 10 6      17        287 SH         SOLE       2          287
PENNFED FINANCIAL SERVICES INC   EQUITY    708167 10 1     133      6,929 SH         SOLE       1        6,929
PENNSYLVANIA COMMERCE BANCORP    EQUITY    708677 10 9     101      3,348 SH         SOLE       1        3,348
PENNSYLVANIA REAL ESTATE INVES   EQUITY    709102 10 7    1221     27,740 SH         SOLE       1       27,740
PENTAIR INC                      EQUITY    709631 10 5    8679    212,970 SH         SOLE       1      212,970
PENTAIR INC                      EQUITY    709631 10 5    2665     65,400 SH         SOLE       2       65,400
PENTAIR INC                      EQUITY    709631 10 5       4         90 SH       DEFINED      4                              90
PENWEST PHARMACEUTICALS CO       EQUITY    709754 10 5     358     16,522 SH         SOLE       1       16,522
PEOPLES BANCORP INC/OH           EQUITY    709789 10 1     213      7,113 SH         SOLE       1        7,113
PEOPLE'S BANK/BRIDGEPORT CT      EQUITY    710198 10 2      47      1,443 SH         SOLE       1        1,443
PEOPLE'S BANK/BRIDGEPORT CT      EQUITY    710198 10 2      63      1,916 SH       DEFINED      4                           1,916
PEOPLES ENERGY CORP              EQUITY    711030 10 6   10960    307,516 SH         SOLE       1      307,516
PEOPLES ENERGY CORP              EQUITY    711030 10 6       2         47 SH         SOLE       2           47
PEOPLESUPPORT INC                EQUITY    712714 30 2    2912    297,100 SH         SOLE       2      297,100
PEP BOYS-MANNY MOE & JACK        EQUITY    713278 10 9     635     42,036 SH         SOLE       1       42,036
PEPCO HOLDINGS INC               EQUITY    713291 10 2   12846    563,676 SH         SOLE       1      563,676
PEPSI BOTTLING GROUP INC         EQUITY    713409 10 0    3214    105,757 SH         SOLE       1      105,757
PEPSI BOTTLING GROUP INC         EQUITY    713409 10 0       5        167 SH         SOLE       2          167
PEPSIAMERICAS INC                EQUITY    71343P 20 0    3143    128,568 SH         SOLE       1      128,568
PEPSIAMERICAS INC                EQUITY    71343P 20 0      42      1,727 SH       DEFINED      4                           1,727
PEPSICO INC                      EQUITY    713448 10 8  119987  2,076,196 SH         SOLE       1    2,076,196
PEPSICO INC                      EQUITY    713448 10 8   21293    368,448 SH         SOLE       2      368,448
PEPSICO INC                      EQUITY    713448 10 8     113      1,961 SH       DEFINED      4                           1,961
PERFICIENT INC                   EQUITY    71375U 10 1     966     83,200 SH         SOLE       3       83,200





                                                                                         
PERFORMANCE FOOD GROUP CO        EQUITY    713755 10 6    1057     33,876 SH         SOLE       1       33,876
PERICOM SEMICONDUCTOR CORP       EQUITY    713831 10 5     198     20,064 SH         SOLE       1       20,064
PERINI CORP                      EQUITY    713839 10 8     446     14,670 SH         SOLE       1       14,670
PERKINELMER INC                  EQUITY    714046 10 9    1428     60,827 SH         SOLE       1       60,827
PERKINELMER INC                  EQUITY    714046 10 9       4        162 SH         SOLE       2          162
PEROT SYSTEMS CORP               EQUITY    714265 10 5     969     62,269 SH         SOLE       1       62,269
PERRIGO CO                       EQUITY    714290 10 3    3844    235,655 SH         SOLE       1      235,655
PERRY ELLIS INTERNATIONAL INC    EQUITY    288853 10 4     163      7,206 SH         SOLE       1        7,206
PER-SE TECHNOLOGIES INC          EQUITY    713569 30 9     633     23,736 SH         SOLE       1       23,736
PETCO ANIMAL SUPPLIES INC        EQUITY    716016 20 9    1032     43,804 SH         SOLE       1       43,804
PETRO-CANADA                     EQUITY    71644E 10 2    3853     81,200 SH        OTHER       1                  81,200
PETROFUND ENERGY TRUST           EQUITY    71648W 10 8      15        700 SH       DEFINED      4                             700
PETROHAWK ENERGY CORP            EQUITY    716495 10 6     554     40,417 SH         SOLE       1       40,417
PETROLEO BRASILEIRO SA           EQUITY    71654V 40 8   22137    255,420 SH         SOLE       1      255,420
PETROLEO BRASILEIRO SA           EQUITY    71654V 40 8       5         60 SH       DEFINED      4                              60
PETROLEUM DEVELOPMENT CORP       EQUITY    716578 10 9     572     12,615 SH         SOLE       1       12,615
PETROQUEST ENERGY INC            EQUITY    716748 10 8     313     30,974 SH         SOLE       1       30,974
PETSMART INC                     EQUITY    716768 10 6    8528    303,058 SH         SOLE       1      303,058
PF CHANG'S CHINA BISTRO INC      EQUITY    69333Y 10 8     980     19,879 SH         SOLE       1       19,879
PFF BANCORP INC                  EQUITY    69331W 10 4     498     14,775 SH         SOLE       1       14,775
PFIZER INC                       EQUITY    717081 10 3  180149  7,228,730 SH         SOLE       1    7,228,730
PFIZER INC                       EQUITY    717081 10 3   33168  1,330,982 SH         SOLE       2    1,330,982
PFIZER INC                       EQUITY    717081 10 3     624     25,040 SH       DEFINED      4                          25,040
PG&E CORP                        EQUITY    69331C 10 8    6316    162,362 SH         SOLE       1      162,362
PG+E CORP                        EQUITY    69331C 10 8     748     19,227 SH         SOLE       2       19,227
PHARMACEUTICAL HOLDRS TRUST      EQUITY    71712A 20 6    1942     27,200 SH         SOLE       3       27,200
PHARMACEUTICAL PRODUCT DEVELOP   EQUITY    717124 10 1    7298    210,860 SH         SOLE       1      210,860
PHARMACEUTICAL PRODUCT DEVELOP   EQUITY    717124 10 1       7        200 SH       DEFINED      4                             200
PHARMION CORP                    EQUITY    71715B 40 9     336     18,658 SH         SOLE       1       18,658
PHASE FORWARD INC                EQUITY    71721R 40 6    1602    143,805 SH         SOLE       1      143,805
PHASE FORWARD INC                EQUITY    71721R 40 6    6587    591,300 SH         SOLE       3      591,300
PHELPS DODGE CORP                EQUITY    717265 10 2   15941    197,951 SH         SOLE       1      197,951
PHELPS DODGE CORP                EQUITY    717265 10 2     689      8,552 SH         SOLE       2        8,552
PHH CORP                         EQUITY    693320 20 2    1067     39,974 SH         SOLE       1       39,974
PHILADELPHIA CONSOLIDATED HOLD   EQUITY    717528 10 3      45      1,313 SH         SOLE       1        1,313
PHILLIPS VAN HEUSEN CORP         EQUITY    718592 10 8     317      8,300 SH         SOLE       2        8,300
PHILLIPS-VAN HEUSEN              EQUITY    718592 10 8     942     24,643 SH         SOLE       1       24,643
PHOENIX COS INC/THE              EQUITY    71902E 10 9    1178     72,246 SH         SOLE       1       72,246
PHOENIX TECHNOLOGIES LTD         EQUITY    719153 10 8     128     18,903 SH         SOLE       1       18,903
PHOTON DYNAMICS INC              EQUITY    719364 10 1     241     12,862 SH         SOLE       1       12,862
PHOTRONICS INC                   EQUITY    719405 10 2     848     45,191 SH         SOLE       1       45,191
PICO HOLDINGS INC                EQUITY    693366 20 5     214      6,497 SH         SOLE       1        6,497
PIEDMONT NATURAL GAS CO          EQUITY    720186 10 5      56      2,330 SH         SOLE       1        2,330
PIER 1 IMPORTS INC               EQUITY    720279 10 8    2850    245,478 SH         SOLE       1      245,478
PIKE ELECTRIC CORP               EQUITY    721283 10 9     216     10,263 SH         SOLE       1       10,263
PIKE ELECTRIC CORP               EQUITY    721283 10 9      13        595 SH       DEFINED      4                             595
PILGRIM'S PRIDE CORP             EQUITY    721467 10 8     172      7,952 SH         SOLE       1        7,952
PIMCO HIGH INCOME FUND           EQUITY    722014 10 7      29      1,900 SH       DEFINED      4                           1,900
PINNACLE AIRLINES CORP           EQUITY    723443 10 7      98     14,740 SH         SOLE       1       14,740
PINNACLE ENTERTAINMENT INC       EQUITY    723456 10 9     999     35,467 SH         SOLE       1       35,467
PINNACLE FINANCIAL PARTNERS IN   EQUITY    72346Q 10 4     241      8,798 SH         SOLE       1        8,798
PINNACLE WEST CAP CORP           EQUITY    723484 10 1       5        123 SH         SOLE       2          123
PINNACLE WEST CAPITAL CORP       EQUITY    723484 10 1    5589    142,938 SH         SOLE       1      142,938
PIONEER COS INC                  EQUITY    723643 30 0     262      8,581 SH         SOLE       1        8,581
PIONEER DRILLING CO              EQUITY    723655 10 6     271     16,466 SH         SOLE       1       16,466
PIONEER DRILLING CO              EQUITY    723655 10 6       2        100 SH       DEFINED      4                             100
PIONEER HIGH INCOME TRUST        EQUITY    72369H 10 6       7        400 SH       DEFINED      4                             400
PIONEER NATURAL RESOURCES CO     EQUITY    723787 10 7   15711    355,049 SH         SOLE       1      355,049
PIPER JAFFRAY COS                EQUITY    724078 10 0     859     15,617 SH         SOLE       1       15,617





                                                                                         
PIPER JAFFRAY COS                EQUITY    724078 10 0       9        164 SH       DEFINED      4                             164
PITNEY BOWES INC                 EQUITY    724479 10 0    4522    105,329 SH         SOLE       1      105,329
PITNEY BOWES INC                 EQUITY    724479 10 0      12        281 SH         SOLE       2          281
PIXAR                            EQUITY    725811 10 3    3131     48,819 SH         SOLE       1       48,819
PIXELWORKS INC                   EQUITY    72581M 10 7     176     35,357 SH         SOLE       1       35,357
PLACER DOME INC                  CORP BOND 725906 AK 7    1144    925,000 PRN        SOLE       1      925,000
PLACER SIERRA BANCSHARES         EQUITY    726079 10 6     146      5,101 SH         SOLE       1        5,101
PLACER SIERRA BANCSHARES         EQUITY    726079 10 6       9        300 SH       DEFINED      4                             300
PLAINS EXPLORATION & PRODUCTIO   EQUITY    726505 10 0    6356    164,490 SH         SOLE       1      164,490
PLAINS EXPLORATION & PRODUCTIO   EQUITY    726505 10 0       4        100 SH       DEFINED      4                             100
PLANTRONICS INC                  EQUITY    727493 10 8    4776    134,807 SH         SOLE       1      134,807
PLAYBOY ENTERPRISES INC          EQUITY    728117 30 0     221     15,563 SH         SOLE       1       15,563
PLAYTEX PRODUCTS INC             EQUITY    72813P 10 0     322     30,749 SH         SOLE       1       30,749
PLEXUS CORP                      EQUITY    729132 10 0    4703    125,170 SH         SOLE       1      125,170
PLEXUS CORP                      EQUITY    729132 10 0     882     23,464 SH       DEFINED      4                          23,464
PLUG POWER INC                   EQUITY    72919P 10 3     192     38,410 SH         SOLE       1       38,410
PLUM CREEK TIMBER CO INC         EQUITY    729251 10 8    6693    181,228 SH         SOLE       2      181,228
PLUM CREEK TIMBER CO INC (REIT   EQUITY    729251 10 8   10395    281,477 SH         SOLE       1      281,477
PLUM CREEK TIMBER CO INC (REIT   EQUITY    729251 10 8      40      1,079 SH       DEFINED      4                           1,079
PLX TECHNOLOGY INC               EQUITY    693417 10 7     222     17,716 SH         SOLE       1       17,716
PMA CAPITAL CORP                 EQUITY    693419 20 2     246     24,208 SH         SOLE       1       24,208
PMC - SIERRA INC                 EQUITY    69344F 10 6    3243    263,850 SH         SOLE       1      263,850
PMC - SIERRA INC                 EQUITY    69344F 10 6     890     72,400 SH         SOLE       3       72,400
PMC SIERRA INC                   EQUITY    69344F 10 6       3        230 SH         SOLE       2          230
PMI GROUP INC                    CORP BOND 69344M AE 1       1      1,000 PRN      DEFINED      4                           1,000
PMI GROUP INC/THE                EQUITY    69344M 10 1    8662    188,641 SH         SOLE       1      188,641
PNC FINANCIAL SERVICES GROUP I   EQUITY    693475 10 5    9617    142,881 SH         SOLE       1      142,881
PNC FINANCIAL SERVICES GROUP I   EQUITY    693475 10 5       3         45 SH       DEFINED      4                              45
PNC FINL SVCS GROUP INC          EQUITY    693475 10 5      24        361 SH         SOLE       2          361
PNM RESOURCES INC                EQUITY    69349H 10 7    3533    144,789 SH         SOLE       1      144,789
POGO PRODUCING CO                EQUITY    730448 10 7    6334    126,053 SH         SOLE       1      126,053
POLARIS INDUSTRIES INC           EQUITY    731068 10 2      57      1,040 SH         SOLE       1        1,040
POLO RALPH LAUREN CORP           EQUITY    731572 10 3    7746    127,799 SH         SOLE       1      127,799
POLO RALPH LAUREN CORP           EQUITY    731572 10 3    6425    106,000 SH         SOLE       2      106,000
POLYCOM INC                      EQUITY    73172K 10 4    5525    254,830 SH         SOLE       1      254,830
POLYMEDICA CORP                  EQUITY    731738 10 0     776     18,327 SH         SOLE       1       18,327
POLYONE CORP                     EQUITY    73179P 10 6     651     69,839 SH         SOLE       1       69,839
POPULAR INC                      EQUITY    733174 10 6     175      8,426 SH         SOLE       1        8,426
PORTALPLAYER INC                 EQUITY    736187 20 4     258     11,605 SH         SOLE       1       11,605
PORTFOLIO RECOVERY ASSOCIATES    EQUITY    73640Q 10 5     850     18,148 SH         SOLE       1       18,148
POSCO                            EQUITY    693483 10 9     521      8,160 SH       DEFINED      4                           8,160
POST PROPERTIES INC              EQUITY    737464 10 7    1349     30,315 SH         SOLE       1       30,315
POTASH CORP SASK INC             EQUITY    73755L 10 7     247      2,800 SH         SOLE       2        2,800
POTLATCH CORP                    EQUITY    737630 10 3    4649    108,517 SH         SOLE       1      108,517
POWELL INDUSTRIES INC            EQUITY    739128 10 6     112      5,123 SH         SOLE       1        5,123
POWER INTEGRATIONS INC           EQUITY    739276 10 3     554     22,355 SH         SOLE       1       22,355
POWER-ONE INC                    EQUITY    739308 10 4     408     56,710 SH         SOLE       1       56,710
POWERSHARES AEROSPACE & DEFENS   EQUITY    73935X 69 0      39      2,270 SH       DEFINED      4                           2,270
POWERSHARES GLOBAL WATER PORTF   EQUITY    73935X 57 5      68      3,762 SH       DEFINED      4                           3,762
POWERWAVE TECHNOLOGIES INC       EQUITY    739363 10 9    5329    395,056 SH         SOLE       1      395,056
POWERWAVE TECHNOLOGIES INC       EQUITY    739363 10 9       7        500 SH       DEFINED      4                             500
POZEN INC                        EQUITY    73941U 10 2     303     18,162 SH         SOLE       1       18,162
PPG INDS INC                     EQUITY    693506 10 7      13        204 SH         SOLE       2          204
PPG INDUSTRIES INC               EQUITY    693506 10 7    7278    114,880 SH         SOLE       1      114,880
PPL CORP                         EQUITY    69351T 10 6    7590    258,151 SH         SOLE       1      258,151
PPL CORP                         EQUITY    69351T 10 6      14        470 SH         SOLE       2          470
PRA INTERNATIONAL                EQUITY    69353C 10 1     212      8,542 SH         SOLE       1        8,542
PRAXAIR INC                      EQUITY    74005P 10 4    7766    140,819 SH         SOLE       1      140,819
PRAXAIR INC                      EQUITY    74005P 10 4     618     11,199 SH         SOLE       2       11,199





                                                                                         
PRAXAIR INC                      EQUITY    74005P 10 4       6        105 SH       DEFINED      4                             105
PRECISION CASTPARTS CORP         EQUITY    740189 10 5   16736    281,751 SH         SOLE       1      281,751
PRECISION CASTPARTS CORP         EQUITY    740189 10 5    7686    129,400 SH         SOLE       2      129,400
PRECISION DRILLING TR            EQUITY    740215 10 8    6824    211,000 SH         SOLE       2      211,000
PREFERRED BANK/LOS ANGELES CA    EQUITY    740367 10 7     159      3,143 SH         SOLE       1        3,143
PREFORMED LINE PRODUCTS CO       EQUITY    740444 10 4      63      1,868 SH         SOLE       1        1,868
PREMIERE GLOBAL SERVICES INC     EQUITY    740585 10 4     441     54,740 SH         SOLE       1       54,740
PREMIERWEST BANCORP              EQUITY    740921 10 1     194     10,476 SH         SOLE       1       10,476
PREMIUM STANDARD FARMS INC       EQUITY    74060C 10 5     131      7,476 SH         SOLE       1        7,476
PRE-PAID LEGAL SERVICES INC      EQUITY    740065 10 7     881     24,831 SH         SOLE       1       24,831
PRESIDENTIAL LIFE CORP           EQUITY    740884 10 1     396     15,586 SH         SOLE       1       15,586
PRESSTEK INC                     EQUITY    741113 10 4     265     22,232 SH         SOLE       1       22,232
PRESTIGE BRANDS HOLDINGS INC     EQUITY    74112D 10 1     259     21,291 SH         SOLE       1       21,291
PRG-SCHULTZ INTERNATIONAL INC    EQUITY    69357C 10 7      19     31,365 SH         SOLE       1       31,365
PRICE COMMUNICATIONS CORP        EQUITY    741437 30 5     616     34,839 SH         SOLE       1       34,839
PRICE T ROWE GROUP INC           EQUITY    74144T 10 8      13        163 SH         SOLE       2          163
PRICELINE.COM INC                EQUITY    741503 40 3     475     19,132 SH         SOLE       1       19,132
PRIDE INTERNATIONAL INC          EQUITY    74153Q 10 2   10604    340,098 SH         SOLE       1      340,098
PRIMEDIA INC                     EQUITY    74157K 10 1     232    112,229 SH         SOLE       1      112,229
PRINCIPAL FINANCIAL GROUP        EQUITY    74251V 10 2   17278    354,055 SH         SOLE       1      354,055
PRINCIPAL FINANCIAL GROUP        EQUITY    74251V 10 2      17        345 SH         SOLE       2          345
PRINCIPAL FINANCIAL GROUP        EQUITY    74251V 10 2      49      1,000 SH       DEFINED      4                           1,000
PRIVATEBANCORP INC               EQUITY    742962 10 3     522     12,591 SH         SOLE       1       12,591
PROASSURANCE CORP                EQUITY    74267C 10 6    1106     21,266 SH         SOLE       1       21,266
PROCTER & GAMBLE CO              EQUITY    742718 10 9  111873  1,941,223 SH         SOLE       1    1,941,223
PROCTER & GAMBLE CO              EQUITY    742718 10 9     368      6,393 SH       DEFINED      4                           6,393
PROCTER AND GAMBLE CO            EQUITY    742718 10 9   22990    399,001 SH         SOLE       2      399,001
PROGENICS PHARMACEUTICALS INC    EQUITY    743187 10 6     403     15,203 SH         SOLE       1       15,203
PROGRESS ENERGY INC              EQUITY    743263 10 5   33217    755,267 SH         SOLE       1      755,267
PROGRESS ENERGY INC              EQUITY    743263 10 5     489     11,112 SH         SOLE       2       11,112
PROGRESS ENERGY INC              EQUITY    743263 10 5      25        579 SH       DEFINED      4                             579
PROGRESS SOFTWARE CORP           EQUITY    743312 10 0     878     30,193 SH         SOLE       1       30,193
PROGRESSIVE CORP OHIO            EQUITY    743315 10 3      25        243 SH         SOLE       2          243
PROGRESSIVE CORP/THE             EQUITY    743315 10 3    8944     85,783 SH         SOLE       1       85,783
PROGRESSIVE CORP/THE             EQUITY    743315 10 3      36        346 SH       DEFINED      4                             346
PROLOGIS                         EQUITY    743410 10 2    6200    115,887 SH         SOLE       1      115,887
PROLOGIS                         EQUITY    743410 10 2    6757    126,301 SH         SOLE       2      126,301
PROQUEST CO                      EQUITY    74346P 10 2     413     19,294 SH         SOLE       1       19,294
PROSPERITY BANCSHARES INC        EQUITY    743606 10 5     491     16,264 SH         SOLE       1       16,264
PROTECTIVE LIFE CORP             EQUITY    743674 10 3    7298    146,715 SH         SOLE       1      146,715
PROVIDENCE SERVICE CORP/THE      EQUITY    743815 10 2     233      7,180 SH         SOLE       1        7,180
PROVIDENT BANKSHARES CORP        EQUITY    743859 10 0     914     25,065 SH         SOLE       1       25,065
PROVIDENT ENERGY TRUST           EQUITY    74386K 10 4      40      3,500 SH       DEFINED      4                           3,500
PROVIDENT FINANCIAL HOLDINGS I   EQUITY    743868 10 1     122      3,732 SH         SOLE       1        3,732
PROVIDENT FINANCIAL SERVICES I   EQUITY    74386T 10 5     948     52,365 SH         SOLE       1       52,365
PROVIDENT NEW YORK BANCORP       EQUITY    744028 10 1     381     29,367 SH         SOLE       1       29,367
PROXYMED INC                     EQUITY    744290 30 5       9      1,200 SH       DEFINED      4                           1,200
PRUDENTIAL FINANCIAL INC         EQUITY    744320 10 2   16378    216,042 SH         SOLE       1      216,042
PRUDENTIAL FINANCIAL INC         EQUITY    744320 10 2      61        800 SH       DEFINED      4                             800
PRUDENTIAL FINL INC              EQUITY    744320 10 2      46        612 SH         SOLE       2          612
PRUDENTIAL PLC                   CORP BOND G7293H 11 4      15        600 PRN      DEFINED      4                             600
PS BUSINESS PARKS INC            EQUITY    69360J 10 7     700     12,518 SH         SOLE       1       12,518
PSS WORLD MED INC                EQUITY    69366A 10 0     326     16,900 SH         SOLE       2       16,900
PSS WORLD MEDICAL INC            EQUITY    69366A 10 0     948     49,151 SH         SOLE       1       49,151
PSYCHIATRIC SOLUTIONS INC        EQUITY    74439H 10 8    1283     38,716 SH         SOLE       1       38,716
PUBLIC SERVICE ENTERPRISE GROU   EQUITY    744573 10 6    8769    136,933 SH         SOLE       1      136,933
PUBLIC SERVICE ENTERPRISE GROU   EQUITY    744573 10 6      77      1,200 SH       DEFINED      4                           1,200
PUBLIC STORAGE INC               EQUITY    74460D 10 9    3108     38,266 SH         SOLE       1       38,266
PUBLIC STORAGE INC               EQUITY    74460D 10 9       8        102 SH         SOLE       2          102





                                                                                         
PUBLIC STORAGE INC               EQUITY    74460D 10 9      49        606 SH       DEFINED      4                             606
PUBLIC SVC ENTERPRISE GROU       EQUITY    744573 10 6      20        310 SH         SOLE       2          310
PUGET ENERGY INC                 EQUITY    745310 10 2   17546    828,438 SH         SOLE       1      828,438
PUGET ENERGY INC                 EQUITY    745310 10 2      15        700 SH       DEFINED      4                             700
PULTE HOMES INC                  EQUITY    745867 10 1    3843    100,014 SH         SOLE       1      100,014
PULTE HOMES INC                  EQUITY    745867 10 1      10        264 SH         SOLE       2          264
PUTNAM HIGH INCOME SECURITIES    EQUITY    746779 10 7      41      5,200 SH       DEFINED      4                           5,200
PUTNAM MANAGED HIGH YIELD TRUS   EQUITY    746819 10 1       7        800 SH       DEFINED      4                             800
PUTNAM PREMIER INCOME TRUST      EQUITY    746853 10 0      56      9,200 SH       DEFINED      4                           9,200
PW EAGLE INC                     EQUITY    69366Y 10 8     367     13,200 SH         SOLE       2       13,200
QAD INC                          EQUITY    74727D 10 8      69      9,212 SH         SOLE       1        9,212
QC HOLDINGS INC                  EQUITY    74729T 10 1      71      5,602 SH         SOLE       1        5,602
QLOGIC CORP                      EQUITY    747277 10 1    1443     74,548 SH         SOLE       1       74,548
QLOGIC CORP                      EQUITY    747277 10 1       4        199 SH         SOLE       2          199
QLT INC                          EQUITY    746927 10 2       1        110 SH         SOLE       1          110
QUALCOMM INC                     EQUITY    747525 10 3   98598  1,948,154 SH         SOLE       1    1,948,154
QUALCOMM INC                     EQUITY    747525 10 3   15717    310,547 SH         SOLE       2      310,547
QUALCOMM INC                     EQUITY    747525 10 3      65      1,290 SH       DEFINED      4                           1,290
QUALITY SYSTEMS INC              EQUITY    747582 10 4     378     11,424 SH         SOLE       1       11,424
QUANEX CORP                      EQUITY    747620 10 2    1271     19,073 SH         SOLE       1       19,073
QUANTA SERVICES INC              EQUITY    74762E 10 2    5341    333,421 SH         SOLE       1      333,421
QUANTUM CORP                     EQUITY    747906 20 4     522    139,460 SH         SOLE       1      139,460
QUANTUM FUEL SYSTEMS TECHNOLOG   EQUITY    74765E 10 9     123     34,261 SH         SOLE       1       34,261
QUEST DIAGNOSTICS INC            EQUITY    74834L 10 0    6568    128,038 SH         SOLE       1      128,038
QUEST DIAGNOSTICS INC            EQUITY    74834L 10 0      10        201 SH         SOLE       2          201
QUEST SOFTWARE INC               EQUITY    74834T 10 3     814     48,739 SH         SOLE       1       48,739
QUESTAR CORP                     EQUITY    748356 10 2   12557    179,256 SH         SOLE       1      179,256
QUICKSILVER RESOURCES INC        EQUITY    74837R 10 4    5435    140,574 SH         SOLE       1      140,574
QUIKSILVER INC                   EQUITY    74838C 10 6      40      2,881 SH         SOLE       1        2,881
QUIKSILVER INC                   EQUITY    74838C 10 6    2771    199,900 SH         SOLE       2      199,900
QWEST COMMUNICATIONS INTERNATI   EQUITY    749121 10 9    9227  1,356,933 SH         SOLE       1    1,356,933
QWEST COMMUNICATIONS INTL        EQUITY    749121 10 9      13      1,917 SH         SOLE       2        1,917
R&B INC                          EQUITY    749124 10 3      77      7,527 SH         SOLE       1        7,527
RACKABLE SYS INC                 EQUITY    750077 10 9     581     11,000 SH         SOLE       2       11,000
RACKABLE SYSTEMS INC             EQUITY    750077 10 9     282      5,338 SH         SOLE       1        5,338
RADCOM LTD                       EQUITY    M81865 10 3    2499    594,900 SH         SOLE       3      594,900
RADIAN GROUP INC                 EQUITY    750236 10 1   10545    175,018 SH         SOLE       1      175,018
RADIANT SYSTEMS INC              EQUITY    75025N 10 2     236     17,437 SH         SOLE       1       17,437
RADIANT SYSTEMS INC              EQUITY    75025N 10 2       6        480 SH       DEFINED      4                             480
RADIATION THERAPY SERVICES INC   EQUITY    750323 20 6     215      8,412 SH         SOLE       1        8,412
RADIO ONE INC                    EQUITY    75040P 40 5     474     63,605 SH         SOLE       1       63,605
RADIOSHACK CORP                  EQUITY    750438 10 3    1190     61,882 SH         SOLE       1       61,882
RADIOSHACK CORP                  EQUITY    750438 10 3       3        166 SH         SOLE       2          166
RADISYS CORP                     EQUITY    750459 10 9     301     15,169 SH         SOLE       1       15,169
RADYNE CORP                      EQUITY    750611 40 2    1311     82,100 SH         SOLE       1       82,100
RAILAMERICA INC                  EQUITY    750753 10 5     306     28,721 SH         SOLE       1       28,721
RAIT INVESTMENT TRUST            EQUITY    749227 10 4    3055    108,181 SH         SOLE       1      108,181
RALCORP HOLDINGS INC             EQUITY    751028 10 1     857     22,536 SH         SOLE       1       22,536
RAMBUS INC                       EQUITY    750917 10 6    2977     75,663 SH         SOLE       1       75,663
RAMBUS INC                       EQUITY    750917 10 6     142      4,000 SH       DEFINED      4                           4,000
RAMBUS INC DEL                   EQUITY    750917 10 6     826     21,000 SH         SOLE       2       21,000
RAMBUS INC DEL                   OPTION    750917 90 6     -22        -36     CALL DEFINED      4                             (36)
RAMCO-GERSHENSON PROPERTIES      EQUITY    751452 20 2     334     11,034 SH         SOLE       1       11,034
RANGE RES CORP                   EQUITY    75281A 10 9    6347    232,400 SH         SOLE       2      232,400
RANGE RESOURCES CORP             EQUITY    75281A 10 9      86      3,163 SH         SOLE       1        3,163
RARE HOSPITALITY INTERNATIONAL   EQUITY    753820 10 9     908     26,082 SH         SOLE       1       26,082
RAVEN INDUSTRIES INC             EQUITY    754212 10 8     465     11,886 SH         SOLE       1       11,886
RAYMOND JAMES FINANCIAL INC      EQUITY    754730 10 9    5410    183,029 SH         SOLE       1      183,029
RAYONIER INC                     EQUITY    754907 10 3    9150    200,691 SH         SOLE       1      200,691








                                                                                         
RAYONIER INC                     EQUITY    754907 10 3     855     18,745 SH       DEFINED      4                          18,745
RAYTHEON CO                      EQUITY    755111 50 7   30725    670,351 SH         SOLE       1      670,351
RAYTHEON CO                      EQUITY    755111 50 7     658     14,351 SH         SOLE       2       14,351
RBC BEARINGS INC                 EQUITY    75524B 10 4     142      6,912 SH         SOLE       1        6,912
RC2 CORP                         EQUITY    749388 10 4     543     13,648 SH         SOLE       1       13,648
RCN CORP                         EQUITY    749361 20 0     450     17,379 SH         SOLE       1       17,379
READER'S DIGEST ASSOCIATION IN   EQUITY    755267 10 1    4085    276,923 SH         SOLE       1      276,923
REALNETWORKS INC                 EQUITY    75605L 10 4     723     87,580 SH         SOLE       1       87,580
REALTY INCOME CORP               EQUITY    756109 10 4      62      2,543 SH         SOLE       1        2,543
REALTY INCOME CORP               EQUITY    756109 10 4      61      2,504 SH       DEFINED      4                           2,504
RECKSON ASSOCIATES REALTY CORP   EQUITY    75621K 10 6     114      2,480 SH         SOLE       1        2,480
RED HAT INC                      EQUITY    756577 10 2     632     22,575 SH         SOLE       1       22,575
RED ROBIN GOURMET BURGERS INC    EQUITY    75689M 10 1     509     10,779 SH         SOLE       1       10,779
REDBACK NETWORKS INC             EQUITY    757209 50 7     691     31,856 SH         SOLE       1       31,856
REDDY ICE HOLDINGS INC           EQUITY    75734R 10 5     172      7,749 SH         SOLE       1        7,749
REDWOOD TRUST INC                EQUITY    758075 40 2    7453    172,036 SH         SOLE       1      172,036
REGAL ENTERTAINMENT GROUP        EQUITY    758766 10 9    6925    368,151 SH         SOLE       1      368,151
REGAL ENTMT GROUP                EQUITY    758766 10 9    7317    389,000 SH         SOLE       2      389,000
REGAL-BELOIT CORP                EQUITY    758750 10 3     830     19,635 SH         SOLE       1       19,635
REGAL-BELOIT CORP                EQUITY    758750 10 3      16        370 SH       DEFINED      4                             370
REGENCY CENTERS CORP             EQUITY    758849 10 3    9646    143,562 SH         SOLE       1      143,562
REGENERON PHARMACEUTICALS INC    EQUITY    75886F 10 7     439     26,416 SH         SOLE       1       26,416
REGENT COMMUNICATIONS INC        EQUITY    758865 10 9     124     26,930 SH         SOLE       1       26,930
REGIONS FINANCIAL CORP           EQUITY    7591EP 10 0    7023    199,694 SH         SOLE       1      199,694
REGIONS FINANCIAL CORP           EQUITY    7591EP 10 0      32        900 SH       DEFINED      4                             900
REGIONS FINL CORP NEW            EQUITY    7591EP 10 0      20        564 SH         SOLE       2          564
REGIS CORP                       EQUITY    758932 10 7    4431    128,511 SH         SOLE       1      128,511
REHABCARE GROUP INC              EQUITY    759148 10 9     240     12,733 SH         SOLE       1       12,733
REINSURANCE GROUP OF AMERICA I   EQUITY    759351 10 9      42        896 SH         SOLE       1          896
RELIANCE STEEL & ALUMINUM CO     EQUITY    759509 10 2    2416     25,719 SH         SOLE       1       25,719
RELIANCE STEEL & ALUMINUM CO     EQUITY    759509 10 2      43        460 SH       DEFINED      4                             460
RELIANT ENERGY INC               EQUITY    75952B 10 5      97      9,143 SH         SOLE       1        9,143
REMINGTON OIL & GAS CORP         EQUITY    759594 30 2     776     17,945 SH         SOLE       1       17,945
RENAISSANCE LEARNING INC         EQUITY    75968L 10 5     108      6,010 SH         SOLE       1        6,010
RENASANT CORP                    EQUITY    75970E 10 7     292      7,897 SH         SOLE       1        7,897
RENOVIS INC                      EQUITY    759885 10 6     364     17,087 SH         SOLE       1       17,087
RENT-A-CENTER INC                EQUITY    76009N 10 0    3718    145,474 SH         SOLE       1      145,474
RENT-WAY INC                     EQUITY    76009U 10 4     144     19,960 SH         SOLE       1       19,960
REPLIGEN CORP                    EQUITY    759916 10 9       4      1,000 SH       DEFINED      4                           1,000
REPUBLIC AIRWAYS HOLDINGS INC    EQUITY    760276 10 5     170     11,493 SH         SOLE       1       11,493
REPUBLIC BANCORP INC/KY          EQUITY    760281 20 4     116      5,733 SH         SOLE       1        5,733
REPUBLIC BANCORP INC/MI          EQUITY    760282 10 3     706     58,599 SH         SOLE       1       58,599
REPUBLIC COS GROUP INC           EQUITY    760349 10 0      79      4,564 SH         SOLE       1        4,564
REPUBLIC SERVICES INC            EQUITY    760759 10 0   10847    255,170 SH         SOLE       1      255,170
RES-CARE INC                     EQUITY    760943 10 0     282     15,361 SH         SOLE       1       15,361
RESEARCH IN MOTION LTD           EQUITY    760975 10 2    8990    106,100 SH        OTHER       1                 106,100
RESMED INC                       EQUITY    761152 10 7      75      1,704 SH         SOLE       1        1,704
RESOURCE AMERICA INC             EQUITY    761195 20 5     241     12,093 SH         SOLE       1       12,093
RESOURCES CONNECTION INC         EQUITY    76122Q 10 5     901     36,184 SH         SOLE       1       36,184
RESPIRONICS INC                  EQUITY    761230 10 1      68      1,747 SH         SOLE       1        1,747
RESTORATION HARDWARE INC         EQUITY    760981 10 0     130     22,895 SH         SOLE       1       22,895
RETAIL VENTURES INC              EQUITY    76128Y 10 2     186     12,670 SH         SOLE       1       12,670
REVLON INC                       EQUITY    761525 12 0       4    103,239 SH         SOLE       1      103,239
REVLON INC                       EQUITY    761525 50 0     349    110,328 SH         SOLE       1      110,328
REVLON INC                       EQUITY    761525 50 0       9      3,000 SH       DEFINED      4                           3,000
REYNOLDS & REYNOLDS CO/THE       EQUITY    761695 10 5    3066    107,967 SH         SOLE       1      107,967
REYNOLDS AMERICAN INC            EQUITY    761713 10 6   11230    106,443 SH         SOLE       1      106,443
REYNOLDS AMERICAN INC            EQUITY    761713 10 6      16        150 SH       DEFINED      4                             150
REYNOLDS AMERN INC               EQUITY    761713 10 6     792      7,506 SH         SOLE       2        7,506





                                                                                         
RF MICRO DEVICES INC             EQUITY    749941 10 0    4631    535,397 SH         SOLE       1      535,397
RF MONOLITHICS INC               EQUITY    74955F 10 6      31      4,973 SH         SOLE       1        4,973
R-G FINANCIAL CORP               EQUITY    749136 10 7     268     21,170 SH         SOLE       1       21,170
RH DONNELLEY CORP                EQUITY    74955W 30 7      89      1,533 SH         SOLE       1        1,533
RHODIA SA                        EQUITY    762397 10 7    2550  1,000,000 SH         SOLE       1    1,000,000
RIGEL PHARMACEUTICALS INC        EQUITY    766559 60 3     206     17,932 SH         SOLE       1       17,932
RIGHTNOW TECHNOLOGIES INC        EQUITY    76657R 10 6     138      8,681 SH         SOLE       1        8,681
RIMAGE CORP                      EQUITY    766721 10 4     163      7,206 SH         SOLE       1        7,206
RIO TINTO PLC                    EQUITY    767204 10 0    2277     11,000 SH         SOLE       1       11,000
RITE AID CORP                    EQUITY    767754 10 4      63     15,828 SH         SOLE       1       15,828
RIVIERA HOLDINGS CORP            EQUITY    769627 10 0     108      6,437 SH         SOLE       1        6,437
RLI CORP                         EQUITY    749607 10 7     982     17,130 SH         SOLE       1       17,130
ROANOKE ELECTRIC STEEL CORP      EQUITY    769841 10 7     273      8,448 SH         SOLE       1        8,448
ROBBINS & MYERS INC              EQUITY    770196 10 3     191      8,840 SH         SOLE       1        8,840
ROBERT HALF INTERNATIONAL INC    EQUITY    770323 10 3    3052     79,058 SH         SOLE       1       79,058
ROBERT HALF INTL INC             EQUITY    770323 10 3       8        212 SH         SOLE       2          212
ROCK-TENN CO                     EQUITY    772739 20 7     718     47,905 SH         SOLE       1       47,905
ROCKVILLE FINANCIAL INC          EQUITY    774186 10 0      95      6,630 SH         SOLE       1        6,630
ROCKWELL AUTOMATION INC          EQUITY    773903 10 9   49353    686,177 SH         SOLE       1      686,177
ROCKWELL AUTOMATION INC          EQUITY    773903 10 9    9443    131,319 SH         SOLE       2      131,319
ROCKWELL AUTOMATION INC          EQUITY    773903 10 9       6         82 SH       DEFINED      4                              82
ROCKWELL COLLINS INC             EQUITY    774341 10 1   12562    222,923 SH         SOLE       1      222,923
ROCKWELL COLLINS INC             EQUITY    774341 10 1      12        213 SH         SOLE       2          213
ROCKWOOD HOLDINGS INC            EQUITY    774415 10 3     358     15,540 SH         SOLE       1       15,540
ROFIN SINAR TECHNOLOGIES I       EQUITY    775043 10 2     217      4,000 SH         SOLE       2        4,000
ROFIN-SINAR TECHNOLOGIES INC     EQUITY    775043 10 2     621     11,476 SH         SOLE       1       11,476
ROGERS COMMUNICATIONS INC        EQUITY    775109 20 0    3214     84,200 SH        OTHER       1                  84,200
ROGERS CORP                      EQUITY    775133 10 1     681     12,498 SH         SOLE       1       12,498
ROHM & HAAS CO                   EQUITY    775371 10 7    5056    103,456 SH         SOLE       1      103,456
ROHM + HAAS CO                   EQUITY    775371 10 7    3191     65,289 SH         SOLE       2       65,289
ROLLINS INC                      EQUITY    775711 10 4    1681     83,074 SH         SOLE       1       83,074
ROLLINS INC                      EQUITY    775711 10 4    3580    176,900 SH         SOLE       2      176,900
ROPER INDS                       EQUITY    776696 10 6   20551    422,600 SH         SOLE       2      422,600
ROPER INDUSTRIES INC             EQUITY    776696 10 6    8760    180,145 SH         SOLE       1      180,145
ROSS STORES INC                  EQUITY    778296 10 3    9106    311,957 SH         SOLE       1      311,957
ROSTELECOM                       EQUITY    778529 10 7    1559     81,000 SH         SOLE       1       81,000
ROWAN COS INC                    EQUITY    779382 10 0    4686    106,604 SH         SOLE       1      106,604
ROWAN COS INC                    EQUITY    779382 10 0       6        135 SH         SOLE       2          135
ROYAL BANCSHARES OF PENNSYLVAN   EQUITY    780081 10 5      86      3,507 SH         SOLE       1        3,507
ROYAL BANK OF CANADA             EQUITY    780087 10 2   12899    305,800 SH        OTHER       1                 305,800
ROYAL BK OF SCOT GRP PLC         CORP BOND 780097 80 4    2317     90,000 PRN        SOLE       1       90,000
ROYAL BK OF SCOT GRP PLC         CORP BOND 780097 77 0    4407    175,000 PRN        SOLE       1      175,000
ROYAL BK OF SCOT GRP PLC         CORP BOND 780097 78 8      15        625 PRN      DEFINED      4                             625
ROYAL CARIBBEAN CRUISES          CORP BOND 780153 AK 8    1793  3,482,000 PRN        SOLE       1    3,482,000
ROYAL GOLD INC                   EQUITY    780287 10 8     520     14,377 SH         SOLE       1       14,377
ROYCE MICRO-CAP TRUST INC        EQUITY    780915 10 4     577     37,864 SH       DEFINED      4                          37,864
ROYCE VALUE TRUST INC            EQUITY    780910 10 5     917     43,927 SH       DEFINED      4                          43,927
RPC INC                          EQUITY    749660 10 6     383     16,754 SH         SOLE       1       16,754
RPC INC                          EQUITY    749660 10 6    1951     85,400 SH         SOLE       2       85,400
RPM INTERNATIONAL INC            EQUITY    749685 10 3    4465    248,870 SH         SOLE       1      248,870
RR DONNELLEY & SONS CO           EQUITY    257867 10 1    3306    101,038 SH         SOLE       1      101,038
RSA SECURITY INC                 EQUITY    749719 10 0    3610    201,252 SH         SOLE       1      201,252
RTI INTERNATIONAL METALS INC     EQUITY    74973W 10 7     925     16,856 SH         SOLE       1       16,856
RUBY TUESDAY INC                 EQUITY    781182 10 0    5290    164,913 SH         SOLE       1      164,913
RUDDICK CORP                     EQUITY    781258 10 8    2375     97,685 SH         SOLE       1       97,685
RUDOLPH TECHNOLOGIES INC         EQUITY    781270 10 3     310     18,193 SH         SOLE       1       18,193
RUDOLPH TECHNOLOGIES INC         EQUITY    781270 10 3    8303    487,000 SH         SOLE       2      487,000
RUSH ENTERPRISES INC             EQUITY    781846 20 9     276     15,710 SH         SOLE       1       15,710
RUSS BERRIE & CO INC             EQUITY    782233 10 0     136      8,946 SH         SOLE       1        8,946





                                                                                         
RUSSELL CORP                     EQUITY    782352 10 8     345     25,032 SH         SOLE       1       25,032
RUTH'S CHRIS STEAK HOUSE         EQUITY    783332 10 9     235      9,884 SH         SOLE       1        9,884
RYANAIR HOLDINGS PLC             EQUITY    783513 10 4     131      2,390 SH         SOLE       1        2,390
RYAN'S RESTAURANT GROUP INC      EQUITY    783520 10 9     463     31,926 SH         SOLE       1       31,926
RYDER SYS INC                    EQUITY    783549 10 8       3         75 SH         SOLE       2           75
RYDER SYSTEM INC                 EQUITY    783549 10 8    1273     28,418 SH         SOLE       1       28,418
RYDEX S&P EQUAL WEIGHT ETF       EQUITY    78355W 10 6      53        300 SH       DEFINED      4                             300
RYERSON INC                      EQUITY    78375P 10 7     714     26,686 SH         SOLE       1       26,686
RYLAND GROUP INC                 EQUITY    783764 10 3    6711     96,706 SH         SOLE       1       96,706
S&T BANCORP INC                  EQUITY    783859 10 1     739     20,214 SH         SOLE       1       20,214
S1 CORP                          EQUITY    78463B 10 1     269     53,353 SH         SOLE       1       53,353
SABRE HLDGS CORP                 EQUITY    785905 10 0       4        163 SH         SOLE       2          163
SABRE HOLDINGS CORP              EQUITY    785905 10 0    1452     61,707 SH         SOLE       1       61,707
SAFECO CORP                      EQUITY    786429 10 0    5505    109,645 SH         SOLE       1      109,645
SAFECO CORP                      EQUITY    786429 10 0       8        152 SH         SOLE       2          152
SAFENET INC                      EQUITY    78645R 10 7     495     18,699 SH         SOLE       1       18,699
SAFENET INC                      EQUITY    78645R 10 7    6980    263,600 SH         SOLE       2      263,600
SAFETY INSURANCE GROUP INC       EQUITY    78648T 10 0     404      8,849 SH         SOLE       1        8,849
SAFEWAY INC                      EQUITY    786514 20 8   10685    425,344 SH         SOLE       1      425,344
SAFEWAY INC                      EQUITY    786514 20 8      14        556 SH         SOLE       2          556
SAGA COMMUNICATIONS INC          EQUITY    786598 10 2     126     13,024 SH         SOLE       1       13,024
SAKS INC                         EQUITY    79377W 10 8    5633    291,871 SH         SOLE       1      291,871
SALEM COMMUNICATIONS CORP        EQUITY    794093 10 4     136      9,042 SH         SOLE       1        9,042
SALESFORCE.COM INC               EQUITY    79466L 30 2      61      1,669 SH         SOLE       1        1,669
SALIX PHARMACEUTICALS LTD        EQUITY    795435 10 6     567     34,362 SH         SOLE       1       34,362
SALOMON BROTHERS EMERGING MARK   EQUITY    79550E 10 7      33      1,887 SH       DEFINED      4                           1,887
SAN JUAN BASIN ROYALTY TR        EQUITY    798241 10 5       8        200 SH       DEFINED      4                             200
SANDERS MORRIS HARRIS GROUP IN   EQUITY    80000Q 10 4     155      9,649 SH         SOLE       1        9,649
SANDERSON FARMS INC              EQUITY    800013 10 4     305     13,606 SH         SOLE       1       13,606
SANDISK CORP                     EQUITY    80004C 10 1   36920    641,758 SH         SOLE       1      641,758
SANDY SPRING BANCORP INC         EQUITY    800363 10 3     423     11,140 SH         SOLE       1       11,140
SANMINA SCI CORP                 EQUITY    800907 10 7       3        658 SH         SOLE       2          658
SANMINA-SCI CORP                 EQUITY    800907 10 7    2087    508,941 SH         SOLE       1      508,941
SANOFI-AVENTIS                   EQUITY    80105N 10 5       4         80 SH       DEFINED      4                              80
SANTANDER BANCORP                EQUITY    802809 10 3     103      4,043 SH         SOLE       1        4,043
SAPIENT CORP                     EQUITY    803062 10 8     468     61,305 SH         SOLE       1       61,305
SARA LEE CORP                    EQUITY    803111 10 3    5931    331,710 SH         SOLE       1      331,710
SARA LEE CORP                    EQUITY    803111 10 3      17        940 SH         SOLE       2          940
SARA LEE CORP                    EQUITY    803111 10 3     203     11,359 SH       DEFINED      4                          11,359
SASOL LTD                        EQUITY    803866 30 0     348      9,200 SH       DEFINED      4                           9,200
SAUER-DANFOSS INC                EQUITY    804137 10 7     176      7,656 SH         SOLE       1        7,656
SAUL CENTERS INC                 EQUITY    804395 10 1     365      8,313 SH         SOLE       1        8,313
SAVIENT PHARMACEUTICALS INC      EQUITY    80517Q 10 0     246     46,216 SH         SOLE       1       46,216
SAXON CAPITAL INC                EQUITY    80556T 10 6    3572    342,112 SH         SOLE       1      342,112
SBA COMMUNCATIONS CORP           EQUITY    78388J 10 6     332     14,200 SH         SOLE       2       14,200
SBA COMMUNICATIONS CORP          EQUITY    78388J 10 6    1517     64,807 SH         SOLE       1       64,807
SCANA CORP                       EQUITY    80589M 10 2    9920    252,799 SH         SOLE       1      252,799
SCANSOURCE INC                   EQUITY    806037 10 7     582      9,630 SH         SOLE       1        9,630
SCANSOURCE INC                   EQUITY    806037 10 7     302      5,000 SH         SOLE       2        5,000
SCBT FINANCIAL CORP              EQUITY    78401V 10 2     230      6,550 SH         SOLE       1        6,550
SCHAWK INC                       EQUITY    806373 10 6     247      9,483 SH         SOLE       1        9,483
SCHERING PLOUGH CORP             EQUITY    806605 10 1     756     39,829 SH         SOLE       2       39,829
SCHERING-PLOUGH CORP             CORP BOND 806605 60 6    1625     32,000 PRN        SOLE       1       32,000
SCHERING-PLOUGH CORP             EQUITY    806605 10 1   12227    643,859 SH         SOLE       1      643,859
SCHERING-PLOUGH CORP             EQUITY    806605 10 1       6        293 SH       DEFINED      4                             293
SCHLUMBERGER LIMITED             CORP BOND 806857 AD 0    3534  2,165,000 PRN        SOLE       1    2,165,000
SCHLUMBERGER LIMITED             CORP BOND 806857 AC 2       5      3,000 PRN      DEFINED      4                           3,000
SCHLUMBERGER LTD                 EQUITY    806857 10 8   50704    400,598 SH         SOLE       1      400,598
SCHLUMBERGER LTD                 EQUITY    806857 10 8   13091    103,430 SH         SOLE       2      103,430





                                                                                         
SCHNITZER STEEL INDUSTRIES INC   EQUITY    806882 10 6     713     16,634 SH         SOLE       1       16,634
SCHOLASTIC CORP                  EQUITY    807066 10 5    2666     99,629 SH         SOLE       1       99,629
SCHOOL SPECIALTY INC             EQUITY    807863 10 5     598     17,334 SH         SOLE       1       17,334
SCHULMAN A INC                   EQUITY    808194 10 4     748     30,215 SH         SOLE       1       30,215
SCHWAB CHARLES CORP              EQUITY    808513 10 5      22      1,275 SH         SOLE       2        1,275
SCHWEITZER-MAUDUIT INTERNATION   EQUITY    808541 10 6     277     11,551 SH         SOLE       1       11,551
SCIENTIFIC GAMES CORP            EQUITY    80874P 10 9      52      1,468 SH         SOLE       1        1,468
SCOTTISH POWER PLC               EQUITY    81013T 70 5     498     12,352 SH       DEFINED      4                          12,352
SCOTTS MIRACLE-GRO CO/THE        EQUITY    810186 10 6    4385     95,828 SH         SOLE       1       95,828
SCP POOL CORP                    EQUITY    784028 10 2      60      1,282 SH         SOLE       1        1,282
SCRIPPS E W CO OH                EQUITY    811054 20 4       5        105 SH         SOLE       2          105
SCS TRANSPORTATION INC           EQUITY    81111T 10 2     336     11,537 SH         SOLE       1       11,537
SEABOARD CORP                    EQUITY    811543 10 7     945        593 SH         SOLE       1          593
SEABRIGHT INSURANCE HOLDINGS I   EQUITY    811656 10 7     127      7,313 SH         SOLE       1        7,313
SEABRIGHT INSURANCE HOLDINGS I   EQUITY    811656 10 7      12        690 SH       DEFINED      4                             690
SEACHANGE INTERNATIONAL INC      EQUITY    811699 10 7     150     19,306 SH         SOLE       1       19,306
SEACOAST BANKING CORP OF FLORI   EQUITY    811707 30 6     281      9,644 SH         SOLE       1        9,644
SEACOR HOLDINGS INC              EQUITY    811904 10 1    1084     13,687 SH         SOLE       1       13,687
SEACOR HOLDINGS INC              EQUITY    811904 10 1      35        440 SH       DEFINED      4                             440
SEAGATE TECHNOLOGY               EQUITY    G7945J 10 4     531     20,176 SH       DEFINED      4                          20,176
SEALED AIR CORP                  EQUITY    81211K 10 0    2201     38,040 SH         SOLE       1       38,040
SEALED AIR CORP NEW              EQUITY    81211K 10 0       6        101 SH         SOLE       2          101
SEARS HLDGS CORP                 EQUITY    812350 10 6      16        123 SH         SOLE       2          123
SEARS HOLDINGS CORP              EQUITY    812350 10 6    7811     59,253 SH         SOLE       1       59,253
SEATTLE GENETICS INC /WA         EQUITY    812578 10 2     103     20,051 SH         SOLE       1       20,051
SECURE COMPUTING CORP            EQUITY    813705 10 0     408     35,363 SH         SOLE       1       35,363
SECURITY BANK CORP/MACON GA      EQUITY    814047 10 6     224      8,868 SH         SOLE       1        8,868
SEI INVESTMENTS CO               EQUITY    784117 10 3    5516    136,090 SH         SOLE       1      136,090
SELECT COMFORT CORP              EQUITY    81616X 10 3    1085     27,441 SH         SOLE       1       27,441
SELECT COMFORT CORP              EQUITY    81616X 10 3     443     11,200 SH         SOLE       2       11,200
SELECTIVE INSURANCE GROUP        EQUITY    816300 10 7    1440     27,166 SH         SOLE       1       27,166
SEMITOOL INC                     EQUITY    816909 10 5     158     13,902 SH         SOLE       1       13,902
SEMPRA ENERGY                    EQUITY    816851 10 9    5616    120,882 SH         SOLE       1      120,882
SEMPRA ENERGY                    EQUITY    816851 10 9      15        319 SH         SOLE       2          319
SEMPRA ENERGY                    EQUITY    816851 10 9       6        130 SH       DEFINED      4                             130
SEMTECH CORP                     EQUITY    816850 10 1    3706    207,178 SH         SOLE       1      207,178
SENIOR HOUSING PROPERTIES TRUS   EQUITY    81721M 10 9    4894    270,399 SH         SOLE       1      270,399
SENOMYX INC                      EQUITY    81724Q 10 7     302     18,322 SH         SOLE       1       18,322
SENSIENT TECHNOLOGIES CORP       EQUITY    81725T 10 0    2412    133,624 SH         SOLE       1      133,624
SEPRACOR INC                     EQUITY    817315 10 4   11168    228,808 SH         SOLE       1      228,808
SEPRACOR INC                     EQUITY    817315 10 4    2265     46,400 SH         SOLE       2       46,400
SEQUA CORP                       EQUITY    817320 10 4    1779     18,195 SH         SOLE       1       18,195
SEROLOGICALS CORP                EQUITY    817523 10 3     647     26,445 SH         SOLE       1       26,445
SERVICE CORP INTERNATIONAL/US    EQUITY    817565 10 4      73      9,418 SH         SOLE       1        9,418
SERVICEMASTER CO/THE             EQUITY    81760N 10 9     102      7,782 SH         SOLE       1        7,782
SFBC INTERNATIONAL INC           EQUITY    784121 10 5     338     13,884 SH         SOLE       1       13,884
SHARPER IMAGE CORP               EQUITY    820013 10 0     113      8,840 SH         SOLE       1        8,840
SHAW GROUP INC/THE               EQUITY    820280 10 5    1793     58,996 SH         SOLE       1       58,996
SHENANDOAH TELECOM CO            EQUITY    82312B 10 6     234      5,192 SH         SOLE       1        5,192
SHERWIN WILLIAMS CO              EQUITY    824348 10 6    3431     69,405 SH         SOLE       2       69,405
SHERWIN-WILLIAMS CO/THE          EQUITY    824348 10 6    2537     51,309 SH         SOLE       1       51,309
SHINHAN FINANCIAL GROUP CO LTD   EQUITY    824596 10 0      36        410 SH       DEFINED      4                             410
SHIP FINANCE INTERNATIONAL LTD   EQUITY    G81075 10 6      33      1,913 SH       DEFINED      4                           1,913
SHOE CARNIVAL INC                EQUITY    824889 10 9     141      5,663 SH         SOLE       1        5,663
SHUFFLE MASTER INC               EQUITY    825549 10 8     966     27,024 SH         SOLE       1       27,024
SHUFFLE MASTER INC               EQUITY    825549 10 8     350      9,800 SH         SOLE       2        9,800
SHURGARD STORAGE CENTERS INC     EQUITY    82567D 10 4      94      1,418 SH         SOLE       1        1,418
SHURGARD STORAGE CENTERS INC     EQUITY    82567D 10 4      34        503 SH       DEFINED      4                             503
SI INTERNATIONAL INC             EQUITY    78427V 10 2     260      7,399 SH         SOLE       1        7,399





                                                                                         
SI INTERNATIONAL INC             EQUITY    78427V 10 2    1722     49,000 SH         SOLE       3       49,000
SIERRA BANCORP                   EQUITY    82620P 10 2     106      4,105 SH         SOLE       1        4,105
SIERRA HEALTH SERVICES INC       EQUITY    826322 10 9      51      1,261 SH         SOLE       1        1,261
SIERRA PACIFIC RESOURCES         EQUITY    826428 10 4    7852    568,584 SH         SOLE       1      568,584
SIGMA ALDRICH                    EQUITY    826552 10 1    5565     84,583 SH         SOLE       2       84,583
SIGMA-ALDRICH CORP               EQUITY    826552 10 1    2311     35,124 SH         SOLE       1       35,124
SIGMATEL INC                     EQUITY    82661W 10 7     237     27,141 SH         SOLE       1       27,141
SIGNATURE BANK/NEW YORK NY       EQUITY    82669G 10 4     291      8,928 SH         SOLE       1        8,928
SIGNATURE BK NEW YORK NY         EQUITY    82669G 10 4    4732    145,200 SH         SOLE       2      145,200
SILGAN HLDGS INC                 EQUITY    827048 10 9     265      6,600 SH         SOLE       2        6,600
SILGAN HOLDINGS INC              EQUITY    827048 10 9     680     16,934 SH         SOLE       1       16,934
SILICON IMAGE INC                EQUITY    82705T 10 2     620     60,110 SH         SOLE       1       60,110
SILICON LABORATORIES INC         EQUITY    826919 10 2    6940    126,297 SH         SOLE       1      126,297
SILICON STORAGE TECHNOLOGY INC   EQUITY    827057 10 0     293     66,791 SH         SOLE       1       66,791
SILVER WHEATON CORP              EQUITY    828336 10 7    2189    204,700 SH        OTHER       1                 204,700
SIMMONS FIRST NATIONAL CORP      EQUITY    828730 20 0     325     10,930 SH         SOLE       1       10,930
SIMON PPTY GROUP INC NEW         EQUITY    828806 10 9      19        226 SH         SOLE       2          226
SIMON PROPERTY GROUP INC         EQUITY    828806 10 9    6727     79,946 SH         SOLE       1       79,946
SIMPSON MANUFACTURING CO INC     EQUITY    829073 10 5    1195     27,590 SH         SOLE       1       27,590
SINCLAIR BROADCAST GROUP INC     EQUITY    829226 10 9     273     33,445 SH         SOLE       1       33,445
SIRF TECHNOLOGY HOLDINGS INC     EQUITY    82967H 10 1     947     26,713 SH         SOLE       1       26,713
SIRIUS SATELLITE RADIO INC       EQUITY    82966U 10 3    2594    511,631 SH         SOLE       1      511,631
SIRIUS SATELLITE RADIO INC       EQUITY    82966U 10 3      33      6,400 SH       DEFINED      4                           6,400
SIRVA INC                        EQUITY    82967Y 10 4     152     17,841 SH         SOLE       1       17,841
SIX FLAGS INC                    EQUITY    83001P 10 9     721     70,800 SH         SOLE       1       70,800
SIZELER PROPERTY INVESTORS INC   EQUITY    830137 10 5     207     14,043 SH         SOLE       1       14,043
SJW CORP                         EQUITY    784305 10 4     312     11,628 SH         SOLE       1       11,628
SKECHERS U S A INC               EQUITY    830566 10 5     329     13,200 SH         SOLE       2       13,200
SKECHERS U.S.A. INC              EQUITY    830566 10 5     424     17,001 SH         SOLE       1       17,001
SKY FINANCIAL GROUP INC          EQUITY    83080P 10 3      77      2,912 SH         SOLE       1        2,912
SKYLINE CORP                     EQUITY    830830 10 5     214      5,181 SH         SOLE       1        5,181
SKYWEST INC                      EQUITY    830879 10 2    1854     63,352 SH         SOLE       1       63,352
SKYWORKS SOLUTIONS INC           EQUITY    83088M 10 2     812    119,779 SH         SOLE       1      119,779
SL GREEN REALTY CORP             EQUITY    78440X 10 1     126      1,246 SH         SOLE       1        1,246
SLM CORP                         EQUITY    78442P 10 6    9499    182,886 SH         SOLE       1      182,886
SLM CORP                         EQUITY    78442P 10 6      27        516 SH         SOLE       2          516
SLM CORP                         EQUITY    78442P 10 6      14        262 SH       DEFINED      4                             262
SMART & FINAL INC                EQUITY    831683 10 7     166     10,111 SH         SOLE       1       10,111
SMITH & WESSON HOLDING CORP      EQUITY    831756 10 1     659    108,900 SH         SOLE       1      108,900
SMITH INTERNATIONAL INC          EQUITY    832110 10 0   16441    421,985 SH         SOLE       1      421,985
SMITH MICRO SOFTWARE INC         EQUITY    832154 10 8     136     11,100 SH         SOLE       2       11,100
SMITHFIELD FOODS INC             EQUITY    832248 10 8    6095    207,728 SH         SOLE       1      207,728
SMURFIT-STONE CONTAINER CORP     EQUITY    832727 10 1     105      7,713 SH         SOLE       1        7,713
SNAP ON INC                      EQUITY    833034 10 1       3         72 SH         SOLE       2           72
SNAP-ON INC                      EQUITY    833034 10 1    1041     27,308 SH         SOLE       1       27,308
SOHU.COM INC                     EQUITY    83408W 10 3     504     18,888 SH         SOLE       1       18,888
SOLECTRON CORP                   EQUITY    834182 10 7    4450  1,112,550 SH         SOLE       1    1,112,550
SOLECTRON CORP                   EQUITY    834182 10 7       5      1,130 SH         SOLE       2        1,130
SOMANETICS CORP                  EQUITY    834445 40 5     179      8,127 SH         SOLE       1        8,127
SONIC AUTOMOTIVE INC             EQUITY    83545G 10 2    1670     60,147 SH         SOLE       1       60,147
SONIC CORP                       EQUITY    835451 10 5      52      1,474 SH         SOLE       1        1,474
SONIC SOLUTIONS INC              EQUITY    835460 10 6     334     18,461 SH         SOLE       1       18,461
SONIC SOLUTIONS INC              EQUITY    835460 10 6      60      3,330 SH       DEFINED      4                           3,330
SONICWALL INC                    EQUITY    835470 10 5     288     40,656 SH         SOLE       1       40,656
SONOCO PRODUCTS CO               EQUITY    835495 10 2    7035    207,715 SH         SOLE       1      207,715
SONOSITE INC                     EQUITY    83568G 10 4     476     11,717 SH         SOLE       1       11,717
SONUS NETWORKS INC               EQUITY    835916 10 7    1034    188,720 SH         SOLE       1      188,720
SOTHEBYS HLDGS INC               EQUITY    835898 10 7     741     25,500 SH         SOLE       2       25,500
SOTHEBY'S HOLDINGS               EQUITY    835898 10 7    3506    120,739 SH         SOLE       1      120,739





                                                                                         
SOUND FEDERAL BANCORP INC        EQUITY    83607V 10 4     792     38,474 SH         SOLE       1       38,474
SOURCE CAPITAL INC               EQUITY    836144 10 5      11        145 SH       DEFINED      4                             145
SOURCE INTERLINK COS INC         EQUITY    836151 20 9     286     25,096 SH         SOLE       1       25,096
SOURCECORP                       EQUITY    836167 10 6    1011     41,913 SH         SOLE       1       41,913
SOUTH FINANCIAL GROUP INC/THE    EQUITY    837841 10 5      57      2,185 SH         SOLE       1        2,185
SOUTH JERSEY INDUSTRIES INC      EQUITY    838518 10 8     580     21,256 SH         SOLE       1       21,256
SOUTHERN CO                      EQUITY    842587 10 7    7121    217,317 SH         SOLE       2      217,317
SOUTHERN CO/THE                  EQUITY    842587 10 7   10633    324,487 SH         SOLE       1      324,487
SOUTHERN CO/THE                  EQUITY    842587 10 7     443     13,520 SH       DEFINED      4                          13,520
SOUTHERN COPPER CORP             EQUITY    84265V 10 5      53        633 SH         SOLE       1          633
SOUTHERN COPPER CORP             EQUITY    84265V 10 5    2957     35,000 SH         SOLE       3       33,586
SOUTHERN COPPER CORP             EQUITY    84265V 10 5     705      8,350 SH       DEFINED      4                           8,350
SOUTHERN COPPER CORP DEL         EQUITY    84265V 10 5    1968     23,300 SH         SOLE       2       23,300
SOUTHERN UNION CO                EQUITY    844030 10 6      72      2,907 SH         SOLE       1        2,907
SOUTHSIDE BANCSHARES INC         EQUITY    84470P 10 9     158      7,825 SH         SOLE       1        7,825
SOUTHWEST AIRLINES CO            EQUITY    844741 10 8    5946    330,510 SH         SOLE       1      330,510
SOUTHWEST AIRLINES CO            EQUITY    844741 10 8      16        894 SH       DEFINED      4                             894
SOUTHWEST AIRLS CO               EQUITY    844741 10 8      16        875 SH         SOLE       2          875
SOUTHWEST BANCORP INC/STILLWAT   EQUITY    844767 10 3     230     10,345 SH         SOLE       1       10,345
SOUTHWEST GAS CORP               EQUITY    844895 10 2     800     28,615 SH         SOLE       1       28,615
SOUTHWEST WATER CO               EQUITY    845331 10 7     261     16,370 SH         SOLE       1       16,370
SOUTHWESTERN ENERGY CO           EQUITY    845467 10 9   11641    361,620 SH         SOLE       1      361,620
SOUTHWESTERN ENERGY CO           EQUITY    845467 10 9    3007     93,400 SH         SOLE       2       93,400
SOVEREIGN BANCORP INC            EQUITY    845905 10 8    3668    167,421 SH         SOLE       1      167,421
SOVEREIGN BANCORP INC            EQUITY    845905 10 8      10        441 SH         SOLE       2          441
SOVEREIGN BANCORP INC            EQUITY    845905 10 8      11        500 SH       DEFINED      4                             500
SOVRAN SELF STORAGE INC          EQUITY    84610H 10 8     718     13,006 SH         SOLE       1       13,006
SPANISH BROADCASTING SYSTEM      EQUITY    846425 88 2     162     29,310 SH         SOLE       1       29,310
SPARTAN STORES INC               EQUITY    846822 10 4     202     15,812 SH         SOLE       1       15,812
SPARTECH CORP                    EQUITY    847220 20 9     588     24,491 SH         SOLE       1       24,491
SPATIALIGHT INC                  EQUITY    847248 10 1      78     22,006 SH         SOLE       1       22,006
SPDR TRUST                       EQUITY    78462F 10 3     208      1,600 SH         SOLE       2        1,600
SPDR TRUST SERIES 1              EQUITY    78462F 10 3   48425    372,988 SH         SOLE       1      372,988
SPDR TRUST SERIES 1              EQUITY    78462F 10 3     317      2,445 SH       DEFINED      4                           2,445
SPECTRALINK CORP                 EQUITY    847580 10 7     183     14,563 SH         SOLE       1       14,563
SPECTRUM BRANDS INC              EQUITY    84762L 10 5      21        963 SH         SOLE       1          963
SPEEDWAY MOTORSPORTS INC         EQUITY    847788 10 6     447     11,700 SH         SOLE       1       11,700
SPHERION CORP                    EQUITY    848420 10 5     887     85,279 SH         SOLE       1       85,279
SPHERIX INC                      EQUITY    84842R 10 6       1        500 SH       DEFINED      4                             500
SPIRIT FINANCE CORP              EQUITY    848568 30 9     737     60,375 SH         SOLE       1       60,375
SPORTS AUTHORITY INC/THE         EQUITY    84917U 10 9     726     19,674 SH         SOLE       1       19,674
SPRINT NEXTEL CORP               EQUITY    852061 10 0   64670  2,502,721 SH         SOLE       1    2,502,721
SPRINT NEXTEL CORP               EQUITY    852061 10 0   16503    638,668 SH         SOLE       2      638,668
SPRINT NEXTEL CORP               EQUITY    852061 10 0      57      2,204 SH       DEFINED      4                           2,204
SPSS INC                         EQUITY    78462K 10 2     568     17,940 SH         SOLE       1       17,940
SPX CORP                         EQUITY    784635 10 4    7404    138,600 SH         SOLE       1      138,600
SRA INTERNATIONAL INC            EQUITY    78464R 10 5    4117    109,114 SH         SOLE       1      109,114
SRA INTERNATIONAL INC            EQUITY    78464R 10 5    4671    123,800 SH         SOLE       3      119,000
SSA GLOBAL TECHNOLOGIES INC      EQUITY    78465P 10 8     111      6,933 SH         SOLE       1        6,933
ST JOE CO/THE                    EQUITY    790148 10 0     117      1,855 SH         SOLE       1        1,855
ST JOE CO/THE                    EQUITY    790148 10 0      31        500 SH       DEFINED      4                             500
ST JUDE MED INC                  EQUITY    790849 10 3     654     15,953 SH         SOLE       2       15,953
ST JUDE MEDICAL INC              CORP BOND 790849 AB 9     986  1,000,000 PRN        SOLE       1    1,000,000
ST JUDE MEDICAL INC              EQUITY    790849 10 3   34664    845,455 SH         SOLE       1      845,455
ST MARY LAND & EXPLORATION CO    EQUITY    792228 10 8    2982     73,025 SH         SOLE       1       73,025
ST MARY LD + EXPL CO             EQUITY    792228 10 8    2952     72,300 SH         SOLE       2       72,300
ST PAUL TRAVELERS COS INC/THE    EQUITY    792860 10 8   61724  1,476,907 SH         SOLE       1    1,476,907
ST PAUL TRAVELERS COS INC/THE    EQUITY    792860 10 8      37        887 SH       DEFINED      4                             887
STAGE STORES INC                 EQUITY    85254C 30 5     930     31,268 SH         SOLE       1       31,268





                                                                                         
STAMPS.COM INC                   EQUITY    852857 20 0     434     12,320 SH         SOLE       1       12,320
STANCORP FINANCIAL GROUP INC     EQUITY    852891 10 0    6542    120,901 SH         SOLE       1      120,901
STANDARD MICROSYSTEMS CORP       EQUITY    853626 10 9     474     18,252 SH         SOLE       1       18,252
STANDARD MOTOR PRODUCTS INC      EQUITY    853666 10 5     101     11,327 SH         SOLE       1       11,327
STANDARD REGISTER CO/THE         EQUITY    853887 10 7     202     13,026 SH         SOLE       1       13,026
STANDARD-PACIFIC CORP            EQUITY    85375C 10 1      68      2,009 SH         SOLE       1        2,009
STANDEX INTERNATIONAL CORP       EQUITY    854231 10 7     297      9,394 SH         SOLE       1        9,394
STANLEY FURNITURE CO INC         EQUITY    854305 20 8     273      9,347 SH         SOLE       1        9,347
STANLEY WORKS                    EQUITY    854616 10 9       5         90 SH         SOLE       2           90
STANLEY WORKS/THE                EQUITY    854616 10 9    1720     33,944 SH         SOLE       1       33,944
STAPLES INC                      EQUITY    855030 10 2    8868    347,491 SH         SOLE       1      347,491
STAPLES INC                      EQUITY    855030 10 2      23        901 SH         SOLE       2          901
STAPLES INC                      EQUITY    855030 10 2     625     24,497 SH       DEFINED      4                          24,497
STAR SCIENTIFIC INC              EQUITY    85517P 10 1      86     27,404 SH         SOLE       1       27,404
STARBUCKS CORP                   EQUITY    855244 10 9   19068    506,734 SH         SOLE       1      506,734
STARBUCKS CORP                   EQUITY    855244 10 9    1255     33,344 SH         SOLE       2       33,344
STARTEK INC                      EQUITY    85569C 10 7     200      8,509 SH         SOLE       1        8,509
STARWOOD HOTELS & RESORTS  WW    EQUITY    85590A 20 3    6750     99,660 SH         SOLE       1       99,660
STARWOOD HOTELS + RESORTS        EQUITY    85590A 20 3      18        267 SH         SOLE       2          267
STARWOOD HOTELS RESORTS          CORP BOND 85590A AJ 3     543    400,000 PRN        SOLE       1      400,000
STATE AUTO FINANCIAL CORP        EQUITY    855707 10 5     359     10,647 SH         SOLE       1       10,647
STATE AUTO FINANCIAL CORP        EQUITY    855707 10 5      16        460 SH       DEFINED      4                             460
STATE BANCORP INC/NY             EQUITY    855716 10 6     114      7,472 SH         SOLE       1        7,472
STATE NATIONAL BANCSHARES INC    EQUITY    857124 10 1     100      3,686 SH         SOLE       1        3,686
STATE STREET CORP                EQUITY    857477 10 3    8778    145,252 SH         SOLE       1      145,252
STATE STREET CORPORATION         EQUITY    857477 10 3      25        412 SH         SOLE       2          412
STATION CASINOS INC              EQUITY    857689 10 3     108      1,359 SH         SOLE       1        1,359
STATS CHIPPAC LTD                EQUITY    85771T 10 4     927    118,042 SH         SOLE       1      118,042
STATS CHIPPAC LTD                EQUITY    85771T 10 4     955    121,600 SH         SOLE       3      121,600
STEAK N SHAKE CO/THE             EQUITY    857873 10 3     446     21,125 SH         SOLE       1       21,125
STEEL DYNAMICS INC               EQUITY    858119 10 0    6309    111,217 SH         SOLE       1      111,217
STEEL DYNAMICS INC               EQUITY    858119 10 0     335      5,900 SH         SOLE       2        5,900
STEEL DYNAMICS INC               EQUITY    858119 10 0      16        290 SH       DEFINED      4                             290
STEEL TECHNOLOGIES INC           EQUITY    858147 10 1     279     11,489 SH         SOLE       1       11,489
STEELCASE INC                    EQUITY    858155 20 3      32      1,766 SH         SOLE       1        1,766
STEIN MART INC                   EQUITY    858375 10 8     341     19,591 SH         SOLE       1       19,591
STEINWAY MUSICAL INSTRUMENTS     EQUITY    858495 10 4   13192    409,446 SH         SOLE       1      409,446
STELLENT INC                     EQUITY    85856W 10 5    1553    130,914 SH         SOLE       1      130,914
STELLENT INC                     EQUITY    85856W 10 5    4466    376,600 SH         SOLE       3      376,600
STEMCELLS INC                    EQUITY    85857R 10 5     170     47,532 SH         SOLE       1       47,532
STEPAN CO                        EQUITY    858586 10 0     118      4,008 SH         SOLE       1        4,008
STEREOTAXIS INC                  EQUITY    85916J 10 2     161     12,780 SH         SOLE       1       12,780
STERICYCLE INC                   EQUITY    858912 10 8    6247     92,379 SH         SOLE       1       92,379
STERIS CORP                      EQUITY    859152 10 0    4766    193,092 SH         SOLE       1      193,092
STERLING BANCORP/NY              EQUITY    859158 10 7     302     14,648 SH         SOLE       1       14,648
STERLING BANCSHARES INC/TX       EQUITY    858907 10 8     621     34,403 SH         SOLE       1       34,403
STERLING FINANCIAL CORP/PA       EQUITY    859317 10 9     424     19,436 SH         SOLE       1       19,436
STERLING FINANCIAL CORP/WA       EQUITY    859319 10 5     763     26,296 SH         SOLE       1       26,296
STEVEN MADDEN LTD                EQUITY    556269 10 8     370     10,419 SH         SOLE       1       10,419
STEWART & STEVENSON SERVICES I   EQUITY    860342 10 4     803     22,001 SH         SOLE       1       22,001
STEWART ENTERPRISES INC          EQUITY    860370 10 5     462     80,830 SH         SOLE       1       80,830
STEWART INFORMATION SERVICES C   EQUITY    860372 10 1    1831     38,884 SH         SOLE       1       38,884
STIFEL FINANCIAL CORP            EQUITY    860630 10 2     279      6,394 SH         SOLE       1        6,394
STILLWATER MINING CO             EQUITY    86074Q 10 2     510     30,996 SH         SOLE       1       30,996
STOLT OFFSHORE SA                EQUITY    861567 10 5     338     21,800 SH         SOLE       2       21,800
STONE ENERGY CORP                EQUITY    861642 10 6    1717     38,906 SH         SOLE       1       38,906
STRATAGENE CORP                  EQUITY    86269H 10 7      62      5,634 SH         SOLE       1        5,634
STRATASYS INC                    EQUITY    862685 10 4     234      7,941 SH         SOLE       1        7,941
STRATEGIC GLOBAL INCOME FUND I   EQUITY    862719 10 1      24      2,028 SH       DEFINED      4                           2,028





                                                                                         
STRATEGIC HOTELS & RESORTS INC   EQUITY    86272T 10 6    1024     43,977 SH         SOLE       1       43,977
STRATTEC SECURITY CORP           EQUITY    863111 10 0     107      2,877 SH         SOLE       1        2,877
STRAYER EDUCATION INC            EQUITY    863236 10 5    1139     11,134 SH         SOLE       1       11,134
STREETTRACKS DOW JONES WILSHIR   EQUITY    86330E 60 4      39        500 SH       DEFINED      4                             500
STREETTRACKS DOW JONES WILSHIR   EQUITY    86330E 88 5      45        475 SH       DEFINED      4                             475
STREETTRACKS GOLD TRUST          EQUITY    863307 10 4      52        900 SH       DEFINED      4                             900
STRIDE RITE CORP                 EQUITY    863314 10 0     971     67,034 SH         SOLE       1       67,034
STRYKER CORP                     EQUITY    863667 10 1    6663    150,281 SH         SOLE       1      150,281
STRYKER CORP                     EQUITY    863667 10 1      16        361 SH         SOLE       2          361
STRYKER CORP                     EQUITY    863667 10 1      16        350 SH       DEFINED      4                             350
STUDENT LOAN CORP                EQUITY    863902 10 2      22         95 SH         SOLE       1           95
STURM RUGER & CO INC             EQUITY    864159 10 8     129     16,124 SH         SOLE       1       16,124
SUEZ SA                          EQUITY    864686 10 0       2         60 SH       DEFINED      4                              60
SUFFOLK BANCORP                  EQUITY    864739 10 7     280      8,083 SH         SOLE       1        8,083
SUMMIT BANCSHARES INC/TX         EQUITY    866011 10 9     151      7,820 SH         SOLE       1        7,820
SUMMIT FINANCIAL GROUP INC       EQUITY    86606G 10 1      78      3,891 SH         SOLE       1        3,891
SUN BANCORP INC/NJ               EQUITY    86663B 10 2     167      8,562 SH         SOLE       1        8,562
SUN COMMUNITIES INC              EQUITY    866674 10 4     436     12,325 SH         SOLE       1       12,325
SUN HYDRAULICS CORP              EQUITY    866942 10 5     109      5,109 SH         SOLE       1        5,109
SUN LIFE FINANCIAL INC           EQUITY    866796 10 5    3586     84,300 SH        OTHER       1                  84,300
SUN LIFE FINL INC                EQUITY    866796 10 5     643     15,100 SH         SOLE       2       15,100
SUN MICROSYSTEMS INC             EQUITY    866810 10 4    8705  1,696,890 SH         SOLE       1    1,696,890
SUN MICROSYSTEMS INC             EQUITY    866810 10 4      22      4,278 SH         SOLE       2        4,278
SUNAMERICA FOCUSED ALPHA GROWT   EQUITY    867037 10 3      89      5,000 SH       DEFINED      4                           5,000
SUNCOM WIRELESS HOLDINGS INC     EQUITY    86722Q 10 8    1886    977,400 SH         SOLE       1      977,400
SUNOCO INC                       EQUITY    86764P 10 9    4786     61,703 SH         SOLE       1       61,703
SUNOCO INC                       EQUITY    86764P 10 9      13        165 SH         SOLE       2          165
SUNPOWER CORP                    EQUITY    867652 10 9     228      5,977 SH         SOLE       1        5,977
SUNRISE SENIOR LIVING INC        EQUITY    86768K 10 6    2392     61,373 SH         SOLE       1       61,373
SUNSTONE HOTEL INVESTORS INC     EQUITY    867892 10 1     799     27,569 SH         SOLE       1       27,569
SUNTERRA CORP                    EQUITY    86787D 20 8     211     14,783 SH         SOLE       1       14,783
SUNTRUST BANKS INC               EQUITY    867914 10 3   36490    501,508 SH         SOLE       1      501,508
SUNTRUST BANKS INC               EQUITY    867914 10 3      10        140 SH       DEFINED      4                             140
SUNTRUST BKS INC                 EQUITY    867914 10 3     201      2,758 SH         SOLE       2        2,758
SUPERGEN INC                     EQUITY    868059 10 6     221     38,916 SH         SOLE       1       38,916
SUPERIOR ENERGY SERVICES         EQUITY    868157 10 8    1582     59,070 SH         SOLE       1       59,070
SUPERIOR ESSEX INC               EQUITY    86815V 10 5     331     13,017 SH         SOLE       1       13,017
SUPERIOR INDUSTRIES INTERNATIO   EQUITY    868168 10 5     326     16,859 SH         SOLE       1       16,859
SUPERIOR WELL SERVICES INC       EQUITY    86837X 10 5     143      4,906 SH         SOLE       1        4,906
SUPERTEX INC                     EQUITY    868532 10 2     286      7,596 SH         SOLE       1        7,596
SUPERVALU INC                    EQUITY    868536 10 3    1620     52,548 SH         SOLE       1       52,548
SUPERVALU INC                    EQUITY    868536 10 3       5        168 SH         SOLE       2          168
SUPPORTSOFT INC                  EQUITY    868587 10 6     145     32,689 SH         SOLE       1       32,689
SUREWEST COMMUNICATIONS          EQUITY    868733 10 6     268     11,095 SH         SOLE       1       11,095
SURMODICS INC                    EQUITY    868873 10 0     590     16,688 SH         SOLE       1       16,688
SUSQUEHANNA BANCSHARES INC       EQUITY    869099 10 1     914     35,475 SH         SOLE       1       35,475
SVB FINANCIAL GROUP              EQUITY    78486Q 10 1    5278     99,485 SH         SOLE       1       99,485
SWIFT ENERGY CO                  EQUITY    870738 10 1    1856     49,541 SH         SOLE       1       49,541
SWIFT TRANSPORTATION CO INC      EQUITY    870756 10 3    2431    111,883 SH         SOLE       1      111,883
SWS GROUP INC                    EQUITY    78503N 10 7    1553     59,379 SH         SOLE       1       59,379
SWS GROUP INC                    EQUITY    78503N 10 7    4171    159,500 SH         SOLE       3      159,500
SY BANCORP INC                   EQUITY    785060 10 4     242      9,143 SH         SOLE       1        9,143
SYBASE INC                       EQUITY    871130 10 0    4049    191,726 SH         SOLE       1      191,726
SYBRON DENTAL SPECIALTIES        EQUITY    871142 10 5    7427    180,100 SH         SOLE       2      180,100
SYBRON DENTAL SPECIALTIES INC    EQUITY    871142 10 5    1257     30,487 SH         SOLE       1       30,487
SYCAMORE NETWORKS INC            EQUITY    871206 10 8     631    134,200 SH         SOLE       1      134,200
SYKES ENTERPRISES INC            EQUITY    871237 10 3     534     37,682 SH         SOLE       1       37,682
SYMANTEC CORP                    EQUITY    871503 10 8    8756    520,271 SH         SOLE       1      520,271
SYMANTEC CORP                    EQUITY    871503 10 8    7264    431,590 SH         SOLE       2      431,590





                                                                                         
SYMBION INC                      EQUITY    871507 10 9     298     13,172 SH         SOLE       1       13,172
SYMBION INC DE                   EQUITY    871507 10 9    3884    171,500 SH         SOLE       2      171,500
SYMBOL TECHNOLOGIES INC          EQUITY    871508 10 7    1236    116,811 SH         SOLE       1      116,811
SYMBOL TECHNOLOGIES INC          EQUITY    871508 10 7       3        313 SH         SOLE       2          313
SYMMETRICOM INC                  EQUITY    871543 10 4     300     35,067 SH         SOLE       1       35,067
SYMMETRY MEDICAL INC             EQUITY    871546 20 6     134      6,334 SH         SOLE       1        6,334
SYMS CORP                        EQUITY    871551 10 7      74      4,942 SH         SOLE       1        4,942
SYMYX TECHNOLOGIES               EQUITY    87155S 10 8     782     28,196 SH         SOLE       1       28,196
SYNAPTICS INC                    EQUITY    87157D 10 9     468     21,298 SH         SOLE       1       21,298
SYNIVERSE HOLDINGS INC           EQUITY    87163F 10 6     211     13,378 SH         SOLE       1       13,378
SYNNEX CORP                      EQUITY    87162W 10 0     122      6,569 SH         SOLE       1        6,569
SYNOPSYS INC                     EQUITY    871607 10 7    6765    302,666 SH         SOLE       1      302,666
SYNOVUS FINANCIAL CORP           EQUITY    87161C 10 5   13828    510,442 SH         SOLE       1      510,442
SYNOVUS FINL CORP                EQUITY    87161C 10 5      10        387 SH         SOLE       2          387
SYNTAX-BRILLIAN CORP             EQUITY    87163L 10 3       4        882 SH       DEFINED      4                             882
SYNTEL INC                       EQUITY    87162H 10 3     113      5,952 SH         SOLE       1        5,952
SYNTROLEUM CORP                  EQUITY    871630 10 9     246     29,696 SH         SOLE       1       29,696
SYPRIS SOLUTIONS INC             EQUITY    871655 10 6      64      6,761 SH         SOLE       1        6,761
SYSCO CORP                       EQUITY    871829 10 7    8949    279,216 SH         SOLE       1      279,216
SYSCO CORP                       EQUITY    871829 10 7    3276    102,213 SH         SOLE       2      102,213
SYSCO CORP                       EQUITY    871829 10 7     138      4,320 SH       DEFINED      4                           4,320
SYSTEMAX INC                     EQUITY    871851 10 1      53      7,310 SH         SOLE       1        7,310
T HQ INC                         EQUITY    872443 40 3    1996     77,100 SH         SOLE       2       77,100
T ROWE PRICE GROUP INC           EQUITY    74144T 10 8    8563    109,492 SH         SOLE       1      109,492
TAKE-TWO INTERACTIVE SOFTWARE    EQUITY    874054 10 9      33      1,774 SH         SOLE       1        1,774
TAL INTERNATIONAL GROUP INC      EQUITY    874083 10 8     211      8,751 SH         SOLE       1        8,751
TALBOTS INC                      EQUITY    874161 10 2     468     17,421 SH         SOLE       1       17,421
TALEO CORP                       EQUITY    87424N 10 4      62      4,789 SH         SOLE       1        4,789
TALISMAN ENERGY INC              EQUITY    87425E 10 3    8332    156,800 SH        OTHER       1                 156,800
TALK AMERICA HOLDINGS INC        EQUITY    87426R 20 2     194     22,696 SH         SOLE       1       22,696
TALX CORP                        EQUITY    874918 10 5     977     34,288 SH         SOLE       1       34,288
TALX CORP                        EQUITY    874918 10 5     342     12,000 SH         SOLE       2       12,000
TALX CORP                        EQUITY    874918 10 5     113      3,971 SH       DEFINED      4                           3,971
TANGER FACTORY OUTLET CENTRS     EQUITY    875465 10 6     804     23,364 SH         SOLE       1       23,364
TANOX INC                        EQUITY    87588Q 10 9     361     18,608 SH         SOLE       1       18,608
TARGET CORP                      EQUITY    87612E 10 6   35867    689,615 SH         SOLE       1      689,615
TARGET CORP                      EQUITY    87612E 10 6    5263    101,187 SH         SOLE       2      101,187
TARGET CORP                      EQUITY    87612E 10 6      51        977 SH       DEFINED      4                             977
TARRAGON CORP                    EQUITY    876287 10 3     190      9,530 SH         SOLE       1        9,530
TASER INTERNATIONAL INC          EQUITY    87651B 10 4     492     46,466 SH         SOLE       1       46,466
TAUBMAN CENTERS INC              EQUITY    876664 10 3    1606     38,546 SH         SOLE       1       38,546
TAYLOR CAPITAL GROUP INC         EQUITY    876851 10 6     134      3,428 SH         SOLE       1        3,428
TCF FINANCIAL CORP               EQUITY    872275 10 2    6147    238,729 SH         SOLE       1      238,729
TD AMERITRADE HOLDING CORP       EQUITY    87236Y 10 8     164      7,867 SH         SOLE       1        7,867
TD BANKNORTH INC                 EQUITY    87235A 10 1      97      3,294 SH         SOLE       1        3,294
TECH DATA CORP                   EQUITY    878237 10 6    4388    118,885 SH         SOLE       1      118,885
TECHNE CORP                      EQUITY    878377 10 0    4964     82,539 SH         SOLE       1       82,539
TECHNICAL OLYMPIC USA INC        EQUITY    878483 10 6     245     12,035 SH         SOLE       1       12,035
TECHNITROL INC                   EQUITY    878555 10 1     738     30,773 SH         SOLE       1       30,773
TECHNOLOGY INVESTMENT CAPITAL    EQUITY    878717 30 5     147     10,131 SH         SOLE       1       10,131
TECO ENERGY INC                  EQUITY    872375 10 0    2689    166,827 SH         SOLE       1      166,827
TECO ENERGY INC                  EQUITY    872375 10 0       4        258 SH         SOLE       2          258
TECO ENERGY INC                  EQUITY    872375 10 0       4        250 SH       DEFINED      4                             250
TECUMSEH PRODUCTS CO             EQUITY    878895 20 0    1250     50,976 SH         SOLE       1       50,976
TEEKAY SHIPPING CORP             EQUITY    Y8564W 10 3       4        115 SH       DEFINED      4                             115
TEJON RANCH CO                   EQUITY    879080 10 9     323      6,609 SH         SOLE       1        6,609
TEKELEC                          EQUITY    879101 10 3     594     42,971 SH         SOLE       1       42,971
TEKTRONIX INC                    EQUITY    879131 10 0    1362     38,153 SH         SOLE       1       38,153
TEKTRONIX INC                    EQUITY    879131 10 0     143      4,001 SH         SOLE       2        4,001





                                                                                         
TELECOM CORP OF NEW ZEALAND LT   EQUITY    879278 20 8      40      1,480 SH       DEFINED      4                           1,480
TELEDYNE TECHNOLOGIES INC        EQUITY    879360 10 5    1068     30,003 SH         SOLE       1       30,003
TELEFLEX INC                     EQUITY    879369 10 6    8946    124,892 SH         SOLE       1      124,892
TELEFONOS DE MEXICO SA DE CV     EQUITY    879403 78 0       3        130 SH       DEFINED      4                             130
TELEPHONE & DATA SYSTEMS INC     EQUITY    879433 10 0    8701    220,625 SH         SOLE       1      220,625
TELETECH HOLDINGS INC            EQUITY    879939 10 6     282     25,399 SH         SOLE       1       25,399
TELIK INC                        EQUITY    87959M 10 9     765     39,512 SH         SOLE       1       39,512
TELKONET INC                     EQUITY    879604 10 6     115     27,009 SH         SOLE       1       27,009
TELLABS INC                      EQUITY    879664 10 0    3596    226,178 SH         SOLE       1      226,178
TELLABS INC                      EQUITY    879664 10 0     645     40,557 SH         SOLE       2       40,557
TEMPLE INLAND INC                EQUITY    879868 10 7       6        137 SH         SOLE       2          137
TEMPLE-INLAND INC                EQUITY    879868 10 7    2315     51,968 SH         SOLE       1       51,968
TEMPLETON DRAGON FUND INC        EQUITY    88018T 10 1     781     36,095 SH       DEFINED      4                          36,095
TEMPLETON EMERGING MARKETS INC   EQUITY    880192 10 9     149     11,593 SH       DEFINED      4                          11,593
TEMPLETON GLOBAL INCOME FUND     EQUITY    880198 10 6    1325    153,925 SH       DEFINED      4                         153,925
TEMPUR-PEDIC INTERNATIONAL INC   EQUITY    88023U 10 1      14        984 SH         SOLE       1          984
TENARIS SA                       EQUITY    88031M 10 9    8394     46,462 SH         SOLE       1       46,462
TENET HEALTHCARE CORP            EQUITY    88033G 10 0    1620    219,469 SH         SOLE       1      219,469
TENET HEALTHCARE CORP            EQUITY    88033G 10 0       4        581 SH         SOLE       2          581
TENNANT CO                       EQUITY    880345 10 3     314      5,992 SH         SOLE       1        5,992
TENNECO INC                      EQUITY    880349 10 5     719     33,157 SH         SOLE       1       33,157
TERADYNE INC                     EQUITY    880770 10 2    1424     91,821 SH         SOLE       1       91,821
TERADYNE INC                     EQUITY    880770 10 2       4        245 SH         SOLE       2          245
TERAYON COMMUNICATION SYSTEMS    EQUITY    880775 10 1     109     59,700 SH         SOLE       1       59,700
TERCICA INC                      EQUITY    88078L 10 5      57      8,452 SH         SOLE       1        8,452
TEREX CORP                       EQUITY    880779 10 3     119      1,501 SH         SOLE       1        1,501
TERRA INDS INC                   EQUITY    880915 10 3    7112  1,008,800 SH         SOLE       2    1,008,800
TERRA INDUSTRIES INC             EQUITY    880915 10 3     498     70,665 SH         SOLE       1       70,665
TERREMARK WORLDWIDE INC          EQUITY    881448 20 3     193     22,711 SH         SOLE       1       22,711
TESORO CORP                      EQUITY    881609 10 1     126      1,839 SH         SOLE       1        1,839
TESSERA TECHNOLOGIES INC         EQUITY    88164L 10 0    1071     33,388 SH         SOLE       1       33,388
TETRA TECH INC                   EQUITY    88162G 10 3     760     39,793 SH         SOLE       1       39,793
TETRA TECHNOLOGIES INC           EQUITY    88162F 10 5    1213     25,787 SH         SOLE       1       25,787
TETRA TECHNOLOGIES INC DEL       EQUITY    88162F 10 5     334      7,100 SH         SOLE       2        7,100
TEVA PHARMACEUT FIN BV           CORP BOND 88164M AB 4     958    500,000 PRN        SOLE       1      500,000
TEVA PHARMACEUTICAL INDS L       EQUITY    881624 20 9     852     20,700 SH         SOLE       2       20,700
TEVA PHARMACEUTICAL INDUSTRIES   EQUITY    881624 20 9    3091     75,060 SH         SOLE       1       75,060
TEVA PHARMACEUTICAL INDUSTRIES   EQUITY    881624 20 9     736     17,881 SH       DEFINED      4                          17,881
TEXAS CAPITAL BANCSHARES INC     EQUITY    88224Q 10 7     408     16,985 SH         SOLE       1       16,985
TEXAS INDUSTRIES INC             EQUITY    882491 10 3    1043     17,247 SH         SOLE       1       17,247
TEXAS INDUSTRIES INC             EQUITY    882491 10 3       9        150 SH       DEFINED      4                             150
TEXAS INSTRS INC                 EQUITY    882508 10 4   32658  1,005,778 SH         SOLE       2    1,005,778
TEXAS INSTRUMENTS INC            EQUITY    882508 10 4   33558  1,033,518 SH         SOLE       1    1,033,518
TEXAS INSTRUMENTS INC            EQUITY    882508 10 4    1344     41,405 SH       DEFINED      4                          41,405
TEXAS REGIONAL BANCSHARES INC    EQUITY    882673 10 6    3795    128,701 SH         SOLE       1      128,701
TEXAS ROADHOUSE INC              EQUITY    882681 10 9     547     32,019 SH         SOLE       1       32,019
TEXTRON INC                      EQUITY    883203 10 1    5729     61,350 SH         SOLE       1       61,350
TEXTRON INC                      EQUITY    883203 10 1      15        164 SH         SOLE       2          164
THE ST PAUL TRAVELERS COS        EQUITY    792860 10 8      36        860 SH         SOLE       2          860
THERMO ELECTRON CORP             EQUITY    883556 10 2    2798     75,436 SH         SOLE       1       75,436
THERMO ELECTRON CORP             EQUITY    883556 10 2       7        200 SH         SOLE       2          200
THERMO ELECTRON CORP             EQUITY    883556 10 2       6        162 SH       DEFINED      4                             162
THERMOGENESIS CORP               EQUITY    883623 20 9     165     40,731 SH         SOLE       1       40,731
THOMAS & BETTS CORP              EQUITY    884315 10 2    6349    123,562 SH         SOLE       1      123,562
THOMAS NELSON INC                EQUITY    640376 10 9    1367     46,724 SH         SOLE       1       46,724
THOR INDUSTRIES INC              EQUITY    885160 10 1    5234     98,090 SH         SOLE       1       98,090
THORATEC CORP                    EQUITY    885175 30 7     707     36,709 SH         SOLE       1       36,709
THORNBURG MORTGAGE INC           EQUITY    885218 10 7    9216    340,567 SH         SOLE       1      340,567
THQ INC                          EQUITY    872443 40 3    1222     47,190 SH         SOLE       1       47,190





                                                                                         
THRESHOLD PHARMACEUTICALS INC    EQUITY    885807 10 7      77      5,135 SH         SOLE       1        5,135
TIBCO SOFTWARE INC               EQUITY    88632Q 10 3    1372    164,088 SH         SOLE       1      164,088
TIDEWATER INC                    EQUITY    886423 10 2    7020    127,110 SH         SOLE       1      127,110
TIDEWATER INC                    EQUITY    886423 10 2    2029     36,735 SH       DEFINED      4                          36,735
TIENS BIOTECH GROUP USA INC      EQUITY    88650T 10 4      14      3,136 SH         SOLE       1        3,136
TIERONE CORP                     EQUITY    88650R 10 8     468     13,794 SH         SOLE       1       13,794
TIFFANY & CO                     EQUITY    886547 10 8    3514     93,611 SH         SOLE       1       93,611
TIFFANY + CO NEW                 EQUITY    886547 10 8       7        176 SH         SOLE       2          176
TIMBERLAND CO                    EQUITY    887100 10 5    3939    115,083 SH         SOLE       1      115,083
TIMBERLAND CO                    EQUITY    887100 10 5       7        204 SH       DEFINED      4                             204
TIME WARNER INC                  EQUITY    887317 10 5   70621  4,206,133 SH         SOLE       1    4,206,133
TIME WARNER INC                  EQUITY    887317 10 5       7        423 SH       DEFINED      4                             423
TIME WARNER INC NEW              EQUITY    887317 10 5    2405    143,269 SH         SOLE       2      143,269
TIME WARNER TELECOM INC          EQUITY    887319 10 1     685     38,135 SH         SOLE       1       38,135
TIMKEN CO                        EQUITY    887389 10 4    5685    176,172 SH         SOLE       1      176,172
TITAN INTERNATIONAL INC          EQUITY    88830M 10 2     202     11,697 SH         SOLE       1       11,697
TITANIUM METALS CORP             EQUITY    888339 20 7     921     18,960 SH         SOLE       1       18,960
TIVO INC                         EQUITY    888706 10 8     313     43,339 SH         SOLE       1       43,339
TJX COMPANIES INC                CORP BOND 872540 AL 3    2969  3,550,000 PRN        SOLE       1    3,550,000
TJX COS INC                      EQUITY    872540 10 9   66565  2,681,670 SH         SOLE       1    2,681,670
TJX COS INC NEW                  EQUITY    872540 10 9      14        569 SH         SOLE       2          569
TNS INC                          EQUITY    872960 10 9     172      8,118 SH         SOLE       1        8,118
TODCO                            EQUITY    88889T 10 7    1419     36,017 SH         SOLE       1       36,017
TODCO                            EQUITY    88889T 10 7    8288    210,300 SH         SOLE       2      210,300
TODCO                            EQUITY    88889T 10 7      12        300 SH       DEFINED      4                             300
TOLL BROTHERS INC                EQUITY    889478 10 3    8536    246,489 SH         SOLE       1      246,489
TOMPKINS TRUSTCO INC             EQUITY    890110 10 9     232      4,820 SH         SOLE       1        4,820
TOO INC                          EQUITY    890333 10 7     897     26,123 SH         SOLE       1       26,123
TOOTSIE ROLL INDUSTRIES INC      EQUITY    890516 10 7    2146     73,311 SH         SOLE       1       73,311
TOP TANKERS INC                  EQUITY    Y8897Y 10 7      10        800 SH       DEFINED      4                             800
TOPPS CO INC/THE                 EQUITY    890786 10 6     237     26,980 SH         SOLE       1       26,980
TORCH ENERGY ROYALTY TRUST       EQUITY    891013 10 4      17      2,125 SH       DEFINED      4                           2,125
TORCHMARK CORP                   EQUITY    891027 10 4    6420    112,442 SH         SOLE       1      112,442
TORCHMARK INC                    EQUITY    891027 10 4       7        128 SH         SOLE       2          128
TOREADOR RESOURCES CORP          EQUITY    891050 10 6     364     11,716 SH         SOLE       1       11,716
TORO CO                          EQUITY    891092 10 8      50      1,056 SH         SOLE       1        1,056
TORONTO-DOMINION BANK            EQUITY    891160 50 9    6494    116,484 SH        OTHER       1                 116,484
TOTAL SYSTEM SERVICES INC        EQUITY    891906 10 9      18        909 SH         SOLE       1          909
TOTAL SYSTEM SERVICES INC        EQUITY    891906 10 9      46      2,329 SH       DEFINED      4                           2,329
TOWER GROUP INC                  EQUITY    891777 10 4     294     12,737 SH         SOLE       1       12,737
TOWN & COUNTRY TRUST/THE         EQUITY    892081 10 0     542     13,355 SH         SOLE       1       13,355
TOYOTA MOTOR CORP                EQUITY    892331 30 7       1         10 SH       DEFINED      4                              10
TRACTOR SUPPLY CO                EQUITY    892356 10 6    1656     24,967 SH         SOLE       1       24,967
TRADESTATION GROUP INC           EQUITY    89267P 10 5     210     15,183 SH         SOLE       1       15,183
TRAMMELL CROW CO                 EQUITY    89288R 10 6     946     26,535 SH         SOLE       1       26,535
TRANS WORLD ENTERTAINMENT        EQUITY    89336Q 10 0      78     13,966 SH         SOLE       1       13,966
TRANSACTION SYS ARCHITECTS       EQUITY    893416 10 7     212      6,800 SH         SOLE       2        6,800
TRANSACTION SYSTEMS ARCHITECTS   EQUITY    893416 10 7    3301    105,760 SH         SOLE       1      105,760
TRANSATLANTIC HOLDINGS INC       EQUITY    893521 10 4      47        800 SH         SOLE       1          800          -       -
TRANSATLANTIC HOLDINGS INC       EQUITY    893521 10 4 2284966 39,092,662 SH         SOLE       1   39,092,662          -       -
TRANSDIGM GROUP INC              EQUITY    893641 10 0    1424     55,300 SH         SOLE       2       55,300
TRANSMONTAIGNE INC               EQUITY    893934 10 9     315     32,144 SH         SOLE       1       32,144
TRANSOCEAN INC                   EQUITY    G90078 10 9      32        403 SH         SOLE       2          403
TRANSWITCH CORP                  EQUITY    894065 10 1    1052    404,559 SH         SOLE       1      404,559
TRAVELERS PPTY CASUALTY          CORP BOND 89420G 30 7    3227    134,500 PRN        SOLE       1      134,500
TRAVELZOO INC                    EQUITY    89421Q 10 6      52      2,648 SH         SOLE       1        2,648
TREDEGAR CORP                    EQUITY    894650 10 0     347     21,793 SH         SOLE       1       21,793
TREEHOUSE FOODS INC              EQUITY    89469A 10 4      24        902 SH         SOLE       1          902
TREX CO INC                      EQUITY    89531P 10 5     278      8,761 SH         SOLE       1        8,761





                                                                                         
TRIAD GUARANTY INC               EQUITY    895925 10 5     318      6,788 SH         SOLE       1        6,788
TRIAD HOSPITALS INC              EQUITY    89579K 10 9    7584    181,007 SH         SOLE       1      181,007
TRIAD HOSPITALS INC              EQUITY    89579K 10 9    1827     43,600 SH         SOLE       3       40,800
TRIAD HOSPS INC                  EQUITY    89579K 10 9    3888     92,800 SH         SOLE       2       92,800
TRIARC COS INC                   EQUITY    895927 30 9     582     33,305 SH         SOLE       1       33,305
TRIBUNE CO                       EQUITY    896047 10 7    7876    287,129 SH         SOLE       1      287,129
TRIBUNE CO NEW                   EQUITY    896047 10 7       9        324 SH         SOLE       2          324
TRICO BANCSHARES                 EQUITY    896095 10 6     260      9,196 SH         SOLE       1        9,196
TRICO MARINE SERVICES INC        EQUITY    896106 20 0   38557  1,193,700 SH         SOLE       1    1,193,700
TRIDENT MICROSYSTEMS INC         EQUITY    895919 10 8    1943     66,859 SH         SOLE       1       66,859
TRIMBLE NAVIGATION LTD           EQUITY    896239 10 0      58      1,288 SH         SOLE       1        1,288
TRIMBLE NAVIGATION LTD           EQUITY    896239 10 0     437      9,700 SH         SOLE       2        9,700
TRIMERIS INC                     EQUITY    896263 10 0     182     13,486 SH         SOLE       1       13,486
TRINITY INDUSTRIES INC           EQUITY    896522 10 9    6622    121,743 SH         SOLE       1      121,743
TRIPATH IMAGING INC              EQUITY    896942 10 9     160     22,990 SH         SOLE       1       22,990
TRIPLE CROWN MEDIA INC           EQUITY    89675K 10 2      19      3,287 SH         SOLE       1        3,287
TRIQUINT SEMICONDUCTOR INC       EQUITY    89674K 10 3    1948    395,966 SH         SOLE       1      395,966
TRIUMPH GROUP INC                EQUITY    896818 10 1     893     20,185 SH         SOLE       1       20,185
TRI-VALLEY CORP                  EQUITY    895735 10 8     135     16,917 SH         SOLE       1       16,917
TRIZEC PROPERTIES INC            EQUITY    89687P 10 7      72      2,801 SH         SOLE       1        2,801
TRIZETTO GROUP                   EQUITY    896882 10 7    1997    113,517 SH         SOLE       1      113,517
TRIZETTO GROUP INC               EQUITY    896882 10 7     157      8,900 SH         SOLE       2        8,900
TRM CORP                         EQUITY    872636 10 5      66      9,879 SH         SOLE       1        9,879
TRONOX INC                       EQUITY    897051 10 8     225     13,291 SH         SOLE       1       13,291
TRUSTCO BANK CORP NY             EQUITY    898349 10 5     696     57,221 SH         SOLE       1       57,221
TRUSTMARK CORP                   EQUITY    898402 10 2    1138     35,957 SH         SOLE       1       35,957
TRUSTREET PROPERTIES INC         EQUITY    898404 10 8     761     50,091 SH         SOLE       1       50,091
TRW AUTOMOTIVE HOLDINGS CORP     EQUITY    87264S 10 6      30      1,305 SH         SOLE       1        1,305
TSMC                             EQUITY    874039 10 0     502     49,918 SH       DEFINED      4                          49,918
TTM TECHNOLOGIES                 EQUITY    87305R 10 9     345     23,800 SH         SOLE       2       23,800
TTM TECHNOLOGIES INC             EQUITY    87305R 10 9     455     31,373 SH         SOLE       1       31,373
TUESDAY MORNING CORP             EQUITY    899035 50 5     454     19,646 SH         SOLE       1       19,646
TUPPERWARE BRANDS CORP           EQUITY    899896 10 4    3113    151,167 SH         SOLE       1      151,167
TURBOCHEF TECHNOLOGIES INC       EQUITY    900006 20 6     119      9,727 SH         SOLE       1        9,727
TXU CORP                         EQUITY    873168 10 8    9627    215,082 SH         SOLE       1      215,082
TXU CORP                         EQUITY    873168 10 8      26        572 SH         SOLE       2          572
TXU CORP                         EQUITY    873168 10 8      13        300 SH       DEFINED      4                             300
TYCO INTERNATIONAL LTD           EQUITY    902124 10 6   34162  1,270,915 SH         SOLE       1    1,270,915
TYCO INTERNATIONAL LTD           EQUITY    902124 10 6     517     19,236 SH       DEFINED      4                          19,236
TYCO INTL GROUP SA               CORP BOND 902118 BG 2    3322  2,600,000 PRN        SOLE       1    2,600,000
TYCO INTL LTD                    EQUITY    902124 10 6      67      2,491 SH         SOLE       2        2,491
TYLER TECHNOLOGIES INC           EQUITY    902252 10 5     295     26,846 SH         SOLE       1       26,846
TYSON FOODS INC                  EQUITY    902494 10 3    3436    250,040 SH         SOLE       1      250,040
TYSON FOODS INC (DEL)            EQUITY    902494 10 3       4        311 SH         SOLE       2          311
UAL CORP                         EQUITY    902549 80 7    8407    210,534 SH         SOLE       1      210,534
UAP HOLDING CORP                 EQUITY    903441 10 3     547     25,433 SH         SOLE       1       25,433
UBIQUITEL INC                    EQUITY    903474 30 2     583     57,769 SH         SOLE       1       57,769
UCBH HOLDINGS INC                EQUITY    90262T 30 8    1316     69,573 SH         SOLE       1       69,573
UGI CORP                         EQUITY    902681 10 5      66      3,151 SH         SOLE       1        3,151
UICI                             EQUITY    902737 10 5    2101     56,806 SH         SOLE       1       56,806
UIL HOLDINGS CORP                EQUITY    902748 10 2     583     11,136 SH         SOLE       1       11,136
ULTICOM INC                      EQUITY    903844 10 8     105      9,781 SH         SOLE       1        9,781
ULTIMATE SOFTWARE GROUP INC      EQUITY    90385D 10 7     447     17,283 SH         SOLE       1       17,283
ULTRALIFE BATTERIES INC          EQUITY    903899 10 2     141     10,961 SH         SOLE       1       10,961
ULTRALIFE BATTERIES INC          EQUITY    903899 10 2     770     59,900 SH         SOLE       2       59,900
ULTRATECH INC                    EQUITY    904034 10 5     445     18,189 SH         SOLE       1       18,189
UMB FINANCIAL CORP               EQUITY    902788 10 8     834     11,875 SH         SOLE       1       11,875
UMPQUA HOLDINGS CORP             EQUITY    904214 10 3    1553     54,501 SH         SOLE       1       54,501
UNDER ARMOUR INC                 EQUITY    904311 10 7     283      8,745 SH         SOLE       1        8,745





                                                                                         
UNIBANCO                         EQUITY    90458E 10 7   16839    227,830 SH         SOLE       1      227,830
UNICA CORP                       EQUITY    904583 10 1      61      5,258 SH         SOLE       1        5,258
UNIFIRST CORP/MA                 EQUITY    904708 10 4     234      7,059 SH         SOLE       1        7,059
UNION BANKSHARES CORP/VA         EQUITY    905399 10 1     304      6,658 SH         SOLE       1        6,658
UNION DRILLING INC               EQUITY    90653P 10 5      98      6,711 SH         SOLE       1        6,711
UNION PAC CORP                   EQUITY    907818 10 8     553      5,927 SH         SOLE       2        5,927
UNION PACIFIC CORP               EQUITY    907818 10 8   14128    151,347 SH         SOLE       1      151,347
UNION PACIFIC CORP               EQUITY    907818 10 8      36        390 SH       DEFINED      4                             390
UNIONBANCAL CORP                 EQUITY    908906 10 0     250      3,559 SH         SOLE       1        3,559
UNISOURCE ENERGY CORP            EQUITY    909205 10 6     802     26,280 SH         SOLE       1       26,280
UNISYS CORP                      EQUITY    909214 10 8    1102    159,908 SH         SOLE       1      159,908
UNISYS CORP                      EQUITY    909214 10 8       3        423 SH         SOLE       2          423
UNIT CORP                        EQUITY    909218 10 9    1224     21,948 SH         SOLE       1       21,948
UNIT CORP                        EQUITY    909218 10 9    6573    117,900 SH         SOLE       2      117,900
UNITED AUTO GROUP INC            EQUITY    909440 10 9     874     20,318 SH         SOLE       1       20,318
UNITED BANKSHARES INC            EQUITY    909907 10 7    1089     28,454 SH         SOLE       1       28,454
UNITED CAPITAL CORP              EQUITY    909912 10 7      55      2,201 SH         SOLE       1        2,201
UNITED COMMUNITY BANKS INC/GA    EQUITY    90984P 10 5     676     24,023 SH         SOLE       1       24,023
UNITED COMMUNITY BANKS INC/GA    EQUITY    90984P 10 5     133      4,736 SH       DEFINED      4                           4,736
UNITED COMMUNITY FINANCIAL COR   EQUITY    909839 10 2     249     20,562 SH         SOLE       1       20,562
UNITED DOMINION REALTY TRUST I   EQUITY    910197 10 2    8060    282,418 SH         SOLE       1      282,418
UNITED FINANCIAL BANCORP INC     EQUITY    91030R 10 3      73      6,097 SH         SOLE       1        6,097
UNITED FIRE & CASUALTY CO        EQUITY    910331 10 7     426     12,936 SH         SOLE       1       12,936
UNITED INDL CORP                 EQUITY    910671 10 6     652     10,700 SH         SOLE       2       10,700
UNITED INDUSTRIAL CORP/NEW YOR   EQUITY    910671 10 6    1527     25,060 SH         SOLE       1       25,060
UNITED NATURAL FOODS INC         EQUITY    911163 10 3    1087     31,076 SH         SOLE       1       31,076
UNITED ONLINE INC                EQUITY    911268 10 0     599     46,589 SH         SOLE       1       46,589
UNITED PANAM FINANCIAL CORP      EQUITY    911301 10 9     117      3,791 SH         SOLE       1        3,791
UNITED PARCEL SERVICE INC        EQUITY    911312 10 6   55314    696,820 SH         SOLE       1      696,820
UNITED PARCEL SERVICE INC        EQUITY    911312 10 6      78        978 SH       DEFINED      4                             978
UNITED PARCEL SVC INC            EQUITY    911312 10 6    4584     57,750 SH         SOLE       2       57,750
UNITED RENTALS INC               EQUITY    911363 10 9    6555    190,001 SH         SOLE       1      190,001
UNITED RENTALS INC               EQUITY    911363 10 9     667     19,335 SH       DEFINED      4                          19,335
UNITED SECURITY BANCSHARES/THO   EQUITY    911459 10 5     118      4,394 SH         SOLE       1        4,394
UNITED STATES STEEL CORP         EQUITY    912909 10 8    3100     51,094 SH         SOLE       1       51,094
UNITED STATIONERS INC            EQUITY    913004 10 7    1596     30,048 SH         SOLE       1       30,048
UNITED STS STL CORP NEW          EQUITY    912909 10 8       8        135 SH         SOLE       2          135
UNITED SURGICAL PARTNERS         EQUITY    913016 30 9    5825    164,500 SH         SOLE       2      164,500
UNITED SURGICAL PARTNERS INTER   EQUITY    913016 30 9    1164     32,882 SH         SOLE       1       32,882
UNITED TECHNOLOGIES CORP         EQUITY    913017 10 9   28063    484,095 SH         SOLE       1      484,095
UNITED TECHNOLOGIES CORP         EQUITY    913017 10 9   12345    212,955 SH         SOLE       2      212,955
UNITED TECHNOLOGIES CORP         EQUITY    913017 10 9      33        569 SH       DEFINED      4                             569
UNITED THERAPEUTICS CORP         EQUITY    91307C 10 2    1140     17,205 SH         SOLE       1       17,205
UNITED THERAPEUTICS CORP D       EQUITY    91307C 10 2    6316     95,300 SH         SOLE       2       95,300
UNITED UTILITIES PLC             EQUITY    91311Q 10 5     104      4,274 SH       DEFINED      4                           4,274
UNITEDHEALTH GROUP INC           EQUITY    91324P 10 2   33465    599,086 SH         SOLE       1      599,086
UNITEDHEALTH GROUP INC           EQUITY    91324P 10 2   12522    224,176 SH         SOLE       2      224,176
UNITEDHEALTH GROUP INC           EQUITY    91324P 10 2      57      1,025 SH       DEFINED      4                           1,025
UNITRIN INC                      EQUITY    913275 10 3    4429     95,220 SH         SOLE       1       95,220
UNIVERSAL AMERICAN FINANCIAL C   EQUITY    913377 10 7     307     19,907 SH         SOLE       1       19,907
UNIVERSAL COMPRESSION HOLDINGS   EQUITY    913431 10 2     648     12,785 SH         SOLE       1       12,785
UNIVERSAL CORP/RICHMOND VA       EQUITY    913456 10 9    2680     72,887 SH         SOLE       1       72,887
UNIVERSAL DISPLAY CORP           EQUITY    91347P 10 5     257     17,872 SH         SOLE       1       17,872
UNIVERSAL ELECTRONICS INC        EQUITY    913483 10 3     182     10,301 SH         SOLE       1       10,301
UNIVERSAL FOREST PRODUCTS INC    EQUITY    913543 10 4    1461     23,012 SH         SOLE       1       23,012
UNIVERSAL HEALTH REALTY INCOME   EQUITY    91359E 10 5     327      8,944 SH         SOLE       1        8,944
UNIVERSAL HEALTH REALTY INCOME   EQUITY    91359E 10 5      68      1,871 SH       DEFINED      4                           1,871
UNIVERSAL HEALTH SERVICES INC    EQUITY    913903 10 0    5810    114,391 SH         SOLE       1      114,391
UNIVERSAL TECHNICAL INSTITUTE    EQUITY    913915 10 4     490     16,266 SH         SOLE       1       16,266





                                                                                         
UNIVERSAL TRUCKLOAD SERVICES I   EQUITY    91388P 10 5     106      4,227 SH         SOLE       1        4,227
UNIVEST CORP OF PENNSYLVANIA     EQUITY    915271 10 0     222      8,731 SH         SOLE       1        8,731
UNIVISION COMMUNICATIONS I       EQUITY    914906 10 2      10        276 SH         SOLE       2          276
UNIVISION COMMUNICATIONS INC     EQUITY    914906 10 2    5199    150,828 SH         SOLE       1      150,828
UNUMPROVIDENT CORP               EQUITY    91529Y 10 6    2861    139,707 SH         SOLE       1      139,707
UNUMPROVIDENT CORP               EQUITY    91529Y 10 6       8        369 SH         SOLE       2          369
URBAN OUTFITTERS INC             EQUITY    917047 10 2    5936    241,885 SH         SOLE       1      241,885
URBAN OUTFITTERS INC             EQUITY    917047 10 2      56      2,300 SH       DEFINED      4                           2,300
URBAN OUTFITTERS INC             OPTION    917047 90 2      -1        -23     CALL DEFINED      4                             (23)
URS CORP                         EQUITY    903236 10 7    1249     31,038 SH         SOLE       1       31,038
URSTADT BIDDLE PROPERTIES INC    EQUITY    917286 20 5     288     16,006 SH         SOLE       1       16,006
US BANCORP                       EQUITY    902973 30 4   46759  1,533,076 SH         SOLE       1    1,533,076
US BANCORP                       EQUITY    902973 30 4      52      1,715 SH       DEFINED      4                           1,715
US BANCORP DEL                   EQUITY    902973 30 4    5253    172,226 SH         SOLE       2      172,226
US CELLULAR CORP                 EQUITY    911684 10 8      26        443 SH         SOLE       1          443
US PHYSICAL THERAPY INC          EQUITY    90337L 10 8     155      9,038 SH         SOLE       1        9,038
US XPRESS ENTERPRISES INC        EQUITY    90338N 10 3     141      7,223 SH         SOLE       1        7,223
USA MOBILITY INC                 EQUITY    90341G 10 3     584     20,515 SH         SOLE       1       20,515
USA TRUCK INC                    EQUITY    902925 10 6     117      4,757 SH         SOLE       1        4,757
USANA HEALTH SCIENCES INC        EQUITY    90328M 10 7     836     20,029 SH         SOLE       1       20,029
USB HOLDING CO INC               EQUITY    902910 10 8     202      8,788 SH         SOLE       1        8,788
USEC INC                         EQUITY    90333E 10 8     789     65,477 SH         SOLE       1       65,477
USEC INC                         EQUITY    90333E 10 8      22      1,800 SH       DEFINED      4                           1,800
USG CORP                         EQUITY    903293 40 5     978     10,299 SH         SOLE       1       10,299
USI HOLDINGS CORP                EQUITY    90333H 10 1     556     34,475 SH         SOLE       1       34,475
UST INC                          EQUITY    902911 10 6    3150     75,715 SH         SOLE       1       75,715
UST INC                          EQUITY    902911 10 6       8        202 SH         SOLE       2          202
U-STORE-IT TRUST                 EQUITY    91274F 10 4    5456    270,772 SH         SOLE       1      270,772
UTILITIES SELECT SECTOR SPDR F   EQUITY    81369Y 88 6      62      1,999 SH       DEFINED      4                           1,999
UTSTARCOM INC                    EQUITY    918076 10 0    1875    298,108 SH         SOLE       1      298,108
V F CORP                         EQUITY    918204 10 8       6        109 SH         SOLE       2          109
VAIL RESORTS INC                 EQUITY    91879Q 10 9     894     23,398 SH         SOLE       1       23,398
VALASSIS COMMUNICATIONS INC      EQUITY    918866 10 4    4015    136,691 SH         SOLE       1      136,691
VALEANT PHARMACEUTICALS INTERN   EQUITY    91911X 10 4    3081    194,359 SH         SOLE       1      194,359
VALENCE TECHNOLOGY INC           EQUITY    918914 10 2      83     33,478 SH         SOLE       1       33,478
VALERO ENERGY CORP               EQUITY    91913Y 10 0   17005    284,459 SH         SOLE       1      284,459
VALERO ENERGY CORP               EQUITY    91913Y 10 0    1588     26,569 SH         SOLE       2       26,569
VALERO ENERGY CORP               EQUITY    91913Y 10 0    1548     25,892 SH       DEFINED      4                          25,892
VALERO LP                        EQUITY    91913W 10 4    1925     38,000 SH         SOLE       1       38,000
VALERO LP                        EQUITY    91913W 10 4      10        204 SH       DEFINED      4                             204
VALHI INC                        EQUITY    918905 10 0       5        281 SH         SOLE       1          281
VALLEY NATIONAL BANCORP          EQUITY    919794 10 7      84      3,296 SH         SOLE       1        3,296
VALMONT INDUSTRIES INC           EQUITY    920253 10 1     642     15,283 SH         SOLE       1       15,283
VALOR COMMUNICATIONS GROUP INC   EQUITY    920255 10 6    3633    276,082 SH         SOLE       1      276,082
VALSPAR CORP                     EQUITY    920355 10 4    5964    213,992 SH         SOLE       1      213,992
VALUE LINE INC                   EQUITY    920437 10 0      38      1,021 SH         SOLE       1        1,021
VALUECLICK INC                   EQUITY    92046N 10 2    1124     66,421 SH         SOLE       1       66,421
VALUEVISION MEDIA INC            EQUITY    92047K 10 7     265     20,772 SH         SOLE       1       20,772
VARIAN INC                       EQUITY    922206 10 7    3664     88,970 SH         SOLE       1       88,970
VARIAN MEDICAL SYSTEMS INC       EQUITY    92220P 10 5   15569    277,226 SH         SOLE       1      277,226
VARIAN MEDICAL SYSTEMS INC       EQUITY    92220P 10 5    3409     60,700 SH         SOLE       3       58,000
VARIAN SEMI EQUIP ASSOC IN       EQUITY    922207 10 5    7834    279,000 SH         SOLE       2      279,000
VARIAN SEMICONDUCTOR EQUIPMENT   EQUITY    922207 10 5    1179     41,991 SH         SOLE       1       41,991
VASCO DATA SECURITY INTERNATIO   EQUITY    92230Y 10 4     149     18,207 SH         SOLE       1       18,207
VCA ANTECH INC                   EQUITY    918194 10 1    4939    173,409 SH         SOLE       1      173,409
VECTOR GROUP LTD                 EQUITY    92240M 10 8     445     23,366 SH         SOLE       1       23,366
VECTREN CORP                     EQUITY    92240G 10 1    4232    160,412 SH         SOLE       1      160,412
VEECO INSTRUMENTS INC            EQUITY    922417 10 0     468     20,025 SH         SOLE       1       20,025
VENTANA MEDICAL SYSTEMS INC      EQUITY    92276H 10 6     989     23,683 SH         SOLE       1       23,683





                                                                                         
VENTAS INC                       EQUITY    92276F 10 0      83      2,514 SH         SOLE       1        2,514
VENTIV HEALTH INC                EQUITY    922793 10 4     675     20,325 SH         SOLE       1       20,325
VENTIV HEALTH INC                EQUITY    922793 10 4     336     10,100 SH         SOLE       2       10,100
VERIFONE HOLDINGS INC            EQUITY    92342Y 10 9     572     18,897 SH         SOLE       1       18,897
VERINT SYSTEMS INC               EQUITY    92343X 10 0     352      9,950 SH         SOLE       1        9,950
VERISIGN INC                     EQUITY    92343E 10 2    4824    201,078 SH         SOLE       1      201,078
VERISIGN INC                     EQUITY    92343E 10 2       7        302 SH         SOLE       2          302
VERISIGN INC                     EQUITY    92343E 10 2       5        200 SH       DEFINED      4                             200
VERITAS DGC INC                  EQUITY    92343P 10 7    2567     56,545 SH         SOLE       1       56,545
VERITAS DGC INC                  EQUITY    92343P 10 7     322      7,100 SH         SOLE       2        7,100
VERIZON COMMUNICATIONS           EQUITY    92343V 10 4   12878    378,101 SH         SOLE       2      378,101
VERIZON COMMUNICATIONS INC       EQUITY    92343V 10 4  127733  3,749,852 SH         SOLE       1    3,749,852
VERIZON COMMUNICATIONS INC       EQUITY    92343V 10 4     249      7,320 SH       DEFINED      4                           7,320
VERTEX PHARMACEUTICALS INC       EQUITY    92532F 10 0   22380    611,633 SH         SOLE       1      611,633
VERTEX PHARMACEUTICALS INC       EQUITY    92532F 10 0     201      5,500 SH         SOLE       2        5,500
VERTRUE INC                      EQUITY    92534N 10 1     242      5,790 SH         SOLE       1        5,790
VF CORP                          EQUITY    918204 10 8    2378     41,789 SH         SOLE       1       41,789
VIACELL INC                      EQUITY    92554J 10 5      33      5,984 SH         SOLE       1        5,984
VIACOM INC                       EQUITY    92553P 20 1   13095    337,505 SH         SOLE       1      337,505
VIACOM INC NEW                   EQUITY    92553P 20 1    2986     76,955 SH         SOLE       2       76,955
VIAD CORP                        EQUITY    92552R 40 6     580     16,933 SH         SOLE       1       16,933
VIASAT INC                       EQUITY    92552V 10 0     470     16,412 SH         SOLE       1       16,412
VIASYS HEALTHCARE INC            EQUITY    92553Q 20 9    1748     58,109 SH         SOLE       1       58,109
VICOR CORP                       EQUITY    925815 10 2     288     14,580 SH         SOLE       1       14,580
VIGNETTE CORP                    EQUITY    926734 40 1     326     22,126 SH         SOLE       1       22,126
VIISAGE TECHNOLOGY INC           EQUITY    92675K 20 5     193     11,046 SH         SOLE       1       11,046
VIMPEL-COMMUNICATIONS OAO        EQUITY    68370R 10 9   10240    238,490 SH         SOLE       1      238,490
VINEYARD NATIONAL BANCORP        EQUITY    927426 10 6     174      5,929 SH         SOLE       1        5,929
VIRAGE LOGIC CORP                EQUITY    92763R 10 4     112     10,359 SH         SOLE       1       10,359
VIRGINIA COMMERCE BANCORP        EQUITY    92778Q 10 9     249      6,940 SH         SOLE       1        6,940
VIRGINIA FINANCIAL GROUP INC     EQUITY    927810 10 1     218      5,447 SH         SOLE       1        5,447
VISHAY INTERTECHNOLOGY INC       EQUITY    928298 10 8    5514    387,211 SH         SOLE       1      387,211
VISTACARE INC                    EQUITY    92839Y 10 9     130      8,387 SH         SOLE       1        8,387
VISTEON CORP                     EQUITY    92839U 10 7     450     97,884 SH         SOLE       1       97,884
VITAL IMAGES INC                 EQUITY    92846N 10 4     318      9,328 SH         SOLE       1        9,328
VITAL SIGNS INC                  EQUITY    928469 10 5     230      4,181 SH         SOLE       1        4,181
VITESSE SEMICONDUCTOR CORP       EQUITY    928497 10 6     594    165,951 SH         SOLE       1      165,951
VNUS MEDICAL TECHNOLOGIES INC    EQUITY    928566 10 8      30      3,908 SH         SOLE       1        3,908
VOCUS INC                        EQUITY    92858J 10 8    1160     78,100 SH         SOLE       3       78,100
VODAFONE GROUP PLC               EQUITY    92857W 10 0     203      9,710 SH       DEFINED      4                           9,710
VOLCOM INC                       EQUITY    92864N 10 1     127      3,571 SH         SOLE       1        3,571
VOLT INFORMATION SCIENCES INC    EQUITY    928703 10 7     187      6,118 SH         SOLE       1        6,118
VOLTERRA SEMICONDUCTOR CORP      EQUITY    928708 10 6     221     11,586 SH         SOLE       1       11,586
VORNADO REALTY TRUST             EQUITY    929042 10 9    5324     55,463 SH         SOLE       1       55,463
VORNADO RLTY TR                  EQUITY    929042 10 9      14        147 SH         SOLE       2          147
VULCAN MATERIALS CO              EQUITY    929160 10 9    4540     52,393 SH         SOLE       1       52,393
VULCAN MATERIALS CO              EQUITY    929160 10 9      26        300 SH       DEFINED      4                             300
VULCAN MATLS CO                  EQUITY    929160 10 9      11        124 SH         SOLE       2          124
W H ENERGY SVCS INC              EQUITY    92925E 10 8     222      5,000 SH         SOLE       2        5,000
W HOLDING CO INC                 EQUITY    929251 10 6     654     83,074 SH         SOLE       1       83,074
W&T OFFSHORE INC                 EQUITY    92922P 10 6     388      9,631 SH         SOLE       1        9,631
WABASH NATIONAL CORP             EQUITY    929566 10 7     467     23,664 SH         SOLE       1       23,664
WABTEC                           EQUITY    929740 10 8     427     13,100 SH         SOLE       2       13,100
WABTEC CORP                      EQUITY    929740 10 8    1161     35,618 SH         SOLE       1       35,618
WACHOVIA CORP                    EQUITY    929903 10 2   55289    986,426 SH         SOLE       1      986,426
WACHOVIA CORP                    EQUITY    929903 10 2      46        815 SH       DEFINED      4                             815
WACHOVIA CORP 2ND NEW            EQUITY    929903 10 2   13133    234,306 SH         SOLE       2      234,306
WADDELL & REED FINANCIAL INC     EQUITY    930059 10 0    5357    231,887 SH         SOLE       1      231,887
WAL MART STORES INC              EQUITY    931142 10 3   13208    279,588 SH         SOLE       2      279,588





                                                                                         
WALGREEN CO                      EQUITY    931422 10 9   18995    440,421 SH         SOLE       1      440,421
WALGREEN CO                      EQUITY    931422 10 9     308      7,151 SH         SOLE       2        7,151
WALGREEN CO                      EQUITY    931422 10 9     121      2,802 SH       DEFINED      4                           2,802
WAL-MART STORES INC              EQUITY    931142 10 3   66798  1,414,016 SH         SOLE       1    1,414,016
WAL-MART STORES INC              EQUITY    931142 10 3      77      1,623 SH       DEFINED      4                           1,623
WALT DISNEY CO                   EQUITY    254687 10 6   94166  3,376,335 SH         SOLE       1    3,376,335
WALT DISNEY CO                   EQUITY    254687 10 6      57      2,029 SH       DEFINED      4                           2,029
WALT DISNEY COMPANY              CORP BOND 254687 AU 0    6120  5,700,000 PRN        SOLE       1    5,700,000
WALT DISNEY COMPANY              CORP BOND 254687 AU 0       4      4,000 PRN      DEFINED      4                           4,000
WALTER INDUSTRIES INC            EQUITY    93317Q 10 5    1911     28,689 SH         SOLE       1       28,689
WARNACO GROUP INC/THE            EQUITY    934390 40 2     844     35,170 SH         SOLE       1       35,170
WARNER MUSIC GROUP CORP          EQUITY    934550 10 4      22        992 SH         SOLE       1          992
WARREN RESOURCES INC             EQUITY    93564A 10 0     299     20,041 SH         SOLE       1       20,041
WASHINGTON FEDERAL INC           EQUITY    938824 10 9    4437    183,345 SH         SOLE       1      183,345
WASHINGTON GROUP INTERNATIONAL   EQUITY    938862 20 8    1136     19,790 SH         SOLE       1       19,790
WASHINGTON MUT INC               EQUITY    939322 10 3      52      1,226 SH         SOLE       2        1,226
WASHINGTON MUTUAL INC            EQUITY    939322 10 3   32286    757,527 SH         SOLE       1      757,527
WASHINGTON MUTUAL INC            EQUITY    939322 10 3     133      3,115 SH       DEFINED      4                           3,115
WASHINGTON POST CO/THE           EQUITY    939640 10 8    9807     12,626 SH         SOLE       1       12,626
WASHINGTON REAL ESTATE INVESTM   EQUITY    939653 10 1    1161     31,954 SH         SOLE       1       31,954
WASHINGTON TRUST BANCORP INC     EQUITY    940610 10 8     253      9,011 SH         SOLE       1        9,011
WASTE CONNECTIONS INC            EQUITY    941053 10 0    1417     35,600 SH         SOLE       1       35,600
WASTE INDUSTRIES USA INC         EQUITY    941057 10 1      96      4,446 SH         SOLE       1        4,446
WASTE MANAGEMENT INC             EQUITY    94106L 10 9   24593    696,684 SH         SOLE       1      696,684
WASTE MANAGEMENT INC             EQUITY    94106L 10 9       3         72 SH       DEFINED      4                              72
WASTE MGMT INC DEL               EQUITY    94106L 10 9    1253     35,483 SH         SOLE       2       35,483
WASTE SERVICES INC               EQUITY    941075 10 3     153     48,531 SH         SOLE       1       48,531
WATER PIK TECHNOLOGIES INC       EQUITY    94113U 10 0    1254     45,260 SH         SOLE       1       45,260
WATERS CORP                      EQUITY    941848 10 3    2083     48,285 SH         SOLE       1       48,285
WATERS CORP                      EQUITY    941848 10 3       6        129 SH         SOLE       2          129
WATSCO INC                       EQUITY    942622 20 0    2303     32,414 SH         SOLE       1       32,414
WATSCO INC                       EQUITY    942622 20 0      18        254 SH       DEFINED      4                             254
WATSON PHARMACEUTICALS           CORP BOND 942683 AC 7       3      3,000 PRN      DEFINED      4                           3,000
WATSON PHARMACEUTICALS INC       EQUITY    942683 10 3    2084     72,503 SH         SOLE       1       72,503
WATSON PHARMACEUTICALS INC       EQUITY    942683 10 3       4        126 SH         SOLE       2          126
WATSON WYATT WORLDWIDE INC       EQUITY    942712 10 0    1042     31,971 SH         SOLE       1       31,971
WATTS WATER TECHNOLOGIES INC     EQUITY    942749 10 2     691     19,017 SH         SOLE       1       19,017
WAUSAU PAPER CORP                EQUITY    943315 10 1     458     32,312 SH         SOLE       1       32,312
WAUWATOSA HOLDINGS INC           EQUITY    94348P 10 8     110      8,103 SH         SOLE       1        8,103
WCI COMMUNITIES INC              EQUITY    92923C 10 4     734     26,396 SH         SOLE       1       26,396
WD-40 CO                         EQUITY    929236 10 7     391     12,677 SH         SOLE       1       12,677
WEATHERFORD INTERNATIONAL LTD    EQUITY    G95089 10 1       4         80 SH       DEFINED      4                              80
WEATHERFORD INTL LTD             EQUITY    G95089 10 1      20        431 SH         SOLE       2          431
WEBEX COMMUNICATIONS INC         EQUITY    94767L 10 9     847     25,143 SH         SOLE       1       25,143
WEBMD HEALTH CORP                EQUITY    94770V 10 2     222      5,327 SH         SOLE       1        5,327
WEBMETHODS INC                   EQUITY    94768C 10 8     341     40,544 SH         SOLE       1       40,544
WEBSENSE INC                     EQUITY    947684 10 6    1019     36,958 SH         SOLE       1       36,958
WEBSIDESTORY INC                 EQUITY    947685 10 3     117      6,833 SH         SOLE       1        6,833
WEBSITE PROS INC                 EQUITY    94769V 10 5    1190     84,700 SH         SOLE       3       84,700
WEBSTER FINANCIAL CORP           EQUITY    947890 10 9    5429    112,034 SH         SOLE       1      112,034
WEIGHT WATCHERS INTERNATIONAL    EQUITY    948626 10 6      48        942 SH         SOLE       1          942
WEIGHT WATCHERS INTERNATIONAL    EQUITY    948626 10 6      15        300 SH       DEFINED      4                             300
WEINGARTEN REALTY INVESTORS      EQUITY    948741 10 3    6896    169,222 SH         SOLE       1      169,222
WEIS MARKETS INC                 EQUITY    948849 10 4     482     10,812 SH         SOLE       1       10,812
WELLCARE HEALTH PLANS INC        EQUITY    94946T 10 6     643     14,152 SH         SOLE       1       14,152
WELLMAN INC                      EQUITY    949702 10 4     157     24,672 SH         SOLE       1       24,672
WELLPOINT INC                    EQUITY    94973V 10 7   32757    423,056 SH         SOLE       1      423,056
WELLPOINT INC                    EQUITY    94973V 10 7   34481    445,316 SH         SOLE       2      445,316
WELLPOINT INC                    EQUITY    94973V 10 7       5         65 SH       DEFINED      4                              65





                                                                                         
WELLS FARGO & CO                 EQUITY    949746 10 1   74562  1,167,399 SH         SOLE       1    1,167,399
WELLS FARGO & CO                 EQUITY    949746 10 1      90      1,415 SH       DEFINED      4                           1,415
WELLS FARGO + CO NEW             EQUITY    949746 10 1   11533    180,572 SH         SOLE       2      180,572
WENDY'S INTERNATIONAL INC        EQUITY    950590 10 9    3286     52,949 SH         SOLE       1       52,949
WENDYS INTL INC                  EQUITY    950590 10 9       9        141 SH         SOLE       2          141
WERNER ENTERPRISES INC           EQUITY    950755 10 8    2691    146,489 SH         SOLE       1      146,489
WESBANCO INC                     EQUITY    950810 10 1     566     17,266 SH         SOLE       1       17,266
WESCO FINANCIAL CORP             EQUITY    950817 10 6      17         43 SH         SOLE       1           43
WESCO INTERNATIONAL INC          EQUITY    95082P 10 5    1659     24,395 SH         SOLE       1       24,395
WESCO INTERNATIONAL INC          EQUITY    95082P 10 5    1687     24,800 SH         SOLE       3       23,900
WESCO INTERNATIONAL INC          EQUITY    95082P 10 5      60        889 SH       DEFINED      4                             889
WESCO INTL INC                   EQUITY    95082P 10 5     585      8,600 SH         SOLE       2        8,600
WEST BANCORPORATION INC          EQUITY    95123P 10 6     252     12,701 SH         SOLE       1       12,701
WEST COAST BANCORP/OR            EQUITY    952145 10 0     315     11,255 SH         SOLE       1       11,255
WEST CORP                        EQUITY    952355 10 5      22        500 SH         SOLE       1          500
WEST CORP                        EQUITY    952355 10 5     313      7,000 SH         SOLE       2        7,000
WEST CORP                        EQUITY    952355 10 5      34        765 SH       DEFINED      4                             765
WEST MARINE INC                  EQUITY    954235 10 7     156     10,365 SH         SOLE       1       10,365
WEST PHARMACEUTICAL SERVICES I   EQUITY    955306 10 5     821     23,642 SH         SOLE       1       23,642
WESTAMERICA BANCORPORATION       EQUITY    957090 10 3    4695     90,437 SH         SOLE       1       90,437
WESTAR ENERGY INC                EQUITY    95709T 10 0    3809    183,032 SH         SOLE       1      183,032
WESTAR ENERGY INC                EQUITY    95709T 10 0      21      1,000 SH       DEFINED      4                           1,000
WESTELL TECHNOLOGIES INC         EQUITY    957541 10 5     167     41,051 SH         SOLE       1       41,051
WESTERN ALLIANCE BANCORP         EQUITY    957638 10 9     109      2,938 SH         SOLE       1        2,938
WESTERN DIGITAL CORP             EQUITY    958102 10 5    8938    459,998 SH         SOLE       1      459,998
WESTERN DIGITAL CORP             EQUITY    958102 10 5      29      1,495 SH       DEFINED      4                           1,495
WESTERN GAS RESOURCES INC        EQUITY    958259 10 3    5873    121,711 SH         SOLE       1      121,711
WESTERN REFINING INC             EQUITY    959319 10 4       9        400 SH       DEFINED      4                             400
WESTERN SIERRA BANCORP           EQUITY    959522 10 3     229      5,054 SH         SOLE       1        5,054
WESTFIELD FINANCIAL INC          EQUITY    96008D 10 1      81      3,298 SH         SOLE       1        3,298
WESTLAKE CHEMICAL CORP           EQUITY    960413 10 2     353     10,230 SH         SOLE       1       10,230
WESTWOOD ONE INC                 EQUITY    961815 10 7    1487    134,720 SH         SOLE       1      134,720
WET SEAL INC/THE                 EQUITY    961840 10 5     304     45,716 SH         SOLE       1       45,716
WEYCO GROUP INC                  EQUITY    962149 10 0      99      4,384 SH         SOLE       1        4,384
WEYERHAEUSER CO                  EQUITY    962166 10 4   16895    233,262 SH         SOLE       1      233,262
WEYERHAEUSER CO                  EQUITY    962166 10 4    2651     36,601 SH         SOLE       2       36,601
WGL HOLDINGS INC                 EQUITY    92924F 10 6   12620    414,869 SH         SOLE       1      414,869
W-H ENERGY SERVICES INC          EQUITY    92925E 10 8     946     21,255 SH         SOLE       1       21,255
WHEELING-PITTSBURGH CORP         EQUITY    963142 30 2     122      6,636 SH         SOLE       1        6,636
WHIRLPOOL CORP                   EQUITY    963320 10 6    2897     31,668 SH         SOLE       1       31,668
WHIRLPOOL CORP                   EQUITY    963320 10 6       8         84 SH         SOLE       2           84
WHITING PETROLEUM CORP           EQUITY    966387 10 2    1121     27,360 SH         SOLE       1       27,360
WHITNEY HLDG CORP                EQUITY    966612 10 3    7819    220,500 SH         SOLE       2      220,500
WHITNEY HOLDING CORP             EQUITY    966612 10 3      68      1,911 SH         SOLE       1        1,911
WHITNEY HOLDING CORP             EQUITY    966612 10 3     744     20,985 SH       DEFINED      4                          20,985
WHOLE FOODS MARKET INC           EQUITY    966837 10 6    4785     72,013 SH         SOLE       1       72,013
WHOLE FOODS MKT INC              EQUITY    966837 10 6      11        172 SH         SOLE       2          172
WILD OATS MARKETS INC            EQUITY    96808B 10 7     442     21,733 SH         SOLE       1       21,733
WILD OATS MARKETS INC            EQUITY    96808B 10 7      10        500 SH       DEFINED      4                             500
WILLIAM LYON HOMES INC           EQUITY    552074 10 6     179      1,874 SH         SOLE       1        1,874
WILLIAMS COS INC                 EQUITY    969457 10 0    5890    275,375 SH         SOLE       1      275,375
WILLIAMS COS INC                 EQUITY    969457 10 0      16        735 SH         SOLE       2          735
WILLIAMS SCOTSMAN INTERNATIONA   EQUITY    96950G 10 2     295     11,779 SH         SOLE       1       11,779
WILLIAMS-SONOMA INC              EQUITY    969904 10 1   10270    242,218 SH         SOLE       1      242,218
WILMINGTON TRUST CORP            EQUITY    971807 10 2    6197    142,952 SH         SOLE       1      142,952
WILSHIRE BANCORP INC             EQUITY    97186T 10 8     218     11,732 SH         SOLE       1       11,732
WILSONS THE LEATHER EXPERTS      EQUITY    972463 10 3      56     14,359 SH         SOLE       1       14,359
WIMM-BILL-DANN FOODS OJSC        EQUITY    97263M 10 9    1149     40,500 SH         SOLE       1       40,500
WIND RIVER SYSTEMS INC           EQUITY    973149 10 7    2602    209,023 SH         SOLE       1      209,023





                                                                                         
WINNEBAGO INDUSTRIES             EQUITY    974637 10 0     770     25,382 SH         SOLE       1       25,382
WINSTON HOTELS INC               EQUITY    97563A 10 2     229     20,161 SH         SOLE       1       20,161
WINTRUST FINANCIAL CORP          EQUITY    97650W 10 8    1038     17,842 SH         SOLE       1       17,842
WIRELESS FACILITIES INC          EQUITY    97653A 10 3     172     42,726 SH         SOLE       1       42,726
WISCONSIN ENERGY CORP            EQUITY    976657 10 6    9999    250,044 SH         SOLE       1      250,044
WISCONSIN ENERGY CORP            EQUITY    976657 10 6       8        200 SH       DEFINED      4                             200
WITNESS SYSTEMS INC              EQUITY    977424 10 0    1706     67,148 SH         SOLE       1       67,148
WM WRIGLEY JR CO                 EQUITY    982526 10 5    4945     77,259 SH         SOLE       1       77,259
WMS INDUSTRIES INC               EQUITY    929297 10 9     487     16,194 SH         SOLE       1       16,194
WOLVERINE WORLD WIDE INC         EQUITY    978097 10 3     974     43,993 SH         SOLE       1       43,993
WOODWARD GOVERNOR CO             EQUITY    980745 10 3     746     22,442 SH         SOLE       1       22,442
WOODWARD GOVERNOR CO             EQUITY    980745 10 3     216      6,500 SH         SOLE       2        6,500
WORLD ACCEPTANCE CORP            EQUITY    981419 10 4     820     29,943 SH         SOLE       1       29,943
WORLD AIR HOLDINGS INC           EQUITY    98142V 10 4     177     18,036 SH         SOLE       1       18,036
WORLD FUEL SERVICES CORP         EQUITY    981475 10 6     832     20,585 SH         SOLE       1       20,585
WORLD FUEL SERVICES CORP.        EQUITY    981475 10 6     429     10,600 SH         SOLE       2       10,600
WORLDSPACE INC                   EQUITY    981579 10 5      68      9,029 SH         SOLE       1        9,029
WORTHINGTON INDUSTRIES           EQUITY    981811 10 2    4033    201,060 SH         SOLE       1      201,060
WPS RESOURCES CORP               EQUITY    92931B 10 6    4145     84,215 SH         SOLE       1       84,215
WPS RESOURCES CORP               EQUITY    92931B 10 6      10        200 SH       DEFINED      4                             200
WPT ENTERPRISES INC              EQUITY    98211W 10 8      32      4,363 SH         SOLE       1        4,363
WR BERKLEY CORP                  EQUITY    084423 10 2   13749    236,812 SH         SOLE       1      236,812
WR GRACE & CO                    EQUITY    38388F 10 8     677     50,875 SH         SOLE       1       50,875
WRIGHT EXPRESS CORP              EQUITY    98233Q 10 5     857     30,558 SH         SOLE       1       30,558
WRIGHT MEDICAL GROUP INC         EQUITY    98235T 10 7     855     43,277 SH         SOLE       1       43,277
WRIGLEY WM JR CO                 EQUITY    982526 10 5    4904     76,619 SH         SOLE       2       76,619
WSFS FINANCIAL CORP              EQUITY    929328 10 2     258      4,112 SH         SOLE       1        4,112
WW GRAINGER INC                  EQUITY    384802 10 4    3022     40,112 SH         SOLE       1       40,112
WWE                              EQUITY    98156Q 10 8     262     15,481 SH         SOLE       1       15,481
WYETH                            CORP BOND 983024 AD 2    3754  3,525,000 PRN        SOLE       1    3,525,000
WYETH                            EQUITY    983024 10 0   29865    615,514 SH         SOLE       1      615,514
WYETH                            EQUITY    983024 10 0   10639    219,261 SH         SOLE       2      219,261
WYETH                            CORP BOND 983024 AD 2       3      3,000 PRN      DEFINED      4                           3,000
WYETH                            EQUITY    983024 10 0      50      1,025 SH       DEFINED      4                           1,025
WYNN RESORTS LTD                 EQUITY    983134 10 7     597      7,766 SH         SOLE       1        7,766
XCEL ENERGY INC                  EQUITY    98389B 10 0    3429    188,901 SH         SOLE       1      188,901
XCEL ENERGY INC                  EQUITY    98389B 10 0       9        499 SH         SOLE       2          499
XENOPORT INC                     EQUITY    98411C 10 0      86      3,781 SH         SOLE       1        3,781
XERIUM TECHNOLOGIES INC          EQUITY    98416J 10 0      95     10,161 SH         SOLE       1       10,161
XEROX CORP                       EQUITY    984121 10 3    9987    657,046 SH         SOLE       1      657,046
XEROX CORP                       EQUITY    984121 10 3      17      1,151 SH         SOLE       2        1,151
XILINX INC                       EQUITY    983919 10 1   10571    415,137 SH         SOLE       1      415,137
XILINX INC                       EQUITY    983919 10 1      11        426 SH         SOLE       2          426
XL CAPITAL LTD                   EQUITY    G98255 10 5     642     10,016 SH         SOLE       2       10,016
XM SATELLITE RADIO HOLDINGS IN   EQUITY    983759 10 1     475     21,321 SH         SOLE       1       21,321
XM SATELLITE RADIO HOLDINGS IN   EQUITY    983759 10 1       4        200 SH       DEFINED      4                             200
X-RITE INC                       EQUITY    983857 10 3     214     16,080 SH         SOLE       1       16,080
XTO ENERGY INC                   EQUITY    98385X 10 6    7267    166,786 SH         SOLE       1      166,786
XTO ENERGY INC                   EQUITY    98385X 10 6    3414     78,349 SH         SOLE       2       78,349
XYRATEX LTD                      EQUITY    G98268 10 8     532     16,900 SH         SOLE       2       16,900
YAHOO INC                        EQUITY    984332 10 6   12945    401,260 SH         SOLE       2      401,260
YAHOO! INC                       CORP BOND 984332 AB 2    1920  1,200,000 PRN        SOLE       1    1,200,000
YAHOO! INC                       EQUITY    984332 10 6   24593    762,330 SH         SOLE       1      762,330
YAHOO! INC                       EQUITY    984332 10 6      19        580 SH       DEFINED      4                             580
YANKEE CANDLE CO INC             EQUITY    984757 10 4     857     31,329 SH         SOLE       1       31,329
YARDVILLE NATIONAL BANCORP       EQUITY    985021 10 4     239      6,495 SH         SOLE       1        6,495
YOUNG INNOVATIONS INC            EQUITY    987520 10 3     132      3,609 SH         SOLE       1        3,609
YRC WORLDWIDE INC                EQUITY    984249 10 2    4649    122,158 SH         SOLE       1      122,158
YRC WORLDWIDE INC                EQUITY    984249 10 2       4        100 SH       DEFINED      4                             100





                                                                                         
YUM BRANDS INC                   EQUITY    988498 10 1      17        341 SH         SOLE       2          341
YUM! BRANDS INC                  EQUITY    988498 10 1   13367    273,571 SH         SOLE       1      273,571
YUM! BRANDS INC                  EQUITY    988498 10 1       5        100 SH       DEFINED      4                             100
ZALE CORP                        EQUITY    988858 10 6    1076     38,391 SH         SOLE       1       38,391
ZARLINK SEMICONDUCTOR INC        EQUITY    989139 10 0      20      6,677 SH       DEFINED      4                           6,677
ZEBRA TECHNOLOGIES CORP          EQUITY    989207 10 5    6603    147,657 SH         SOLE       1      147,657
ZENITH NATIONAL INSURANCE CORP   EQUITY    989390 10 9    1550     32,206 SH         SOLE       1       32,206
ZHONE TECHNOLOGIES INC           EQUITY    98950P 10 8     224     83,553 SH         SOLE       1       83,553
ZIMMER HOLDINGS INC              EQUITY    98956P 10 2   10575    156,431 SH         SOLE       1      156,431
ZIMMER HOLDINGS INC              EQUITY    98956P 10 2     906     13,406 SH         SOLE       2       13,406
ZIMMER HOLDINGS INC              EQUITY    98956P 10 2      21        305 SH       DEFINED      4                             305
ZIONS BANCORP                    EQUITY    989701 10 7      11        129 SH         SOLE       2          129
ZIONS BANCORPORATION             EQUITY    989701 10 7    4034     48,755 SH         SOLE       1       48,755
ZIPREALTY INC                    EQUITY    98974V 10 7      46      5,268 SH         SOLE       1        5,268
ZOLL MEDICAL CORP                EQUITY    989922 10 9     192      7,281 SH         SOLE       1        7,281
ZOLTEK COS INC                   EQUITY    98975W 10 4     209      9,128 SH         SOLE       1        9,128
ZORAN CORP                       EQUITY    98975F 10 1     724     33,088 SH         SOLE       1       33,088
ZUMIEZ INC                       EQUITY    989817 10 1     145      2,375 SH         SOLE       1        2,375
ZUMIEZ INC                       EQUITY    989817 10 1     348      5,700 SH         SOLE       2        5,700
ZYMOGENETICS INC                 EQUITY    98985T 10 9     500     23,133 SH         SOLE       1       23,133