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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: September 30, 2007


Check here if Amendment [ ]; Amendment Number:


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

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



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

Person Signing this Report on Behalf of Reporting Manager:

Name:  Win J. Neuger

Title: Executive Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Win J. Neuger                  New York, New York        November 14, 2007
-------------------------------    ------------------------  ------------------
(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: 7,479

Form 13F Information Table Value Total: $24,528,813(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 - 3Q 2007



                                                                                                             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-FLOWERS.COM INC-CL A      EQUITY       68243Q106     244      21,032 SH          SOLE        1     21,032         --        --
1-800-FLOWERS.COM INC-CL A      EQUITY       68243Q106       1         100 SH         DEFINED      4         --         --       100
1REEN BANKSHARES INC            EQUITY       394361208     364       9,977 SH          SOLE        1      9,977         --        --
1ST SOURCE CORP                 EQUITY       336901103     275      11,998 SH          SOLE        1     11,998         --        --
3COM CORP                       EQUITY       885535104    6544   1,324,698 SH          SOLE        1  1,324,698         --        --
3COM CORP                       EQUITY       885535104     146      29,509 SH         DEFINED      4         --         --    29,509
3D SYSTEMS CORP                 EQUITY       88554D205     316      13,360 SH          SOLE        1     13,360         --        --
3M CO                           EQUITY       88579Y101   31481     336,403 SH          SOLE        1    336,403         --        --
3M CO                           EQUITY       88579Y101    7589      89,351 SH         DEFINED      4         --         --    89,351
3M CO                           EQUITY       88579Y101   12222     130,608 SH          SOLE        2    130,608         --        --
3M COMPANY                      FIXED INCOME 88579YAB7       9          10 PRN        DEFINED      4         --         --        --
40/86 STRATEGIC INCOME FUND     EQUITY       349739102     511      50,551 SH         DEFINED      4         --         --    50,551
4KIDS ENTERTAINMENT INC         EQUITY       350865101      29       1,663 SH          SOLE        1      1,663         --        --
8X8 INC                         EQUITY       282914100      31      22,150 SH         DEFINED      4         --         --    22,150
99 CENTS ONLY STORES            EQUITY       65440K106    1610     156,804 SH          SOLE        1    156,804         --        --
99 CENTS ONLY STORES            EQUITY       65440K106      34       2,416 SH         DEFINED      4         --         --     2,416
A.D.A.M. INC                    EQUITY       00088U108       8       1,050 SH         DEFINED      4         --         --     1,050
A.F.P. PROVIDA SA-SPONS ADR     EQUITY       00709P108      33       1,100 SH         DEFINED      4         --         --     1,100
AASTROM BIOSCIENCES INC         EQUITY       00253U107     128     110,300 SH         DEFINED      4         --         --   110,300
ABINGTON BANCORP INC            EQUITY       00350L109      90       9,241 SH          SOLE        1      9,241         --        --
ABINGTON BANCORP INC            EQUITY       00350L109       9         960 SH         DEFINED      4         --         --       960
ABLEAUCTIONS.COM INC            EQUITY       00371F206       1       7,000 SH         DEFINED      4         --         --     7,000
ABRAXIS BIOSCIENCE INC          EQUITY       00383E106       1          30 SH         DEFINED      4         --         --        30
ABX AIR INC                     EQUITY       00080S101     363      51,241 SH          SOLE        1     51,241         --        --
ABX AIR INC                     EQUITY       00080S101      41       6,283 SH         DEFINED      4         --         --     6,283
AC MOORE ARTS & CRAFTS INC      EQUITY       00086T103     279      17,680 SH          SOLE        1     17,680         --        --
AC MOORE ARTS & CRAFTS INC      EQUITY       00086T103       7         369 SH         DEFINED      4         --         --       369
ACCELRYS INC                    EQUITY       00430U103       1         200 SH         DEFINED      4         --         --       200
ACCENTURE LTD-CL A              EQUITY       G1150G111     638      15,854 SH         DEFINED      4         --         --    15,854
ACCESS PLANS USA INC            EQUITY       00433N106       1         827 SH         DEFINED      4         --         --       827
ACCO BRANDS CORP                EQUITY       00081T108    1055      47,001 SH          SOLE        1     47,001         --        --
ACCO BRANDS CORP                EQUITY       00081T108      74       3,308 SH         DEFINED      4         --         --     3,308
ACCREDITED HOME LENDERS         EQUITY       00437P107     219      18,724 SH          SOLE        1     18,724         --        --
ACCREDITED HOME LENDERS         EQUITY       00437P107      14       1,203 SH         DEFINED      4         --         --     1,203
ACE LTD                         EQUITY       G0070K103     936      15,496 SH         DEFINED      4         --         --    15,496
ACE LTD                         EQUITY       G0070K103      25         415 SH          SOLE        2        415         --        --
ACERGY SA-SPON ADR              EQUITY       00443E104     100       4,642 SH         DEFINED      4         --         --     4,642
ACORDA THERAPEUTICS INC         EQUITY       00484M106     399      21,755 SH          SOLE        1     21,755         --        --
ACTIVE POWER INC                EQUITY       00504W100      14       8,517 SH         DEFINED      4         --         --     8,517
ACTIVIDENTITY CORP              EQUITY       00506P103     295      61,000 SH         DEFINED      4         --         --    61,000
ACTUANT CORP-CL A               EQUITY       00508X203    1551      23,873 SH          SOLE        1     23,873         --        --
ACTUANT CORP-CL A               EQUITY       00508X203      51         782 SH         DEFINED      4         --         --       782
ACTUATE CORPORATION             EQUITY       00508B102     341      52,892 SH          SOLE        1     52,892         --        --
ACTUATE CORPORATION             EQUITY       00508B102       1         209 SH         DEFINED      4         --         --       209
ACUITY BRANDS INC               EQUITY       00508Y102    2188      43,335 SH          SOLE        1     43,335         --        --
ACUITY BRANDS INC               EQUITY       00508Y102      40         683 SH         DEFINED      4         --         --       683
ADAMS RESPIRATORY THERA INC     EQUITY       00635P107    1196      31,028 SH          SOLE        1     31,028         --        --
ADAMS RESPIRATORY THERA INC     EQUITY       00635P107       8         200 SH         DEFINED      4         --         --       200
ADAMS RESPIRATORY THERA INC     EQUITY       00635P107     597      15,500 SH          SOLE        2     15,500         --        --
ADAPTEC INC                     EQUITY       00651F108     452     118,290 SH          SOLE        1    118,290         --        --
ADAPTEC INC                     EQUITY       00651F108       5       1,330 SH         DEFINED      4         --         --     1,330
ADOBE SYSTEMS INC               EQUITY       00724F101   37343     856,909 SH          SOLE        1    856,909         --        --
ADOBE SYSTEMS INC               EQUITY       00724F101    1147      26,275 SH         DEFINED      4         --         --    26,275
ADOBE SYSTEMS INC               EQUITY       00724F101     452      10,342 SH          SOLE        2     10,342         --        --
ADOLOR CORPORATION              EQUITY       00724X102      27       7,757 SH          SOLE        1      7,757         --        --
ADTRAN INC                      EQUITY       00738A106    4647     201,794 SH          SOLE        1    201,794         --        --
ADTRAN INC                      EQUITY       00738A106      12         500 SH         DEFINED      4         --         --        --
ADVANCE AMERICA CASH ADVANCE    EQUITY       00739W107     621      58,171 SH          SOLE        1     58,171         --        --
ADVANCE AUTO PARTS INC          EQUITY       00751Y106    8840     263,408 SH          SOLE        1    263,408         --        --
ADVANCE AUTO PARTS INC          EQUITY       00751Y106      89       2,208 SH         DEFINED      4         --         --     2,208
ADVANCED ANALOGIC TECHNOLOGI    EQUITY       00752J108     355      33,323 SH          SOLE        1     33,323         --        --
ADVANCED ANALOGIC TECHNOLOGI    EQUITY       00752J108    1559     146,500 SH          SOLE        2    146,500         --        --
ADVANCED LIFE SCIENCES HOLD     EQUITY       00765H107      46      13,000 SH         DEFINED      4         --         --    13,000
ADVANCED MEDICAL OPTICS         EQUITY       00763M108    4653     152,093 SH          SOLE        1    152,093         --        --
ADVANCED MEDICAL OPTICS         EQUITY       00763M108     135       3,249 SH         DEFINED      4         --         --     3,249
ADVANCED SEMICONDUCTOR E-ADR    EQUITY       00756M404   13483   2,487,707 SH          SOLE        1  2,487,707         --        --
ADVANTAGE ENERGY INCOME FUND    EQUITY       00762L101     909      77,388 SH         DEFINED      4         --         --    77,388
ADVENT CLAYMORE CVT SEC& INC    EQUITY       00764C109     345      12,359 SH         DEFINED      4         --         --    12,359





                                                                                          
ADVENT/CLAYMORE ENH GR & INC    EQUITY       00765E104     314      18,032 SH         DEFINED      4         --         --    18,032
ADVENTRX PHARMACEUTICALS INC    EQUITY       00764X103       3       1,274 SH         DEFINED      4         --         --     1,274
ADVISORY BOARD CO/THE           EQUITY       00762W107     920      15,734 SH          SOLE        1     15,734         --        --
ADVISORY BOARD CO/THE           EQUITY       00762W107       3          69 SH         DEFINED      4         --         --        69
AECOM TECHNOLOGY CORP           EQUITY       00766T100    1229      35,193 SH          SOLE        1     35,193         --        --
AERCAP HOLDINGS NV              EQUITY       N00985106   20360     818,000 SH          SOLE        2    818,000         --        --
AES CORP                        EQUITY       00130H105   11227     560,235 SH          SOLE        1    560,235         --        --
AES CORP                        EQUITY       00130H105     731      32,612 SH         DEFINED      4         --         --    32,612
AES CORP                        EQUITY       00130H105      17         843 SH          SOLE        2        843         --        --
AES TRUST III                   EQUITY       00808N202      25         500 SH         DEFINED      4         --         --       500
AETNA INC                       EQUITY       00817Y108   34128     631,318 SH          SOLE        1    631,318         --        --
AETNA INC                       EQUITY       00817Y108    1706      31,443 SH         DEFINED      4         --         --    31,443
AETNA INC                       EQUITY       00817Y108   32597     600,645 SH          SOLE        2    600,645         --        --
AFC ENTERPRISES                 EQUITY       00104Q107     386      25,627 SH          SOLE        1     25,627         --        --
AFC ENTERPRISES                 EQUITY       00104Q107      13         700 SH         DEFINED      4         --         --       700
AFFYMAX INC                     EQUITY       00826A109     101       3,746 SH          SOLE        1      3,746         --        --
AFFYMETRIX INC                  EQUITY       00826T108    5804     228,762 SH          SOLE        1    228,762         --        --
AFFYMETRIX INC                  EQUITY       00826T108      64        2539 SH         DEFINED      4         --         --        --
AFFYMETRIX INC                  EQUITY       00826T108     868      34,200 SH          SOLE        2     34,200         --        --
AGERE SYSTEMS                   FIXED INCOME 00845VAA8       7           7 PRN        DEFINED      4         --         --        --
AGILENT TECHNOLOGIES INC        EQUITY       00846U101    9033     244,929 SH          SOLE        1    244,929         --        --
AGILENT TECHNOLOGIES INC        EQUITY       00846U101     922      24,753 SH         DEFINED      4         --         --    24,753
AGILENT TECHNOLOGIES INC        EQUITY       00846U101    5661     153,487 SH          SOLE        2    153,487         --        --
AGILYSYS INC                    EQUITY       00847J105     511      30,266 SH          SOLE        1     30,266         --        --
AIRCASTLE LTD                   EQUITY       G0129K104       6         180 SH         DEFINED      4         --         --       180
AIRSPAN NETWORKS INC            EQUITY       00950H102      41      10,920 SH         DEFINED      4         --         --    10,920
AIRTRAN HOLDINGS INC            EQUITY       00949P108    3009     305,815 SH          SOLE        1    305,815         --        --
AIRTRAN HOLDINGS INC            EQUITY       00949P108     164      16,620 SH         DEFINED      4         --         --    16,620
AKAMAI TECHNOLOGIES             EQUITY       00971T101    2316      80,610 SH          SOLE        1     80,610         --        --
AKAMAI TECHNOLOGIES             EQUITY       00971T101     606      13,609 SH         DEFINED      4         --         --    13,609
AKAMAI TECHNOLOGIES             EQUITY       00971T101    6513     226,709 SH          SOLE        2    226,709         --        --
ALADDIN KNOWLEDGE SYSTEMS       EQUITY       M0392N101    5369     240,100 SH          SOLE        3    209,000         --    31,100
ALADDIN KNOWLEDGE SYSTEMS       EQUITY       M0392N101       2         100 SH         DEFINED      4         --         --       100
ALASKA COMM SYSTEMS GROUP       EQUITY       01167P101     538      37,255 SH          SOLE        1     37,255         --        --
ALASKA COMM SYSTEMS GROUP       EQUITY       01167P101     178      11,065 SH         DEFINED      4         --         --    11,065
ALCON INC                       EQUITY       H01301102     465       3,427 SH         DEFINED      4         --         --     3,427
ALCON INC                       EQUITY       H01301102     576       4,000 SH          SOLE        2      4,000         --        --
ALKERMES INC                    EQUITY       01642T108    1612      87,588 SH          SOLE        1     87,588         --        --
ALKERMES INC                    EQUITY       01642T108      19       1,144 SH         DEFINED      4         --         --     1,144
ALLEGHENY TECHNOLOGIES INC      EQUITY       01741R102    5083      46,232 SH          SOLE        1     46,232         --        --
ALLEGHENY TECHNOLOGIES INC      EQUITY       01741R102    3502      31,332 SH         DEFINED      4         --         --    31,332
ALLEGHENY TECHNOLOGIES INC      EQUITY       01741R102      14         129 SH          SOLE        2        129         --        --
ALLEGIANT TRAVEL CO             EQUITY       01748X102     139       4,593 SH          SOLE        1      4,593         --        --
ALLIANCE ALL-MKT ADVANTGE FD    EQUITY       01852M108     173      12,265 SH         DEFINED      4         --         --    12,265
ALLIANCE NATIONAL MUNI INC      EQUITY       01864U106     197      12,799 SH         DEFINED      4         --         --    12,799
ALLIANCE RESOURCE PARTNERS      EQUITY       01877R108     183       4,591 SH         DEFINED      4         --         --     4,591
ALLIANCEBERNSTEIN GL HI INC     EQUITY       01879R106     267      19,198 SH         DEFINED      4         --         --    19,198
ALLIANCEBERNSTEIN HOLDING LP    EQUITY       01881G106    1913      20,695 SH         DEFINED      4         --         --    20,695
ALLIANCEBERNSTEIN INC FUND      EQUITY       01881E101    4606     550,345 SH         DEFINED      4         --         --   550,345
ALLIED CAPITAL CORP             EQUITY       01903Q108     169       5,736 SH          SOLE        1      5,736         --        --
ALLIED CAPITAL CORP             EQUITY       01903Q108    2640      90,190 SH         DEFINED      4         --         --    90,190
ALLIED HEALTHCARE INTL INC      EQUITY       01923A109    1190     498,044 SH          SOLE        1    498,044         --        --
ALLIED HEALTHCARE INTL INC      EQUITY       01923A109       1         300 SH         DEFINED      4         --         --       300
 ALLIED WORLD ASSURANCE HOLDING EQUITY       G0219G203  607001  11,693,333 SH          SOLE        1 11,693,333         --        --
ALLOT COMMUNICATIONS LTD        EQUITY       M0854Q105      10       1,200 SH         DEFINED      4         --         --     1,200
ALLSCRIPTS HEALTHCARE SOLUT     EQUITY       01988P108    1494      55,274 SH          SOLE        1     55,274         --        --
ALLSCRIPTS HEALTHCARE SOLUT     EQUITY       01988P108      52       1,933 SH         DEFINED      4         --         --     1,933
ALNYLAM PHARMACEUTICALS INC     EQUITY       02043Q107     922      28,127 SH          SOLE        1     28,127         --        --
ALNYLAM PHARMACEUTICALS INC     EQUITY       02043Q107      48       1,450 SH         DEFINED      4         --         --     1,450
ALPHA NATURAL RESOURCES INC     EQUITY       02076X102    1326      57,084 SH          SOLE        1     57,084         --        --
ALPHA NATURAL RESOURCES INC     EQUITY       02076X102      40       2,375 SH         DEFINED      4         --         --     2,375
ALPINE GLOBAL DYNAMIC DIVIDE    EQUITY       02082E106     120       4,880 SH         DEFINED      4         --         --     4,880
ALPINE GLOBAL PREMIER PROPER    EQUITY       02083A103       8         500 SH         DEFINED      4         --         --       500
ALTRA HOLDINGS INC              EQUITY       02208R106     166       9,979 SH          SOLE        1      9,979         --        --
ALTRIA GROUP INC                EQUITY       02209S103   76913   1,106,190 SH          SOLE        1  1,106,190         --        --
ALTRIA GROUP INC                EQUITY       02209S103   21604     310,708 SH         DEFINED      4         --         --   310,708
ALTRIA GROUP INC                EQUITY       02209S103   13672     196,633 SH          SOLE        2    196,633         --        --
ALTUS PHARMACEUTICALS INC       EQUITY       02216N105     194      18,464 SH          SOLE        1     18,464         --        --
ALVARION LIMITED                EQUITY       M0861T100    1525     105,000 SH          SOLE        3    105,000         --        --
ALVARION LIMITED                EQUITY       M0861T100      81       5,545 SH         DEFINED      4         --         --     5,545
ALZA CORP                       FIXED INCOME 02261WAB5       3           3 PRN        DEFINED      4         --         --        --
AMAG PHARMACEUTICALS INC        EQUITY       00163U106     835      14,590 SH          SOLE        1     14,590         --        --
AMAG PHARMACEUTICALS INC        EQUITY       00163U106       2          39 SH         DEFINED      4         --         --        39





                                                                                          
AMB PROPERTY CORP               EQUITY       00163T109   24699     412,957 SH          SOLE        1    412,957         --        --
AMB PROPERTY CORP               EQUITY       00163T109     144       2,388 SH         DEFINED      4         --         --     2,388
AMCOL INTERNATIONAL CORP        EQUITY       02341W103     833      25,163 SH          SOLE        1     25,163         --        --
AMCOL INTERNATIONAL CORP        EQUITY       02341W103     106       3,195 SH         DEFINED      4         --         --     3,195
AMCOL INTERNATIONAL CORP        EQUITY       02341W103     390      11,800 SH          SOLE        2     11,800         --        --
AMDOCS LIMITED                  FIXED INCOME 02342TAD1       9           9 PRN        DEFINED      4         --         --        --
AMDOCS LTD                      EQUITY       G02602103     392      10,591 SH         DEFINED      4         --         --    10,591
AMER FST TAX EX INVESTORS LP    EQUITY       02364V107     386      48,995 SH         DEFINED      4         --         --    48,995
AMERICA MOVIL-ADR SERIES A      EQUITY       02364W204     193       3,011 SH         DEFINED      4         --         --     3,011
AMERICA MOVIL-ADR SERIES L      EQUITY       02364W105   56538     883,412 SH          SOLE        1    883,412         --        --
AMERICA MOVIL-ADR SERIES L      EQUITY       02364W105    4680      84,602 SH         DEFINED      4         --         --    84,602
AMERICA SERVICE GROUP INC       EQUITY       02364L109       2         135 SH         DEFINED      4         --         --       135
AMERICAN EAGLE OUTFITTERS       EQUITY       02553E106   14039     533,612 SH          SOLE        1    533,612         --        --
AMERICAN EAGLE OUTFITTERS       EQUITY       02553E106    1094      41,583 SH         DEFINED      4         --         --    41,583
AMERICAN EAGLE OUTFITTERS       EQUITY       02553E106   14444     549,000 SH          SOLE        2    549,000         --        --
AMERICAN FINANCIAL REALTY TR    EQUITY       02607P305       4         400 SH         DEFINED      4         --         --       400
AMERICAN INCOME FUND INC        EQUITY       02672T109      33       3,928 SH         DEFINED      4         --         --     3,928
AMERICAN INTL INDUSTRIES INC    EQUITY       02686Y201       1         208 SH         DEFINED      4         --         --       208
AMERICAN MEDICAL SYS HLDGS      EQUITY       02744M108    1217      71,820 SH          SOLE        1     71,820         --        --
AMERICAN MEDICAL SYS HLDGS      EQUITY       02744M108       1          48 SH         DEFINED      4         --         --        48
AMERICAN RAILCAR INDUSTRIES     EQUITY       02916P103     188       8,517 SH          SOLE        1      8,517         --        --
AMERICAN RAILCAR INDUSTRIES     EQUITY       02916P103       4         200 SH         DEFINED      4         --         --       200
AMERICAN SPECTRUM REALTY INC    EQUITY       02970Q203      12         595 SH         DEFINED      4         --         --       595
AMERICAN STRATEGIC INC III      EQUITY       03009T101      85       7,570 SH         DEFINED      4         --         --     7,570
AMERICANWEST BANCORPORATION     EQUITY       03058P109     295      15,018 SH          SOLE        1     15,018         --        --
AMERICANWEST BANCORPORATION     EQUITY       03058P109      19         970 SH         DEFINED      4         --         --       970
AMERICA'S CAR-MART INC          EQUITY       03062T105      27       2,125 SH         DEFINED      4         --         --     2,125
AMERICREDIT CORP                EQUITY       03060R101    5016     285,342 SH          SOLE        1    285,342         --        --
AMERICREDIT CORP                EQUITY       03060R101     256      10,092 SH         DEFINED      4         --         --    10,092
AMERIGON INC                    EQUITY       03070L300     327      18,886 SH          SOLE        1     18,886         --        --
AMERIGON INC                    EQUITY       03070L300       7       1,500 SH         DEFINED      4         --         --     1,500
AMERIGROUP CORP                 EQUITY       03073T102    1812      52,559 SH          SOLE        1     52,559         --        --
AMERIGROUP CORP                 EQUITY       03073T102     175       6,666 SH         DEFINED      4         --         --     6,666
AMERIGROUP CORP                 EQUITY       03073T102     972      28,200 SH          SOLE        2     28,200         --        --
AMERIPRISE FINANCIAL INC        EQUITY       03076C106   28946     460,069 SH          SOLE        1    460,069         --        --
AMERIPRISE FINANCIAL INC        EQUITY       03076C106    1487      24,269 SH         DEFINED      4         --         --    24,269
AMERIPRISE FINANCIAL INC        EQUITY       03076C106      19         297 SH          SOLE        2        297         --        --
AMERIS BANCORP                  EQUITY       03076K108     213      11,775 SH          SOLE        1     11,775         --        --
AMERIS BANCORP                  EQUITY       03076K108      35       1,466 SH         DEFINED      4         --         --     1,466
AMERISAFE INC                   EQUITY       03071H100     272      16,433 SH          SOLE        1     16,433         --        --
AMERISAFE INC                   EQUITY       03071H100      14         703 SH         DEFINED      4         --         --       703
AMERISERV FINANCIAL INC         EQUITY       03074A102      21       4,600 SH         DEFINED      4         --         --     4,600
AMERISOURCEBERGEN CORP          EQUITY       03073E105    3790      83,602 SH          SOLE        1     83,602         --        --
AMERISOURCEBERGEN CORP          EQUITY       03073E105      10         227 SH          SOLE        2        227         --        --
AMERISTAR CASINOS INC           EQUITY       03070Q101     619      22,037 SH          SOLE        1     22,037         --        --
AMERISTAR CASINOS INC           EQUITY       03070Q101      24         770 SH         DEFINED      4         --         --       770
AMERITYRE CORP                  EQUITY       03073V107     289      83,177 SH         DEFINED      4         --         --    83,177
AMICUS THERAPEUTICS INC         EQUITY       03152W109      72       4,334 SH          SOLE        1      4,334         --        --
AMSURG CORP                     EQUITY       03232P405     704      30,517 SH          SOLE        1     30,517         --        --
AMSURG CORP                     EQUITY       03232P405      72       3,105 SH         DEFINED      4         --         --     3,105
ANADYS PHARMACEUTICALS INC      EQUITY       03252Q408       1         200 SH         DEFINED      4         --         --       200
ANESIVA INC                     EQUITY       03460L100       1         230 SH         DEFINED      4         --         --       230
ANGIODYNAMICS INC               EQUITY       03475V101     346      18,329 SH          SOLE        1     18,329         --        --
ANGIODYNAMICS INC               EQUITY       03475V101      10         549 SH         DEFINED      4         --         --       549
ANIMAL HEALTH INTERNATIONAL     EQUITY       03525N109     114      10,266 SH          SOLE        1     10,266         --        --
ANIMAL HEALTH INTERNATIONAL     EQUITY       03525N109      21       1,900 SH         DEFINED      4         --         --     1,900
ANIMAL HEALTH INTERNATIONAL     EQUITY       03525N109    2277     204,600 SH          SOLE        2    204,600         --        --
ANSWERS CORP                    EQUITY       03662X100       4         300 SH         DEFINED      4         --         --       300
ANSYS INC                       EQUITY       03662Q105    2642      77,318 SH          SOLE        1     77,318         --        --
ANSYS INC                       EQUITY       03662Q105     391      11,443 SH         DEFINED      4         --         --    11,443
ANSYS INC                       EQUITY       03662Q105     598      17,500 SH          SOLE        2     17,500         --        --
APARTMENT INVT & MGMT CO -A     EQUITY       03748R101    9507     210,665 SH          SOLE        1    210,665         --        --
APARTMENT INVT & MGMT CO -A     EQUITY       03748R101     293       5,317 SH         DEFINED      4         --         --     5,317
APARTMENT INVT & MGMT CO -A     EQUITY       03748R101       6         122 SH          SOLE        2        122         --        --
APEX SILVER MINES LTD           EQUITY       G04074103     113       6,300 SH         DEFINED      4         --         --     6,300
APOLLO INVESTMENT CORP          EQUITY       03761U106    1817      87,347 SH          SOLE        1     87,347         --        --
APOLLO INVESTMENT CORP          EQUITY       03761U106     731      32,745 SH         DEFINED      4         --         --    32,745
APPLIANCE RECYCLING CTRS AMR    EQUITY       03814F205      22       2,613 SH         DEFINED      4         --         --     2,613
APPLIED INDUSTRIAL TECH INC     EQUITY       03820C105    1299      42,131 SH          SOLE        1     42,131         --        --
APPLIED INDUSTRIAL TECH INC     EQUITY       03820C105     428       13885 SH         DEFINED      4         --         --        --
APPLIED MICRO CIRCUITS CORP     EQUITY       03822W109     780     246,788 SH          SOLE        1    246,788         --        --
APPLIED MICRO CIRCUITS CORP     EQUITY       03822W109      72      23,156 SH         DEFINED      4         --         --    23,156
AQUA AMERICA INC                EQUITY       03836W103    7531     332,047 SH          SOLE        1    332,047         --        --





                                                                                          
AQUA AMERICA INC                EQUITY       03836W103    1591      71,398 SH         DEFINED      4         --         --    71,398
AQUILA INC                      EQUITY       03840P102    5018   1,251,286 SH          SOLE        1  1,251,286         --        --
AQUILA INC                      EQUITY       03840P102      70      16,646 SH         DEFINED      4         --         --    16,646
ARBINET-THEXCHANGE INC          EQUITY       03875P100      14       2,319 SH         DEFINED      4         --         --     2,319
ARBITRON INC                    EQUITY       03875Q108    1352      29,827 SH          SOLE        1     29,827         --        --
ARBITRON INC                    EQUITY       03875Q108     160       3,268 SH         DEFINED      4         --         --     3,268
ARCELORMITTAL-NY REGISTERED     EQUITY       03937E101     368       6,396 SH         DEFINED      4         --         --     6,396
ARCH CAPITAL GROUP LTD          EQUITY       G0450A105     410       5,658 SH         DEFINED      4         --         --     5,658
ARCH CHEMICALS INC              EQUITY       03937R102    1137      24,258 SH          SOLE        1     24,258         --        --
ARCH CHEMICALS INC              EQUITY       03937R102      14         400 SH         DEFINED      4         --         --       400
ARES CAPITAL CORP               EQUITY       04010L103     985      60,522 SH          SOLE        1     60,522         --        --
ARES CAPITAL CORP               EQUITY       04010L103     502      27,888 SH         DEFINED      4         --         --    27,888
ARIAD PHARMACEUTICALS INC       EQUITY       04033A100     277      59,734 SH          SOLE        1     59,734         --        --
ARIAD PHARMACEUTICALS INC       EQUITY       04033A100      54      11,715 SH         DEFINED      4         --         --    11,715
ARIBA INC                       EQUITY       04033V203     736      68,310 SH          SOLE        1     68,310         --        --
ARIBA INC                       EQUITY       04033V203      62       5,779 SH         DEFINED      4         --         --     5,779
ARIES MARITIME TRANSPORT LTD    EQUITY       G0474B105     409      43,416 SH         DEFINED      4         --         --    43,416
ARLINGTON TANKERS LTD           EQUITY       G04899103     567      23,029 SH         DEFINED      4         --         --    23,029
ARMSTRONG WORLD INDUSTRIES      EQUITY       04247X102       1          22 SH          SOLE        1         22         --        --
ARMSTRONG WORLD INDUSTRIES      EQUITY       04247X102      36         900 SH         DEFINED      4         --         --       900
ARQULE INC                      EQUITY       04269E107     272      38,203 SH          SOLE        1     38,203         --        --
ARQULE INC                      EQUITY       04269E107      14       2,000 SH         DEFINED      4         --         --     2,000
ARRAY BIOPHARMA INC             EQUITY       04269X105     460      40,993 SH          SOLE        1     40,993         --        --
ARRAY BIOPHARMA INC             EQUITY       04269X105      27       2,160 SH         DEFINED      4         --         --     2,160
ARRIS GROUP INC                 EQUITY       04269Q100    1344     108,799 SH          SOLE        1    108,799         --        --
ARRIS GROUP INC                 EQUITY       04269Q100      32       2,077 SH         DEFINED      4         --         --     2,077
ART TECHNOLOGY GROUP INC        EQUITY       04289L107     336     111,255 SH          SOLE        1    111,255         --        --
ART TECHNOLOGY GROUP INC        EQUITY       04289L107      10       4,050 SH         DEFINED      4         --         --     4,050
ARTES MEDICAL INC               EQUITY       04301Q100      24       2,650 SH         DEFINED      4         --         --     2,650
ARTHUR J GALLAGHER & CO         EQUITY       363576109   40905   1,411,968 SH          SOLE        1  1,411,968         --        --
ARTHUR J GALLAGHER & CO         EQUITY       363576109     157       5,420 SH         DEFINED      4         --         --     5,420
ASA LTD                         EQUITY       G3156P103      88       1,288 SH         DEFINED      4         --         --     1,288
ASE TEST LIMITED                EQUITY       Y02516105       2         130 SH         DEFINED      4         --         --       130
ASHWORTH INC                    EQUITY       04516H101      11       1,845 SH          SOLE        1      1,845         --        --
ASIA TIGERS FUND INC            EQUITY       04516T105      13         601 SH         DEFINED      4         --         --       601
ASIAINFO HOLDINGS INC           EQUITY       04518A104     250      27,551 SH          SOLE        1     27,551         --        --
ASML HLDG NV N Y SHS            EQUITY       N07059111      21         773 SH         DEFINED      4         --         --       773
ASPEN INSURANCE HOLDINGS LTD    EQUITY       G05384105       6         200 SH         DEFINED      4         --         --       200
ASPREVA PHARMACEUTICALS CORP    EQUITY       04538T109     590      28,769 SH          SOLE        1     28,769         --        --
ASPREVA PHARMACEUTICALS CORP    EQUITY       04538T109       8         400 SH         DEFINED      4         --         --       400
ASPYRA INC                      EQUITY       04538V104       7       2,854 SH         DEFINED      4         --         --     2,854
ASSET ACCEPTANCE CAPITAL        EQUITY       04543P100    2702     232,938 SH          SOLE        1    232,938         --        --
ASSISTED LIVING CONCEPTS I-A    EQUITY       04544X102     480      52,516 SH          SOLE        1     52,516         --        --
ASSURANT INC                    EQUITY       04621X108    2488      46,500 SH          SOLE        1     46,500         --        --
ASSURANT INC                    EQUITY       04621X108      29         480 SH         DEFINED      4         --         --       480
ASSURANT INC                    EQUITY       04621X108       7         122 SH          SOLE        2        122         --        --
ASSURED GUARANTY LTD            EQUITY       G0585R106      23         750 SH         DEFINED      4         --         --       750
ASTRO-MED INC                   EQUITY       04638F108       7         618 SH         DEFINED      4         --         --       618
ASYST TECHNOLOGIES INC          EQUITY       04648X107     227      42,823 SH          SOLE        1     42,823         --        --
ASYST TECHNOLOGIES INC          EQUITY       04648X107       1         200 SH         DEFINED      4         --         --       200
AT&T INC                        EQUITY       00206R102  252343   5,965,488 SH          SOLE        1  5,965,488         --        --
AT&T INC                        EQUITY       00206R102   58232   1,470,496 SH         DEFINED      4         --         -- 1,470,496
AT&T INC                        EQUITY       00206R102   26483     625,929 SH          SOLE        2    625,929         --        --
ATARI INC                       EQUITY       04651M204       6       1,709 SH         DEFINED      4         --         --     1,709
ATC HEALTHCARE INC-A            EQUITY       00209C102       1       2,020 SH         DEFINED      4         --         --     2,020
ATHEROS COMMUNICATIONS          EQUITY       04743P108    3244     108,238 SH          SOLE        1    108,238         --        --
ATHEROS COMMUNICATIONS          EQUITY       04743P108    5326     177,700 SH          SOLE        3    149,300         --    28,400
ATHEROS COMMUNICATIONS          EQUITY       04743P108      37       1,230 SH         DEFINED      4         --         --     1,230
ATHEROS COMMUNICATIONS          EQUITY       04743P108     599      20,000 SH          SOLE        2     20,000         --        --
ATMI INC                        EQUITY       00207R101    1023      34,390 SH          SOLE        1     34,390         --        --
ATMI INC                        EQUITY       00207R101       9         300 SH         DEFINED      4         --         --       300
ATP OIL & GAS CORPORATION       EQUITY       00208J108     875      18,601 SH          SOLE        1     18,601         --        --
ATP OIL & GAS CORPORATION       EQUITY       00208J108      28         600 SH         DEFINED      4         --         --       600
AUDIBLE INC                     EQUITY       05069A302      10         800 SH         DEFINED      4         --         --       800
AURIZON MINES LTD               EQUITY       05155P106      21       6,050 SH         DEFINED      4         --         --     6,050
AUTOBYTEL INC                   EQUITY       05275N106       7       2,050 SH         DEFINED      4         --         --     2,050
AUTONATION INC                  EQUITY       05329W102    1282      72,337 SH          SOLE        1     72,337         --        --
AUTONATION INC                  EQUITY       05329W102      26        1241 SH         DEFINED      4         --         --        --
AUTONATION INC                  EQUITY       05329W102       3         191 SH          SOLE        2        191         --        --
AUXILIUM PHARMACEUTICALS INC    EQUITY       05334D107     575      27,259 SH          SOLE        1     27,259         --        --
AUXILIUM PHARMACEUTICALS INC    EQUITY       05334D107      51       2,400 SH         DEFINED      4         --         --     2,400
AVALON PHARMACEUTICALS INC      EQUITY       05346P106    1583     277,671 SH          SOLE        1    277,671         --        --
AVANEX CORP                     EQUITY       05348W109     277     169,155 SH          SOLE        1    169,155         --        --





                                                                                          
AVANEX CORP                     EQUITY       05348W109      62      36,600 SH         DEFINED      4         --         --    36,600
AVANIR PHARMACEUTICALS-CL A     EQUITY       05348P401      12       5,481 SH         DEFINED      4         --         --     5,481
AVENTINE RENEWABLE ENERGY       EQUITY       05356X403     277      26,173 SH          SOLE        1     26,173         --        --
AVENTINE RENEWABLE ENERGY       EQUITY       05356X403      28       1,475 SH         DEFINED      4         --         --     1,475
AVICI SYSTEMS INC               EQUITY       05367L802      10       1,205 SH         DEFINED      4         --         --     1,205
AVID TECHNOLOGY INC             EQUITY       05367P100    1092      40,321 SH          SOLE        1     40,321         --        --
AVID TECHNOLOGY INC             EQUITY       05367P100       6         192 SH         DEFINED      4         --         --       192
AVISTA CORP                     EQUITY       05379B107    1071      52,605 SH          SOLE        1     52,605         --        --
AVISTA CORP                     EQUITY       05379B107     100       4,125 SH         DEFINED      4         --         --     4,125
AWARE INC/MASS                  EQUITY       05453N100       1         200 SH         DEFINED      4         --         --       200
AXIS CAPITAL HOLDINGS LTD       EQUITY       G0692U109     223       5,920 SH         DEFINED      4         --         --     5,920
AXT INC                         EQUITY       00246W103       1         100 SH         DEFINED      4         --         --       100
B&G FOODS INC-EIS               EQUITY       05508R205     508      21,241 SH         DEFINED      4         --         --    21,241
BACK YARD BURGERS INC           EQUITY       05635W101       3         455 SH         DEFINED      4         --         --       455
BALLARD POWER SYSTEMS INC       EQUITY       05858H104     108      21,919 SH         DEFINED      4         --         --    21,919
BALLY TECHNOLOGIES INC          EQUITY       05874B107    2640      74,500 SH          SOLE        3     56,400         --    18,100
BALLY TECHNOLOGIES INC          EQUITY       05874B107    3000      84,686 SH          SOLE        1     84,686         --        --
BALLY TECHNOLOGIES INC          EQUITY       05874B107      18         500 SH         DEFINED      4         --         --       500
BALLY TECHNOLOGIES INC          EQUITY       05874B107     808      22,800 SH          SOLE        2     22,800         --        --
BANCFIRST CORP                  EQUITY       05945F103     311       6,935 SH          SOLE        1      6,935         --        --
BANCO BILBAO VIZCAYA-SP ADR     EQUITY       05946K101   11332     486,763 SH         DEFINED      4         --         --   486,763
BANCO SANTANDER SA-SPON ADR     EQUITY       05964H105    1181      61,182 SH         DEFINED      4         --         --    61,182
BANCO SANTANDER-CHILE-ADR       EQUITY       05965X109    7028     138,974 SH          SOLE        1    138,974         --        --
BANCO SANTANDER-CHILE-ADR       EQUITY       05965X109      71       1,370 SH         DEFINED      4         --         --     1,370
BANCOLOMBIA S.A.-SPONS ADR      EQUITY       05968L102   14618     421,876 SH          SOLE        1    421,876         --        --
BANCOLOMBIA S.A.-SPONS ADR      EQUITY       05968L102      14         521 SH         DEFINED      4         --         --       521
BANCORP INC/THE                 EQUITY       05969A105     173       9,349 SH          SOLE        1      9,349         --        --
BANK OF COMMERCE HOLDINGS       EQUITY       06424J103     134      12,211 SH         DEFINED      4         --         --    12,211
BANK OF IRELAND-SPONS ADR       EQUITY       46267Q103     167       2,219 SH         DEFINED      4         --         --     2,219
BANK OF THE CAROLINAS(NC)       EQUITY       06425J102       7         500 SH         DEFINED      4         --         --       500
BANKFINANCIAL CORP              EQUITY       06643P104     320      20,249 SH          SOLE        1     20,249         --        --
BANKRATE INC                    EQUITY       06646V108     526      11,410 SH          SOLE        1     11,410         --        --
BANKUNITED FINANCIAL CORP-A     EQUITY       06652B103     493      31,695 SH          SOLE        1     31,695         --        --
BANKUNITED FINANCIAL CORP-A     EQUITY       06652B103      19         850 SH         DEFINED      4         --         --       850
BANNER CORPORATION              EQUITY       06652V109     393      11,427 SH          SOLE        1     11,427         --        --
BANNER CORPORATION              EQUITY       06652V109      66       3,475 SH         DEFINED      4         --         --     3,475
BARCLAYS BANK PLC               EQUITY       06739F390       7         300 SH         DEFINED      4         --         --       300
BARCLAYS BANK PLC               EQUITY       06738C794      22         537 SH         DEFINED      4         --         --       537
BARCLAYS PLC-SPONS ADR          EQUITY       06738E204     519      10,668 SH         DEFINED      4         --         --    10,668
BARRIER THERAPEUTICS INC        EQUITY       06850R108       4         500 SH         DEFINED      4         --         --       500
BASIC ENERGY SERVICES INC       EQUITY       06985P100     748      35,604 SH          SOLE        1     35,604         --        --
BASIC ENERGY SERVICES INC       EQUITY       06985P100      27         980 SH         DEFINED      4         --         --       980
BASIN WATER INC                 EQUITY       07011T306      13       2,000 SH         DEFINED      4         --         --     2,000
BCE INC                         EQUITY       05534B760     228       5,642 SH          OTHER       1         --      5,642        --
BCE INC                         EQUITY       05534B760     519      12,913 SH         DEFINED      4         --         --    12,913
BEAZER HOMES USA INC            EQUITY       07556Q105     282      34,141 SH          SOLE        1     34,141         --        --
BEAZER HOMES USA INC            EQUITY       07556Q105       3         365 SH         DEFINED      4         --         --       365
BENCHMARK ELECTRONICS INC       EQUITY       08160H101    1727      72,337 SH          SOLE        1     72,337         --        --
BENCHMARK ELECTRONICS INC       EQUITY       08160H101     180       8,475 SH         DEFINED      4         --         --     8,475
BHP BILLITON PLC-ADR            EQUITY       05545E209      91       1,830 SH         DEFINED      4         --         --     1,830
BIG 5 SPORTING GOODS CORP       EQUITY       08915P101     423      22,637 SH          SOLE        1     22,637         --        --
BILL BARRETT CORP               EQUITY       06846N104    4319     109,588 SH          SOLE        1    109,588         --        --
BILL BARRETT CORP               EQUITY       06846N104     160       4,051 SH         DEFINED      4         --         --     4,051
BIOCRYST PHARMACEUTICALS INC    EQUITY       09058V103       9       1,300 SH         DEFINED      4         --         --     1,300
BIODEL INC                      EQUITY       09064M105      74       4,360 SH          SOLE        1      4,360         --        --
BIOENVISION INC                 EQUITY       09059N100     253      47,869 SH          SOLE        1     47,869         --        --
BIOGEN IDEC INC                 EQUITY       09062X103   11876     179,046 SH          SOLE        1    179,046         --        --
BIOGEN IDEC INC                 EQUITY       09062X103     660      13,909 SH         DEFINED      4         --         --    13,909
BIOGEN IDEC INC                 EQUITY       09062X103      24         363 SH          SOLE        2        363         --        --
BIO-IMAGING TECHNOLOGIES INC    EQUITY       09056N103       4         625 SH         DEFINED      4         --         --       625
BIOMARIN PHARMACEUTICAL INC     EQUITY       09061G101    2078      83,451 SH          SOLE        1     83,451         --        --
BIOMARIN PHARMACEUTICAL INC     EQUITY       09061G101      29       1,750 SH         DEFINED      4         --         --     1,750
BIOMARIN PHARMACEUTICAL INC     EQUITY       09061G101     508      20,400 SH          SOLE        2     20,400         --        --
BIOMED REALTY TRUST INC         EQUITY       09063H107    1374      57,010 SH          SOLE        1     57,010         --        --
BIOMED REALTY TRUST INC         EQUITY       09063H107      12         416 SH         DEFINED      4         --         --       416
BIOMIMETIC THERAPEUTICS INC     EQUITY       09064X101     124       9,328 SH          SOLE        1      9,328         --        --
BIOMIMETIC THERAPEUTICS INC     EQUITY       09064X101       2         100 SH         DEFINED      4         --         --       100
BIOMIRA INC                     EQUITY       09161R106       9       7,090 SH         DEFINED      4         --         --     7,090
BIOPURE CORP CL A NEW           EQUITY       09065H303      25      47,671 SH         DEFINED      4         --         --    47,671
BIO-REFERENCE LABS INC          EQUITY       09057G602     326       9,651 SH          SOLE        1      9,651         --        --
BIO-REFERENCE LABS INC          EQUITY       09057G602      17         500 SH         DEFINED      4         --         --       500
BIOTECH HOLDRs TRUST            EQUITY       09067D201    1846      10,502 SH         DEFINED      4         --         --    10,502
BIOVAIL CORP                    EQUITY       09067J109      60       3,311 SH          OTHER       1         --      3,311        --





                                                                                          
BIOVAIL CORP                    EQUITY       09067J109     623      35,726 SH         DEFINED      4         --         --    35,726
BIRCH MOUNTAIN RESOURCES LTD    EQUITY       09066X109     623     177,969 SH         DEFINED      4         --         --   177,969
BIW LTD                         EQUITY       05547U102       6         400 SH         DEFINED      4         --         --       400
BJ'S RESTAURANTS INC            EQUITY       09180C106     313      14,857 SH          SOLE        1     14,857         --        --
BJ'S WHOLESALE CLUB INC         EQUITY       05548J106    5364     161,764 SH          SOLE        1    161,764         --        --
BJ'S WHOLESALE CLUB INC         EQUITY       05548J106      50       1,494 SH         DEFINED      4         --         --     1,494
BLACKBAUD INC                   EQUITY       09227Q100    1106      43,830 SH          SOLE        1     43,830         --        --
BLACKBAUD INC                   EQUITY       09227Q100      12         471 SH         DEFINED      4         --         --       471
BLACKBAUD INC                   EQUITY       09227Q100     631      25,000 SH          SOLE        2     25,000         --        --
BLACKROCK APEX MUNICIPAL FUN    EQUITY       09254H106      86       7,700 SH         DEFINED      4         --         --     7,700
BLACKROCK BROAD INV GR 2009     EQUITY       09247Q106     139       9,163 SH         DEFINED      4         --         --     9,163
BLACKROCK CALIF INSD 2008       EQUITY       09247G108      88       5,832 SH         DEFINED      4         --         --     5,832
BLACKROCK CALIFOR MUNI IN TR    EQUITY       09248E102     113       6,430 SH         DEFINED      4         --         --     6,430
BLACKROCK CALIFORNIA MUN II     EQUITY       09249S100      20       1,500 SH         DEFINED      4         --         --     1,500
BLACKROCK CORE BOND TRUST       EQUITY       09249E101     131      10,010 SH         DEFINED      4         --         --    10,010
BLACKROCK CORPORATE HY FD 3     EQUITY       09255M104      40       5,225 SH         DEFINED      4         --         --     5,225
BLACKROCK CORPORATE HY FD 5     EQUITY       09255N102     260      18,013 SH         DEFINED      4         --         --    18,013
BLACKROCK CORPORATE HY FD VI    EQUITY       09255P107      87       6,337 SH         DEFINED      4         --         --     6,337
BLACKROCK CORPORATE HY FUND     EQUITY       09255L106      72       8,502 SH         DEFINED      4         --         --     8,502
BLACKROCK DEBT STRATEGIES FD    EQUITY       09255R103     337      46,162 SH         DEFINED      4         --         --    46,162
BLACKROCK DIVIDEND ACHIEVERS    EQUITY       09250N107     249      16,258 SH         DEFINED      4         --         --    16,258
BLACKROCK ENH CAP AND INC       EQUITY       09256A109       9         450 SH         DEFINED      4         --         --       450
BLACKROCK ENH EQ YLD & PREM     EQUITY       09256E101      46       2,211 SH         DEFINED      4         --         --     2,211
BLACKROCK ENHANCED DIVIDEND     EQUITY       09251A104     196      13,053 SH         DEFINED      4         --         --    13,053
BLACKROCK ENHANCED GOVT FUND    EQUITY       09255K108     342      19,150 SH         DEFINED      4         --         --    19,150
BLACKROCK FL MUNI 2020 TERM     EQUITY       09250M109     274      20,390 SH         DEFINED      4         --         --    20,390
BLACKROCK FLOAT RT INCM ST 2    EQUITY       09255Y108       9         500 SH         DEFINED      4         --         --       500
BLACKROCK FLOAT RT INCOME ST    EQUITY       09255X100      84       4,385 SH         DEFINED      4         --         --     4,385
BLACKROCK FLORIDA INSD 2008     EQUITY       09247H106      88       6,000 SH         DEFINED      4         --         --     6,000
BLACKROCK FLORIDA MUNI BOND     EQUITY       09249K107       7         400 SH         DEFINED      4         --         --       400
BLACKROCK FLORIDA MUNI IN TR    EQUITY       09248H105     164      10,997 SH         DEFINED      4         --         --    10,997
BLACKROCK GLOBAL ENRG & RES     EQUITY       09250U101     527      17,523 SH         DEFINED      4         --         --    17,523
BLACKROCK GLOBAL EQUITY INCO    EQUITY       09255D104       5         300 SH         DEFINED      4         --         --       300
BLACKROCK HIGH INCOME SHARES    EQUITY       09250E107     100      42,819 SH         DEFINED      4         --         --    42,819
BLACKROCK HIGH YIELD TRUST      EQUITY       09248N102     175      24,375 SH         DEFINED      4         --         --    24,375
BLACKROCK INC                   EQUITY       09247X101     277       1,595 SH          SOLE        1      1,595         --        --
BLACKROCK INC                   EQUITY       09247X101      35         200 SH         DEFINED      4         --         --       200
BLACKROCK INCOME TRUST          EQUITY       09247F100     214      35,431 SH         DEFINED      4         --         --    35,431
BLACKROCK INSD MUNI 2008 TR     EQUITY       09247K109     257      16,969 SH         DEFINED      4         --         --    16,969
BLACKROCK INVT QUALITY MUNI     EQUITY       09247D105      57       3,000 SH         DEFINED      4         --         --     3,000
BLACKROCK LTD DURATION INC      EQUITY       09249W101     234      11,958 SH         DEFINED      4         --         --    11,958
BLACKROCK MUN INC TRUST II      EQUITY       09249N101     223  14418.9745 SH         DEFINED      4         --         --        --
BLACKROCK MUNI 2020 TERM TRS    EQUITY       09249X109     173      11,633 SH         DEFINED      4         --         --    11,633
BLACKROCK MUNI BOND TRUST       EQUITY       09249H104      57       2,960 SH         DEFINED      4         --         --     2,960
BLACKROCK MUNI INTERM DURATI    EQUITY       09253X102     103       6,810 SH         DEFINED      4         --         --     6,810
BLACKROCK MUNIASSETS FUND       EQUITY       09254J102      83       5,315 SH         DEFINED      4         --         --     5,315
BLACKROCK MUNICIPAL 2018 TRM    EQUITY       09248C106      17       1,000 SH         DEFINED      4         --         --     1,000
BLACKROCK MUNICIPAL INC TRST    EQUITY       09248F109     880      47,372 SH         DEFINED      4         --         --    47,372
BLACKROCK MUNIENHANCED FUND     EQUITY       09253Y100     102       9,824 SH         DEFINED      4         --         --     9,824
BLACKROCK MUNIHOLDINGS CA IN    EQUITY       09254L107     207      15,532 SH         DEFINED      4         --         --    15,532
BLACKROCK MUNIHOLDINGS FL IN    EQUITY       09254P108     248      17,762 SH         DEFINED      4         --         --    17,762
BLACKROCK MUNIHOLDINGS FUND     EQUITY       09253N104      24        1562 SH         DEFINED      4         --         --        --
BLACKROCK MUNIHOLDINGS INSUR    EQUITY       09254A101      37       2,817 SH         DEFINED      4         --         --     2,817
BLACKROCK MUNIHOLDINGS NY IN    EQUITY       09255C106      28       2,000 SH         DEFINED      4         --         --     2,000
BLACKROCK MUNIVEST FUND         EQUITY       09253R105      64       6,300 SH         DEFINED      4         --         --     6,300
BLACKROCK MUNIVEST FUND II      EQUITY       09253T101      43       2,958 SH         DEFINED      4         --         --     2,958
BLACKROCK MUNIYIELD CA INSUR    EQUITY       09254N103     201      15,127 SH         DEFINED      4         --         --    15,127
BLACKROCK MUNIYIELD CALI FD     EQUITY       09254M105      53       3,677 SH         DEFINED      4         --         --     3,677
BLACKROCK MUNIYIELD FL FUND     EQUITY       09254R104     122       9,243 SH         DEFINED      4         --         --     9,243
BLACKROCK MUNIYIELD FLORIDA     EQUITY       09254T100      75       5,441 SH         DEFINED      4         --         --     5,441
BLACKROCK MUNIYIELD FUND        EQUITY       09253W104     119       7,474 SH         DEFINED      4         --         --     7,474
BLACKROCK MUNIYIELD MI INS 2    EQUITY       09254W103      57       4,400 SH         DEFINED      4         --         --     4,400
BLACKROCK MUNIYIELD MI INSUR    EQUITY       09254V105      10         700 SH         DEFINED      4         --         --       700
BLACKROCK MUNIYIELD NY INSUR    EQUITY       09255E102      44       3,219 SH         DEFINED      4         --         --     3,219
BLACKROCK MUNIYIELD PA INSUR    EQUITY       09255G107     153      10,030 SH         DEFINED      4         --         --    10,030
BLACKROCK MUNIYIELD QUAL II     EQUITY       09254G108      53       4,429 SH         DEFINED      4         --         --     4,429
BLACKROCK MUNIYIELD QUALITY     EQUITY       09254F100     138       9,487 SH         DEFINED      4         --         --     9,487
BLACKROCK NEW YORK INSD 2008    EQUITY       09247L107      10         680 SH         DEFINED      4         --         --       680
BLACKROCK NEW YORK MUNI INC     EQUITY       09248L106      78       4,445 SH         DEFINED      4         --         --     4,445
BLACKROCK NJ INV QUALITY MUN    EQUITY       09247C107      17       1,000 SH         DEFINED      4         --         --     1,000
BLACKROCK PENN STRAT MUNI TR    EQUITY       09248R103     437      24,626 SH         DEFINED      4         --         --    24,626
BLACKROCK PFD & CORP INC STR    EQUITY       09255J101      24       1,350 SH         DEFINED      4         --         --     1,350
BLACKROCK PFD INCM STRATEGIE    EQUITY       09255H105     851      41,217 SH         DEFINED      4         --         --    41,217





                                                                                          
BLACKROCK PRFD OPPRTY TRUST     EQUITY       09249V103      79       3,810 SH         DEFINED      4         --         --     3,810
BLACKROCK REAL ASSET EQUITY     EQUITY       09254B109     393      24,592 SH         DEFINED      4         --         --    24,592
BLACKROCK SENIOR HIGH INCOME    EQUITY       09255T109     747     113,728 SH         DEFINED      4         --         --   113,728
BLACKROCK STRAT DVD ACHV TRS    EQUITY       09249Y107     403      25,883 SH         DEFINED      4         --         --    25,883
BLACKROCK STRATEGIC BOND TST    EQUITY       09249G106      12       1,000 SH         DEFINED      4         --         --     1,000
BLACKROCK STRATEGIC MUNICIPL    EQUITY       09248T109     668      34,646 SH         DEFINED      4         --         --    34,646
BLDRS ASIA 50 ADR INDEX FUND    EQUITY       09348R102       6         177 SH         DEFINED      4         --         --       177
BLDRS DEV MKTS 100 ADR INDEX    EQUITY       09348R201     196       5,982 SH         DEFINED      4         --         --     5,982
BLDRS EMER MKTS 50 ADR INDEX    EQUITY       09348R300      47         894 SH         DEFINED      4         --         --       894
BLDRS EUROPE 100 ADR INDEX      EQUITY       09348R409       1          32 SH         DEFINED      4         --         --        32
BLUE COAT SYSTEMS INC           EQUITY       09534T508    2062      26,187 SH          SOLE        1     26,187         --        --
BLUE COAT SYSTEMS INC           EQUITY       09534T508    3513      44,600 SH          SOLE        3     38,500         --     6,100
BLUE COAT SYSTEMS INC           EQUITY       09534T508     144       3,912 SH         DEFINED      4         --         --     3,912
BLUE COAT SYSTEMS INC           EQUITY       09534T508    1559      19,800 SH          SOLE        2     19,800         --        --
BLUE NILE INC                   EQUITY       09578R103    1288      13,680 SH          SOLE        1     13,680         --        --
BLUE NILE INC                   EQUITY       09578R103       3          63 SH         DEFINED      4         --         --        63
BLUELINX HOLDINGS INC           EQUITY       09624H109      70       9,979 SH          SOLE        1      9,979         --        --
BLUELINX HOLDINGS INC           EQUITY       09624H109      48       3,625 SH         DEFINED      4         --         --     3,625
BLUEPHOENIX SOLUTIONS LTD       EQUITY       M20157109   12532     680,700 SH          SOLE        3    610,900         --    69,800
BLUEPHOENIX SOLUTIONS LTD       EQUITY       M20157109      54       2,909 SH         DEFINED      4         --         --     2,909
BLYTH INC                       EQUITY       09643P108    1750      85,577 SH          SOLE        1     85,577         --        --
BLYTH INC                       EQUITY       09643P108      16         800 SH         DEFINED      4         --         --       800
BOIS D' ARC ENERGY INC          EQUITY       09738U103     303      15,831 SH          SOLE        1     15,831         --        --
BOIS D' ARC ENERGY INC          EQUITY       09738U103       2         100 SH         DEFINED      4         --         --       100
BOK FINANCIAL CORPORATION       EQUITY       05561Q201      26         512 SH          SOLE        1        512         --        --
BOK FINANCIAL CORPORATION       EQUITY       05561Q201     137       2,558 SH         DEFINED      4         --         --     2,558
BON-TON STORES INC/THE          EQUITY       09776J101     202       8,909 SH          SOLE        1      8,909         --        --
BOOKHAM INC                     EQUITY       09856E105       1         495 SH         DEFINED      4         --         --       495
BOSTON BEER COMPANY INC-CL A    EQUITY       100557107     446       9,166 SH          SOLE        1      9,166         --        --
BOSTON BEER COMPANY INC-CL A    EQUITY       100557107     163       4,841 SH         DEFINED      4         --         --     4,841
BOSTON PRIVATE FINL HOLDING     EQUITY       101119105    1029      36,963 SH          SOLE        1     36,963         --        --
BOSTON PRIVATE FINL HOLDING     EQUITY       101119105     111       3,799 SH         DEFINED      4         --         --     3,799
BOSTON PROPERTIES INC           EQUITY       101121101     469       4,037 SH         DEFINED      4         --         --     4,037
BOSTON PROPERTIES INC           EQUITY       101121101      16         150 SH          SOLE        2        150         --        --
BOSTON SCIENTIFIC CORP          EQUITY       101137107    7892     565,751 SH          SOLE        1    565,751         --        --
BOSTON SCIENTIFIC CORP          EQUITY       101137107      23       1,682 SH          SOLE        2      1,682         --        --
BOTTOMLINE TECHNOLOGIES INC     EQUITY       101388106     236      18,844 SH          SOLE        1     18,844         --        --
BOULDER GROWTH & INCOME FUND    EQUITY       101507101      97       9,947 SH          SOLE        1      9,947         --        --
BOULDER GROWTH & INCOME FUND    EQUITY       101507101      76       6,101 SH         DEFINED      4         --         --     6,101
BOVIE MEDICAL CORP              EQUITY       10211F100      16       2,320 SH         DEFINED      4         --         --     2,320
BOWATER INC                     EQUITY       102183100    2803     187,884 SH          SOLE        1    187,884         --        --
BOWATER INC                     EQUITY       102183100      19         854 SH         DEFINED      4         --         --       854
BOWNE & CO INC                  EQUITY       103043105     460      27,616 SH          SOLE        1     27,616         --        --
BOWNE & CO INC                  EQUITY       103043105     141       8,478 SH         DEFINED      4         --         --     8,478
BOYD GAMING CORP                EQUITY       103304101    6011     140,290 SH          SOLE        1    140,290         --        --
BOYD GAMING CORP                EQUITY       103304101      39         853 SH         DEFINED      4         --         --       853
BRADLEY PHARMACEUTICALS INC     EQUITY       104576103     232      12,773 SH          SOLE        1     12,773         --        --
BRADLEY PHARMACEUTICALS INC     EQUITY       104576103      43       2,125 SH         DEFINED      4         --         --     2,125
BRADY CORPORATION - CL A        EQUITY       104674106    1819      50,701 SH          SOLE        1     50,701         --        --
BRADY CORPORATION - CL A        EQUITY       104674106     111       3,350 SH         DEFINED      4         --         --     3,350
BRANDYWINE REALTY TRUST         EQUITY       105368203     472      18,636 SH          SOLE        1     18,636         --        --
BRANDYWINE REALTY TRUST         EQUITY       105368203     266       8,043 SH         DEFINED      4         --         --     8,043
BRASIL TELECOM PART SA -ADR     EQUITY       105530109     780      10,473 SH         DEFINED      4         --         --    10,473
BRASIL TELECOM SA-ADR           EQUITY       10553M101      62        3300 SH         DEFINED      4         --         --        --
BRE PROPERTIES INC              EQUITY       05564E106    7661     136,979 SH          SOLE        1    136,979         --        --
BRE PROPERTIES INC              EQUITY       05564E106     414       7,040 SH         DEFINED      4         --         --     7,040
BRIDGFORD FOODS CORP            EQUITY       108763103      16       2,234 SH         DEFINED      4         --         --     2,234
BRIGGS & STRATTON               EQUITY       109043109    1242      49,326 SH          SOLE        1     49,326         --        --
BRIGGS & STRATTON               EQUITY       109043109     140       4,440 SH         DEFINED      4         --         --     4,440
BRIGHAM EXPLORATION CO          EQUITY       109178103     235      39,684 SH          SOLE        1     39,684         --        --
BRIGHT HORIZONS FAMILY SOLUT    EQUITY       109195107    1118      26,086 SH          SOLE        1     26,086         --        --
BRIGHT HORIZONS FAMILY SOLUT    EQUITY       109195107      46       1,085 SH         DEFINED      4         --         --     1,085
BRIGHTPOINT INC                 EQUITY       109473405     762      50,772 SH          SOLE        1     50,772         --        --
BRIGHTPOINT INC                 EQUITY       109473405     387      29,556 SH         DEFINED      4         --         --    29,556
BRIGHTPOINT INC                 EQUITY       109473405     668      44,500 SH          SOLE        2     44,500         --        --
BRINKER INTERNATIONAL INC       EQUITY       109641100    7187     261,911 SH          SOLE        1    261,911         --        --
BRINKER INTERNATIONAL INC       EQUITY       109641100     525      15,827 SH         DEFINED      4         --         --    15,827
BRINK'S CO/THE                  EQUITY       109696104    6774     121,221 SH          SOLE        1    121,221         --        --
BRINK'S CO/THE                  EQUITY       109696104      64       1,144 SH         DEFINED      4         --         --     1,144
BRISTOL-MYERS SQUIBB            FIXED INCOME 110122AN8      10          10 PRN        DEFINED      4         --         --        --
BRISTOL-MYERS SQUIBB CO         EQUITY       110122108   47589   1,651,265 SH          SOLE        1  1,651,265         --        --
BRISTOL-MYERS SQUIBB CO         EQUITY       110122207       2           5 SH         DEFINED      4         --         --         5
BRISTOL-MYERS SQUIBB CO         EQUITY       110122108    6745     234,030 SH         DEFINED      4         --         --   234,030





                                                                                          
BRISTOL-MYERS SQUIBB CO         EQUITY       110122108    7017     243,494 SH          SOLE        2    243,494         --        --
BRISTOW GROUP INC               EQUITY       110394103     901      20,618 SH          SOLE        1     20,618         --        --
BRITISH AMERICAN TOB-SP ADR     EQUITY       110448107     321       5,020 SH         DEFINED      4         --         --     5,020
BRITISH SKY BROADCAST-SP ADR    EQUITY       111013108     141       2,464 SH         DEFINED      4         --         --     2,464
BRITTON & KOONTZ CAPITAL CRP    EQUITY       111091104      28       1,754 SH         DEFINED      4         --         --     1,754
BROADCOM CORP-CL A              EQUITY       111320107   25480     699,344 SH          SOLE        1    699,344         --        --
BROADCOM CORP-CL A              EQUITY       111320107    3987     109,414 SH         DEFINED      4         --         --   109,414
BROADCOM CORP-CL A              EQUITY       111320107    3804     104,391 SH          SOLE        2    104,391         --        --
BROADRIDGE FINANCIAL SOLUTIO    EQUITY       11133T103    6597     348,102 SH          SOLE        1    348,102         --        --
BROADRIDGE FINANCIAL SOLUTIO    EQUITY       11133T103     314      14,950 SH         DEFINED      4         --         --    14,950
BROCADE COMMUNICATIONS SYS      EQUITY       111621306      93      10,845 SH          SOLE        1     10,845         --        --
BRONCO DRILLING CO INC          EQUITY       112211107     336      22,728 SH          SOLE        1     22,728         --        --
BRONCO DRILLING CO INC          EQUITY       112211107      33       2,250 SH         DEFINED      4         --         --     2,250
BROOKDALE SENIOR LIVING INC     EQUITY       112463104   14038     352,623 SH          SOLE        1    352,623         --        --
BROOKDALE SENIOR LIVING INC     EQUITY       112463104      21         465 SH         DEFINED      4         --         --       465
BROOKDALE SENIOR LIVING INC     EQUITY       112463104    5991     150,500 SH          SOLE        2    150,500         --        --
BROOKFIELD ASSET MANAGE-CL A    EQUITY       112585104     394      11,230 SH          OTHER       1         --     11,230        --
BROOKFIELD ASSET MANAGE-CL A    EQUITY       112585104     680      17,707 SH         DEFINED      4         --         --    17,707
BROOKFIELD HOMES CORP           EQUITY       112723101     182       9,821 SH          SOLE        1      9,821         --        --
BROOKFIELD PROPERTIES CORP      EQUITY       112900105     121       5,003 SH          OTHER       1         --      5,003        --
BROOKFIELD PROPERTIES CORP      EQUITY       112900105       9         227 SH         DEFINED      4         --         --       227
BROOKLINE BANCORP INC           EQUITY       11373M107     723      62,341 SH          SOLE        1     62,341         --        --
BROOKS AUTOMATION INC           EQUITY       114340102    1062      74,598 SH          SOLE        1     74,598         --        --
BROOKS AUTOMATION INC           EQUITY       114340102     101       7,127 SH         DEFINED      4         --         --     7,127
BROWN & BROWN INC               EQUITY       115236101    7416     281,977 SH          SOLE        1    281,977         --        --
BROWN & BROWN INC               EQUITY       115236101     501      19,040 SH         DEFINED      4         --         --    19,040
BROWN SHOE COMPANY INC          EQUITY       115736100     852      43,912 SH          SOLE        1     43,912         --        --
BROWN SHOE COMPANY INC          EQUITY       115736100      17         604 SH         DEFINED      4         --         --       604
BROWN-FORMAN CORP-CLASS A       EQUITY       115637100      40         596 SH         DEFINED      4         --         --       596
BROWN-FORMAN CORP-CLASS B       EQUITY       115637209    2885      38,510 SH          SOLE        1     38,510         --        --
BROWN-FORMAN CORP-CLASS B       EQUITY       115637209    1615      21,562 SH         DEFINED      4         --         --    21,562
BROWN-FORMAN CORP-CLASS B       EQUITY       115637209       8         109 SH          SOLE        2        109         --        --
BRUKER BIOSCIENCES CORP         EQUITY       116794108     499      56,681 SH          SOLE        1     56,681         --        --
BRUKER BIOSCIENCES CORP         EQUITY       116794108       5       1,200 SH         DEFINED      4         --         --     1,200
BRUNSWICK CORP                  EQUITY       117043109     983      42,981 SH          SOLE        1     42,981         --        --
BRUNSWICK CORP                  EQUITY       117043109       3         112 SH          SOLE        2        112         --        --
BRUSH ENGINEERED MATERIALS      EQUITY       117421107    1850      35,652 SH          SOLE        1     35,652         --        --
BRUSH ENGINEERED MATERIALS      EQUITY       117421107       8         161 SH         DEFINED      4         --         --       161
BSQUARE CORP                    EQUITY       11776U300       9       1,625 SH         DEFINED      4         --         --     1,625
BT GROUP PLC-SPON ADR           EQUITY       05577E101      64       1,025 SH         DEFINED      4         --         --     1,025
BUCKEYE GP HOLDINGS LP          EQUITY       118167105      33       1,100 SH         DEFINED      4         --         --     1,100
BUCKEYE PARTNERS LP             EQUITY       118230101    1191      22,242 SH         DEFINED      4         --         --    22,242
BUCKEYE TECHNOLOGIES INC        EQUITY       118255108     576      38,063 SH          SOLE        1     38,063         --        --
BUCKEYE TECHNOLOGIES INC        EQUITY       118255108       6         410 SH         DEFINED      4         --         --       410
BUCYRUS INTERNATIONAL INC-A     EQUITY       118759109    2375      32,569 SH          SOLE        1     32,569         --        --
BUCYRUS INTERNATIONAL INC-A     EQUITY       118759109     303       4,858 SH         DEFINED      4         --         --     4,858
BUFFALO WILD WINGS INC          EQUITY       119848109     504      13,369 SH          SOLE        1     13,369         --        --
BUFFALO WILD WINGS INC          EQUITY       119848109     204       2,586 SH         DEFINED      4         --         --     2,586
BUILD-A-BEAR WORKSHOP INC       EQUITY       120076104     242      13,639 SH          SOLE        1     13,639         --        --
BUILD-A-BEAR WORKSHOP INC       EQUITY       120076104      61       2,132 SH         DEFINED      4         --         --     2,132
BUILDERS FIRSTSOURCE INC        EQUITY       12008R107     143      13,297 SH          SOLE        1     13,297         --        --
BUILDING MATERIALS HLDG CORP    EQUITY       120113105     311      29,371 SH          SOLE        1     29,371         --        --
BUILDING MATERIALS HLDG CORP    EQUITY       120113105     120      11,350 SH         DEFINED      4         --         --    11,350
BUNGE LTD                       EQUITY       G16962105    4415      58,396 SH         DEFINED      4         --         --    58,396
BURGER KING HOLDINGS INC        EQUITY       121208201      34       1,350 SH          SOLE        1      1,350         --        --
BURGER KING HOLDINGS INC        EQUITY       121208201     163       6,585 SH         DEFINED      4         --         --     6,585
BURLINGTON NORTHERN SANTA FE    EQUITY       12189T104   21744     267,885 SH          SOLE        1    267,885         --        --
BURLINGTON NORTHERN SANTA FE    EQUITY       12189T104    1893      21,060 SH         DEFINED      4         --         --    21,060
BURLINGTON NORTHERN SANTA FE    EQUITY       12189T104      31         379 SH          SOLE        2        379         --        --
C&D TECHNOLOGIES INC            EQUITY       124661109      16       3,231 SH          SOLE        1      3,231         --        --
C.H. ROBINSON WORLDWIDE INC     EQUITY       12541W209    4638      85,439 SH          SOLE        1     85,439         --        --
C.H. ROBINSON WORLDWIDE INC     EQUITY       12541W209     172       3,078 SH         DEFINED      4         --         --     3,078
C.H. ROBINSON WORLDWIDE INC     EQUITY       12541W209      12         218 SH          SOLE        2        218         --        --
CA INC                          EQUITY       12673P105    4585     178,247 SH          SOLE        1    178,247         --        --
CA INC                          EQUITY       12673P105     128       4,964 SH         DEFINED      4         --         --     4,964
CA INC                          EQUITY       12673P105      13         490 SH          SOLE        2        490         --        --
CA INC                          FIXED INCOME 204912AQ2       1           1 PRN        DEFINED      4         --         --        --
CABELA'S INC                    EQUITY       126804301     918      38,836 SH          SOLE        1     38,836         --        --
CABELA'S INC                    EQUITY       126804301     101       4,448 SH         DEFINED      4         --         --     4,448
CABLEVISION SYSTEMS-NY GRP-A    EQUITY       12686C109     892      25,571 SH          SOLE        1     25,571         --        --
CABLEVISION SYSTEMS-NY GRP-A    EQUITY       12686C109     596      17,055 SH         DEFINED      4         --         --    17,055
CABOT CORP                      EQUITY       127055101    6024     169,552 SH          SOLE        1    169,552         --        --
CABOT CORP                      EQUITY       127055101      26         718 SH         DEFINED      4         --         --       718





                                                                                          
CABOT MICROELECTRONICS CORP     EQUITY       12709P103    1014      23,728 SH          SOLE        1     23,728         --        --
CABOT MICROELECTRONICS CORP     EQUITY       12709P103       3          95 SH         DEFINED      4         --         --        95
CABOT OIL & GAS CORP            EQUITY       127097103     536      15,244 SH          SOLE        1     15,244         --        --
CABOT OIL & GAS CORP            EQUITY       127097103     296       8,423 SH         DEFINED      4         --         --     8,423
CABOT OIL & GAS CORP            EQUITY       127097103     970      27,600 SH          SOLE        2     27,600         --        --
CACHE INC                       EQUITY       127150308     191      10,716 SH          SOLE        1     10,716         --        --
CACI INTERNATIONAL INC -CL A    EQUITY       127190304    1568      30,692 SH          SOLE        1     30,692         --        --
CACI INTERNATIONAL INC -CL A    EQUITY       127190304      31         600 SH         DEFINED      4         --         --       600
CADBURY SCHWEPPES-SPONS ADR     EQUITY       127209302     433       8,051 SH         DEFINED      4         --         --     8,051
CADENCE DESIGN SYS INC          EQUITY       127387108   16450     741,333 SH          SOLE        1    741,333         --        --
CADENCE DESIGN SYS INC          EQUITY       127387108     212       9,445 SH         DEFINED      4         --         --     9,445
CADENCE PHARMACEUTICALS INC     EQUITY       12738T100     197      14,063 SH          SOLE        1     14,063         --        --
CADIZ INC                       EQUITY       127537207     195      10,340 SH          SOLE        1     10,340         --        --
CAE INC                         EQUITY       124765108      79       5,996 SH          OTHER       1         --      5,996        --
CAE INC                         EQUITY       124765108      89       7,519 SH         DEFINED      4         --         --     7,519
CAL DIVE INTERNATIONAL INC      EQUITY       12802T101     292      19,434 SH          SOLE        1     19,434         --        --
CAL DIVE INTERNATIONAL INC      EQUITY       12802T101      18       1,175 SH         DEFINED      4         --         --     1,175
CALAMOS ASSET MANAGEMENT-A      EQUITY       12811R104     574      20,341 SH          SOLE        1     20,341         --        --
CALAMOS ASSET MANAGEMENT-A      EQUITY       12811R104     202       7,146 SH         DEFINED      4         --         --     7,146
CALAMOS CONVERTIBLE OPP&INC     EQUITY       128117108    1273      62,268 SH         DEFINED      4         --         --    62,268
CALAMOS CVT AND HIGH INCOME     EQUITY       12811P108     673      39,077 SH         DEFINED      4         --         --    39,077
CALAMOS GLOBAL TOTAL RETURN     EQUITY       128118106      87       4,855 SH         DEFINED      4         --         --     4,855
CALAMOS STRAT TOT RETURN FD     EQUITY       128125101    1726     111,843 SH         DEFINED      4         --         --   111,843
CALAMP CORP                     EQUITY       128126109      10       1,198 SH         DEFINED      4         --         --     1,198
CALGON CARBON CORP              EQUITY       129603106     489      35,058 SH          SOLE        1     35,058         --        --
CALIFORNIA PIZZA KITCHEN INC    EQUITY       13054D109     509      28,961 SH          SOLE        1     28,961         --        --
CALIFORNIA PIZZA KITCHEN INC    EQUITY       13054D109       1          85 SH         DEFINED      4         --         --        85
CALIFORNIA WATER SERVICE GRP    EQUITY       130788102     656      17,055 SH          SOLE        1     17,055         --        --
CALIFORNIA WATER SERVICE GRP    EQUITY       130788102     288       7,348 SH         DEFINED      4         --         --     7,348
CALLAWAY GOLF COMPANY           EQUITY       131193104    3806     237,743 SH          SOLE        1    237,743         --        --
CALLON PETROLEUM CO             EQUITY       13123X102     251      18,048 SH          SOLE        1     18,048         --        --
CALLON PETROLEUM CO             EQUITY       13123X102      34       2,471 SH         DEFINED      4         --         --     2,471
CAL-MAINE FOODS INC             EQUITY       128030202     277      10,964 SH          SOLE        1     10,964         --        --
CAL-MAINE FOODS INC             EQUITY       128030202       1         200 SH         DEFINED      4         --         --       200
CAMBREX CORP                    EQUITY       132011107     311      28,519 SH          SOLE        1     28,519         --        --
CAMBREX CORP                    EQUITY       132011107       3         300 SH         DEFINED      4         --         --       300
CAMECO CORP                     EQUITY       13321L108     321       7,358 SH          OTHER       1         --      7,358        --
CAMECO CORP                     EQUITY       13321L108    4524      97,951 SH         DEFINED      4         --         --    97,951
CAMERON INTERNATIONAL CORP      EQUITY       13342B105    6829      74,000 SH          SOLE        3     24,900         --    49,100
CAMERON INTERNATIONAL CORP      EQUITY       13342B105   24985     270,720 SH          SOLE        1    270,720         --        --
CAMERON INTERNATIONAL CORP      EQUITY       13342B105     975      10,565 SH         DEFINED      4         --         --    10,565
CAMERON INTL CORP               FIXED INCOME 13342BAB1      37          31 PRN        DEFINED      4         --         --        --
CAMPBELL SOUP CO                EQUITY       134429109   15816     427,455 SH          SOLE        1    427,455         --        --
CAMPBELL SOUP CO                EQUITY       134429109     379       9,626 SH         DEFINED      4         --         --     9,626
CAMPBELL SOUP CO                EQUITY       134429109     392      10,583 SH          SOLE        2     10,583         --        --
CAN IMPERIAL BK OF COMMERCE     EQUITY       136069101     723       7,400 SH          OTHER       1         --      7,400        --
CANADIAN NATL RAILWAY CO        EQUITY       136375102     629      11,037 SH          OTHER       1         --     11,037        --
CANADIAN NATL RAILWAY CO        EQUITY       136375102     218       4,274 SH         DEFINED      4         --         --     4,274
CANADIAN NATURAL RESOURCES      EQUITY       136385101   12344     162,397 SH          OTHER       1         --    162,397        --
CANADIAN NATURAL RESOURCES      EQUITY       136385101    5581      73,376 SH         DEFINED      4         --         --    73,376
CANADIAN PACIFIC RAILWAY LTD    EQUITY       13645T100     218       3,127 SH          OTHER       1         --      3,127        --
CANADIAN PACIFIC RAILWAY LTD    EQUITY       13645T100     135       2,083 SH         DEFINED      4         --         --     2,083
CANADIAN SUPERIOR ENERGY INC    EQUITY       136644101       7       2,265 SH         DEFINED      4         --         --     2,265
CANARGO ENERGY CORP             EQUITY       137225108      13      15,400 SH         DEFINED      4         --         --    15,400
CANDELA CORP                    EQUITY       136907102      47       5,517 SH         DEFINED      4         --         --     5,517
CANETIC RESOURCES TRUST         EQUITY       137513107      57       3,999 SH          OTHER       1         --      3,999        --
CANETIC RESOURCES TRUST         EQUITY       137513107    1178      76,864 SH         DEFINED      4         --         --    76,864
CANTEL MEDICAL CORP             EQUITY       138098108     157      10,026 SH          SOLE        1     10,026         --        --
CANTEL MEDICAL CORP             EQUITY       138098108      13         847 SH         DEFINED      4         --         --       847
CANTERBURY PARK HOLDING CORP    EQUITY       13811E101      26       1,900 SH         DEFINED      4         --         --     1,900
CAPE FEAR BANK CORP             EQUITY       139380109       4         343 SH         DEFINED      4         --         --       343
CAPELLA EDUCATION CO            EQUITY       139594105     524       9,372 SH          SOLE        1      9,372         --        --
CAPELLA EDUCATION CO            EQUITY       139594105     116       2,083 SH         DEFINED      4         --         --     2,083
CAPELLA EDUCATION CO            EQUITY       139594105     660      11,800 SH          SOLE        2     11,800         --        --
CAPITAL CITY BANK GROUP INC     EQUITY       139674105     346      11,081 SH          SOLE        1     11,081         --        --
CAPITAL CITY BANK GROUP INC     EQUITY       139674105      70       2,215 SH         DEFINED      4         --         --     2,215
CAPITAL CORP OF THE WEST        EQUITY       140065202     153       8,311 SH          SOLE        1      8,311         --        --
CAPITAL CORP OF THE WEST        EQUITY       140065202     148       6,035 SH         DEFINED      4         --         --     6,035
CAPITAL CROSSING PFD CAP        EQUITY       14007R401       5         200 SH         DEFINED      4         --         --       200
CAPITAL ONE FINANCIAL CORP      EQUITY       14040H105   11808     177,758 SH          SOLE        1    177,758         --        --
CAPITAL ONE FINANCIAL CORP      EQUITY       14040H105    1704      25,647 SH         DEFINED      4         --         --    25,647
CAPITAL ONE FINANCIAL CORP      EQUITY       14040H105      35         527 SH          SOLE        2        527         --        --
CAPITAL SENIOR LIVING CORP      EQUITY       140475104     170      20,213 SH          SOLE        1     20,213         --        --





                                                                                          
CAPITAL SOUTHWEST CORP          EQUITY       140501107     326       2,656 SH          SOLE        1      2,656         --        --
CAPITALSOURCE INC               EQUITY       14055X102      10         485 SH          SOLE        1        485         --        --
CAPITALSOURCE INC               EQUITY       14055X102    1167      43,879 SH         DEFINED      4         --         --    43,879
CAPITOL BANCORP LTD             EQUITY       14056D105    1520      61,197 SH          SOLE        1     61,197         --        --
CAPITOL BANCORP LTD             EQUITY       14056D105      61       1,961 SH         DEFINED      4         --         --     1,961
CAPITOL FEDERAL FINANCIAL       EQUITY       14057C106      30         890 SH          SOLE        1        890         --        --
CAPLEASE INC                    EQUITY       140288101     388      37,848 SH          SOLE        1     37,848         --        --
CAPSTEAD MORTGAGE               EQUITY       14067E308     315      24,976 SH         DEFINED      4         --         --    24,976
CAPSTEAD MORTGAGE CORP          EQUITY       14067E506      22       2,140 SH         DEFINED      4         --         --     2,140
CAPSTONE TURBINE CORP           EQUITY       14067D102      33       34395 SH         DEFINED      4         --         --        --
CAPTARIS INC                    EQUITY       14071N104      18       3,430 SH          SOLE        1      3,430         --        --
CARACO PHARM LABS LTD           EQUITY       14075T107     133       8,706 SH          SOLE        1      8,706         --        --
CARAUSTAR INDUSTRIES INC        EQUITY       140909102      16       3,664 SH          SOLE        1      3,664         --        --
CARBO CERAMICS INC              EQUITY       140781105    1026      20,226 SH          SOLE        1     20,226         --        --
CARBO CERAMICS INC              EQUITY       140781105      32         729 SH         DEFINED      4         --         --       729
CARDERO RESOURCE CORP           EQUITY       14140U105      14       8,000 SH         DEFINED      4         --         --     8,000
CARDIAC SCIENCE CORP            EQUITY       14141A108     991      98,300 SH          SOLE        1     98,300         --        --
CARDIAC SCIENCE CORP            EQUITY       14141A108    3743     371,300 SH          SOLE        3    325,600         --    45,700
CARDIAC SCIENCE CORP            EQUITY       14141A108      72       7,030 SH         DEFINED      4         --         --     7,030
CARDINAL FINANCIAL CORP         EQUITY       14149F109      23        2342 SH         DEFINED      4         --         --        --
CARDINAL HEALTH INC             EQUITY       14149Y108   25805     412,677 SH          SOLE        1    412,677         --        --
CARDINAL HEALTH INC             EQUITY       14149Y108    2185      30,794 SH         DEFINED      4         --         --    30,794
CARDINAL HEALTH INC             EQUITY       14149Y108      29         460 SH          SOLE        2        460         --        --
CARDIODYNAMICS INTL CORP        EQUITY       141597104       3       4,050 SH         DEFINED      4         --         --     4,050
CARDIOME PHARMA CORPORATION     EQUITY       14159U202     905      96,200 SH          OTHER       1         --     96,200        --
CARDIOME PHARMA CORPORATION     EQUITY       14159U202       5         500 SH         DEFINED      4         --         --       500
CARDIOTECH INTL INC             EQUITY       14160C100       9       6,200 SH         DEFINED      4         --         --     6,200
CAREER EDUCATION CORP           EQUITY       141665109    6323     225,908 SH          SOLE        1    225,908         --        --
CAREER EDUCATION CORP           EQUITY       141665109      69       2,448 SH         DEFINED      4         --         --     2,448
CARIBOU COFFEE CO INC           EQUITY       142042209      21       3,100 SH         DEFINED      4         --         --     3,100
CARLISLE COS INC                EQUITY       142339100    7550     155,360 SH          SOLE        1    155,360         --        --
CARLISLE COS INC                EQUITY       142339100     109       2,556 SH         DEFINED      4         --         --     2,556
CARMAX INC                      EQUITY       143130102   10971     539,629 SH          SOLE        1    539,629         --        --
CARMAX INC                      EQUITY       143130102     215       8,401 SH         DEFINED      4         --         --     8,401
CARMIKE CINEMAS INC             EQUITY       143436400     201      10,965 SH          SOLE        1     10,965         --        --
CARNIVAL CORP                   EQUITY       143658300    9021     186,278 SH          SOLE        1    186,278         --        --
CARNIVAL CORP                   EQUITY       143658300    3132      64,668 SH          SOLE        2     64,668         --        --
CARNIVAL CORP                   FIXED INCOME 143658AN2      31          25 PRN        DEFINED      4         --         --        --
CARPENTER TECHNOLOGY            EQUITY       144285103    8412      64,706 SH          SOLE        1     64,706         --        --
CARPENTER TECHNOLOGY            EQUITY       144285103      43         328 SH         DEFINED      4         --         --       328
CARRIAGE SERVICES INC           EQUITY       143905107       1         128 SH         DEFINED      4         --         --       128
CARRIZO OIL & GAS INC           EQUITY       144577103     886      19,752 SH          SOLE        1     19,752         --        --
CARRIZO OIL & GAS INC           EQUITY       144577103     145       3,800 SH         DEFINED      4         --         --     3,800
CARROLS RESTAURANT GROUP INC    EQUITY       14574X104      97       8,627 SH          SOLE        1      8,627         --        --
CARTER'S INC                    EQUITY       146229109    2425     121,568 SH          SOLE        1    121,568         --        --
CARTER'S INC                    EQUITY       146229109      48       1,865 SH         DEFINED      4         --         --     1,865
CASCADE BANCORP                 EQUITY       147154108     515      23,116 SH          SOLE        1     23,116         --        --
CASCADE BANCORP                 EQUITY       147154108      86       3,850 SH         DEFINED      4         --         --     3,850
CASCADE CORP                    EQUITY       147195101     749      11,499 SH          SOLE        1     11,499         --        --
CASCADE CORP                    EQUITY       147195101     290       4,520 SH         DEFINED      4         --         --     4,520
CASCADE FINANCIAL CORP          EQUITY       147272108     132       8,024 SH         DEFINED      4         --         --     8,024
CASELLA WASTE SYSTEMS INC-A     EQUITY       147448104     248      19,774 SH          SOLE        1     19,774         --        --
CASELLA WASTE SYSTEMS INC-A     EQUITY       147448104       1          60 SH         DEFINED      4         --         --        60
CASEY'S GENERAL STORES INC      EQUITY       147528103    1396      50,391 SH          SOLE        1     50,391         --        --
CASEY'S GENERAL STORES INC      EQUITY       147528103     174       6,264 SH         DEFINED      4         --         --     6,264
CASH AMERICA INTL INC           EQUITY       14754D100    1112      29,587 SH          SOLE        1     29,587         --        --
CASH AMERICA INTL INC           EQUITY       14754D100     116       2,722 SH         DEFINED      4         --         --     2,722
CASS INFORMATION SYSTEMS INC    EQUITY       14808P109     197       5,498 SH          SOLE        1      5,498         --        --
CASTLE (A.M.) & CO              EQUITY       148411101     387      11,880 SH          SOLE        1     11,880         --        --
CASTLE (A.M.) & CO              EQUITY       148411101      14         420 SH         DEFINED      4         --         --       420
CASUAL MALE RETAIL GROUP INC    EQUITY       148711104     283      31,556 SH          SOLE        1     31,556         --        --
CATALINA MARKETING CORP         EQUITY       148867104    3965     122,400 SH          SOLE        1    122,400         --        --
CATALYTICA ENERGY SYSTEMS       EQUITY       148884109       2       1,213 SH         DEFINED      4         --         --     1,213
CATAPULT COMMUNICATIONS CORP    EQUITY       149016107       9       1,185 SH          SOLE        1      1,185         --        --
CATERPILLAR INC                 EQUITY       149123101   48198     614,536 SH          SOLE        1    614,536         --        --
CATERPILLAR INC                 EQUITY       149123101    7056      89,968 SH         DEFINED      4         --         --    89,968
CATERPILLAR INC                 EQUITY       149123101    2510      32,006 SH          SOLE        2     32,006         --        --
CATHAY GENERAL BANCORP          EQUITY       149150104    5408     167,886 SH          SOLE        1    167,886         --        --
CATHAY GENERAL BANCORP          EQUITY       149150104     139       4,316 SH         DEFINED      4         --         --     4,316
CATO CORP-CL A                  EQUITY       149205106     616      30,147 SH          SOLE        1     30,147         --        --
CAVALIER HOMES INC              EQUITY       149507105       2         337 SH         DEFINED      4         --         --       337
CAVCO INDUSTRIES INC            EQUITY       149568107       4         112 SH         DEFINED      4         --         --       112
CAVIUM NETWORKS INC             EQUITY       14965A101     191       5,869 SH          SOLE        1      5,869         --        --





                                                                                          
CB RICHARD ELLIS GROUP INC-A    EQUITY       12497T101    2448      87,940 SH          SOLE        1     87,940         --        --
CB RICHARD ELLIS GROUP INC-A    EQUITY       12497T101      58       2,101 SH         DEFINED      4         --         --     2,101
CB RICHARD ELLIS GROUP INC-A    EQUITY       12497T101       7         249 SH          SOLE        2        249         --        --
CBEYOND INC                     EQUITY       149847105     734      17,987 SH          SOLE        1     17,987         --        --
CBEYOND INC                     EQUITY       149847105      13         325 SH         DEFINED      4         --         --       325
CBIZ INC                        EQUITY       124805102     330      41,467 SH          SOLE        1     41,467         --        --
CBIZ INC                        EQUITY       124805102      14       1,900 SH         DEFINED      4         --         --     1,900
CBL & ASSOCIATES PROPERTIES     EQUITY       124830100      87       2,472 SH          SOLE        1      2,472         --        --
CBL & ASSOCIATES PROPERTIES     EQUITY       124830100      80       2,287 SH         DEFINED      4         --         --     2,287
CBRE REALTY FINANCE INC         EQUITY       12498B307     150      25,374 SH          SOLE        1     25,374         --        --
CBRL GROUP INC                  EQUITY       12489V106    3340      81,867 SH          SOLE        1     81,867         --        --
CBRL GROUP INC                  EQUITY       12489V106     559      12,144 SH         DEFINED      4         --         --    12,144
CBS CORP-CLASS A                EQUITY       124857103       8         236 SH         DEFINED      4         --         --       236
CBS CORP-CLASS B                EQUITY       124857202   10866     344,938 SH          SOLE        1    344,938         --        --
CBS CORP-CLASS B                EQUITY       124857202    1254      39,819 SH         DEFINED      4         --         --    39,819
CBS CORP-CLASS B                EQUITY       124857202      27         864 SH          SOLE        2        864         --        --
CCA INDUSTRIES INC              EQUITY       124867102      13       1,291 SH         DEFINED      4         --         --     1,291
C-COR INC                       EQUITY       125010108     570      49,582 SH          SOLE        1     49,582         --        --
CDC CORP-CL A                   EQUITY       G2022L106      21       2,904 SH         DEFINED      4         --         --     2,904
CDI CORP                        EQUITY       125071100     360      12,925 SH          SOLE        1     12,925         --        --
CDW CORP                        EQUITY       12512N105   26712     306,336 SH          SOLE        1    306,336         --        --
CDW CORP                        EQUITY       12512N105     154       2,088 SH         DEFINED      4         --         --     2,088
CEC ENTERTAINMENT INC           EQUITY       125137109     779      29,000 SH          SOLE        1     29,000         --        --
CEC ENTERTAINMENT INC           EQUITY       125137109      16         427 SH         DEFINED      4         --         --       427
CEDAR FAIR  -LP                 EQUITY       150185106     949      32,664 SH         DEFINED      4         --         --    32,664
CEDAR SHOPPING CENTERS INC      EQUITY       150602209      19       1,145 SH         DEFINED      4         --         --     1,145
CELADON GROUP INC               EQUITY       150838100     242      20,548 SH          SOLE        1     20,548         --        --
CELADON GROUP INC               EQUITY       150838100       1          88 SH         DEFINED      4         --         --        88
CELANESE CORP-SERIES A          EQUITY       150870103     170       4,353 SH          SOLE        1      4,353         --        --
CELANESE CORP-SERIES A          EQUITY       150870103     512      13,130 SH         DEFINED      4         --         --    13,130
CELESTICA INC                   EQUITY       15101Q108      18       2,944 SH          OTHER       1         --      2,944        --
CELESTICA INC                   EQUITY       15101Q108      24       3,995 SH         DEFINED      4         --         --     3,995
CELGENE CORP                    EQUITY       151020104   14158     198,536 SH          SOLE        1    198,536         --        --
CELGENE CORP                    EQUITY       151020104    3876      54,359 SH         DEFINED      4         --         --    54,359
CELGENE CORP                    EQUITY       151020104    4598      64,483 SH          SOLE        2     64,483         --        --
CELL GENESYS INC                EQUITY       150921104     242      63,457 SH          SOLE        1     63,457         --        --
CELL GENESYS INC                EQUITY       150921104      73      18,991 SH         DEFINED      4         --         --    18,991
CELL THERAPEUTICS INC           EQUITY       150934404      77      13,804 SH         DEFINED      4         --         --    13,804
CEL-SCI CORP                    EQUITY       150837409      22      23,525 SH         DEFINED      4         --         --    23,525
CELSION CORP                    EQUITY       15117N305     108       26097 SH         DEFINED      4         --         --        --
CEMEX SAB-SPONS ADR PART CER    EQUITY       151290889    1518      43,492 SH         DEFINED      4         --         --    43,492
CEMIG SA -SPONS ADR             EQUITY       204409601      16         300 SH         DEFINED      4         --         --       300
CENTENE CORP                    EQUITY       15135B101     936      43,498 SH          SOLE        1     43,498         --        --
CENTENE CORP                    EQUITY       15135B101      88       4,020 SH         DEFINED      4         --         --     4,020
CENTENNIAL BANK HOLDINGS INC    EQUITY       151345303     309      48,220 SH          SOLE        1     48,220         --        --
CENTENNIAL COMMUNICATIONS CP    EQUITY       15133V208    1059     104,664 SH          SOLE        1    104,664         --        --
CENTENNIAL COMMUNICATIONS CP    EQUITY       15133V208       1         135 SH         DEFINED      4         --         --       135
CENTER FINANCIAL CORP           EQUITY       15146E102     122       8,738 SH          SOLE        1      8,738         --        --
CENTERLINE HOLDING CO           EQUITY       15188T108    4409     287,223 SH          SOLE        1    287,223         --        --
CENTERLINE HOLDING CO           EQUITY       15188T108     441      28,720 SH         DEFINED      4         --         --    28,720
CENTERPLATE INC-IDS             EQUITY       15200E204     797      42,785 SH         DEFINED      4         --         --    42,785
CENTERPOINT ENERGY INC          EQUITY       15189T107    7061     437,354 SH          SOLE        1    437,354         --        --
CENTERPOINT ENERGY INC          EQUITY       15189T107     819      41,933 SH         DEFINED      4         --         --    41,933
CENTERPOINT ENERGY INC          EQUITY       15189T107       6         405 SH          SOLE        2        405         --        --
CENTERPOINT ENERGY INC          FIXED INCOME 15189TAM9      19          11 PRN        DEFINED      4         --         --        --
CENTERSTATE BANKS OF FLORIDA    EQUITY       15201P109     264      16,700 SH         DEFINED      4         --         --    16,700
CENTEX CORP                     EQUITY       152312104    1573      59,211 SH          SOLE        1     59,211         --        --
CENTEX CORP                     EQUITY       152312104       4         151 SH          SOLE        2        151         --        --
CENTILLIUM COMMUNICATIONS IN    EQUITY       152319109       1         500 SH         DEFINED      4         --         --       500
CENTRAL EURO DISTRIBUTION CP    EQUITY       153435102    1475      30,783 SH          SOLE        1     30,783         --        --
CENTRAL EURO DISTRIBUTION CP    EQUITY       153435102      28         875 SH         DEFINED      4         --         --       875
CENTRAL EUROPE & RUSSIA FUND    EQUITY       153436100     753      13,440 SH         DEFINED      4         --         --    13,440
CENTRAL EUROPEAN MEDIA ENT-A    EQUITY       G20045202      19         200 SH         DEFINED      4         --         --       200
CENTRAL FEDERAL CORP            EQUITY       15346Q103       3         600 SH         DEFINED      4         --         --       600
CENTRAL FUND CANADA CL A        EQUITY       153501101      65       6,607 SH         DEFINED      4         --         --     6,607
CENTRAL GARDEN & PET CO         EQUITY       153527106      47       3,000 SH         DEFINED      4         --         --     3,000
CENTRAL GARDEN AND PET CO-A     EQUITY       153527205     628      69,918 SH          SOLE        1     69,918         --        --
CENTRAL GARDEN AND PET CO-A     EQUITY       153527205      87       5,900 SH         DEFINED      4         --         --     5,900
CENTRAL PACIFIC FINANCIAL CO    EQUITY       154760102     894      30,614 SH          SOLE        1     30,614         --        --
CENTRAL PACIFIC FINANCIAL CO    EQUITY       154760102      42       1,200 SH         DEFINED      4         --         --     1,200
CENTRAL SECURITIES CORP         EQUITY       155123102     132       4,669 SH         DEFINED      4         --         --     4,669
CENTRAL VERMONT PUBLIC SERV     EQUITY       155771108     372      10,182 SH          SOLE        1     10,182         --        --
CENTRAL VERMONT PUBLIC SERV     EQUITY       155771108      90       2,646 SH         DEFINED      4         --         --     2,646





                                                                                          
CENTRAL VIRGINIA BANKSHARES     EQUITY       155792104      13         523 SH         DEFINED      4         --         --       523
CENTURY ALUMINUM COMPANY        EQUITY       156431108    1534      29,127 SH          SOLE        1     29,127         --        --
CENTURY ALUMINUM COMPANY        EQUITY       156431108      19         350 SH         DEFINED      4         --         --       350
CENTURYTEL INC                  EQUITY       156700106    7724     167,122 SH          SOLE        1    167,122         --        --
CENTURYTEL INC                  EQUITY       156700106       7         141 SH          SOLE        2        141         --        --
CENVEO INC                      EQUITY       15670S105    1012      46,764 SH          SOLE        1     46,764         --        --
CENVEO INC                      EQUITY       15670S105     165       7,625 SH         DEFINED      4         --         --     7,625
CENVEO INC                      EQUITY       15670S105    8598     397,500 SH          SOLE        2    397,500         --        --
CEPHALON INC                    EQUITY       156708109   14569     199,528 SH          SOLE        1    199,528         --        --
CEPHALON INC                    EQUITY       156708109     229       3,141 SH         DEFINED      4         --         --     3,141
CEPHALON INC                    FIXED INCOME 156708AK5       3           2 PRN        DEFINED      4         --         --        --
CEPHEID INC                     EQUITY       15670R107    1094      47,986 SH          SOLE        1     47,986         --        --
CEPHEID INC                     EQUITY       15670R107    1503      65,900 SH          SOLE        3     49,900         --    16,000
CEPHEID INC                     EQUITY       15670R107      87       7,045 SH         DEFINED      4         --         --     7,045
CEPHEID INC                     EQUITY       15670R107     901      39,500 SH          SOLE        2     39,500         --        --
CERADYNE INC                    EQUITY       156710105    2055      27,126 SH          SOLE        1     27,126         --        --
CERADYNE INC                    EQUITY       156710105     611       9,399 SH         DEFINED      4         --         --     9,399
CERADYNE INC                    EQUITY       156710105     613       8,100 SH          SOLE        2      8,100         --        --
CERAGON NETWORKS LTD            EQUITY       M22013102    5073     267,000 SH          SOLE        3    228,702         --    38,298
CERIDIAN CORP                   EQUITY       156779100   12471     358,981 SH          SOLE        1    358,981         --        --
CERNER CORP                     EQUITY       156782104    9716     162,445 SH          SOLE        1    162,445         --        --
CERNER CORP                     EQUITY       156782104     244       4,526 SH         DEFINED      4         --         --     4,526
CERUS CORP                      EQUITY       157085101      19       3,200 SH         DEFINED      4         --         --     3,200
CEVA INC                        EQUITY       157210105       1         116 SH         DEFINED      4         --         --       116
CF INDUSTRIES HOLDINGS INC      EQUITY       125269100    3662      48,239 SH          SOLE        1     48,239         --        --
CF INDUSTRIES HOLDINGS INC      EQUITY       125269100     170       4,131 SH         DEFINED      4         --         --     4,131
CGI GROUP INC - CL A            EQUITY       39945C109      57       4,997 SH          OTHER       1         --      4,997        --
CGI GROUP INC - CL A            EQUITY       39945C109      16       1,410 SH         DEFINED      4         --         --     1,410
CH ENERGY GROUP INC             EQUITY       12541M102     737      15,415 SH          SOLE        1     15,415         --        --
CH ENERGY GROUP INC             EQUITY       12541M102     166       3,363 SH         DEFINED      4         --         --     3,363
CHAMPION ENTERPRISES INC        EQUITY       158496109     841      76,564 SH          SOLE        1     76,564         --        --
CHAMPION ENTERPRISES INC        EQUITY       158496109      28       2,680 SH         DEFINED      4         --         --     2,680
CHAMPION INDUSTRIES INC/WV      EQUITY       158520106       1         115 SH         DEFINED      4         --         --       115
CHAMPPS ENTERTAINMENT INC       EQUITY       158787101       4         750 SH         DEFINED      4         --         --       750
CHARLES RIVER LABORATORI        FIXED INCOME 159864AB3      35          30 PRN        DEFINED      4         --         --        --
CHARLES RIVER LABORATORIES      EQUITY       159864107    9485     168,922 SH          SOLE        1    168,922         --        --
CHARLES RIVER LABORATORIES      EQUITY       159864107      21         366 SH         DEFINED      4         --         --       366
CHARLOTTE RUSSE HOLDING INC     EQUITY       161048103     370      25,299 SH          SOLE        1     25,299         --        --
CHARLOTTE RUSSE HOLDING INC     EQUITY       161048103    2703     184,600 SH          SOLE        2    184,600         --        --
CHARMING SHOPPES                EQUITY       161133103    3446     410,179 SH          SOLE        1    410,179         --        --
CHARMING SHOPPES                EQUITY       161133103      79       6,394 SH         DEFINED      4         --         --     6,394
CHART INDUSTRIES INC            EQUITY       16115Q308     355      11,047 SH          SOLE        1     11,047         --        --
CHART INDUSTRIES INC            EQUITY       16115Q308     141       4,388 SH         DEFINED      4         --         --     4,388
CHARTER COMMUNICATIONS-CL A     EQUITY       16117M107     918     355,941 SH          SOLE        1    355,941         --        --
CHARTER COMMUNICATIONS-CL A     EQUITY       16117M107      65      25,266 SH         DEFINED      4         --         --    25,266
CHARTWELL DIV & INC FUND INC    EQUITY       16139P104      37       3,555 SH         DEFINED      4         --         --     3,555
CHASE CORP                      EQUITY       16150R104       5         260 SH         DEFINED      4         --         --       260
CHATTEM INC                     EQUITY       162456107    1212      17,185 SH          SOLE        1     17,185         --        --
CHATTEM INC                     EQUITY       162456107     278       4,749 SH         DEFINED      4         --         --     4,749
CHC HELICOPTER CORP-CL A        EQUITY       12541C203       5         250 SH         DEFINED      4         --         --       250
CHECK POINT SOFTWARE TECH       EQUITY       M22465104     408      16,881 SH         DEFINED      4         --         --    16,881
CHECKFREE CORP                  EQUITY       162813109   10420     223,883 SH          SOLE        1    223,883         --        --
CHECKFREE CORP                  EQUITY       162813109     202       5,776 SH         DEFINED      4         --         --     5,776
CHECKPOINT SYSTEMS INC          EQUITY       162825103    1037      39,303 SH          SOLE        1     39,303         --        --
CHECKPOINT SYSTEMS INC          EQUITY       162825103     122       4,625 SH         DEFINED      4         --         --     4,625
CHEESECAKE FACTORY (THE)        EQUITY       163072101    4160     177,260 SH          SOLE        1    177,260         --        --
CHEESECAKE FACTORY (THE)        EQUITY       163072101     185       6,584 SH         DEFINED      4         --         --     6,584
CHEMED CORP                     EQUITY       16359R103    1552      24,972 SH          SOLE        1     24,972         --        --
CHEMED CORP                     EQUITY       16359R103      89       1,418 SH         DEFINED      4         --         --     1,418
CHEMED CORP                     EQUITY       16359R103     839      13,500 SH          SOLE        2     13,500         --        --
CHEMICAL FINANCIAL CORP         EQUITY       163731102     523      21,582 SH          SOLE        1     21,582         --        --
CHEMICAL FINANCIAL CORP         EQUITY       163731102     229       8,236 SH         DEFINED      4         --         --     8,236
CHEMTURA CORP                   EQUITY       163893100    5378     604,937 SH          SOLE        1    604,937         --        --
CHEMTURA CORP                   EQUITY       163893100     189      16,903 SH         DEFINED      4         --         --    16,903
CHENIERE ENERGY INC             EQUITY       16411R208      42       1,075 SH          SOLE        1      1,075         --        --
CHENIERE ENERGY INC             EQUITY       16411R208    1243      37,036 SH         DEFINED      4         --         --    37,036
CHEROKEE INC                    EQUITY       16444H102     250       6,522 SH          SOLE        1      6,522         --        --
CHEROKEE INC                    EQUITY       16444H102    1815      39,292 SH         DEFINED      4         --         --    39,292
CHESAPEAKE CORP                 EQUITY       165159104     168      19,837 SH          SOLE        1     19,837         --        --
CHESAPEAKE CORP                 EQUITY       165159104      17       1,215 SH         DEFINED      4         --         --     1,215
CHESAPEAKE ENERGY CORP          EQUITY       165167107   16993     481,940 SH          SOLE        1    481,940         --        --
CHESAPEAKE ENERGY CORP          EQUITY       165167842      10         100 SH         DEFINED      4         --         --        --
CHESAPEAKE ENERGY CORP          EQUITY       165167107    8700     244,309 SH         DEFINED      4         --         --   244,309





                                                                                          
CHESAPEAKE ENERGY CORP          EQUITY       165167107      18         517 SH          SOLE        2        517         --        --
CHEVRON CORP                    EQUITY       166764100  247751   2,647,027 SH          SOLE        1  2,647,027         --        --
CHEVRON CORP                    EQUITY       166764100   32829     350,816 SH         DEFINED      4         --         --   350,816
CHEVRON CORP                    EQUITY       166764100   20596     220,088 SH          SOLE        2    220,088         --        --
CHICAGO BRIDGE & IRON-NY SHR    EQUITY       167250109    1421      33,000 SH          SOLE        1     33,000         --        --
CHICAGO BRIDGE & IRON-NY SHR    EQUITY       167250109      76       2,149 SH         DEFINED      4         --         --     2,149
CHICO'S FAS INC                 EQUITY       168615102    6120     435,600 SH          SOLE        1    435,600         --        --
CHICO'S FAS INC                 EQUITY       168615102    1890      72,259 SH         DEFINED      4         --         --    72,259
CHILDREN'S PLACE                EQUITY       168905107     548      22,557 SH          SOLE        1     22,557         --        --
CHILDREN'S PLACE                EQUITY       168905107      37         700 SH         DEFINED      4         --         --       700
CHINA AUTOMOTIVE SYSTEMS INC    EQUITY       16936R105       2         250 SH         DEFINED      4         --         --        --
CHINA BAK BATTERY INC           EQUITY       16936Y100      19       5,550 SH         DEFINED      4         --         --     5,550
CHINA FIRE & SECURITY GROUP     EQUITY       16938R103      19       1,600 SH         DEFINED      4         --         --     1,600
CHINA FUND INC                  EQUITY       169373107      83       1,684 SH         DEFINED      4         --         --     1,684
CHINA GRENTECH CORP LTD-ADR     EQUITY       16938P107      89       9,050 SH         DEFINED      4         --         --     9,050
CHINA LIFE INSURANCE CO-ADR     EQUITY       16939P106      85         981 SH         DEFINED      4         --         --       981
CHINA MOBILE LTD-SPON ADR       EQUITY       16941M109   35336     430,721 SH          SOLE        1    430,721         --        --
CHINA MOBILE LTD-SPON ADR       EQUITY       16941M109     466      10,015 SH         DEFINED      4         --         --    10,015
CHINA NATURAL RESOURCES INC     EQUITY       G2110U109      11       1,000 SH         DEFINED      4         --         --     1,000
CHINA NETCOM GROUP-SPON ADR     EQUITY       16940Q101     117       2,367 SH         DEFINED      4         --         --     2,367
CHINA PETROLEUM & CHEM-ADR      EQUITY       16941R108    1504      12,214 SH         DEFINED      4         --         --    12,214
CHINA PRECISION STEEL INC       EQUITY       16941J106      28       6,246 SH         DEFINED      4         --         --     6,246
CHINA SOUTHERN AIR-SP ADR       EQUITY       169409109       4          50 SH         DEFINED      4         --         --        50
CHINA TELECOM CORP LTD-ADR      EQUITY       169426103      68       1,335 SH         DEFINED      4         --         --     1,335
CHINA UNICOM -ADR               EQUITY       16945R104      18         852 SH         DEFINED      4         --         --       852
CHINA YUCHAI INTL LTD           EQUITY       G21082105      85       8,325 SH         DEFINED      4         --         --     8,325
CHIPMOS TECHNOLOGIES BERMUDA    EQUITY       G2110R106     102      17,000 SH         DEFINED      4         --         --    17,000
CHIPOTLE MEXICAN GRI-CLASS B    EQUITY       169656204    3056      28,557 SH          SOLE        1     28,557         --        --
CHIPOTLE MEXICAN GRI-CLASS B    EQUITY       169656204      24         224 SH         DEFINED      4         --         --       224
CHIPOTLE MEXICAN GRILL-CL A     EQUITY       169656105     208       1,764 SH         DEFINED      4         --         --     1,764
CHIQUITA BRANDS INTL            EQUITY       170032809     586      37,017 SH          SOLE        1     37,017         --        --
CHIQUITA BRANDS INTL-WT09       EQUITY       170032114       1         346 SH         DEFINED      4         --         --       346
CHITTENDEN CORP                 EQUITY       170228100    1618      46,026 SH          SOLE        1     46,026         --        --
CHITTENDEN CORP                 EQUITY       170228100       3          85 SH         DEFINED      4         --         --        85
CHOICE HOTELS INTL INC          EQUITY       169905106      60       1,597 SH          SOLE        1      1,597         --        --
CHOICE HOTELS INTL INC          EQUITY       169905106      30         808 SH         DEFINED      4         --         --       808
CHOICEPOINT INC                 EQUITY       170388102    7095     187,115 SH          SOLE        1    187,115         --        --
CHOICEPOINT INC                 EQUITY       170388102      65       1,693 SH         DEFINED      4         --         --     1,693
CHORDIANT SOFTWARE INC          EQUITY       170404305     396      28,578 SH          SOLE        1     28,578         --        --
CHORDIANT SOFTWARE INC          EQUITY       170404305       4         310 SH         DEFINED      4         --         --       310
CHRISTOPHER & BANKS CORP        EQUITY       171046105     438      36,168 SH          SOLE        1     36,168         --        --
CHRISTOPHER & BANKS CORP        EQUITY       171046105       5         445 SH         DEFINED      4         --         --       445
CHUBB CORP                      EQUITY       171232101   26359     493,322 SH          SOLE        1    493,322         --        --
CHUBB CORP                      EQUITY       171232101    6227     116,096 SH          SOLE        2    116,096         --        --
CHUNGHWA TELECOM CO LTD-ADR     EQUITY       17133Q205     230      12,443 SH         DEFINED      4         --         --    12,443
CHURCH & DWIGHT CO INC          EQUITY       171340102    7705     163,798 SH          SOLE        1    163,798         --        --
CHURCH & DWIGHT CO INC          EQUITY       171340102     730      15,521 SH         DEFINED      4         --         --    15,521
CHURCHILL DOWNS INC             EQUITY       171484108     412       8,248 SH          SOLE        1      8,248         --        --
CHURCHILL DOWNS INC             EQUITY       171484108      12         250 SH         DEFINED      4         --         --       250
CIA CERVECERIAS UNIDAS-ADR      EQUITY       204429104     111       2,955 SH         DEFINED      4         --         --     2,955
CIA DE MINAS BUENAVENTUR-ADR    EQUITY       204448104      17         500 SH         DEFINED      4         --         --       500
CIA PARANAENSE ENER-SP ADR P    EQUITY       20441B407       3         200 SH         DEFINED      4         --         --       200
CIA SANEAMENTO BASICO DE-ADR    EQUITY       20441A102      57       1,550 SH         DEFINED      4         --         --     1,550
CIA SIDERURGICA NACL-SP ADR     EQUITY       20440W105      66       1,448 SH         DEFINED      4         --         --     1,448
CIA VALE DO RIO DOCE-ADR        EQUITY       204412209   42262   1,245,570 SH          SOLE        1  1,245,570         --        --
CIA VALE DO RIO DOCE-ADR        EQUITY       204412209   19515     575,159 SH         DEFINED      4         --         --   575,159
CIA VALE DO RIO DOCE-SP ADR     EQUITY       204412100      42       1,166 SH         DEFINED      4         --         --     1,166
CIBER INC                       EQUITY       17163B102     424      54,266 SH          SOLE        1     54,266         --        --
CIBER INC                       EQUITY       17163B102       8         952 SH         DEFINED      4         --         --       952
CIE GEN GEOPHYSIQUE-SP ADR      EQUITY       204386106     167       2,558 SH         DEFINED      4         --         --     2,558
CIENA CORP                      EQUITY       171779309    1447      37,991 SH          SOLE        1     37,991         --        --
CIENA CORP                      EQUITY       171779309     128       3,374 SH         DEFINED      4         --         --     3,374
CIENA CORP                      EQUITY       171779309     648      17,008 SH          SOLE        2     17,008         --        --
CIGNA CORP                      EQUITY       125509109   17178     323,841 SH          SOLE        1    323,841         --        --
CIGNA CORP                      EQUITY       125509109     483       9,071 SH         DEFINED      4         --         --     9,071
CIGNA CORP                      EQUITY       125509109      19         357 SH          SOLE        2        357         --        --
CIMAREX ENERGY CO               EQUITY       171798101    7761     208,337 SH          SOLE        1    208,337         --        --
CIMATRON LTD                    EQUITY       M23798107       1         300 SH         DEFINED      4         --         --       300
CINCINNATI BELL INC             EQUITY       171871106    4090     827,894 SH          SOLE        1    827,894         --        --
CINCINNATI BELL INC             EQUITY       171871403       5         100 SH         DEFINED      4         --         --       100
CINCINNATI BELL INC             EQUITY       171871106      94      17,841 SH         DEFINED      4         --         --    17,841
CINCINNATI FINANCIAL CORP       EQUITY       172062101    4635     107,013 SH          SOLE        1    107,013         --        --
CINCINNATI FINANCIAL CORP       EQUITY       172062101     173       3,698 SH         DEFINED      4         --         --     3,698





                                                                                          
CINCINNATI FINANCIAL CORP       EQUITY       172062101       9         217 SH          SOLE        2        217         --        --
CINEMARK HOLDINGS INC           EQUITY       17243V102     452      24,352 SH          SOLE        1     24,352         --        --
CINTAS CORP                     EQUITY       172908105    2615      70,498 SH          SOLE        1     70,498         --        --
CINTAS CORP                     EQUITY       172908105     107       2,764 SH         DEFINED      4         --         --     2,764
CINTAS CORP                     EQUITY       172908105       6         170 SH          SOLE        2        170         --        --
CIRCOR INTERNATIONAL INC        EQUITY       17273K109     648      14,265 SH          SOLE        1     14,265         --        --
CIRCUIT CITY STORES INC         EQUITY       172737108    1207     152,571 SH          SOLE        1    152,571         --        --
CIRCUIT CITY STORES INC         EQUITY       172737108      90       5,556 SH         DEFINED      4         --         --     5,556
CIRCUIT CITY STORES INC         EQUITY       172737108       2         212 SH          SOLE        2        212         --        --
CIRRUS LOGIC INC                EQUITY       172755100     492      76,907 SH          SOLE        1     76,907         --        --
CIRRUS LOGIC INC                EQUITY       172755100      46       5,424 SH         DEFINED      4         --         --     5,424
CISCO SYSTEMS INC               EQUITY       17275R102  176274   5,323,495 SH          SOLE        1  5,323,495         --        --
CISCO SYSTEMS INC               EQUITY       17275R102   33770   1,214,322 SH         DEFINED      4         --         -- 1,214,322
CISCO SYSTEMS INC               EQUITY       17275R102   20958     632,980 SH          SOLE        2    632,980         --        --
CIT GROUP INC                   EQUITY       125581108   10907     271,287 SH          SOLE        1    271,287         --        --
CIT GROUP INC                   EQUITY       125581108     732      12,111 SH         DEFINED      4         --         --    12,111
CIT GROUP INC                   EQUITY       125581108      10         241 SH          SOLE        2        241         --        --
CITADEL BROADCASTING CORP       EQUITY       17285T106     661     158,784 SH          SOLE        1    158,784         --        --
CITADEL BROADCASTING CORP       EQUITY       17285T106     182      21,204 SH         DEFINED      4         --         --    21,204
CITI TRENDS INC                 EQUITY       17306X102     262      12,060 SH          SOLE        1     12,060         --        --
CITI TRENDS INC                 EQUITY       17306X102    3556     163,400 SH          SOLE        2    163,400         --        --
CITIGROUP INC                   EQUITY       172967101  209926   4,497,537 SH          SOLE        1  4,497,537         --        --
CITIGROUP INC                   EQUITY       172967101   24661     457,699 SH         DEFINED      4         --         --   457,699
CITIGROUP INC                   EQUITY       172967101   23662     507,012 SH          SOLE        2    507,012         --        --
CITIZENS COMMUNICATIONS CO      EQUITY       17453B101    9317     650,597 SH          SOLE        1    650,597         --        --
CITIZENS COMMUNICATIONS CO      EQUITY       17453B101    1196      83,527 SH         DEFINED      4         --         --    83,527
CITIZENS COMMUNICATIONS CO      EQUITY       17453B101       6         429 SH          SOLE        2        429         --        --
CITIZENS INC                    EQUITY       174740100     230      30,080 SH          SOLE        1     30,080         --        --
CITIZENS INC                    EQUITY       174740100      28       3,585 SH         DEFINED      4         --         --     3,585
CITIZENS REPUBLIC BANCORP IN    EQUITY       174420109    1062      65,930 SH          SOLE        1     65,930         --        --
CITIZENS REPUBLIC BANCORP IN    EQUITY       174420109     585      28,544 SH         DEFINED      4         --         --    28,544
CITIZENS SOUTH BANKING CORP     EQUITY       176682102       6         500 SH         DEFINED      4         --         --       500
CITIZENS UTILITIES TRUST        EQUITY       177351202       2          25 SH         DEFINED      4         --         --        25
CITRIX SYSTEMS INC              EQUITY       177376100    3634      90,122 SH          SOLE        1     90,122         --        --
CITRIX SYSTEMS INC              EQUITY       177376100     287       9,030 SH         DEFINED      4         --         --     9,030
CITRIX SYSTEMS INC              EQUITY       177376100       9         227 SH          SOLE        2        227         --        --
CITY BANK LYNNWOOD WA           EQUITY       17770A109     342      11,922 SH          SOLE        1     11,922         --        --
CITY BANK LYNNWOOD WA           EQUITY       17770A109     443      13,710 SH         DEFINED      4         --         --    13,710
CITY HOLDING CO                 EQUITY       177835105     543      14,921 SH          SOLE        1     14,921         --        --
CITY NATIONAL CORP              EQUITY       178566105    7158     102,983 SH          SOLE        1    102,983         --        --
CITY NATIONAL CORP              EQUITY       178566105       7         100 SH         DEFINED      4         --         --       100
CKE RESTAURANTS INC             EQUITY       12561E105    1019      62,870 SH          SOLE        1     62,870         --        --
CKE RESTAURANTS INC             EQUITY       12561E105      31       1,528 SH         DEFINED      4         --         --     1,528
CKX INC                         EQUITY       12562M106     405      32,922 SH          SOLE        1     32,922         --        --
CKX LANDS INC                   EQUITY       12562N104      13       1,000 SH         DEFINED      4         --         --     1,000
CLARCOR INC                     EQUITY       179895107    1742      50,932 SH          SOLE        1     50,932         --        --
CLARCOR INC                     EQUITY       179895107     155       4,894 SH         DEFINED      4         --         --     4,894
CLARIENT INC                    EQUITY       180489106      22      10,985 SH         DEFINED      4         --         --    10,985
CLAUDE RESOURCES INC            EQUITY       182873109       1         500 SH         DEFINED      4         --         --       500
CLAYMONT STEEL HOLDINGS INC     EQUITY       18382P104     153       7,568 SH          SOLE        1      7,568         --        --
CLAYMORE/BNY BRIC ETF           EQUITY       18383M100     200       4,134 SH         DEFINED      4         --         --     4,134
CLAYMORE/RAYMOND JAM SB-1 EQ    EQUITY       183833102      61       3,100 SH         DEFINED      4         --         --     3,100
CLAYMORE/SWM CANAD EN IN IN     EQUITY       18383Q606      10         375 SH         DEFINED      4         --         --       375
CLAYMORE/ZACKS SECTOR ROT ET    EQUITY       18383M407      58       1,879 SH         DEFINED      4         --         --     1,879
CLAYMORE/ZACKS YIELD HOG ETF    EQUITY       18383M506       3         100 SH         DEFINED      4         --         --       100
CLAYTON HOLDINGS INC            EQUITY       18418N107      83      10,391 SH          SOLE        1     10,391         --        --
CLAYTON WILLIAMS ENERGY INC     EQUITY       969490101     159       4,810 SH          SOLE        1      4,810         --        --
CLEAN ENERGY FUELS CORP         EQUITY       184499101     132       8,687 SH          SOLE        1      8,687         --        --
CLEAN HARBORS INC               EQUITY       184496107     643      14,451 SH          SOLE        1     14,451         --        --
CLEAN HARBORS INC               EQUITY       184496107      21         481 SH         DEFINED      4         --         --       481
CLEAR CHANNEL COMMUNICATIONS    EQUITY       184502102   15272     407,898 SH          SOLE        1    407,898         --        --
CLEAR CHANNEL COMMUNICATIONS    EQUITY       184502102     221       5,932 SH         DEFINED      4         --         --     5,932
CLEAR CHANNEL COMMUNICATIONS    EQUITY       184502102      24         628 SH          SOLE        2        628         --        --
CLEAR CHANNEL OUTDOOR-CL A      EQUITY       18451C109      56       2,195 SH          SOLE        1      2,195         --        --
CLEARONE COMMUNICATIONS INC     EQUITY       185060100       3         356 SH         DEFINED      4         --         --       356
CLEARWIRE CORP-CLASS A          EQUITY       185385309      21         874 SH          SOLE        1        874         --        --
CLEARWIRE CORP-CLASS A          EQUITY       185385309      21       1,130 SH         DEFINED      4         --         --     1,130
CLECO CORPORATION               EQUITY       12561W105    1504      59,530 SH          SOLE        1     59,530         --        --
CLECO CORPORATION               EQUITY       12561W105    3896     154,619 SH         DEFINED      4         --         --   154,619
CLEVELAND-CLIFFS INC            EQUITY       185896107    8957     101,815 SH          SOLE        1    101,815         --        --
CLIFTON SAVINGS BANCORP INC     EQUITY       18712Q103     123      10,382 SH          SOLE        1     10,382         --        --
CLIFTON SAVINGS BANCORP INC     EQUITY       18712Q103      38        3200 SH         DEFINED      4         --         --        --
CLINICAL DATA INC               EQUITY       18725U109       4          90 SH         DEFINED      4         --         --        90





                                                                                          
CLOROX COMPANY                  EQUITY       189054109    5367      87,993 SH          SOLE        1     87,993         --        --
CLOROX COMPANY                  EQUITY       189054109    3030      49,674 SH          SOLE        2     49,674         --        --
CLOUGH GLOBAL ALLOCATION FD     EQUITY       18913Y103       8         400 SH         DEFINED      4         --         --       400
CLOUGH GLOBAL EQUITY FUND       EQUITY       18914C100      61       2,950 SH         DEFINED      4         --         --     2,950
CME GROUP INC                   EQUITY       12572Q105   21702      36,977 SH          SOLE        1     36,977         --        --
CME GROUP INC                   EQUITY       12572Q105    3446       5,867 SH          SOLE        2      5,867         --        --
CMGI INC                        EQUITY       125750109     578     424,690 SH          SOLE        1    424,690         --        --
CMGI INC                        EQUITY       125750109      73      53,794 SH         DEFINED      4         --         --    53,794
CMS ENERGY CORP                 EQUITY       125896100    1767     105,030 SH          SOLE        1    105,030         --        --
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CMS ENERGY CORP                 EQUITY       125896100       5         283 SH          SOLE        2        283         --        --
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CNA SURETY CORP                 EQUITY       12612L108     254      14,383 SH          SOLE        1     14,383         --        --
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CNB FINANCIAL CORP/PA           EQUITY       126128107     147      10,350 SH         DEFINED      4         --         --    10,350
CNET NETWORKS INC               EQUITY       12613R104     981     131,714 SH          SOLE        1    131,714         --        --
CNET NETWORKS INC               EQUITY       12613R104     368      40,534 SH         DEFINED      4         --         --    40,534
CNH GLOBAL N.V.                 EQUITY       N20935206     499      11,288 SH         DEFINED      4         --         --    11,288
CNOOC LTD-ADR                   EQUITY       126132109    2736      30,606 SH         DEFINED      4         --         --    30,606
CNX GAS CORP                    EQUITY       12618H309      16         557 SH         DEFINED      4         --         --       557
COACH INC                       EQUITY       189754104   10020     211,981 SH          SOLE        1    211,981         --        --
COACH INC                       EQUITY       189754104    3508      74,202 SH         DEFINED      4         --         --    74,202
COACH INC                       EQUITY       189754104     684      14,470 SH          SOLE        2     14,470         --        --
COACHMEN INDUSTRIES INC         EQUITY       189873102      13       1,980 SH          SOLE        1      1,980         --        --
COACHMEN INDUSTRIES INC         EQUITY       189873102       6         545 SH         DEFINED      4         --         --       545
COAST FINANCIAL HOLDINGS        EQUITY       190354100     199      32,345 SH         DEFINED      4         --         --    32,345
COBIZ FINANCIAL INC             EQUITY       190897108     277      16,166 SH          SOLE        1     16,166         --        --
COCA COLA HELLENIC BTLNG-ADS    EQUITY       1912EP104      57       1,230 SH         DEFINED      4         --         --     1,230
COCA-COLA BOTTLING CO CONSOL    EQUITY       191098102     313       5,198 SH          SOLE        1      5,198         --        --
COCA-COLA BOTTLING CO CONSOL    EQUITY       191098102       3          55 SH         DEFINED      4         --         --        55
COCA-COLA CO/THE                EQUITY       191216100   74754   1,300,743 SH          SOLE        1  1,300,743         --        --
COCA-COLA CO/THE                EQUITY       191216100   12319     229,781 SH         DEFINED      4         --         --   229,781
COCA-COLA CO/THE                EQUITY       191216100     943      16,409 SH          SOLE        2     16,409         --        --
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COCA-COLA ENTERPRISES           EQUITY       191219104       9         359 SH          SOLE        2        359         --        --
COCA-COLA FEMSA SAB-SP ADR      EQUITY       191241108     640      14,910 SH         DEFINED      4         --         --    14,910
COEUR D'ALENE MINES CORP        EQUITY       192108108     920     242,617 SH          SOLE        1    242,617         --        --
COEUR D'ALENE MINES CORP        EQUITY       192108108     143      37,794 SH         DEFINED      4         --         --    37,794
COGDELL SPENCER INC             EQUITY       19238U107      20         950 SH         DEFINED      4         --         --       950
COGENT COMMUNICATIONS GROUP     EQUITY       19239V302    1016      43,514 SH          SOLE        1     43,514         --        --
COGENT COMMUNICATIONS GROUP     EQUITY       19239V302       3         148 SH         DEFINED      4         --         --       148
COGENT INC                      EQUITY       19239Y108     595      37,967 SH          SOLE        1     37,967         --        --
COGENT INC                      EQUITY       19239Y108      49       3,418 SH         DEFINED      4         --         --     3,418
COGNEX CORP                     EQUITY       192422103     781      44,001 SH          SOLE        1     44,001         --        --
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COGNIZANT TECH SOLUTIONS-A      EQUITY       192446102    5686      71,264 SH          SOLE        1     71,264         --        --
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COGNIZANT TECH SOLUTIONS-A      EQUITY       192446102      15         182 SH          SOLE        2        182         --        --
COGNOS INC                      EQUITY       19244C109    6036     145,855 SH          OTHER       1         --    145,855        --
COGNOS INC                      EQUITY       19244C109       9         213 SH         DEFINED      4         --         --       213
COGNOS INC                      EQUITY       19244C109   30342     730,600 SH          SOLE        2    730,600         --        --
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COHEN & STEERS CLOSED-END OP    EQUITY       19248P106     190       9,635 SH         DEFINED      4         --         --     9,635
COHEN & STEERS DIVIDEND MAJO    EQUITY       19248G106      66       3,060 SH         DEFINED      4         --         --     3,060
COHEN & STEERS INC              EQUITY       19247A100     565      15,251 SH          SOLE        1     15,251         --        --
COHEN & STEERS INC              EQUITY       19247A100       1          20 SH         DEFINED      4         --         --        20
COHEN & STEERS PREMIUM INC      EQUITY       19247V104     709      28,510 SH         DEFINED      4         --         --    28,510
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COHEN & STEERS WORLDW REA IN    EQUITY       19248J100     144       5,331 SH         DEFINED      4         --         --     5,331
COHERENT INC                    EQUITY       192479103    1004      31,300 SH          SOLE        1     31,300         --        --
COHERENT INC                    EQUITY       192479103      35       1,110 SH         DEFINED      4         --         --     1,110
COHU INC                        EQUITY       192576106     425      22,655 SH          SOLE        1     22,655         --        --
COHU INC                        EQUITY       192576106       1          55 SH         DEFINED      4         --         --        55
COINMACH SERVICE CORP-IDS       EQUITY       19259W107      10         505 SH         DEFINED      4         --         --       505
COINMACH SERVICE-CLASS A        EQUITY       19259W206     305      25,428 SH          SOLE        1     25,428         --        --
COINSTAR INC                    EQUITY       19259P300     893      27,744 SH          SOLE        1     27,744         --        --
COINSTAR INC                    EQUITY       19259P300      42       1,298 SH         DEFINED      4         --         --     1,298





                                                                                          
COLDWATER CREEK INC             EQUITY       193068103    1640     151,051 SH          SOLE        1    151,051         --        --
COLDWATER CREEK INC             EQUITY       193068103      38       3,529 SH         DEFINED      4         --         --     3,529
COLDWATER CREEK INC             EQUITY       193068103    3544     326,300 SH          SOLE        2    326,300         --        --
COLEMAN CABLE INC               EQUITY       193459302     101       7,288 SH          SOLE        1      7,288         --        --
COLEY PHARMACEUTICAL GROUP      EQUITY       19388P106       1          93 SH         DEFINED      4         --         --        93
COLGATE-PALMOLIVE CO            EQUITY       194162103   60071     842,272 SH          SOLE        1    842,272         --        --
COLGATE-PALMOLIVE CO            EQUITY       194162103    4181      62,011 SH         DEFINED      4         --         --    62,011
COLGATE-PALMOLIVE CO            EQUITY       194162103    4026      56,443 SH          SOLE        2     56,443         --        --
COLLAGENEX PHARMACEUTICALS      EQUITY       19419B100       3         300 SH         DEFINED      4         --         --       300
COLLECTIVE BRANDS INC           EQUITY       19421W100    4819     218,450 SH          SOLE        1    218,450         --        --
COLLECTIVE BRANDS INC           EQUITY       19421W100    4134     187,398 SH          SOLE        2    187,398         --        --
COLLECTORS UNIVERSE             EQUITY       19421R200      11         800 SH         DEFINED      4         --         --       800
COLONIAL BANCGROUP INC          EQUITY       195493309    8337     385,636 SH          SOLE        1    385,636         --        --
COLONIAL BANCGROUP INC          EQUITY       195493309     820      37,944 SH         DEFINED      4         --         --    37,944
COLONIAL PROPERTIES TRUST       EQUITY       195872106     732      21,340 SH         DEFINED      4         --         --    21,340
COLONY BANKCORP                 EQUITY       19623P101      21       1,000 SH         DEFINED      4         --         --     1,000
COLUMBIA BANKING SYSTEM INC     EQUITY       197236102     450      14,139 SH          SOLE        1     14,139         --        --
COLUMBIA BANKING SYSTEM INC     EQUITY       197236102       6         200 SH         DEFINED      4         --         --       200
COLUMBIA SPORTSWEAR CO          EQUITY       198516106     667      12,053 SH          SOLE        1     12,053         --        --
COLUMBUS MCKINNON CORP/NY       EQUITY       199333105     409      16,435 SH          SOLE        1     16,435         --        --
COLUMBUS MCKINNON CORP/NY       EQUITY       199333105       3         150 SH         DEFINED      4         --         --       150
COLUMBUS MCKINNON CORP/NY       EQUITY       199333105    4356     175,000 SH          SOLE        2    175,000         --        --
COMCAST CORP-CL A               EQUITY       20030N101   65472   2,708,702 SH          SOLE        1  2,708,702         --        --
COMCAST CORP-CL A               EQUITY       20030N101    4533     169,600 SH         DEFINED      4         --         --   169,600
COMCAST CORP-CL A               EQUITY       20030N101   15276     631,747 SH          SOLE        2    631,747         --        --
COMCAST CORP-SPECIAL CL A       EQUITY       20030N200    1291      53,902 SH         DEFINED      4         --         --    53,902
COMCAST CORP-SPECIAL CL A       EQUITY       20030N200     486      20,300 SH          SOLE        2     20,300         --        --
COMERICA INC                    EQUITY       200340107   12579     245,293 SH          SOLE        1    245,293         --        --
COMERICA INC                    EQUITY       200340107    1542      30,075 SH         DEFINED      4         --         --    30,075
COMERICA INC                    EQUITY       200340107      10         193 SH          SOLE        2        193         --        --
COMFORT SYSTEMS USA INC         EQUITY       199908104     506      35,619 SH          SOLE        1     35,619         --        --
COMFORT SYSTEMS USA INC         EQUITY       199908104       8         600 SH         DEFINED      4         --         --       600
COMM BANCORP INC                EQUITY       200468106       9         200 SH         DEFINED      4         --         --       200
COMMERCE BANCORP INC/NJ         EQUITY       200519106    3401      87,692 SH          SOLE        1     87,692         --        --
COMMERCE BANCORP INC/NJ         EQUITY       200519106     985      25,392 SH         DEFINED      4         --         --    25,392
COMMERCE BANCORP INC/NJ         EQUITY       200519106       9         242 SH          SOLE        2        242         --        --
COMMERCE BANCSHARES INC         EQUITY       200525103     103       2,235 SH          SOLE        1      2,235         --        --
COMMERCE BANCSHARES INC         EQUITY       200525103      73       1,590 SH         DEFINED      4         --         --     1,590
COMMERCE ENERGY GROUP INC       EQUITY       20061Q106       9       4,200 SH         DEFINED      4         --         --     4,200
COMMERCE GROUP INC              EQUITY       200641108    4674     158,618 SH          SOLE        1    158,618         --        --
COMMERCE GROUP INC              EQUITY       200641108      50       1,496 SH         DEFINED      4         --         --     1,496
COMMERCEFIRST BANCORP           EQUITY       200845105     351      25,000 SH         DEFINED      4         --         --    25,000
COMMERCIAL METALS CO            EQUITY       201723103    9454     298,710 SH          SOLE        1    298,710         --        --
COMMERCIAL METALS CO            EQUITY       201723103     527      15,269 SH         DEFINED      4         --         --    15,269
COMMERCIAL VEHICLE GROUP INC    EQUITY       202608105     239      18,609 SH          SOLE        1     18,609         --        --
COMMSCOPE INC                   EQUITY       203372107    7695     153,155 SH          SOLE        1    153,155         --        --
COMMSCOPE INC                   EQUITY       203372107     386       7,693 SH         DEFINED      4         --         --     7,693
COMMSCOPE INC                   EQUITY       203372107     517      10,300 SH          SOLE        2     10,300         --        --
COMMUNICATIONS SYSTEMS INC      EQUITY       203900105       2         206 SH         DEFINED      4         --         --       206
COMMUNITY BANCORP               EQUITY       20343T100     228       9,063 SH          SOLE        1      9,063         --        --
COMMUNITY BANCORP               EQUITY       20343T100      25         825 SH         DEFINED      4         --         --       825
COMMUNITY BANK SYSTEM INC       EQUITY       203607106     584      29,923 SH          SOLE        1     29,923         --        --
COMMUNITY BANK SYSTEM INC       EQUITY       203607106    1053      53,928 SH         DEFINED      4         --         --    53,928
COMMUNITY BANKS INC             EQUITY       203628102     643      21,575 SH          SOLE        1     21,575         --        --
COMMUNITY BANKS INC             EQUITY       203628102    4955     166,337 SH         DEFINED      4         --         --   166,337
COMMUNITY CENTRAL BANK CORP     EQUITY       20363J107      20       1,967 SH         DEFINED      4         --         --     1,967
COMMUNITY FINL CORP/VA          EQUITY       20365L100     170      14,502 SH         DEFINED      4         --         --    14,502
COMMUNITY HEALTH SYSTEMS INC    EQUITY       203668108    7517     239,082 SH          SOLE        1    239,082         --        --
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COMMUNITY PARTNERS BANCORP      EQUITY       204018105      48       4,959 SH         DEFINED      4         --         --     4,959
COMMUNITY SHORES BANK CORP      EQUITY       204046106      21       1,725 SH         DEFINED      4         --         --     1,725
COMMUNITY TRUST BANCORP INC     EQUITY       204149108     398      13,235 SH          SOLE        1     13,235         --        --
COMMVAULT SYSTEMS INC           EQUITY       204166102    1544      83,371 SH          SOLE        1     83,371         --        --
COMMVAULT SYSTEMS INC           EQUITY       204166102     554      29,900 SH          SOLE        2     29,900         --        --
COMPANHIA DE BEBIDAS-PRF ADR    EQUITY       20441W203   14153     193,531 SH          SOLE        1    193,531         --        --
COMPANHIA DE BEBIDAS-PRF ADR    EQUITY       20441W203     106       1,452 SH         DEFINED      4         --         --     1,452
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COMPASS MINERALS INTERNATION    EQUITY       20451N101       6         170 SH         DEFINED      4         --         --       170
COMPETITIVE TECHNOLOGIES INC    EQUITY       204512107       2         550 SH         DEFINED      4         --         --       550
COMPLETE PRODUCTION SERVICES    EQUITY       20453E109     763      37,239 SH          SOLE        1     37,239         --        --
COMPLETE PRODUCTION SERVICES    EQUITY       20453E109      16         600 SH         DEFINED      4         --         --       600
COMPUCREDIT CORP                EQUITY       20478N100     385      17,756 SH          SOLE        1     17,756         --        --





                                                                                          
COMPUCREDIT CORP                EQUITY       20478N100       5         140 SH         DEFINED      4         --         --       140
COMPUGEN LTD                    EQUITY       M25722105      40      16,000 SH         DEFINED      4         --         --    16,000
COMPUTER PROGRAMS & SYSTEMS     EQUITY       205306103     208       7,898 SH          SOLE        1      7,898         --        --
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COMPUTER SCIENCES CORP          EQUITY       205363104    4555      81,489 SH          SOLE        1     81,489         --        --
COMPUTER SCIENCES CORP          EQUITY       205363104     194       3,477 SH         DEFINED      4         --         --     3,477
COMPUTER SCIENCES CORP          EQUITY       205363104      12         219 SH          SOLE        2        219         --        --
COMPUWARE CORP                  EQUITY       205638109    1143     142,507 SH          SOLE        1    142,507         --        --
COMPUWARE CORP                  EQUITY       205638109     305      30,289 SH         DEFINED      4         --         --    30,289
COMPUWARE CORP                  EQUITY       205638109       3         382 SH          SOLE        2        382         --        --
COMPX INTERNATIONAL INC         EQUITY       20563P101      25       1,296 SH          SOLE        1      1,296         --        --
COMSTOCK RESOURCES INC          EQUITY       205768203    1193      38,677 SH          SOLE        1     38,677         --        --
COMSTOCK RESOURCES INC          EQUITY       205768203     243       8,275 SH         DEFINED      4         --         --     8,275
COMSYS IT PARTNERS INC          EQUITY       20581E104     256      15,249 SH          SOLE        1     15,249         --        --
COMSYS IT PARTNERS INC          EQUITY       20581E104       1          44 SH         DEFINED      4         --         --        44
COMTECH GROUP INC               EQUITY       205821200     311      17,089 SH          SOLE        1     17,089         --        --
COMTECH GROUP INC               EQUITY       205821200      25       1,365 SH         DEFINED      4         --         --     1,365
COMTECH TELECOMMUNICATIONS      EQUITY       205826209    1235      23,088 SH          SOLE        1     23,088         --        --
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COMTECH TELECOMMUNICATIONS      EQUITY       205826209     669      12,500 SH          SOLE        2     12,500         --        --
COMVERGE INC                    EQUITY       205859101     158       4,804 SH          SOLE        1      4,804         --        --
CONAGRA FOODS INC               EQUITY       205887102   24888     951,180 SH          SOLE        1    951,180         --        --
CONAGRA FOODS INC               EQUITY       205887102    2057      82,584 SH         DEFINED      4         --         --    82,584
CONAGRA FOODS INC               EQUITY       205887102      16         618 SH          SOLE        2        618         --        --
CONCEPTUS INC                   EQUITY       206016107     487      25,653 SH          SOLE        1     25,653         --        --
CONCEPTUS INC                   EQUITY       206016107       6         310 SH         DEFINED      4         --         --       310
CONCUR TECHNOLOGIES INC         EQUITY       206708109    1207      38,292 SH          SOLE        1     38,292         --        --
CONCUR TECHNOLOGIES INC         EQUITY       206708109      43       1,362 SH         DEFINED      4         --         --     1,362
CONCUR TECHNOLOGIES INC         EQUITY       206708109     489      15,500 SH          SOLE        2     15,500         --        --
CONCURRENT COMPUTER CORP        EQUITY       206710204       5       3,330 SH         DEFINED      4         --         --     3,330
CONEXANT SYSTEMS INC            EQUITY       207142100     513     427,730 SH          SOLE        1    427,730         --        --
CONEXANT SYSTEMS INC            EQUITY       207142100     144      95,421 SH         DEFINED      4         --         --    95,421
CONMED CORP                     EQUITY       207410101     789      28,200 SH          SOLE        1     28,200         --        --
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CONNECTICUT WATER SVC INC       EQUITY       207797101     121       4,988 SH         DEFINED      4         --         --     4,988
CONN'S INC                      EQUITY       208242107     253      10,596 SH          SOLE        1     10,596         --        --
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CONOCOPHILLIPS                  EQUITY       20825C104   11107     126,552 SH          SOLE        2    126,552         --        --
CONOLOG CORP                    EQUITY       208254888       3       1,666 SH         DEFINED      4         --         --     1,666
CONS TOMOKA LAND CO-FLORIDA     EQUITY       210226106     336       4,992 SH          SOLE        1      4,992         --        --
CONSECO INC                     EQUITY       208464883     130       8,118 SH          SOLE        1      8,118         --        --
CONSECO INC                     EQUITY       208464883     254      15,862 SH         DEFINED      4         --         --    15,862
CONSOL ENERGY INC               EQUITY       20854P109    5697     122,253 SH          SOLE        1    122,253         --        --
CONSOL ENERGY INC               EQUITY       20854P109     364       8,387 SH         DEFINED      4         --         --     8,387
CONSOL ENERGY INC               EQUITY       20854P109      11         230 SH          SOLE        2        230         --        --
CONSOLIDATED COMMUNICATIONS     EQUITY       209034107    3996     203,786 SH          SOLE        1    203,786         --        --
CONSOLIDATED COMMUNICATIONS     EQUITY       209034107     425      21,650 SH         DEFINED      4         --         --    21,650
CONSOLIDATED EDISON INC         EQUITY       209115104    9990     215,760 SH          SOLE        1    215,760         --        --
CONSOLIDATED EDISON INC         EQUITY       209115104    4337      93,680 SH         DEFINED      4         --         --    93,680
CONSOLIDATED EDISON INC         EQUITY       209115104      16         342 SH          SOLE        2        342         --        --
CONSOLIDATED GRAPHICS INC       EQUITY       209341106     685      10,911 SH          SOLE        1     10,911         --        --
CONSOLIDATED GRAPHICS INC       EQUITY       209341106      20         257 SH         DEFINED      4         --         --       257
CONSOLIDATED GRAPHICS INC       EQUITY       209341106    2304      36,700 SH          SOLE        2     36,700         --        --
CONSOLIDATED WATER CO-ORD SH    EQUITY       G23773107      67       2,642 SH         DEFINED      4         --         --     2,642
CONSTELLATION BRANDS INC-A      EQUITY       21036P108    2141      88,454 SH          SOLE        1     88,454         --        --
CONSTELLATION BRANDS INC-A      EQUITY       21036P108     633      26,161 SH         DEFINED      4         --         --    26,161
CONSTELLATION BRANDS INC-A      EQUITY       21036P108       6         245 SH          SOLE        2        245         --        --
CONSTELLATION ENERGY GROUP      EQUITY       210371100   64043     746,401 SH          SOLE        1    746,401         --        --
CONSTELLATION ENERGY GROUP      EQUITY       210371100      20         228 SH          SOLE        2        228         --        --
CONSUMER DISCRETIONARY SELT     EQUITY       81369Y407     854      23,188 SH         DEFINED      4         --         --    23,188
CONSUMER STAPLES SPDR           EQUITY       81369Y308    1024      37,306 SH         DEFINED      4         --         --    37,306
CONTANGO OIL & GAS              EQUITY       21075N204     413      11,404 SH          SOLE        1     11,404         --        --
CONTANGO OIL & GAS              EQUITY       21075N204   17687     590,745 SH         DEFINED      4         --         --   590,745
CONTINENTAL AIRLINES-CLASS B    EQUITY       210795308    4047     122,735 SH          SOLE        1    122,735         --        --
CONTINENTAL AIRLINES-CLASS B    EQUITY       210795308     200       5,186 SH         DEFINED      4         --         --     5,186
CONTINENTAL RESOURCES INC/OK    EQUITY       212015101      63       3,446 SH          SOLE        1      3,446         --        --
CONTINUCARE CORP                EQUITY       212172100      20       7,100 SH         DEFINED      4         --         --     7,100
CONVERGYS CORP                  EQUITY       212485106    2793     160,910 SH          SOLE        1    160,910         --        --
CONVERGYS CORP                  EQUITY       212485106       3         171 SH          SOLE        2        171         --        --
CONVERTED ORGANICS INC          EQUITY       21254S107       1         210 SH         DEFINED      4         --         --       210
CON-WAY INC                     EQUITY       205944101    5699     123,887 SH          SOLE        1    123,887         --        --
CON-WAY INC                     EQUITY       205944101     430       7,900 SH         DEFINED      4         --         --     7,900





                                                                                          
COOPER INDUSTRIES LTD-CL A      EQUITY       G24182100     493       9,647 SH         DEFINED      4         --         --     9,647
COOPER INDUSTRIES LTD-CL A      EQUITY       G24182100      12         232 SH          SOLE        2        232         --        --
COOPER TIRE & RUBBER            EQUITY       216831107    1311      53,714 SH          SOLE        1     53,714         --        --
COOPER TIRE & RUBBER            EQUITY       216831107     453      19,051 SH         DEFINED      4         --         --    19,051
COPA HOLDINGS SA-CLASS A        EQUITY       P31076105       6         100 SH         DEFINED      4         --         --       100
COPANO ENERGY LLC-UNITS         EQUITY       217202100       5         125 SH         DEFINED      4         --         --       125
COPART INC                      EQUITY       217204106    6128     178,198 SH          SOLE        1    178,198         --        --
COPART INC                      EQUITY       217204106     254       7,385 SH         DEFINED      4         --         --     7,385
CORE LABORATORIES N.V.          EQUITY       N22717107     404       3,173 SH         DEFINED      4         --         --     3,173
CORE LABORATORIES N.V.          EQUITY       N22717107     879       6,900 SH          SOLE        2      6,900         --        --
CORE MOLDING TECHNOLOGIES IN    EQUITY       218683100       6         700 SH         DEFINED      4         --         --       700
CORE-MARK HOLDING CO INC        EQUITY       218681104     281       7,974 SH          SOLE        1      7,974         --        --
CORINTHIAN COLLEGES INC         EQUITY       218868107    4522     284,254 SH          SOLE        1    284,254         --        --
CORINTHIAN COLLEGES INC         EQUITY       218868107       9         657 SH         DEFINED      4         --         --       657
CORN PRODUCTS INTL INC          EQUITY       219023108     500      10,910 SH          SOLE        1     10,910         --        --
CORN PRODUCTS INTL INC          EQUITY       219023108     187       4,522 SH         DEFINED      4         --         --     4,522
CORNELL COMPANIES INC           EQUITY       219141108    3025     128,444 SH          SOLE        1    128,444         --        --
CORNELL COMPANIES INC           EQUITY       219141108      18         700 SH         DEFINED      4         --         --       700
CORNERSTONE STRATEGIC VALUE     EQUITY       21924B104      36       4,789 SH         DEFINED      4         --         --     4,789
CORNING INC                     EQUITY       219350105   82146   3,332,515 SH          SOLE        1  3,332,515         --        --
CORNING INC                     EQUITY       219350105    5405     226,514 SH         DEFINED      4         --         --   226,514
CORNING INC                     EQUITY       219350105    8299     336,683 SH          SOLE        2    336,683         --        --
CORPBANCA SA-ADR                EQUITY       21987A209      36       1,295 SH         DEFINED      4         --         --     1,295
CORPORATE EXECUTIVE BOARD CO    EQUITY       21988R102    6657      89,662 SH          SOLE        1     89,662         --        --
CORPORATE EXECUTIVE BOARD CO    EQUITY       21988R102     627       9,667 SH         DEFINED      4         --         --     9,667
CORPORATE EXPRESS- SPON ADR     EQUITY       21989G105       5         500 SH         DEFINED      4         --         --       500
CORPORATE OFFICE PROPERTIES     EQUITY       22002T108    1415      33,994 SH          SOLE        1     33,994         --        --
CORPORATE OFFICE PROPERTIES     EQUITY       22002T108       2          50 SH         DEFINED      4         --         --        50
CORRECTIONS CORP OF AMERICA     EQUITY       22025Y407    1936      73,989 SH          SOLE        1     73,989         --        --
CORRECTIONS CORP OF AMERICA     EQUITY       22025Y407    7961     304,200 SH          SOLE        3    146,400         --   157,800
CORRECTIONS CORP OF AMERICA     EQUITY       22025Y407     394       6,544 SH         DEFINED      4         --         --     6,544
CORTEX PHARMACEUTICALS INC      EQUITY       220524300       2       1,200 SH         DEFINED      4         --         --     1,200
CORUS BANKSHARES INC            EQUITY       220873103     496      38,100 SH          SOLE        1     38,100         --        --
CORUS BANKSHARES INC            EQUITY       220873103     156       9,089 SH         DEFINED      4         --         --     9,089
CORUS ENTERTAINMENT INC-B SH    EQUITY       220874101      19         406 SH         DEFINED      4         --         --       406
CORVEL CORP                     EQUITY       221006109     153       6,625 SH          SOLE        1      6,625         --        --
CORVEL CORP                     EQUITY       221006109      10         451 SH         DEFINED      4         --         --       451
COST PLUS INC/CALIFORNIA        EQUITY       221485105      11       2,780 SH          SOLE        1      2,780         --        --
COSTAR GROUP INC                EQUITY       22160N109     894      16,721 SH          SOLE        1     16,721         --        --
COSTAR GROUP INC                EQUITY       22160N109       6         115 SH         DEFINED      4         --         --       115
COSTCO WHOLESALE CORP           EQUITY       22160K105     767      12,500 SH          SOLE        3     12,500         --        --
COSTCO WHOLESALE CORP           EQUITY       22160K105   16223     264,342 SH          SOLE        1    264,342         --        --
COSTCO WHOLESALE CORP           EQUITY       22160K105    3976      64,790 SH         DEFINED      4         --         --    64,790
COSTCO WHOLESALE CORP           EQUITY       22160K105      34         552 SH          SOLE        2        552         --        --
COSTCO WHOLESALE CORP           FIXED INCOME 22160QAC6       6           5 PRN        DEFINED      4         --         --        --
COST-U-LESS INC                 EQUITY       221492101      23       2,000 SH         DEFINED      4         --         --     2,000
COTT CORPORATION                EQUITY       22163N106      15       1,839 SH          OTHER       1         --      1,839        --
COUNTRYWIDE FINANCIAL CORP      EQUITY       222372104    4651     244,635 SH          SOLE        1    244,635         --        --
COUNTRYWIDE FINANCIAL CORP      EQUITY       222372104    2108      54,734 SH         DEFINED      4         --         --    54,734
COUNTRYWIDE FINANCIAL CORP      EQUITY       222372104      14         726 SH          SOLE        2        726         --        --
COURIER CORP                    EQUITY       222660102     320       9,095 SH          SOLE        1      9,095         --        --
COUSINS PROPERTIES INC          EQUITY       222795106      95       3,235 SH         DEFINED      4         --         --     3,235
COVAD COMMUNICATIONS GROUP      EQUITY       222814204       8      12,310 SH         DEFINED      4         --         --    12,310
COVANCE INC                     EQUITY       222816100   12416     159,381 SH          SOLE        1    159,381         --        --
COVANCE INC                     EQUITY       222816100     859      13,112 SH         DEFINED      4         --         --    13,112
COVANTA HOLDING CORP            EQUITY       22282E102      22         897 SH          SOLE        1        897         --        --
COVANTA HOLDING CORP            EQUITY       22282E102      36       1,440 SH         DEFINED      4         --         --     1,440
COVENANT TRANSPORT GRP-CL A     EQUITY       22284P105       3         250 SH         DEFINED      4         --         --       250
COVENTRY HEALTH CARE INC        EQUITY       222862104   13758     221,791 SH          SOLE        1    221,791         --        --
COVENTRY HEALTH CARE INC        EQUITY       222862104     768      12,353 SH         DEFINED      4         --         --    12,353
COVENTRY HEALTH CARE INC        EQUITY       222862104      12         197 SH          SOLE        2        197         --        --
COVIDIEN LTD                    EQUITY       G2552X108    1601      38,579 SH         DEFINED      4         --         --    38,579
COVIDIEN LTD                    EQUITY       G2552X108      26         627 SH          SOLE        2        627         --        --
COWEN GROUP INC                 EQUITY       223621103     190      13,751 SH          SOLE        1     13,751         --        --
COWEN GROUP INC                 EQUITY       223621103      11         575 SH         DEFINED      4         --         --       575
COX RADIO INC-CL A              EQUITY       224051102     379      29,026 SH          SOLE        1     29,026         --        --
COX RADIO INC-CL A              EQUITY       224051102      23       1,586 SH         DEFINED      4         --         --     1,586
CP HOLDRS                       EQUITY       12616K106      62         500 SH         DEFINED      4         --         --       500
CPFL ENERGIA SA-ADR             EQUITY       126153105     196       3,360 SH         DEFINED      4         --         --     3,360
CPI CORP                        EQUITY       125902106     200       5,195 SH          SOLE        1      5,195         --        --
CPI INTERNATIONAL INC           EQUITY       12618M100     119       6,244 SH          SOLE        1      6,244         --        --
CRA INTERNATIONAL INC           EQUITY       12618T105     492      10,208 SH          SOLE        1     10,208         --        --
CRA INTERNATIONAL INC           EQUITY       12618T105     291       5,603 SH         DEFINED      4         --         --     5,603





                                                                                          
CRANE CO                        EQUITY       224399105    6105     127,268 SH          SOLE        1    127,268         --        --
CRAWFORD & CO  -CL B            EQUITY       224633107     140      22,082 SH          SOLE        1     22,082         --        --
CRAWFORD & CO  -CL B            EQUITY       224633107       1         150 SH         DEFINED      4         --         --       150
CRAY INC                        EQUITY       225223304     203      28,236 SH          SOLE        1     28,236         --        --
CRAY INC                        EQUITY       225223304     108      11,849 SH         DEFINED      4         --         --    11,849
CREDENCE SYSTEMS CORP           EQUITY       225302108     272      87,980 SH          SOLE        1     87,980         --        --
CREDENCE SYSTEMS CORP           EQUITY       225302108       2         650 SH         DEFINED      4         --         --        --
CREDICORP LTD                   EQUITY       G2519Y108      51         906 SH         DEFINED      4         --         --       906
CREDIT ACCEPTANCE CORP          EQUITY       225310101     103       4,452 SH          SOLE        1      4,452         --        --
CREDIT ACCEPTANCE CORP          EQUITY       225310101       4         141 SH         DEFINED      4         --         --       141
CREDIT SUISSE ASSET MGMT INC    EQUITY       224916106     137      34,652 SH         DEFINED      4         --         --    34,652
CREDIT SUISSE GROUP-SPON ADR    EQUITY       225401108     420       6,333 SH         DEFINED      4         --         --     6,333
CREDIT SUISSE HIGH YIELD BD     EQUITY       22544F103     320      71,172 SH         DEFINED      4         --         --    71,172
CREDO PETROLEUM CORP            EQUITY       225439207       1         108 SH         DEFINED      4         --         --       108
CREE INC                        EQUITY       225447101    6610     212,549 SH          SOLE        1    212,549         --        --
CREE INC                        EQUITY       225447101     174       9,046 SH         DEFINED      4         --         --     9,046
CRESUD S.A.-SPONS ADR           EQUITY       226406106    1458      64,181 SH          SOLE        1     64,181         --        --
CRESUD S.A.-SPONS ADR           EQUITY       226406106      19         810 SH         DEFINED      4         --         --       810
CRH PLC-SPONSORED ADR           EQUITY       12626K203     292       7,291 SH         DEFINED      4         --         --     7,291
CRITICARE SYSTEMS INC           EQUITY       226901106       4       1,000 SH         DEFINED      4         --         --     1,000
CRM HOLDINGS LTD                EQUITY       G2554P103      11       1,300 SH         DEFINED      4         --         --     1,300
CROCS INC                       EQUITY       227046109    2862      42,563 SH          SOLE        1     42,563         --        --
CROCS INC                       EQUITY       227046109     980      14,104 SH         DEFINED      4         --         --    14,104
CROCS INC                       EQUITY       227046109     477       7,100 SH          SOLE        2      7,100         --        --
CROSS COUNTRY HEALTHCARE INC    EQUITY       227483104     558      31,915 SH          SOLE        1     31,915         --        --
CROSS COUNTRY HEALTHCARE INC    EQUITY       227483104       2         100 SH         DEFINED      4         --         --       100
CROSS TIMBERS ROYALTY TRUST     EQUITY       22757R109     130       3,262 SH         DEFINED      4         --         --     3,262
CROSSTEX ENERGY INC             EQUITY       22765Y104    1217      32,114 SH          SOLE        1     32,114         --        --
CROSSTEX ENERGY INC             EQUITY       22765Y104     168       5,437 SH         DEFINED      4         --         --     5,437
CROSSTEX ENERGY LP              EQUITY       22765U102      91       2,649 SH         DEFINED      4         --         --     2,649
CROWN CASTLE INTL CORP          EQUITY       228227104     207       5,098 SH          SOLE        1      5,098         --        --
CROWN CASTLE INTL CORP          EQUITY       228227104     248       7,300 SH         DEFINED      4         --         --     7,300
CROWN HOLDINGS INC              EQUITY       228368106     107       4,707 SH          SOLE        1      4,707         --        --
CROWN HOLDINGS INC              EQUITY       228368106      76       3,047 SH         DEFINED      4         --         --     3,047
CROWN MEDIA HOLDINGS-CLASS A    EQUITY       228411104     101      14,038 SH          SOLE        1     14,038         --        --
CRUCELL-ADR                     EQUITY       228769105      15         588 SH         DEFINED      4         --         --       588
CRYOLIFE INC                    EQUITY       228903100     216      22,850 SH          SOLE        1     22,850         --        --
CRYOLIFE INC                    EQUITY       228903100      40       4,280 SH         DEFINED      4         --         --     4,280
CRYSTAL RIVER CAPITAL INC       EQUITY       229393301     367      21,827 SH          SOLE        1     21,827         --        --
CRYSTAL RIVER CAPITAL INC       EQUITY       229393301      46       1,600 SH         DEFINED      4         --         --     1,600
CRYSTALLEX INTL CORP            EQUITY       22942F101       6       1,463 SH         DEFINED      4         --         --     1,463
CSG SYSTEMS INTL INC            EQUITY       126349109    3034     142,798 SH          SOLE        1    142,798         --        --
CSK AUTO CORP                   EQUITY       125965103     408      38,344 SH          SOLE        1     38,344         --        --
CSP INC                         EQUITY       126389105       2         200 SH         DEFINED      4         --         --       200
CSS INDUSTRIES INC              EQUITY       125906107     245       6,818 SH          SOLE        1      6,818         --        --
CSX CORP                        EQUITY       126408103   27904     657,079 SH          SOLE        1    657,079         --        --
CSX CORP                        EQUITY       126408103    3437      74,869 SH         DEFINED      4         --         --    74,869
CSX CORP                        EQUITY       126408103      24         554 SH          SOLE        2        554         --        --
CTC MEDIA INC                   EQUITY       12642X106    1114      50,083 SH          SOLE        1     50,083         --        --
CTRIP.COM INTERNATIONAL-ADR     EQUITY       22943F100      44         842 SH         DEFINED      4         --         --       842
CTS CORP                        EQUITY       126501105     462      35,836 SH          SOLE        1     35,836         --        --
CTS CORP                        EQUITY       126501105      24       1,801 SH         DEFINED      4         --         --     1,801
CUBIC CORP                      EQUITY       229669106     654      15,509 SH          SOLE        1     15,509         --        --
CUBIC CORP                      EQUITY       229669106    1492      35,375 SH         DEFINED      4         --         --    35,375
CUBIST PHARMACEUTICALS INC      EQUITY       229678107    1018      48,200 SH          SOLE        1     48,200         --        --
CUBIST PHARMACEUTICALS INC      EQUITY       229678107      34       1,600 SH         DEFINED      4         --         --     1,600
CULLEN/FROST BANKERS INC        EQUITY       229899109    7421     148,061 SH          SOLE        1    148,061         --        --
CULLEN/FROST BANKERS INC        EQUITY       229899109      95       1,839 SH         DEFINED      4         --         --     1,839
CUMMINS INC                     EQUITY       231021106    5987      46,812 SH          SOLE        1     46,812         --        --
CUMMINS INC                     EQUITY       231021106    1919      21,518 SH         DEFINED      4         --         --    21,518
CUMMINS INC                     EQUITY       231021106      17         131 SH          SOLE        2        131         --        --
CUMULUS MEDIA INC-CL A          EQUITY       231082108     252      24,699 SH          SOLE        1     24,699         --        --
CUMULUS MEDIA INC-CL A          EQUITY       231082108       9       1,000 SH         DEFINED      4         --         --     1,000
CURAGEN CORP                    EQUITY       23126R101      14       4,974 SH         DEFINED      4         --         --     4,974
CURRENCYSHARES AUSTRALIAN DO    EQUITY       23129U101    4603      51,612 SH         DEFINED      4         --         --    51,612
CURRENCYSHARES BRITISH POUND    EQUITY       23129S106      12          60 SH         DEFINED      4         --         --        60
CURRENCYSHARES CANADIAN DOLL    EQUITY       23129X105      57         625 SH         DEFINED      4         --         --       625
CURRENCYSHARES EURO TRUST       EQUITY       23130C108    1396      10,256 SH         DEFINED      4         --         --    10,256
CURRENCYSHARES JAPANESE YEN     EQUITY       23130A102     296       3,558 SH         DEFINED      4         --         --     3,558
CURRENCYSHARES SWEDISH KRONA    EQUITY       23129R108       5          32 SH         DEFINED      4         --         --        32
CURRENCYSHARES SWISS FRANC      EQUITY       23129V109      40         464 SH         DEFINED      4         --         --        --
CURTISS-WRIGHT CORP             EQUITY       231561101    2099      44,182 SH          SOLE        1     44,182         --        --
CURTISS-WRIGHT CORP             EQUITY       231561101      95       1,996 SH         DEFINED      4         --         --     1,996





                                                                                          
CURTISS-WRIGHT CORP             EQUITY       231561101     580      12,200 SH          SOLE        2     12,200         --        --
CUTERA INC                      EQUITY       232109108     310      11,845 SH          SOLE        1     11,845         --        --
CUTERA INC                      EQUITY       232109108      14         470 SH         DEFINED      4         --         --       470
CV THERAPEUTICS INC             EQUITY       126667104     465      51,789 SH          SOLE        1     51,789         --        --
CV THERAPEUTICS INC             EQUITY       126667104      27       2,952 SH         DEFINED      4         --         --     2,952
CVB FINANCIAL CORP              EQUITY       126600105     676      57,800 SH          SOLE        1     57,800         --        --
CVS CAREMARK CORP               EQUITY       126650100  101604   2,563,825 SH          SOLE        1  2,563,825         --        --
CVS CAREMARK CORP               EQUITY       126650100    6036     167,101 SH         DEFINED      4         --         --   167,101
CVS CAREMARK CORP               EQUITY       126650100   16427     414,498 SH          SOLE        2    414,498         --        --
CYANOTECH CORP                  EQUITY       232437301     124     143,781 SH         DEFINED      4         --         --   143,781
CYBERONICS INC                  EQUITY       23251P102     308      22,088 SH          SOLE        1     22,088         --        --
CYBERONICS INC                  EQUITY       23251P102       6         400 SH         DEFINED      4         --         --       400
CYBEROPTICS CORP                EQUITY       232517102       6         450 SH         DEFINED      4         --         --       450
CYBERSOURCE CORP                EQUITY       23251J106     367      31,390 SH          SOLE        1     31,390         --        --
CYBERSOURCE CORP                EQUITY       23251J106      70       5,295 SH         DEFINED      4         --         --     5,295
CYBEX INTERNATIONAL INC         EQUITY       23252E106      78      11,882 SH         DEFINED      4         --         --    11,882
CYCLACEL PHARMACEUTICALS INC    EQUITY       23254L108      11       1,470 SH         DEFINED      4         --         --     1,470
CYGNE DESIGNS INC               EQUITY       232556100       1         500 SH         DEFINED      4         --         --       500
CYMER INC                       EQUITY       232572107    1352      35,214 SH          SOLE        1     35,214         --        --
CYMER INC                       EQUITY       232572107      35         912 SH         DEFINED      4         --         --       912
CYNOSURE INC-CLASS A            EQUITY       232577205     244       6,604 SH          SOLE        1      6,604         --        --
CYNOSURE INC-CLASS A            EQUITY       232577205      45       1,420 SH         DEFINED      4         --         --     1,420
CYPRESS BIOSCIENCE INC          EQUITY       232674507     442      32,274 SH          SOLE        1     32,274         --        --
CYPRESS BIOSCIENCE INC          EQUITY       232674507      22       2,450 SH         DEFINED      4         --         --     2,450
CYPRESS SEMICONDUCTOR CORP      EQUITY       232806109   11170     382,406 SH          SOLE        1    382,406         --        --
CYPRESS SEMICONDUCTOR CORP      EQUITY       232806109      79       3,659 SH         DEFINED      4         --         --     3,659
CYTEC INDUSTRIES INC            EQUITY       232820100    7201     105,286 SH          SOLE        1    105,286         --        --
CYTOKINETICS INC                EQUITY       23282W100     146      28,460 SH          SOLE        1     28,460         --        --
CYTOKINETICS INC                EQUITY       23282W100       9       1,200 SH         DEFINED      4         --         --     1,200
CYTORI THERAPEUTICS INC         EQUITY       23283K105       3         500 SH         DEFINED      4         --         --       500
CYTRX CORP                      EQUITY       232828301     260      75,506 SH          SOLE        1     75,506         --        --
CYTRX CORP                      EQUITY       232828301      99      28,559 SH         DEFINED      4         --         --    28,559
CYTYC CORPORATION               EQUITY       232946103   31532     661,748 SH          SOLE        1    661,748         --        --
CYTYC CORPORATION               EQUITY       232946103     204       5,791 SH         DEFINED      4         --         --     5,791
D & E COMMUNICATIONS INC        EQUITY       232860106      51       3,472 SH         DEFINED      4         --         --     3,472
DADE BEHRING HOLDINGS INC       EQUITY       23342J206    1813      23,745 SH          SOLE        1     23,745         --        --
DADE BEHRING HOLDINGS INC       EQUITY       23342J206       8         168 SH         DEFINED      4         --         --       168
DADE BEHRING HOLDINGS INC       EQUITY       23342J206     817      10,700 SH          SOLE        2     10,700         --        --
DAIMLER AG                      EQUITY       D1668R123    2464      24,533 SH         DEFINED      4         --         --    24,533
DAKTRONICS INC                  EQUITY       234264109     868      31,889 SH          SOLE        1     31,889         --        --
DAKTRONICS INC                  EQUITY       234264109     213       9,454 SH         DEFINED      4         --         --     9,454
DAMPSKIBSSELSKABET TORM-ADR     EQUITY       00208W109      10         200 SH         DEFINED      4         --         --       200
DANAHER CORP                    EQUITY       235851102   18154     219,491 SH          SOLE        1    219,491         --        --
DANAHER CORP                    EQUITY       235851102    1960       26829 SH         DEFINED      4         --         --        --
DANAHER CORP                    EQUITY       235851102    7329      88,611 SH          SOLE        2     88,611         --        --
DANAHER CORP                    FIXED INCOME 235851AF9      45          37 PRN        DEFINED      4         --         --        --
DANAOS CORP                     EQUITY       Y1968P105     140       3,870 SH         DEFINED      4         --         --     3,870
DANKA BUSINESS SYS -SPON ADR    EQUITY       236277109       3       4,775 SH         DEFINED      4         --         --     4,775
DARDEN RESTAURANTS INC          EQUITY       237194105    2649      63,282 SH          SOLE        1     63,282         --        --
DARDEN RESTAURANTS INC          EQUITY       237194105    1066      25,462 SH         DEFINED      4         --         --    25,462
DARDEN RESTAURANTS INC          EQUITY       237194105       7         179 SH          SOLE        2        179         --        --
DARLING INTERNATIONAL INC       EQUITY       237266101    2317     234,278 SH          SOLE        1    234,278         --        --
DARWIN PROFESSIONAL UNDERWRI    EQUITY       237502109     144       6,682 SH          SOLE        1      6,682         --        --
DASSAULT SYSTEMES SA-ADR        EQUITY       237545108      98       1,498 SH         DEFINED      4         --         --     1,498
DATA I/O CORP                   EQUITY       237690102      15       4,600 SH         DEFINED      4         --         --     4,600
DATALINK CORP                   EQUITY       237934104       4         700 SH         DEFINED      4         --         --       700
DATARAM CORP                    EQUITY       238108203      11       3,250 SH         DEFINED      4         --         --     3,250
DATASCOPE CORP                  EQUITY       238113104     434      12,845 SH          SOLE        1     12,845         --        --
DATAWATCH CORP                  EQUITY       237917208       1         268 SH         DEFINED      4         --         --       268
DAVITA INC                      EQUITY       23918K108     141       2,237 SH          SOLE        1      2,237         --        --
DAVITA INC                      EQUITY       23918K108     738      11,673 SH         DEFINED      4         --         --    11,673
DAWSON GEOPHYSICAL CO           EQUITY       239359102    1414      18,248 SH          SOLE        1     18,248         --        --
DAWSON GEOPHYSICAL CO           EQUITY       239359102     105       1,840 SH         DEFINED      4         --         --     1,840
DAWSON GEOPHYSICAL CO           EQUITY       239359102     434       5,600 SH          SOLE        2      5,600         --        --
DAYSTAR TECHNOLOGIES INC        EQUITY       23962Q100      15       2,917 SH         DEFINED      4         --         --     2,917
DCT INDUSTRIAL TRUST INC        EQUITY       233153105   15649   1,446,262 SH         DEFINED      4         --         -- 1,446,262
DEALERTRACK HOLDINGS INC        EQUITY       242309102    1218      29,076 SH          SOLE        1     29,076         --        --
DEALERTRACK HOLDINGS INC        EQUITY       242309102       5         119 SH         DEFINED      4         --         --       119
DEAN FOODS CO                   EQUITY       242370104    7603     297,233 SH          SOLE        1    297,233         --        --
DEAN FOODS CO                   EQUITY       242370104     185       5,430 SH         DEFINED      4         --         --     5,430
DEAN FOODS CO                   EQUITY       242370104       4         163 SH          SOLE        2        163         --        --
DEARBORN BANCORP INC            EQUITY       24242R108     285      22,084 SH         DEFINED      4         --         --    22,084
DEB SHOPS INC                   EQUITY       242728103     118       4,375 SH          SOLE        1      4,375         --        --





                                                                                          
DECKERS OUTDOOR CORP            EQUITY       243537107    1399      12,745 SH          SOLE        1     12,745         --        --
DECKERS OUTDOOR CORP            EQUITY       243537107     270       3,386 SH         DEFINED      4         --         --     3,386
DECKERS OUTDOOR CORP            EQUITY       243537107     439       4,000 SH          SOLE        2      4,000         --        --
DECODE GENETICS INC             EQUITY       243586104      51      14,007 SH         DEFINED      4         --         --    14,007
DEERE & CO                      EQUITY       244199105   23838     160,609 SH          SOLE        1    160,609         --        --
DEERE & CO                      EQUITY       244199105    2536      22,009 SH         DEFINED      4         --         --    22,009
DEERE & CO                      EQUITY       244199105      42         280 SH          SOLE        2        280         --        --
DEERFIELD TRIARC CAPITAL COR    EQUITY       244572301      32       3,550 SH         DEFINED      4         --         --     3,550
DEJOUR ENTERPRISES LTD          EQUITY       244866208     685     300,000 SH          OTHER       1         --    300,000        --
DEJOUR ENTERPRISES LTD          EQUITY       244866208       5       2,000 SH         DEFINED      4         --         --     2,000
DEL MONTE FOODS CO              EQUITY       24522P103     107      10,217 SH          SOLE        1     10,217         --        --
DEL MONTE FOODS CO              EQUITY       24522P103      71       5,925 SH         DEFINED      4         --         --     5,925
DELAWARE INV AZ MUNI INCM FD    EQUITY       246100101      38       2,554 SH         DEFINED      4         --         --     2,554
DELAWARE INV MINN MUNI II       EQUITY       24610V103     151      10,206 SH         DEFINED      4         --         --    10,206
DELEK US HOLDINGS INC           EQUITY       246647101     257      10,230 SH          SOLE        1     10,230         --        --
DELEK US HOLDINGS INC           EQUITY       246647101      86       3,432 SH         DEFINED      4         --         --     3,432
DELHAIZE GROUP - SPONS ADR      EQUITY       29759W101     112       1,120 SH         DEFINED      4         --         --     1,120
DELIA*S INC                     EQUITY       246911101      14       2,984 SH         DEFINED      4         --         --     2,984
DELL INC                        EQUITY       24702R101   47045   1,704,533 SH          SOLE        1  1,704,533         --        --
DELL INC                        EQUITY       24702R101    4885     188,617 SH         DEFINED      4         --         --   188,617
DELL INC                        EQUITY       24702R101      79       2,864 SH          SOLE        2      2,864         --        --
DELPHI FINANCIAL GROUP-CL A     EQUITY       247131105    1753      43,380 SH          SOLE        1     43,380         --        --
DELPHI FINANCIAL GROUP-CL A     EQUITY       247131105     108       2,509 SH         DEFINED      4         --         --     2,509
DELTA AIR LINES INC             EQUITY       247361702     791      44,078 SH          SOLE        1     44,078         --        --
DELTA AIR LINES INC             EQUITY       247361702     434      21,320 SH         DEFINED      4         --         --    21,320
DELTA FINANCIAL CORP            EQUITY       247918105      70      14,355 SH          SOLE        1     14,355         --        --
DELTA FINANCIAL CORP            EQUITY       247918105      13       2,670 SH         DEFINED      4         --         --     2,670
DELTA NATURAL GAS CO INC        EQUITY       247748106       4         150 SH         DEFINED      4         --         --       150
DELTA PETROLEUM CORP            EQUITY       247907207    1027      57,218 SH          SOLE        1     57,218         --        --
DELTA PETROLEUM CORP            EQUITY       247907207      11         542 SH         DEFINED      4         --         --       542
DELTATHREE INC-CLASS A          EQUITY       24783N102       1         750 SH         DEFINED      4         --         --       750
DELTIC TIMBER CORP              EQUITY       247850100     597      10,489 SH          SOLE        1     10,489         --        --
DELTIC TIMBER CORP              EQUITY       247850100      11         187 SH         DEFINED      4         --         --       187
DELUXE CORP                     EQUITY       248019101    6410     174,005 SH          SOLE        1    174,005         --        --
DELUXE CORP                     EQUITY       248019101      93       2,533 SH         DEFINED      4         --         --     2,533
DELUXE CORP                     EQUITY       248019101     361       9,800 SH          SOLE        2      9,800         --        --
DENBURY RESOURCES INC           EQUITY       247916208   13602     304,355 SH          SOLE        1    304,355         --        --
DENBURY RESOURCES INC           EQUITY       247916208     159       4,722 SH         DEFINED      4         --         --     4,722
DENDREON CORP                   EQUITY       24823Q107     560      72,807 SH          SOLE        1     72,807         --        --
DENDREON CORP                   EQUITY       24823Q107     799      44,565 SH         DEFINED      4         --         --    44,565
DENISON MINES CORP              EQUITY       248356107     256      18,912 SH         DEFINED      4         --         --    18,912
DENNY'S CORP                    EQUITY       24869P104     327      81,832 SH          SOLE        1     81,832         --        --
DENNY'S CORP                    EQUITY       24869P104      29       6,224 SH         DEFINED      4         --         --     6,224
DENTSPLY INTERNATIONAL INC      EQUITY       249030107   18545     445,360 SH          SOLE        1    445,360         --        --
DENTSPLY INTERNATIONAL INC      EQUITY       249030107    1034      28,346 SH         DEFINED      4         --         --    28,346
DEPOMED INC                     EQUITY       249908104       1         250 SH         DEFINED      4         --         --       250
DESARROLLADORA HOMEX-ADR        EQUITY       25030W100   30125     542,800 SH          SOLE        1    542,800         --        --
DESARROLLADORA HOMEX-ADR        EQUITY       25030W100       6         100 SH         DEFINED      4         --         --       100
DESIGN WITHIN REACH INC         EQUITY       250557105       6       1,000 SH         DEFINED      4         --         --     1,000
DEUTSCHE BANK AG-REGISTERED     EQUITY       D18190898    2719      17,164 SH         DEFINED      4         --         --    17,164
DEUTSCHE TELEKOM AG-SPON ADR    EQUITY       251566105    2478     126,218 SH         DEFINED      4         --         --   126,218
DEVELOPERS DIVERSIFIED RLTY     EQUITY       251591103    3237      57,937 SH          SOLE        1     57,937         --        --
DEVELOPERS DIVERSIFIED RLTY     EQUITY       251591103    1750      31,315 SH         DEFINED      4         --         --    31,315
DEVELOPERS DIVERSIFIED RLTY     EQUITY       251591103       9         157 SH          SOLE        2        157         --        --
DEVON ENERGY CORPORATION        EQUITY       25179M103   23421     283,440 SH          SOLE        1    283,440         --        --
DEVON ENERGY CORPORATION        EQUITY       25179M103   11748     154,883 SH         DEFINED      4         --         --   154,883
DEVON ENERGY CORPORATION        EQUITY       25179M103      47         562 SH          SOLE        2        562         --        --
DEVON ENERGY CORPORATION        FIXED INCOME 25179MAA1      12           7 PRN        DEFINED      4         --         --        --
DEVRY INC                       EQUITY       251893103    7384     199,515 SH          SOLE        1    199,515         --        --
DEXCOM INC                      EQUITY       252131107       3         390 SH         DEFINED      4         --         --       390
DG FASTCHANNEL INC              EQUITY       23326R109     273      11,584 SH          SOLE        1     11,584         --        --
DG FASTCHANNEL INC              EQUITY       23326R109    1893      80,300 SH          SOLE        3     80,300         --        --
DG FASTCHANNEL INC              EQUITY       23326R109      61       3,150 SH         DEFINED      4         --         --     3,150
DIAGEO PLC-SPONSORED ADR        EQUITY       25243Q205    3930      46,040 SH         DEFINED      4         --         --    46,040
DIALYSIS CORP OF AMERICA        EQUITY       252529102       8         863 SH         DEFINED      4         --         --       863
DIAMOND FOODS INC               EQUITY       252603105     211      10,200 SH         DEFINED      4         --         --    10,200
DIAMOND HILL INVESTMENT GRP     EQUITY       25264R207      19         200 SH         DEFINED      4         --         --       200
DIAMOND MANAGEMENT & TECHNOL    EQUITY       25269L106     226      24,564 SH          SOLE        1     24,564         --        --
DIAMOND MANAGEMENT & TECHNOL    EQUITY       25269L106       5         565 SH         DEFINED      4         --         --       565
DIAMOND OFFSHORE DRILLING       EQUITY       25271C102     182       1,609 SH          SOLE        1      1,609         --        --
DIAMOND OFFSHORE DRILLING       EQUITY       25271C102     170       1,939 SH         DEFINED      4         --         --     1,939
DIAMONDROCK HOSPITALITY CO      EQUITY       252784301    4077     234,187 SH          SOLE        1    234,187         --        --
DIAMONDROCK HOSPITALITY CO      EQUITY       252784301     117       6,196 SH         DEFINED      4         --         --     6,196





                                                                                          
DIAMONDS TRUST SERIES I         EQUITY       252787106   10059      72,385 SH         DEFINED      4         --         --    72,385
DIANA SHIPPING INC              EQUITY       Y2066G104    1355      63,085 SH         DEFINED      4         --         --    63,085
DICK'S SPORTING GOODS INC       EQUITY       253393102    6954     103,559 SH          SOLE        1    103,559         --        --
DICK'S SPORTING GOODS INC       EQUITY       253393102      62       1,136 SH         DEFINED      4         --         --     1,136
DIEBOLD INC                     EQUITY       253651103    7461     164,276 SH          SOLE        1    164,276         --        --
DIEBOLD INC                     EQUITY       253651103     254       5,314 SH         DEFINED      4         --         --     5,314
DIGI INTERNATIONAL INC          EQUITY       253798102     359      25,240 SH          SOLE        1     25,240         --        --
DIGI INTERNATIONAL INC          EQUITY       253798102      12         844 SH         DEFINED      4         --         --       844
DIGITAL ANGEL CORP              EQUITY       253830103      15       8,000 SH         DEFINED      4         --         --     8,000
DIGITAL REALTY TRUST INC        EQUITY       253868103   11381     288,925 SH          SOLE        1    288,925         --        --
DIGITAL REALTY TRUST INC        EQUITY       253868103     143       3,432 SH         DEFINED      4         --         --     3,432
DIGITAL RIVER INC               EQUITY       25388B104    6042     135,021 SH          SOLE        1    135,021         --        --
DIGITAL RIVER INC               EQUITY       25388B104      73       1,627 SH         DEFINED      4         --         --     1,627
DIGITAL RIVER INC               EQUITY       25388B104     622      13,900 SH          SOLE        2     13,900         --        --
DILLARDS INC-CL A               EQUITY       254067101     666      30,516 SH          SOLE        1     30,516         --        --
DILLARDS INC-CL A               EQUITY       254067101       6         165 SH         DEFINED      4         --         --       165
DILLARDS INC-CL A               EQUITY       254067101       2          77 SH          SOLE        2         77         --        --
DIME BANCORP-WT                 EQUITY       25429Q110       3       9,901 SH         DEFINED      4         --         --     9,901
DIME COMMUNITY BANCSHARES       EQUITY       253922108     389      25,959 SH          SOLE        1     25,959         --        --
DIME COMMUNITY BANCSHARES       EQUITY       253922108       3         235 SH         DEFINED      4         --         --       235
DIODES INC                      EQUITY       254543101     958      29,848 SH          SOLE        1     29,848         --        --
DIODES INC                      EQUITY       254543101     963      29,999 SH         DEFINED      4         --         --    29,999
DIONEX CORP                     EQUITY       254546104    1504      18,922 SH          SOLE        1     18,922         --        --
DIONEX CORP                     EQUITY       254546104      15         200 SH         DEFINED      4         --         --       200
DIRECTV GROUP INC/THE           EQUITY       25459L106    9742     401,221 SH          SOLE        1    401,221         --        --
DIRECTV GROUP INC/THE           EQUITY       25459L106    1046       42742 SH         DEFINED      4         --         --        --
DIRECTV GROUP INC/THE           EQUITY       25459L106      23         958 SH          SOLE        2        958         --        --
DISCOVER FINANCIAL SERVICES     EQUITY       254709108    7026     337,782 SH          SOLE        1    337,782         --        --
DISCOVER FINANCIAL SERVICES     EQUITY       254709108      99       4,752 SH          SOLE        2      4,752         --        --
DISCOVERY HOLDING CO-A          EQUITY       25468Y107     567      19,670 SH          SOLE        1     19,670         --        --
DISCOVERY HOLDING CO-A          EQUITY       25468Y107     294      12,872 SH         DEFINED      4         --         --    12,872
DISCOVERY LABORATORIES INC      EQUITY       254668106     198      73,609 SH          SOLE        1     73,609         --        --
DISCOVERY LABORATORIES INC      EQUITY       254668106      19       7,075 SH         DEFINED      4         --         --     7,075
DISTRIBUTED ENERGY SYSTEMS      EQUITY       25475V104      35      24,512 SH         DEFINED      4         --         --    24,512
DITECH NETWORKS INC             EQUITY       25500T108     173      32,886 SH          SOLE        1     32,886         --        --
DITECH NETWORKS INC             EQUITY       25500T108       3         300 SH         DEFINED      4         --         --       300
DIVIDEND CAP REAL INC ALLOC     EQUITY       25537T105     468      29,290 SH         DEFINED      4         --         --    29,290
DIVX INC                        EQUITY       255413106     300      20,198 SH          SOLE        1     20,198         --        --
DIVX INC                        EQUITY       255413106      32       1,859 SH         DEFINED      4         --         --     1,859
DJO INC                         EQUITY       23325G104    4586      93,392 SH          SOLE        1     93,392         --        --
DJO INC                         EQUITY       23325G104      60       1,500 SH         DEFINED      4         --         --     1,500
DNP SELECT INCOME FUND INC      EQUITY       23325P104    1094      97,054 SH         DEFINED      4         --         --    97,054
DOBSON COMMUNICATIONS CORP-A    EQUITY       256069105    1628     127,298 SH          SOLE        1    127,298         --        --
DOBSON COMMUNICATIONS CORP-A    EQUITY       256069105    1315     138,709 SH         DEFINED      4         --         --   138,709
DOCTOR REDDY'S LAB-ADR          EQUITY       256135203      45       2,607 SH         DEFINED      4         --         --     2,607
DOCUMENT SECURITY SYSTEMS       EQUITY       25614T101      10         881 SH         DEFINED      4         --         --       881
DOLBY LABORATORIES INC-CL A     EQUITY       25659T107    3865     111,000 SH          SOLE        3     45,300         --    65,700
DOLBY LABORATORIES INC-CL A     EQUITY       25659T107    2945      86,925 SH          SOLE        1     86,925         --        --
DOLBY LABORATORIES INC-CL A     EQUITY       25659T107     369      10,017 SH         DEFINED      4         --         --    10,017
DOLBY LABORATORIES INC-CL A     EQUITY       25659T107     387      11,100 SH          SOLE        2     11,100         --        --
DOLLAR FINANCIAL CORP           EQUITY       256664103     400      14,018 SH          SOLE        1     14,018         --        --
DOLLAR THRIFTY AUTOMOTIVE GP    EQUITY       256743105     717      20,660 SH          SOLE        1     20,660         --        --
DOLLAR THRIFTY AUTOMOTIVE GP    EQUITY       256743105       4         120 SH         DEFINED      4         --         --       120
DOLLAR TREE STORES INC          EQUITY       256747106   12692     313,085 SH          SOLE        1    313,085         --        --
DOLLAR TREE STORES INC          EQUITY       256747106     420      10,528 SH         DEFINED      4         --         --    10,528
DOMINION RES BLACK WARRIOR      EQUITY       25746Q108     265       9,805 SH         DEFINED      4         --         --     9,805
DOMINION RESOURCES INC/VA       EQUITY       25746U109   10559     125,257 SH          SOLE        1    125,257         --        --
DOMINION RESOURCES INC/VA       EQUITY       25746U109    3741      44,371 SH         DEFINED      4         --         --    44,371
DOMINION RESOURCES INC/VA       EQUITY       25746U109     545       6,467 SH          SOLE        2      6,467         --        --
DOMINO'S PIZZA INC              EQUITY       25754A201    1009      60,818 SH          SOLE        1     60,818         --        --
DOMTAR CORP                     EQUITY       257559104      12       1,491 SH         DEFINED      4         --         --     1,491
DONALDSON CO INC                EQUITY       257651109    7392     177,003 SH          SOLE        1    177,003         --        --
DONALDSON CO INC                EQUITY       257651109     259       6,192 SH         DEFINED      4         --         --     6,192
DONEGAL GROUP INC-B             EQUITY       257701300      48       2,682 SH         DEFINED      4         --         --     2,682
DONEGAL GROUP INC-CL A          EQUITY       257701201     187      11,564 SH          SOLE        1     11,564         --        --
DONEGAL GROUP INC-CL A          EQUITY       257701201      55       3,590 SH         DEFINED      4         --         --     3,590
DORAL FINANCIAL CORP            EQUITY       25811P886       2          78 SH         DEFINED      4         --         --        78
DORCHESTER MINERALS LP          EQUITY       25820R105      86       4,200 SH          SOLE        1      4,200         --        --
DORCHESTER MINERALS LP          EQUITY       25820R105     146       6,690 SH         DEFINED      4         --         --     6,690
DORMAN PRODUCTS INC             EQUITY       258278100     325      23,000 SH         DEFINED      4         --         --    23,000
DOT HILL SYSTEMS CORP           EQUITY       25848T109      49      12,500 SH         DEFINED      4         --         --    12,500
DOUBLE HULL TANKERS INC         EQUITY       Y21110104     624      42,150 SH         DEFINED      4         --         --    42,150
DOUBLE-TAKE SOFTWARE INC        EQUITY       258598101     139       7,297 SH          SOLE        1      7,297         --        --





                                                                                          
DOUBLE-TAKE SOFTWARE INC        EQUITY       258598101     447      23,400 SH          SOLE        2     23,400         --        --
DOUGLAS EMMETT INC              EQUITY       25960P109      96       3,899 SH          SOLE        1      3,899         --        --
DOUGLAS EMMETT INC              EQUITY       25960P109     324      12,670 SH         DEFINED      4         --         --    12,670
DOVER CORP                      EQUITY       260003108    4808      94,372 SH          SOLE        1     94,372         --        --
DOVER CORP                      EQUITY       260003108    2048      42,178 SH         DEFINED      4         --         --    42,178
DOVER CORP                      EQUITY       260003108    5148     101,048 SH          SOLE        2    101,048         --        --
DOVER DOWNS GAMING & ENTERTA    EQUITY       260095104     141      13,608 SH          SOLE        1     13,608         --        --
DOVER MOTORSPORTS INC           EQUITY       260174107       1         221 SH         DEFINED      4         --         --       221
DOW 30 PREM & DVD INCM F INC    EQUITY       260582101      19         915 SH         DEFINED      4         --         --       915
DOW CHEMICAL                    EQUITY       260543103   37396     868,463 SH          SOLE        1    868,463         --        --
DOW CHEMICAL                    EQUITY       260543103    5680     125,169 SH         DEFINED      4         --         --   125,169
DOW CHEMICAL                    EQUITY       260543103    9930     230,598 SH          SOLE        2    230,598         --        --
DOW JONES & CO INC              EQUITY       260561105    2022      33,869 SH          SOLE        1     33,869         --        --
DOW JONES & CO INC              EQUITY       260561105    8799     147,382 SH          SOLE        2    147,382         --        --
DOWNEY FINANCIAL CORP           EQUITY       261018105    1205      20,843 SH          SOLE        1     20,843         --        --
DOWNEY FINANCIAL CORP           EQUITY       261018105    3245      56,144 SH         DEFINED      4         --         --    56,144
DPL INC                         EQUITY       233293109    7447     283,570 SH          SOLE        1    283,570         --        --
DPL INC                         EQUITY       233293109    1785      67,962 SH         DEFINED      4         --         --    67,962
DR HORTON INC                   EQUITY       23331A109    2835     221,317 SH          SOLE        1    221,317         --        --
DR HORTON INC                   EQUITY       23331A109     378      16,802 SH         DEFINED      4         --         --    16,802
DR HORTON INC                   EQUITY       23331A109    2003     156,345 SH          SOLE        2    156,345         --        --
DRAXIS HEALTH INC               EQUITY       26150J101      25       4,500 SH         DEFINED      4         --         --     4,500
DRDGOLD LTD-SPONSORED ADR       EQUITY       26152H301       6         711 SH         DEFINED      4         --         --       711
DREAMWORKS ANIMATION SKG-A      EQUITY       26153C103     141       4,232 SH         DEFINED      4         --         --     4,232
DREAMWORKS ANIMATION SKG-A      EQUITY       26153C103     613      18,350 SH          SOLE        2     18,350         --        --
DREMAN/CLAYMORE DVD & INCOME    EQUITY       26153R100     733      36,688 SH         DEFINED      4         --         --    36,688
DRESS BARN INC                  EQUITY       261570105     798      46,901 SH          SOLE        1     46,901         --        --
DRESSER-RAND GROUP INC          EQUITY       261608103     611      14,303 SH          SOLE        1     14,303         --        --
DRESSER-RAND GROUP INC          EQUITY       261608103      27         827 SH         DEFINED      4         --         --       827
DREW INDUSTRIES INC             EQUITY       26168L205     736      18,093 SH          SOLE        1     18,093         --        --
DREW INDUSTRIES INC             EQUITY       26168L205      10         235 SH         DEFINED      4         --         --       235
DREYFUS HIGH YIELD STRAT FD     EQUITY       26200S101      57      14,827 SH         DEFINED      4         --         --    14,827
DREYFUS MUNICIPAL INCOME INC    EQUITY       26201R102     166      16,834 SH         DEFINED      4         --         --    16,834
DREYFUS STRATEGIC MUNI BD FD    EQUITY       26202F107     109      11,425 SH         DEFINED      4         --         --    11,425
DRIL-QUIP INC                   EQUITY       262037104    1314      26,621 SH          SOLE        1     26,621         --        --
DRIL-QUIP INC                   EQUITY       262037104     400       8,608 SH         DEFINED      4         --         --     8,608
DRIL-QUIP INC                   EQUITY       262037104     439       8,900 SH          SOLE        2      8,900         --        --
DRS TECHNOLOGIES INC            EQUITY       23330X100    5722     103,812 SH          SOLE        1    103,812         --        --
DRS TECHNOLOGIES INC            EQUITY       23330X100     208       3,777 SH         DEFINED      4         --         --     3,777
DRUGSTORE.COM INC               EQUITY       262241102     391     120,750 SH         DEFINED      4         --         --   120,750
DRYCLEAN USA INC                EQUITY       262432107       3       1,700 SH         DEFINED      4         --         --     1,700
DRYSHIPS INC                    EQUITY       Y2109Q101    9258     101,900 SH          SOLE        3     51,700         --    50,200
DRYSHIPS INC                    EQUITY       Y2109Q101     135       3,643 SH         DEFINED      4         --         --     3,643
DRYSHIPS INC                    EQUITY       Y2109Q101    2335      25,700 SH          SOLE        2     25,700         --        --
DSP GROUP INC                   EQUITY       23332B106     450      28,454 SH          SOLE        1     28,454         --        --
DSP GROUP INC                   EQUITY       23332B106       1          50 SH         DEFINED      4         --         --        50
DST SYSTEMS INC                 EQUITY       233326107   11382     132,647 SH          SOLE        1    132,647         --        --
DST SYSTEMS INC                 EQUITY       233326107      27         345 SH         DEFINED      4         --         --       345
DST SYSTEMS INC                 FIXED INCOME 233326AB3       2           1 PRN        DEFINED      4         --         --        --
DSW INC-CLASS A                 EQUITY       23334L102     356      14,144 SH          SOLE        1     14,144         --        --
DSW INC-CLASS A                 EQUITY       23334L102      54       1,400 SH         DEFINED      4         --         --     1,400
DSW INC-CLASS A                 EQUITY       23334L102    4173     165,800 SH          SOLE        2    165,800         --        --
DTE ENERGY COMPANY              EQUITY       233331107    3909      80,704 SH          SOLE        1     80,704         --        --
DTE ENERGY COMPANY              EQUITY       233331107    3126      60,385 SH         DEFINED      4         --         --    60,385
DTE ENERGY COMPANY              EQUITY       233331107      10         215 SH          SOLE        2        215         --        --
DTF TAX-FREE INCOME INC         EQUITY       23334J107      24       1,700 SH         DEFINED      4         --         --     1,700
DTS INC                         EQUITY       23335C101     480      15,819 SH          SOLE        1     15,819         --        --
DU PONT (E.I.) DE NEMOURS       EQUITY       263534109   20820     420,106 SH          SOLE        1    420,106         --        --
DU PONT (E.I.) DE NEMOURS       EQUITY       263534109    4076      78,946 SH         DEFINED      4         --         --    78,946
DU PONT (E.I.) DE NEMOURS       EQUITY       263534109    9558     192,855 SH          SOLE        2    192,855         --        --
DUCOMMUN INC                    EQUITY       264147109       4         150 SH         DEFINED      4         --         --       150
DUFF & PHELPS UTIL & CORP BD    EQUITY       26432K108     145      12,647 SH         DEFINED      4         --         --    12,647
DUKE ENERGY CORP                EQUITY       26441C105   10135     542,246 SH          SOLE        1    542,246         --        --
DUKE ENERGY CORP                EQUITY       26441C105    5023     240,585 SH         DEFINED      4         --         --   240,585
DUKE ENERGY CORP                EQUITY       26441C105    5356     286,589 SH          SOLE        2    286,589         --        --
DUKE REALTY CORP                EQUITY       264411505   12144     359,189 SH          SOLE        1    359,189         --        --
DUKE REALTY CORP                EQUITY       264411505     519      15,364 SH         DEFINED      4         --         --    15,364
DUN & BRADSTREET CORP           EQUITY       26483E100   14389     145,923 SH          SOLE        1    145,923         --        --
DUN & BRADSTREET CORP           EQUITY       26483E100     973      10,248 SH         DEFINED      4         --         --    10,248
DUNCAN ENERGY PARTNERS LP       EQUITY       265026104      11         500 SH         DEFINED      4         --         --       500
DURECT CORPORATION              EQUITY       266605104     332      60,637 SH          SOLE        1     60,637         --        --
DUSA PHARMACEUTICALS INC        EQUITY       266898105       1         250 SH         DEFINED      4         --         --       250
DWS DREMAN VALUE INCOME EDGE    EQUITY       23339M105      21       1,400 SH         DEFINED      4         --         --     1,400





                                                                                          
DWS GLBL COMMOD STOCK FD INC    EQUITY       23338Y100     412      21,020 SH         DEFINED      4         --         --    21,020
DWS GLBL HIGH INCOME FD INC     EQUITY       23338W104      80       9,000 SH         DEFINED      4         --         --     9,000
DWS HIGH INCOME TRUST           EQUITY       23337C109     109      17,150 SH         DEFINED      4         --         --    17,150
DWS MULTI-MARKET INCOME TRUS    EQUITY       23338L108     122      11,315 SH         DEFINED      4         --         --    11,315
DWS MUNICIPAL INCOME TRUST      EQUITY       23338M106     282      26,113 SH         DEFINED      4         --         --    26,113
DWS RREEF REAL ESTATE FD II     EQUITY       23338X102     163       8,002 SH         DEFINED      4         --         --     8,002
DWS STRATEGIC INCOME TRUST      EQUITY       23338N104      31       2,600 SH         DEFINED      4         --         --     2,600
DWS STRATEGIC MUNI INCOME TR    EQUITY       23338T101      95       7,597 SH         DEFINED      4         --         --     7,597
DYADIC INTERNATIONAL INC        EQUITY       26745T101      24       4,500 SH         DEFINED      4         --         --     4,500
DYCOM INDUSTRIES INC            EQUITY       267475101    4189     136,758 SH          SOLE        1    136,758         --        --
DYNAMEX INC                     EQUITY       26784F103     236       9,223 SH          SOLE        1      9,223         --        --
DYNAMEX INC                     EQUITY       26784F103      37       1,400 SH         DEFINED      4         --         --     1,400
DYNAMIC MATERIALS CORP          EQUITY       267888105    1286      26,852 SH          SOLE        1     26,852         --        --
DYNAMIC MATERIALS CORP          EQUITY       267888105      61       1,740 SH         DEFINED      4         --         --     1,740
DYNAMIC MATERIALS CORP          EQUITY       267888105     766      16,000 SH          SOLE        2     16,000         --        --
DYNAVAX TECHNOLOGIES CORP       EQUITY       268158102      34       8,000 SH         DEFINED      4         --         --     8,000
DYNCORP INTERNATIONAL INC-A     EQUITY       26817C101     503      21,782 SH          SOLE        1     21,782         --        --
DYNCORP INTERNATIONAL INC-A     EQUITY       26817C101      13         860 SH         DEFINED      4         --         --       860
DYNEGY INC-CL A                 EQUITY       26817G102    2064     223,329 SH          SOLE        1    223,329         --        --
DYNEGY INC-CL A                 EQUITY       26817G102     368      35,535 SH         DEFINED      4         --         --    35,535
DYNEGY INC-CL A                 EQUITY       26817G102       6         625 SH          SOLE        2        625         --        --
DYNEX CAPITAL INC               EQUITY       26817Q506       4         500 SH         DEFINED      4         --         --       500
E*TRADE FINANCIAL CORP          EQUITY       269246104    2507     192,102 SH          SOLE        1    192,102         --        --
E*TRADE FINANCIAL CORP          EQUITY       269246104     306      23,401 SH         DEFINED      4         --         --    23,401
E*TRADE FINANCIAL CORP          EQUITY       269246104   10915     835,736 SH          SOLE        2    835,736         --        --
EAGLE BULK SHIPPING INC         EQUITY       Y2187A101     395      17,235 SH         DEFINED      4         --         --    17,235
EAGLE BULK SHIPPING INC         EQUITY       Y2187A101    1287      50,000 SH          SOLE        2     50,000         --        --
EAGLE MATERIALS INC             EQUITY       26969P108      68       1,892 SH          SOLE        1      1,892         --        --
EAGLE MATERIALS INC             EQUITY       26969P108     208       4,217 SH         DEFINED      4         --         --     4,217
EAGLE TEST SYSTEMS INC          EQUITY       270006109     137      10,671 SH          SOLE        1     10,671         --        --
EAGLE TEST SYSTEMS INC          EQUITY       270006109      49       3,000 SH         DEFINED      4         --         --     3,000
EARTHLINK INC                   EQUITY       270321102     851     107,436 SH          SOLE        1    107,436         --        --
EARTHLINK INC                   EQUITY       270321102      85      10,397 SH         DEFINED      4         --         --    10,397
EAST PENN FINANCIAL CORP        EQUITY       274287101      43       5,500 SH         DEFINED      4         --         --     5,500
EAST WEST BANCORP INC           EQUITY       27579R104     341       9,475 SH          SOLE        1      9,475         --        --
EAST WEST BANCORP INC           EQUITY       27579R104      69       1,713 SH         DEFINED      4         --         --     1,713
EASTERN AMER NATURAL GAS TR     EQUITY       276217106      71       2,757 SH         DEFINED      4         --         --     2,757
EASTERN COMPANY (THE)           EQUITY       276317104       3         140 SH         DEFINED      4         --         --       140
EASTGROUP PROPERTIES INC        EQUITY       277276101    5047     111,509 SH          SOLE        1    111,509         --        --
EASTGROUP PROPERTIES INC        EQUITY       277276101     238       5,263 SH         DEFINED      4         --         --     5,263
EASTMAN CHEMICAL COMPANY        EQUITY       277432100    2635      39,483 SH          SOLE        1     39,483         --        --
EASTMAN CHEMICAL COMPANY        EQUITY       277432100     371       5,582 SH         DEFINED      4         --         --     5,582
EASTMAN CHEMICAL COMPANY        EQUITY       277432100       7         106 SH          SOLE        2        106         --        --
EASTMAN KODAK CO                EQUITY       277461109    5874     219,501 SH          SOLE        1    219,501         --        --
EASTMAN KODAK CO                EQUITY       277461109     990      40,279 SH         DEFINED      4         --         --    40,279
EASTMAN KODAK CO                EQUITY       277461109      10         362 SH          SOLE        2        362         --        --
EATON CORP                      EQUITY       278058102    6724      67,887 SH          SOLE        1     67,887         --        --
EATON CORP                      EQUITY       278058102      18         184 SH          SOLE        2        184         --        --
EATON VANCE CA MUNI INC TRST    EQUITY       27826F101      79       5,145 SH         DEFINED      4         --         --     5,145
EATON VANCE CORP                EQUITY       278265103   12316     308,207 SH          SOLE        1    308,207         --        --
EATON VANCE CORP                EQUITY       278265103    1102      28,665 SH         DEFINED      4         --         --    28,665
EATON VANCE CREDIT OPPORTUNI    EQUITY       278271101      33       1,800 SH         DEFINED      4         --         --     1,800
EATON VANCE ENH EQT INC II      EQUITY       278277108     800      38,740 SH         DEFINED      4         --         --    38,740
EATON VANCE ENHANCED EQ INCM    EQUITY       278274105     320      16,435 SH         DEFINED      4         --         --    16,435
EATON VANCE FLOAT RT INC TR     EQUITY       278279104     417      21,507 SH         DEFINED      4         --         --    21,507
EATON VANCE INSD OH MU BD       EQUITY       27828L106     118       7,475 SH         DEFINED      4         --         --     7,475
EATON VANCE INSURED CAL MUN     EQUITY       27828A100      58       3,737 SH         DEFINED      4         --         --     3,737
EATON VANCE INSURED FLORIDA     EQUITY       27828E102      61       4,520 SH         DEFINED      4         --         --     4,520
EATON VANCE INSURED MUNI BND    EQUITY       27827X101     485      31,681 SH         DEFINED      4         --         --    31,681
EATON VANCE INSURED MUNI II     EQUITY       27827K109       8         500 SH         DEFINED      4         --         --       500
EATON VANCE INSURED NEW YORK    EQUITY       27827Y109      26       1,683 SH         DEFINED      4         --         --     1,683
EATON VANCE LTD DURATION FND    EQUITY       27828H105    1034      62,954 SH         DEFINED      4         --         --    62,954
EATON VANCE MUNICIPAL INCOME    EQUITY       27826U108     560      34,450 SH         DEFINED      4         --         --    34,450
EATON VANCE NJ MUNICIPAL INC    EQUITY       27826V106      31       2,000 SH         DEFINED      4         --         --     2,000
EATON VANCE NY MUNICIPAL INC    EQUITY       27826W104      37       2,600 SH         DEFINED      4         --         --     2,600
EATON VANCE OH MUNICIPAL INC    EQUITY       27826G109      13         886 SH         DEFINED      4         --         --       886
EATON VANCE PA MUNICIPAL INC    EQUITY       27826T101     296      20,360 SH         DEFINED      4         --         --    20,360
EATON VANCE SENIOR INCOME TR    EQUITY       27826S103     404      50,746 SH         DEFINED      4         --         --    50,746
EATON VANCE SHORT DUR DIV IN    EQUITY       27828V104     863      51,299 SH         DEFINED      4         --         --    51,299
EATON VANCE SR FLTG RATE TR     EQUITY       27828Q105    1402      72,987 SH         DEFINED      4         --         --    72,987
EATON VANCE T/A GL DVD INCM     EQUITY       27828S101     554      19,282 SH         DEFINED      4         --         --    19,282
EATON VANCE T/M BUY-WR IN       EQUITY       27828X100     199       9,600 SH         DEFINED      4         --         --     9,600
EATON VANCE T/M BUY-WRITE OP    EQUITY       27828Y108     453      22,272 SH         DEFINED      4         --         --    22,272





                                                                                          
EATON VANCE TAX ADV GL DVD O    EQUITY       27828U106     652      19,163 SH         DEFINED      4         --         --    19,163
EATON VANCE TAX MAN GLBL BR     EQUITY       27829C105    1263      69,189 SH         DEFINED      4         --         --    69,189
EATON VANCE TAX-ADV DVD INC     EQUITY       27828G107    1832      61,916 SH         DEFINED      4         --         --    61,916
EATON VANCE TAX-MANAGED DIVE    EQUITY       27828N102     887      50,029 SH         DEFINED      4         --         --    50,029
EATON VANCE TAX-MANAGED GLOB    EQUITY       27829F108     693      34,069 SH         DEFINED      4         --         --    34,069
EBAY INC                        EQUITY       278642103   56542   1,451,316 SH          SOLE        1  1,451,316         --        --
EBAY INC                        EQUITY       278642103    2328      59,653 SH         DEFINED      4         --         --    59,653
EBAY INC                        EQUITY       278642103    7692     197,139 SH          SOLE        2    197,139         --        --
ECHELON CORP                    EQUITY       27874N105     652      26,082 SH          SOLE        1     26,082         --        --
ECHELON CORP                    EQUITY       27874N105     157      11,445 SH         DEFINED      4         --         --    11,445
ECHOSTAR COMMUNICATIONS - A     EQUITY       278762109    1287      27,496 SH          SOLE        1     27,496         --        --
ECI TELECOM LTD                 EQUITY       268258100       7         841 SH         DEFINED      4         --         --       841
ECLIPSYS CORP                   EQUITY       278856109     928      39,788 SH          SOLE        1     39,788         --        --
ECOLAB INC                      EQUITY       278865100    5133     108,748 SH          SOLE        1    108,748         --        --
ECOLAB INC                      EQUITY       278865100     595      13,856 SH         DEFINED      4         --         --    13,856
ECOLAB INC                      EQUITY       278865100      10         220 SH          SOLE        2        220         --        --
ECTEL LTD                       EQUITY       M29925100       2         720 SH         DEFINED      4         --         --       720
EDAP TMS SA -ADR                EQUITY       268311107       3         500 SH         DEFINED      4         --         --       500
EDEN BIOSCIENCE CORPORATION     EQUITY       279445886       3       2,175 SH         DEFINED      4         --         --     2,175
EDGAR ONLINE INC                EQUITY       279765101       1         200 SH         DEFINED      4         --         --       200
EDGE PETROLEUM CORP             EQUITY       279862106     319      24,866 SH          SOLE        1     24,866         --        --
EDGE PETROLEUM CORP             EQUITY       279862106      14       1,000 SH         DEFINED      4         --         --     1,000
EDIETS.COM INC                  EQUITY       280597105       3       1,000 SH         DEFINED      4         --         --     1,000
EDISON INTERNATIONAL            EQUITY       281020107   32308     581,286 SH          SOLE        1    581,286         --        --
EDISON INTERNATIONAL            EQUITY       281020107    2031      37,376 SH         DEFINED      4         --         --    37,376
EDISON INTERNATIONAL            EQUITY       281020107      23         411 SH          SOLE        2        411         --        --
EDO CORP                        EQUITY       281347104     980      17,501 SH          SOLE        1     17,501         --        --
EDO CORP                        EQUITY       281347104      15         480 SH         DEFINED      4         --         --       480
EDUCATION REALTY TRUST INC      EQUITY       28140H104      84       6,019 SH         DEFINED      4         --         --     6,019
EDWARDS (A.G.) INC              EQUITY       281760108   18331     218,880 SH          SOLE        1    218,880         --        --
EDWARDS (A.G.) INC              EQUITY       281760108     227       3,018 SH         DEFINED      4         --         --     3,018
EDWARDS LIFESCIENCES CORP       EQUITY       28176E108    7615     154,437 SH          SOLE        1    154,437         --        --
EDWARDS LIFESCIENCES CORP       EQUITY       28176E108     409       8,289 SH         DEFINED      4         --         --     8,289
EFJ INC                         EQUITY       26843B101      20       3,517 SH         DEFINED      4         --         --     3,517
EFUTURE INFORMATION TECHNOLO    EQUITY       G29438101       2         100 SH         DEFINED      4         --         --       100
EHEALTH INC                     EQUITY       28238P109     299      10,798 SH          SOLE        1     10,798         --        --
EHEALTH INC                     EQUITY       28238P109       2          77 SH         DEFINED      4         --         --        --
EHEALTH INC                     EQUITY       28238P109     499      18,000 SH          SOLE        2     18,000         --        --
EL PASO CORP                    EQUITY       28336L109   14039     827,013 SH          SOLE        1    827,013         --        --
EL PASO CORP                    EQUITY       28336L109     742      47,629 SH         DEFINED      4         --         --    47,629
EL PASO CORP                    EQUITY       28336L109      15         883 SH          SOLE        2        883         --        --
EL PASO ELECTRIC CO             EQUITY       283677854    1056      45,655 SH          SOLE        1     45,655         --        --
EL PASO ENERGY CAP TRST         EQUITY       283678209       8         200 SH         DEFINED      4         --         --       200
ELAN CORP PLC -SPONS ADR        EQUITY       284131208     463      22,000 SH          SOLE        2     22,000         --        --
ELBIT MEDICAL IMAGING LTD       EQUITY       M37605108       1          21 SH         DEFINED      4         --         --        21
ELBIT SYSTEMS LTD               EQUITY       M3760D101      19         400 SH         DEFINED      4         --         --       400
ELBIT SYSTEMS LTD               EQUITY       M3760D101     449       9,500 SH          SOLE        2      9,500         --        --
ELDORADO GOLD CORP              EQUITY       284902103      34       5,518 SH          OTHER       1         --      5,518        --
ELDORADO GOLD CORP              EQUITY       284902103      27       4,330 SH         DEFINED      4         --         --     4,330
ELECTRO ENERGY INC              EQUITY       285106100       2       5,700 SH         DEFINED      4         --         --     5,700
ELECTRO RENT CORP               EQUITY       285218103     211      15,066 SH          SOLE        1     15,066         --        --
ELECTRO SCIENTIFIC INDS INC     EQUITY       285229100     694      28,960 SH          SOLE        1     28,960         --        --
ELECTRO SCIENTIFIC INDS INC     EQUITY       285229100      10         400 SH         DEFINED      4         --         --       400
ELECTROGLAS INC                 EQUITY       285324109      12       5,200 SH         DEFINED      4         --         --     5,200
ELECTRONCIS FOR IMAGING         FIXED INCOME 286082AA0      15          14 PRN        DEFINED      4         --         --        --
ELECTRONIC ARTS INC             EQUITY       285512109   57909   1,034,273 SH          SOLE        1  1,034,273         --        --
ELECTRONIC ARTS INC             EQUITY       285512109     482       8,610 SH         DEFINED      4         --         --     8,610
ELECTRONIC ARTS INC             EQUITY       285512109    5139      91,792 SH          SOLE        2     91,792         --        --
ELECTRONIC DATA SYSTEMS         FIXED INCOME 285661AF1      36          36 PRN        DEFINED      4         --         --        --
ELECTRONIC DATA SYSTEMS CORP    EQUITY       285661104   12078     552,917 SH          SOLE        1    552,917         --        --
ELECTRONIC DATA SYSTEMS CORP    EQUITY       285661104    1364      49,108 SH         DEFINED      4         --         --    49,108
ELECTRONIC DATA SYSTEMS CORP    EQUITY       285661104      14         642 SH          SOLE        2        642         --        --
ELECTRONICS FOR IMAGING         EQUITY       286082102    1329      49,472 SH          SOLE        1     49,472         --        --
ELECTRONICS FOR IMAGING         EQUITY       286082102      69       2,548 SH         DEFINED      4         --         --     2,548
ELECTRO-OPTICAL SCIENCES INC    EQUITY       285192100       2         500 SH         DEFINED      4         --         --       500
ELI LILLY & CO                  EQUITY       532457108   64967   1,140,983 SH          SOLE        1  1,140,983         --        --
ELI LILLY & CO                  EQUITY       532457108    3489      58,424 SH         DEFINED      4         --         --    58,424
ELI LILLY & CO                  EQUITY       532457108     344       6,044 SH          SOLE        2      6,044         --        --
ELIZABETH ARDEN INC             EQUITY       28660G106     573      21,264 SH          SOLE        1     21,264         --        --
ELONG INC-SPONSORED ADR         EQUITY       290138205       1         100 SH         DEFINED      4         --         --       100
EMBARQ CORP                     EQUITY       29078E105   42191     754,099 SH          SOLE        1    754,099         --        --
EMBARQ CORP                     EQUITY       29078E105     713      12,818 SH         DEFINED      4         --         --    12,818
EMBARQ CORP                     EQUITY       29078E105    6366     114,492 SH          SOLE        2    114,492         --        --





                                                                                          
EMC CORP                        FIXED INCOME 268648AK8      56          49 PRN        DEFINED      4         --         --        --
EMC CORP/MASS                   EQUITY       268648102   48747   2,358,971 SH          SOLE        1  2,358,971         --        --
EMC CORP/MASS                   EQUITY       268648102    5438     261,458 SH         DEFINED      4         --         --   261,458
EMC CORP/MASS                   EQUITY       268648102      55       2,644 SH          SOLE        2      2,644         --        --
EMC INS GROUP INC               EQUITY       268664109     135       5,195 SH          SOLE        1      5,195         --        --
EMC INS GROUP INC               EQUITY       268664109       2          85 SH         DEFINED      4         --         --        85
EMCOR GROUP INC                 EQUITY       29084Q100    1996      63,663 SH          SOLE        1     63,663         --        --
EMCOR GROUP INC                 EQUITY       29084Q100     817      12,800 SH         DEFINED      4         --         --    12,800
EMCOR GROUP INC                 EQUITY       29084Q100     376      12,000 SH          SOLE        2     12,000         --        --
EMCORE CORP                     EQUITY       290846104       8       1,550 SH         DEFINED      4         --         --     1,550
EMERGENCY MEDICAL SERVICES-A    EQUITY       29100P102     244       8,079 SH          SOLE        1      8,079         --        --
EMERGENCY MEDICAL SERVICES-A    EQUITY       29100P102      19         520 SH         DEFINED      4         --         --       520
EMERGENT BIOSOLUTIONS INC       EQUITY       29089Q105      43       4,881 SH          SOLE        1      4,881         --        --
EMERGING MKTS TELECOMM FUND     EQUITY       290890102      21         899 SH         DEFINED      4         --         --       899
EMERITUS CORP                   EQUITY       291005106     220       8,101 SH          SOLE        1      8,101         --        --
EMERITUS CORP                   EQUITY       291005106      11         400 SH         DEFINED      4         --         --       400
EMERSON ELECTRIC CO             EQUITY       291011104   23580     443,073 SH          SOLE        1    443,073         --        --
EMERSON ELECTRIC CO             EQUITY       291011104   14874     279,473 SH          SOLE        2    279,473         --        --
EMERSON RADIO CORP              EQUITY       291087203       1         450 SH         DEFINED      4         --         --       450
EMISPHERE TECHNOLOGIES INC      EQUITY       291345106      12       2,500 SH         DEFINED      4         --         --     2,500
EMMIS COMMUNICATIONS-CLASS A    EQUITY       291525103     137      27,684 SH          SOLE        1     27,684         --        --
EMMIS COMMUNICATIONS-CLASS A    EQUITY       291525103      11       1,410 SH         DEFINED      4         --         --     1,410
EMPIRE DISTRICT ELECTRIC CO     EQUITY       291641108     597      26,408 SH          SOLE        1     26,408         --        --
EMPIRE DISTRICT ELECTRIC CO     EQUITY       291641108     854      34,393 SH         DEFINED      4         --         --    34,393
EMPIRE RESORTS INC              EQUITY       292052107    1341     271,387 SH         DEFINED      4         --         --   271,387
EMPIRE RESOURCES INC            EQUITY       29206E100      10         920 SH         DEFINED      4         --         --       920
EMPLOYERS HOLDINGS INC          EQUITY       292218104     961      46,629 SH          SOLE        1     46,629         --        --
EMPRESA BRASILEIRA DE AE-ADR    EQUITY       29081M102     142       3,228 SH         DEFINED      4         --         --     3,228
EMPRESA NAC ELEC-CHIL-SP ADR    EQUITY       29244T101       6         200 SH         DEFINED      4         --         --       200
EMPRESAS ICA S.A. -SPONS ADR    EQUITY       292448206      18         750 SH         DEFINED      4         --         --       750
EMS TECHNOLOGIES INC            EQUITY       26873N108     329      13,413 SH          SOLE        1     13,413         --        --
EMULEX CORP                     EQUITY       292475209    1425      74,330 SH          SOLE        1     74,330         --        --
EMULEX CORP                     EQUITY       292475209      55       2,614 SH         DEFINED      4         --         --     2,614
ENBRIDGE ENERGY MANAGEMENT L    EQUITY       29250X103       6         125 SH         DEFINED      4         --         --       125
ENBRIDGE ENERGY PARTNERS LP     EQUITY       29250R106    1204      20,734 SH         DEFINED      4         --         --    20,734
ENBRIDGE INC                    EQUITY       29250N105     271       7,503 SH          OTHER       1         --      7,503        --
ENBRIDGE INC                    EQUITY       29250N105     154       4,540 SH         DEFINED      4         --         --     4,540
ENCANA CORP                     EQUITY       292505104   14065     226,986 SH          OTHER       1         --    226,986        --
ENCANA CORP                     EQUITY       292505104    3216      57,015 SH         DEFINED      4         --         --    57,015
ENCORE ACQUISITION CO           EQUITY       29255W100    8347     263,713 SH          SOLE        1    263,713         --        --
ENCORE ACQUISITION CO           EQUITY       29255W100       7         239 SH         DEFINED      4         --         --       239
ENCORE CAPITAL GROUP INC        EQUITY       292554102     165      13,991 SH          SOLE        1     13,991         --        --
ENCORE CAPITAL GROUP INC        EQUITY       292554102      12       1,000 SH         DEFINED      4         --         --     1,000
ENCORE WIRE CORP                EQUITY       292562105     512      20,367 SH          SOLE        1     20,367         --        --
ENCORE WIRE CORP                EQUITY       292562105     267      10,605 SH         DEFINED      4         --         --    10,605
ENCORIUM GROUP INC              EQUITY       29257R109      27       9,721 SH         DEFINED      4         --         --     9,721
ENCYSIVE PHARMACEUTICALS INC    EQUITY       29256X107      79      52,408 SH          SOLE        1     52,408         --        --
ENCYSIVE PHARMACEUTICALS INC    EQUITY       29256X107      32       9,750 SH         DEFINED      4         --         --     9,750
ENDEAVOUR SILVER CORP           EQUITY       29258Y103      11       2,000 SH         DEFINED      4         --         --     2,000
ENDESA SA-SPONSORED ADR         EQUITY       29258N107      93       1,705 SH         DEFINED      4         --         --     1,705
ENDO PHARMACEUT HLDGS INC       EQUITY       29264F205   16216     522,920 SH          SOLE        1    522,920         --        --
ENDO PHARMACEUT HLDGS INC       EQUITY       29264F205      51        1646 SH         DEFINED      4         --         --        --
ENDOLOGIX INC                   EQUITY       29266S106      81      17,508 SH         DEFINED      4         --         --    17,508
ENEL SPA -SPON ADR              EQUITY       29265W108     148       2,598 SH         DEFINED      4         --         --     2,598
ENERGEN CORP                    EQUITY       29265N108     690      12,081 SH          SOLE        1     12,081         --        --
ENERGEN CORP                    EQUITY       29265N108     323       5,660 SH         DEFINED      4         --         --     5,660
ENERGIZER HOLDINGS INC          EQUITY       29266R108   15696     141,597 SH          SOLE        1    141,597         --        --
ENERGIZER HOLDINGS INC          EQUITY       29266R108     691       6,234 SH         DEFINED      4         --         --     6,234
ENERGY CONVERSION DEVICES       EQUITY       292659109     784      34,503 SH          SOLE        1     34,503         --        --
ENERGY CONVERSION DEVICES       EQUITY       292659109     965      27,010 SH         DEFINED      4         --         --    27,010
ENERGY EAST CORPORATION         EQUITY       29266M109   17302     639,628 SH          SOLE        1    639,628         --        --
ENERGY EAST CORPORATION         EQUITY       29266M109    1117      41,362 SH         DEFINED      4         --         --    41,362
ENERGY FUTURE HOLDINGS CORP     EQUITY       873168108   13578     198,311 SH          SOLE        1    198,311         --        --
ENERGY FUTURE HOLDINGS CORP     EQUITY       873168108    3211      46,967 SH         DEFINED      4         --         --    46,967
ENERGY FUTURE HOLDINGS CORP     EQUITY       873168108      40         581 SH          SOLE        2        581         --        --
ENERGY INCOME AND GROWTH FD     EQUITY       292697109     154       5,237 SH         DEFINED      4         --         --     5,237
ENERGY INFRASTRUCTURE ACQUI     EQUITY       29269P109     191      19,417 SH          SOLE        1     19,417         --        --
ENERGY PARTNERS LTD             EQUITY       29270U105     362      24,671 SH          SOLE        1     24,671         --        --
ENERGY PARTNERS LTD             EQUITY       29270U105      11         670 SH         DEFINED      4         --         --       670
ENERGY SELECT SECTOR SPDR       EQUITY       81369Y506   10365     159,912 SH         DEFINED      4         --         --   159,912
ENERGY TRANSFER EQUITY LP       EQUITY       29273V100    3058      89,156 SH          SOLE        1     89,156         --        --
ENERGY TRANSFER EQUITY LP       EQUITY       29273V100      30         802 SH         DEFINED      4         --         --       802
ENERGY TRANSFER PARTNERS LP     EQUITY       29273R109     682      13,959 SH         DEFINED      4         --         --    13,959





                                                                                          
ENERGY WEST INC                 EQUITY       29274A105      58       3,966 SH         DEFINED      4         --         --     3,966
ENERGYSOUTH INC                 EQUITY       292970100     311       6,169 SH          SOLE        1      6,169         --        --
ENERGYSOUTH INC                 EQUITY       292970100       3          78 SH         DEFINED      4         --         --        78
ENERNOC INC                     EQUITY       292764107     124       3,255 SH          SOLE        1      3,255         --        --
ENERPLUS RESOURCES FUND         EQUITY       29274D604     109       2,392 SH          OTHER       1         --      2,392        --
ENERPLUS RESOURCES FUND         EQUITY       29274D604    2781      61,390 SH         DEFINED      4         --         --    61,390
ENERSYS                         EQUITY       29275Y102     331      18,606 SH          SOLE        1     18,606         --        --
ENGLOBAL CORP                   EQUITY       293306106     166      14,561 SH          SOLE        1     14,561         --        --
ENGLOBAL CORP                   EQUITY       293306106      13       2,000 SH         DEFINED      4         --         --     2,000
ENI SPA-SPONSORED ADR           EQUITY       26874R108     649       9,529 SH         DEFINED      4         --         --     9,529
ENNIS INC                       EQUITY       293389102     492      22,323 SH          SOLE        1     22,323         --        --
ENNIS INC                       EQUITY       293389102     744      33,016 SH         DEFINED      4         --         --    33,016
ENPRO INDUSTRIES INC            EQUITY       29355X107     869      21,406 SH          SOLE        1     21,406         --        --
ENPRO INDUSTRIES INC            EQUITY       29355X107     111       2,830 SH         DEFINED      4         --         --     2,830
ENSCO INTERNATIONAL INC         EQUITY       26874Q100   16492     294,227 SH          SOLE        1    294,227         --        --
ENSCO INTERNATIONAL INC         EQUITY       26874Q100    1626      27,960 SH         DEFINED      4         --         --    27,960
ENSCO INTERNATIONAL INC         EQUITY       26874Q100      10         187 SH          SOLE        2        187         --        --
ENSTAR GROUP LTD                EQUITY       G3075P101      59         469 SH         DEFINED      4         --         --       469
ENTEGRIS INC                    EQUITY       29362U104    1013     116,674 SH          SOLE        1    116,674         --        --
ENTERCOM COMMUNICATIONS-CL A    EQUITY       293639100    1812      93,766 SH          SOLE        1     93,766         --        --
ENTERCOM COMMUNICATIONS-CL A    EQUITY       293639100     688      30,102 SH         DEFINED      4         --         --    30,102
ENTERGY CORP                    EQUITY       29364G103    9112      84,143 SH          SOLE        1     84,143         --        --
ENTERGY CORP                    EQUITY       29364G103    2087      17,581 SH         DEFINED      4         --         --    17,581
ENTERGY CORP                    EQUITY       29364G103      27         247 SH          SOLE        2        247         --        --
ENTERGY CORPORATION             EQUITY       29364G202      32         478 SH         DEFINED      4         --         --       478
ENTERPRISE FINANCIAL SERVICE    EQUITY       293712105     218       8,961 SH          SOLE        1      8,961         --        --
ENTERPRISE GP HOLDINGS LP       EQUITY       293716106      31         825 SH         DEFINED      4         --         --       825
ENTERPRISE PRODUCTS PARTNERS    EQUITY       293792107    2975      98,350 SH          SOLE        1     98,350         --        --
ENTERPRISE PRODUCTS PARTNERS    EQUITY       293792107    2024      63,303 SH         DEFINED      4         --         --    63,303
ENTERRA ENERGY TRUST            EQUITY       29381P102      94      18,065 SH         DEFINED      4         --         --    18,065
ENTERTAINMENT DISTRIBUTION C    EQUITY       29382J105      26      20,610 SH         DEFINED      4         --         --    20,610
ENTERTAINMENT PROPERTIES TR     EQUITY       29380T105    6341     124,830 SH          SOLE        1    124,830         --        --
ENTERTAINMENT PROPERTIES TR     EQUITY       29380T105     117       2,300 SH         DEFINED      4         --         --     2,300
ENTRAVISION COMMUNICAT -CL A    EQUITY       29382R107     554      60,131 SH          SOLE        1     60,131         --        --
ENTRAVISION COMMUNICAT -CL A    EQUITY       29382R107      14       1,468 SH         DEFINED      4         --         --     1,468
ENTREMED INC                    EQUITY       29382F103      12       6,971 SH         DEFINED      4         --         --     6,971
ENTRUST INC                     EQUITY       293848107      15       4,019 SH         DEFINED      4         --         --     4,019
ENVIRONMENTAL TECTONICS CORP    EQUITY       294092101     276      69,124 SH         DEFINED      4         --         --    69,124
ENVOY CAPITAL GROUP INC         EQUITY       29413B105       2         520 SH         DEFINED      4         --         --       520
ENZO BIOCHEM INC                EQUITY       294100102     351      30,925 SH          SOLE        1     30,925         --        --
ENZO BIOCHEM INC                EQUITY       294100102       7         656 SH         DEFINED      4         --         --       656
ENZON PHARMACEUTICALS INC       EQUITY       293904108     339      38,511 SH          SOLE        1     38,511         --        --
ENZON PHARMACEUTICALS INC       EQUITY       293904108      14       1,704 SH         DEFINED      4         --         --     1,704
EOG RESOURCES INC               EQUITY       26875P101   23111     319,517 SH          SOLE        1    319,517         --        --
EOG RESOURCES INC               EQUITY       26875P101     964      13,326 SH         DEFINED      4         --         --    13,326
EOG RESOURCES INC               EQUITY       26875P101      22         309 SH          SOLE        2        309         --        --
EPICOR SOFTWARE CORP            EQUITY       29426L108     798      57,986 SH          SOLE        1     57,986         --        --
EPICOR SOFTWARE CORP            EQUITY       29426L108       5         355 SH         DEFINED      4         --         --       355
EPIQ SYSTEMS INC                EQUITY       26882D109     489      25,967 SH          SOLE        1     25,967         --        --
EPIQ SYSTEMS INC                EQUITY       26882D109      62       3,300 SH         DEFINED      4         --         --     3,300
EPIQ SYSTEMS INC                EQUITY       26882D109     414      22,000 SH          SOLE        2     22,000         --        --
EPIX PHARMACEUTICALS INC        EQUITY       26881Q309       2         600 SH         DEFINED      4         --         --       600
EPOCH HOLDING CORP              EQUITY       29428R103     108       7,654 SH          SOLE        1      7,654         --        --
EQUIFAX INC                     EQUITY       294429105    2432      63,797 SH          SOLE        1     63,797         --        --
EQUIFAX INC                     EQUITY       294429105     169       4,127 SH         DEFINED      4         --         --     4,127
EQUIFAX INC                     EQUITY       294429105       7         180 SH          SOLE        2        180         --        --
EQUINIX INC                     EQUITY       29444U502    2439      27,497 SH          SOLE        1     27,497         --        --
EQUINIX INC                     EQUITY       29444U502      60         730 SH         DEFINED      4         --         --       730
EQUINIX INC                     EQUITY       29444U502    1069      12,050 SH          SOLE        2     12,050         --        --
EQUITABLE RESOURCES INC         EQUITY       294549100   15715     302,963 SH          SOLE        1    302,963         --        --
EQUITABLE RESOURCES INC         EQUITY       294549100     466       8,923 SH         DEFINED      4         --         --     8,923
EQUITY INNS INC                 EQUITY       294703103    2731     120,949 SH          SOLE        1    120,949         --        --
EQUITY INNS INC                 EQUITY       294703103     108       5,934 SH         DEFINED      4         --         --     5,934
EQUITY LIFESTYLE PROPERTIES     EQUITY       29472R108    2216      42,771 SH          SOLE        1     42,771         --        --
EQUITY LIFESTYLE PROPERTIES     EQUITY       29472R108      10         200 SH         DEFINED      4         --         --       200
EQUITY ONE INC                  EQUITY       294752100     119       4,077 SH         DEFINED      4         --         --     4,077
EQUITY RESIDENTIAL              EQUITY       29476L107     505      11,930 SH          SOLE        1     11,930         --        --
EQUITY RESIDENTIAL              EQUITY       29476L107     913      19,866 SH         DEFINED      4         --         --    19,866
EQUUS TOTAL RETURN INC          EQUITY       294766100      72       9,496 SH         DEFINED      4         --         --     9,496
ERESEARCH TECHNOLOGY INC        EQUITY       29481V108     389      34,191 SH          SOLE        1     34,191         --        --
ERESEARCH TECHNOLOGY INC        EQUITY       29481V108      30       2,668 SH         DEFINED      4         --         --     2,668
ERIE INDEMNITY COMPANY-CL A     EQUITY       29530P102      91       1,488 SH          SOLE        1      1,488         --        --
ERIE INDEMNITY COMPANY-CL A     EQUITY       29530P102      80       1,650 SH         DEFINED      4         --         --     1,650





                                                                                          
ESB FINANCIAL CORP              EQUITY       26884F102      12       1,065 SH         DEFINED      4         --         --     1,065
ESCALON MEDICAL CORP            EQUITY       296074305       5       1,200 SH         DEFINED      4         --         --     1,200
ESCO TECHNOLOGIES INC           EQUITY       296315104     752      22,610 SH          SOLE        1     22,610         --        --
ESCO TECHNOLOGIES INC           EQUITY       296315104      95       2,845 SH         DEFINED      4         --         --     2,845
ESPEED INC-CL A                 EQUITY       296643109     144      16,934 SH          SOLE        1     16,934         --        --
ESPEY MFG & ELECTRONICS CORP    EQUITY       296650104     239      11,150 SH         DEFINED      4         --         --    11,150
ESSEX PROPERTY TRUST INC        EQUITY       297178105    9386      79,836 SH          SOLE        1     79,836         --        --
ESSEX PROPERTY TRUST INC        EQUITY       297178105     355       2,791 SH         DEFINED      4         --         --     2,791
ESTEE LAUDER COMPANIES-CL A     EQUITY       518439104   17512     415,487 SH          SOLE        1    415,487         --        --
ESTEE LAUDER COMPANIES-CL A     EQUITY       518439104     297       6,220 SH         DEFINED      4         --         --     6,220
ESTERLINE TECHNOLOGIES CORP     EQUITY       297425100    1456      25,530 SH          SOLE        1     25,530         --        --
ESTERLINE TECHNOLOGIES CORP     EQUITY       297425100      83       1,450 SH         DEFINED      4         --         --     1,450
ETHAN ALLEN INTERIORS INC       EQUITY       297602104     877      26,837 SH          SOLE        1     26,837         --        --
EURO TECH HOLDINGS CO LTD       EQUITY       G32030101      27       9,650 SH         DEFINED      4         --         --     9,650
EURONET WORLDWIDE INC           EQUITY       298736109    1189      39,930 SH          SOLE        1     39,930         --        --
EURONET WORLDWIDE INC           EQUITY       298736109      13         466 SH         DEFINED      4         --         --       466
EURONET WORLDWIDE INC           EQUITY       298736109   11929     400,700 SH          SOLE        2    400,700         --        --
EUROSEAS LTD                    EQUITY       Y23592200      10         700 SH         DEFINED      4         --         --       700
EV3 INC                         EQUITY       26928A200     252      15,334 SH          SOLE        1     15,334         --        --
EV3 INC                         EQUITY       26928A200       9         565 SH         DEFINED      4         --         --       565
EVANS BANCORP INC               EQUITY       29911Q208     374      18,486 SH         DEFINED      4         --         --    18,486
EVERCORE PARTNERS INC-CL A      EQUITY       29977A105     202       7,692 SH          SOLE        1      7,692         --        --
EVEREST RE GROUP LTD            EQUITY       G3223R108     304       2,981 SH         DEFINED      4         --         --     2,981
EVERGREEN ENERGY INC            EQUITY       30024B104     373      73,097 SH          SOLE        1     73,097         --        --
EVERGREEN ENERGY INC            EQUITY       30024B104      42       5,410 SH         DEFINED      4         --         --     5,410
EVERGREEN GLOBAL DIVIDEND OP    EQUITY       30024H101      29       1,616 SH         DEFINED      4         --         --     1,616
EVERGREEN INC ADVANTAGE FUND    EQUITY       30023Y105     760      51,745 SH         DEFINED      4         --         --    51,745
EVERGREEN INTERNATIONAL BALD    EQUITY       30024R109     197       9,008 SH         DEFINED      4         --         --     9,008
EVERGREEN MULTI SECTOR INC F    EQUITY       30024Y104     514      28,829 SH         DEFINED      4         --         --    28,829
EVERGREEN SOLAR INC             EQUITY       30033R108     730      81,736 SH          SOLE        1     81,736         --        --
EVERGREEN SOLAR INC             EQUITY       30033R108      74       7,575 SH         DEFINED      4         --         --     7,575
EVERGREEN UTIL & HIGH INCOME    EQUITY       30034Q109       4         150 SH         DEFINED      4         --         --       150
EVOLVING SYSTEMS INC            EQUITY       30049R100      35      20,850 SH         DEFINED      4         --         --    20,850
EW SCRIPPS CO-CL A              EQUITY       811054204    2675      63,685 SH          SOLE        1     63,685         --        --
EW SCRIPPS CO-CL A              EQUITY       811054204       5         113 SH          SOLE        2        113         --        --
EXACT SCIENCES CORP             EQUITY       30063P105       8       2,500 SH         DEFINED      4         --         --     2,500
EXACTECH INC                    EQUITY       30064E109       3         200 SH         DEFINED      4         --         --       200
EXAR CORP                       EQUITY       300645108     494      37,817 SH          SOLE        1     37,817         --        --
EXCEL MARITIME CARRIERS LTD     EQUITY       V3267N107    2723      48,800 SH          SOLE        3     48,800         --        --
EXCEL MARITIME CARRIERS LTD     EQUITY       V3267N107      39       1,597 SH         DEFINED      4         --         --     1,597
EXCEL TECHNOLOGY INC            EQUITY       30067T103     265      10,638 SH          SOLE        1     10,638         --        --
EXCEL TECHNOLOGY INC            EQUITY       30067T103       2          80 SH         DEFINED      4         --         --        80
EXCO RESOURCES INC              EQUITY       269279402     888      53,702 SH          SOLE        1     53,702         --        --
EXELIXIS INC                    EQUITY       30161Q104     893      84,319 SH          SOLE        1     84,319         --        --
EXELIXIS INC                    EQUITY       30161Q104      81       6,957 SH         DEFINED      4         --         --     6,957
EXELIXIS INC                    EQUITY       30161Q104     185      17,500 SH          SOLE        2     17,500         --        --
EXELON CORP                     EQUITY       30161N101   22164     294,110 SH          SOLE        1    294,110         --        --
EXELON CORP                     EQUITY       30161N101    7394      94,394 SH         DEFINED      4         --         --    94,394
EXELON CORP                     EQUITY       30161N101      64         850 SH          SOLE        2        850         --        --
EXIDE TECHNOLOGIES              EQUITY       302051206     345      53,000 SH          SOLE        1     53,000         --        --
EXIDE TECHNOLOGIES              EQUITY       302051206       9       1,000 SH         DEFINED      4         --         --     1,000
EXLSERVICE HOLDINGS INC         EQUITY       302081104     419      19,723 SH          SOLE        1     19,723         --        --
EXPEDIA INC                     EQUITY       30212P105     683      21,418 SH          SOLE        1     21,418         --        --
EXPEDIA INC                     EQUITY       30212P105      36       1,442 SH         DEFINED      4         --         --     1,442
EXPEDIA INC-W/I-CW              EQUITY       30212P121       1          76 SH         DEFINED      4         --         --        76
EXPEDITORS INTL WASH INC        EQUITY       302130109   25554     540,254 SH          SOLE        1    540,254         --        --
EXPEDITORS INTL WASH INC        EQUITY       302130109     431       9,467 SH         DEFINED      4         --         --     9,467
EXPONENT INC                    EQUITY       30214U102     324      12,905 SH          SOLE        1     12,905         --        --
EXPONENT INC                    EQUITY       30214U102       5         200 SH         DEFINED      4         --         --       200
EXPRESS SCRIPTS INC             EQUITY       302182100    6992     125,267 SH          SOLE        1    125,267         --        --
EXPRESS SCRIPTS INC             EQUITY       302182100     680      12,181 SH         DEFINED      4         --         --    12,181
EXPRESS SCRIPTS INC             EQUITY       302182100     654      11,725 SH          SOLE        2     11,725         --        --
EXPRESSJET HOLDINGS INC         EQUITY       30218U108     146      47,155 SH          SOLE        1     47,155         --        --
EXPRESSJET HOLDINGS INC         EQUITY       30218U108       7         700 SH         DEFINED      4         --         --       700
EXTERRAN HOLDINGS INC           EQUITY       30225X103   17260     214,837 SH          SOLE        1    214,837         --        --
EXTRA SPACE STORAGE INC         EQUITY       30225T102     863      56,084 SH          SOLE        1     56,084         --        --
EXTRA SPACE STORAGE INC         EQUITY       30225T102       3         184 SH         DEFINED      4         --         --       184
EXTREME NETWORKS INC            EQUITY       30226D106     397     103,409 SH          SOLE        1    103,409         --        --
EXTREME NETWORKS INC            EQUITY       30226D106      11       2,890 SH         DEFINED      4         --         --     2,890
EXXON MOBIL CORP                EQUITY       30231G102  379731   4,103,212 SH          SOLE        1  4,103,212         --        --
EXXON MOBIL CORP                EQUITY       30231G102  102858   1,272,521 SH         DEFINED      4         --         -- 1,272,521
EXXON MOBIL CORP                EQUITY       30231G102   53906     582,395 SH          SOLE        2    582,395         --        --
EZCORP INC-CL A                 EQUITY       302301106     435      32,329 SH          SOLE        1     32,329         --        --





                                                                                          
E-Z-EM INC                      EQUITY       269305405       2         100 SH         DEFINED      4         --         --       100
F5 NETWORKS INC                 EQUITY       315616102    7828     210,500 SH          SOLE        1    210,500         --        --
F5 NETWORKS INC                 EQUITY       315616102      37         470 SH         DEFINED      4         --         --       470
FACTSET RESEARCH SYSTEMS INC    EQUITY       303075105     465       6,789 SH          SOLE        1      6,789         --        --
FACTSET RESEARCH SYSTEMS INC    EQUITY       303075105     168       2,675 SH         DEFINED      4         --         --     2,675
FACTSET RESEARCH SYSTEMS INC    EQUITY       303075105     432       6,300 SH          SOLE        2      6,300         --        --
FAIR ISAAC CORP                 EQUITY       303250104    5180     143,449 SH          SOLE        1    143,449         --        --
FAIR ISAAC CORP                 EQUITY       303250104       5         135 SH         DEFINED      4         --         --       135
FAIRCHILD SEMICON INTERNATIO    EQUITY       303726103    5764     308,550 SH          SOLE        1    308,550         --        --
FAIRCHILD SEMICON INTERNATIO    EQUITY       303726103      16         856 SH         DEFINED      4         --         --       856
FAIRCHILD SEMICONDUCTOR         FIXED INCOME 303727AJ0      15          15 PRN        DEFINED      4         --         --        --
FAIRFAX FINANCIAL HLDGS LTD     EQUITY       303901102      82         313 SH          OTHER       1         --        313        --
FAIRFAX FINANCIAL HLDGS LTD     EQUITY       303901102       2           9 SH         DEFINED      4         --         --         9
FAIRPOINT COMMUNICATIONS INC    EQUITY       305560104    5608     297,342 SH          SOLE        1    297,342         --        --
FAIRPOINT COMMUNICATIONS INC    EQUITY       305560104     124       6,555 SH         DEFINED      4         --         --     6,555
FALCONSTOR SOFTWARE INC         EQUITY       306137100     337      27,959 SH          SOLE        1     27,959         --        --
FALCONSTOR SOFTWARE INC         EQUITY       306137100      78       7,000 SH         DEFINED      4         --         --     7,000
FAMILY DOLLAR STORES            EQUITY       307000109    6107     229,201 SH          SOLE        1    229,201         --        --
FAMILY DOLLAR STORES            EQUITY       307000109      13         486 SH         DEFINED      4         --         --       486
FAMILY DOLLAR STORES            EQUITY       307000109       5         184 SH          SOLE        2        184         --        --
FAMOUS DAVE'S OF AMERICA        EQUITY       307068106     410      20,390 SH         DEFINED      4         --         --    20,390
FANNIE MAE                      EQUITY       313586109   48853     803,376 SH          SOLE        1    803,376         --        --
FANNIE MAE                      EQUITY       313586109    1342      21,756 SH         DEFINED      4         --         --    21,756
FANNIE MAE                      EQUITY       313586109    7080     116,427 SH          SOLE        2    116,427         --        --
FARMER BROS CO                  EQUITY       307675108     146       5,859 SH          SOLE        1      5,859         --        --
FARO TECHNOLOGIES INC           EQUITY       311642102     661      14,962 SH          SOLE        1     14,962         --        --
FARO TECHNOLOGIES INC           EQUITY       311642102      88       2,676 SH         DEFINED      4         --         --     2,676
FASTENAL CO                     EQUITY       311900104   14567     320,781 SH          SOLE        1    320,781         --        --
FASTENAL CO                     EQUITY       311900104     677      16,328 SH         DEFINED      4         --         --    16,328
FBL FINANCIAL GROUP INC-CL A    EQUITY       30239F106     496      12,549 SH          SOLE        1     12,549         --        --
FBL FINANCIAL GROUP INC-CL A    EQUITY       30239F106       3          85 SH         DEFINED      4         --         --        85
FCSTONE GROUP INC               EQUITY       31308T100     247       7,661 SH          SOLE        1      7,661         --        --
FCSTONE GROUP INC               EQUITY       31308T100      28         855 SH         DEFINED      4         --         --       855
FEDERAL AGRIC MTG CORP-CL C     EQUITY       313148306     264       8,976 SH          SOLE        1      8,976         --        --
FEDERAL REALTY INVS TRUST       EQUITY       313747206     122       1,377 SH          SOLE        1      1,377         --        --
FEDERAL SIGNAL CORP             EQUITY       313855108    2461     160,190 SH          SOLE        1    160,190         --        --
FEDERAL TRUST CORP              EQUITY       314012105       1         102 SH         DEFINED      4         --         --       102
FEDERATED INVESTORS INC-CL B    EQUITY       314211103    2313      58,269 SH          SOLE        1     58,269         --        --
FEDERATED INVESTORS INC-CL B    EQUITY       314211103      15         388 SH         DEFINED      4         --         --       388
FEDERATED INVESTORS INC-CL B    EQUITY       314211103       4         110 SH          SOLE        2        110         --        --
FEDERATED PREMIER MUNI INC      EQUITY       31423P108     106       6,700 SH         DEFINED      4         --         --     6,700
FEDEX CORP                      EQUITY       31428X106   26800     255,846 SH          SOLE        1    255,846         --        --
FEDEX CORP                      EQUITY       31428X106   10685      98,055 SH         DEFINED      4         --         --    98,055
FEDEX CORP                      EQUITY       31428X106      41         389 SH          SOLE        2        389         --        --
FEI COMPANY                     EQUITY       30241L109    1120      35,626 SH          SOLE        1     35,626         --        --
FEI COMPANY                     EQUITY       30241L109      60       1,608 SH         DEFINED      4         --         --     1,608
FEI COMPANY                     EQUITY       30241L109    6845     217,800 SH          SOLE        2    217,800         --        --
FELCOR LODGING TRUST INC        EQUITY       31430F101    1728      86,696 SH          SOLE        1     86,696         --        --
FELCOR LODGING TRUST INC        EQUITY       31430F101      42       2,100 SH         DEFINED      4         --         --     2,100
FELDMAN MALL PROPERTIES INC     EQUITY       314308107      45       5,900 SH         DEFINED      4         --         --     5,900
FERRELLGAS PARTNERS-LP          EQUITY       315293100     746      31,155 SH         DEFINED      4         --         --    31,155
FERRO CORP                      EQUITY       315405100    2897     145,017 SH          SOLE        1    145,017         --        --
FERRO CORP                      EQUITY       315405100      15         700 SH         DEFINED      4         --         --       700
FIBERTOWER CORP                 EQUITY       31567R100     562     146,236 SH          SOLE        1    146,236         --        --
FIDELITY NASDAQ COMP INDX TS    EQUITY       315912808       5          50 SH         DEFINED      4         --         --        50
FIDELITY NATIONAL FINL-A        EQUITY       31620R105   11368     650,317 SH          SOLE        1    650,317         --        --
FIDELITY NATIONAL FINL-A        EQUITY       31620R105     283      11,274 SH         DEFINED      4         --         --    11,274
FIDELITY NATIONAL INFORMATIO    EQUITY       31620M106    4590     103,448 SH          SOLE        1    103,448         --        --
FIDELITY NATIONAL INFORMATIO    EQUITY       31620M106     500      11,285 SH         DEFINED      4         --         --    11,285
FIDELITY NATIONAL INFORMATIO    EQUITY       31620M106       9         214 SH          SOLE        2        214         --        --
FIDELITY SOUTHERN CORP          EQUITY       316394105       3         175 SH         DEFINED      4         --         --       175
FIDUCIARY/CLAYMORE MLP OPPOR    EQUITY       31647Q106      18         700 SH         DEFINED      4         --         --       700
FIELDPOINT PETROLEUM CORP       EQUITY       316570100       1         404 SH         DEFINED      4         --         --       404
FIFTH THIRD BANCORP             EQUITY       316773100   38000   1,121,617 SH          SOLE        1  1,121,617         --        --
FIFTH THIRD BANCORP             EQUITY       316773100    3974      95,641 SH         DEFINED      4         --         --    95,641
FIFTH THIRD BANCORP             EQUITY       316773100      23         675 SH          SOLE        2        675         --        --
FINANCIAL FEDERAL CORP          EQUITY       317492106     748      26,689 SH          SOLE        1     26,689         --        --
FINANCIAL FEDERAL CORP          EQUITY       317492106      65       2,328 SH         DEFINED      4         --         --     2,328
FINANCIAL SELECT SECTOR SPDR    EQUITY       81369Y605   20884     608,500 SH          SOLE        1    608,500         --        --
FINANCIAL SELECT SECTOR SPDR    EQUITY       81369Y605     864      25,175 SH         DEFINED      4         --         --    25,175
FINISAR CORPORATION             EQUITY       31787A101     654     233,508 SH          SOLE        1    233,508         --        --
FINISAR CORPORATION             EQUITY       31787A101      41      11,915 SH         DEFINED      4         --         --    11,915
FIRST ACCEPTANCE CORP           EQUITY       318457108      75      14,866 SH          SOLE        1     14,866         --        --





                                                                                          
FIRST ACCEPTANCE CORP           EQUITY       318457108       1         150 SH         DEFINED      4         --         --       150
FIRST ADVANTAGE CORP-CL A       EQUITY       31845F100     114       6,462 SH          SOLE        1      6,462         --        --
FIRST ADVANTAGE CORP-CL A       EQUITY       31845F100      52       2,187 SH         DEFINED      4         --         --     2,187
FIRST AMERICAN CORPORATION      EQUITY       318522307    8766     239,391 SH          SOLE        1    239,391         --        --
FIRST AMERICAN CORPORATION      EQUITY       318522307      65       1,781 SH         DEFINED      4         --         --     1,781
FIRST BANCORP PUERTO RICO       EQUITY       318672102     780      82,096 SH          SOLE        1     82,096         --        --
FIRST BANCORP PUERTO RICO       EQUITY       318672102      31       2,406 SH         DEFINED      4         --         --     2,406
FIRST BANCORP/NC                EQUITY       318910106     213      10,471 SH          SOLE        1     10,471         --        --
FIRST BANCORP/NC                EQUITY       318910106      34       1,650 SH         DEFINED      4         --         --     1,650
FIRST BUSEY CORP                EQUITY       319383105     298      13,622 SH          SOLE        1     13,622         --        --
FIRST BUSEY CORP                EQUITY       319383105    5741     281,145 SH         DEFINED      4         --         --   281,145
FIRST CALIFORNIA FINANCIAL G    EQUITY       319395109     493      50,000 SH         DEFINED      4         --         --    50,000
FIRST CAPITAL BANCORP INC       EQUITY       319438107       2         150 SH         DEFINED      4         --         --       150
FIRST CASH FINL SVCS INC        EQUITY       31942D107     620      26,425 SH          SOLE        1     26,425         --        --
FIRST CASH FINL SVCS INC        EQUITY       31942D107      52       2,235 SH         DEFINED      4         --         --     2,235
FIRST CHARTER CORP              EQUITY       319439105     924      30,620 SH          SOLE        1     30,620         --        --
FIRST CHARTER CORP              EQUITY       319439105       1          57 SH         DEFINED      4         --         --        57
FIRST CITIZENS BANC CORP        EQUITY       319459202       4         200 SH         DEFINED      4         --         --       200
FIRST CITIZENS BCSHS  -CL A     EQUITY       31946M103     331       1,624 SH         DEFINED      4         --         --     1,624
FIRST COMMONWEALTH FINL CORP    EQUITY       319829107     803      72,572 SH          SOLE        1     72,572         --        --
FIRST COMMONWEALTH FINL CORP    EQUITY       319829107     944      85,374 SH         DEFINED      4         --         --    85,374
FIRST COMMUNITY BANCORP /CA     EQUITY       31983B101    4811      87,941 SH          SOLE        1     87,941         --        --
FIRST COMMUNITY BANCORP /CA     EQUITY       31983B101      60       1,073 SH         DEFINED      4         --         --     1,073
FIRST COMMUNITY BANCSHARES      EQUITY       31983A103     316       8,734 SH          SOLE        1      8,734         --        --
FIRST COMMUNITY BANCSHARES      EQUITY       31983A103      21         637 SH         DEFINED      4         --         --       637
FIRST CONSULTING GROUP INC      EQUITY       31986R103       2         231 SH         DEFINED      4         --         --       231
FIRST DEFIANCE FINL CORP        EQUITY       32006W106     114       4,000 SH         DEFINED      4         --         --     4,000
FIRST FINANCIAL BANCORP         EQUITY       320209109     422      33,000 SH          SOLE        1     33,000         --        --
FIRST FINANCIAL BANCORP         EQUITY       320209109      64       5,017 SH         DEFINED      4         --         --     5,017
FIRST FINANCIAL CORP INDIANA    EQUITY       320218100     349      11,531 SH          SOLE        1     11,531         --        --
FIRST FINANCIAL CORP INDIANA    EQUITY       320218100     573      18,900 SH         DEFINED      4         --         --    18,900
FIRST FINANCIAL HOLDINGS INC    EQUITY       320239106     326      10,423 SH          SOLE        1     10,423         --        --
FIRST FINANCIAL HOLDINGS INC    EQUITY       320239106       9         300 SH         DEFINED      4         --         --       300
FIRST FINL BANKSHARES INC       EQUITY       32020R109     727      18,086 SH          SOLE        1     18,086         --        --
FIRST FINL BANKSHARES INC       EQUITY       32020R109      44       1,065 SH         DEFINED      4         --         --     1,065
FIRST HORIZON NATIONAL CORP     EQUITY       320517105    1574      59,046 SH          SOLE        1     59,046         --        --
FIRST HORIZON NATIONAL CORP     EQUITY       320517105    4664     115,399 SH         DEFINED      4         --         --   115,399
FIRST HORIZON NATIONAL CORP     EQUITY       320517105       4         159 SH          SOLE        2        159         --        --
FIRST INDIANA CORP              EQUITY       32054R108     387      12,372 SH          SOLE        1     12,372         --        --
FIRST INDUSTRIAL REALTY TR      EQUITY       32054K103    1537      39,541 SH          SOLE        1     39,541         --        --
FIRST INDUSTRIAL REALTY TR      EQUITY       32054K103     345       8,879 SH         DEFINED      4         --         --     8,879
FIRST ISRAEL FUND INC           EQUITY       32063L100      49       2,240 SH         DEFINED      4         --         --     2,240
FIRST MARBLEHEAD CORP/THE       EQUITY       320771108     485      12,650 SH          SOLE        1     12,650         --        --
FIRST MARBLEHEAD CORP/THE       EQUITY       320771108      89       2,359 SH         DEFINED      4         --         --     2,359
FIRST MARINER BANCORP INC       EQUITY       320795107      26       2,000 SH         DEFINED      4         --         --     2,000
FIRST MERCHANTS CORP            EQUITY       320817109     345      15,995 SH          SOLE        1     15,995         --        --
FIRST MERCHANTS CORP            EQUITY       320817109      33       1,386 SH         DEFINED      4         --         --     1,386
FIRST MERCURY FINANCIAL CORP    EQUITY       320841109     231      10,750 SH          SOLE        1     10,750         --        --
FIRST MIDWEST BANCORP INC/IL    EQUITY       320867104    1693      49,561 SH          SOLE        1     49,561         --        --
FIRST MIDWEST BANCORP INC/IL    EQUITY       320867104     335       8,782 SH         DEFINED      4         --         --     8,782
FIRST NIAGARA FINANCIAL GRP     EQUITY       33582V108    5008     353,930 SH          SOLE        1    353,930         --        --
FIRST NIAGARA FINANCIAL GRP     EQUITY       33582V108     183      13,188 SH         DEFINED      4         --         --    13,188
FIRST OF LONG ISLAND CORP       EQUITY       320734106     482      22,315 SH         DEFINED      4         --         --    22,315
FIRST PLACE FINANCIAL /OHIO     EQUITY       33610T109     268      15,166 SH          SOLE        1     15,166         --        --
FIRST PLACE FINANCIAL /OHIO     EQUITY       33610T109      58       3,302 SH         DEFINED      4         --         --     3,302
FIRST POTOMAC REALTY TRUST      EQUITY       33610F109      54       2,075 SH         DEFINED      4         --         --     2,075
FIRST REGIONAL BANCORP/CAL      EQUITY       33615C101     178       7,261 SH          SOLE        1      7,261         --        --
FIRST SECURITY GROUP INC/TN     EQUITY       336312103     351      30,356 SH         DEFINED      4         --         --    30,356
FIRST SOLAR INC                 EQUITY       336433107      55         467 SH          SOLE        1        467         --        --
FIRST SOLAR INC                 EQUITY       336433107      28         405 SH         DEFINED      4         --         --       405
FIRST SOUTH BANCORP INC /NC     EQUITY       33646W100     194       7,401 SH          SOLE        1      7,401         --        --
FIRST SOUTH BANCORP INC /NC     EQUITY       33646W100      29       1,012 SH         DEFINED      4         --         --     1,012
FIRST STATE BANCORPORATION      EQUITY       336453105     351      17,857 SH          SOLE        1     17,857         --        --
FIRST TRUST ABERDEEN GLOBAL     EQUITY       337319107     300      15,619 SH         DEFINED      4         --         --    15,619
FIRST TRUST AMEX BIO INDEX      EQUITY       33733E203      18         696 SH         DEFINED      4         --         --       696
FIRST TRUST ENH EQUITY INC      EQUITY       337318109     346      18,339 SH         DEFINED      4         --         --    18,339
FIRST TRUST LARGE CAP VALUE     EQUITY       33735J101      10         364 SH         DEFINED      4         --         --       364
FIRST TRUST MORN DVD LEAD IN    EQUITY       336917109      14         567 SH         DEFINED      4         --         --       567
FIRST TRUST SMALL CAP CORE A    EQUITY       33734Y109      77       2,675 SH         DEFINED      4         --         --     2,675
FIRST TRUST STRAT HIGH INC 2    EQUITY       337353106     890      56,197 SH         DEFINED      4         --         --    56,197
FIRST TRUST STRAT HIGH INC 3    EQUITY       33735C106     822      57,505 SH         DEFINED      4         --         --    57,505
FIRST TRUST TAX-ADV PREF INC    EQUITY       336918107     672      41,725 SH         DEFINED      4         --         --    41,725
FIRST TRUST VALUE LINE DVD      EQUITY       33734H106      98       5,850 SH         DEFINED      4         --         --     5,850





                                                                                          
FIRST TRUST/FOUR CRNS SR F 2    EQUITY       33733U108      76       4,024 SH         DEFINED      4         --         --     4,024
FIRST TRUST/FOUR CRNS SR FLT    EQUITY       33733Q107      13         775 SH         DEFINED      4         --         --       775
FIRSTENERGY CORP                EQUITY       337932107   22926     361,081 SH          SOLE        1    361,081         --        --
FIRSTENERGY CORP                EQUITY       337932107      24         384 SH          SOLE        2        384         --        --
FIRSTFED FINANCIAL CORP         EQUITY       337907109     799      16,120 SH          SOLE        1     16,120         --        --
FIRSTFED FINANCIAL CORP         EQUITY       337907109      20         400 SH         DEFINED      4         --         --       400
FIRSTMERIT CORP                 EQUITY       337915102    5309     268,697 SH          SOLE        1    268,697         --        --
FIRSTMERIT CORP                 EQUITY       337915102     386      17,727 SH         DEFINED      4         --         --    17,727
FISERV INC                      EQUITY       337738108    4315      84,849 SH          SOLE        1     84,849         --        --
FISERV INC                      EQUITY       337738108     583      11,135 SH         DEFINED      4         --         --    11,135
FISERV INC                      EQUITY       337738108   22587     444,110 SH          SOLE        2    444,110         --        --
FISHER COMMUNICATIONS INC       EQUITY       337756209     271       5,431 SH          SOLE        1      5,431         --        --
FISHER COMMUNICATIONS INC       EQUITY       337756209       2          35 SH         DEFINED      4         --         --        35
FISHER SCIENTIFIC INTL          FIXED INCOME 338032AW5       2           1 PRN        DEFINED      4         --         --        --
FISHER SCIENTIFIC INTL          FIXED INCOME 338032AX3      47          30 PRN        DEFINED      4         --         --        --
FIVE STAR QUALITY CARE          EQUITY       33832D106       3         339 SH         DEFINED      4         --         --       339
FIVE STAR QUALITY CARE          EQUITY       33832D106    1844     224,300 SH          SOLE        2    224,300         --        --
FLAGSTAR BANCORP INC            EQUITY       337930101     423      43,435 SH          SOLE        1     43,435         --        --
FLAGSTAR BANCORP INC            EQUITY       337930101     101      10,380 SH         DEFINED      4         --         --    10,380
FLAH & CRUM PFD INCM OP INC     EQUITY       33848E106     227      18,089 SH         DEFINED      4         --         --    18,089
FLAH & CRUM PREFERRED INCOME    EQUITY       338480106    1574      96,005 SH         DEFINED      4         --         --    96,005
FLAH & CRUM/CLAYMORE PFD S I    EQUITY       338478100     510      23,157 SH         DEFINED      4         --         --    23,157
FLAMEL TECHNOLOGIES-SP ADR      EQUITY       338488109       2         200 SH         DEFINED      4         --         --       200
FLEETWOOD ENTERPRISES           EQUITY       339099103     547      63,970 SH          SOLE        1     63,970         --        --
FLEETWOOD ENTERPRISES           EQUITY       339099103      91      10,236 SH         DEFINED      4         --         --    10,236
FLEXSTEEL INDS                  EQUITY       339382103      10         720 SH         DEFINED      4         --         --       720
FLEXTRONICS INTL LTD            EQUITY       Y2573F102     833      72,585 SH         DEFINED      4         --         --    72,585
FLEXTRONICS INTL LTD            FIXED INCOME 33938EAL1       4           4 PRN        DEFINED      4         --         --        --
FLIR SYSTEMS INC                EQUITY       302445101    3661      66,091 SH          SOLE        1     66,091         --        --
FLIR SYSTEMS INC                EQUITY       302445101     491      11,386 SH         DEFINED      4         --         --    11,386
FLIR SYSTEMS INC                EQUITY       302445101    1072      19,350 SH          SOLE        2     19,350         --        --
FLORIDA PUBLIC UTILITIES CO     EQUITY       341135101      41       3,250 SH         DEFINED      4         --         --     3,250
FLORIDA ROCK INDS               EQUITY       341140101    7756     124,116 SH          SOLE        1    124,116         --        --
FLORIDA ROCK INDS               EQUITY       341140101      59         950 SH         DEFINED      4         --         --       950
FLOTEK INDUSTRIES INC           EQUITY       343389102     699      15,832 SH          SOLE        1     15,832         --        --
FLOTEK INDUSTRIES INC           EQUITY       343389102     209       4,741 SH         DEFINED      4         --         --     4,741
FLOW INTL CORP                  EQUITY       343468104     286      32,413 SH          SOLE        1     32,413         --        --
FLOW INTL CORP                  EQUITY       343468104      10       1,109 SH         DEFINED      4         --         --     1,109
FLOW INTL CORP                  EQUITY       343468104    3562     403,900 SH          SOLE        2    403,900         --        --
FLOWERS FOODS INC               EQUITY       343498101    1670      76,623 SH          SOLE        1     76,623         --        --
FLOWERS FOODS INC               EQUITY       343498101     603      19,178 SH         DEFINED      4         --         --    19,178
FLOWSERVE CORP                  EQUITY       34354P105   10783     141,552 SH          SOLE        1    141,552         --        --
FLOWSERVE CORP                  EQUITY       34354P105     147       1,932 SH         DEFINED      4         --         --     1,932
FLUOR CORP                      EQUITY       343412102    5649      39,237 SH          SOLE        1     39,237         --        --
FLUOR CORP                      EQUITY       343412102     631       6,392 SH         DEFINED      4         --         --     6,392
FLUOR CORP                      EQUITY       343412102     765       5,311 SH          SOLE        2      5,311         --        --
FLUSHING FINANCIAL CORP         EQUITY       343873105     310      18,449 SH          SOLE        1     18,449         --        --
FMC CORP                        EQUITY       302491303    9914     190,584 SH          SOLE        1    190,584         --        --
FMC CORP                        EQUITY       302491303     232       4,456 SH         DEFINED      4         --         --     4,456
FMC TECHNOLOGIES INC            EQUITY       30249U101   18629     323,082 SH          SOLE        1    323,082         --        --
FMC TECHNOLOGIES INC            EQUITY       30249U101     516       8,954 SH         DEFINED      4         --         --     8,954
FNB CORP                        EQUITY       302520101     870      52,581 SH          SOLE        1     52,581         --        --
FNB CORP                        EQUITY       302520101    1170      68,316 SH         DEFINED      4         --         --    68,316
FNB UNITED CORP                 EQUITY       302519103       5         300 SH         DEFINED      4         --         --       300
FOCUS ENHANCEMENTS INC          EQUITY       344159108      16      12,000 SH         DEFINED      4         --         --    12,000
FOCUS MEDIA HOLDING-ADR         EQUITY       34415V109    3510      60,500 SH          SOLE        3     14,400         --    46,100
FOCUS MEDIA HOLDING-ADR         EQUITY       34415V109      43         748 SH         DEFINED      4         --         --       748
FOMENTO ECONOMICO MEX-SP ADR    EQUITY       344419106    9297     248,581 SH          SOLE        1    248,581         --        --
FOMENTO ECONOMICO MEX-SP ADR    EQUITY       344419106      79         694 SH         DEFINED      4         --         --       694
FONAR CORP                      EQUITY       344437405       3         468 SH         DEFINED      4         --         --       468
FOOD TECHNOLOGY SERVICE INC     EQUITY       344798202       4       1,756 SH         DEFINED      4         --         --     1,756
FOOT LOCKER INC                 EQUITY       344849104    5938     387,327 SH          SOLE        1    387,327         --        --
FOOT LOCKER INC                 EQUITY       344849104      39       2,569 SH         DEFINED      4         --         --     2,569
FORCE PROTECTION INC            EQUITY       345203202    1284      59,288 SH          SOLE        1     59,288         --        --
FORCE PROTECTION INC            EQUITY       345203202     298      12,662 SH         DEFINED      4         --         --    12,662
FORD MOTOR CO                   EQUITY       345370860   10410   1,226,147 SH          SOLE        1  1,226,147         --        --
FORD MOTOR CO                   EQUITY       345370860    4327     530,219 SH         DEFINED      4         --         --   530,219
FORD MOTOR CO                   EQUITY       345370860      22       2,647 SH          SOLE        2      2,647         --        --
FORD MOTOR CO CAP TR II         EQUITY       345395206     204       5,670 SH         DEFINED      4         --         --     5,670
FORDING CANADIAN COAL TRUST     EQUITY       345425102     114       3,000 SH          OTHER       1         --      3,000        --
FORDING CANADIAN COAL TRUST     EQUITY       345425102    1536      58,379 SH         DEFINED      4         --         --    58,379
FOREST CITY ENTERPRISES-CL A    EQUITY       345550107      69       1,248 SH          SOLE        1      1,248         --        --
FOREST CITY ENTERPRISES-CL A    EQUITY       345550107      85       1,551 SH         DEFINED      4         --         --     1,551





                                                                                          
FOREST CITY ENTERPRISES-CL B    EQUITY       345550305      22         330 SH         DEFINED      4         --         --       330
FOREST LABORATORIES INC         EQUITY       345838106   22097     592,565 SH          SOLE        1    592,565         --        --
FOREST LABORATORIES INC         EQUITY       345838106     225       4,296 SH         DEFINED      4         --         --     4,296
FOREST LABORATORIES INC         EQUITY       345838106      15         399 SH          SOLE        2        399         --        --
FOREST OIL CORP                 EQUITY       346091705    9487     220,417 SH          SOLE        1    220,417         --        --
FOREST OIL CORP                 EQUITY       346091705      36         953 SH         DEFINED      4         --         --       953
FORGENT NETWORKS INC            EQUITY       34629U103       3       2,550 SH         DEFINED      4         --         --     2,550
FORMFACTOR INC                  EQUITY       346375108    1847      41,617 SH          SOLE        1     41,617         --        --
FORMFACTOR INC                  EQUITY       346375108       6         128 SH         DEFINED      4         --         --       128
FORMULA SYSTEMS 1985-SP ADR     EQUITY       346414105       3         228 SH         DEFINED      4         --         --       228
FORRESTER RESEARCH INC          EQUITY       346563109     310      13,141 SH          SOLE        1     13,141         --        --
FORTRESS INVESTMENT GRP-CL A    EQUITY       34958B106      12         406 SH         DEFINED      4         --         --       406
FORTUNE BRANDS INC              EQUITY       349631101    5808      71,267 SH          SOLE        1     71,267         --        --
FORTUNE BRANDS INC              EQUITY       349631101    2865      35,576 SH         DEFINED      4         --         --    35,576
FORTUNE BRANDS INC              EQUITY       349631101      16         193 SH          SOLE        2        193         --        --
FORWARD AIR CORPORATION         EQUITY       349853101     893      29,989 SH          SOLE        1     29,989         --        --
FORWARD AIR CORPORATION         EQUITY       349853101     102       3,303 SH         DEFINED      4         --         --     3,303
FOSSIL INC                      EQUITY       349882100    1635      43,756 SH          SOLE        1     43,756         --        --
FOSSIL INC                      EQUITY       349882100      19         500 SH         DEFINED      4         --         --       500
FOSSIL INC                      EQUITY       349882100     441      11,800 SH          SOLE        2     11,800         --        --
FOSTER (LB) CO -CL A            EQUITY       350060109     401       9,226 SH          SOLE        1      9,226         --        --
FOSTER (LB) CO -CL A            EQUITY       350060109      25         578 SH         DEFINED      4         --         --       578
FOSTER WHEELER LTD              EQUITY       G36535139     281       2,137 SH         DEFINED      4         --         --     2,137
FOUNDATION COAL HOLDINGS INC    EQUITY       35039W100    2764      70,512 SH          SOLE        1     70,512         --        --
FOUNDATION COAL HOLDINGS INC    EQUITY       35039W100      31         740 SH         DEFINED      4         --         --       740
FOUNDRY NETWORKS INC            EQUITY       35063R100    6125     344,700 SH          SOLE        3    192,600         --   152,100
FOUNDRY NETWORKS INC            EQUITY       35063R100    3618     203,598 SH          SOLE        1    203,598         --        --
FOUNDRY NETWORKS INC            EQUITY       35063R100      14         905 SH         DEFINED      4         --         --       905
FOUNDRY NETWORKS INC            EQUITY       35063R100     755      42,500 SH          SOLE        2     42,500         --        --
FOXHOLLOW TECHNOLOGIES INC      EQUITY       35166A103     456      17,261 SH          SOLE        1     17,261         --        --
FOXHOLLOW TECHNOLOGIES INC      EQUITY       35166A103      12         500 SH         DEFINED      4         --         --       500
FPIC INSURANCE GROUP INC        EQUITY       302563101     364       8,465 SH          SOLE        1      8,465         --        --
FPIC INSURANCE GROUP INC        EQUITY       302563101       8         175 SH         DEFINED      4         --         --       175
FPL GROUP INC                   EQUITY       302571104   10627     174,556 SH          SOLE        1    174,556         --        --
FPL GROUP INC                   EQUITY       302571104    5736      89,849 SH         DEFINED      4         --         --    89,849
FPL GROUP INC                   EQUITY       302571104    3836      63,013 SH          SOLE        2     63,013         --        --
FRANCE TELECOM SA-SPONS ADR     EQUITY       35177Q105    1251      41,953 SH         DEFINED      4         --         --    41,953
FRANKLIN BANK CORP/HOUSTON      EQUITY       352451108     232      25,242 SH          SOLE        1     25,242         --        --
FRANKLIN COVEY CO               EQUITY       353469109       4         510 SH         DEFINED      4         --         --       510
FRANKLIN ELECTRIC CO INC        EQUITY       353514102     691      16,819 SH          SOLE        1     16,819         --        --
FRANKLIN ELECTRIC CO INC        EQUITY       353514102      18         441 SH         DEFINED      4         --         --       441
FRANKLIN RESOURCES INC          EQUITY       354613101    8861      69,496 SH          SOLE        1     69,496         --        --
FRANKLIN RESOURCES INC          EQUITY       354613101    1494      11,050 SH         DEFINED      4         --         --    11,050
FRANKLIN RESOURCES INC          EQUITY       354613101      26         205 SH          SOLE        2        205         --        --
FRANKLIN STREET PROPERTIES C    EQUITY       35471R106      54       3,000 SH         DEFINED      4         --         --     3,000
FRANKLIN TEMPLETON LTD DUR      EQUITY       35472T101    1475     118,930 SH         DEFINED      4         --         --   118,930
FRANKLIN UNIVERSAL TRUST        EQUITY       355145103     616      83,254 SH         DEFINED      4         --         --    83,254
FREDDIE MAC                     EQUITY       313400301   23125     391,879 SH          SOLE        1    391,879         --        --
FREDDIE MAC                     EQUITY       313400301     663       9,861 SH         DEFINED      4         --         --     9,861
FREDDIE MAC                     EQUITY       313400301     225       3,820 SH          SOLE        2      3,820         --        --
FRED'S INC-CLASS A              EQUITY       356108100     422      40,043 SH          SOLE        1     40,043         --        --
FRED'S INC-CLASS A              EQUITY       356108100      25       1,800 SH         DEFINED      4         --         --     1,800
FREEDOM ACQUISITION HOLDING     EQUITY       35645F103     517      45,932 SH          SOLE        1     45,932         --        --
FREEPORT-MCMORAN COPPER         EQUITY       35671D857   23801     226,910 SH          SOLE        1    226,910         --        --
FREEPORT-MCMORAN COPPER         EQUITY       35671D857    6356      88,093 SH         DEFINED      4         --         --    88,093
FREEPORT-MCMORAN COPPER         EQUITY       35671D857   10065      95,953 SH          SOLE        2     95,953         --        --
FREIGHTCAR AMERICA INC          EQUITY       357023100     409      10,694 SH          SOLE        1     10,694         --        --
FREIGHTCAR AMERICA INC          EQUITY       357023100      79       2,076 SH         DEFINED      4         --         --     2,076
FREMONT GENERAL CORP            EQUITY       357288109     263      67,460 SH          SOLE        1     67,460         --        --
FRESENIUS MEDICAL CARE-ADR      EQUITY       358029106      83       1,625 SH         DEFINED      4         --         --     1,625
FRESH DEL MONTE PRODUCE INC     EQUITY       G36738105       6         250 SH         DEFINED      4         --         --       250
FRIEDMAN BILLINGS RAMSEY-A      EQUITY       358434108     648     140,458 SH          SOLE        1    140,458         --        --
FRIEDMAN BILLINGS RAMSEY-A      EQUITY       358434108     153      27,389 SH         DEFINED      4         --         --    27,389
FRONTEER DEVELOPMENT GROUP      EQUITY       35903Q106     144      10,160 SH         DEFINED      4         --         --    10,160
FRONTIER AIRLINES HOLDINGS      EQUITY       359059102      29       4,613 SH          SOLE        1      4,613         --        --
FRONTIER AIRLINES HOLDINGS      EQUITY       359059102      43       6,570 SH         DEFINED      4         --         --     6,570
FRONTIER FINANCIAL CORP         EQUITY       35907K105     910      38,998 SH          SOLE        1     38,998         --        --
FRONTIER FINANCIAL CORP         EQUITY       35907K105     135       5,788 SH         DEFINED      4         --         --     5,788
FRONTIER OIL CORP               EQUITY       35914P105   11186     268,624 SH          SOLE        1    268,624         --        --
FRONTIER OIL CORP               EQUITY       35914P105    2489      69,869 SH         DEFINED      4         --         --    69,869
FRONTLINE LTD                   EQUITY       G3682E127     518      13,006 SH         DEFINED      4         --         --    13,006
FROZEN FOOD EXPRESS INDS        EQUITY       359360104      70       8,000 SH         DEFINED      4         --         --     8,000
FSI INTL INC                    EQUITY       302633102       5       1,100 SH         DEFINED      4         --         --     1,100





                                                                                          
FTD GROUP INC                   EQUITY       30267U108     248      16,637 SH          SOLE        1     16,637         --        --
FTI CONSULTING INC              EQUITY       302941109    1872      37,218 SH          SOLE        1     37,218         --        --
FTI CONSULTING INC              EQUITY       302941109     240       6,712 SH         DEFINED      4         --         --     6,712
FTI CONSULTING INC              EQUITY       302941109     951      18,900 SH          SOLE        2     18,900         --        --
FUEL SYSTEMS SOLUTIONS INC      EQUITY       35952W103       2         125 SH         DEFINED      4         --         --       125
FUEL TECH INC                   EQUITY       359523107     334      15,118 SH          SOLE        1     15,118         --        --
FUELCELL ENERGY INC             EQUITY       35952H106     514      57,771 SH          SOLE        1     57,771         --        --
FUELCELL ENERGY INC             EQUITY       35952H106     191      21,330 SH         DEFINED      4         --         --    21,330
FUJIFILM HOLDINGS CORP-ADR      EQUITY       35958N107     561      13,364 SH         DEFINED      4         --         --    13,364
FULL HOUSE RESORTS INC          EQUITY       359678109       3         700 SH         DEFINED      4         --         --       700
FULTON FINANCIAL CORP           EQUITY       360271100      72       4,975 SH          SOLE        1      4,975         --        --
FULTON FINANCIAL CORP           EQUITY       360271100     635      42,534 SH         DEFINED      4         --         --    42,534
FUNDTECH LTD                    EQUITY       M47095100    2482     141,500 SH          SOLE        3    141,500         --        --
FURNITURE BRANDS INTL INC       EQUITY       360921100    1638     161,499 SH          SOLE        1    161,499         --        --
FURNITURE BRANDS INTL INC       EQUITY       360921100      24       2,325 SH         DEFINED      4         --         --     2,325
FX ENERGY INC                   EQUITY       302695101     231      31,055 SH          SOLE        1     31,055         --        --
G & K SERVICES INC -CL A        EQUITY       361268105     861      21,430 SH          SOLE        1     21,430         --        --
G & K SERVICES INC -CL A        EQUITY       361268105      19         500 SH         DEFINED      4         --         --       500
G. WILLI-FOOD INTERNATIONAL     EQUITY       M52523103      10       1,350 SH         DEFINED      4         --         --     1,350
GABELLI CONV AND INCOME SEC     EQUITY       36240B109      22       2,432 SH         DEFINED      4         --         --     2,432
GABELLI DIVIDEND & INCOME TR    EQUITY       36242H104     538      25,007 SH         DEFINED      4         --         --    25,007
GABELLI EQUITY TRUST            EQUITY       362397101     417      41,122 SH         DEFINED      4         --         --    41,122
GABELLI GLOBAL MULTIMEDIA TR    EQUITY       36239Q109       4         249 SH         DEFINED      4         --         --       249
GABELLI GOLD NAT RES & INCOM    EQUITY       36244N109     173       6,464 SH         DEFINED      4         --         --     6,464
GABELLI HEALTHCARE&WELLNESS     EQUITY       36246K103      39       4,809 SH         DEFINED      4         --         --     4,809
GABELLI UTILITY TRUST           EQUITY       36240A101     127      13,579 SH         DEFINED      4         --         --    13,579
GAFISA SA-ADR                   EQUITY       362607301     187       6,119 SH         DEFINED      4         --         --     6,119
GAIAM INC-CLASS A               EQUITY       36268Q103     362      15,052 SH          SOLE        1     15,052         --        --
GAINSCO INC                     EQUITY       363127200       3         407 SH         DEFINED      4         --         --       407
GAMCO INVESTORS INC-A           EQUITY       361438104     265       4,828 SH          SOLE        1      4,828         --        --
GAMESTOP CORP-CLASS A           EQUITY       36467W109    6091     108,100 SH          SOLE        3     44,000         --    64,100
GAMESTOP CORP-CLASS A           EQUITY       36467W109   22313     395,963 SH          SOLE        1    395,963         --        --
GAMESTOP CORP-CLASS A           EQUITY       36467W109    1350      40,524 SH         DEFINED      4         --         --    40,524
GAMESTOP CORP-CLASS A           EQUITY       36467W109    1775      31,500 SH          SOLE        2     31,500         --        --
GAMMON GOLD INC                 EQUITY       36467T106     332      27,800 SH         DEFINED      4         --         --    27,800
GANDER MOUNTAIN CO              EQUITY       36471P108      24       4,425 SH          SOLE        1      4,425         --        --
GANNETT CO                      EQUITY       364730101   19299     440,046 SH          SOLE        1    440,046         --        --
GANNETT CO                      EQUITY       364730101    1114      25,502 SH         DEFINED      4         --         --    25,502
GANNETT CO                      EQUITY       364730101    2452      56,116 SH          SOLE        2     56,116         --        --
GAP INC/THE                     EQUITY       364760108   19628   1,066,406 SH          SOLE        1  1,066,406         --        --
GAP INC/THE                     EQUITY       364760108     290      15,813 SH         DEFINED      4         --         --    15,813
GAP INC/THE                     EQUITY       364760108      12         624 SH          SOLE        2        624         --        --
GARDNER DENVER INC              EQUITY       365558105     468      11,991 SH          SOLE        1     11,991         --        --
GARDNER DENVER INC              EQUITY       365558105     563      14,429 SH         DEFINED      4         --         --    14,429
GARMIN LTD                      EQUITY       G37260109    2743      49,225 SH         DEFINED      4         --         --    49,225
GARMIN LTD                      EQUITY       G37260109    1445      12,100 SH          SOLE        2     12,100         --        --
GARTNER INC                     EQUITY       366651107    5674     231,981 SH          SOLE        1    231,981         --        --
GARTNER INC                     EQUITY       366651107       1          22 SH         DEFINED      4         --         --        22
GASCO ENERGY INC                EQUITY       367220100      21      10,740 SH         DEFINED      4         --         --    10,740
GATEHOUSE MEDIA INC             EQUITY       367348109    4073     319,423 SH          SOLE        1    319,423         --        --
GATEWAY INC                     EQUITY       367626108     503     267,326 SH          SOLE        1    267,326         --        --
GATEWAY INC                     EQUITY       367626108      94      44,780 SH         DEFINED      4         --         --    44,780
GATX CORP                       EQUITY       361448103    5577     130,457 SH          SOLE        1    130,457         --        --
GATX CORP                       EQUITY       361448103     234       5,485 SH         DEFINED      4         --         --     5,485
GAYLORD ENTERTAINMENT CO        EQUITY       367905106    1899      35,673 SH          SOLE        1     35,673         --        --
GAYLORD ENTERTAINMENT CO        EQUITY       367905106      38         716 SH         DEFINED      4         --         --       716
GB&T BANCSHARES INC             EQUITY       361462104     201      11,602 SH         DEFINED      4         --         --    11,602
GEHL COMPANY                    EQUITY       368483103     203       9,109 SH          SOLE        1      9,109         --        --
GEHL COMPANY                    EQUITY       368483103      26       1,150 SH         DEFINED      4         --         --     1,150
GEMSTAR-TV GUIDE INTL INC       EQUITY       36866W106    1518     218,081 SH          SOLE        1    218,081         --        --
GEMSTAR-TV GUIDE INTL INC       EQUITY       36866W106      34       4,894 SH         DEFINED      4         --         --     4,894
GENCO SHIPPING & TRADING LTD    EQUITY       Y2685T107     774      11,816 SH         DEFINED      4         --         --    11,816
GENCO SHIPPING & TRADING LTD    EQUITY       Y2685T107    7667     117,000 SH          SOLE        2    117,000         --        --
GENCORP INC                     EQUITY       368682100     670      56,008 SH          SOLE        1     56,008         --        --
GENCORP INC                     EQUITY       368682100     217      18,105 SH         DEFINED      4         --         --    18,105
GENE LOGIC INC                  EQUITY       368689105       6       3,586 SH         DEFINED      4         --         --     3,586
GENELABS TECHNOLOGIES           EQUITY       368706206      10       5,272 SH         DEFINED      4         --         --     5,272
GENENTECH INC                   EQUITY       368710406   12981     166,375 SH          SOLE        1    166,375         --        --
GENENTECH INC                   EQUITY       368710406    4212      52,315 SH         DEFINED      4         --         --    52,315
GENENTECH INC                   EQUITY       368710406    4447      57,000 SH          SOLE        2     57,000         --        --
GENERAL AMERICAN INVESTORS      EQUITY       368802104     200       5,043 SH         DEFINED      4         --         --     5,043
GENERAL CABLE CORP              EQUITY       369300108      75       1,111 SH          SOLE        1      1,111         --        --
GENERAL CABLE CORP              EQUITY       369300108     309       4,767 SH         DEFINED      4         --         --     4,767





                                                                                          
GENERAL COMMUNICATION INC-A     EQUITY       369385109     636      52,389 SH          SOLE        1     52,389         --        --
GENERAL DYNAMICS CORP           EQUITY       369550108   20826     246,550 SH          SOLE        1    246,550         --        --
GENERAL DYNAMICS CORP           EQUITY       369550108    5058      59,883 SH         DEFINED      4         --         --    59,883
GENERAL DYNAMICS CORP           EQUITY       369550108    6032      71,412 SH          SOLE        2     71,412         --        --
GENERAL ELECTRIC CO             EQUITY       369604103  296137   7,153,654 SH          SOLE        1  7,153,654         --        --
GENERAL ELECTRIC CO             EQUITY       369604103   69201   1,858,243 SH         DEFINED      4         --         -- 1,858,243
GENERAL ELECTRIC CO             EQUITY       369604103   42992   1,038,447 SH          SOLE        2  1,038,447         --        --
GENERAL GROWTH PROPERTIES       EQUITY       370021107   16259     303,226 SH          SOLE        1    303,226         --        --
GENERAL GROWTH PROPERTIES       EQUITY       370021107     610       9,746 SH         DEFINED      4         --         --     9,746
GENERAL GROWTH PROPERTIES       EQUITY       370021107      17         310 SH          SOLE        2        310         --        --
GENERAL MARITIME CORP           EQUITY       Y2692M103     206       6,658 SH         DEFINED      4         --         --     6,658
GENERAL MILLS INC               EQUITY       370334104   36242     624,466 SH          SOLE        1    624,466         --        --
GENERAL MILLS INC               EQUITY       370334104    1574      26,361 SH         DEFINED      4         --         --    26,361
GENERAL MILLS INC               EQUITY       370334104      24         416 SH          SOLE        2        416         --        --
GENERAL MOTORS CORP             EQUITY       370442105   26704     733,099 SH          SOLE        1    733,099         --        --
GENERAL MOTORS CORP             EQUITY       370442741      21       1,000 SH         DEFINED      4         --         --     1,000
GENERAL MOTORS CORP             EQUITY       370442717      49       2,010 SH         DEFINED      4         --         --     2,010
GENERAL MOTORS CORP             EQUITY       370442105    3704     122,988 SH         DEFINED      4         --         --   122,988
GENERAL MOTORS CORP             EQUITY       370442105    6434     175,313 SH          SOLE        2    175,313         --        --
GENEREX BIOTECHNOLOGY CORP      EQUITY       371485103       9       5,850 SH         DEFINED      4         --         --     5,850
GENESCO INC                     EQUITY       371532102    1047      22,700 SH          SOLE        1     22,700         --        --
GENESCO INC                     EQUITY       371532102      56       1,206 SH         DEFINED      4         --         --     1,206
GENESEE & WYOMING INC-CL A      EQUITY       371559105     895      31,045 SH          SOLE        1     31,045         --        --
GENESEE & WYOMING INC-CL A      EQUITY       371559105      28       1,005 SH         DEFINED      4         --         --     1,005
GENESIS ENERGY L.P.             EQUITY       371927104     309       9,435 SH         DEFINED      4         --         --     9,435
GENESIS MICROCHIP INC           EQUITY       37184C103     253      32,215 SH          SOLE        1     32,215         --        --
GENESIS MICROCHIP INC           EQUITY       37184C103       9       1,203 SH         DEFINED      4         --         --     1,203
GENETIC TECH LTD-SP ADR         EQUITY       37185R109       2         400 SH         DEFINED      4         --         --       400
GENITOPE CORP                   EQUITY       37229P507       1         260 SH         DEFINED      4         --         --       260
GENLYTE GROUP INC               EQUITY       372302109    1592      24,779 SH          SOLE        1     24,779         --        --
GENOMIC HEALTH INC              EQUITY       37244C101     228      11,877 SH          SOLE        1     11,877         --        --
GENOMIC HEALTH INC              EQUITY       37244C101      13         750 SH         DEFINED      4         --         --       750
GENOMIC HEALTH INC              EQUITY       37244C101     950      49,500 SH          SOLE        2     49,500         --        --
GEN-PROBE INC                   EQUITY       36866T103    5852      87,900 SH          SOLE        3     43,500         --    44,400
GEN-PROBE INC                   EQUITY       36866T103    8817     132,428 SH          SOLE        1    132,428         --        --
GEN-PROBE INC                   EQUITY       36866T103       2          39 SH         DEFINED      4         --         --        39
GENTEK INC                      EQUITY       37245X203     227       7,530 SH          SOLE        1      7,530         --        --
GENTEX CORP                     EQUITY       371901109    7628     355,774 SH          SOLE        1    355,774         --        --
GENTEX CORP                     EQUITY       371901109    3580     166,997 SH         DEFINED      4         --         --   166,997
GENTEX CORP                     EQUITY       371901109    7939     370,300 SH          SOLE        2    370,300         --        --
GENTIVA HEALTH SERVICES         EQUITY       37247A102     530      27,606 SH          SOLE        1     27,606         --        --
GENTIVA HEALTH SERVICES         EQUITY       37247A102      12         610 SH         DEFINED      4         --         --       610
GENUINE PARTS CO                EQUITY       372460105    3940      78,794 SH          SOLE        1     78,794         --        --
GENUINE PARTS CO                EQUITY       372460105     489       9,882 SH         DEFINED      4         --         --     9,882
GENUINE PARTS CO                EQUITY       372460105    3074      61,478 SH          SOLE        2     61,478         --        --
GENVEC INC                      EQUITY       37246C109     135      57,629 SH          SOLE        1     57,629         --        --
GENVEC INC                      EQUITY       37246C109      54      23,000 SH         DEFINED      4         --         --    23,000
GENWORTH FINANCIAL INC-CL A     EQUITY       37247D106   14953     486,646 SH          SOLE        1    486,646         --        --
GENWORTH FINANCIAL INC-CL A     EQUITY       37247D106     842      23,560 SH         DEFINED      4         --         --    23,560
GENWORTH FINANCIAL INC-CL A     EQUITY       37247D106      17         558 SH          SOLE        2        558         --        --
GENZYME CORP                    EQUITY       372917104    9414     151,940 SH          SOLE        1    151,940         --        --
GENZYME CORP                    EQUITY       372917104     930      15,012 SH         DEFINED      4         --         --    15,012
GENZYME CORP                    EQUITY       372917104    7165     115,632 SH          SOLE        2    115,632         --        --
GEO GROUP INC/THE               EQUITY       36159R103    4356     147,115 SH          SOLE        1    147,115         --        --
GEO GROUP INC/THE               EQUITY       36159R103   11036     372,700 SH          SOLE        3    231,700         --   141,000
GEO GROUP INC/THE               EQUITY       36159R103     840      15,798 SH         DEFINED      4         --         --    15,798
GEO GROUP INC/THE               EQUITY       36159R103     761      25,700 SH          SOLE        2     25,700         --        --
GEOEYE INC                      EQUITY       37250W108     394      15,286 SH          SOLE        1     15,286         --        --
GEOGLOBAL RESOURCES INC         EQUITY       37249T109     101      27,947 SH          SOLE        1     27,947         --        --
GEOGLOBAL RESOURCES INC         EQUITY       37249T109     484      84,650 SH         DEFINED      4         --         --    84,650
GEOKINETICS INC                 EQUITY       372910307     139       5,936 SH          SOLE        1      5,936         --        --
GEOMET INC                      EQUITY       37250U201      80      15,732 SH          SOLE        1     15,732         --        --
GEOPHARMA INC                   EQUITY       37250A106      38       9,100 SH         DEFINED      4         --         --     9,100
GEORGIA GULF CORP               EQUITY       373200203     476      34,246 SH          SOLE        1     34,246         --        --
GEORGIA GULF CORP               EQUITY       373200203      49       2,800 SH         DEFINED      4         --         --     2,800
GERBER SCIENTIFIC INC           EQUITY       373730100     250      23,028 SH          SOLE        1     23,028         --        --
GERDAU AMERISTEEL CORP          EQUITY       37373P105      41       2,900 SH         DEFINED      4         --         --     2,900
GERDAU SA -SPON ADR             EQUITY       373737105      15         730 SH         DEFINED      4         --         --       730
GERON CORP                      EQUITY       374163103     465      63,577 SH          SOLE        1     63,577         --        --
GERON CORP                      EQUITY       374163103     116      15,915 SH         DEFINED      4         --         --    15,915
GETTY IMAGES INC                EQUITY       374276103    3261     117,136 SH          SOLE        1    117,136         --        --
GETTY IMAGES INC                EQUITY       374276103      65       2,326 SH         DEFINED      4         --         --     2,326
GETTY REALTY CORP               EQUITY       374297109      43       1,505 SH         DEFINED      4         --         --     1,505





                                                                                          
GEVITY HR INC                   EQUITY       374393106     248      24,201 SH          SOLE        1     24,201         --        --
GEVITY HR INC                   EQUITY       374393106       4         200 SH         DEFINED      4         --         --       200
GFI GROUP INC                   EQUITY       361652209    1202      13,960 SH          SOLE        1     13,960         --        --
GFI GROUP INC                   EQUITY       361652209      10         143 SH         DEFINED      4         --         --        --
GFI GROUP INC                   EQUITY       361652209    1163      13,500 SH          SOLE        2     13,500         --        --
GIBRALTAR INDUSTRIES INC        EQUITY       374689107     473      25,580 SH          SOLE        1     25,580         --        --
GIBRALTAR INDUSTRIES INC        EQUITY       374689107      40       1,725 SH         DEFINED      4         --         --     1,725
GIGABEAM CORP                   EQUITY       37517W107      27       8,500 SH         DEFINED      4         --         --     8,500
GIGAMEDIA LIMITED               EQUITY       Y2711Y104     120       7,925 SH         DEFINED      4         --         --     7,925
GIGAMEDIA LIMITED               EQUITY       Y2711Y104     423      26,200 SH          SOLE        2     26,200         --        --
GIGA-TRONICS INC                EQUITY       375175106       1         500 SH         DEFINED      4         --         --       500
G-III APPAREL GROUP LTD         EQUITY       36237H101     223      11,321 SH          SOLE        1     11,321         --        --
GILDAN ACTIVEWEAR INC           EQUITY       375916103      92       2,532 SH          OTHER       1         --      2,532        --
GILDAN ACTIVEWEAR INC           EQUITY       375916103      47       1,176 SH         DEFINED      4         --         --     1,176
GILEAD SCIENCES INC             EQUITY       375558103   30603     748,794 SH          SOLE        1    748,794         --        --
GILEAD SCIENCES INC             EQUITY       375558103    3537      42,640 SH         DEFINED      4         --         --    42,640
GILEAD SCIENCES INC             EQUITY       375558103    6399     156,568 SH          SOLE        2    156,568         --        --
GILEAD SCIENCES INC             FIXED INCOME 375558AH6      53          44 PRN        DEFINED      4         --         --        --
GIVEN IMAGING LTD               EQUITY       M52020100      15         557 SH         DEFINED      4         --         --       557
GLACIER BANCORP INC             EQUITY       37637Q105    1185      52,633 SH          SOLE        1     52,633         --        --
GLACIER BANCORP INC             EQUITY       37637Q105     489      22,058 SH         DEFINED      4         --         --    22,058
GLADSTONE CAPITAL CORP          EQUITY       376535100     242      12,394 SH          SOLE        1     12,394         --        --
GLADSTONE CAPITAL CORP          EQUITY       376535100       7         300 SH         DEFINED      4         --         --       300
GLATFELTER                      EQUITY       377316104     583      39,255 SH          SOLE        1     39,255         --        --
GLATFELTER                      EQUITY       377316104       6         400 SH         DEFINED      4         --         --       400
GLAXOSMITHKLINE PLC-SPON ADR    EQUITY       37733W105    6010     103,402 SH         DEFINED      4         --         --   103,402
GLIMCHER REALTY TRUST           EQUITY       379302102     828      30,344 SH         DEFINED      4         --         --    30,344
GLOBAL CASH ACCESS HOLDINGS     EQUITY       378967103     408      38,552 SH          SOLE        1     38,552         --        --
GLOBAL CASH ACCESS HOLDINGS     EQUITY       378967103      13       1,200 SH         DEFINED      4         --         --     1,200
GLOBAL CASH ACCESS HOLDINGS     EQUITY       378967103    1413     133,400 SH          SOLE        2    133,400         --        --
GLOBAL CROSSING LTD             EQUITY       G3921A175      60       2,823 SH         DEFINED      4         --         --     2,823
GLOBAL HIGH INCOME FUND INC     EQUITY       37933G108      32       2,004 SH         DEFINED      4         --         --     2,004
GLOBAL INDUSTRIES LTD           EQUITY       379336100     711      27,586 SH          SOLE        1     27,586         --        --
GLOBAL INDUSTRIES LTD           EQUITY       379336100     720      32,977 SH         DEFINED      4         --         --    32,977
GLOBAL PARTNERS LP              EQUITY       37946R109      15         400 SH         DEFINED      4         --         --       400
GLOBAL PAYMENTS INC             EQUITY       37940X102    8855     200,244 SH          SOLE        1    200,244         --        --
GLOBAL PAYMENTS INC             EQUITY       37940X102    1230      32,049 SH         DEFINED      4         --         --    32,049
GLOBAL PAYMENTS INC             EQUITY       37940X102   14610     330,400 SH          SOLE        2    330,400         --        --
GLOBAL SOURCES LIMITED          EQUITY       G39300101      15         665 SH         DEFINED      4         --         --       665
GLOBAL SOURCES LIMITED          EQUITY       G39300101     140       6,300 SH          SOLE        2      6,300         --        --
GLOBALSANTAFE CORP              EQUITY       G3930E101    1531      23,894 SH         DEFINED      4         --         --    23,894
GLOBALSTAR INC                  EQUITY       378973408     124      16,863 SH          SOLE        1     16,863         --        --
GLOBECOMM SYSTEMS INC           EQUITY       37956X103    1955     147,400 SH          SOLE        3    147,400         --        --
GLOBECOMM SYSTEMS INC           EQUITY       37956X103     103       7,750 SH         DEFINED      4         --         --     7,750
GLU MOBILE INC                  EQUITY       379890106      58       6,417 SH          SOLE        1      6,417         --        --
GMARKET INC-ADR                 EQUITY       38012G100       2         108 SH         DEFINED      4         --         --       108
GMH COMMUNITIES TRUST           EQUITY       36188G102       4         500 SH         DEFINED      4         --         --       500
GMX RESOURCES INC               EQUITY       38011M108     324      10,071 SH          SOLE        1     10,071         --        --
GMX RESOURCES INC               EQUITY       38011M108      65       1,848 SH         DEFINED      4         --         --     1,848
GOAMERICA INC                   EQUITY       38020R304       6       1,140 SH         DEFINED      4         --         --     1,140
GOL LINHAS AEREAS INTEL-ADR     EQUITY       38045R107      16         650 SH         DEFINED      4         --         --       650
GOLAR LNG LTD                   EQUITY       G9456A100      18       1,100 SH         DEFINED      4         --         --     1,100
GOLD FIELDS LTD-SPONS ADR       EQUITY       38059T106      57       3,161 SH         DEFINED      4         --         --     3,161
GOLD RESERVE INC                EQUITY       38068N108       2         450 SH         DEFINED      4         --         --       450
GOLDCORP INC                    EQUITY       380956409    7907     258,481 SH          OTHER       1         --    258,481        --
GOLDCORP INC                    EQUITY       380956409    1936      77,351 SH         DEFINED      4         --         --    77,351
GOLDEN STAR RESOURCES LTD       EQUITY       38119T104      59      13,450 SH         DEFINED      4         --         --    13,450
GOLDEN TELECOM INC              EQUITY       38122G107    1102      13,697 SH          SOLE        1     13,697         --        --
GOLDFIELD CORP                  EQUITY       381370105       5       4,400 SH         DEFINED      4         --         --     4,400
GOLDMAN SACHS GROUP INC         EQUITY       38141G104   55107     254,813 SH          SOLE        1    254,813         --        --
GOLDMAN SACHS GROUP INC         EQUITY       38141G104    8309      36,568 SH         DEFINED      4         --         --    36,568
GOLDMAN SACHS GROUP INC         EQUITY       38141G104    5569      25,695 SH          SOLE        2     25,695         --        --
GOLFSMITH INTERNATIONAL HOLD    EQUITY       38168Y103       7       1,000 SH         DEFINED      4         --         --     1,000
GOODMAN GLOBAL INC              EQUITY       38239A100     783      32,786 SH          SOLE        1     32,786         --        --
GOODMAN GLOBAL INC              EQUITY       38239A100      10         500 SH         DEFINED      4         --         --       500
GOODRICH CORP                   EQUITY       382388106    3811      55,857 SH          SOLE        1     55,857         --        --
GOODRICH CORP                   EQUITY       382388106    2058      30,164 SH         DEFINED      4         --         --    30,164
GOODRICH CORP                   EQUITY       382388106      11         158 SH          SOLE        2        158         --        --
GOODRICH PETROLEUM CORP         EQUITY       382410405     429      13,537 SH          SOLE        1     13,537         --        --
GOODYEAR TIRE & RUBBER CO       EQUITY       382550101    4100     134,815 SH          SOLE        1    134,815         --        --
GOODYEAR TIRE & RUBBER CO       EQUITY       382550101     835      24,892 SH         DEFINED      4         --         --    24,892
GOODYEAR TIRE & RUBBER CO       EQUITY       382550101       8         266 SH          SOLE        2        266         --        --
GOOGLE INC-CL A                 EQUITY       38259P508   91995     162,171 SH          SOLE        1    162,171         --        --





                                                                                          
GOOGLE INC-CL A                 EQUITY       38259P508    8145      14,359 SH         DEFINED      4         --         --    14,359
GOOGLE INC-CL A                 EQUITY       38259P508   21154      37,291 SH          SOLE        2     37,291         --        --
GORMAN-RUPP CO                  EQUITY       383082104     332      10,025 SH          SOLE        1     10,025         --        --
GORMAN-RUPP CO                  EQUITY       383082104      18         531 SH         DEFINED      4         --         --       531
GP STRATEGIES CORP              EQUITY       36225V104       1         109 SH         DEFINED      4         --         --       109
GRACO INC                       EQUITY       384109104    6355     162,503 SH          SOLE        1    162,503         --        --
GRACO INC                       EQUITY       384109104     437      10,921 SH         DEFINED      4         --         --    10,921
GRAFTECH INTERNATIONAL LTD      EQUITY       384313102    1548      86,767 SH          SOLE        1     86,767         --        --
GRAFTECH INTERNATIONAL LTD      EQUITY       384313102      11         834 SH         DEFINED      4         --         --       834
GRAFTECH INTERNATIONAL LTD      EQUITY       384313102     602      33,750 SH          SOLE        2     33,750         --        --
GRAMERCY CAPITAL CORP           EQUITY       384871109    2034      80,812 SH          SOLE        1     80,812         --        --
GRANITE CITY FOOD & BREWERY     EQUITY       38724Q107     351      83,500 SH          SOLE        3     83,500         --        --
GRANITE CITY FOOD & BREWERY     EQUITY       38724Q107      88      14,500 SH         DEFINED      4         --         --    14,500
GRANITE CONSTRUCTION INC        EQUITY       387328107    6271     118,280 SH          SOLE        1    118,280         --        --
GRANITE CONSTRUCTION INC        EQUITY       387328107     140       2,219 SH         DEFINED      4         --         --     2,219
GRANT PRIDECO INC               EQUITY       38821G101   23381     428,851 SH          SOLE        1    428,851         --        --
GRANT PRIDECO INC               EQUITY       38821G101     335       6,271 SH         DEFINED      4         --         --     6,271
GRAPHIC PACKAGING CORP          EQUITY       388688103     270      59,768 SH          SOLE        1     59,768         --        --
GRAPHIC PACKAGING CORP          EQUITY       388688103       4         862 SH         DEFINED      4         --         --       862
GRAVITY CO LTD-SPONSORED ADR    EQUITY       38911N107      14       2,000 SH         DEFINED      4         --         --     2,000
GRAY TELEVISION INC             EQUITY       389375106     310      36,572 SH          SOLE        1     36,572         --        --
GREAT AMERN FINL RES INC        EQUITY       389915109     193       7,853 SH          SOLE        1      7,853         --        --
GREAT ATLANTIC & PAC TEA CO     EQUITY       390064103     597      19,594 SH          SOLE        1     19,594         --        --
GREAT ATLANTIC & PAC TEA CO     EQUITY       390064103       5         173 SH         DEFINED      4         --         --       173
GREAT LAKES BANCORP INC         EQUITY       390914109    1212      90,129 SH         DEFINED      4         --         --    90,129
GREAT LAKES DREDGE & DOCK CO    EQUITY       390607109      63       7,197 SH          SOLE        1      7,197         --        --
GREAT LAKES DREDGE & DOCK CO    EQUITY       390607109      10       1,100 SH         DEFINED      4         --         --     1,100
GREAT NORTHERN IRON ORE PPTY    EQUITY       391064102      72         680 SH         DEFINED      4         --         --       680
GREAT PLAINS ENERGY INC         EQUITY       391164100    6164     213,951 SH          SOLE        1    213,951         --        --
GREAT PLAINS ENERGY INC         EQUITY       391164100    1747      60,650 SH         DEFINED      4         --         --    60,650
GREAT SOUTHERN BANCORP INC      EQUITY       390905107     225       9,050 SH          SOLE        1      9,050         --        --
GREAT WOLF RESORTS INC          EQUITY       391523107     331      26,795 SH          SOLE        1     26,795         --        --
GREAT WOLF RESORTS INC          EQUITY       391523107       1         100 SH         DEFINED      4         --         --       100
GREATBATCH INC                  EQUITY       39153L106     593      22,290 SH          SOLE        1     22,290         --        --
GREATBATCH INC                  EQUITY       39153L106      14         510 SH         DEFINED      4         --         --       510
GREATER BAY BANCORP             EQUITY       391648102    1238      44,536 SH          SOLE        1     44,536         --        --
GREATER CHINA FUND              EQUITY       39167B102     342      13,871 SH         DEFINED      4         --         --    13,871
GREEN MOUNTAIN COFFEE ROASTE    EQUITY       393122106     498      15,014 SH          SOLE        1     15,014         --        --
GREEN MOUNTAIN COFFEE ROASTE    EQUITY       393122106     123       1,669 SH         DEFINED      4         --         --     1,669
GREENBRIER COMPANIES INC        EQUITY       393657101     373      13,957 SH          SOLE        1     13,957         --        --
GREENBRIER COMPANIES INC        EQUITY       393657101       9         353 SH         DEFINED      4         --         --       353
GREENFIELD ONLINE               EQUITY       395150105     289      18,974 SH          SOLE        1     18,974         --        --
GREENFIELD ONLINE               EQUITY       395150105      10         670 SH         DEFINED      4         --         --       670
GREENHILL & CO INC              EQUITY       395259104    1013      16,588 SH          SOLE        1     16,588         --        --
GREENHILL & CO INC              EQUITY       395259104       3          47 SH         DEFINED      4         --         --        47
GREENHILL & CO INC              EQUITY       395259104     784      12,850 SH          SOLE        2     12,850         --        --
GREENLIGHT CAPITAL RE LTD-A     EQUITY       G4095J109       4         200 SH         DEFINED      4         --         --       200
GREIF INC-CL A                  EQUITY       397624107    2476      40,807 SH          SOLE        1     40,807         --        --
GREIF INC-CL A                  EQUITY       397624107     231       4,172 SH         DEFINED      4         --         --     4,172
GREY WOLF INC                   EQUITY       397888108    1055     161,014 SH          SOLE        1    161,014         --        --
GREY WOLF INC                   EQUITY       397888108     144      21,989 SH         DEFINED      4         --         --    21,989
GRIFFON CORPORATION             EQUITY       398433102     443      29,347 SH          SOLE        1     29,347         --        --
GRIFFON CORPORATION             EQUITY       398433102       6         405 SH         DEFINED      4         --         --       405
GROUP 1 AUTOMOTIVE INC          EQUITY       398905109     812      24,180 SH          SOLE        1     24,180         --        --
GRUBB & ELLIS CO                EQUITY       400095204     128      13,747 SH          SOLE        1     13,747         --        --
GRUBB & ELLIS CO                EQUITY       400095204    3286     353,300 SH          SOLE        2    353,300         --        --
GRUMA S.A.B.-SPONSORED ADR      EQUITY       400131306     101       7,230 SH         DEFINED      4         --         --     7,230
GRUPO AEROPORTUARIO DEL-ADR     EQUITY       400501102      29       1,019 SH         DEFINED      4         --         --     1,019
GRUPO SIMEC SAB-SPON ADR        EQUITY       400491106       3         200 SH         DEFINED      4         --         --       200
GRUPO TELEVISA SA-SPONS ADR     EQUITY       40049J206      54       1,888 SH         DEFINED      4         --         --     1,888
GSI COMMERCE INC                EQUITY       36238G102     464      17,436 SH          SOLE        1     17,436         --        --
GSI COMMERCE INC                EQUITY       36238G102      17         785 SH         DEFINED      4         --         --       785
GSI COMMERCE INC                EQUITY       36238G102    1141      42,900 SH          SOLE        2     42,900         --        --
GSI GROUP INC                   EQUITY       36229U102      11       1,000 SH         DEFINED      4         --         --     1,000
GSI TECHNOLOGY INC              EQUITY       36241U106       1         300 SH         DEFINED      4         --         --       300
GTC BIOTHERAPEUTICS INC         EQUITY       36238T104       6       5,681 SH         DEFINED      4         --         --     5,681
GTX INC                         EQUITY       40052B108     239      14,655 SH          SOLE        1     14,655         --        --
GTX INC                         EQUITY       40052B108      14         700 SH         DEFINED      4         --         --       700
GUANGSHEN RAILWAY-SPONS ADR     EQUITY       40065W107      89       2,390 SH         DEFINED      4         --         --     2,390
GUESS? INC                      EQUITY       401617105    1591      32,449 SH          SOLE        1     32,449         --        --
GUESS? INC                      EQUITY       401617105      21         558 SH         DEFINED      4         --         --       558
GUIDANCE SOFTWARE INC           EQUITY       401692108      36       2,846 SH          SOLE        1      2,846         --        --
GUIDANCE SOFTWARE INC           EQUITY       401692108       6         500 SH         DEFINED      4         --         --       500





                                                                                          
GUITAR CENTER INC               EQUITY       402040109    5032      84,861 SH          SOLE        1     84,861         --        --
GUITAR CENTER INC               EQUITY       402040109      36         803 SH         DEFINED      4         --         --       803
GULF ISLAND FABRICATION INC     EQUITY       402307102     412      10,739 SH          SOLE        1     10,739         --        --
GULF ISLAND FABRICATION INC     EQUITY       402307102      54       1,406 SH         DEFINED      4         --         --     1,406
GULFMARK OFFSHORE INC           EQUITY       402629109     969      19,922 SH          SOLE        1     19,922         --        --
GULFMARK OFFSHORE INC           EQUITY       402629109      43         887 SH         DEFINED      4         --         --       887
GULFPORT ENERGY CORP            EQUITY       402635304     406      17,179 SH          SOLE        1     17,179         --        --
GULFPORT ENERGY CORP            EQUITY       402635304      17       1,500 SH         DEFINED      4         --         --     1,500
GYMBOREE CORP                   EQUITY       403777105    1079      30,625 SH          SOLE        1     30,625         --        --
GYMBOREE CORP                   EQUITY       403777105     219       5,660 SH         DEFINED      4         --         --     5,660
H & Q HEALTHCARE INVESTORS      EQUITY       404052102     280      16,166 SH         DEFINED      4         --         --    16,166
H & Q LIFE SCIENCES INVSTRS     EQUITY       404053100      70       4,862 SH         DEFINED      4         --         --     4,862
H&E EQUIPMENT SERVICES INC      EQUITY       404030108     278      15,472 SH          SOLE        1     15,472         --        --
H&E EQUIPMENT SERVICES INC      EQUITY       404030108      74       3,000 SH         DEFINED      4         --         --     3,000
H.B. FULLER CO.                 EQUITY       359694106    1795      60,484 SH          SOLE        1     60,484         --        --
H.B. FULLER CO.                 EQUITY       359694106      42       1,684 SH         DEFINED      4         --         --     1,684
HABERSHAM BANCORP               EQUITY       404459109       2         110 SH         DEFINED      4         --         --       110
HAEMONETICS CORP/MASS           EQUITY       405024100    1308      26,457 SH          SOLE        1     26,457         --        --
HAEMONETICS CORP/MASS           EQUITY       405024100       5         100 SH         DEFINED      4         --         --       100
HAIN CELESTIAL GROUP INC        EQUITY       405217100    1271      39,556 SH          SOLE        1     39,556         --        --
HAIN CELESTIAL GROUP INC        EQUITY       405217100      42       1,349 SH         DEFINED      4         --         --     1,349
HALLIBURTON CO                  EQUITY       406216101   27392     713,345 SH          SOLE        1    713,345         --        --
HALLIBURTON CO                  EQUITY       406216101    6961     181,264 SH         DEFINED      4         --         --   181,264
HALLIBURTON CO                  EQUITY       406216101    9152     238,322 SH          SOLE        2    238,322         --        --
HALLIBURTON COMPANY             FIXED INCOME 406216AM3       5           3 PRN        DEFINED      4         --         --        --
HALLMARK FINL SERVICES INC      EQUITY       40624Q203      56       3,976 SH          SOLE        1      3,976         --        --
HALOZYME THERAPEUTICS INC       EQUITY       40637H109     488      56,164 SH          SOLE        1     56,164         --        --
HALOZYME THERAPEUTICS INC       EQUITY       40637H109      22       2,500 SH         DEFINED      4         --         --     2,500
HALOZYME THERAPEUTICS INC       EQUITY       40637H109     267      30,750 SH          SOLE        2     30,750         --        --
HAMPTON ROADS BANKSHARES INC    EQUITY       409321106      51       3,634 SH         DEFINED      4         --         --     3,634
HANCOCK HOLDING CO              EQUITY       410120109     934      23,306 SH          SOLE        1     23,306         --        --
HANCOCK HOLDING CO              EQUITY       410120109      45       1,133 SH         DEFINED      4         --         --     1,133
HANDLEMAN CO                    EQUITY       410252100      10       3,300 SH         DEFINED      4         --         --     3,300
HANESBRANDS INC                 EQUITY       410345102    6722     239,569 SH          SOLE        1    239,569         --        --
HANESBRANDS INC                 EQUITY       410345102     118       4,408 SH         DEFINED      4         --         --     4,408
HANGER ORTHOPEDIC GROUP INC     EQUITY       41043F208       8         700 SH         DEFINED      4         --         --       700
HANMI FINANCIAL CORPORATION     EQUITY       410495105     627      40,489 SH          SOLE        1     40,489         --        --
HANOVER CAPITAL MORTGAGE HLD    EQUITY       410761100       4         850 SH         DEFINED      4         --         --       850
HANOVER INSURANCE GROUP INC/    EQUITY       410867105    5745     129,996 SH          SOLE        1    129,996         --        --
HANOVER INSURANCE GROUP INC/    EQUITY       410867105      55       1,107 SH         DEFINED      4         --         --     1,107
HANSEN MEDICAL INC              EQUITY       411307101     226       8,329 SH          SOLE        1      8,329         --        --
HANSEN MEDICAL INC              EQUITY       411307101     161       6,754 SH         DEFINED      4         --         --     6,754
HANSEN NATURAL CORPORATION      EQUITY       411310105    8388     147,993 SH          SOLE        1    147,993         --        --
HANSEN NATURAL CORPORATION      EQUITY       411310105     212       5,252 SH         DEFINED      4         --         --     5,252
HARDINGE INC                    EQUITY       412324303     338       9,707 SH          SOLE        1      9,707         --        --
HARLEY-DAVIDSON INC             EQUITY       412822108   10401     225,071 SH          SOLE        1    225,071         --        --
HARLEY-DAVIDSON INC             EQUITY       412822108      15         317 SH          SOLE        2        317         --        --
HARLEYSVILLE GROUP INC          EQUITY       412824104     436      13,625 SH          SOLE        1     13,625         --        --
HARLEYSVILLE GROUP INC          EQUITY       412824104      26         800 SH         DEFINED      4         --         --       800
HARLEYSVILLE NATIONAL CORP      EQUITY       412850109     400      25,195 SH          SOLE        1     25,195         --        --
HARMAN INTERNATIONAL            EQUITY       413086109    6974      80,606 SH          SOLE        1     80,606         --        --
HARMAN INTERNATIONAL            EQUITY       413086109     150       1,255 SH         DEFINED      4         --         --     1,255
HARMAN INTERNATIONAL            EQUITY       413086109       7          82 SH          SOLE        2         82         --        --
HARMONIC INC                    EQUITY       413160102     840      79,133 SH          SOLE        1     79,133         --        --
HARMONIC INC                    EQUITY       413160102      22       2,035 SH         DEFINED      4         --         --     2,035
HARMONY GOLD MNG-SPON ADR       EQUITY       413216300     135       8,178 SH         DEFINED      4         --         --     8,178
HARRAH'S ENTERTAINMENT INC      EQUITY       413619107   22859     262,958 SH          SOLE        1    262,958         --        --
HARRAH'S ENTERTAINMENT INC      EQUITY       413619107     366       4,299 SH         DEFINED      4         --         --     4,299
HARRAH'S ENTERTAINMENT INC      EQUITY       413619107      21         236 SH          SOLE        2        236         --        --
HARRIS & HARRIS GROUP INC       EQUITY       413833104     308      22,030 SH         DEFINED      4         --         --    22,030
HARRIS CORP                     EQUITY       413875105   19756     341,853 SH          SOLE        1    341,853         --        --
HARRIS CORP                     EQUITY       413875105     522       9,025 SH         DEFINED      4         --         --     9,025
HARRIS INTERACTIVE INC          EQUITY       414549105     198      45,876 SH          SOLE        1     45,876         --        --
HARRIS INTERACTIVE INC          EQUITY       414549105       1         200 SH         DEFINED      4         --         --       200
HARRIS STRATEX NETWORKS-CL A    EQUITY       41457P106     385      22,055 SH          SOLE        1     22,055         --        --
HARRIS STRATEX NETWORKS-CL A    EQUITY       41457P106      13         800 SH         DEFINED      4         --         --       800
HARSCO CORP                     EQUITY       415864107   12380     208,867 SH          SOLE        1    208,867         --        --
HARSCO CORP                     EQUITY       415864107     979      18,864 SH         DEFINED      4         --         --    18,864
HARTE-HANKS INC                 EQUITY       416196103    2416     122,772 SH          SOLE        1    122,772         --        --
HARTFORD FINANCIAL SVCS GRP     EQUITY       416515104   76165     823,664 SH          SOLE        1    823,664         --        --
HARTFORD FINANCIAL SVCS GRP     EQUITY       416515104    3151      30,209 SH         DEFINED      4         --         --    30,209
HARTFORD FINANCIAL SVCS GRP     EQUITY       416515104     574       6,201 SH          SOLE        2      6,201         --        --
HARTFORD INCOME SHARES FUND     EQUITY       416537108      21       2,546 SH         DEFINED      4         --         --     2,546





                                                                                          
HARTMARX CORP                   EQUITY       417119104       1         100 SH         DEFINED      4         --         --       100
HARVARD BIOSCIENCE INC          EQUITY       416906105       1         200 SH         DEFINED      4         --         --       200
HARVEST ENERGY TRUST-UNITS      EQUITY       41752X101      65       2,498 SH          OTHER       1         --      2,498        --
HARVEST ENERGY TRUST-UNITS      EQUITY       41752X101    3097     107,208 SH         DEFINED      4         --         --   107,208
HARVEST NATURAL RESOURCES IN    EQUITY       41754V103     391      32,775 SH          SOLE        1     32,775         --        --
HARVEST NATURAL RESOURCES IN    EQUITY       41754V103       3         300 SH         DEFINED      4         --         --       300
HASBRO INC                      EQUITY       418056107    2072      74,333 SH          SOLE        1     74,333         --        --
HASBRO INC                      EQUITY       418056107     162       5,800 SH         DEFINED      4         --         --     5,800
HASBRO INC                      EQUITY       418056107    7299     261,802 SH          SOLE        2    261,802         --        --
HASTINGS ENTERTAINMENT INC      EQUITY       418365102       3         400 SH         DEFINED      4         --         --       400
HAVERTY FURNITURE               EQUITY       419596101     176      20,096 SH          SOLE        1     20,096         --        --
HAVERTY FURNITURE               EQUITY       419596101      15       1,750 SH         DEFINED      4         --         --     1,750
HAWAIIAN ELECTRIC INDS          EQUITY       419870100    4472     205,985 SH          SOLE        1    205,985         --        --
HAWAIIAN ELECTRIC INDS          EQUITY       419870100     535      20,788 SH         DEFINED      4         --         --    20,788
HAYES LEMMERZ INTERNATIONAL     EQUITY       420781304     345      82,990 SH          SOLE        1     82,990         --        --
HAYNES INTERNATIONAL INC        EQUITY       420877201   18625     218,164 SH          SOLE        1    218,164         --        --
HAYNES INTERNATIONAL INC        EQUITY       420877201       3          38 SH         DEFINED      4         --         --        38
HCC INSURANCE HOLDINGS INC      EQUITY       404132102    8593     300,043 SH          SOLE        1    300,043         --        --
HCC INSURANCE HOLDINGS INC      EQUITY       404132102     352      12,295 SH         DEFINED      4         --         --    12,295
HCC INSURANCE HOLDINGS INC      EQUITY       404132102   12942     451,900 SH          SOLE        2    451,900         --        --
HCP INC                         EQUITY       40414L109    3243      97,761 SH          SOLE        1     97,761         --        --
HDFC BANK LTD-ADR               EQUITY       40415F101      71         969 SH         DEFINED      4         --         --       969
HEADWATERS INC                  EQUITY       42210P102     591      39,687 SH          SOLE        1     39,687         --        --
HEADWATERS INC                  EQUITY       42210P102     118       5,605 SH         DEFINED      4         --         --     5,605
HEALTH CARE REIT INC            EQUITY       42217K106     860      19,580 SH         DEFINED      4         --         --    19,580
HEALTH CARE SELECT SECTOR       EQUITY       81369Y209     510      13,873 SH         DEFINED      4         --         --    13,873
HEALTH MGMT ASSOCIATES INC-A    EQUITY       421933102    4202     605,448 SH          SOLE        1    605,448         --        --
HEALTH MGMT ASSOCIATES INC-A    EQUITY       421933102     292      27,057 SH         DEFINED      4         --         --    27,057
HEALTH NET INC                  EQUITY       42222G108   15022     277,919 SH          SOLE        1    277,919         --        --
HEALTH NET INC                  EQUITY       42222G108     258       4,772 SH         DEFINED      4         --         --     4,772
HEALTHCARE REALTY TRUST INC     EQUITY       421946104    1211      36,476 SH         DEFINED      4         --         --    36,476
HEALTHCARE SERVICES GROUP       EQUITY       421906108     841      41,467 SH          SOLE        1     41,467         --        --
HEALTHCARE SERVICES GROUP       EQUITY       421906108       1          31 SH         DEFINED      4         --         --        31
HEALTHEXTRAS INC                EQUITY       422211102    1380      49,603 SH          SOLE        1     49,603         --        --
HEALTHEXTRAS INC                EQUITY       422211102      10         311 SH         DEFINED      4         --         --       311
HEALTHSOUTH CORP                EQUITY       421924309    1201      68,566 SH          SOLE        1     68,566         --        --
HEALTHSOUTH CORP                EQUITY       421924309      84       4,080 SH         DEFINED      4         --         --     4,080
HEALTHSOUTH CORP                EQUITY       421924309    4787     273,400 SH          SOLE        2    273,400         --        --
HEALTHSPRING INC                EQUITY       42224N101     813      41,673 SH          SOLE        1     41,673         --        --
HEALTHSPRING INC                EQUITY       42224N101     495      25,362 SH         DEFINED      4         --         --    25,362
HEALTHTRONICS INC               EQUITY       42222L107       9       1,750 SH         DEFINED      4         --         --     1,750
HEALTHWAYS INC                  EQUITY       422245100    1888      34,985 SH          SOLE        1     34,985         --        --
HEALTHWAYS INC                  EQUITY       422245100     195       4,405 SH         DEFINED      4         --         --     4,405
HEARST-ARGYLE TELEVISION INC    EQUITY       422317107      11         428 SH          SOLE        1        428         --        --
HEARTLAND EXPRESS INC           EQUITY       422347104     826      57,810 SH          SOLE        1     57,810         --        --
HEARTLAND EXPRESS INC           EQUITY       422347104      21       1,501 SH         DEFINED      4         --         --     1,501
HEARTLAND FINANCIAL USA INC     EQUITY       42234Q102     227      11,049 SH          SOLE        1     11,049         --        --
HEARTLAND FINANCIAL USA INC     EQUITY       42234Q102       3         100 SH         DEFINED      4         --         --       100
HEARTLAND PAYMENT SYSTEMS IN    EQUITY       42235N108     365      14,198 SH          SOLE        1     14,198         --        --
HEARTLAND PAYMENT SYSTEMS IN    EQUITY       42235N108     344      13,800 SH         DEFINED      4         --         --    13,800
HEARTLAND PAYMENT SYSTEMS IN    EQUITY       42235N108    1963      76,400 SH          SOLE        2     76,400         --        --
HECLA MINING CO                 EQUITY       422704106     938     104,769 SH          SOLE        1    104,769         --        --
HECLA MINING CO                 EQUITY       422704106     243      28,210 SH         DEFINED      4         --         --    28,210
HEELYS INC                      EQUITY       42279M107      45       5,590 SH          SOLE        1      5,590         --        --
HEICO CORP                      EQUITY       422806109    1099      22,262 SH          SOLE        1     22,262         --        --
HEICO CORP                      EQUITY       422806109     136        2764 SH         DEFINED      4         --         --        --
HEIDRICK & STRUGGLES INTL       EQUITY       422819102     655      17,974 SH          SOLE        1     17,974         --        --
HEIDRICK & STRUGGLES INTL       EQUITY       422819102    2129      58,400 SH          SOLE        2     58,400         --        --
HELEN OF TROY LTD               EQUITY       G4388N106      10         500 SH         DEFINED      4         --         --       500
HELIX ENERGY SOLUTIONS GROUP    EQUITY       42330P107     545      12,845 SH          SOLE        1     12,845         --        --
HELIX ENERGY SOLUTIONS GROUP    EQUITY       42330P107     153       3,607 SH         DEFINED      4         --         --     3,607
HELLENIC TELECOM ORG-SP ADR     EQUITY       423325307      36       2,380 SH         DEFINED      4         --         --     2,380
HELMERICH & PAYNE               EQUITY       423452101    8474     258,116 SH          SOLE        1    258,116         --        --
HELMERICH & PAYNE               EQUITY       423452101     606      18,841 SH         DEFINED      4         --         --    18,841
HEMISPHERX BIOPHARMA INC        EQUITY       42366C103      49      30,300 SH         DEFINED      4         --         --    30,300
HENRY SCHEIN INC                EQUITY       806407102   13481     221,587 SH          SOLE        1    221,587         --        --
HENRY SCHEIN INC                EQUITY       806407102      99       1,823 SH         DEFINED      4         --         --     1,823
HERBALIFE LTD                   EQUITY       G4412G101      54       1,410 SH         DEFINED      4         --         --     1,410
HERCULES INC                    EQUITY       427056106    3146     149,646 SH          SOLE        1    149,646         --        --
HERCULES INC                    EQUITY       427056106      61       3,128 SH         DEFINED      4         --         --     3,128
HERCULES INC                    EQUITY       427056106       3         146 SH          SOLE        2        146         --        --
HERCULES OFFSHORE INC           EQUITY       427093109    1889      72,338 SH          SOLE        1     72,338         --        --
HERCULES TECHNOLOGY GROWTH      EQUITY       427096508     272      20,514 SH          SOLE        1     20,514         --        --





                                                                                          
HERCULES TECHNOLOGY GROWTH      EQUITY       427096508    5308     400,000 SH          SOLE        2    400,000         --        --
HERITAGE COMMERCE CORP          EQUITY       426927109     216      10,189 SH          SOLE        1     10,189         --        --
HERLEY INDUSTRIES INC           EQUITY       427398102      10         631 SH         DEFINED      4         --         --       631
HERMAN MILLER INC               EQUITY       600544100    5621     207,107 SH          SOLE        1    207,107         --        --
HERMAN MILLER INC               EQUITY       600544100     350       9,518 SH         DEFINED      4         --         --     9,518
HERSHA HOSPITALITY TRUST        EQUITY       427825104     352      35,604 SH          SOLE        1     35,604         --        --
HERSHA HOSPITALITY TRUST        EQUITY       427825104       2         200 SH         DEFINED      4         --         --       200
HERSHEY CO/THE                  EQUITY       427866108    8159     176,476 SH          SOLE        1    176,476         --        --
HERSHEY CO/THE                  EQUITY       427866108    1272      27,413 SH         DEFINED      4         --         --    27,413
HERSHEY CO/THE                  EQUITY       427866108    1760      37,913 SH          SOLE        2     37,913         --        --
HERTZ GLOBAL HOLDINGS INC       EQUITY       42805T105     221       9,720 SH          SOLE        1      9,720         --        --
HERTZ GLOBAL HOLDINGS INC       EQUITY       42805T105     174       8,129 SH         DEFINED      4         --         --     8,129
HERZFELD CARIBBEAN BASIN FD     EQUITY       42804T106      72       5,144 SH         DEFINED      4         --         --     5,144
HESKA CORP                      EQUITY       42805E108       2         900 SH         DEFINED      4         --         --       900
HESS CORP                       EQUITY       42809H107    8624     129,630 SH          SOLE        1    129,630         --        --
HESS CORP                       EQUITY       42809H107     360       6,223 SH         DEFINED      4         --         --     6,223
HESS CORP                       EQUITY       42809H107      23         349 SH          SOLE        2        349         --        --
HEWITT ASSOCIATES INC-CL A      EQUITY       42822Q100     103       2,934 SH          SOLE        1      2,934         --        --
HEWITT ASSOCIATES INC-CL A      EQUITY       42822Q100      34       1,108 SH         DEFINED      4         --         --     1,108
HEWLETT-PACKARD CO              EQUITY       428236103  179429   3,603,627 SH          SOLE        1  3,603,627         --        --
HEWLETT-PACKARD CO              EQUITY       428236103   10541     211,715 SH         DEFINED      4         --         --   211,715
HEWLETT-PACKARD CO              EQUITY       428236103   42424     852,051 SH          SOLE        2    852,051         --        --
HEXCEL CORP                     EQUITY       428291108    1866      82,149 SH          SOLE        1     82,149         --        --
HEXCEL CORP                     EQUITY       428291108     279      12,475 SH         DEFINED      4         --         --    12,475
HEXCEL CORP                     EQUITY       428291108     545      24,000 SH          SOLE        2     24,000         --        --
HFF INC-CLASS A                 EQUITY       40418F108     170      14,309 SH          SOLE        1     14,309         --        --
HI/FN INC                       EQUITY       428358105      13       1,550 SH         DEFINED      4         --         --     1,550
HIBBETT SPORTS INC              EQUITY       428567101     780      31,463 SH          SOLE        1     31,463         --        --
HIBBETT SPORTS INC              EQUITY       428567101       7         298 SH         DEFINED      4         --         --       298
HICKORYTECH CORP                EQUITY       429060106       2         200 SH         DEFINED      4         --         --        --
HIGH YIELD INCOME FUND INC      EQUITY       429904105       5         900 SH         DEFINED      4         --         --       900
HIGH YIELD PLUS FUND            EQUITY       429906100      18       5,340 SH         DEFINED      4         --         --     5,340
HIGHWOODS PROPERTIES INC        EQUITY       431284108    6987     190,550 SH          SOLE        1    190,550         --        --
HIGHWOODS PROPERTIES INC        EQUITY       431284108      42         996 SH         DEFINED      4         --         --       996
HILAND HOLDINGS GP LP           EQUITY       43129M107      13         450 SH         DEFINED      4         --         --       450
HILB ROGAL & HOBBS CO           EQUITY       431294107    1589      36,671 SH          SOLE        1     36,671         --        --
HILLENBRAND INDUSTRIES          EQUITY       431573104    8538     155,188 SH          SOLE        1    155,188         --        --
HILLENBRAND INDUSTRIES          EQUITY       431573104     119       2,156 SH         DEFINED      4         --         --     2,156
HILLTOP HOLDINGS INC            EQUITY       432748101     486      41,380 SH          SOLE        1     41,380         --        --
HILTON HOTELS CORP              EQUITY       432848109   26291     565,527 SH          SOLE        1    565,527         --        --
HILTON HOTELS CORP              EQUITY       432848109     164       4,673 SH         DEFINED      4         --         --     4,673
HILTON HOTELS CORP              EQUITY       432848109      23         492 SH          SOLE        2        492         --        --
HILTON HOTELS CORP              FIXED INCOME 432848AZ2       8           4 PRN        DEFINED      4         --         --        --
HIRSCH INTERNATIONAL CORP-A     EQUITY       433550100      12       3,000 SH         DEFINED      4         --         --     3,000
HITACHI LTD -SPONS ADR          EQUITY       433578507    1024      13,592 SH         DEFINED      4         --         --    13,592
HI-TECH PHARMACAL CO INC        EQUITY       42840B101       2         200 SH         DEFINED      4         --         --       200
HITTITE MICROWAVE CORP          EQUITY       43365Y104     630      14,272 SH          SOLE        1     14,272         --        --
HITTITE MICROWAVE CORP          EQUITY       43365Y104      11         258 SH         DEFINED      4         --         --       258
HJ HEINZ CO                     EQUITY       423074103   11719     253,648 SH          SOLE        1    253,648         --        --
HJ HEINZ CO                     EQUITY       423074103    1016      21,755 SH         DEFINED      4         --         --    21,755
HJ HEINZ CO                     EQUITY       423074103      19         402 SH          SOLE        2        402         --        --
HLTH CORP                       EQUITY       40422Y101    1334      94,168 SH          SOLE        1     94,168         --        --
HLTH CORP                       EQUITY       40422Y101     115       8,140 SH         DEFINED      4         --         --     8,140
HMS HOLDINGS CORP               EQUITY       40425J101    2097      85,219 SH          SOLE        1     85,219         --        --
HMS HOLDINGS CORP               EQUITY       40425J101    5518     224,200 SH          SOLE        3    192,600         --    31,600
HMS HOLDINGS CORP               EQUITY       40425J101      14         625 SH         DEFINED      4         --         --       625
HNI CORP                        EQUITY       404251100    4325     120,144 SH          SOLE        1    120,144         --        --
HNI CORP                        EQUITY       404251100     169       3,925 SH         DEFINED      4         --         --     3,925
HOKU SCIENTIFIC INC             EQUITY       434712105       2         460 SH         DEFINED      4         --         --       460
HOLLIS-EDEN PHARMACEUTICALS     EQUITY       435902101      41      14,310 SH         DEFINED      4         --         --    14,310
HOLLY CORP                      EQUITY       435758305    1033      17,270 SH          SOLE        1     17,270         --        --
HOLLY CORP                      EQUITY       435758305     394       6,169 SH         DEFINED      4         --         --     6,169
HOLLY ENERGY PARTNERS LP        EQUITY       435763107      54       1,050 SH         DEFINED      4         --         --     1,050
HOLLYWOOD MEDIA CORP            EQUITY       436233100       8       1,700 SH         DEFINED      4         --         --     1,700
HOLOGIC INC                     EQUITY       436440101     272       4,417 SH         DEFINED      4         --         --     4,417
HOLOGIC INC                     EQUITY       436440101   32733     536,600 SH          SOLE        2    536,600         --        --
HOME BANCSHARES INC             EQUITY       436893200     218       9,998 SH          SOLE        1      9,998         --        --
HOME BANCSHARES INC             EQUITY       436893200       4         200 SH         DEFINED      4         --         --       200
HOME DEPOT INC                  EQUITY       437076102   25042     771,955 SH          SOLE        1    771,955         --        --
HOME DEPOT INC                  EQUITY       437076102   10369     319,639 SH         DEFINED      4         --         --   319,639
HOME DEPOT INC                  EQUITY       437076102    2632      81,129 SH          SOLE        2     81,129         --        --
HOME DIAGNOSTICS INC            EQUITY       437080104    2260     235,900 SH          SOLE        2    235,900         --        --
HOME INNS & HOTELS MANAG-ADR    EQUITY       43713W107      26         741 SH         DEFINED      4         --         --       741





                                                                                          
HOME PROPERTIES INC             EQUITY       437306103    1511      28,958 SH          SOLE        1     28,958         --        --
HOME PROPERTIES INC             EQUITY       437306103     316       5,778 SH         DEFINED      4         --         --     5,778
HOME SOLUTIONS OF AMERICA IN    EQUITY       437355100     116      34,301 SH          SOLE        1     34,301         --        --
HOME SOLUTIONS OF AMERICA IN    EQUITY       437355100      29       5,900 SH         DEFINED      4         --         --     5,900
HONEYWELL INTERNATIONAL INC     EQUITY       438516106   20669     347,547 SH          SOLE        1    347,547         --        --
HONEYWELL INTERNATIONAL INC     EQUITY       438516106    4073      68,491 SH         DEFINED      4         --         --    68,491
HONEYWELL INTERNATIONAL INC     EQUITY       438516106   30743     516,944 SH          SOLE        2    516,944         --        --
HOOKER FURNITURE CORP           EQUITY       439038100     207      10,353 SH          SOLE        1     10,353         --        --
HOOKER FURNITURE CORP           EQUITY       439038100       2         100 SH         DEFINED      4         --         --       100
HOOPER HOLMES INC               EQUITY       439104100      20       8,640 SH          SOLE        1      8,640         --        --
HOOPER HOLMES INC               EQUITY       439104100      33       7,575 SH         DEFINED      4         --         --     7,575
HORACE MANN EDUCATORS           EQUITY       440327104    2841     144,138 SH          SOLE        1    144,138         --        --
HORACE MANN EDUCATORS           EQUITY       440327104      31       1,410 SH         DEFINED      4         --         --     1,410
HORIZON FINANCIAL CORP          EQUITY       44041F105     216      10,660 SH          SOLE        1     10,660         --        --
HORIZON LINES INC-CL A          EQUITY       44044K101     895      29,309 SH          SOLE        1     29,309         --        --
HORIZON LINES INC-CL A          EQUITY       44044K101     156       4,629 SH         DEFINED      4         --         --     4,629
HORIZON OFFSHORE INC            EQUITY       44043J204    9133     553,506 SH          SOLE        1    553,506         --        --
HORIZON OFFSHORE INC            EQUITY       44043J204       9         541 SH         DEFINED      4         --         --       541
HORMEL FOODS CORP               EQUITY       440452100    6467     180,746 SH          SOLE        1    180,746         --        --
HORMEL FOODS CORP               EQUITY       440452100     467      12,122 SH         DEFINED      4         --         --    12,122
HORNBECK OFFSHORE SERVICES      EQUITY       440543106     841      22,929 SH          SOLE        1     22,929         --        --
HORNBECK OFFSHORE SERVICES      EQUITY       440543106       4         120 SH         DEFINED      4         --         --       120
HOSPIRA INC                     EQUITY       441060100    2872      69,286 SH          SOLE        1     69,286         --        --
HOSPIRA INC                     EQUITY       441060100     692      16,811 SH         DEFINED      4         --         --    16,811
HOSPIRA INC                     EQUITY       441060100       8         198 SH          SOLE        2        198         --        --
HOSPITALITY PROPERTIES TRUST    EQUITY       44106M102     654      16,083 SH          SOLE        1     16,083         --        --
HOSPITALITY PROPERTIES TRUST    EQUITY       44106M102     908      19,948 SH         DEFINED      4         --         --    19,948
HOST HOTELS & RESORTS INC       EQUITY       44107P104   20481     912,702 SH          SOLE        1    912,702         --        --
HOST HOTELS & RESORTS INC       EQUITY       44107P104    1161      45,898 SH         DEFINED      4         --         --    45,898
HOST HOTELS & RESORTS INC       EQUITY       44107P104      15         659 SH          SOLE        2        659         --        --
HOT TOPIC INC                   EQUITY       441339108     330      44,256 SH          SOLE        1     44,256         --        --
HOUSTON WIRE & CABLE CO         EQUITY       44244K109     265      14,636 SH          SOLE        1     14,636         --        --
HOUSTON WIRE & CABLE CO         EQUITY       44244K109      37       1,350 SH         DEFINED      4         --         --     1,350
HOUSTON WIRE & CABLE CO         EQUITY       44244K109    1413      78,000 SH          SOLE        2     78,000         --        --
HOVNANIAN ENTERPRISES-A         EQUITY       442487203    1700     153,262 SH          SOLE        1    153,262         --        --
HOVNANIAN ENTERPRISES-A         EQUITY       442487203     128       5,462 SH         DEFINED      4         --         --     5,462
HRPT PROPERTIES TRUST           EQUITY       40426W101    1011      84,395 SH         DEFINED      4         --         --    84,395
HSBC HOLDINGS PLC               EQUITY       404280604      57       2,250 SH         DEFINED      4         --         --     2,250
HSBC HOLDINGS PLC               FIXED INCOME 404280604    1202      54,000 PRN         SOLE        1     54,000         --        --
HSBC HOLDINGS PLC-SPONS ADR     EQUITY       404280406    3715      39,371 SH         DEFINED      4         --         --    39,371
HUANENG POWER INTL-SPONS ADR    EQUITY       443304100      59       1,110 SH         DEFINED      4         --         --     1,110
HUB GROUP INC-CL A              EQUITY       443320106    1163      38,742 SH          SOLE        1     38,742         --        --
HUBBELL INC -CL B               EQUITY       443510201    8533     149,395 SH          SOLE        1    149,395         --        --
HUBBELL INC -CL B               EQUITY       443510201     189       3,311 SH         DEFINED      4         --         --     3,311
HUDSON CITY BANCORP INC         EQUITY       443683107    3741     243,246 SH          SOLE        1    243,246         --        --
HUDSON CITY BANCORP INC         EQUITY       443683107     110       8,143 SH         DEFINED      4         --         --     8,143
HUDSON CITY BANCORP INC         EQUITY       443683107      10         671 SH          SOLE        2        671         --        --
HUDSON HIGHLAND GROUP INC       EQUITY       443792106     279      21,943 SH          SOLE        1     21,943         --        --
HUDSON TECHNOLOGIES INC         EQUITY       444144109       2       1,600 SH         DEFINED      4         --         --     1,600
HUGHES COMMUNICATIONS INC       EQUITY       444398101     290       5,593 SH          SOLE        1      5,593         --        --
HUGHES COMMUNICATIONS INC       EQUITY       444398101       1          20 SH         DEFINED      4         --         --        20
HUGOTON ROYALTY TRUST           EQUITY       444717102     244       9,128 SH         DEFINED      4         --         --     9,128
HUMAN GENOME SCIENCES INC       EQUITY       444903108    1203     116,932 SH          SOLE        1    116,932         --        --
HUMANA INC                      EQUITY       444859102   14059     201,963 SH          SOLE        1    201,963         --        --
HUMANA INC                      EQUITY       444859102     234       3,664 SH         DEFINED      4         --         --     3,664
HUMANA INC                      EQUITY       444859102      15         213 SH          SOLE        2        213         --        --
HUNGARIAN TELEPHONE & CABLE     EQUITY       445542103      61       3,117 SH          SOLE        1      3,117         --        --
HUNT (JB) TRANSPRT SVCS INC     EQUITY       445658107    6070     230,812 SH          SOLE        1    230,812         --        --
HUNT (JB) TRANSPRT SVCS INC     EQUITY       445658107     148       5,225 SH         DEFINED      4         --         --     5,225
HUNTINGTON BANCSHARES INC       EQUITY       446150104   14611     855,688 SH          SOLE        1    855,688         --        --
HUNTINGTON BANCSHARES INC       EQUITY       446150104       8         461 SH          SOLE        2        461         --        --
HUNTSMAN CORP                   EQUITY       447011107      90       3,402 SH          SOLE        1      3,402         --        --
HUNTSMAN CORP                   EQUITY       447011107      74       3,660 SH         DEFINED      4         --         --     3,660
HURCO COMPANIES INC             EQUITY       447324104     263       4,856 SH          SOLE        1      4,856         --        --
HURON CONSULTING GROUP INC      EQUITY       447462102    1179      16,241 SH          SOLE        1     16,241         --        --
HURON CONSULTING GROUP INC      EQUITY       447462102     119       1,756 SH         DEFINED      4         --         --     1,756
HURON CONSULTING GROUP INC      EQUITY       447462102     414       5,700 SH          SOLE        2      5,700         --        --
HUTCHINSON TECH                 EQUITY       448407106     638      25,919 SH          SOLE        1     25,919         --        --
HUTCHINSON TECH                 EQUITY       448407106       8         400 SH         DEFINED      4         --         --       400
HUTCHINSON TECH                 EQUITY       448407106    4305     175,000 SH          SOLE        2    175,000         --        --
HUTCHISON TELECOMMUNICAT-ADR    EQUITY       44841T107      25       1,195 SH         DEFINED      4         --         --     1,195
HYDROGEN CORP                   EQUITY       44887Q108     224      74,556 SH         DEFINED      4         --         --    74,556
HYDROGENICS CORP                EQUITY       448882100       8       9,300 SH         DEFINED      4         --         --     9,300





                                                                                          
HYPERCOM CORP                   EQUITY       44913M105     209      46,319 SH          SOLE        1     46,319         --        --
HYPERCOM CORP                   EQUITY       44913M105      38       6,290 SH         DEFINED      4         --         --     6,290
HYPERDYNAMICS CORP              EQUITY       448954107      44      28,600 SH         DEFINED      4         --         --    28,600
HYPERION BROOK STRATEGIC MOR    EQUITY       44915C105     560      43,115 SH         DEFINED      4         --         --    43,115
HYPERION BROOK TOTAL RETURN     EQUITY       449145101      30       3,307 SH         DEFINED      4         --         --     3,307
HYTHIAM INC                     EQUITY       44919F104     196      26,498 SH          SOLE        1     26,498         --        --
HYTHIAM INC                     EQUITY       44919F104      29       3,950 SH         DEFINED      4         --         --     3,950
I2 TECHNOLOGIES INC             EQUITY       465754208     205      13,461 SH          SOLE        1     13,461         --        --
I2 TECHNOLOGIES INC             EQUITY       465754208      23       1,271 SH         DEFINED      4         --         --     1,271
IAC INTERACTIVE CORP-CW09       EQUITY       44919P128       2          80 SH         DEFINED      4         --         --        80
IAC/INTERACTIVECORP             EQUITY       44919P300    7558     255,159 SH          SOLE        1    255,159         --        --
IAC/INTERACTIVECORP             EQUITY       44919P300     284       9,579 SH         DEFINED      4         --         --     9,579
IAC/INTERACTIVECORP             EQUITY       44919P300       7         241 SH          SOLE        2        241         --        --
IAMGOLD CORPORATION             EQUITY       450913108      82      10,631 SH         DEFINED      4         --         --    10,631
IBASIS INC                      EQUITY       450732201     310      28,851 SH          SOLE        1     28,851         --        --
IBASIS INC                      EQUITY       450732201       8         699 SH         DEFINED      4         --         --       699
IBERIABANK CORP                 EQUITY       450828108     531      10,092 SH          SOLE        1     10,092         --        --
IBERIABANK CORP                 EQUITY       450828108     497       9,446 SH         DEFINED      4         --         --     9,446
IBT BANCORP INC/IRWIN PA        EQUITY       44923F108      20       1,000 SH         DEFINED      4         --         --     1,000
ICF INTERNATIONAL INC           EQUITY       44925C103      86       3,950 SH         DEFINED      4         --         --     3,950
ICICI BANK LTD-SPON ADR         EQUITY       45104G104     128       3,097 SH         DEFINED      4         --         --     3,097
ICO GLOBAL COM HLDG LTD-NEW     EQUITY       44930K108     311      89,463 SH          SOLE        1     89,463         --        --
ICO INC                         EQUITY       449293307      11         385 SH         DEFINED      4         --         --       385
ICO INC                         EQUITY       449293109      48       3,437 SH         DEFINED      4         --         --     3,437
ICON PLC - SPONSORED ADR        EQUITY       45103T107      38         745 SH         DEFINED      4         --         --       745
ICONIX BRAND GROUP INC          EQUITY       451055107    1221      51,308 SH          SOLE        1     51,308         --        --
ICONIX BRAND GROUP INC          EQUITY       451055107       5         249 SH         DEFINED      4         --         --       249
ICOP DIGITAL INC                EQUITY       44930M203       6         750 SH         DEFINED      4         --         --       750
ICT GROUP INC                   EQUITY       44929Y101      95       7,049 SH          SOLE        1      7,049         --        --
ICU MEDICAL INC                 EQUITY       44930G107     499      12,890 SH          SOLE        1     12,890         --        --
ICU MEDICAL INC                 EQUITY       44930G107       7         182 SH         DEFINED      4         --         --       182
ID SYSTEMS INC                  EQUITY       449489103       4         354 SH         DEFINED      4         --         --       354
IDACORP INC                     EQUITY       451107106   10413     318,063 SH          SOLE        1    318,063         --        --
IDACORP INC                     EQUITY       451107106      89       2,555 SH         DEFINED      4         --         --     2,555
IDAHO GENERAL MINES INC         EQUITY       451272306     280      42,223 SH          SOLE        1     42,223         --        --
IDEARC INC                      EQUITY       451663108     172       5,458 SH          SOLE        1      5,458         --        --
IDENIX PHARMACEUTICALS INC      EQUITY       45166R204      62      21,561 SH          SOLE        1     21,561         --        --
IDEX CORP                       EQUITY       45167R104    7333     201,511 SH          SOLE        1    201,511         --        --
IDEX CORP                       EQUITY       45167R104     266       7,297 SH         DEFINED      4         --         --     7,297
IDEX CORP                       EQUITY       45167R104    4118     113,164 SH          SOLE        2    113,164         --        --
IDEXX LABORATORIES INC          EQUITY       45168D104     471       4,297 SH          SOLE        1      4,297         --        --
IDEXX LABORATORIES INC          EQUITY       45168D104     174       1,947 SH         DEFINED      4         --         --     1,947
IDEXX LABORATORIES INC          EQUITY       45168D104     548       5,000 SH          SOLE        2      5,000         --        --
IDT CORP-CL B                   EQUITY       448947309     362      43,227 SH          SOLE        1     43,227         --        --
I-FLOW CORP                     EQUITY       449520303     333      17,924 SH          SOLE        1     17,924         --        --
I-FLOW CORP                     EQUITY       449520303       7         455 SH         DEFINED      4         --         --       455
IGATE CORP                      EQUITY       45169U105     163      18,995 SH          SOLE        1     18,995         --        --
IGATE CORP                      EQUITY       45169U105       1         100 SH         DEFINED      4         --         --       100
IHOP CORP                       EQUITY       449623107    1080      17,051 SH          SOLE        1     17,051         --        --
IHS INC-CLASS A                 EQUITY       451734107    1548      27,399 SH          SOLE        1     27,399         --        --
II-VI INC                       EQUITY       902104108     713      20,655 SH          SOLE        1     20,655         --        --
IKON OFFICE SOLUTIONS INC       EQUITY       451713101    1203      93,631 SH          SOLE        1     93,631         --        --
IKON OFFICE SOLUTIONS INC       EQUITY       451713101     150      10,167 SH         DEFINED      4         --         --    10,167
ILINC COMMUNICATIONS INC        EQUITY       451724108       1         845 SH         DEFINED      4         --         --       845
ILLINOIS TOOL WORKS             EQUITY       452308109   16938     283,996 SH          SOLE        1    283,996         --        --
ILLINOIS TOOL WORKS             EQUITY       452308109    3250      61,651 SH         DEFINED      4         --         --    61,651
ILLINOIS TOOL WORKS             EQUITY       452308109      32         529 SH          SOLE        2        529         --        --
ILLUMINA INC                    EQUITY       452327109    2423      46,696 SH          SOLE        1     46,696         --        --
ILLUMINA INC                    EQUITY       452327109      24         728 SH         DEFINED      4         --         --       728
ILLUMINA INC                    EQUITY       452327109     389       7,500 SH          SOLE        2      7,500         --        --
ILX RESORTS INC                 EQUITY       449661503       7         775 SH         DEFINED      4         --         --       775
IMATION CORP                    EQUITY       45245A107    2822     115,058 SH          SOLE        1    115,058         --        --
IMATION CORP                    EQUITY       45245A107      38       1,030 SH         DEFINED      4         --         --     1,030
IMAX CORP                       EQUITY       45245E109      32       7,601 SH         DEFINED      4         --         --     7,601
IMCLONE SYSTEMS                 EQUITY       45245W109       3          61 SH          SOLE        1         61         --        --
IMCLONE SYSTEMS                 EQUITY       45245W109     124       2,738 SH         DEFINED      4         --         --     2,738
IMCLONE SYSTEMS                 EQUITY       45245W109     364       8,800 SH          SOLE        2      8,800         --        --
IMERGENT INC                    EQUITY       45247Q100     240      10,715 SH          SOLE        1     10,715         --        --
IMERGENT INC                    EQUITY       45247Q100      10         375 SH         DEFINED      4         --         --       375
IMMERSION CORPORATION           EQUITY       452521107     372      22,723 SH          SOLE        1     22,723         --        --
IMMERSION CORPORATION           EQUITY       452521107      31       3,100 SH         DEFINED      4         --         --     3,100
IMMTECH PHARMACEUTICALS INC     EQUITY       452519101      11       1,350 SH         DEFINED      4         --         --     1,350
IMMUCOR INC                     EQUITY       452526106    2456      68,704 SH          SOLE        1     68,704         --        --





                                                                                          
IMMUCOR INC                     EQUITY       452526106      85       2,592 SH         DEFINED      4         --         --     2,592
IMMUCOR INC                     EQUITY       452526106     854      23,900 SH          SOLE        2     23,900         --        --
IMMUNOGEN INC                   EQUITY       45253H101      17       3,133 SH         DEFINED      4         --         --     3,133
IMMUNOMEDICS INC                EQUITY       452907108     115      50,413 SH          SOLE        1     50,413         --        --
IMMUNOMEDICS INC                EQUITY       452907108       9       1,725 SH         DEFINED      4         --         --     1,725
IMPAC MORTGAGE HOLDINGS INC     EQUITY       45254P102     102      66,059 SH          SOLE        1     66,059         --        --
IMPAC MORTGAGE HOLDINGS INC     EQUITY       45254P102       8       5,235 SH         DEFINED      4         --         --     5,235
IMPERIAL CAPITAL BANCORP INC    EQUITY       452680101     135       4,782 SH          SOLE        1      4,782         --        --
IMPERIAL INDUSTRIES INC         EQUITY       452848401       1         215 SH         DEFINED      4         --         --       215
IMPERIAL OIL LTD                EQUITY       453038408     346       6,990 SH          OTHER       1         --      6,990        --
IMPERIAL OIL LTD                EQUITY       453038408     676      13,629 SH         DEFINED      4         --         --    13,629
IMPERIAL SUGAR CO               EQUITY       453096208     267      10,220 SH          SOLE        1     10,220         --        --
IMPERIAL SUGAR CO               EQUITY       453096208      16         529 SH         DEFINED      4         --         --       529
IMPERIAL TOBACCO GROUP-ADR      EQUITY       453142101     229       2,625 SH         DEFINED      4         --         --     2,625
IMPLANT SCIENCES CORP           EQUITY       45320R108      14       6,700 SH         DEFINED      4         --         --     6,700
IMS HEALTH INC                  EQUITY       449934108    2716      88,648 SH          SOLE        1     88,648         --        --
IMS HEALTH INC                  EQUITY       449934108       8         246 SH          SOLE        2        246         --        --
INCOME OPP REALTY INVESTORS     EQUITY       452926108       8       1,296 SH         DEFINED      4         --         --     1,296
INCREDIMAIL LTD                 EQUITY       M5364E104       5         710 SH         DEFINED      4         --         --       710
INCYTE CORP                     EQUITY       45337C102     522      73,057 SH          SOLE        1     73,057         --        --
INCYTE CORP                     EQUITY       45337C102     118      16,480 SH         DEFINED      4         --         --    16,480
INDEPENDENCE HOLDING CO         EQUITY       453440307     113       5,562 SH          SOLE        1      5,562         --        --
INDEPENDENCE HOLDING CO         EQUITY       453440307       9         403 SH         DEFINED      4         --         --       403
INDEPENDENT BANK CORP - MICH    EQUITY       453838104     245      22,152 SH          SOLE        1     22,152         --        --
INDEPENDENT BANK CORP/MA        EQUITY       453836108     368      12,398 SH          SOLE        1     12,398         --        --
INDEVUS PHARMACEUTICALS INC     EQUITY       454072109     368      53,222 SH          SOLE        1     53,222         --        --
INDEVUS PHARMACEUTICALS INC     EQUITY       454072109      23       3,336 SH         DEFINED      4         --         --     3,336
INDIA FUND INC                  EQUITY       454089103     664      16,189 SH         DEFINED      4         --         --    16,189
INDUSTRIAL SELECT SECT SPDR     EQUITY       81369Y704     927      24,345 SH         DEFINED      4         --         --    24,345
INDYMAC BANCORP INC             EQUITY       456607100    4355     184,472 SH          SOLE        1    184,472         --        --
INDYMAC BANCORP INC             EQUITY       456607100     192       6,118 SH         DEFINED      4         --         --     6,118
INERGY LP                       EQUITY       456615103      51       1,500 SH         DEFINED      4         --         --     1,500
INFINEON TECHNOLOGIES-ADR       EQUITY       45662N103     177      11,396 SH         DEFINED      4         --         --    11,396
INFINERA CORP                   EQUITY       45667G103       2          95 SH         DEFINED      4         --         --        95
INFINITY PROPERTY & CASUALTY    EQUITY       45665Q103     777      19,330 SH          SOLE        1     19,330         --        --
INFINITY PROPERTY & CASUALTY    EQUITY       45665Q103       3          60 SH         DEFINED      4         --         --        60
INFOCUS CORP                    EQUITY       45665B106      14       5,850 SH         DEFINED      4         --         --     5,850
INFORMATICA CORP                EQUITY       45666Q102    1368      87,163 SH          SOLE        1     87,163         --        --
INFORMATICA CORP                EQUITY       45666Q102      18       1,190 SH         DEFINED      4         --         --     1,190
INFORMATICA CORP                EQUITY       45666Q102     419      26,700 SH          SOLE        2     26,700         --        --
INFORMATION SERVICES GROUP      EQUITY       45675Y104     215      28,133 SH          SOLE        1     28,133         --        --
INFOSONICS CORP                 EQUITY       456784107       1         392 SH         DEFINED      4         --         --       392
INFOSPACE INC                   EQUITY       45678T201     579      32,954 SH          SOLE        1     32,954         --        --
INFOSPACE INC                   EQUITY       45678T201      72       2,781 SH         DEFINED      4         --         --     2,781
INFOSYS TECHNOLOGIES-SP ADR     EQUITY       456788108     265       5,467 SH          SOLE        1      5,467         --        --
INFOUSA INC                     EQUITY       456818301     263      28,276 SH          SOLE        1     28,276         --        --
INFOUSA INC                     EQUITY       456818301     455      49,027 SH         DEFINED      4         --         --    49,027
ING CLARION GL R/E INCOME FD    EQUITY       44982G104     944      47,784 SH         DEFINED      4         --         --    47,784
ING CLARION REAL ESTATE INCM    EQUITY       449788108     285      15,406 SH         DEFINED      4         --         --    15,406
ING GLOBAL ADVANTAGE AND PRE    EQUITY       44982N109      43       2,104 SH         DEFINED      4         --         --     2,104
ING GLOBAL EQUITY & PR OPPT     EQUITY       45684E107    1587      76,098 SH         DEFINED      4         --         --    76,098
ING GROEP N.V.-SPONSORED ADR    EQUITY       456837103    1524      32,944 SH         DEFINED      4         --         --    32,944
ING PRIME RATE TRUST            EQUITY       44977W106     760     108,290 SH         DEFINED      4         --         --   108,290
INGERSOLL-RAND CO LTD-CL A      EQUITY       G4776G101    2352      43,188 SH         DEFINED      4         --         --    43,188
INGERSOLL-RAND CO LTD-CL A      EQUITY       G4776G101      20         361 SH          SOLE        2        361         --        --
INGLES MARKETS INC  -CL A       EQUITY       457030104     309      10,785 SH          SOLE        1     10,785         --        --
INGLES MARKETS INC  -CL A       EQUITY       457030104       4         115 SH         DEFINED      4         --         --       115
INGRAM MICRO INC-CL A           EQUITY       457153104    7101     362,107 SH          SOLE        1    362,107         --        --
INGRAM MICRO INC-CL A           EQUITY       457153104      76       3,822 SH         DEFINED      4         --         --     3,822
INHIBITEX INC                   EQUITY       45719T103       1         650 SH         DEFINED      4         --         --       650
INLAND REAL ESTATE CORP         EQUITY       457461200     897      57,927 SH          SOLE        1     57,927         --        --
INLAND REAL ESTATE CORP         EQUITY       457461200    3910     252,424 SH         DEFINED      4         --         --   252,424
INNERWORKINGS INC               EQUITY       45773Y105     349      20,269 SH          SOLE        1     20,269         --        --
INNODATA ISOGEN INC             EQUITY       457642205      45      11,600 SH         DEFINED      4         --         --    11,600
INNOPHOS HOLDINGS INC           EQUITY       45774N108     277      18,174 SH          SOLE        1     18,174         --        --
INNOSPEC INC                    EQUITY       45768S105     477      20,943 SH          SOLE        1     20,943         --        --
INNOSPEC INC                    EQUITY       45768S105      11         200 SH         DEFINED      4         --         --       200
INNOVATIVE SOLUTIONS & SUPP     EQUITY       45769N105     208      10,972 SH          SOLE        1     10,972         --        --
INNOVATIVE SOLUTIONS & SUPP     EQUITY       45769N105       7         266 SH         DEFINED      4         --         --       266
INNOVEX INC/MN                  EQUITY       457647105       1         330 SH         DEFINED      4         --         --       330
INNOVO GROUP INC                EQUITY       457954600       5       4,170 SH         DEFINED      4         --         --     4,170
INOVIO BIOMEDICAL CORP          EQUITY       45773H102      10       2,600 SH         DEFINED      4         --         --     2,600
INPHONIC INC                    EQUITY       45772G105      59      21,430 SH          SOLE        1     21,430         --        --





                                                                                          
INSIGHT ENTERPRISES INC         EQUITY       45765U103    1246      48,282 SH          SOLE        1     48,282         --        --
INSIGHT ENTERPRISES INC         EQUITY       45765U103      23       1,130 SH         DEFINED      4         --         --     1,130
INSIGHTFUL CORP                 EQUITY       45770X100      74      31,075 SH         DEFINED      4         --         --    31,075
INSITUFORM TECHNOLOGIES-CL A    EQUITY       457667103     415      27,249 SH          SOLE        1     27,249         --        --
INSITUFORM TECHNOLOGIES-CL A    EQUITY       457667103      11         715 SH         DEFINED      4         --         --       715
INSMED INC                      EQUITY       457669208      30      34,907 SH         DEFINED      4         --         --    34,907
INSPIRE PHARMACEUTICALS INC     EQUITY       457733103      45       8,332 SH         DEFINED      4         --         --     8,332
INSTEEL INDUSTRIES INC          EQUITY       45774W108     244      15,900 SH          SOLE        1     15,900         --        --
INSULET CORP                    EQUITY       45784P101     148       6,823 SH          SOLE        1      6,823         --        --
INSURED MUNI INCOME FUND        EQUITY       45809F104     130       9,943 SH         DEFINED      4         --         --     9,943
INSWEB CORP                     EQUITY       45809K202      83       9,194 SH          SOLE        1      9,194         --        --
INTEGRA BANK CORPORATION        EQUITY       45814P105     329      18,140 SH          SOLE        1     18,140         --        --
INTEGRA LIFESCIENCES HOLDING    EQUITY       457985208     874      17,999 SH          SOLE        1     17,999         --        --
INTEGRA LIFESCIENCES HOLDING    EQUITY       457985208    1093      22,496 SH         DEFINED      4         --         --    22,496
INTEGRAL SYSTEMS INC/MD         EQUITY       45810H107     166       7,739 SH          SOLE        1      7,739         --        --
INTEGRATED DEVICE TECH INC      EQUITY       458118106    7595     490,660 SH          SOLE        1    490,660         --        --
INTEGRATED DEVICE TECH INC      EQUITY       458118106      26       1,725 SH         DEFINED      4         --         --     1,725
INTEGRATED ELECTRICAL SERVIC    EQUITY       45811E301     298      11,638 SH          SOLE        1     11,638         --        --
INTEGRATED SILICON SOLUTION     EQUITY       45812P107      20       3,150 SH         DEFINED      4         --         --     3,150
INTEGRITY BANCSHARES INC        EQUITY       45818G101     116      11,250 SH         DEFINED      4         --         --    11,250
INTEGRYS ENERGY GROUP INC       EQUITY       45822P105    1792      34,981 SH          SOLE        1     34,981         --        --
INTEGRYS ENERGY GROUP INC       EQUITY       45822P105    1324      22,273 SH         DEFINED      4         --         --    22,273
INTEGRYS ENERGY GROUP INC       EQUITY       45822P105       5          96 SH          SOLE        2         96         --        --
INTEL CORP                      EQUITY       458140100  128299   4,961,770 SH          SOLE        1  4,961,770         --        --
INTEL CORP                      EQUITY       458140100   16967     772,610 SH         DEFINED      4         --         --   772,610
INTEL CORP                      EQUITY       458140100   22420     866,967 SH          SOLE        2    866,967         --        --
INTEL CORP                      FIXED INCOME 458140AD2      43          42 PRN        DEFINED      4         --         --        --
INTER PARFUMS INC               EQUITY       458334109     177       7,486 SH          SOLE        1      7,486         --        --
INTER PARFUMS INC               EQUITY       458334109       2         100 SH         DEFINED      4         --         --       100
INTERACTIVE BROKERS GRO-CL A    EQUITY       45841N107     915      34,842 SH          SOLE        1     34,842         --        --
INTERACTIVE DATA CORP           EQUITY       45840J107     886      31,435 SH          SOLE        1     31,435         --        --
INTERACTIVE DATA CORP           EQUITY       45840J107      24         848 SH         DEFINED      4         --         --       848
INTERACTIVE INTELLIGENCE INC    EQUITY       45839M103     215      11,331 SH          SOLE        1     11,331         --        --
INTERACTIVE INTELLIGENCE INC    EQUITY       45839M103      19       1,045 SH         DEFINED      4         --         --     1,045
INTERACTIVE INTELLIGENCE INC    EQUITY       45839M103     361      19,000 SH          SOLE        2     19,000         --        --
INTERCONTINENTAL HOTELS-ADR     EQUITY       45857P301      17         832 SH         DEFINED      4         --         --       832
INTERCONTINENTALEXCHANGE INC    EQUITY       45865V100    7808      51,400 SH          SOLE        3     22,600         --    28,800
INTERCONTINENTALEXCHANGE INC    EQUITY       45865V100    4615      30,385 SH          SOLE        1     30,385         --        --
INTERCONTINENTALEXCHANGE INC    EQUITY       45865V100     511       3,364 SH         DEFINED      4         --         --     3,364
INTERCONTINENTALEXCHANGE INC    EQUITY       45865V100      14          90 SH          SOLE        2         90         --        --
INTERDIGITAL INC                EQUITY       45867G101     849      40,861 SH          SOLE        1     40,861         --        --
INTERFACE INC-CL A              EQUITY       458665106    1922     106,466 SH          SOLE        1    106,466         --        --
INTERFACE INC-CL A              EQUITY       458665106       1          30 SH         DEFINED      4         --         --        30
INTERLINE BRANDS INC            EQUITY       458743101     555      24,124 SH          SOLE        1     24,124         --        --
INTERMEC INC                    EQUITY       458786100    1378      52,771 SH          SOLE        1     52,771         --        --
INTERMEC INC                    EQUITY       458786100     184       8,044 SH         DEFINED      4         --         --     8,044
INTERMUNE INC                   EQUITY       45884X103     450      23,517 SH          SOLE        1     23,517         --        --
INTERMUNE INC                   EQUITY       45884X103       1          31 SH         DEFINED      4         --         --        31
INTERNAP NETWORK SERVICES       EQUITY       45885A300     604      42,648 SH          SOLE        1     42,648         --        --
INTERNAP NETWORK SERVICES       EQUITY       45885A300      26       1,858 SH         DEFINED      4         --         --     1,858
INTERNATIONAL BANCSHARES CRP    EQUITY       459044103     968      44,630 SH          SOLE        1     44,630         --        --
INTERNATIONAL BANCSHARES CRP    EQUITY       459044103    1228      56,567 SH         DEFINED      4         --         --    56,567
INTERNATIONAL COAL GROUP INC    EQUITY       45928H106     492     110,851 SH          SOLE        1    110,851         --        --
INTERNATIONAL COAL GROUP INC    EQUITY       45928H106       1         200 SH         DEFINED      4         --         --       200
INTERNATIONAL PAPER CO          EQUITY       460146103    8263     230,354 SH          SOLE        1    230,354         --        --
INTERNATIONAL PAPER CO          EQUITY       460146103     669      17,415 SH         DEFINED      4         --         --    17,415
INTERNATIONAL PAPER CO          EQUITY       460146103    3886     108,342 SH          SOLE        2    108,342         --        --
INTERNATIONAL ROYALTY CORP      EQUITY       460277106      15       1,900 SH         DEFINED      4         --         --     1,900
INTERNET ARCHITECT HOLDRs TR    EQUITY       46060A107       5         100 SH         DEFINED      4         --         --       100
INTERNET CAPITAL GROUP INC      EQUITY       46059C205     405      33,747 SH          SOLE        1     33,747         --        --
INTERNET CAPITAL GROUP INC      EQUITY       46059C205      22       1,848 SH         DEFINED      4         --         --     1,848
INTERNET INFRASTRUCTURE HOLD    EQUITY       46059V104       5       1,017 SH         DEFINED      4         --         --     1,017
INTEROIL CORP                   EQUITY       460951106      13         451 SH         DEFINED      4         --         --       451
INTERPUBLIC GROUP OF COS INC    EQUITY       460690100    2199     211,893 SH          SOLE        1    211,893         --        --
INTERPUBLIC GROUP OF COS INC    EQUITY       460690100     441      34,231 SH         DEFINED      4         --         --    34,231
INTERPUBLIC GROUP OF COS INC    EQUITY       460690100       6         594 SH          SOLE        2        594         --        --
INTERSIL CORP -CL A             EQUITY       46069S109    6281     187,900 SH          SOLE        3     84,700         --   103,200
INTERSIL CORP -CL A             EQUITY       46069S109   11133     333,028 SH          SOLE        1    333,028         --        --
INTERSIL CORP -CL A             EQUITY       46069S109     114       3,644 SH         DEFINED      4         --         --     3,644
INTERSTATE HOTELS & RESORTS     EQUITY       46088S106       3         567 SH         DEFINED      4         --         --       567
INTERTAPE POLYMER GROUP INC     EQUITY       460919103      14       2,000 SH         DEFINED      4         --         --     2,000
INTERVOICE INC                  EQUITY       461142101     319      33,947 SH          SOLE        1     33,947         --        --
INTERVOICE INC                  EQUITY       461142101      14       1,945 SH         DEFINED      4         --         --     1,945





                                                                                          
INTERWOVEN INC                  EQUITY       46114T508     541      38,008 SH          SOLE        1     38,008         --        --
INTERWOVEN INC                  EQUITY       46114T508      13         848 SH         DEFINED      4         --         --       848
INTEVAC INC                     EQUITY       461148108     324      21,319 SH          SOLE        1     21,319         --        --
INTEVAC INC                     EQUITY       461148108      15       1,000 SH         DEFINED      4         --         --     1,000
INTL ABSORBENTS INC             EQUITY       45885E203       2         618 SH         DEFINED      4         --         --       618
INTL ASSETS HOLDING CORP        EQUITY       459028106       3         130 SH         DEFINED      4         --         --       130
INTL BUSINESS MACHINES CORP     EQUITY       459200101  124881   1,060,565 SH          SOLE        1  1,060,565         --        --
INTL BUSINESS MACHINES CORP     EQUITY       459200101   24062     233,251 SH         DEFINED      4         --         --   233,251
INTL BUSINESS MACHINES CORP     EQUITY       459200101   44401     376,915 SH          SOLE        2    376,915         --        --
INTL FLAVORS & FRAGRANCES       EQUITY       459506101    2114      39,988 SH          SOLE        1     39,988         --        --
INTL FLAVORS & FRAGRANCES       EQUITY       459506101      20         384 SH         DEFINED      4         --         --       384
INTL FLAVORS & FRAGRANCES       EQUITY       459506101       6         113 SH          SOLE        2        113         --        --
INTL GAME TECHNOLOGY            EQUITY       459902102    6450     149,658 SH          SOLE        1    149,658         --        --
INTL GAME TECHNOLOGY            EQUITY       459902102    2191      50,843 SH         DEFINED      4         --         --    50,843
INTL GAME TECHNOLOGY            EQUITY       459902102      18         423 SH          SOLE        2        423         --        --
INTL GAME TECHNOLOGY            FIXED INCOME 459902AP7       4           4 PRN        DEFINED      4         --         --        --
INTL RECTIFIER CORP             EQUITY       460254105    5972     181,026 SH          SOLE        1    181,026         --        --
INTL RECTIFIER CORP             EQUITY       460254105      83       2,528 SH         DEFINED      4         --         --     2,528
INTL SECURITIES EXCHANGE HOL    EQUITY       46031W204    2252      33,874 SH          SOLE        1     33,874         --        --
INTL SECURITIES EXCHANGE HOL    EQUITY       46031W204      34         500 SH         DEFINED      4         --         --       500
INTL SHIPHOLDING CORP           EQUITY       460321201       6         300 SH         DEFINED      4         --         --       300
INTL SPEEDWAY CORP-CL A         EQUITY       460335201    4134      90,140 SH          SOLE        1     90,140         --        --
INTL SPEEDWAY CORP-CL A         EQUITY       460335201     417       8,207 SH         DEFINED      4         --         --     8,207
INTROGEN THERAPEUTICS INC       EQUITY       46119F107       6       1,200 SH         DEFINED      4         --         --     1,200
INTUIT INC                      EQUITY       461202103    5609     185,118 SH          SOLE        1    185,118         --        --
INTUIT INC                      EQUITY       461202103     554      19,547 SH         DEFINED      4         --         --    19,547
INTUIT INC                      EQUITY       461202103      13         427 SH          SOLE        2        427         --        --
INTUITIVE SURGICAL INC          EQUITY       46120E602    8050      35,000 SH          SOLE        3     15,700         --    19,300
INTUITIVE SURGICAL INC          EQUITY       46120E602   22112      96,139 SH          SOLE        1     96,139         --        --
INTUITIVE SURGICAL INC          EQUITY       46120E602    1320       9,816 SH         DEFINED      4         --         --     9,816
INVACARE CORP                   EQUITY       461203101     681      29,115 SH          SOLE        1     29,115         --        --
INVACARE CORP                   EQUITY       461203101      28       1,500 SH         DEFINED      4         --         --     1,500
INVENTIV HEALTH INC             EQUITY       46122E105    1366      31,165 SH          SOLE        1     31,165         --        --
INVENTIV HEALTH INC             EQUITY       46122E105       2          56 SH         DEFINED      4         --         --        56
INVENTIV HEALTH INC             EQUITY       46122E105    1039      23,700 SH          SOLE        2     23,700         --        --
INVERNESS MEDICAL INNOVATION    EQUITY       46126P106    2265      40,941 SH          SOLE        1     40,941         --        --
INVERNESS MEDICAL INNOVATION    EQUITY       46126P106      62       1,121 SH         DEFINED      4         --         --     1,121
INVERNESS MEDICAL INNOVATION    EQUITY       46126P106    4370      79,000 SH          SOLE        2     79,000         --        --
INVESTMENT GRADE MUNI INC FD    EQUITY       461368102      51       3,779 SH         DEFINED      4         --         --     3,779
INVESTMENT TECHNOLOGY GROUP     EQUITY       46145F105     240       5,581 SH          SOLE        1      5,581         --        --
INVESTMENT TECHNOLOGY GROUP     EQUITY       46145F105     226       6,090 SH         DEFINED      4         --         --     6,090
INVESTMENT TECHNOLOGY GROUP     EQUITY       46145F105    1010      23,500 SH          SOLE        2     23,500         --        --
INVESTOOLS INC                  EQUITY       46145P103     551      45,607 SH          SOLE        1     45,607         --        --
INVESTOOLS INC                  EQUITY       46145P103      36       3,000 SH         DEFINED      4         --         --     3,000
INVESTORS BANCORP INC           EQUITY       46146P102     630      44,500 SH          SOLE        1     44,500         --        --
INVESTORS CAPITAL HOLDINGS      EQUITY       46147M108       4         700 SH         DEFINED      4         --         --       700
INVESTORS REAL ESTATE TRUST     EQUITY       461730103    2075     192,129 SH          SOLE        1    192,129         --        --
INVESTORS REAL ESTATE TRUST     EQUITY       461730103     573      53,776 SH         DEFINED      4         --         --    53,776
INVITROGEN CORP                 EQUITY       46185R100    9687     118,523 SH          SOLE        1    118,523         --        --
INVITROGEN CORP                 EQUITY       46185R100     345       4,216 SH         DEFINED      4         --         --     4,216
INVITROGEN CORPORATION          FIXED INCOME 46185RAK6      36          37 PRN        DEFINED      4         --         --        --
IOMAI CORP                      EQUITY       46202P103       5       1,000 SH         DEFINED      4         --         --     1,000
IOMEGA CORP                     EQUITY       462030305      39       9,386 SH         DEFINED      4         --         --     9,386
ION MEDIA NETWORKS INC          EQUITY       46205A103       2       1,220 SH         DEFINED      4         --         --     1,220
IONATRON INC                    EQUITY       462070103      95      27,643 SH          SOLE        1     27,643         --        --
IONATRON INC                    EQUITY       462070103      53      15,450 SH         DEFINED      4         --         --    15,450
IOWA TELECOMMUNICATIONS SERV    EQUITY       462594201    3656     184,201 SH          SOLE        1    184,201         --        --
IOWA TELECOMMUNICATIONS SERV    EQUITY       462594201     439      20,045 SH         DEFINED      4         --         --    20,045
IPASS INC                       EQUITY       46261V108     184      43,905 SH          SOLE        1     43,905         --        --
IPASS INC                       EQUITY       46261V108       1         200 SH         DEFINED      4         --         --       200
IPATH CBOE S&P 500 BUYWRITE     EQUITY       06739F135      80       1,600 SH         DEFINED      4         --         --     1,600
IPATH DOW JONES-AIG COMMDTY     EQUITY       06738C778    1109      21,558 SH         DEFINED      4         --         --    21,558
IPATH GOLDMAN SACHS CRUDE       EQUITY       06738C786      63       1,350 SH         DEFINED      4         --         --     1,350
IPATH MSCI INDIA INDEX ETN      EQUITY       06739F291     889      15,575 SH         DEFINED      4         --         --    15,575
IPC HOLDINGS LTD                EQUITY       G4933P101      32       1,085 SH         DEFINED      4         --         --     1,085
IPCS INC                        EQUITY       44980Y305   88323   2,580,198 SH          SOLE        1  2,580,198         --        --
IPCS INC                        EQUITY       44980Y305   12490     363,187 SH          SOLE        2    363,187         --        --
IPG PHOTONICS CORP              EQUITY       44980X109     172       8,740 SH          SOLE        1      8,740         --        --
IRIDEX CORP                     EQUITY       462684101      19       3,000 SH         DEFINED      4         --         --     3,000
IRIS INTERNATIONAL INC          EQUITY       46270W105      10         540 SH         DEFINED      4         --         --       540
IROBOT CORP                     EQUITY       462726100     266      13,363 SH          SOLE        1     13,363         --        --
IROBOT CORP                     EQUITY       462726100      68       3,412 SH         DEFINED      4         --         --     3,412
IRON MOUNTAIN INC               EQUITY       462846106      66       2,169 SH          SOLE        1      2,169         --        --





                                                                                          
IRON MOUNTAIN INC               EQUITY       462846106     568      20,007 SH         DEFINED      4         --         --    20,007
IRON MOUNTAIN INC               EQUITY       462846106   12418     407,400 SH          SOLE        2    407,400         --        --
IRSA -SP GDR                    EQUITY       450047204      10         500 SH         DEFINED      4         --         --       500
IRVINE SENSORS CORP             EQUITY       463664508       3       2,890 SH         DEFINED      4         --         --     2,890
IRWIN FINANCIAL CORP            EQUITY       464119106     206      18,723 SH          SOLE        1     18,723         --        --
ISCO INTERNATIONAL INC          EQUITY       46426P103       2       6,706 SH         DEFINED      4         --         --     6,706
ISHARES COHEN & STEERS RLTY     EQUITY       464287564    2598      25,376 SH         DEFINED      4         --         --    25,376
ISHARES COMEX GOLD TRUST        EQUITY       464285105    1691      22,971 SH         DEFINED      4         --         --    22,971
ISHARES DJ SELECT DIVIDEND      EQUITY       464287168   14115     203,684 SH         DEFINED      4         --         --   203,684
ISHARES DJ US AEROSPACE & DF    EQUITY       464288760    3755      53,930 SH         DEFINED      4         --         --    53,930
ISHARES DJ US BASIC MATERIAL    EQUITY       464287838    2621      35,342 SH         DEFINED      4         --         --    35,342
ISHARES DJ US BROKER DEALERS    EQUITY       464288794      16         290 SH         DEFINED      4         --         --       290
ISHARES DJ US CNSMER SERVICE    EQUITY       464287580     902      13,328 SH         DEFINED      4         --         --    13,328
ISHARES DJ US CONSMR GOODS      EQUITY       464287812    1079      17,175 SH         DEFINED      4         --         --    17,175
ISHARES DJ US ENERGY SECTOR     EQUITY       464287796    3326      25,495 SH         DEFINED      4         --         --    25,495
ISHARES DJ US FINANCIAL SECT    EQUITY       464287788    3435      28,543 SH         DEFINED      4         --         --    28,543
ISHARES DJ US FINANCIAL SVCS    EQUITY       464287770    1867      15,309 SH         DEFINED      4         --         --    15,309
ISHARES DJ US HEALTH CAR PRO    EQUITY       464288828     928      15,560 SH         DEFINED      4         --         --    15,560
ISHARES DJ US HEALTHCARE SEC    EQUITY       464287762    2182      30,054 SH         DEFINED      4         --         --    30,054
ISHARES DJ US INDUSTRIAL SEC    EQUITY       464287754    1178      15,557 SH         DEFINED      4         --         --    15,557
ISHARES DJ US MEDICAL DEVICE    EQUITY       464288810     506       8,410 SH         DEFINED      4         --         --     8,410
ISHARES DJ US OIL & GAS EXPL    EQUITY       464288851    1559      26,315 SH         DEFINED      4         --         --    26,315
ISHARES DJ US OIL EQUIP & SV    EQUITY       464288844    1666      31,637 SH         DEFINED      4         --         --    31,637
ISHARES DJ US PHARMA INDEX F    EQUITY       464288836     877      14,960 SH         DEFINED      4         --         --    14,960
ISHARES DJ US REAL ESTATE       EQUITY       464287739    3657      42,660 SH         DEFINED      4         --         --    42,660
ISHARES DJ US REGIONAL BANKS    EQUITY       464288778      23         450 SH         DEFINED      4         --         --       450
ISHARES DJ US TECHNOLOGY SEC    EQUITY       464287721    1083      17,241 SH         DEFINED      4         --         --    17,241
ISHARES DJ US TELECOMMUNICAT    EQUITY       464287713    1470      43,437 SH         DEFINED      4         --         --    43,437
ISHARES DJ US TOTAL MARKET      EQUITY       464287846     237       3,221 SH         DEFINED      4         --         --     3,221
ISHARES DJ US TRANSPORT AVG     EQUITY       464287192    1328      15,321 SH         DEFINED      4         --         --    15,321
ISHARES DJ US UTILITIES SECT    EQUITY       464287697    2451      23,704 SH         DEFINED      4         --         --    23,704
ISHARES FTSE/XINHUA CHINA 25    EQUITY       464287184    1854      16,675 SH         DEFINED      4         --         --    16,675
ISHARES IBOXX $ INVESTMT        EQUITY       464287242    2605      24,251 SH         DEFINED      4         --         --    24,251
ISHARES KLD SEL SOC SM INDX     EQUITY       464288802      68       1,089 SH         DEFINED      4         --         --     1,089
ISHARES LEHMAN 1-3YR TRS BD     EQUITY       464287457    5816      72,745 SH         DEFINED      4         --         --    72,745
ISHARES LEHMAN 20+ YR TREAS     EQUITY       464287432    7752      87,260 SH         DEFINED      4         --         --    87,260
ISHARES LEHMAN 3-7 YEAR TREA    EQUITY       464288661      28         281 SH         DEFINED      4         --         --       281
ISHARES LEHMAN 7-10YR TREAS     EQUITY       464287440    3422      40,802 SH         DEFINED      4         --         --    40,802
ISHARES LEHMAN AGG BOND FUND    EQUITY       464287226   11145     111,426 SH         DEFINED      4         --         --   111,426
ISHARES LEHMAN TRES INF PR S    EQUITY       464287176    6868      68,235 SH         DEFINED      4         --         --    68,235
ISHARES MORNINGSTAR LG GR IN    EQUITY       464287119    4292      62,462 SH         DEFINED      4         --         --    62,462
ISHARES MORNINGSTAR LG VAL I    EQUITY       464288109    3359      37,869 SH         DEFINED      4         --         --    37,869
ISHARES MORNINGSTAR MID GR I    EQUITY       464288307     107       1,067 SH         DEFINED      4         --         --     1,067
ISHARES MORNINGSTAR MID VL I    EQUITY       464288406     175       1,873 SH         DEFINED      4         --         --     1,873
ISHARES MORNINGSTAR SM CO ID    EQUITY       464288505    2034      23,340 SH         DEFINED      4         --         --    23,340
ISHARES MORNINGSTAR SM GR ID    EQUITY       464288604      72         897 SH         DEFINED      4         --         --       897
ISHARES MORNINGSTAR SM VAL I    EQUITY       464288703    1759      22,308 SH         DEFINED      4         --         --    22,308
ISHARES MSCI AUSTRALIA INDEX    EQUITY       464286103    3806     136,654 SH         DEFINED      4         --         --   136,654
ISHARES MSCI AUSTRIA INDEX      EQUITY       464286202      30         755 SH         DEFINED      4         --         --       755
ISHARES MSCI BELGIUM            EQUITY       464286301       8         305 SH         DEFINED      4         --         --       305
ISHARES MSCI BRAZIL             EQUITY       464286400   13838     253,220 SH         DEFINED      4         --         --   253,220
ISHARES MSCI CANADA             EQUITY       464286509    3787     115,718 SH         DEFINED      4         --         --   115,718
ISHARES MSCI EAFE GROWTH INX    EQUITY       464288885    1749       22022 SH         DEFINED      4         --         --        --
ISHARES MSCI EAFE INDEX FUND    EQUITY       464287465   62496     756,700 SH          SOLE        1    756,700         --        --
ISHARES MSCI EAFE INDEX FUND    EQUITY       464287465   67298     815,136 SH         DEFINED      4         --         --   815,136
ISHARES MSCI EAFE VALUE INX     EQUITY       464288877    1545      19,709 SH         DEFINED      4         --         --    19,709
ISHARES MSCI EMERGING MKT IN    EQUITY       464287234   28807     229,669 SH         DEFINED      4         --         --   229,669
ISHARES MSCI EMU                EQUITY       464286608    7664      65,128 SH         DEFINED      4         --         --    65,128
ISHARES MSCI FRANCE INDEX FD    EQUITY       464286707      59       1,541 SH         DEFINED      4         --         --     1,541
ISHARES MSCI GERMANY INDEX      EQUITY       464286806     231       6,685 SH         DEFINED      4         --         --     6,685
ISHARES MSCI HONG KONG INDEX    EQUITY       464286871    3523     167,500 SH          SOLE        1    167,500         --        --
ISHARES MSCI HONG KONG INDEX    EQUITY       464286871   19122     909,287 SH         DEFINED      4         --         --   909,287
ISHARES MSCI ITALY INDEX FD     EQUITY       464286855       4         100 SH         DEFINED      4         --         --       100
ISHARES MSCI JAPAN INDEX FD     EQUITY       464286848    7658     534,000 SH          SOLE        1    534,000         --        --
ISHARES MSCI JAPAN INDEX FD     EQUITY       464286848    2029     141,916 SH         DEFINED      4         --         --   141,916
ISHARES MSCI MALAYSIA           EQUITY       464286830      81       6,668 SH         DEFINED      4         --         --     6,668
ISHARES MSCI NETHERLANDS INX    EQUITY       464286814      59       1,900 SH         DEFINED      4         --         --     1,900
ISHARES MSCI PACIFIC EX JPN     EQUITY       464286665   23692     164,404 SH         DEFINED      4         --         --   164,404
ISHARES MSCI SINGAPORE          EQUITY       464286673   19499   1,445,431 SH         DEFINED      4         --         -- 1,445,431
ISHARES MSCI SOUTH AFRICA IN    EQUITY       464286780     437       3,277 SH         DEFINED      4         --         --     3,277
ISHARES MSCI SOUTH KOREA IND    EQUITY       464286772    2070      37,363 SH         DEFINED      4         --         --    37,363
ISHARES MSCI SPAIN INDEX FD     EQUITY       464286764      26         455 SH         DEFINED      4         --         --       455
ISHARES MSCI SWEDEN INDEX FD    EQUITY       464286756    8397     224,579 SH         DEFINED      4         --         --   224,579





                                                                                          
ISHARES MSCI SWITZERLAND IND    EQUITY       464286749     393      14,600 SH         DEFINED      4         --         --    14,600
ISHARES MSCI TAIWAN INDEX FD    EQUITY       464286731      16       1,100 SH         DEFINED      4         --         --     1,100
ISHARES MSCI UNITED KINGDOM     EQUITY       464286699      48       1,895 SH         DEFINED      4         --         --     1,895
ISHARES NASDAQ BIOTECH INDX     EQUITY       464287556    1966      23,686 SH         DEFINED      4         --         --    23,686
ISHARES NYSE 100 INDEX FUND     EQUITY       464287135      58         728 SH         DEFINED      4         --         --       728
ISHARES NYSE COMPOSITE INDEX    EQUITY       464287143      13         147 SH         DEFINED      4         --         --       147
ISHARES RUSSELL 1000 GROWTH     EQUITY       464287614   16017     270,194 SH         DEFINED      4         --         --   270,194
ISHARES RUSSELL 1000 INDEX      EQUITY       464287622    6194      75,371 SH         DEFINED      4         --         --    75,371
ISHARES RUSSELL 1000 VALUE      EQUITY       464287598   25008     284,694 SH         DEFINED      4         --         --   284,694
ISHARES RUSSELL 2000            EQUITY       464287655    5428      67,800 SH          SOLE        1     67,800         --        --
ISHARES RUSSELL 2000            EQUITY       464287655    7865      98,239 SH         DEFINED      4         --         --    98,239
ISHARES RUSSELL 2000 GROWTH     EQUITY       464287648    2693      31,912 SH         DEFINED      4         --         --    31,912
ISHARES RUSSELL 2000 VALUE      EQUITY       464287630    4077      48,735 SH         DEFINED      4         --         --    48,735
ISHARES RUSSELL 3000 GROWTH     EQUITY       464287671     693      13,854 SH         DEFINED      4         --         --    13,854
ISHARES RUSSELL 3000 INDEX      EQUITY       464287689    1981      22,630 SH         DEFINED      4         --         --    22,630
ISHARES RUSSELL 3000 VALUE      EQUITY       464287663    2332      20,371 SH         DEFINED      4         --         --    20,371
ISHARES RUSSELL MICROCAP INX    EQUITY       464288869     140       2,316 SH         DEFINED      4         --         --     2,316
ISHARES RUSSELL MIDCAP GRWTH    EQUITY       464287481    2417      20,816 SH         DEFINED      4         --         --    20,816
ISHARES RUSSELL MIDCAP INDEX    EQUITY       464287499    3704      33,682 SH         DEFINED      4         --         --    33,682
ISHARES RUSSELL MIDCAP VALUE    EQUITY       464287473    5644      35,100 SH         DEFINED      4         --         --    35,100
iSHARES S&P 100 INDEX FUND      EQUITY       464287101    2260      32,697 SH         DEFINED      4         --         --    32,697
ISHARES S&P 1500 INDEX FUND     EQUITY       464287150      99         735 SH         DEFINED      4         --         --       735
ISHARES S&P 500 GROWTH INDEX    EQUITY       464287309   11940     167,787 SH         DEFINED      4         --         --   167,787
ISHARES S&P 500 INDEX FUND      EQUITY       464287200    7322      48,420 SH         DEFINED      4         --         --    48,420
ISHARES S&P 500 VALUE INDEX     EQUITY       464287408   14284     175,344 SH         DEFINED      4         --         --   175,344
ISHARES S&P CONSUMER STAPLES    EQUITY       464288737     201        3328 SH         DEFINED      4         --         --        --
ISHARES S&P EUROPE 350          EQUITY       464287861    1807      15,467 SH         DEFINED      4         --         --    15,467
ISHARES S&P GLBL FINL SECTOR    EQUITY       464287333    1957      21,755 SH         DEFINED      4         --         --    21,755
ISHARES S&P GLBL HEALTHCARE     EQUITY       464287325    7046     113,532 SH         DEFINED      4         --         --   113,532
ISHARES S&P GLBL TECH SECTOR    EQUITY       464287291     962      15,740 SH         DEFINED      4         --         --    15,740
ISHARES S&P GLBL TELECOMM SE    EQUITY       464287275    2435      35,055 SH         DEFINED      4         --         --    35,055
ISHARES S&P GLOBAL 100          EQUITY       464287572     291       3,500 SH          SOLE        1      3,500         --        --
ISHARES S&P GLOBAL 100          EQUITY       464287572     914      11,494 SH         DEFINED      4         --         --    11,494
ISHARES S&P GLOBAL MATERIALS    EQUITY       464288695     809      10,188 SH         DEFINED      4         --         --    10,188
ISHARES S&P GLOBAL UTILITIES    EQUITY       464288711    1390      21,525 SH         DEFINED      4         --         --    21,525
ISHARES S&P GSCI COMMODITY I    EQUITY       46428R107     252       6,244 SH         DEFINED      4         --         --     6,244
ISHARES S&P GSTI NETWORKING     EQUITY       464287531     919      27,207 SH         DEFINED      4         --         --    27,207
ISHARES S&P GSTI SEMICONDUCT    EQUITY       464287523     613       9,375 SH         DEFINED      4         --         --     9,375
ISHARES S&P GSTI SOFTWARE IN    EQUITY       464287515     448       9,472 SH         DEFINED      4         --         --     9,472
ISHARES S&P GSTI TECHNOLOGY     EQUITY       464287549     749      13,642 SH         DEFINED      4         --         --    13,642
ISHARES S&P LATIN AMERICA 40    EQUITY       464287390    6967      28,849 SH         DEFINED      4         --         --    28,849
ISHARES S&P MIDCAP 400          EQUITY       464287507    4461      50,180 SH         DEFINED      4         --         --    50,180
ISHARES S&P MIDCAP 400/GRWTH    EQUITY       464287606    1084      11,988 SH         DEFINED      4         --         --    11,988
ISHARES S&P MIDCAP 400/VALUE    EQUITY       464287705    3656      41,783 SH         DEFINED      4         --         --    41,783
ISHARES S&P SMALLCAP 600        EQUITY       464287804    2490      35,700 SH          SOLE        1     35,700         --        --
ISHARES S&P SMALLCAP 600        EQUITY       464287804    4198      58,933 SH         DEFINED      4         --         --    58,933
ISHARES S&P SMALLCAP 600/GRO    EQUITY       464287887   13754      96,017 SH         DEFINED      4         --         --    96,017
ISHARES S&P SMALLCAP 600/VAL    EQUITY       464287879   11715     145,841 SH         DEFINED      4         --         --   145,841
ISHARES S&P/TOPIX 150 INDEX     EQUITY       464287382      18         139 SH         DEFINED      4         --         --       139
ISHARES SILVER TRUST            EQUITY       46428Q109     689       5,123 SH         DEFINED      4         --         --     5,123
ISILON SYSTEMS INC              EQUITY       46432L104      57       7,414 SH          SOLE        1      7,414         --        --
ISILON SYSTEMS INC              EQUITY       46432L104       4         200 SH         DEFINED      4         --         --       200
ISIS PHARMACEUTICALS INC        EQUITY       464330109    1076      71,886 SH          SOLE        1     71,886         --        --
ISIS PHARMACEUTICALS INC        EQUITY       464330109     126       8,390 SH         DEFINED      4         --         --     8,390
ISLE OF CAPRI CASINOS           EQUITY       464592104     273      14,052 SH          SOLE        1     14,052         --        --
ISLE OF CAPRI CASINOS           EQUITY       464592104       8         325 SH         DEFINED      4         --         --       325
ISONICS CORP                    EQUITY       464895309       4       2,600 SH         DEFINED      4         --         --     2,600
ISTA PHARMACEUTICALS INC.       EQUITY       45031X204       5         800 SH         DEFINED      4         --         --       800
ISTAR FINANCIAL INC             EQUITY       45031U101     164       4,828 SH          SOLE        1      4,828         --        --
ISTAR FINANCIAL INC             EQUITY       45031U101     241       7,089 SH         DEFINED      4         --         --     7,089
ITC HOLDINGS CORP               EQUITY       465685105    1834      37,023 SH          SOLE        1     37,023         --        --
ITC HOLDINGS CORP               EQUITY       465685105      60       1,207 SH         DEFINED      4         --         --     1,207
ITERIS INC                      EQUITY       46564T107       6       2,495 SH         DEFINED      4         --         --     2,495
I-TRAX INC                      EQUITY       45069D203     285      63,400 SH         DEFINED      4         --         --    63,400
ITRON INC                       EQUITY       465741106    2788      29,960 SH          SOLE        1     29,960         --        --
ITRON INC                       EQUITY       465741106     281       3,015 SH         DEFINED      4         --         --     3,015
ITRON INC                       EQUITY       465741106     828       8,900 SH          SOLE        2      8,900         --        --
ITT CORP                        EQUITY       450911102    8592     126,487 SH          SOLE        1    126,487         --        --
ITT CORP                        EQUITY       450911102     895      13,567 SH         DEFINED      4         --         --    13,567
ITT CORP                        EQUITY       450911102      15         228 SH          SOLE        2        228         --        --
ITT EDUCATIONAL SERVICES INC    EQUITY       45068B109    9332      76,685 SH          SOLE        1     76,685         --        --
ITT EDUCATIONAL SERVICES INC    EQUITY       45068B109      71         689 SH         DEFINED      4         --         --       689
ITT EDUCATIONAL SERVICES INC    EQUITY       45068B109     438       3,600 SH          SOLE        2      3,600         --        --





                                                                                          
IVANHOE ENERGY INC              EQUITY       465790103      10       4,825 SH         DEFINED      4         --         --     4,825
IVANHOE MINES LTD               EQUITY       46579N103    2608     200,997 SH          OTHER       1         --    200,997        --
IVANHOE MINES LTD               EQUITY       46579N103       7         500 SH         DEFINED      4         --         --       500
IXIA                            EQUITY       45071R109     332      38,110 SH          SOLE        1     38,110         --        --
IXIA                            EQUITY       45071R109       6         676 SH         DEFINED      4         --         --       676
IXYS CORPORATION                EQUITY       46600W106     235      22,515 SH          SOLE        1     22,515         --        --
IXYS CORPORATION                EQUITY       46600W106       3         300 SH         DEFINED      4         --         --       300
J & J SNACK FOODS CORP          EQUITY       466032109     487      13,985 SH          SOLE        1     13,985         --        --
J CREW GROUP INC                EQUITY       46612H402    2201      53,026 SH          SOLE        1     53,026         --        --
J CREW GROUP INC                EQUITY       46612H402    6968     167,900 SH          SOLE        3     81,400         --    86,500
J CREW GROUP INC                EQUITY       46612H402     160       4,047 SH         DEFINED      4         --         --     4,047
J CREW GROUP INC                EQUITY       46612H402     208       5,000 SH          SOLE        2      5,000         --        --
J.C. PENNEY CO INC              EQUITY       708160106    9535     150,473 SH          SOLE        1    150,473         --        --
J.C. PENNEY CO INC              EQUITY       708160106      18         279 SH          SOLE        2        279         --        --
J2 GLOBAL COMMUNICATIONS INC    EQUITY       46626E205    1612      49,242 SH          SOLE        1     49,242         --        --
J2 GLOBAL COMMUNICATIONS INC    EQUITY       46626E205      47       1,536 SH         DEFINED      4         --         --     1,536
JA SOLAR HOLDINGS CO LTD-ADR    EQUITY       466090107     989      22,000 SH          SOLE        1     22,000         --        --
JA SOLAR HOLDINGS CO LTD-ADR    EQUITY       466090107     685      15,250 SH          SOLE        2     15,250         --        --
JABIL CIRCUIT INC               EQUITY       466313103    2116      92,666 SH          SOLE        1     92,666         --        --
JABIL CIRCUIT INC               EQUITY       466313103     267      11,252 SH         DEFINED      4         --         --    11,252
JABIL CIRCUIT INC               EQUITY       466313103       6         262 SH          SOLE        2        262         --        --
JACK HENRY & ASSOCIATES INC     EQUITY       426281101    6788     262,477 SH          SOLE        1    262,477         --        --
JACK HENRY & ASSOCIATES INC     EQUITY       426281101     185       7,694 SH         DEFINED      4         --         --     7,694
JACK IN THE BOX INC             EQUITY       466367109    2025      31,226 SH          SOLE        1     31,226         --        --
JACK IN THE BOX INC             EQUITY       466367109      30         470 SH         DEFINED      4         --         --       470
JACKSON HEWITT TAX SERVICE      EQUITY       468202106     732      26,196 SH          SOLE        1     26,196         --        --
JACKSON HEWITT TAX SERVICE      EQUITY       468202106      13         450 SH         DEFINED      4         --         --       450
JACKSON HEWITT TAX SERVICE      EQUITY       468202106   10921     390,600 SH          SOLE        2    390,600         --        --
JACLYN INC                      EQUITY       469772107       1         104 SH         DEFINED      4         --         --       104
JACOBS ENGINEERING GROUP INC    EQUITY       469814107   22505     297,758 SH          SOLE        1    297,758         --        --
JACOBS ENGINEERING GROUP INC    EQUITY       469814107    1046      19,604 SH         DEFINED      4         --         --    19,604
JAGUAR MINING INC               EQUITY       47009M103      11       1,500 SH         DEFINED      4         --         --     1,500
JAKKS PACIFIC INC               EQUITY       47012E106     748      28,020 SH          SOLE        1     28,020         --        --
JAKKS PACIFIC INC               EQUITY       47012E106      60       2,239 SH         DEFINED      4         --         --     2,239
JAMBA INC                       EQUITY       47023A101     319      45,448 SH          SOLE        1     45,448         --        --
JAMBA INC                       EQUITY       47023A101      46       5,000 SH         DEFINED      4         --         --     5,000
JAMES RIVER COAL CO             EQUITY       470355207     207      23,030 SH         DEFINED      4         --         --    23,030
JAMES RIVER GROUP INC           EQUITY       470359100     164       5,071 SH          SOLE        1      5,071         --        --
JANUS CAPITAL GROUP INC         EQUITY       47102X105    1996      70,573 SH          SOLE        1     70,573         --        --
JANUS CAPITAL GROUP INC         EQUITY       47102X105     305      10,772 SH         DEFINED      4         --         --    10,772
JANUS CAPITAL GROUP INC         EQUITY       47102X105       6         199 SH          SOLE        2        199         --        --
JAPAN SMALLER CAPITALIZATION    EQUITY       47109U104       9         700 SH         DEFINED      4         --         --       700
JARDEN CORP                     EQUITY       471109108      87       2,813 SH          SOLE        1      2,813         --        --
JARDEN CORP                     EQUITY       471109108      35       1,130 SH         DEFINED      4         --         --     1,130
JAVELIN PHARMACEUTICALS INC     EQUITY       471894105     186      36,977 SH          SOLE        1     36,977         --        --
JAVELIN PHARMACEUTICALS INC     EQUITY       471894105      20       3,000 SH         DEFINED      4         --         --     3,000
JDA SOFTWARE GROUP INC          EQUITY       46612K108     531      25,693 SH          SOLE        1     25,693         --        --
JDS UNIPHASE CORP               EQUITY       46612J507    1407      94,018 SH          SOLE        1     94,018         --        --
JDS UNIPHASE CORP               EQUITY       46612J507     310      22,492 SH         DEFINED      4         --         --    22,492
JDS UNIPHASE CORP               EQUITY       46612J507       4         267 SH          SOLE        2        267         --        --
JED OIL INC                     EQUITY       472310101      22      12,367 SH         DEFINED      4         --         --    12,367
JEFFERIES GROUP INC (NEW)       EQUITY       472319102    7803     280,363 SH          SOLE        1    280,363         --        --
JEFFERIES GROUP INC (NEW)       EQUITY       472319102     459      14,293 SH         DEFINED      4         --         --    14,293
JETBLUE AIRWAYS CORP            EQUITY       477143101    5529     599,709 SH          SOLE        1    599,709         --        --
JETBLUE AIRWAYS CORP            EQUITY       477143101      82       8,889 SH         DEFINED      4         --         --     8,889
JF CHINA REGION FUND INC        EQUITY       46614T107       3         100 SH         DEFINED      4         --         --       100
JM SMUCKER CO/THE-NEW COMMON    EQUITY       832696405    7694     144,033 SH          SOLE        1    144,033         --        --
JM SMUCKER CO/THE-NEW COMMON    EQUITY       832696405     554       9,502 SH         DEFINED      4         --         --     9,502
JMG EXPLORATION INC             EQUITY       46621A109       5       2,500 SH         DEFINED      4         --         --     2,500
JO-ANN STORES INC               EQUITY       47758P307     526      24,909 SH          SOLE        1     24,909         --        --
JO-ANN STORES INC               EQUITY       47758P307       2         100 SH         DEFINED      4         --         --       100
JOHN HAN BK & THRIFT OPP FD     EQUITY       409735107     284      29,586 SH         DEFINED      4         --         --    29,586
JOHN HAN PATR PREM DIV FD II    EQUITY       41013T105     376      31,767 SH         DEFINED      4         --         --    31,767
JOHN HANCOCK INCOME SECS TR     EQUITY       410123103      68       4,902 SH         DEFINED      4         --         --     4,902
JOHN HANCOCK INVEST TRUST       EQUITY       410142103      50       2,632 SH         DEFINED      4         --         --     2,632
JOHN HANCOCK PATR SELECT DIV    EQUITY       41013U102      76       5,364 SH         DEFINED      4         --         --     5,364
JOHN HANCOCK PFD INCOME FD      EQUITY       41013W108     739  33398.7659 SH         DEFINED      4         --         --        --
JOHN HANCOCK PFD INCOME II      EQUITY       41013X106    1746      69,490 SH         DEFINED      4         --         --    69,490
JOHN HANCOCK PFD INCOME III     EQUITY       41021P103      41       1,799 SH         DEFINED      4         --         --     1,799
JOHN HANCOCK T/A DVD INCOME     EQUITY       41013V100     157       7,484 SH         DEFINED      4         --         --     7,484
JOHNSON & JOHNSON               EQUITY       478160104  149691   2,279,887 SH          SOLE        1  2,279,887         --        --
JOHNSON & JOHNSON               EQUITY       478160104   24044     374,165 SH         DEFINED      4         --         --   374,165
JOHNSON & JOHNSON               EQUITY       478160104   26021     396,059 SH          SOLE        2    396,059         --        --





                                                                                          
JOHNSON CONTROLS INC            EQUITY       478366107   10027      84,898 SH          SOLE        1     84,898         --        --
JOHNSON CONTROLS INC            EQUITY       478366107    2988  27971.2796 SH         DEFINED      4         --         --        --
JOHNSON CONTROLS INC            EQUITY       478366107      30         250 SH          SOLE        2        250         --        --
JONES APPAREL GROUP INC         EQUITY       480074103     878      41,543 SH          SOLE        1     41,543         --        --
JONES APPAREL GROUP INC         EQUITY       480074103       5         219 SH         DEFINED      4         --         --       219
JONES APPAREL GROUP INC         EQUITY       480074103       2         118 SH          SOLE        2        118         --        --
JONES LANG LASALLE INC          EQUITY       48020Q107    9565      93,082 SH          SOLE        1     93,082         --        --
JONES LANG LASALLE INC          EQUITY       48020Q107      20         180 SH         DEFINED      4         --         --       180
JONES SODA CO                   EQUITY       48023P106     271      22,493 SH          SOLE        1     22,493         --        --
JONES SODA CO                   EQUITY       48023P106     119       5,200 SH         DEFINED      4         --         --     5,200
JOS A BANK CLOTHIERS INC        EQUITY       480838101     603      18,053 SH          SOLE        1     18,053         --        --
JOURNAL COMMUNICATIONS INC-A    EQUITY       481130102     390      41,106 SH          SOLE        1     41,106         --        --
JOURNAL COMMUNICATIONS INC-A    EQUITY       481130102      14       1,000 SH         DEFINED      4         --         --     1,000
JOURNAL REGISTER CO             EQUITY       481138105       1         100 SH         DEFINED      4         --         --       100
JOY GLOBAL INC                  EQUITY       481165108   13908     273,447 SH          SOLE        1    273,447         --        --
JOY GLOBAL INC                  EQUITY       481165108     630      12,093 SH         DEFINED      4         --         --    12,093
JPMORGAN CHASE & CO             EQUITY       46625H100  178620   3,895,034 SH          SOLE        1  3,895,034         --        --
JPMORGAN CHASE & CO             EQUITY       46625H100   19205     364,219 SH         DEFINED      4         --         --   364,219
JPMORGAN CHASE & CO             EQUITY       46625H100   17002     371,067 SH          SOLE        2    371,067         --        --
JUNIPER NETWORKS INC            EQUITY       48203R104    6813     186,100 SH          SOLE        3     84,000         --   102,100
JUNIPER NETWORKS INC            EQUITY       48203R104   24267     664,441 SH          SOLE        1    664,441         --        --
JUNIPER NETWORKS INC            EQUITY       48203R104     642      27,879 SH         DEFINED      4         --         --    27,879
JUNIPER NETWORKS INC            EQUITY       48203R104      24         648 SH          SOLE        2        648         --        --
JUNIPER NETWORKS INC            FIXED INCOME 48203RAC8      55          30 PRN        DEFINED      4         --         --        --
K V PHARMACEUTICAL CO-CL B      EQUITY       482740107       3         100 SH         DEFINED      4         --         --       100
KADANT INC                      EQUITY       48282T104     341      12,170 SH          SOLE        1     12,170         --        --
KADANT INC                      EQUITY       48282T104       5         196 SH         DEFINED      4         --         --       196
KAISER ALUMINUM CORP            EQUITY       483007704     928      13,155 SH          SOLE        1     13,155         --        --
KAISER ALUMINUM CORP            EQUITY       483007704      83       1,457 SH         DEFINED      4         --         --     1,457
KAMAN CORP                      EQUITY       483548103     840      24,304 SH          SOLE        1     24,304         --        --
KAMAN CORP                      EQUITY       483548103      18         719 SH         DEFINED      4         --         --       719
KANSAS CITY LIFE INS CO         EQUITY       484836101     178       4,044 SH          SOLE        1      4,044         --        --
KANSAS CITY SOUTHERN            EQUITY       485170302     573      17,824 SH          SOLE        1     17,824         --        --
KANSAS CITY SOUTHERN            EQUITY       485170302     112       3,485 SH         DEFINED      4         --         --     3,485
KAYDON CORP                     EQUITY       486587108    1465      28,187 SH          SOLE        1     28,187         --        --
KAYDON CORP                     EQUITY       486587108     600      12,571 SH         DEFINED      4         --         --    12,571
KAYNE ANDERSON ENERGY DEVELO    EQUITY       48660Q102     222       8,698 SH          SOLE        1      8,698         --        --
KAYNE ANDERSON MLP INVESTMEN    EQUITY       486606106     361      10,191 SH         DEFINED      4         --         --    10,191
KB HOME                         EQUITY       48666K109    9895     394,858 SH          SOLE        1    394,858         --        --
KB HOME                         EQUITY       48666K109      20         799 SH         DEFINED      4         --         --       799
KB HOME                         EQUITY       48666K109    1980      78,997 SH          SOLE        2     78,997         --        --
KBR INC                         EQUITY       48242W106   16363     422,055 SH          SOLE        1    422,055         --        --
KBR INC                         EQUITY       48242W106      53       1,379 SH         DEFINED      4         --         --     1,379
KBW INC                         EQUITY       482423100     734      25,506 SH          SOLE        1     25,506         --        --
KEARNY FINANCIAL CORP           EQUITY       487169104     238      18,621 SH          SOLE        1     18,621         --        --
KEARNY FINANCIAL CORP           EQUITY       487169104       5         400 SH         DEFINED      4         --         --       400
KEITHLEY INSTRUMENTS INC        EQUITY       487584104      19       1,779 SH          SOLE        1      1,779         --        --
KEITHLEY INSTRUMENTS INC        EQUITY       487584104      11         900 SH         DEFINED      4         --         --       900
KELLOGG CO                      EQUITY       487836108    9044     161,492 SH          SOLE        1    161,492         --        --
KELLOGG CO                      EQUITY       487836108    3598      64,246 SH         DEFINED      4         --         --    64,246
KELLOGG CO                      EQUITY       487836108    1520      27,135 SH          SOLE        2     27,135         --        --
KELLWOOD CO                     EQUITY       488044108     443      25,958 SH          SOLE        1     25,958         --        --
KELLY SERVICES INC -CL A        EQUITY       488152208    1552      78,326 SH          SOLE        1     78,326         --        --
KELLY SERVICES INC -CL A        EQUITY       488152208    2436      86,337 SH         DEFINED      4         --         --    86,337
KELLY SERVICES INC -CL B        EQUITY       488152307     180       9,022 SH         DEFINED      4         --         --     9,022
KEMET CORP                      EQUITY       488360108    2057     279,918 SH          SOLE        1    279,918         --        --
KENDLE INTERNATIONAL INC        EQUITY       48880L107     527      12,684 SH          SOLE        1     12,684         --        --
KENEXA CORP                     EQUITY       488879107     678      22,027 SH          SOLE        1     22,027         --        --
KENEXA CORP                     EQUITY       488879107       7         225 SH         DEFINED      4         --         --       225
KENNAMETAL INC                  EQUITY       489170100    8277      98,564 SH          SOLE        1     98,564         --        --
KENNAMETAL INC                  EQUITY       489170100     164       2,257 SH         DEFINED      4         --         --     2,257
KENNETH COLE PRODUCTIONS-A      EQUITY       193294105     167       8,645 SH          SOLE        1      8,645         --        --
KENSEY NASH CORP                EQUITY       490057106     310      11,877 SH          SOLE        1     11,877         --        --
KENSEY NASH CORP                EQUITY       490057106       4         165 SH         DEFINED      4         --         --       165
KENT FINANCIAL SVCS             EQUITY       490560208       2       1,000 SH         DEFINED      4         --         --     1,000
KERYX BIOPHARMACEUTICALS        EQUITY       492515101     378      38,031 SH          SOLE        1     38,031         --        --
KEYCORP                         EQUITY       493267108   19588     603,074 SH          SOLE        1    603,074         --        --
KEYCORP                         EQUITY       493267108    1936      52,960 SH         DEFINED      4         --         --    52,960
KEYCORP                         EQUITY       493267108      16         491 SH          SOLE        2        491         --        --
KEYNOTE SYSTEMS INC             EQUITY       493308100     187      13,649 SH          SOLE        1     13,649         --        --
KEYSTONE AUTOMOTIVE INDS INC    EQUITY       49338N109    2438      51,041 SH          SOLE        1     51,041         --        --
KEYSTONE AUTOMOTIVE INDS INC    EQUITY       49338N109       1          29 SH         DEFINED      4         --         --        29
K-FED BANCORP                   EQUITY       48246S101      56       4,249 SH          SOLE        1      4,249         --        --





                                                                                          
KFORCE INC                      EQUITY       493732101     362      28,172 SH          SOLE        1     28,172         --        --
KFORCE INC                      EQUITY       493732101      47       3,014 SH         DEFINED      4         --         --     3,014
KILROY REALTY CORP              EQUITY       49427F108    3723      61,413 SH          SOLE        1     61,413         --        --
KILROY REALTY CORP              EQUITY       49427F108      18         242 SH         DEFINED      4         --         --       242
KIMBALL INTERNATIONAL-B         EQUITY       494274103     262      23,000 SH          SOLE        1     23,000         --        --
KIMBERLY-CLARK CORP             EQUITY       494368103   12840     182,749 SH          SOLE        1    182,749         --        --
KIMBERLY-CLARK CORP             EQUITY       494368103    3942      55,116 SH         DEFINED      4         --         --    55,116
KIMBERLY-CLARK CORP             EQUITY       494368103    3236      46,058 SH          SOLE        2     46,058         --        --
KIMCO REALTY CORP               EQUITY       49446R109   15422     341,111 SH          SOLE        1    341,111         --        --
KIMCO REALTY CORP               EQUITY       49446R109    1196      24,686 SH         DEFINED      4         --         --    24,686
KIMCO REALTY CORP               EQUITY       49446R109      14         318 SH          SOLE        2        318         --        --
KINDER MORGAN ENERGY PRTNRS     EQUITY       494550106    3098      55,637 SH         DEFINED      4         --         --    55,637
KINDER MORGAN MANAGEMENT LLC    EQUITY       49455U100     129       2,380 SH         DEFINED      4         --         --     2,380
KINDRED HEALTHCARE INC          EQUITY       494580103    1886     105,287 SH          SOLE        1    105,287         --        --
KINETIC CONCEPTS INC            EQUITY       49460W208     107       1,908 SH          SOLE        1      1,908         --        --
KINETIC CONCEPTS INC            EQUITY       49460W208      74       1,310 SH         DEFINED      4         --         --     1,310
KING PHARMACEUTICALS INC        EQUITY       495582108    6698     571,479 SH          SOLE        1    571,479         --        --
KING PHARMACEUTICALS INC        EQUITY       495582108      87       7,439 SH         DEFINED      4         --         --     7,439
KING PHARMACEUTICALS INC        EQUITY       495582108       4         308 SH          SOLE        2        308         --        --
KINROSS GOLD CORP               EQUITY       496902404    6636     443,470 SH          OTHER       1         --    443,470        --
KINROSS GOLD CORP               EQUITY       496902404     799      57,593 SH         DEFINED      4         --         --    57,593
KIRBY CORP                      EQUITY       497266106    1137      25,748 SH          SOLE        1     25,748         --        --
KIRBY CORP                      EQUITY       497266106     265       5,997 SH         DEFINED      4         --         --     5,997
KKR FINANCIAL HOLDINGS LLC      EQUITY       48248A306       4         230 SH         DEFINED      4         --         --       230
KLA-TENCOR CORPORATION          EQUITY       482480100    5515      98,866 SH          SOLE        1     98,866         --        --
KLA-TENCOR CORPORATION          EQUITY       482480100     469       8,265 SH         DEFINED      4         --         --     8,265
KLA-TENCOR CORPORATION          EQUITY       482480100      14         244 SH          SOLE        2        244         --        --
KMG CHEMICALS INC               EQUITY       482564101      41       1,569 SH         DEFINED      4         --         --     1,569
KNBT BANCORP INC                EQUITY       482921103     397      23,993 SH          SOLE        1     23,993         --        --
KNBT BANCORP INC                EQUITY       482921103      37       2,445 SH         DEFINED      4         --         --     2,445
KNIGHT CAPITAL GROUP INC-A      EQUITY       499005106    1082      90,448 SH          SOLE        1     90,448         --        --
KNIGHT CAPITAL GROUP INC-A      EQUITY       499005106      19       1,583 SH         DEFINED      4         --         --     1,583
KNIGHT TRANSPORTATION INC       EQUITY       499064103     983      57,120 SH          SOLE        1     57,120         --        --
KNIGHT TRANSPORTATION INC       EQUITY       499064103       7         373 SH         DEFINED      4         --         --       373
KNIGHTSBRIDGE TANKERS LTD       EQUITY       G5299G106      93       3,472 SH         DEFINED      4         --         --     3,472
KNOLL INC                       EQUITY       498904200     768      43,289 SH          SOLE        1     43,289         --        --
KNOLL INC                       EQUITY       498904200      30       1,251 SH         DEFINED      4         --         --     1,251
KNOLOGY INC                     EQUITY       499183804     380      22,730 SH          SOLE        1     22,730         --        --
KNOT INC (THE)                  EQUITY       499184109     585      27,506 SH          SOLE        1     27,506         --        --
KNOT INC (THE)                  EQUITY       499184109       1          30 SH         DEFINED      4         --         --        30
KODIAK OIL & GAS CORP           EQUITY       50015Q100      12       2,000 SH         DEFINED      4         --         --     2,000
KOHLBERG CAPITAL CORP           EQUITY       500233101     187      12,424 SH          SOLE        1     12,424         --        --
KOHLS CORP                      EQUITY       500255104    7748     135,156 SH          SOLE        1    135,156         --        --
KOHLS CORP                      EQUITY       500255104    1739      30,329 SH         DEFINED      4         --         --    30,329
KOHLS CORP                      EQUITY       500255104   26148     456,101 SH          SOLE        2    456,101         --        --
KONA GRILL INC                  EQUITY       50047H201     978      55,100 SH          SOLE        3     55,100         --        --
KONA GRILL INC                  EQUITY       50047H201      19       1,000 SH         DEFINED      4         --         --     1,000
KONINKLIJKE AHOLD-SP ADR        EQUITY       500467402     883      58,871 SH         DEFINED      4         --         --    58,871
KONINKLIJKE KPN NV - SP ADR     EQUITY       780641205      38       2,160 SH         DEFINED      4         --         --     2,160
KOOKMIN BANK-SPON ADR           EQUITY       50049M109     198       2,237 SH         DEFINED      4         --         --     2,237
KOPIN CORP                      EQUITY       500600101      33       8,545 SH          SOLE        1      8,545         --        --
KOPIN CORP                      EQUITY       500600101       3         875 SH         DEFINED      4         --         --       875
KOPPERS HOLDINGS INC            EQUITY       50060P106     590      15,291 SH          SOLE        1     15,291         --        --
KOPPERS HOLDINGS INC            EQUITY       50060P106       4         110 SH         DEFINED      4         --         --       110
KOPPERS HOLDINGS INC            EQUITY       50060P106     444      11,500 SH          SOLE        2     11,500         --        --
KOREA ELEC POWER CORP-SP ADR    EQUITY       500631106     208       9,786 SH         DEFINED      4         --         --     9,786
KOREA FUND INC                  EQUITY       500634100     434       9,488 SH         DEFINED      4         --         --     9,488
KORN/FERRY INTERNATIONAL        EQUITY       500643200    2657     160,919 SH          SOLE        1    160,919         --        --
KORN/FERRY INTERNATIONAL        EQUITY       500643200      65       2,650 SH         DEFINED      4         --         --     2,650
KOSAN BIOSCIENCES INC           EQUITY       50064W107     185      37,001 SH          SOLE        1     37,001         --        --
KOSAN BIOSCIENCES INC           EQUITY       50064W107      17       2,825 SH         DEFINED      4         --         --     2,825
KRAFT FOODS INC-CLASS A         EQUITY       50075N104   32352     937,481 SH          SOLE        1    937,481         --        --
KRAFT FOODS INC-CLASS A         EQUITY       50075N104    7182     208,120 SH         DEFINED      4         --         --   208,120
KRAFT FOODS INC-CLASS A         EQUITY       50075N104   20226     586,087 SH          SOLE        2    586,087         --        --
KRISPY KREME DOUGHNUTS INC      EQUITY       501014104     225      56,228 SH          SOLE        1     56,228         --        --
KRISPY KREME DOUGHNUTS INC      EQUITY       501014104      49      12,193 SH         DEFINED      4         --         --    12,193
KROGER CO                       EQUITY       501044101   14404     504,971 SH          SOLE        1    504,971         --        --
KROGER CO                       EQUITY       501044101    1066      35,990 SH         DEFINED      4         --         --    35,990
KROGER CO                       EQUITY       501044101     259       9,092 SH          SOLE        2      9,092         --        --
KRONOS WORLDWIDE INC            EQUITY       50105F105      39       2,078 SH          SOLE        1      2,078         --        --
KRONOS WORLDWIDE INC            EQUITY       50105F105       7         208 SH         DEFINED      4         --         --       208
K-SEA TRANSPORTATION PARTNER    EQUITY       48268Y101      51       1,300 SH         DEFINED      4         --         --     1,300
KSW INC                         EQUITY       48268R106       1         174 SH         DEFINED      4         --         --       174





                                                                                          
K-SWISS INC  -CL A              EQUITY       482686102     592      25,846 SH          SOLE        1     25,846         --        --
KT CORP-SP ADR                  EQUITY       48268K101     506      21,514 SH         DEFINED      4         --         --    21,514
KUBOTA CORP-SPONS ADR           EQUITY       501173207     125       2,658 SH         DEFINED      4         --         --     2,658
KULICKE & SOFFA INDUSTRIES      EQUITY       501242101     482      56,865 SH          SOLE        1     56,865         --        --
KULICKE & SOFFA INDUSTRIES      EQUITY       501242101      65       6,542 SH         DEFINED      4         --         --     6,542
KV PHARMACEUTICAL CO-CL A       EQUITY       482740206    2806      98,109 SH          SOLE        1     98,109         --        --
KV PHARMACEUTICAL CO-CL A       EQUITY       482740206      13         492 SH         DEFINED      4         --         --       492
KVH INDUSTRIES INC              EQUITY       482738101      21       2,200 SH         DEFINED      4         --         --     2,200
KYOCERA CORP -SPONS ADR         EQUITY       501556203      19         200 SH         DEFINED      4         --         --       200
KYPHON INC                      EQUITY       501577100   10702     152,887 SH          SOLE        1    152,887         --        --
KYPHON INC                      EQUITY       501577100     256       3,661 SH         DEFINED      4         --         --     3,661
KYPHON INC                      EQUITY       501577100     805      11,500 SH          SOLE        2     11,500         --        --
L N B BANCORP INC               EQUITY       502100100       9         625 SH         DEFINED      4         --         --       625
L-1 IDENTITY SOLUTIONS INC      EQUITY       50212A106     972      51,588 SH          SOLE        1     51,588         --        --
L-1 IDENTITY SOLUTIONS INC      EQUITY       50212A106     219      10,807 SH         DEFINED      4         --         --    10,807
L-3 COMMUNICATIONS CORP         FIXED INCOME 502413AW7       5           4 PRN        DEFINED      4         --         --        --
L-3 COMMUNICATIONS HOLDINGS     EQUITY       502424104    5914      57,905 SH          SOLE        1     57,905         --        --
L-3 COMMUNICATIONS HOLDINGS     EQUITY       502424104    2696      28,745 SH         DEFINED      4         --         --    28,745
L-3 COMMUNICATIONS HOLDINGS     EQUITY       502424104    4878      47,759 SH          SOLE        2     47,759         --        --
LA JOLLA PHARMACEUTICAL CO      EQUITY       503459307       1         150 SH         DEFINED      4         --         --       150
LABARGE INC                     EQUITY       502470107      20       1,675 SH         DEFINED      4         --         --     1,675
LABOR READY INC                 EQUITY       505401208     857      46,298 SH          SOLE        1     46,298         --        --
LABOR READY INC                 EQUITY       505401208      76       4,096 SH         DEFINED      4         --         --     4,096
LABORATORY CRP OF AMER HLDGS    EQUITY       50540R409    4101      52,416 SH          SOLE        1     52,416         --        --
LABORATORY CRP OF AMER HLDGS    EQUITY       50540R409     848      10,731 SH         DEFINED      4         --         --    10,731
LABORATORY CRP OF AMER HLDGS    EQUITY       50540R409      12         148 SH          SOLE        2        148         --        --
LABRANCHE & CO INC              EQUITY       505447102     248      53,058 SH          SOLE        1     53,058         --        --
LACLEDE GROUP INC/THE           EQUITY       505597104     694      21,510 SH          SOLE        1     21,510         --        --
LACLEDE GROUP INC/THE           EQUITY       505597104     219       6,856 SH         DEFINED      4         --         --     6,856
LADENBURG THALMANN FINANCIAL    EQUITY       50575Q102     167      85,186 SH          SOLE        1     85,186         --        --
LADENBURG THALMANN FINANCIAL    EQUITY       50575Q102      43      15,817 SH         DEFINED      4         --         --    15,817
LADISH CO INC                   EQUITY       505754200     701      12,644 SH          SOLE        1     12,644         --        --
LADISH CO INC                   EQUITY       505754200       2          50 SH         DEFINED      4         --         --        50
LAIDLAW INTERNATIONAL           EQUITY       50730R102   29989     851,469 SH          SOLE        1    851,469         --        --
LAKE SHORE BANCORP INC          EQUITY       510700107      71       5,702 SH         DEFINED      4         --         --     5,702
LAKELAND BANCORP INC            EQUITY       511637100     226      16,614 SH          SOLE        1     16,614         --        --
LAKELAND FINANCIAL CORP         EQUITY       511656100     245      10,601 SH          SOLE        1     10,601         --        --
LAKELAND FINANCIAL CORP         EQUITY       511656100     104       4,516 SH         DEFINED      4         --         --     4,516
LAKES ENTERTAINMENT INC         EQUITY       51206P109     148      15,494 SH          SOLE        1     15,494         --        --
LAKES ENTERTAINMENT INC         EQUITY       51206P109      96       8,133 SH         DEFINED      4         --         --     8,133
LAM RESEARCH CORP               EQUITY       512807108   18209     341,884 SH          SOLE        1    341,884         --        --
LAMAR ADVERTISING CO-CL A       EQUITY       512815101     274       5,594 SH          SOLE        1      5,594         --        --
LAMAR ADVERTISING CO-CL A       EQUITY       512815101      37         747 SH         DEFINED      4         --         --       747
LAMSON & SESSIONS CO            EQUITY       513696104     333      12,364 SH          SOLE        1     12,364         --        --
LAN AIRLINES SA-SPON ADR        EQUITY       501723100     144       1,845 SH         DEFINED      4         --         --     1,845
LANCASTER COLONY CORP           EQUITY       513847103    2808      73,574 SH          SOLE        1     73,574         --        --
LANCASTER COLONY CORP           EQUITY       513847103      37         848 SH         DEFINED      4         --         --       848
LANCE INC                       EQUITY       514606102     712      30,932 SH          SOLE        1     30,932         --        --
LANCE INC                       EQUITY       514606102      14         600 SH         DEFINED      4         --         --       600
LANDAMERICA FINANCIAL GROUP     EQUITY       514936103     664      17,024 SH          SOLE        1     17,024         --        --
LANDAMERICA FINANCIAL GROUP     EQUITY       514936103      13         156 SH         DEFINED      4         --         --       156
LANDAUER INC                    EQUITY       51476K103     407       7,993 SH          SOLE        1      7,993         --        --
LANDAUER INC                    EQUITY       51476K103    1021      20,032 SH         DEFINED      4         --         --    20,032
LANDEC CORP                     EQUITY       514766104     292      18,893 SH          SOLE        1     18,893         --        --
LANDEC CORP                     EQUITY       514766104       5         400 SH         DEFINED      4         --         --       400
LANDRY'S RESTAURANTS INC        EQUITY       51508L103     438      16,563 SH          SOLE        1     16,563         --        --
LANDRY'S RESTAURANTS INC        EQUITY       51508L103      13         418 SH         DEFINED      4         --         --       418
LANDSTAR SYSTEM INC             EQUITY       515098101    2045      48,715 SH          SOLE        1     48,715         --        --
LANDSTAR SYSTEM INC             EQUITY       515098101     556      11,120 SH         DEFINED      4         --         --    11,120
LANOPTICS LTD                   EQUITY       M6706C103      63       3,800 SH         DEFINED      4         --         --     3,800
LAPOLLA INDUSTRIES INC          EQUITY       516648102      20      40,888 SH         DEFINED      4         --         --    40,888
LAS VEGAS SANDS CORP            EQUITY       517834107     211       2,632 SH         DEFINED      4         --         --     2,632
LAS VEGAS SANDS CORP            EQUITY       517834107    1494      11,200 SH          SOLE        2     11,200         --        --
LASALLE HOTEL PROPERTIES        EQUITY       517942108    1470      34,935 SH          SOLE        1     34,935         --        --
LASALLE HOTEL PROPERTIES        EQUITY       517942108     123       2,607 SH         DEFINED      4         --         --     2,607
LASERCARD CORP                  EQUITY       51807U101       8         628 SH         DEFINED      4         --         --       628
LATIN AMERICAN DISCOVERY FD     EQUITY       51828C106      21         660 SH         DEFINED      4         --         --       660
LATTICE SEMICONDUCTOR CORP      EQUITY       518415104    1720     383,019 SH          SOLE        1    383,019         --        --
LATTICE SEMICONDUCTOR CORP      EQUITY       518415104      47       8,835 SH         DEFINED      4         --         --     8,835
LAWSON PRODUCTS INC             EQUITY       520776105     145       4,165 SH          SOLE        1      4,165         --        --
LAWSON SOFTWARE INC             EQUITY       52078P102    2154     215,200 SH          SOLE        3    163,000         --    52,200
LAWSON SOFTWARE INC             EQUITY       52078P102    2243     224,047 SH          SOLE        1    224,047         --        --
LAWSON SOFTWARE INC             EQUITY       52078P102      80       9,000 SH         DEFINED      4         --         --     9,000





                                                                                          
LAYNE CHRISTENSEN COMPANY       EQUITY       521050104     671      12,091 SH          SOLE        1     12,091         --        --
LAYNE CHRISTENSEN COMPANY       EQUITY       521050104      28         728 SH         DEFINED      4         --         --       728
LAZARD GLOBAL TOT RT & INC      EQUITY       52106W103      89       3,909 SH         DEFINED      4         --         --     3,909
LAZARD LTD-CL A                 EQUITY       G54050102     131       2,426 SH         DEFINED      4         --         --     2,426
LAZARD WORLD DIVIDEND & INCO    EQUITY       521076109      43       1,920 SH         DEFINED      4         --         --     1,920
LA-Z-BOY INC                    EQUITY       505336107     379      51,356 SH          SOLE        1     51,356         --        --
LA-Z-BOY INC                    EQUITY       505336107      12       1,009 SH         DEFINED      4         --         --     1,009
LCA-VISION INC                  EQUITY       501803308     589      20,024 SH          SOLE        1     20,024         --        --
LCA-VISION INC                  EQUITY       501803308      37       1,244 SH         DEFINED      4         --         --     1,244
LEADING BRANDS INC              EQUITY       52170U108       1         300 SH         DEFINED      4         --         --       300
LEAP WIRELESS INTL INC          EQUITY       521863308     111       1,362 SH          SOLE        1      1,362         --        --
LEAP WIRELESS INTL INC          EQUITY       521863308       2          25 SH         DEFINED      4         --         --        25
LEAPFROG ENTERPRISES INC        EQUITY       52186N106     247      29,952 SH          SOLE        1     29,952         --        --
LEAPFROG ENTERPRISES INC        EQUITY       52186N106      16       1,530 SH         DEFINED      4         --         --     1,530
LEAR CORP                       EQUITY       521865105    8249     256,988 SH          SOLE        1    256,988         --        --
LECG CORP                       EQUITY       523234102     329      22,061 SH          SOLE        1     22,061         --        --
LEE ENTERPRISES                 EQUITY       523768109    2152     138,245 SH          SOLE        1    138,245         --        --
LEE ENTERPRISES                 EQUITY       523768109      51       3,280 SH         DEFINED      4         --         --     3,280
LEGACY RESERVES LP              EQUITY       524707304       3         100 SH         DEFINED      4         --         --       100
LEGG MASON INC                  EQUITY       524901105   10989     130,371 SH          SOLE        1    130,371         --        --
LEGG MASON INC                  EQUITY       524901105     126       1,489 SH         DEFINED      4         --         --     1,489
LEGG MASON INC                  EQUITY       524901105      14         167 SH          SOLE        2        167         --        --
LEGGETT & PLATT INC             EQUITY       524660107    7059     368,417 SH          SOLE        1    368,417         --        --
LEGGETT & PLATT INC             EQUITY       524660107     199      10,404 SH         DEFINED      4         --         --    10,404
LEGGETT & PLATT INC             EQUITY       524660107       4         220 SH          SOLE        2        220         --        --
LEHMAN BROTHERS HOLDINGS INC    EQUITY       524908100   19375     313,862 SH          SOLE        1    313,862         --        --
LEHMAN BROTHERS HOLDINGS INC    EQUITY       524908100    2826      36,774 SH         DEFINED      4         --         --    36,774
LEHMAN BROTHERS HOLDINGS INC    EQUITY       524908100      41         669 SH          SOLE        2        669         --        --
LEHMAN BROTHERS-CW08            EQUITY       52520W721    1390     324,700 SH         DEFINED      4         --         --   324,700
LENNAR CORP-CL A                EQUITY       526057104    2644     116,714 SH          SOLE        1    116,714         --        --
LENNAR CORP-CL A                EQUITY       526057104      93       2,154 SH         DEFINED      4         --         --     2,154
LENNAR CORP-CL A                EQUITY       526057104       4         176 SH          SOLE        2        176         --        --
LENNOX INTERNATIONAL INC        EQUITY       526107107     312       9,225 SH          SOLE        1      9,225         --        --
LENOX GROUP INC                 EQUITY       526262100       1         150 SH         DEFINED      4         --         --       150
LEUCADIA NATIONAL CORP          EQUITY       527288104    3655      75,791 SH          SOLE        1     75,791         --        --
LEUCADIA NATIONAL CORP          EQUITY       527288104     746      22,562 SH         DEFINED      4         --         --    22,562
LEUCADIA NATIONAL CORP          EQUITY       527288104      10         208 SH          SOLE        2        208         --        --
LEVEL 3 COMMUNICATIONS          FIXED INCOME 52729NAS9      10          10 PRN        DEFINED      4         --         --        --
LEVEL 3 COMMUNICATIONS INC      EQUITY       52729N100     491     105,591 SH          SOLE        1    105,591         --        --
LEVEL 3 COMMUNICATIONS INC      EQUITY       52729N100     393      70,960 SH         DEFINED      4         --         --    70,960
LEVITT CORP-CLASS A             EQUITY       52742P108       2         228 SH         DEFINED      4         --         --       228
LEXICON PHARMACEUTICALS INC     EQUITY       528872104      28       7,800 SH         DEFINED      4         --         --     7,800
LEXINGTON REALTY TRUST          EQUITY       529043101    1314      65,688 SH          SOLE        1     65,688         --        --
LEXINGTON REALTY TRUST          EQUITY       529043101     309      14,666 SH         DEFINED      4         --         --    14,666
LEXMARK INTERNATIONAL INC-A     EQUITY       529771107    1885      45,387 SH          SOLE        1     45,387         --        --
LEXMARK INTERNATIONAL INC-A     EQUITY       529771107      89       2,132 SH         DEFINED      4         --         --     2,132
LEXMARK INTERNATIONAL INC-A     EQUITY       529771107       5         119 SH          SOLE        2        119         --        --
LG.PHILIPS LCD CO LTD-ADR       EQUITY       50186V102      13         600 SH         DEFINED      4         --         --       600
LHC GROUP INC                   EQUITY       50187A107     310      14,429 SH          SOLE        1     14,429         --        --
LHC GROUP INC                   EQUITY       50187A107      23       1,086 SH         DEFINED      4         --         --     1,086
LIBBEY INC                      EQUITY       529898108     251      14,350 SH          SOLE        1     14,350         --        --
LIBBEY INC                      EQUITY       529898108      24       1,371 SH         DEFINED      4         --         --     1,371
LIBERTY ALL STAR EQUITY FUND    EQUITY       530158104     396      48,185 SH         DEFINED      4         --         --    48,185
LIBERTY ALL-STAR GROWTH FD      EQUITY       529900102     142      24,754 SH         DEFINED      4         --         --    24,754
LIBERTY GLOBAL INC-A            EQUITY       530555101     831      20,258 SH          SOLE        1     20,258         --        --
LIBERTY GLOBAL INC-A            EQUITY       530555101     102       2,715 SH         DEFINED      4         --         --     2,715
LIBERTY GLOBAL INC-SERIES C     EQUITY       530555309     241       6,875 SH         DEFINED      4         --         --     6,875
LIBERTY MEDIA CORP-CAP SER A    EQUITY       53071M302     607       4,860 SH          SOLE        1      4,860         --        --
LIBERTY MEDIA CORP-CAP SER A    EQUITY       53071M302     350       2,951 SH         DEFINED      4         --         --     2,951
LIBERTY MEDIA LLC               FIXED INCOME 530715AR2       1           1 PRN        DEFINED      4         --         --        --
LIBERTY MEDIA LLC               FIXED INCOME 530715AN1       1           1 PRN        DEFINED      4         --         --        --
LIBERTY MEDIA LLC               FIXED INCOME 530718AF2       3           3 PRN        DEFINED      4         --         --        --
LIBERTY MEDIA-INTERACTIVE A     EQUITY       53071M104     893      46,509 SH          SOLE        1     46,509         --        --
LIBERTY MEDIA-INTERACTIVE A     EQUITY       53071M104     352      13,836 SH         DEFINED      4         --         --    13,836
LIBERTY PROPERTY TRUST          EQUITY       531172104    9164     227,903 SH          SOLE        1    227,903         --        --
LIBERTY PROPERTY TRUST          EQUITY       531172104     877      18,316 SH         DEFINED      4         --         --    18,316
LIFE TIME FITNESS INC           EQUITY       53217R207    6492     105,844 SH          SOLE        1    105,844         --        --
LIFE TIME FITNESS INC           EQUITY       53217R207     597      11,845 SH         DEFINED      4         --         --    11,845
LIFE TIME FITNESS INC           EQUITY       53217R207     681      11,100 SH          SOLE        2     11,100         --        --
LIFECELL CORPORATION            EQUITY       531927101    1253      33,353 SH          SOLE        1     33,353         --        --
LIFECELL CORPORATION            EQUITY       531927101     226       7,540 SH         DEFINED      4         --         --     7,540
LIFECORE BIOMEDICAL INC         EQUITY       532187101      22       1,672 SH         DEFINED      4         --         --     1,672
LIFEPOINT HOSPITALS INC         EQUITY       53219L109    4374     145,761 SH          SOLE        1    145,761         --        --





                                                                                          
LIFEPOINT HOSPITALS INC         EQUITY       53219L109      27         911 SH         DEFINED      4         --         --       911
LIFETIME BRANDS INC             EQUITY       53222Q103     192       9,470 SH          SOLE        1      9,470         --        --
LIFETIME BRANDS INC             EQUITY       53222Q103       2         100 SH         DEFINED      4         --         --       100
LIFEWAY FOODS INC               EQUITY       531914109     236      25,825 SH         DEFINED      4         --         --    25,825
LIGAND PHARMACEUTICALS-CL B     EQUITY       53220K207     420      78,682 SH          SOLE        1     78,682         --        --
LIGAND PHARMACEUTICALS-CL B     EQUITY       53220K207       6         850 SH         DEFINED      4         --         --       850
LIMCO-PIEDMONT INC              EQUITY       53261T109    1673     126,100 SH          SOLE        3    126,100         --        --
LIMITED BRANDS INC              EQUITY       532716107    3351     146,385 SH          SOLE        1    146,385         --        --
LIMITED BRANDS INC              EQUITY       532716107    1300      45,880 SH         DEFINED      4         --         --    45,880
LIMITED BRANDS INC              EQUITY       532716107    4660     203,602 SH          SOLE        2    203,602         --        --
LIN TV CORP-CL A                EQUITY       532774106     310      23,825 SH          SOLE        1     23,825         --        --
LIN TV CORP-CL A                EQUITY       532774106       5         331 SH         DEFINED      4         --         --       331
LINCARE HOLDINGS                FIXED INCOME 532791AB6       1           1 PRN        DEFINED      4         --         --        --
LINCARE HOLDINGS INC            EQUITY       532791100    7761     211,748 SH          SOLE        1    211,748         --        --
LINCOLN EDUCATIONAL SERVICES    EQUITY       533535100      53       4,060 SH          SOLE        1      4,060         --        --
LINCOLN ELECTRIC HOLDINGS       EQUITY       533900106    8307     107,034 SH          SOLE        1    107,034         --        --
LINCOLN ELECTRIC HOLDINGS       EQUITY       533900106     285       4,176 SH         DEFINED      4         --         --     4,176
LINCOLN NATIONAL CORP           EQUITY       534187109   28148     427,447 SH          SOLE        1    427,447         --        --
LINCOLN NATIONAL CORP           EQUITY       534187109    5877      89,080 SH         DEFINED      4         --         --    89,080
LINCOLN NATIONAL CORP           EQUITY       534187109      22         341 SH          SOLE        2        341         --        --
LINDSAY CORP                    EQUITY       535555106     509      11,622 SH          SOLE        1     11,622         --        --
LINDSAY CORP                    EQUITY       535555106      24         550 SH         DEFINED      4         --         --       550
LINEAR TECHNOLOGY CORP          EQUITY       535678106    3997     114,221 SH          SOLE        1    114,221         --        --
LINEAR TECHNOLOGY CORP          EQUITY       535678106     154       4,053 SH         DEFINED      4         --         --     4,053
LINEAR TECHNOLOGY CORP          EQUITY       535678106      10         280 SH          SOLE        2        280         --        --
LINN ENERGY LLC-UNITS           EQUITY       536020100      45       1,422 SH         DEFINED      4         --         --     1,422
LIONBRIDGE TECHNOLOGIES INC     EQUITY       536252109     210      52,634 SH          SOLE        1     52,634         --        --
LIONS GATE ENTERTAINMENT COR    EQUITY       535919203      17       1,450 SH         DEFINED      4         --         --     1,450
LIQUIDITY SERVICES INC          EQUITY       53635B107     101       9,214 SH          SOLE        1      9,214         --        --
LITHIA MOTORS INC-CL A          EQUITY       536797103     270      15,817 SH          SOLE        1     15,817         --        --
LITTELFUSE INC                  EQUITY       537008104     792      22,189 SH          SOLE        1     22,189         --        --
LIVE NATION INC                 EQUITY       538034109    1389      65,367 SH          SOLE        1     65,367         --        --
LIVE NATION INC                 EQUITY       538034109      13         637 SH         DEFINED      4         --         --       637
LIVE NATION INC                 EQUITY       538034109     387      18,200 SH          SOLE        2     18,200         --        --
LIVEPERSON INC                  EQUITY       538146101     197      31,936 SH          SOLE        1     31,936         --        --
LIZ CLAIBORNE INC               EQUITY       539320101    1660      48,347 SH          SOLE        1     48,347         --        --
LIZ CLAIBORNE INC               EQUITY       539320101      89       2,600 SH         DEFINED      4         --         --     2,600
LIZ CLAIBORNE INC               EQUITY       539320101       4         129 SH          SOLE        2        129         --        --
LKQ CORP                        EQUITY       501889208    1613      46,350 SH          SOLE        1     46,350         --        --
LKQ CORP                        EQUITY       501889208     136       5,841 SH         DEFINED      4         --         --     5,841
LL&E ROYALTY TRUST              EQUITY       502003106       1         310 SH         DEFINED      4         --         --       310
LLOYDS TSB GROUP PLC -SP ADR    EQUITY       539439109    1705      36,127 SH         DEFINED      4         --         --    36,127
LML PAYMENT SYSTEMS INC         EQUITY       50208P109       2         565 SH         DEFINED      4         --         --       565
LMP CAPITAL AND INCOME FUND     EQUITY       50208A102      57       2,842 SH         DEFINED      4         --         --     2,842
LMP CORPORATE LOAN FUND INC     EQUITY       50208B100      19       1,305 SH         DEFINED      4         --         --     1,305
LMP REAL ESTATE INCOME FUND     EQUITY       50208C108      79       3,292 SH         DEFINED      4         --         --     3,292
LOCAL.COM CORP                  EQUITY       53954R105       2         560 SH         DEFINED      4         --         --       560
LOCKHEED MARTIN CORP            EQUITY       539830109   19310     177,988 SH          SOLE        1    177,988         --        --
LOCKHEED MARTIN CORP            EQUITY       539830109    6052      61,707 SH         DEFINED      4         --         --    61,707
LOCKHEED MARTIN CORP            EQUITY       539830109     340       3,138 SH          SOLE        2      3,138         --        --
LOCKHEED MARTIN CORP            FIXED INCOME 539830AP4      44          32 PRN        DEFINED      4         --         --        --
LODGENET ENTERTAINMENT CORP     EQUITY       540211109     501      19,765 SH          SOLE        1     19,765         --        --
LODGENET ENTERTAINMENT CORP     EQUITY       540211109      92       3,638 SH         DEFINED      4         --         --     3,638
LODGIAN INC                     EQUITY       54021P403     194      16,431 SH          SOLE        1     16,431         --        --
LOEWS CORP                      EQUITY       540424108   10688     221,257 SH          SOLE        1    221,257         --        --




                                                                                          
LOEWS CORP                      EQUITY       540424108    1540      31,835 SH         DEFINED      4         --         --    31,835
LOEWS CORP                      EQUITY       540424108      27         561 SH          SOLE        2        561         --        --
LOEWS CORP - CAROLINA GROUP     EQUITY       540424207     214       2,598 SH          SOLE        1      2,598         --        --
LOEWS CORP - CAROLINA GROUP     EQUITY       540424207      35         424 SH         DEFINED      4         --         --       424
LOGITECH INTERNATIONAL-REG      EQUITY       H50430232     434      16,257 SH         DEFINED      4         --         --    16,257
LOJACK CORPORATION              EQUITY       539451104    1719      90,645 SH          SOLE        1     90,645         --        --
LOJACK CORPORATION              EQUITY       539451104       5         270 SH         DEFINED      4         --         --       270
LONGS DRUG STORES CORP          EQUITY       543162101    1624      32,688 SH          SOLE        1     32,688         --        --
LONGS DRUG STORES CORP          EQUITY       543162101      47         845 SH         DEFINED      4         --         --       845
LOOKSMART LTD                   EQUITY       543442503       1         320 SH         DEFINED      4         --         --       320
LOOPNET INC                     EQUITY       543524300    1401      68,198 SH          SOLE        1     68,198         --        --
LOOPNET INC                     EQUITY       543524300       7         360 SH         DEFINED      4         --         --       360
LORAL SPACE & COMMUNICATIONS    EQUITY       543881106    8127     204,465 SH          SOLE        1    204,465         --        --
LOUISIANA-PACIFIC CORP          EQUITY       546347105    4429     261,001 SH          SOLE        1    261,001         --        --
LOUISIANA-PACIFIC CORP          EQUITY       546347105     269      15,862 SH         DEFINED      4         --         --    15,862
LOUISIANA-PACIFIC CORP          EQUITY       546347105    4646     273,800 SH          SOLE        2    273,800         --        --
LOWE'S COS INC                  EQUITY       548661107   18142     647,464 SH          SOLE        1    647,464         --        --
LSB INDUSTRIES INC              EQUITY       502160104     305      12,908 SH          SOLE        1     12,908         --        --
LSB INDUSTRIES INC              EQUITY       502160104      24       1,004 SH         DEFINED      4         --         --     1,004
LSI CORP                        EQUITY       502161102    2421     326,233 SH          SOLE        1    326,233         --        --
LSI CORP                        EQUITY       502161102     780      92,293 SH         DEFINED      4         --         --    92,293
LSI CORP                        EQUITY       502161102       7         903 SH          SOLE        2        903         --        --
LSI CORP                        FIXED INCOME 502161AJ1       1           1 PRN        DEFINED      4         --         --        --
LSI INDUSTRIES INC              EQUITY       50216C108     328      15,965 SH          SOLE        1     15,965         --        --
LSI INDUSTRIES INC              EQUITY       50216C108      43       2,817 SH         DEFINED      4         --         --     2,817
LTC PROPERTIES INC              EQUITY       502175102     548      23,165 SH          SOLE        1     23,165         --        --
LTC PROPERTIES INC              EQUITY       502175102      13         520 SH         DEFINED      4         --         --       520
LTX CORP                        EQUITY       502392103     193      54,034 SH          SOLE        1     54,034         --        --
LTX CORP                        EQUITY       502392103       1         150 SH         DEFINED      4         --         --        --
LUBRIZOL CORP                   EQUITY       549271104   11214     172,357 SH          SOLE        1    172,357         --        --
LUBRIZOL CORP                   EQUITY       549271104     458       7,038 SH         DEFINED      4         --         --     7,038
LUBY'S INC                      EQUITY       549282101      13       1,189 SH         DEFINED      4         --         --     1,189
LUCENT TECHNOLOGIES             FIXED INCOME 549463AG2       4           4 PRN        DEFINED      4         --         --        --
LUFKIN INDUSTRIES INC           EQUITY       549764108     825      14,994 SH          SOLE        1     14,994         --        --
LUFKIN INDUSTRIES INC           EQUITY       549764108      52         950 SH         DEFINED      4         --         --       950
LUMERA CORP                     EQUITY       55024R106      37       8,350 SH         DEFINED      4         --         --     8,350
LUMINENT MORTGAGE CAPITAL IN    EQUITY       550278303      68      40,649 SH          SOLE        1     40,649         --        --
LUMINENT MORTGAGE CAPITAL IN    EQUITY       550278303     151      18,120 SH         DEFINED      4         --         --    18,120
LUMINEX CORP                    EQUITY       55027E102     470      31,162 SH          SOLE        1     31,162         --        --
LUMINEX CORP                    EQUITY       55027E102       6         400 SH         DEFINED      4         --         --       400
LUNDIN MINING CORP              EQUITY       550372106    1548     121,400 SH          OTHER       1         --    121,400        --
LUNDIN MINING CORP              EQUITY       550372106      69       5,387 SH         DEFINED      4         --         --     5,387
LUXOTTICA GROUP SPA-SPON ADR    EQUITY       55068R202     341       9,945 SH         DEFINED      4         --         --     9,945
LYDALL INC                      EQUITY       550819106      19       2,073 SH          SOLE        1      2,073         --        --
LYONDELL CHEMICAL COMPANY       EQUITY       552078107   34724     749,166 SH          SOLE        1    749,166         --        --
LYONDELL CHEMICAL COMPANY       EQUITY       552078107     365      10,848 SH         DEFINED      4         --         --    10,848
M & F WORLDWIDE CORP            EQUITY       552541104     531      10,575 SH          SOLE        1     10,575         --        --
M & F WORLDWIDE CORP            EQUITY       552541104       9         180 SH         DEFINED      4         --         --       180
M & T BANK CORP                 EQUITY       55261F104    4327      41,830 SH          SOLE        1     41,830         --        --
M & T BANK CORP                 EQUITY       55261F104    1521  13403.0564 SH         DEFINED      4         --         --        --
M & T BANK CORP                 EQUITY       55261F104      10          95 SH          SOLE        2         95         --        --
M/I HOMES INC                   EQUITY       55305B101     167      12,045 SH          SOLE        1     12,045         --        --
M/I HOMES INC                   EQUITY       55305B101       1          50 SH         DEFINED      4         --         --        50
MACATAWA BANK CORP              EQUITY       554225102     182      13,465 SH          SOLE        1     13,465         --        --





                                                                                          
MACATAWA BANK CORP              EQUITY       554225102     106       6,497 SH         DEFINED      4         --         --     6,497
MACERICH CO/THE                 EQUITY       554382101   11321     129,268 SH          SOLE        1    129,268         --        --
MACERICH CO/THE                 EQUITY       554382101     745       7,912 SH         DEFINED      4         --         --     7,912
MACK-CALI REALTY CORP           EQUITY       554489104     536      13,043 SH         DEFINED      4         --         --    13,043
MACQUARIE/FT GL INT/UT DV IN    EQUITY       55607W100     141       5,326 SH         DEFINED      4         --         --     5,326
MACROVISION CORP                EQUITY       555904101    4475     181,689 SH          SOLE        1    181,689         --        --
MACY'S INC                      EQUITY       55616P104   15078     466,467 SH          SOLE        1    466,467         --        --
MACY'S INC                      EQUITY       55616P104     254       7,847 SH          SOLE        2      7,847         --        --
MAD CATZ INTERACTIVE INC        EQUITY       556162105       1       1,500 SH         DEFINED      4         --         --     1,500
MADISON STRATEGIC SECTR PREM    EQUITY       558268108     147       7,185 SH         DEFINED      4         --         --     7,185
MADISON/CLAYMORE COVERED CAL    EQUITY       556582104      16       1,048 SH         DEFINED      4         --         --     1,048
MAGAL SECURITY SYS LTD          EQUITY       M6786D104     299      27,176 SH         DEFINED      4         --         --    27,176
MAGELLAN HEALTH SERVICES INC    EQUITY       559079207    1382      34,057 SH          SOLE        1     34,057         --        --
MAGELLAN HEALTH SERVICES INC    EQUITY       559079207       5         117 SH         DEFINED      4         --         --       117
MAGELLAN HEALTH SERVICES INC    EQUITY       559079207    6481     159,700 SH          SOLE        2    159,700         --        --
MAGELLAN MIDSTREAM HOLDINGS     EQUITY       55907R108    1837      69,600 SH          SOLE        1     69,600         --        --
MAGELLAN MIDSTREAM PARTNERS     EQUITY       559080106     200       4,994 SH         DEFINED      4         --         --     4,994
MAGMA DESIGN AUTOMATION INC     EQUITY       559181102     473      33,647 SH          SOLE        1     33,647         --        --
MAGNA ENTERTAINMENT -CL A       EQUITY       559211107      80      35,462 SH          SOLE        1     35,462         --        --
MAGNA ENTERTAINMENT -CL A       EQUITY       559211107       7       2,500 SH         DEFINED      4         --         --     2,500
MAGNA INTERNATIONAL INC-CL A    EQUITY       559222401     205       2,207 SH          OTHER       1         --      2,207        --
MAGNA INTERNATIONAL INC-CL A    EQUITY       559222401     245       2,534 SH         DEFINED      4         --         --     2,534
MAGNETEK INC                    EQUITY       559424106      18       3,800 SH          SOLE        1      3,800         --        --
MAGUIRE PROPERTIES INC          EQUITY       559775101       7         200 SH         DEFINED      4         --         --       200
MAGYAR TELEKOM TELE-SPON ADR    EQUITY       559776109      24         830 SH         DEFINED      4         --         --       830
MAIDENFORM BRANDS INC           EQUITY       560305104     358      22,515 SH          SOLE        1     22,515         --        --
MAIDENFORM BRANDS INC           EQUITY       560305104       2         146 SH         DEFINED      4         --         --       146
MAINSOURCE FINANCIAL GROUP I    EQUITY       56062Y102     289      16,366 SH          SOLE        1     16,366         --        --
MAINSOURCE FINANCIAL GROUP I    EQUITY       56062Y102      32       1,914 SH         DEFINED      4         --         --     1,914
MAIR HOLDINGS INC               EQUITY       560635104       5         740 SH         DEFINED      4         --         --       740
MANAGED HI YLD PLUS FUND INC    EQUITY       561911108      31       6,092 SH         DEFINED      4         --         --     6,092
MANHATTAN ASSOCIATES INC        EQUITY       562750109     734      26,774 SH          SOLE        1     26,774         --        --
MANHATTAN ASSOCIATES INC        EQUITY       562750109      23         793 SH         DEFINED      4         --         --       793
MANITOWOC COMPANY INC           EQUITY       563571108    1680      37,949 SH          SOLE        1     37,949         --        --
MANITOWOC COMPANY INC           EQUITY       563571108    3145      71,030 SH         DEFINED      4         --         --    71,030
MANNATECH INC                   EQUITY       563771104     126      15,551 SH          SOLE        1     15,551         --        --
MANNATECH INC                   EQUITY       563771104     168      10,712 SH         DEFINED      4         --         --    10,712
MANNKIND CORP                   EQUITY       56400P201     353      36,422 SH          SOLE        1     36,422         --        --
MANNKIND CORP                   EQUITY       56400P201       7         700 SH         DEFINED      4         --         --       700
MANOR CARE INC                  EQUITY       564055101    6505     101,016 SH          SOLE        1    101,016         --        --
MANOR CARE INC                  EQUITY       564055101      15         218 SH         DEFINED      4         --         --       218
MANOR CARE INC                  EQUITY       564055101       6          92 SH          SOLE        2         92         --        --
MANPOWER INC                    EQUITY       56418H100   13582     211,061 SH          SOLE        1    211,061         --        --
MANPOWER INC                    EQUITY       56418H100     592       7,135 SH         DEFINED      4         --         --     7,135
MANTECH INTERNATIONAL CORP-A    EQUITY       564563104     700      19,469 SH          SOLE        1     19,469         --        --
MANULIFE FINANCIAL CORP         EQUITY       56501R106    1375      33,802 SH          OTHER       1         --     33,802        --
MANULIFE FINANCIAL CORP         EQUITY       56501R106    5360      129834 SH         DEFINED      4         --         --        --
MARATHON ACQUISITION CORP       EQUITY       565756103     260      32,918 SH          SOLE        1     32,918         --        --
MARATHON OIL CORP               EQUITY       565849106   24380     427,567 SH          SOLE        1    427,567         --        --
MARATHON OIL CORP               EQUITY       565849106   14596     139,805 SH         DEFINED      4         --         --   139,805
MARATHON OIL CORP               EQUITY       565849106    3328      58,359 SH          SOLE        2     58,359         --        --
MARCHEX INC-CLASS B             EQUITY       56624R108     231      24,335 SH          SOLE        1     24,335         --        --
MARCHEX INC-CLASS B             EQUITY       56624R108      65       6,813 SH         DEFINED      4         --         --     6,813
MARCUS CORPORATION              EQUITY       566330106     406      21,127 SH          SOLE        1     21,127         --        --





                                                                                          
MARCUS CORPORATION              EQUITY       566330106       4         170 SH         DEFINED      4         --         --       170
MARINE PRODUCTS CORP            EQUITY       568427108      88      10,429 SH          SOLE        1     10,429         --        --
MARINEMAX INC                   EQUITY       567908108     241      16,582 SH          SOLE        1     16,582         --        --
MARINER ENERGY INC              EQUITY       56845T305    1572      75,898 SH          SOLE        1     75,898         --        --
MARINER ENERGY INC              EQUITY       56845T305      13         591 SH         DEFINED      4         --         --       591
MARKEL CORP                     EQUITY       570535104     200         414 SH          SOLE        1        414         --        --
MARKEL CORP                     EQUITY       570535104     775       1,602 SH         DEFINED      4         --         --     1,602
MARKET VECTORS AGRIBUSINESS     EQUITY       57060U605    3282      71,345 SH         DEFINED      4         --         --    71,345
MARKET VECTORS GLOBAL ALT       EQUITY       57060U407      19         394 SH         DEFINED      4         --         --       394
MARKET VECTORS GOLD MINERS      EQUITY       57060U100    1171      28,570 SH         DEFINED      4         --         --    28,570
MARKET VECTORS STEEL INDEX F    EQUITY       57060U308     623       9,877 SH         DEFINED      4         --         --     9,877
MARKET VECTORS--ENV SERV ETF    EQUITY       57060U209     750      15,232 SH         DEFINED      4         --         --    15,232
MARKETAXESS HOLDINGS INC        EQUITY       57060D108     406      27,096 SH          SOLE        1     27,096         --        --
MARKWEST ENERGY PARTNERS LP     EQUITY       570759100      20         640 SH         DEFINED      4         --         --       640
MARKWEST HYDROCARBON INC        EQUITY       570762104     324       5,570 SH          SOLE        1      5,570         --        --
MARLIN BUSINESS SERVICES        EQUITY       571157106       1         100 SH         DEFINED      4         --         --       100
MARRIOTT INTERNATIONAL-CL A     EQUITY       571903202    7612     175,116 SH          SOLE        1    175,116         --        --
MARRIOTT INTERNATIONAL-CL A     EQUITY       571903202    3983  87204.1519 SH         DEFINED      4         --         --        --
MARSH & MCLENNAN COS            EQUITY       571748102    5987     234,773 SH          SOLE        1    234,773         --        --
MARSH & MCLENNAN COS            EQUITY       571748102     838      32,846 SH         DEFINED      4         --         --    32,846
MARSH & MCLENNAN COS            EQUITY       571748102      17         683 SH          SOLE        2        683         --        --
MARSHALL & ILSLEY CORP          EQUITY       571834100    5444     124,386 SH          SOLE        1    124,386         --        --
MARSHALL & ILSLEY CORP          EQUITY       571834100    2653      60,605 SH         DEFINED      4         --         --    60,605
MARSHALL & ILSLEY CORP          EQUITY       571834100     168       3,836 SH          SOLE        2      3,836         --        --
MARTEK BIOSCIENCES CORP         EQUITY       572901106     934      32,170 SH          SOLE        1     32,170         --        --
MARTEK BIOSCIENCES CORP         EQUITY       572901106      32       1,514 SH         DEFINED      4         --         --     1,514
MARTEN TRANSPORT LTD            EQUITY       573075108     205      13,294 SH          SOLE        1     13,294         --        --
MARTHA STEWART LIVING -CL A     EQUITY       573083102     269      23,105 SH          SOLE        1     23,105         --        --
MARTHA STEWART LIVING -CL A     EQUITY       573083102      91       7,809 SH         DEFINED      4         --         --     7,809
MARTIN MARIETTA MATERIALS       EQUITY       573284106   13890     104,005 SH          SOLE        1    104,005         --        --
MARTIN MARIETTA MATERIALS       EQUITY       573284106     148         983 SH         DEFINED      4         --         --       983
MARTIN MIDSTREAM PARTNERS LP    EQUITY       573331105      74       1,790 SH         DEFINED      4         --         --     1,790
MARVEL ENTERTAINMENT INC        EQUITY       57383T103    1106      47,204 SH          SOLE        1     47,204         --        --
MARVEL ENTERTAINMENT INC        EQUITY       57383T103      64       2,169 SH         DEFINED      4         --         --     2,169
MARVELL TECHNOLOGY GROUP LTD    EQUITY       G5876H105     284      15,977 SH         DEFINED      4         --         --    15,977
MASCO CORP                      EQUITY       574599106   16404     693,298 SH          SOLE        1    693,298         --        --
MASCO CORP                      EQUITY       574599106     436      14,212 SH         DEFINED      4         --         --    14,212
MASCO CORP                      EQUITY       574599106    4450     192,063 SH          SOLE        2    192,063         --        --
MASSEY ENERGY CO                EQUITY       576206106     288      13,183 SH          SOLE        1     13,183         --        --
MASSEY ENERGY CO                EQUITY       576206106     191       6,508 SH         DEFINED      4         --         --     6,508
MASSMUTUAL CORP INVESTORS       EQUITY       576292106     380      10,675 SH         DEFINED      4         --         --    10,675
MASTEC INC                      EQUITY       576323109     521      37,025 SH          SOLE        1     37,025         --        --
MASTEC INC                      EQUITY       576323109       9         750 SH         DEFINED      4         --         --       750
MASTERCARD INC-CLASS A          EQUITY       57636Q104    7177      48,500 SH          SOLE        3     21,700         --    26,800
MASTERCARD INC-CLASS A          EQUITY       57636Q104    6661      44,811 SH          SOLE        1     44,811         --        --
MASTERCARD INC-CLASS A          EQUITY       57636Q104     223       1,665 SH         DEFINED      4         --         --     1,665
MATERIAL SCIENCES CORP          EQUITY       576674105      17       1,599 SH          SOLE        1      1,599         --        --
MATERIAL SCIENCES CORP          EQUITY       576674105      20       2,000 SH         DEFINED      4         --         --     2,000
MATERIALS SELECT SECTOR SPDR    EQUITY       81369Y100     481      11,415 SH         DEFINED      4         --         --    11,415
MATRIA HEALTHCARE INC           EQUITY       576817209     557      21,285 SH          SOLE        1     21,285         --        --
MATRIA HEALTHCARE INC           EQUITY       576817209      18         575 SH         DEFINED      4         --         --       575
MATRIX SERVICE CO               EQUITY       576853105     555      26,468 SH          SOLE        1     26,468         --        --
MATRIX SERVICE CO               EQUITY       576853105     288      11,105 SH         DEFINED      4         --         --    11,105
MATRIXX INITIATIVES INC         EQUITY       57685L105      10         582 SH         DEFINED      4         --         --       582





                                                                                          
MATSUSHITA ELEC IND-SPON ADR    EQUITY       576879209     132       6,464 SH         DEFINED      4         --         --     6,464
MATTEL INC                      EQUITY       577081102    4430     188,828 SH          SOLE        1    188,828         --        --
MATTEL INC                      EQUITY       577081102     382      16,279 SH         DEFINED      4         --         --    16,279
MATTEL INC                      EQUITY       577081102      12         498 SH          SOLE        2        498         --        --
MATTHEWS INTL CORP-CL A         EQUITY       577128101    4591     104,819 SH          SOLE        1    104,819         --        --
MATTHEWS INTL CORP-CL A         EQUITY       577128101    1194      27,603 SH         DEFINED      4         --         --    27,603
MATTSON TECHNOLOGY INC          EQUITY       577223100     398      45,960 SH          SOLE        1     45,960         --        --
MATTSON TECHNOLOGY INC          EQUITY       577223100      16        1579 SH         DEFINED      4         --         --        --
MAUI LAND & PINEAPPLE CO        EQUITY       577345101     117       3,856 SH          SOLE        1      3,856         --        --
MAUI LAND & PINEAPPLE CO        EQUITY       577345101      53       1,548 SH         DEFINED      4         --         --     1,548
MAX CAPITAL GROUP LTD           EQUITY       G6052F103       4         155 SH         DEFINED      4         --         --       155
MAXIM INTEGRATED PRODUCTS       EQUITY       57772K101     845      28,774 SH          SOLE        1     28,774         --        --
MAXIM INTEGRATED PRODUCTS       EQUITY       57772K101      92       3,123 SH         DEFINED      4         --         --     3,123
MAXIMUS INC                     EQUITY       577933104     952      21,850 SH          SOLE        1     21,850         --        --
MAXYGEN INC                     EQUITY       577776107     145      21,219 SH          SOLE        1     21,219         --        --
MB FINANCIAL INC                EQUITY       55264U108    1098      31,782 SH          SOLE        1     31,782         --        --
MBIA CAP/CLAYMORE MGD DUR IN    EQUITY       55266X100     125       9,354 SH         DEFINED      4         --         --     9,354
MBIA INC                        EQUITY       55262C100    7140     116,952 SH          SOLE        1    116,952         --        --
MBIA INC                        EQUITY       55262C100      51         725 SH         DEFINED      4         --         --       725
MBIA INC                        EQUITY       55262C100      10         160 SH          SOLE        2        160         --        --
MBT FINANCIAL CORP              EQUITY       578877102    1297     108,600 SH         DEFINED      4         --         --   108,600
MCAFEE INC                      EQUITY       579064106   13855     397,327 SH          SOLE        1    397,327         --        --
MCAFEE INC                      EQUITY       579064106     151       4,467 SH         DEFINED      4         --         --     4,467
MCCLATCHY CO-CLASS A            EQUITY       579489105      34       1,702 SH          SOLE        1      1,702         --        --
MCCLATCHY CO-CLASS A            EQUITY       579489105     487      16,819 SH         DEFINED      4         --         --    16,819
MCCORMICK & CO-NON VTG SHRS     EQUITY       579780206    2101      58,402 SH          SOLE        1     58,402         --        --
MCCORMICK & CO-NON VTG SHRS     EQUITY       579780206    2919      81,164 SH          SOLE        2     81,164         --        --
MCCORMICK & SCHMICK'S SEAFOO    EQUITY       579793100     240      12,737 SH          SOLE        1     12,737         --        --
MCDERMOTT INTL INC              EQUITY       580037109     208       3,853 SH          SOLE        1      3,853         --        --
MCDERMOTT INTL INC              EQUITY       580037109    3743      63,409 SH         DEFINED      4         --         --    63,409
MCDONALD'S CORP                 EQUITY       580135101   84453   1,550,457 SH          SOLE        1  1,550,457         --        --
MCDONALD'S CORP                 EQUITY       580135101    5970     120,601 SH         DEFINED      4         --         --   120,601
MCDONALD'S CORP                 EQUITY       580135101      82       1,503 SH          SOLE        2      1,503         --        --
MCF CORP                        EQUITY       580395309       3         640 SH         DEFINED      4         --         --       640
MCG CAPITAL CORP                EQUITY       58047P107    2173     150,983 SH          SOLE        1    150,983         --        --
MCG CAPITAL CORP                EQUITY       58047P107     992      68,921 SH         DEFINED      4         --         --    68,921
MCGRATH RENTCORP                EQUITY       580589109     730      21,950 SH          SOLE        1     21,950         --        --
MCGRATH RENTCORP                EQUITY       580589109     175       5,565 SH         DEFINED      4         --         --     5,565
MCGRAW-HILL COMPANIES INC       EQUITY       580645109   27353     537,661 SH          SOLE        1    537,661         --        --
MCGRAW-HILL COMPANIES INC       EQUITY       580645109     856      16,813 SH         DEFINED      4         --         --    16,813
MCGRAW-HILL COMPANIES INC       EQUITY       580645109      22         427 SH          SOLE        2        427         --        --
MCKESSON CORP                   EQUITY       58155Q103   12148     206,637 SH          SOLE        1    206,637         --        --
MCKESSON CORP                   EQUITY       58155Q103     620      10,365 SH         DEFINED      4         --         --    10,365
MCKESSON CORP                   EQUITY       58155Q103      22         373 SH          SOLE        2        373         --        --
MCMORAN EXPLORATION CO          EQUITY       582411104     337      25,092 SH          SOLE        1     25,092         --        --
MCMORAN EXPLORATION CO          EQUITY       582411104      18       1,354 SH         DEFINED      4         --         --     1,354
MDC HOLDINGS INC                EQUITY       552676108    3564      87,047 SH          SOLE        1     87,047         --        --
MDC HOLDINGS INC                EQUITY       552676108      12         300 SH         DEFINED      4         --         --       300
MDS INC                         EQUITY       55269P302      59       2,759 SH          OTHER       1         --      2,759        --
MDU RESOURCES GROUP INC         EQUITY       552690109   12699     456,150 SH          SOLE        1    456,150         --        --
MDU RESOURCES GROUP INC         EQUITY       552690109    5115     168,321 SH         DEFINED      4         --         --   168,321
MEADE INSTRUMENTS CORP          EQUITY       583062104      27      12,274 SH         DEFINED      4         --         --    12,274
MEADOW VALLEY CORP              EQUITY       583185103      14       1,200 SH         DEFINED      4         --         --     1,200
MEADOWBROOK INSURANCE GROUP     EQUITY       58319P108     251      27,877 SH          SOLE        1     27,877         --        --





                                                                                          
MEADOWBROOK INSURANCE GROUP     EQUITY       58319P108       1          95 SH         DEFINED      4         --         --        95
MEADWESTVACO CORP               EQUITY       583334107    2554      86,483 SH          SOLE        1     86,483         --        --
MEADWESTVACO CORP               EQUITY       583334107     253       7,781 SH         DEFINED      4         --         --     7,781
MEADWESTVACO CORP               EQUITY       583334107       7         231 SH          SOLE        2        231         --        --
MEASUREMENT SPECIALTIES INC     EQUITY       583421102     346      12,407 SH          SOLE        1     12,407         --        --
MEASUREMENT SPECIALTIES INC     EQUITY       583421102       7         330 SH         DEFINED      4         --         --       330
MECHANICAL TECHNOLOGY INC       EQUITY       583538103       4       2,791 SH         DEFINED      4         --         --     2,791
MECHEL-ADR                      EQUITY       583840103   27561     540,410 SH          SOLE        1    540,410         --        --
MECHEL-ADR                      EQUITY       583840103      58       1,140 SH         DEFINED      4         --         --     1,140
MEDAREX INC                     EQUITY       583916101    1553     109,701 SH          SOLE        1    109,701         --        --
MEDAREX INC                     EQUITY       583916101      38       2,609 SH         DEFINED      4         --         --     2,609
MEDCATH CORPORATION             EQUITY       58404W109     288      10,481 SH          SOLE        1     10,481         --        --
MEDCO HEALTH SOLUTIONS INC      EQUITY       58405U102   12687     140,353 SH          SOLE        1    140,353         --        --
MEDCO HEALTH SOLUTIONS INC      EQUITY       58405U102    2738      36,578 SH         DEFINED      4         --         --    36,578
MEDCO HEALTH SOLUTIONS INC      EQUITY       58405U102   30239     334,541 SH          SOLE        2    334,541         --        --
MEDIA GENERAL INC -CL A         EQUITY       584404107    2067      75,128 SH          SOLE        1     75,128         --        --
MEDIA GENERAL INC -CL A         EQUITY       584404107       4         129 SH         DEFINED      4         --         --       129
MEDIACOM COMMUNICATIONS-CL A    EQUITY       58446K105     334      47,363 SH          SOLE        1     47,363         --        --
MEDIACOM COMMUNICATIONS-CL A    EQUITY       58446K105       3         375 SH         DEFINED      4         --         --       375
MEDICAL ACTION IND INC          EQUITY       58449L100     286      12,102 SH          SOLE        1     12,102         --        --
MEDICAL PROPERTIES TRUST INC    EQUITY       58463J304     657      49,361 SH          SOLE        1     49,361         --        --
MEDICAL PROPERTIES TRUST INC    EQUITY       58463J304     298      22,349 SH         DEFINED      4         --         --    22,349
MEDICINES COMPANY               EQUITY       584688105     803      45,078 SH          SOLE        1     45,078         --        --
MEDICINES COMPANY               EQUITY       584688105      18       1,000 SH         DEFINED      4         --         --     1,000
MEDICIS PHARMACEUTICAL-CL A     EQUITY       584690309    5685     186,343 SH          SOLE        1    186,343         --        --
MEDICIS PHARMACEUTICAL-CL A     EQUITY       584690309      39       1,254 SH         DEFINED      4         --         --     1,254
MEDIFAST INC                    EQUITY       58470H101       1         132 SH         DEFINED      4         --         --       132
MEDIS TECHNOLOGIES LTD          EQUITY       58500P107     259      19,912 SH          SOLE        1     19,912         --        --
MEDIS TECHNOLOGIES LTD          EQUITY       58500P107      21       1,436 SH         DEFINED      4         --         --     1,436
MEDIVATION INC                  EQUITY       58501N101     374      18,635 SH          SOLE        1     18,635         --        --
MEDIVATION INC                  EQUITY       58501N101       1          80 SH         DEFINED      4         --         --        80
MEDIVATION INC                  EQUITY       58501N101     602      30,000 SH          SOLE        2     30,000         --        --
MEDTRONIC INC                   EQUITY       585055106   48005     851,000 SH          SOLE        1    851,000         --        --
MEDTRONIC INC                   EQUITY       585055106    5022      93,586 SH         DEFINED      4         --         --    93,586
MEDTRONIC INC                   EQUITY       585055106    9095     161,230 SH          SOLE        2    161,230         --        --
MEDTRONIC INC                   FIXED INCOME 585055AL0      32          30 PRN        DEFINED      4         --         --        --
MELCO PBL ENTERTAINMENT-ADR     EQUITY       585464100     233      13,530 SH         DEFINED      4         --         --    13,530
MELLANOX TECHNOLOGIES LTD       EQUITY       M51363113     586      30,000 SH          SOLE        2     30,000         --        --
MEMC ELECTRONIC MATERIALS       EQUITY       552715104    6545     111,188 SH          SOLE        1    111,188         --        --
MEMC ELECTRONIC MATERIALS       EQUITY       552715104    1813      31,814 SH         DEFINED      4         --         --    31,814
MEMC ELECTRONIC MATERIALS       EQUITY       552715104      17         284 SH          SOLE        2        284         --        --
MEMORY PHARMACEUTICALS CORP     EQUITY       58606R403      76      39,400 SH         DEFINED      4         --         --    39,400
MENTOR CORP                     EQUITY       587188103    1775      38,545 SH          SOLE        1     38,545         --        --
MENTOR CORP                     EQUITY       587188103     936      22,837 SH         DEFINED      4         --         --    22,837
MENTOR CORP                     EQUITY       587188103     612      13,300 SH          SOLE        2     13,300         --        --
MENTOR GRAPHICS CORP            EQUITY       587200106    4458     295,208 SH          SOLE        1    295,208         --        --
MENTOR GRAPHICS CORP            EQUITY       587200106     126       8,364 SH         DEFINED      4         --         --     8,364
MERCANTILE BANCORP -QUINCY      EQUITY       58734P105       2         100 SH         DEFINED      4         --         --       100
MERCANTILE BANK CORP            EQUITY       587376104      25         918 SH         DEFINED      4         --         --       918
MERCER INTL INC-SBI             EQUITY       588056101     262      27,716 SH          SOLE        1     27,716         --        --
MERCHANTS BANCSHARES INC        EQUITY       588448100      17         750 SH         DEFINED      4         --         --       750
MERCK & CO. INC.                EQUITY       589331107   85791   1,660,334 SH          SOLE        1  1,660,334         --        --
MERCK & CO. INC.                EQUITY       589331107   12031     232,757 SH         DEFINED      4         --         --   232,757
MERCK & CO. INC.                EQUITY       589331107   15811     305,877 SH          SOLE        2    305,877         --        --





                                                                                          
MERCURY COMPUTER SYSTEMS INC    EQUITY       589378108     228      22,177 SH          SOLE        1     22,177         --        --
MERCURY COMPUTER SYSTEMS INC    EQUITY       589378108      29       2,073 SH         DEFINED      4         --         --     2,073
MERCURY GENERAL CORP            EQUITY       589400100    4775      88,541 SH          SOLE        1     88,541         --        --
MERCURY GENERAL CORP            EQUITY       589400100     121       2,245 SH         DEFINED      4         --         --     2,245
MEREDITH CORP                   EQUITY       589433101    1985      34,641 SH          SOLE        1     34,641         --        --
MEREDITH CORP                   EQUITY       589433101      41         704 SH         DEFINED      4         --         --       704
MEREDITH CORP                   EQUITY       589433101       3          49 SH          SOLE        2         49         --        --
MERGE TECHNOLOGIES INC          EQUITY       589981109       6       1,200 SH         DEFINED      4         --         --     1,200
MERIDIAN BIOSCIENCE INC         EQUITY       589584101    1201      39,606 SH          SOLE        1     39,606         --        --
MERIDIAN BIOSCIENCE INC         EQUITY       589584101    2677      88,301 SH         DEFINED      4         --         --    88,301
MERIDIAN GOLD INC               EQUITY       589975101    7336     220,341 SH          OTHER       1         --    220,341        --
MERIDIAN GOLD INC               EQUITY       589975101      94       2,835 SH         DEFINED      4         --         --     2,835
MERIDIAN RESOURCE CORP          EQUITY       58977Q109     193      77,737 SH          SOLE        1     77,737         --        --
MERIDIAN RESOURCE CORP          EQUITY       58977Q109      81      32,760 SH         DEFINED      4         --         --    32,760
MERIT MEDICAL SYSTEMS INC       EQUITY       589889104     356      27,419 SH          SOLE        1     27,419         --        --
MERIT MEDICAL SYSTEMS INC       EQUITY       589889104      93       7,400 SH         DEFINED      4         --         --     7,400
MERITAGE HOMES CORP             EQUITY       59001A102     370      26,186 SH          SOLE        1     26,186         --        --
MERITAGE HOMES CORP             EQUITY       59001A102      85       2,420 SH         DEFINED      4         --         --     2,420
MERRILL LYNCH & CO              FIXED INCOME 590188W46      41          31 PRN        DEFINED      4         --         --        --
MERRILL LYNCH & CO INC          EQUITY       590188108   51623     724,068 SH          SOLE        1    724,068         --        --
MERRILL LYNCH & CO INC          EQUITY       590188108    3507      37,948 SH         DEFINED      4         --         --    37,948
MERRILL LYNCH & CO INC          EQUITY       590188108   14904     209,087 SH          SOLE        2    209,087         --        --
MERUELO MADDUX PROPERTIES IN    EQUITY       590473104     235      39,782 SH          SOLE        1     39,782         --        --
MESA AIR GROUP INC              EQUITY       590479101      16       3,617 SH          SOLE        1      3,617         --        --
MESA AIR GROUP INC              EQUITY       590479101       1          90 SH         DEFINED      4         --         --        90
MESA ROYALTY TRUST              EQUITY       590660106      18         305 SH         DEFINED      4         --         --       305
MESABI TRUST                    EQUITY       590672101      21       1,050 SH         DEFINED      4         --         --     1,050
METABOLIX INC                   EQUITY       591018809     305      12,562 SH          SOLE        1     12,562         --        --
METABOLIX INC                   EQUITY       591018809      41       1,600 SH         DEFINED      4         --         --     1,600
METABOLIX INC                   EQUITY       591018809     422      17,400 SH          SOLE        2     17,400         --        --
METAL MANAGEMENT INC            EQUITY       591097209    1209      22,311 SH          SOLE        1     22,311         --        --
METAL MANAGEMENT INC            EQUITY       591097209      48         883 SH         DEFINED      4         --         --       883
METALLICA RESOURCES INC         EQUITY       59125J104       5       1,000 SH         DEFINED      4         --         --     1,000
METHANEX CORP                   EQUITY       59151K108      49       2,202 SH          OTHER       1         --      2,202        --
METHANEX CORP                   EQUITY       59151K108     360      14,295 SH         DEFINED      4         --         --    14,295
METHODE ELECTRONICS INC         EQUITY       591520200     551      36,587 SH          SOLE        1     36,587         --        --
METHODE ELECTRONICS INC         EQUITY       591520200       4         260 SH         DEFINED      4         --         --       260
METLIFE INC                     EQUITY       59156R108   28531     409,160 SH          SOLE        1    409,160         --        --
METLIFE INC                     EQUITY       59156R108    1739      25,281 SH         DEFINED      4         --         --    25,281
METLIFE INC                     EQUITY       59156R108    5623      80,637 SH          SOLE        2     80,637         --        --
MET-PRO CORP                    EQUITY       590876306      10         615 SH         DEFINED      4         --         --       615
METROPCS COMMUNICATIONS INC     EQUITY       591708102      33       1,222 SH          SOLE        1      1,222         --        --
METROPCS COMMUNICATIONS INC     EQUITY       591708102      34       1,258 SH         DEFINED      4         --         --     1,258
METSO CORP -SPON ADR            EQUITY       592671101      10         173 SH         DEFINED      4         --         --       173
METTLER-TOLEDO INTERNATIONAL    EQUITY       592688105     113       1,107 SH          SOLE        1      1,107         --        --
METTLER-TOLEDO INTERNATIONAL    EQUITY       592688105      68         674 SH         DEFINED      4         --         --       674
METTLER-TOLEDO INTERNATIONAL    EQUITY       592688105     408       4,000 SH          SOLE        2      4,000         --        --
MEXICO EQUITY AND INCOME FD     EQUITY       592834105      41       1,241 SH         DEFINED      4         --         --     1,241
MEXICO FUND INC                 EQUITY       592835102     113       2,772 SH         DEFINED      4         --         --     2,772
MF GLOBAL LTD                   EQUITY       G60642108   25941     894,500 SH          SOLE        2    894,500         --        --
MFA MORTGAGE INVESTMENTS INC    EQUITY       55272X102     570      70,765 SH          SOLE        1     70,765         --        --
MFA MORTGAGE INVESTMENTS INC    EQUITY       55272X102     461      59,821 SH         DEFINED      4         --         --    59,821
MFA MORTGAGE INVESTMENTS INC    EQUITY       55272X102    6440     800,000 SH          SOLE        2    800,000         --        --
MFS CHARTER INCOME TRUST        EQUITY       552727109      87      10,406 SH         DEFINED      4         --         --    10,406





                                                                                          
MFS GOVT MARKETS INC TRUST      EQUITY       552939100     139      20,573 SH         DEFINED      4         --         --    20,573
MFS INTERMEDIATE HIGH INC FN    EQUITY       59318T109     410     126,439 SH         DEFINED      4         --         --   126,439
MFS INTERMEDIATE INC TRUST      EQUITY       55273C107     596      96,069 SH         DEFINED      4         --         --    96,069
MFS INVESTMENT GRADE MUNICIP    EQUITY       59318B108       5         530 SH         DEFINED      4         --         --       530
MFS MULTIMARKET INC TRUST       EQUITY       552737108     590      97,022 SH         DEFINED      4         --         --    97,022
MFS MUNICIPAL INCOME TRUST      EQUITY       552738106     181      23,859 SH         DEFINED      4         --         --    23,859
MFS SPECIAL VALUE TRUST         EQUITY       55274E102      24       2,165 SH         DEFINED      4         --         --     2,165
MGE ENERGY INC                  EQUITY       55277P104     619      18,497 SH          SOLE        1     18,497         --        --
MGE ENERGY INC                  EQUITY       55277P104     256       7,668 SH         DEFINED      4         --         --     7,668
MGI PHARMA INC                  EQUITY       552880106    2210      79,561 SH          SOLE        1     79,561         --        --
MGI PHARMA INC                  EQUITY       552880106      48       2,154 SH         DEFINED      4         --         --     2,154
MGIC INVESTMENT CORP            EQUITY       552848103    6160     189,249 SH          SOLE        1    189,249         --        --
MGIC INVESTMENT CORP            EQUITY       552848103      45       1,388 SH         DEFINED      4         --         --     1,388
MGIC INVESTMENT CORP            EQUITY       552848103       3         103 SH          SOLE        2        103         --        --
MGM MIRAGE                      EQUITY       552953101      13         145 SH          SOLE        1        145         --        --
MGM MIRAGE                      EQUITY       552953101     512       8,040 SH         DEFINED      4         --         --     8,040
MGM MIRAGE                      EQUITY       552953101     894      10,000 SH          SOLE        2     10,000         --        --
MGP INGREDIENTS INC             EQUITY       55302G103      88       8,606 SH          SOLE        1      8,606         --        --
MGP INGREDIENTS INC             EQUITY       55302G103      13         645 SH         DEFINED      4         --         --       645
MI DEVELOPMENTS INC-CLASS A     EQUITY       55304X104      24         735 SH          OTHER       1         --        735        --
MI DEVELOPMENTS INC-CLASS A     EQUITY       55304X104       8         244 SH         DEFINED      4         --         --       244
MICREL INC                      EQUITY       594793101    2011     186,237 SH          SOLE        1    186,237         --        --
MICROCHIP TECHNOLOGY INC        EQUITY       595017104    3874     106,671 SH          SOLE        1    106,671         --        --
MICROCHIP TECHNOLOGY INC        EQUITY       595017104     609      16,778 SH         DEFINED      4         --         --    16,778
MICROCHIP TECHNOLOGY INC        EQUITY       595017104      10         274 SH          SOLE        2        274         --        --
MICRON TECHNOLOGY INC           EQUITY       595112103    3868     348,447 SH          SOLE        1    348,447         --        --
MICRON TECHNOLOGY INC           EQUITY       595112103    1125      94,088 SH         DEFINED      4         --         --    94,088
MICRON TECHNOLOGY INC           EQUITY       595112103      11         954 SH          SOLE        2        954         --        --
MICRONETICS INC                 EQUITY       595125105       3         400 SH         DEFINED      4         --         --       400
MICROS SYSTEMS INC              EQUITY       594901100    2630      40,425 SH          SOLE        1     40,425         --        --
MICROS SYSTEMS INC              EQUITY       594901100     140       2,151 SH         DEFINED      4         --         --     2,151
MICROS SYSTEMS INC              EQUITY       594901100     950      14,600 SH          SOLE        2     14,600         --        --
MICROSEMI CORP                  EQUITY       595137100    3464     124,234 SH          SOLE        1    124,234         --        --
MICROSEMI CORP                  EQUITY       595137100      94       3,358 SH         DEFINED      4         --         --     3,358
MICROSEMI CORP                  EQUITY       595137100     669      24,000 SH          SOLE        2     24,000         --        --
MICROSOFT CORP                  EQUITY       594918104  199821   6,785,601 SH          SOLE        1  6,785,601         --        --
MICROSOFT CORP                  EQUITY       594918104   29039     985,717 SH         DEFINED      4         --         --   985,717
MICROSOFT CORP                  EQUITY       594918104   52284   1,774,744 SH          SOLE        2  1,774,744         --        --
MICROSTRATEGY INC-CL A          EQUITY       594972408     662       8,338 SH          SOLE        1      8,338         --        --
MICROSTRATEGY INC-CL A          EQUITY       594972408      98         850 SH         DEFINED      4         --         --       850
MICROTEK MEDICAL HOLDINGS IN    EQUITY       59515B109       6       1,319 SH         DEFINED      4         --         --     1,319
MICROTUNE INC                   EQUITY       59514P109     282      46,849 SH          SOLE        1     46,849         --        --
MICROTUNE INC                   EQUITY       59514P109       2         360 SH         DEFINED      4         --         --       360
MICROVISION INC                 EQUITY       594960106     120      29,075 SH         DEFINED      4         --         --    29,075
MICRUS ENDOVASCULAR CORP        EQUITY       59518V102     238      13,049 SH          SOLE        1     13,049         --        --
MID PENN BANCORP INC            EQUITY       59540G107     430      18,674 SH         DEFINED      4         --         --    18,674
MID-AMERICA APARTMENT COMM      EQUITY       59522J103      88       1,640 SH         DEFINED      4         --         --     1,640
MIDAS INC                       EQUITY       595626102     918      48,642 SH          SOLE        1     48,642         --        --
MIDAS INC                       EQUITY       595626102       2         105 SH         DEFINED      4         --         --       105
MIDCAP SPDR TRUST SERIES 1      EQUITY       595635103    6815      41,983 SH         DEFINED      4         --         --    41,983
MIDDLEBY CORP                   EQUITY       596278101     769      11,921 SH          SOLE        1     11,921         --        --
MIDDLEBY CORP                   EQUITY       596278101     136         996 SH         DEFINED      4         --         --       996
MIDDLESEX WATER CO              EQUITY       596680108     198      10,387 SH         DEFINED      4         --         --    10,387
MIDLAND CO                      EQUITY       597486109     473       8,600 SH          SOLE        1      8,600         --        --





                                                                                          
MIDLAND CO                      EQUITY       597486109     115       2,086 SH         DEFINED      4         --         --     2,086
MIDWAY GAMES INC                EQUITY       598148104      88      20,115 SH          SOLE        1     20,115         --        --
MIDWAY GAMES INC                EQUITY       598148104       4         627 SH         DEFINED      4         --         --       627
MIDWEST AIR GROUP INC           EQUITY       597911106     353      21,475 SH          SOLE        1     21,475         --        --
MIDWEST AIR GROUP INC           EQUITY       597911106      58       4,033 SH         DEFINED      4         --         --     4,033
MIDWEST BANC HOLDINGS INC       EQUITY       598251106     251      16,981 SH          SOLE        1     16,981         --        --
MIDWEST BANC HOLDINGS INC       EQUITY       598251106     125       8,460 SH         DEFINED      4         --         --     8,460
MIDWESTONE FINANCIAL GROUP I    EQUITY       598510105      15         866 SH         DEFINED      4         --         --       866
MILLENNIUM CELL INC             EQUITY       60038B105      40      64,700 SH         DEFINED      4         --         --    64,700
MILLENNIUM PHARMACEUTICALS      EQUITY       599902103    8382     825,771 SH          SOLE        1    825,771         --        --
MILLENNIUM PHARMACEUTICALS      EQUITY       599902103      79       7,774 SH         DEFINED      4         --         --     7,774
MILLER INDUSTRIES INC/TENN      EQUITY       600551204     149       8,703 SH          SOLE        1      8,703         --        --
MILLER INDUSTRIES INC/TENN      EQUITY       600551204      12         505 SH         DEFINED      4         --         --       505
MILLICOM INTL CELLULAR S.A.     EQUITY       L6388F110      14         166 SH         DEFINED      4         --         --       166
MILLIPORE CORP                  EQUITY       601073109    3696      48,759 SH          SOLE        1     48,759         --        --
MILLIPORE CORP                  EQUITY       601073109       8         100 SH         DEFINED      4         --         --       100
MILLIPORE CORP                  EQUITY       601073109       5          68 SH          SOLE        2         68         --        --
MIND CTI LTD                    EQUITY       M70240102       3       1,250 SH         DEFINED      4         --         --     1,250
MINDRAY MEDICAL INTL LTD-ADR    EQUITY       602675100     112       4,760 SH         DEFINED      4         --         --     4,760
MINE SAFETY APPLIANCES CO       EQUITY       602720104    4565      96,899 SH          SOLE        1     96,899         --        --
MINE SAFETY APPLIANCES CO       EQUITY       602720104    5939     137,180 SH         DEFINED      4         --         --   137,180
MINERALS TECHNOLOGIES INC       EQUITY       603158106    4303      64,222 SH          SOLE        1     64,222         --        --
MINERALS TECHNOLOGIES INC       EQUITY       603158106       2          35 SH         DEFINED      4         --         --        35
MINES MANAGEMENT INC            EQUITY       603432105      62      17,000 SH         DEFINED      4         --         --    17,000
MINNESOTA MUNI INCOME PT        EQUITY       604062109      33       2,283 SH         DEFINED      4         --         --     2,283
MINRAD INTERNATIONAL INC        EQUITY       60443P103     196      40,961 SH          SOLE        1     40,961         --        --
MIPS TECHNOLOGIES INC           EQUITY       604567107     299      37,909 SH          SOLE        1     37,909         --        --
MIPS TECHNOLOGIES INC           EQUITY       604567107      15       1,683 SH         DEFINED      4         --         --     1,683
MIRAMAR MINING CORP             EQUITY       60466E100    7297   1,542,800 SH          OTHER       1         --  1,542,800        --
MIRAMAR MINING CORP             EQUITY       60466E100      22       5,000 SH         DEFINED      4         --         --     5,000
MIRANT CORP                     EQUITY       60467R100   32274     797,814 SH          SOLE        1    797,814         --        --
MIRANT CORP                     EQUITY       60467R100     110       2,696 SH         DEFINED      4         --         --     2,696
MIRANT CORP-CW11                EQUITY       60467R118      84       3,166 SH         DEFINED      4         --         --     3,166
MIRANT CORP-W/I-CW11            EQUITY       60467R126       8         281 SH         DEFINED      4         --         --       281
MISONIX INC                     EQUITY       604871103       9       1,350 SH         DEFINED      4         --         --     1,350
MISSION WEST PROPERTIES         EQUITY       605203108     208      17,084 SH          SOLE        1     17,084         --        --
MISSION WEST PROPERTIES         EQUITY       605203108      17       1,500 SH         DEFINED      4         --         --     1,500
MITSUBISHI UFJ FINL GRP-ADR     EQUITY       606822104    1722     158,750 SH         DEFINED      4         --         --   158,750
MITSUI & CO LTD-SPONS ADR       EQUITY       606827202      41         106 SH         DEFINED      4         --         --       106
MIVA INC                        EQUITY       55311R108      19       4,055 SH          SOLE        1      4,055         --        --
MIZUHO FINANCIAL GROUP-ADR      EQUITY       60687Y109     787      62,345 SH         DEFINED      4         --         --    62,345
MKS INSTRUMENTS INC             EQUITY       55306N104     959      50,445 SH          SOLE        1     50,445         --        --
MKS INSTRUMENTS INC             EQUITY       55306N104     191       6,955 SH         DEFINED      4         --         --     6,955
ML MACADAMIA ORCHARDS LP-UT     EQUITY       55307U107      16       3,100 SH         DEFINED      4         --         --     3,100
MOBILE MINI INC                 EQUITY       60740F105     866      35,864 SH          SOLE        1     35,864         --        --
MOBILE MINI INC                 EQUITY       60740F105      13         525 SH         DEFINED      4         --         --       525
MOBILE TELESYSTEMS-SP ADR       EQUITY       607409109   17241     243,470 SH          SOLE        1    243,470         --        --
MOBILE TELESYSTEMS-SP ADR       EQUITY       607409109      32         565 SH         DEFINED      4         --         --       565
MOBILITY ELECTRONICS INC        EQUITY       60741U101       1         400 SH         DEFINED      4         --         --       400
MOCON INC                       EQUITY       607494101       8         735 SH         DEFINED      4         --         --       735
MODINE MANUFACTURING CO         EQUITY       607828100    2913     109,447 SH          SOLE        1    109,447         --        --
MODINE MANUFACTURING CO         EQUITY       607828100       5         172 SH         DEFINED      4         --         --       172
MOD-PAC CORP                    EQUITY       607495108      18       2,119 SH         DEFINED      4         --         --     2,119
MODTECH HOLDINGS INC            EQUITY       60783C100    1281     441,635 SH         DEFINED      4         --         --   441,635





                                                                                          
MOHAWK INDUSTRIES INC           EQUITY       608190104   11294     138,914 SH          SOLE        1    138,914         --        --
MOHAWK INDUSTRIES INC           EQUITY       608190104      34         371 SH         DEFINED      4         --         --       371
MOLECULAR INSIGHT PHARMACEUT    EQUITY       60852M104      30       4,358 SH          SOLE        1      4,358         --        --
MOLEX INC                       EQUITY       608554101    1784      66,250 SH          SOLE        1     66,250         --        --
MOLEX INC                       EQUITY       608554101      54       1,760 SH         DEFINED      4         --         --     1,760
MOLEX INC                       EQUITY       608554101    4621     171,581 SH          SOLE        2    171,581         --        --
MOLINA HEALTHCARE INC           EQUITY       60855R100     431      11,880 SH          SOLE        1     11,880         --        --
MOLINA HEALTHCARE INC           EQUITY       60855R100      25         761 SH         DEFINED      4         --         --       761
MOLSON COORS BREWING CO         FIXED INCOME 60871RAA8      39          35 PRN        DEFINED      4         --         --        --
MOLSON COORS BREWING CO -B      EQUITY       60871R209    3083      30,937 SH          SOLE        1     30,937         --        --
MOLSON COORS BREWING CO -B      EQUITY       60871R209     644       6,463 SH         DEFINED      4         --         --     6,463
MOLSON COORS BREWING CO -B      EQUITY       60871R209       9          86 SH          SOLE        2         86         --        --
MOMENTA PHARMACEUTICALS INC     EQUITY       60877T100     235      20,618 SH          SOLE        1     20,618         --        --
MOMENTA PHARMACEUTICALS INC     EQUITY       60877T100     124       9,000 SH         DEFINED      4         --         --     9,000
MONACO COACH CORP               EQUITY       60886R103     418      29,808 SH          SOLE        1     29,808         --        --
MONACO COACH CORP               EQUITY       60886R103      11         790 SH         DEFINED      4         --         --       790
MONARCH CASINO & RESORT INC     EQUITY       609027107     349      12,272 SH          SOLE        1     12,272         --        --
MONARCH CASINO & RESORT INC     EQUITY       609027107      31       1,125 SH         DEFINED      4         --         --     1,125
MONEYGRAM INTERNATIONAL INC     EQUITY       60935Y109    4618     204,415 SH          SOLE        1    204,415         --        --
MONEYGRAM INTERNATIONAL INC     EQUITY       60935Y109     270        9405 SH         DEFINED      4         --         --        --
MONEYGRAM INTERNATIONAL INC     EQUITY       60935Y109   27153   1,202,000 SH          SOLE        2  1,202,000         --        --
MONMOUTH REIT  -CL A            EQUITY       609720107       2         235 SH         DEFINED      4         --         --       235
MONOGRAM BIOSCIENCES INC        EQUITY       60975U108      51      28,562 SH         DEFINED      4         --         --    28,562
MONOLITHIC POWER SYSTEMS INC    EQUITY       609839105     526      20,695 SH          SOLE        1     20,695         --        --
MONRO MUFFLER BRAKE INC         EQUITY       610236101     371      10,966 SH          SOLE        1     10,966         --        --
MONRO MUFFLER BRAKE INC         EQUITY       610236101       1          30 SH         DEFINED      4         --         --        30
MONSANTO CO                     EQUITY       61166W101     626       7,300 SH          SOLE        3      7,300         --        --
MONSANTO CO                     EQUITY       61166W101   34465     401,972 SH          SOLE        1    401,972         --        --
MONSANTO CO                     EQUITY       61166W101    6926     116,000 SH         DEFINED      4         --         --   116,000
MONSANTO CO                     EQUITY       61166W101    7810      91,088 SH          SOLE        2     91,088         --        --
MONSTER WORLDWIDE INC           EQUITY       611742107    2281      66,963 SH          SOLE        1     66,963         --        --
MONSTER WORLDWIDE INC           EQUITY       611742107      46         980 SH         DEFINED      4         --         --       980
MONSTER WORLDWIDE INC           EQUITY       611742107       6         167 SH          SOLE        2        167         --        --
MONTEREY GOURMET FOODS INC      EQUITY       612570101     115      28,238 SH         DEFINED      4         --         --    28,238
MONTGOMERY ST INCOME SEC INC    EQUITY       614115103      50       2,992 SH         DEFINED      4         --         --     2,992
MONTPELIER RE HOLDINGS LTD      EQUITY       G62185106      19       1,052 SH         DEFINED      4         --         --     1,052
MOODY'S CORP                    EQUITY       615369105   12735     253,345 SH          SOLE        1    253,345         --        --
MOODY'S CORP                    EQUITY       615369105     568       8,669 SH         DEFINED      4         --         --     8,669
MOODY'S CORP                    EQUITY       615369105    5669     112,479 SH          SOLE        2    112,479         --        --
MOOG INC-CLASS A                EQUITY       615394202    1685      38,350 SH          SOLE        1     38,350         --        --
MOOG INC-CLASS A                EQUITY       615394202     154       3,511 SH         DEFINED      4         --         --     3,511
MORGAN STANLEY                  EQUITY       617446448   61693     979,256 SH          SOLE        1    979,256         --        --
MORGAN STANLEY                  EQUITY       617446448    5555      64,612 SH         DEFINED      4         --         --    64,612
MORGAN STANLEY                  EQUITY       617446448    8620     136,827 SH          SOLE        2    136,827         --        --
MORGAN STANLEY ASIA PACIFIC     EQUITY       61744U106     109       5,468 SH         DEFINED      4         --         --     5,468
MORGAN STANLEY CA INSD MUNI     EQUITY       61745P502       1          90 SH         DEFINED      4         --         --        90
MORGAN STANLEY CA QUAL MUNI     EQUITY       61745P635      11         736 SH         DEFINED      4         --         --       736
MORGAN STANLEY EAST EUROPE      EQUITY       616988101     277       7,484 SH         DEFINED      4         --         --     7,484
MORGAN STANLEY EMRG MARKETS     EQUITY       61744G107      31       1,000 SH         DEFINED      4         --         --     1,000
MORGAN STANLEY EMRG MKT DEBT    EQUITY       61744H105      70       7,250 SH         DEFINED      4         --         --     7,250
MORGAN STANLEY GL OPP BOND      EQUITY       61744R103      23       3,250 SH         DEFINED      4         --         --     3,250
MORGAN STANLEY INCOME SECS      EQUITY       61745P874      55       3,568 SH         DEFINED      4         --         --     3,568
MORGAN STANLEY INDIA INVEST     EQUITY       61745C105      45       1,010 SH         DEFINED      4         --         --     1,010
MORGAN STANLEY INSD MUNI BD     EQUITY       61745P817      51       3,862 SH         DEFINED      4         --         --     3,862





                                                                                          
MORGAN STANLEY INSD MUNI INC    EQUITY       61745P791      81       5,866 SH         DEFINED      4         --         --     5,866
MORGAN STANLEY INSD MUNI TRS    EQUITY       61745P866      75       5,153 SH         DEFINED      4         --         --     5,153
MORGAN STANLEY MUNI INC OPP     EQUITY       61745P452      24       2,404 SH         DEFINED      4         --         --     2,404
MORGAN STANLEY MUNI INC OPP2    EQUITY       61745P445      55       5,881 SH         DEFINED      4         --         --     5,881
MORGAN STANLEY MUNI INC OPP3    EQUITY       61745P437       9         912 SH         DEFINED      4         --         --       912
MORGAN STANLEY MUNI PREM INC    EQUITY       61745P429      33       3,700 SH         DEFINED      4         --         --     3,700
MORGAN STANLEY NY QUAL MUNI     EQUITY       61745P528     135       9,623 SH         DEFINED      4         --         --     9,623
MORGAN STANLEY QUAL MUNI INC    EQUITY       61745P734      85        5767 SH         DEFINED      4         --         --        --
MORGAN STANLEY QUAL MUNI INV    EQUITY       61745P668      45       3,209 SH         DEFINED      4         --         --     3,209
MORGAN STANLEY QUAL MUNI SEC    EQUITY       61745P585      25       1,774 SH         DEFINED      4         --         --     1,774
MORGANS HOTEL GROUP CO          EQUITY       61748W108     387      17,796 SH          SOLE        1     17,796         --        --
MORNINGSTAR INC                 EQUITY       617700109     658      10,719 SH          SOLE        1     10,719         --        --
MORNINGSTAR INC                 EQUITY       617700109      65       1,277 SH         DEFINED      4         --         --     1,277
MORNINGSTAR INC                 EQUITY       617700109     721      11,750 SH          SOLE        2     11,750         --        --
MORTON'S RESTAURANT GROUP       EQUITY       619430101     147       9,254 SH          SOLE        1      9,254         --        --
MOSAIC CO/THE                   EQUITY       61945A107     234       4,370 SH          SOLE        1      4,370         --        --
MOSAIC CO/THE                   EQUITY       61945A107     159       5,304 SH         DEFINED      4         --         --     5,304
MOTHERS WORK INC                EQUITY       619903107      14         400 SH         DEFINED      4         --         --       400
MOTOROLA INC                    EQUITY       620076109   26688   1,440,272 SH          SOLE        1  1,440,272         --        --
MOTOROLA INC                    EQUITY       620076109    3625     200,485 SH         DEFINED      4         --         --   200,485
MOTOROLA INC                    EQUITY       620076109      54       2,918 SH          SOLE        2      2,918         --        --
MOVADO GROUP INC                EQUITY       624580106     557      17,435 SH          SOLE        1     17,435         --        --
MOVADO GROUP INC                EQUITY       624580106      13         416 SH         DEFINED      4         --         --       416
MOVE INC                        EQUITY       62458M108     250      90,718 SH          SOLE        1     90,718         --        --
MOVE INC                        EQUITY       62458M108       5       1,115 SH         DEFINED      4         --         --     1,115
MPS GROUP INC                   EQUITY       553409103    3796     340,491 SH          SOLE        1    340,491         --        --
MPS GROUP INC                   EQUITY       553409103      72       6,416 SH         DEFINED      4         --         --     6,416
MRV COMMUNICATIONS INC          EQUITY       553477100     272     109,569 SH          SOLE        1    109,569         --        --
MRV COMMUNICATIONS INC          EQUITY       553477100      45      18,180 SH         DEFINED      4         --         --    18,180
MSB FINANCIAL CORP              EQUITY       55352P102       5         400 SH         DEFINED      4         --         --       400
MSC INDUSTRIAL DIRECT CO-A      EQUITY       553530106    5963     117,861 SH          SOLE        1    117,861         --        --
MSC INDUSTRIAL DIRECT CO-A      EQUITY       553530106      78       1,594 SH         DEFINED      4         --         --     1,594
MSC.SOFTWARE CORP               EQUITY       553531104     520      38,166 SH          SOLE        1     38,166         --        --
MTC TECHNOLOGIES INC            EQUITY       55377A106     159       8,209 SH          SOLE        1      8,209         --        --
MTR GAMING GROUP INC            EQUITY       553769100     170      17,830 SH          SOLE        1     17,830         --        --
MTS MEDICATION TECHNOLOGIES     EQUITY       553773102       3         215 SH         DEFINED      4         --         --       215
MTS SYSTEMS CORP                EQUITY       553777103     737      17,709 SH          SOLE        1     17,709         --        --
MUELLER INDUSTRIES INC          EQUITY       624756102    1335      36,930 SH          SOLE        1     36,930         --        --
MUELLER INDUSTRIES INC          EQUITY       624756102     418      11,561 SH         DEFINED      4         --         --    11,561
MUELLER WATER PRODUCTS INC-A    EQUITY       624758108    1238      99,932 SH          SOLE        1     99,932         --        --
MUELLER WATER PRODUCTS INC-A    EQUITY       624758108       7         422 SH         DEFINED      4         --         --       422
MUELLER WATER PRODUCTS INC-B    EQUITY       624758207      20       1,862 SH          SOLE        1      1,862         --        --
MUELLER WATER PRODUCTS INC-B    EQUITY       624758207      23       1,494 SH         DEFINED      4         --         --     1,494
MULTI-COLOR CORP                EQUITY       625383104     162       7,089 SH          SOLE        1      7,089         --        --
MULTI-FINELINE ELECTRONIX IN    EQUITY       62541B101     109       7,375 SH          SOLE        1      7,375         --        --
MULTIMEDIA GAMES INC            EQUITY       625453105     206      24,151 SH          SOLE        1     24,151         --        --
MUNICIPAL MORTGAGE & EQUITY     EQUITY       62624B101     432      19,006 SH         DEFINED      4         --         --    19,006
MURPHY OIL CORP                 EQUITY       626717102   15195     217,419 SH          SOLE        1    217,419         --        --
MURPHY OIL CORP                 EQUITY       626717102     241        4213 SH         DEFINED      4         --         --        --
MURPHY OIL CORP                 EQUITY       626717102      17         238 SH          SOLE        2        238         --        --
MUTUALFIRST FINANCIAL INC       EQUITY       62845B104       3         186 SH         DEFINED      4         --         --       186
MVC CAPITAL INC                 EQUITY       553829102     393      21,182 SH          SOLE        1     21,182         --        --
MVC CAPITAL INC                 EQUITY       553829102    1024      56,597 SH         DEFINED      4         --         --    56,597
MWI VETERINARY SUPPLY INC       EQUITY       55402X105     989      26,208 SH          SOLE        1     26,208         --        --





                                                                                          
MWI VETERINARY SUPPLY INC       EQUITY       55402X105    2371      62,800 SH          SOLE        3     53,900         --     8,900
MYERS INDUSTRIES INC            EQUITY       628464109     554      27,971 SH          SOLE        1     27,971         --        --
MYERS INDUSTRIES INC            EQUITY       628464109      60       2,689 SH         DEFINED      4         --         --     2,689
MYLAN INC                       EQUITY       628530107    7687     481,655 SH          SOLE        1    481,655         --        --
MYLAN INC                       EQUITY       628530107    3448     153,981 SH         DEFINED      4         --         --   153,981
MYLAN INC                       EQUITY       628530107       5         314 SH          SOLE        2        314         --        --
MYRIAD GENETICS INC             EQUITY       62855J104    1955      37,497 SH          SOLE        1     37,497         --        --
MYRIAD GENETICS INC             EQUITY       62855J104      61       1,175 SH         DEFINED      4         --         --     1,175
N B T BANCORP INC               EQUITY       628778102     644      29,644 SH          SOLE        1     29,644         --        --
N B T BANCORP INC               EQUITY       628778102     525      22,840 SH         DEFINED      4         --         --    22,840
NABI BIOPHARMACEUTICALS         EQUITY       629519109     214      52,769 SH          SOLE        1     52,769         --        --
NABI BIOPHARMACEUTICALS         EQUITY       629519109      17       3,300 SH         DEFINED      4         --         --     3,300
NABORS INDUSTRIES INC           FIXED INCOME 629568AL0      29          27 PRN        DEFINED      4         --         --        --
NABORS INDUSTRIES LTD           EQUITY       G6359F103    2777      83,166 SH         DEFINED      4         --         --    83,166
NABORS INDUSTRIES LTD           EQUITY       G6359F103      11         355 SH          SOLE        2        355         --        --
NACCO INDUSTRIES-CL A           EQUITY       629579103     525       5,076 SH          SOLE        1      5,076         --        --
NALCO HOLDING CO                EQUITY       62985Q101      55       1,849 SH          SOLE        1      1,849         --        --
NALCO HOLDING CO                EQUITY       62985Q101      18         731 SH         DEFINED      4         --         --       731
NAM TAI ELECTRONICS INC         EQUITY       629865205      64       5,080 SH         DEFINED      4         --         --     5,080
NANOGEN INC                     EQUITY       630075109      38      51,640 SH         DEFINED      4         --         --    51,640
NANOMETRICS INC                 EQUITY       630077105       9       1,500 SH         DEFINED      4         --         --     1,500
NANOPHASE TECHNOLOGIES CORP     EQUITY       630079101     167      25,130 SH         DEFINED      4         --         --    25,130
NAPCO SECURITY SYSTEMS INC      EQUITY       630402105      15       2,475 SH         DEFINED      4         --         --     2,475
NAPSTER INC                     EQUITY       630797108      19       5,841 SH          SOLE        1      5,841         --        --
NAPSTER INC                     EQUITY       630797108      23       5,477 SH         DEFINED      4         --         --     5,477
NARA BANCORP INC                EQUITY       63080P105     348      22,282 SH          SOLE        1     22,282         --        --
NARA BANCORP INC                EQUITY       63080P105       4         235 SH         DEFINED      4         --         --       235
NASB FINANCIAL INC              EQUITY       628968109     119       3,313 SH          SOLE        1      3,313         --        --
NASDAQ PREMIUM INCOME & GROW    EQUITY       63110R105     169       8,529 SH         DEFINED      4         --         --     8,529
NASDAQ STOCK MARKET INC         EQUITY       631103108      73       1,933 SH          SOLE        1      1,933         --        --
NASDAQ STOCK MARKET INC         EQUITY       631103108      61       1,620 SH         DEFINED      4         --         --     1,620
NASH FINCH CO                   EQUITY       631158102     533      13,393 SH          SOLE        1     13,393         --        --
NASH FINCH CO                   EQUITY       631158102     227       5,250 SH         DEFINED      4         --         --     5,250
NASTECH PHARMACEUTICAL CO       EQUITY       631728409     295      22,162 SH          SOLE        1     22,162         --        --
NASTECH PHARMACEUTICAL CO       EQUITY       631728409       9         660 SH         DEFINED      4         --         --       660
NATCO GROUP INC-A               EQUITY       63227W203     903      17,447 SH          SOLE        1     17,447         --        --
NATCO GROUP INC-A               EQUITY       63227W203      46         880 SH         DEFINED      4         --         --       880
NATHAN'S FAMOUS INC             EQUITY       632347100      30       1,960 SH         DEFINED      4         --         --     1,960
NATIONAL BANK OF GREECE -ADR    EQUITY       633643408      55       4,803 SH         DEFINED      4         --         --     4,803
NATIONAL BEVERAGE CORP          EQUITY       635017106      75       8,871 SH          SOLE        1      8,871         --        --
NATIONAL CINEMEDIA INC          EQUITY       635309107     820      36,589 SH          SOLE        1     36,589         --        --
NATIONAL CINEMEDIA INC          EQUITY       635309107       1          32 SH         DEFINED      4         --         --        32
NATIONAL CITY CORP              EQUITY       635405103   20812     828,403 SH          SOLE        1    828,403         --        --
NATIONAL CITY CORP              EQUITY       635405103    4597     125,802 SH         DEFINED      4         --         --   125,802
NATIONAL CITY CORP              EQUITY       635405103      20         798 SH          SOLE        2        798         --        --
NATIONAL DENTEX CORP            EQUITY       63563H109       2         150 SH         DEFINED      4         --         --       150
NATIONAL FINANCIAL PARTNERS     EQUITY       63607P208    1738      32,808 SH          SOLE        1     32,808         --        --
NATIONAL FINANCIAL PARTNERS     EQUITY       63607P208     243       4,581 SH         DEFINED      4         --         --     4,581
NATIONAL FUEL GAS CO            EQUITY       636180101    9771     208,733 SH          SOLE        1    208,733         --        --
NATIONAL FUEL GAS CO            EQUITY       636180101    1824      38,440 SH         DEFINED      4         --         --    38,440
NATIONAL GRID PLC-SP ADR        EQUITY       636274300     802       9,990 SH         DEFINED      4         --         --     9,990
NATIONAL HEALTHCARE CORP        EQUITY       635906100     312       6,073 SH          SOLE        1      6,073         --        --
NATIONAL HEALTHCARE CORP        EQUITY       635906100     207       4,000 SH         DEFINED      4         --         --     4,000
NATIONAL INSTRUMENTS CORP       EQUITY       636518102    4879     142,131 SH          SOLE        1    142,131         --        --





                                                                                          
NATIONAL INSTRUMENTS CORP       EQUITY       636518102     173       5,031 SH         DEFINED      4         --         --     5,031
NATIONAL INTERSTATE CORP        EQUITY       63654U100     142       4,612 SH          SOLE        1      4,612         --        --
NATIONAL INTERSTATE CORP        EQUITY       63654U100      70       2,274 SH         DEFINED      4         --         --     2,274
NATIONAL LAMPOON INC            EQUITY       636637100      23       12000 SH         DEFINED      4         --         --        --
NATIONAL OILWELL VARCO INC      EQUITY       637071101   44593     309,348 SH          SOLE        1    309,348         --        --
NATIONAL OILWELL VARCO INC      EQUITY       637071101    2471       17103 SH         DEFINED      4         --         --        --
NATIONAL OILWELL VARCO INC      EQUITY       637071101    1420       9,825 SH          SOLE        2      9,825         --        --
NATIONAL PRESTO INDS INC        EQUITY       637215104     237       4,471 SH          SOLE        1      4,471         --        --
NATIONAL RETAIL PROPERTIES      EQUITY       637417106    1623      66,578 SH          SOLE        1     66,578         --        --
NATIONAL RETAIL PROPERTIES      EQUITY       637417106    4687     192,245 SH         DEFINED      4         --         --   192,245
NATIONAL RV HOLDINGS INC        EQUITY       637277104       7       3,100 SH         DEFINED      4         --         --     3,100
NATIONAL SEMICONDUCTOR CORP     EQUITY       637640103    6866     253,165 SH          SOLE        1    253,165         --        --
NATIONAL SEMICONDUCTOR CORP     EQUITY       637640103     196       7,181 SH         DEFINED      4         --         --     7,181
NATIONAL SEMICONDUCTOR CORP     EQUITY       637640103       8         303 SH          SOLE        2        303         --        --
NATIONWIDE FINANCIAL SERV- A    EQUITY       638612101     122       2,266 SH          SOLE        1      2,266         --        --
NATIONWIDE FINANCIAL SERV- A    EQUITY       638612101     107       1,992 SH         DEFINED      4         --         --     1,992
NATIONWIDE HEALTH PPTYS INC     EQUITY       638620104   11839     392,916 SH          SOLE        1    392,916         --        --
NATIONWIDE HEALTH PPTYS INC     EQUITY       638620104     739      22,441 SH         DEFINED      4         --         --    22,441
NATL HEALTH INVESTORS INC       EQUITY       63633D104      28         835 SH         DEFINED      4         --         --       835
NATL PENN BCSHS INC             EQUITY       637138108     700      42,757 SH          SOLE        1     42,757         --        --
NATL PENN BCSHS INC             EQUITY       637138108    7076     374,370 SH         DEFINED      4         --         --   374,370
NATL WESTERN LIFE INS-CL A      EQUITY       638522102     504       1,968 SH          SOLE        1      1,968         --        --
NATL WESTERN LIFE INS-CL A      EQUITY       638522102       6          23 SH         DEFINED      4         --         --        23
NATL WESTMINSTER BK PLC         EQUITY       638539882      13         500 SH         DEFINED      4         --         --       500
NATURAL ALTERNATIVES INTL       EQUITY       638842302       2         300 SH         DEFINED      4         --         --       300
NATURAL GAS SERVICES GROUP      EQUITY       63886Q109      25       1,450 SH         DEFINED      4         --         --     1,450
NATURAL RESOURCE PARTNERS LP    EQUITY       63900P103      95        2810 SH         DEFINED      4         --         --        --
NATURE VISION INC               EQUITY       63902E106     100      40,000 SH         DEFINED      4         --         --    40,000
NATUS MEDICAL INC               EQUITY       639050103     301      18,862 SH          SOLE        1     18,862         --        --
NAUTILUS INC                    EQUITY       63910B102     250      31,409 SH          SOLE        1     31,409         --        --
NAUTILUS INC                    EQUITY       63910B102       1         108 SH         DEFINED      4         --         --       108
NAVARRE CORP                    EQUITY       639208107      22       4,900 SH         DEFINED      4         --         --     4,900
NAVIGANT CONSULTING INC         EQUITY       63935N107    1918     151,500 SH          SOLE        1    151,500         --        --
NAVIGANT CONSULTING INC         EQUITY       63935N107      20       1,040 SH         DEFINED      4         --         --     1,040
NAVIGATORS GROUP INC            EQUITY       638904102     621      11,441 SH          SOLE        1     11,441         --        --
NAVIGATORS GROUP INC            EQUITY       638904102     448       8,250 SH          SOLE        2      8,250         --        --
NAVIOS MARITIME HOLDINGS INC    EQUITY       Y62196103      77       5,852 SH         DEFINED      4         --         --     5,852
NAVISITE INC                    EQUITY       63935M208       1         128 SH         DEFINED      4         --         --       128
NAVTEQ CORP                     EQUITY       63936L100     162       2,075 SH          SOLE        1      2,075         --        --
NAVTEQ CORP                     EQUITY       63936L100   12335     158,200 SH          SOLE        3     64,400         --    93,800
NAVTEQ CORP                     EQUITY       63936L100     230       6,196 SH         DEFINED      4         --         --     6,196
NAVTEQ CORP                     EQUITY       63936L100    2573      33,000 SH          SOLE        2     33,000         --        --
NBTY INC                        EQUITY       628782104    5762     141,927 SH          SOLE        1    141,927         --        --
NBTY INC                        EQUITY       628782104     271       5,259 SH         DEFINED      4         --         --     5,259
NCI BUILDING SYSTEMS INC        EQUITY       628852105     868      20,096 SH          SOLE        1     20,096         --        --
NCR CORPORATION                 EQUITY       62886E108    4165      83,636 SH          SOLE        1     83,636         --        --
NCR CORPORATION                 EQUITY       62886E108     944      18,079 SH         DEFINED      4         --         --    18,079
NCR CORPORATION                 EQUITY       62886E108      11         228 SH          SOLE        2        228         --        --
NDS GROUP PLC-SPONS ADR         EQUITY       628891103      10         200 SH         DEFINED      4         --         --       200
NEC CORP -SPONSORED ADR         EQUITY       629050204      59      11,045 SH         DEFINED      4         --         --    11,045
NEENAH PAPER INC                EQUITY       640079109     490      14,806 SH          SOLE        1     14,806         --        --
NEENAH PAPER INC                EQUITY       640079109     110       2,867 SH         DEFINED      4         --         --     2,867
NEKTAR THERAPEUTICS             EQUITY       640268108     706      79,905 SH          SOLE        1     79,905         --        --
NEKTAR THERAPEUTICS             EQUITY       640268108      83       7,264 SH         DEFINED      4         --         --     7,264





                                                                                          
NEKTAR THERAPEUTICS             FIXED INCOME 640268AH1    4267   5,000,000 PRN         SOLE        1  5,000,000         --        --
NELNET INC-CL A                 EQUITY       64031N108     278      15,228 SH          SOLE        1     15,228         --        --
NELNET INC-CL A                 EQUITY       64031N108       2          75 SH         DEFINED      4         --         --        75
NELNET INC-CL A                 EQUITY       64031N108    1175      64,400 SH          SOLE        2     64,400         --        --
NEOGEN CORP                     EQUITY       640491106      27       1,141 SH         DEFINED      4         --         --     1,141
NEOPHARM INC                    EQUITY       640919106       2       1,500 SH         DEFINED      4         --         --     1,500
NEOWARE INC                     EQUITY       64065P102       8         765 SH         DEFINED      4         --         --       765
NESS TECHNOLOGIES INC           EQUITY       64104X108     559      51,193 SH          SOLE        1     51,193         --        --
NET 1 UEPS TECHNOLOGIES INC     EQUITY       64107N206     990      36,431 SH          SOLE        1     36,431         --        --
NETEASE.COM INC -ADR            EQUITY       64110W102      10         550 SH         DEFINED      4         --         --       550
NETFLIX INC                     EQUITY       64110L106    3378     162,820 SH          SOLE        1    162,820         --        --
NETFLIX INC                     EQUITY       64110L106      37       1,687 SH         DEFINED      4         --         --     1,687
NETGEAR INC                     EQUITY       64111Q104    1051      34,564 SH          SOLE        1     34,564         --        --
NETGEAR INC                     EQUITY       64111Q104      70       2,000 SH         DEFINED      4         --         --     2,000
NETLOGIC MICROSYSTEMS INC       EQUITY       64118B100    2079      57,561 SH          SOLE        1     57,561         --        --
NETLOGIC MICROSYSTEMS INC       EQUITY       64118B100    6243     172,900 SH          SOLE        3    152,500         --    20,400
NETLOGIC MICROSYSTEMS INC       EQUITY       64118B100       3          93 SH         DEFINED      4         --         --        93
NETWORK APPLIANCE INC           EQUITY       64120L104    4800     178,360 SH          SOLE        1    178,360         --        --
NETWORK APPLIANCE INC           EQUITY       64120L104     614      22,822 SH         DEFINED      4         --         --    22,822
NETWORK APPLIANCE INC           EQUITY       64120L104    2515      93,449 SH          SOLE        2     93,449         --        --
NETWORK ENGINES INC             EQUITY       64121A107      14       7,565 SH         DEFINED      4         --         --     7,565
NETWORK EQUIPMENT TECH INC      EQUITY       641208103     383      26,399 SH          SOLE        1     26,399         --        --
NETWORK EQUIPMENT TECH INC      EQUITY       641208103       7         606 SH         DEFINED      4         --         --       606
NEUBERGER BERMAN CA INT MUNI    EQUITY       64123C101      27       1,825 SH         DEFINED      4         --         --     1,825
NEUBERGER BERMAN DVD ADV FD     EQUITY       64127J102     204       8,005 SH         DEFINED      4         --         --     8,005
NEUBERGER BERMAN INCOME OPP     EQUITY       64126L108     258      14,614 SH         DEFINED      4         --         --    14,614
NEUBERGER BERMAN INTMD MUNI     EQUITY       64124P101       5         350 SH         DEFINED      4         --         --       350
NEUBERGER BERMAN REAL ESTATE    EQUITY       64190A103      84       4,363 SH         DEFINED      4         --         --     4,363
NEUBERGER BERMAN REALTY INC     EQUITY       64126G109      80       3,819 SH         DEFINED      4         --         --     3,819
NEURALSTEM INC                  EQUITY       64127R302       9       2,800 SH         DEFINED      4         --         --     2,800
NEUROCHEM INC                   EQUITY       64125K101       2         258 SH         DEFINED      4         --         --       258
NEUROCRINE BIOSCIENCES INC      EQUITY       64125C109     332      33,178 SH          SOLE        1     33,178         --        --
NEUROGEN CORP                   EQUITY       64124E106     122      27,481 SH          SOLE        1     27,481         --        --
NEUROGEN CORP                   EQUITY       64124E106      22       2,771 SH         DEFINED      4         --         --     2,771
NEUSTAR INC-CLASS A             EQUITY       64126X201    8123     236,904 SH          SOLE        1    236,904         --        --
NEUSTAR INC-CLASS A             EQUITY       64126X201      11         353 SH         DEFINED      4         --         --       353
NEUSTAR INC-CLASS A             EQUITY       64126X201    9498     277,000 SH          SOLE        2    277,000         --        --
NEVADA CHEMICALS INC            EQUITY       64127C107     267      27,850 SH         DEFINED      4         --         --    27,850
NEVSUN RESOURCES LTD            EQUITY       64156L101      24      11,070 SH         DEFINED      4         --         --    11,070
NEW AMERICA HIGH INCOME FUND    EQUITY       641876107     103      44,479 SH         DEFINED      4         --         --    44,479
NEW DRAGON ASIA CORP            EQUITY       64378H102       7       5,500 SH         DEFINED      4         --         --     5,500
NEW GERMANY FUND                EQUITY       644465106     107       6,111 SH         DEFINED      4         --         --     6,111
NEW IRELAND FUND INC            EQUITY       645673104      23         639 SH         DEFINED      4         --         --       639
NEW JERSEY RESOURCES CORP       EQUITY       646025106    1385      27,936 SH          SOLE        1     27,936         --        --
NEW JERSEY RESOURCES CORP       EQUITY       646025106     108       1,968 SH         DEFINED      4         --         --     1,968
NEW ORIENTAL EDUCATIO-SP ADR    EQUITY       647581107      36         743 SH         DEFINED      4         --         --       743
NEW YORK & CO                   EQUITY       649295102     115      18,898 SH          SOLE        1     18,898         --        --
NEW YORK COMMUNITY BANCORP      EQUITY       649445103   14958     785,172 SH          SOLE        1    785,172         --        --
NEW YORK COMMUNITY BANCORP      EQUITY       649445103     697      36,566 SH         DEFINED      4         --         --    36,566
NEW YORK TIMES CO -CL A         EQUITY       650111107    1363      68,962 SH          SOLE        1     68,962         --        --
NEW YORK TIMES CO -CL A         EQUITY       650111107     328      12,684 SH         DEFINED      4         --         --    12,684
NEW YORK TIMES CO -CL A         EQUITY       650111107       4         181 SH          SOLE        2        181         --        --
NEWALLIANCE BANCSHARES INC      EQUITY       650203102    1451      98,818 SH          SOLE        1     98,818         --        --
NEWBRIDGE BANCORP               EQUITY       65080T102      15       1,217 SH         DEFINED      4         --         --     1,217





                                                                                          
NEWCASTLE INVESTMENT CORP       EQUITY       65105M108    3021     171,439 SH          SOLE        1    171,439         --        --
NEWCASTLE INVESTMENT CORP       EQUITY       65105M108     358      12,032 SH         DEFINED      4         --         --    12,032
NEWELL RUBBERMAID INC           EQUITY       651229106   10649     369,497 SH          SOLE        1    369,497         --        --
NEWELL RUBBERMAID INC           EQUITY       651229106     713      23,152 SH         DEFINED      4         --         --    23,152
NEWELL RUBBERMAID INC           EQUITY       651229106      10         348 SH          SOLE        2        348         --        --
NEWFIELD EXPLORATION CO         EQUITY       651290108   15638     324,708 SH          SOLE        1    324,708         --        --
NEWFIELD EXPLORATION CO         EQUITY       651290108     455      10,115 SH         DEFINED      4         --         --    10,115
NEWMARKET CORP                  EQUITY       651587107     658      13,329 SH          SOLE        1     13,329         --        --
NEWMARKET CORP                  EQUITY       651587107      12         249 SH         DEFINED      4         --         --       249
NEWMONT MINING CORP             EQUITY       651639106    8555     191,250 SH          SOLE        1    191,250         --        --
NEWMONT MINING CORP             EQUITY       651639106     715      15,979 SH         DEFINED      4         --         --    15,979
NEWMONT MINING CORP             EQUITY       651639106     280       6,269 SH          SOLE        2      6,269         --        --
NEWPARK RESOURCES INC           EQUITY       651718504     421      78,457 SH          SOLE        1     78,457         --        --
NEWPARK RESOURCES INC           EQUITY       651718504      59      11,085 SH         DEFINED      4         --         --    11,085
NEWPORT CORP                    EQUITY       651824104     541      35,490 SH          SOLE        1     35,490         --        --
NEWPORT CORP                    EQUITY       651824104      44       2,755 SH         DEFINED      4         --         --     2,755
NEWS CORP-CL A                  EQUITY       65248E104   65260   2,970,499 SH          SOLE        1  2,970,499         --        --
NEWS CORP-CL A                  EQUITY       65248E104    1637      74,461 SH         DEFINED      4         --         --    74,461
NEWS CORP-CL A                  EQUITY       65248E104   14548     661,564 SH          SOLE        2    661,564         --        --
NEWS CORP-CLASS B               EQUITY       65248E203     463      19,397 SH         DEFINED      4         --         --    19,397
NEWSTAR FINANCIAL INC           EQUITY       65251F105     135      11,999 SH          SOLE        1     11,999         --        --
NEWTEK BUSINESS SERVICES INC    EQUITY       652526104    2152   1,280,683 SH          SOLE        1  1,280,683         --        --
NEXCEN BRANDS INC               EQUITY       653351106     246      36,561 SH          SOLE        1     36,561         --        --
NEXCEN BRANDS INC               EQUITY       653351106      13       1,065 SH         DEFINED      4         --         --     1,065
NEXEN INC                       EQUITY       65334H102    6026     197,210 SH          OTHER       1         --    197,210        --
NEXEN INC                       EQUITY       65334H102    1499      24,789 SH         DEFINED      4         --         --    24,789
NEXSTAR BROADCASTING GROUP-A    EQUITY       65336K103      98       9,347 SH          SOLE        1      9,347         --        --
NEXSTAR BROADCASTING GROUP-A    EQUITY       65336K103       1         300 SH         DEFINED      4         --         --       300
NEXTEL COMMUNICATIONS           FIXED INCOME 65332VAY9      28          28 PRN        DEFINED      4         --         --        --
NEXTEST SYSTEMS CORP            EQUITY       653339101      22       1,723 SH         DEFINED      4         --         --     1,723
NEXTWAVE WIRELESS INC           EQUITY       65337Y102     148      25,853 SH          SOLE        1     25,853         --        --
NFJ DVD INTEREST & PR STRAT     EQUITY       65337H109    2122      81,527 SH         DEFINED      4         --         --    81,527
NGAS RESOURCES INC              EQUITY       62912T103      33       4,274 SH         DEFINED      4         --         --     4,274
NGP CAPITAL RESOURCES CO        EQUITY       62912R107     246      15,173 SH          SOLE        1     15,173         --        --
NGP CAPITAL RESOURCES CO        EQUITY       62912R107      29       1,815 SH         DEFINED      4         --         --     1,815
NIC INC                         EQUITY       62914B100     237      34,109 SH          SOLE        1     34,109         --        --
NIC INC                         EQUITY       62914B100       1         200 SH         DEFINED      4         --         --       200
NIC INC                         EQUITY       62914B100     278      40,000 SH          SOLE        2     40,000         --        --
NICE SYSTEMS LTD-SPONS ADR      EQUITY       653656108      26         736 SH         DEFINED      4         --         --       736
NICHOLAS FINANCIAL INC          EQUITY       65373J209      21       1,793 SH         DEFINED      4         --         --     1,793
NICHOLAS-APPLE INTL & PR STR    EQUITY       65370C108     126       4,646 SH         DEFINED      4         --         --     4,646
NICHOLAS-APPLEGATE CVT & INC    EQUITY       65370F101    3678     222,206 SH         DEFINED      4         --         --   222,206
NICHOLAS-APPLGATE C & I II      EQUITY       65370G109     787      53,338 SH         DEFINED      4         --         --    53,338
NICOR INC                       EQUITY       654086107   21245     495,220 SH          SOLE        1    495,220         --        --
NICOR INC                       EQUITY       654086107    1454      28,286 SH         DEFINED      4         --         --    28,286
NICOR INC                       EQUITY       654086107       2          57 SH          SOLE        2         57         --        --
NIDEC CORPORATION-ADR           EQUITY       654090109       6         332 SH         DEFINED      4         --         --       332
NIGHTHAWK RADIOLOGY HOLDINGS    EQUITY       65411N105     451      18,392 SH          SOLE        1     18,392         --        --
NIGHTHAWK RADIOLOGY HOLDINGS    EQUITY       65411N105     112       4,559 SH         DEFINED      4         --         --     4,559
NII HOLDINGS INC                EQUITY       62913F201     910      11,080 SH          SOLE        1     11,080         --        --
NII HOLDINGS INC                EQUITY       62913F201     141       1,716 SH         DEFINED      4         --         --     1,716
NII HOLDINGS INC                EQUITY       62913F201    5192      63,200 SH          SOLE        2     63,200         --        --
NIKE INC -CL B                  EQUITY       654106103   52443     894,360 SH          SOLE        1    894,360         --        --
NIKE INC -CL B                  EQUITY       654106103    1483      27,535 SH         DEFINED      4         --         --    27,535





                                                                                          
NIKE INC -CL B                  EQUITY       654106103      29         487 SH          SOLE        2        487         --        --
NIPPON TELEGRAPH & TELE-ADR     EQUITY       654624105    1945      83,492 SH         DEFINED      4         --         --    83,492
NIS GROUP CO LTD - ADR          EQUITY       654655109       2         450 SH         DEFINED      4         --         --       450
NISOURCE INC                    EQUITY       65473P105   19423   1,014,070 SH          SOLE        1  1,014,070         --        --
NISOURCE INC                    EQUITY       65473P105    1376      54,395 SH         DEFINED      4         --         --    54,395
NISOURCE INC                    EQUITY       65473P105       7         346 SH          SOLE        2        346         --        --
NISSAN MOTOR CO LTD-SPON ADR    EQUITY       654744408     365      17,903 SH         DEFINED      4         --         --    17,903
NITROMED INC                    EQUITY       654798503     235     133,346 SH          SOLE        1    133,346         --        --
NL INDUSTRIES                   EQUITY       629156407      70       6,189 SH          SOLE        1      6,189         --        --
NL INDUSTRIES                   EQUITY       629156407     114       9,354 SH         DEFINED      4         --         --     9,354
NMT MEDICAL INC                 EQUITY       629294109       2         100 SH         DEFINED      4         --         --       100
NN INC                          EQUITY       629337106       1         100 SH         DEFINED      4         --         --       100
NOBLE CORP                      EQUITY       G65422100    1245      25,384 SH         DEFINED      4         --         --    25,384
NOBLE CORP                      EQUITY       G65422100      17         339 SH          SOLE        2        339         --        --
NOBLE ENERGY INC                EQUITY       655044105   40294     575,303 SH          SOLE        1    575,303         --        --
NOBLE ENERGY INC                EQUITY       655044105     805      11,496 SH         DEFINED      4         --         --    11,496
NOBLE INTERNATIONAL LTD         EQUITY       655053106     217      10,215 SH          SOLE        1     10,215         --        --
NOKIA CORP-SPON ADR             EQUITY       654902204    1358      35,800 SH          SOLE        1     35,800         --        --
NOKIA CORP-SPON ADR             EQUITY       654902204    2892     115,388 SH         DEFINED      4         --         --   115,388
NOMURA HOLDINGS INC-ADR         EQUITY       65535H208     286      14,230 SH         DEFINED      4         --         --    14,230
NORDIC AMER TANKER SHIPPING     EQUITY       G65773106     670      17,515 SH         DEFINED      4         --         --    17,515
NORDSON CORP                    EQUITY       655663102    5661     112,742 SH          SOLE        1    112,742         --        --
NORDSTROM INC                   EQUITY       655664100    4229      90,192 SH          SOLE        1     90,192         --        --
NORDSTROM INC                   EQUITY       655664100     875      15,796 SH         DEFINED      4         --         --    15,796
NORDSTROM INC                   EQUITY       655664100      12         249 SH          SOLE        2        249         --        --
NORFOLK SOUTHERN CORP           EQUITY       655844108   24156     465,339 SH          SOLE        1    465,339         --        --
NORFOLK SOUTHERN CORP           EQUITY       655844108    1979      37,088 SH         DEFINED      4         --         --    37,088
NORFOLK SOUTHERN CORP           EQUITY       655844108      26         496 SH          SOLE        2        496         --        --
NORSK HYDRO AS-SPONS ADR        EQUITY       656531605     203       5,514 SH         DEFINED      4         --         --     5,514
NORTEL NETWORKS CORP            EQUITY       656568508     149       8,996 SH          OTHER       1         --      8,996        --
NORTEL NETWORKS CORP            EQUITY       656568508     947      38,234 SH         DEFINED      4         --         --    38,234
NORTEL NETWORKS CORP            FIXED INCOME 656568AB8       2           2 PRN        DEFINED      4         --         --        --
NORTH AMER PALLADIUM LTD        EQUITY       656912102      39       5,150 SH         DEFINED      4         --         --     5,150
NORTH AMERICAN GALVANIZING &    EQUITY       65686Y109      75       5,917 SH         DEFINED      4         --         --     5,917
NORTH EUROPEAN OIL RTY TRUST    EQUITY       659310106     304       7,690 SH         DEFINED      4         --         --     7,690
NORTH PITTSBURGH SYSTEMS        EQUITY       661562108     312      13,113 SH          SOLE        1     13,113         --        --
NORTH PITTSBURGH SYSTEMS        EQUITY       661562108       6         300 SH         DEFINED      4         --         --       300
NORTH POINTE HOLDINGS CORP      EQUITY       661696104       3         239 SH         DEFINED      4         --         --       239
NORTHEAST UTILITIES             EQUITY       664397106   11134     389,714 SH          SOLE        1    389,714         --        --
NORTHERN DYNASTY MINERALS       EQUITY       66510M204      96       7,650 SH         DEFINED      4         --         --     7,650
NORTHERN ORION RESOURCES INC    EQUITY       665575106      47       9,150 SH         DEFINED      4         --         --     9,150
NORTHERN STATES FINL CORP       EQUITY       665751103      10         500 SH         DEFINED      4         --         --       500
NORTHERN TRUST CORP             EQUITY       665859104    7775     117,317 SH          SOLE        1    117,317         --        --
NORTHERN TRUST CORP             EQUITY       665859104     324       4,892 SH         DEFINED      4         --         --     4,892
NORTHERN TRUST CORP             EQUITY       665859104      16         241 SH          SOLE        2        241         --        --
NORTHFIELD LABORATORIES INC     EQUITY       666135108      40       8,959 SH         DEFINED      4         --         --     8,959
NORTHGATE MINERALS CORP         EQUITY       666416102      37      13,094 SH         DEFINED      4         --         --    13,094
NORTHROP GRUMMAN CORP           EQUITY       666807102   18202     233,361 SH          SOLE        1    233,361         --        --
NORTHROP GRUMMAN CORP           EQUITY       666807102      34         433 SH          SOLE        2        433         --        --
NORTHSTAR NEUROSCIENCE INC      EQUITY       66704V101     190      16,987 SH          SOLE        1     16,987         --        --
NORTHSTAR NEUROSCIENCE INC      EQUITY       66704V101       3         188 SH         DEFINED      4         --         --       188
NORTHWEST AIRLINES CORP         EQUITY       667280408     413      23,176 SH          SOLE        1     23,176         --        --
NORTHWEST BANCORP INC           EQUITY       667328108     454      15,945 SH          SOLE        1     15,945         --        --
NORTHWEST BANCORP INC           EQUITY       667328108      54       1,940 SH         DEFINED      4         --         --     1,940





                                                                                          
NORTHWEST NATURAL GAS CO        EQUITY       667655104    1228      26,863 SH          SOLE        1     26,863         --        --
NORTHWEST NATURAL GAS CO        EQUITY       667655104     742      14,240 SH         DEFINED      4         --         --    14,240
NORTHWEST PIPE COMPANY          EQUITY       667746101     865      22,870 SH          SOLE        1     22,870         --        --
NORTHWEST PIPE COMPANY          EQUITY       667746101      18         500 SH         DEFINED      4         --         --       500
NORTHWESTERN CORP               EQUITY       668074305     850      31,285 SH          SOLE        1     31,285         --        --
NORTHWESTERN CORP               EQUITY       668074305       2          75 SH         DEFINED      4         --         --        75
NORTHWESTERN CORP-CW07          EQUITY       668074115       2         145 SH         DEFINED      4         --         --       145
NOVA BIOSOURCE FUELS INC        EQUITY       65488W103      76      27,163 SH          SOLE        1     27,163         --        --
NOVA BIOSOURCE FUELS INC        EQUITY       65488W103      21       6,885 SH         DEFINED      4         --         --     6,885
NOVA CHEMICALS CORP             EQUITY       66977W109      72       1,839 SH          OTHER       1         --      1,839        --
NOVA CHEMICALS CORP             EQUITY       66977W109      15         380 SH         DEFINED      4         --         --       380
NOVACEA INC                     EQUITY       66987B103      46       5,726 SH          SOLE        1      5,726         --        --
NOVACEA INC                     EQUITY       66987B103       1         100 SH         DEFINED      4         --         --       100
NOVAGOLD RESOURCES INC          EQUITY       66987E206     306      18,499 SH         DEFINED      4         --         --    18,499
NOVAGOLD RESOURCES INC          EQUITY       66987E206    7017     425,000 SH          SOLE        2    425,000         --        --
NOVARTIS AG-ADR                 EQUITY       66987V109    1929      35,097 SH         DEFINED      4         --         --    35,097
NOVASTAR FINANCIAL INC          EQUITY       669947889      73       8,225 SH          SOLE        1      8,225         --        --
NOVASTAR FINANCIAL INC          EQUITY       669947889      34       3,849 SH         DEFINED      4         --         --     3,849
NOVATEL WIRELESS INC            EQUITY       66987M604     694      30,647 SH          SOLE        1     30,647         --        --
NOVATEL WIRELESS INC            EQUITY       66987M604       3         143 SH         DEFINED      4         --         --       143
NOVAVAX INC                     EQUITY       670002104      77      23,800 SH         DEFINED      4         --         --    23,800
NOVELL INC                      EQUITY       670006105    2093     273,933 SH          SOLE        1    273,933         --        --
NOVELL INC                      EQUITY       670006105     491      64,285 SH         DEFINED      4         --         --    64,285
NOVELL INC                      EQUITY       670006105       3         441 SH          SOLE        2        441         --        --
NOVELLUS SYSTEMS INC            EQUITY       670008101    4162     152,690 SH          SOLE        1    152,690         --        --
NOVELLUS SYSTEMS INC            EQUITY       670008101      77       2,272 SH         DEFINED      4         --         --     2,272
NOVELLUS SYSTEMS INC            EQUITY       670008101       4         156 SH          SOLE        2        156         --        --
NOVEN PHARMACEUTICALS INC       EQUITY       670009109     395      24,822 SH          SOLE        1     24,822         --        --
NOVOGEN LIMITED-SPONS ADR       EQUITY       67010F103      11         515 SH         DEFINED      4         --         --       515
NOVO-NORDISK A/S-SPONS ADR      EQUITY       670100205     138       1,143 SH         DEFINED      4         --         --     1,143
NPS PHARMACEUTICALS INC         EQUITY       62936P103      11       2,862 SH         DEFINED      4         --         --     2,862
NRG ENERGY INC                  EQUITY       629377508   11230     265,551 SH          SOLE        1    265,551         --        --
NSTAR                           EQUITY       67019E107    9383     269,556 SH          SOLE        1    269,556         --        --
NSTAR                           EQUITY       67019E107     415      11,254 SH         DEFINED      4         --         --    11,254
NTELOS HOLDINGS CORP            EQUITY       67020Q107     713      24,187 SH          SOLE        1     24,187         --        --
NTELOS HOLDINGS CORP            EQUITY       67020Q107      31       1,364 SH         DEFINED      4         --         --     1,364
NTN BUZZTIME INC                EQUITY       629410309      38      45,639 SH          SOLE        1     45,639         --        --
NTN BUZZTIME INC                EQUITY       629410309       1       1,450 SH         DEFINED      4         --         --     1,450
NTR ACQUISITION CO              EQUITY       629415100     203      21,370 SH          SOLE        1     21,370         --        --
NTS REALTY HOLDINGS LP          EQUITY       629422106      24       3,298 SH         DEFINED      4         --         --     3,298
NTT DOCOMO INC-SPON ADR         EQUITY       62942M201      18       1,296 SH         DEFINED      4         --         --     1,296
NU SKIN ENTERPRISES INC - A     EQUITY       67018T105     708      43,837 SH          SOLE        1     43,837         --        --
NUANCE COMMUNICATIONS INC       EQUITY       67020Y100    2216     114,770 SH          SOLE        1    114,770         --        --
NUANCE COMMUNICATIONS INC       EQUITY       67020Y100     573      29,666 SH         DEFINED      4         --         --    29,666
NUCO2 INC                       EQUITY       629428103     345      13,413 SH          SOLE        1     13,413         --        --
NUCOR CORP                      EQUITY       670346105   22862     385,541 SH          SOLE        1    385,541         --        --
NUCOR CORP                      EQUITY       670346105      22         363 SH          SOLE        2        363         --        --
NUSTAR ENERGY LP                EQUITY       67058H102    2258      38,000 SH          SOLE        1     38,000         --        --
NUSTAR ENERGY LP                EQUITY       67058H102    1443      24,289 SH         DEFINED      4         --         --    24,289
NUSTAR GP HOLDINGS LLC          EQUITY       67059L102       6         200 SH         DEFINED      4         --         --       200
NUTRISYSTEM INC                 EQUITY       67069D108      34         730 SH          SOLE        1        730         --        --
NUTRISYSTEM INC                 EQUITY       67069D108      52         830 SH         DEFINED      4         --         --       830
NUTRISYSTEM INC                 EQUITY       67069D108   30733     655,422 SH          SOLE        2    655,422         --        --
NUTRITION 21 INC                EQUITY       67069V108      80      38,253 SH         DEFINED      4         --         --    38,253





                                                                                          
NUVASIVE INC                    EQUITY       670704105    1817      50,563 SH          SOLE        1     50,563         --        --
NUVASIVE INC                    EQUITY       670704105       7         257 SH         DEFINED      4         --         --       257
NUVEEN ARIZONA DVD ADV MUN 3    EQUITY       67072E101      67       5,000 SH         DEFINED      4         --         --     5,000
NUVEEN ARIZONA PREMIUM INC      EQUITY       67061W104     114       8,000 SH         DEFINED      4         --         --     8,000
NUVEEN AZ DVD ADV MUNI FD 2     EQUITY       67071P107      51       3,345 SH         DEFINED      4         --         --     3,345
NUVEEN CA DVD ADV MUNI FD 3     EQUITY       67070Y109      43       2,800 SH         DEFINED      4         --         --     2,800
NUVEEN CA SEL T/F INC PORT      EQUITY       67063R103    1113      80,033 SH         DEFINED      4         --         --    80,033
NUVEEN CAL INV QUAL MUNI FD     EQUITY       67062A101     118       7,931 SH         DEFINED      4         --         --     7,931
NUVEEN CAL MUNI MKT OPPOR FD    EQUITY       67062U107      37       2,650 SH         DEFINED      4         --         --     2,650
NUVEEN CAL MUNI VALUE FUND      EQUITY       67062C107     105      10,208 SH         DEFINED      4         --         --    10,208
NUVEEN CALIF DIV ADVAN MUNI     EQUITY       67066Y105     274      17,251 SH         DEFINED      4         --         --    17,251
NUVEEN CALIF PERF+ MUNI FD      EQUITY       67062Q106      48       3,426 SH         DEFINED      4         --         --     3,426
NUVEEN CALIF QUALITY INC MUN    EQUITY       670985100     127       8,837 SH         DEFINED      4         --         --     8,837
NUVEEN CALIF SELECT QUALITY     EQUITY       670975101     421      30,566 SH         DEFINED      4         --         --    30,566
NUVEEN DIV DIVIDEND AND INCM    EQUITY       6706EP105      24       1,449 SH         DEFINED      4         --         --     1,449
NUVEEN DIVIDEND ADV MUNI 3      EQUITY       67070X101     163      10,234 SH         DEFINED      4         --         --    10,234
NUVEEN DVD ADV MUNI FD 2        EQUITY       67070F100     718      41,692 SH         DEFINED      4         --         --    41,692
NUVEEN DVD ADVANTAGE MUNI FD    EQUITY       67066V101     297      19,345 SH         DEFINED      4         --         --    19,345
NUVEEN EQTY PREMIUM ADVANTAG    EQUITY       6706ET107      58       3,365 SH         DEFINED      4         --         --     3,365
NUVEEN EQUITY PREM & GROWTH     EQUITY       6706EW100       3         155 SH         DEFINED      4         --         --       155
NUVEEN EQUITY PREM OPP FUND     EQUITY       6706EM102     156       8,363 SH         DEFINED      4         --         --     8,363
NUVEEN EQUITY PREMIUM INCOME    EQUITY       6706ER101     214      11,423 SH         DEFINED      4         --         --    11,423
NUVEEN FLOATING RATE INCOME     EQUITY       67072T108     308      21,498 SH         DEFINED      4         --         --    21,498
NUVEEN FLOATING RT INC OPP      EQUITY       6706EN100      82       6,467 SH         DEFINED      4         --         --     6,467
NUVEEN FLORIDA INV QUAL MUNI    EQUITY       670970102     465      32,833 SH         DEFINED      4         --         --    32,833
NUVEEN FLORIDA QUAL INC MUNI    EQUITY       670978105      76       5,626 SH         DEFINED      4         --         --     5,626
NUVEEN GEORGIA DVD ADV MU 2     EQUITY       67072B107      76       5,174 SH         DEFINED      4         --         --     5,174
NUVEEN GEORGIA DVD ADV MUNI     EQUITY       67070T100      20        1250 SH         DEFINED      4         --         --        --
NUVEEN GEORGIA PREMIUM INC      EQUITY       67060F102      66       4,550 SH         DEFINED      4         --         --     4,550
NUVEEN INS T/F ADV MUNICIPAL    EQUITY       670657105     330      22,526 SH         DEFINED      4         --         --    22,526
NUVEEN INSD CA DVD ADV MUNI     EQUITY       67071M104     200      13,969 SH         DEFINED      4         --         --    13,969
NUVEEN INSD CALIF PREM INC      EQUITY       67061X102     141       9,106 SH         DEFINED      4         --         --     9,106
NUVEEN INSD CALIF PREM INC 2    EQUITY       67061U108      76       5,481 SH         DEFINED      4         --         --     5,481
NUVEEN INSD DVD ADV MUNI FD     EQUITY       67071L106     247      16,130 SH         DEFINED      4         --         --    16,130
NUVEEN INSD FLORIDA PREMIUM     EQUITY       67101V108     142      10,295 SH         DEFINED      4         --         --    10,295
NUVEEN INSD MUNI OPPORTUNITY    EQUITY       670984103     449      30,068 SH         DEFINED      4         --         --    30,068
NUVEEN INSD NEW YORK PREMIUM    EQUITY       67101R107      12         800 SH         DEFINED      4         --         --       800
NUVEEN INSD NY DVD ADV MUNI     EQUITY       67071N102      39       2,571 SH         DEFINED      4         --         --     2,571
NUVEEN INSD PREM INC MUNI II    EQUITY       6706D8104     177      13,346 SH         DEFINED      4         --         --    13,346
NUVEEN INSD QUALITY MUNI FD     EQUITY       67062N103     165      11,223 SH         DEFINED      4         --         --    11,223
NUVEEN INV QUALITY MUNI FD      EQUITY       67062E103     135       9,376 SH         DEFINED      4         --         --     9,376
NUVEEN INVESTMENTS-CL A         EQUITY       67090F106   17305     279,388 SH          SOLE        1    279,388         --        --
NUVEEN INVESTMENTS-CL A         EQUITY       67090F106     274       5,089 SH         DEFINED      4         --         --     5,089
NUVEEN MARYLAND DVD ADV MU 2    EQUITY       67070V105      86       6,157 SH         DEFINED      4         --         --     6,157
NUVEEN MARYLAND DVD ADV MU 3    EQUITY       67072A109      92       6,292 SH         DEFINED      4         --         --     6,292
NUVEEN MARYLAND DVD ADV MUNI    EQUITY       67069R107      74       4,627 SH         DEFINED      4         --         --     4,627
NUVEEN MASS DVD ADVNTG MUNI     EQUITY       67069P101      13         900 SH         DEFINED      4         --         --       900
NUVEEN MD PREMIUM INC MUNI      EQUITY       67061Q107     320      21,478 SH         DEFINED      4         --         --    21,478
NUVEEN MI PREMIUM INC MUNI      EQUITY       67101Q109      57       4,197 SH         DEFINED      4         --         --     4,197
NUVEEN MICH QUALITY INC MUNI    EQUITY       670979103     148       9,891 SH         DEFINED      4         --         --     9,891
NUVEEN MICHIGAN DVD ADV MUNI    EQUITY       67070W103      11         670 SH         DEFINED      4         --         --       670
NUVEEN MO PREMIUM INC MUNI      EQUITY       67060Q108      12         720 SH         DEFINED      4         --         --       720
NUVEEN MULTI-CURRENCY SHORT-    EQUITY       67090N109     602      29,812 SH         DEFINED      4         --         --    29,812
NUVEEN MULTI-ST INC & GTH       EQUITY       67073B106     832      69,351 SH         DEFINED      4         --         --    69,351





                                                                                          
NUVEEN MULTI-ST INC & GTH 2     EQUITY       67073D102     880      72,739 SH         DEFINED      4         --         --    72,739
NUVEEN MUNI ADVANTAGE FUND      EQUITY       67062H106     579      39,953 SH         DEFINED      4         --         --    39,953
NUVEEN MUNI HIGH INCM OPPORT    EQUITY       670682103     164       9,004 SH         DEFINED      4         --         --     9,004
NUVEEN MUNI INCOME FUND         EQUITY       67062J102      14       1,250 SH         DEFINED      4         --         --     1,250
NUVEEN MUNI MKT OPPORTUNITY     EQUITY       67062W103     206      14,947 SH         DEFINED      4         --         --    14,947
NUVEEN MUNICIPAL VALUE FUND     EQUITY       670928100     668      65,206 SH         DEFINED      4         --         --    65,206
NUVEEN NC DIVIDEND ADV MUNI     EQUITY       67069N106      39       2,300 SH         DEFINED      4         --         --     2,300
NUVEEN NC PREMIUM INC MUNI      EQUITY       67060P100     119       8,204 SH         DEFINED      4         --         --     8,204
NUVEEN NEW YORK SELECT QUAL     EQUITY       670976109      37       2,534 SH         DEFINED      4         --         --     2,534
NUVEEN NEW YORK SELECT T/F      EQUITY       67063V104      42       3,058 SH         DEFINED      4         --         --     3,058
NUVEEN NJ DVD ADV MUNI FD 2     EQUITY       67071T109      58       3,500 SH         DEFINED      4         --         --     3,500
NUVEEN NJ INV QUAL MUNI FD      EQUITY       670971100     108       7,500 SH         DEFINED      4         --         --     7,500
NUVEEN NJ PREMIUM INC MUNI      EQUITY       67101N106     176      11,500 SH         DEFINED      4         --         --    11,500
NUVEEN NY DIVIDEND ADV MUNI     EQUITY       67066X107      43       3,000 SH         DEFINED      4         --         --     3,000
NUVEEN NY QUALITY INC MUNI      EQUITY       670986108     122       8,628 SH         DEFINED      4         --         --     8,628
NUVEEN OH DVD ADV MUNI FD       EQUITY       67070C107       5         300 SH         DEFINED      4         --         --       300
NUVEEN OH DVD ADV MUNI FD 3     EQUITY       67071V104      14       1,000 SH         DEFINED      4         --         --     1,000
NUVEEN OHIO DVD ADV MUNI 2      EQUITY       67070R104      11         811 SH         DEFINED      4         --         --       811
NUVEEN OHIO QUALITY INC MUNI    EQUITY       670980101      22       1,553 SH         DEFINED      4         --         --     1,553
NUVEEN PA DVD ADV MUNI FD       EQUITY       67070E103      25       1,600 SH         DEFINED      4         --         --     1,600
NUVEEN PA DVD ADV MUNI FD 2     EQUITY       67071W102      65       4,325 SH         DEFINED      4         --         --     4,325
NUVEEN PA PREMIUM INC MUNI 2    EQUITY       67061F101     170      12,389 SH         DEFINED      4         --         --    12,389
NUVEEN PENN INV QUAL MUNI FD    EQUITY       670972108     153      10,842 SH         DEFINED      4         --         --    10,842
NUVEEN PERFORMANCE PLUS MUNI    EQUITY       67062P108     538      38,431 SH         DEFINED      4         --         --    38,431
NUVEEN PREMIER INSD MUNI INC    EQUITY       670987106     497      36,060 SH         DEFINED      4         --         --    36,060
NUVEEN PREMIER MUNI INC FD      EQUITY       670988104      50       3,500 SH         DEFINED      4         --         --     3,500
NUVEEN PREMIUM INC MUNI FD 2    EQUITY       67063W102     403      27,920 SH         DEFINED      4         --         --    27,920
NUVEEN PREMIUM INC MUNI FD 4    EQUITY       6706K4105     125      10,354 SH         DEFINED      4         --         --    10,354
NUVEEN PREMIUM INC MUNI FUND    EQUITY       67062T100     470       32666 SH         DEFINED      4         --         --        --
NUVEEN QUALITY INCOME MUNI      EQUITY       670977107     330      24,026 SH         DEFINED      4         --         --    24,026
NUVEEN QUALITY PREFERRED II     EQUITY       67072C105     473      37,864 SH         DEFINED      4         --         --    37,864
NUVEEN QUALITY PREFERRED III    EQUITY       67072W101     209      14,707 SH         DEFINED      4         --         --    14,707
NUVEEN QUALITY PREFERRED INC    EQUITY       67071S101     295      24,637 SH         DEFINED      4         --         --    24,637
NUVEEN REAL ESTATE INCOME FD    EQUITY       67071B108     127       4,865 SH         DEFINED      4         --         --     4,865
NUVEEN SELECT QUALTY MUNI FD    EQUITY       670973106     298      17,944 SH         DEFINED      4         --         --    17,944
NUVEEN SELECT T/F INC III       EQUITY       67063X100      19       1,393 SH         DEFINED      4         --         --     1,393
NUVEEN SELECT TAX-FREE INC 2    EQUITY       67063C106      70       4,895 SH         DEFINED      4         --         --     4,895
NUVEEN SELECT TAX-FREE INCOM    EQUITY       67062F100     153      10,430 SH         DEFINED      4         --         --    10,430
NUVEEN SENIOR INCOME FUND       EQUITY       67067Y104      50       5,565 SH         DEFINED      4         --         --     5,565
NUVEEN TAX-ADV TOT RET STRAT    EQUITY       67090H102      29       1,100 SH         DEFINED      4         --         --     1,100
NUVEEN TAX-ADVANTAGED DIVIDE    EQUITY       67073G105     389      22,400 SH         DEFINED      4         --         --    22,400
NUVEEN TAX-ADVANTAGED FLOATI    EQUITY       6706EV102     247      17,221 SH         DEFINED      4         --         --    17,221
NUVEEN VA DVD ADV MUNI FD 2     EQUITY       67071C106       4         255 SH         DEFINED      4         --         --       255
NUVEEN VIRGINIA DVD ADV MUNI    EQUITY       67069M108       9         645 SH         DEFINED      4         --         --       645
NUVELO INC                      EQUITY       67072M301       8       2,008 SH         DEFINED      4         --         --     2,008
NVIDIA CORP                     EQUITY       67066G104    6264     172,850 SH          SOLE        3     70,450         --   102,400
NVIDIA CORP                     EQUITY       67066G104   15189     419,123 SH          SOLE        1    419,123         --        --
NVIDIA CORP                     EQUITY       67066G104    2751      83,259 SH         DEFINED      4         --         --    83,259
NVIDIA CORP                     EQUITY       67066G104     232       6,392 SH          SOLE        2      6,392         --        --
NVR INC                         EQUITY       62944T105    7117      15,135 SH          SOLE        1     15,135         --        --
NVR INC                         EQUITY       62944T105      17          22 SH         DEFINED      4         --         --        22
NXSTAGE MEDICAL INC             EQUITY       67072V103     255      17,567 SH          SOLE        1     17,567         --        --
NYMAGIC INC                     EQUITY       629484106     141       5,072 SH          SOLE        1      5,072         --        --
NYMEX HOLDINGS INC              EQUITY       62948N104     238       1,831 SH          SOLE        1      1,831         --        --





                                                                                          
NYMEX HOLDINGS INC              EQUITY       62948N104     141       1,148 SH         DEFINED      4         --         --     1,148
NYMEX HOLDINGS INC              EQUITY       62948N104    2760      21,200 SH          SOLE        2     21,200         --        --
NYMOX PHARMACEUTICAL CORP       EQUITY       67076P102       5         700 SH         DEFINED      4         --         --       700
NYSE EURONEXT                   EQUITY       629491101    1712      21,678 SH         DEFINED      4         --         --    21,678
O2DIESEL CORP                   EQUITY       67106S100       2       3,000 SH         DEFINED      4         --         --     3,000
OAK HILL FINANCIAL INC          EQUITY       671337103      37       1,600 SH         DEFINED      4         --         --     1,600
OAKLEY INC                      EQUITY       673662102     622      21,433 SH          SOLE        1     21,433         --        --
OAKLEY INC                      EQUITY       673662102      25       1,000 SH         DEFINED      4         --         --     1,000
OBAGI MEDICAL PRODUCTS INC      EQUITY       67423R108      85       4,628 SH          SOLE        1      4,628         --        --
OBAGI MEDICAL PRODUCTS INC      EQUITY       67423R108     667      36,100 SH          SOLE        2     36,100         --        --
OCCIDENTAL PETROLEUM CORP       EQUITY       674599105   49220     768,304 SH          SOLE        1    768,304         --        --
OCCIDENTAL PETROLEUM CORP       EQUITY       674599105    3616      56,431 SH         DEFINED      4         --         --    56,431
OCCIDENTAL PETROLEUM CORP       EQUITY       674599105      67       1,047 SH          SOLE        2      1,047         --        --
OCCULOGIX INC                   EQUITY       67461T107       2       2,050 SH         DEFINED      4         --         --     2,050
OCEAN BIO-CHEM INC              EQUITY       674631106       1         667 SH         DEFINED      4         --         --       667
OCEANEERING INTL INC            EQUITY       675232102     554       7,308 SH          SOLE        1      7,308         --        --
OCEANEERING INTL INC            EQUITY       675232102     261       5,388 SH         DEFINED      4         --         --     5,388
OCEANEERING INTL INC            EQUITY       675232102    1069      14,100 SH          SOLE        2     14,100         --        --
OCEANFIRST FINANCIAL CORP       EQUITY       675234108      26       1,500 SH         DEFINED      4         --         --     1,500
O'CHARLEYS INC                  EQUITY       670823103     362      23,886 SH          SOLE        1     23,886         --        --
OCWEN FINANCIAL CORP            EQUITY       675746309     291      30,887 SH          SOLE        1     30,887         --        --
OCWEN FINANCIAL CORP            EQUITY       675746309       4         439 SH         DEFINED      4         --         --       439
ODYSSEY HEALTHCARE INC          EQUITY       67611V101     324      33,676 SH          SOLE        1     33,676         --        --
ODYSSEY HEALTHCARE INC          EQUITY       67611V101       3         200 SH         DEFINED      4         --         --       200
ODYSSEY MARINE EXPLORATION      EQUITY       676118102     221      35,746 SH          SOLE        1     35,746         --        --
ODYSSEY RE HOLDINGS CORP        EQUITY       67612W108     916      24,683 SH          SOLE        1     24,683         --        --
ODYSSEY RE HOLDINGS CORP        EQUITY       67612W108      90       2,161 SH         DEFINED      4         --         --     2,161
OFFICE DEPOT INC                EQUITY       676220106    2488     120,659 SH          SOLE        1    120,659         --        --
OFFICE DEPOT INC                EQUITY       676220106     101       2,894 SH         DEFINED      4         --         --     2,894
OFFICE DEPOT INC                EQUITY       676220106    2133     103,444 SH          SOLE        2    103,444         --        --
OFFICEMAX INC                   EQUITY       67622P101    1214      35,425 SH          SOLE        1     35,425         --        --
OFFICEMAX INC                   EQUITY       67622P101      44       1,282 SH         DEFINED      4         --         --     1,282
OFFICEMAX INC                   EQUITY       67622P101       3          95 SH          SOLE        2         95         --        --
OGE ENERGY CORP                 EQUITY       670837103    7652     231,193 SH          SOLE        1    231,193         --        --
OGE ENERGY CORP                 EQUITY       670837103    1309      39,547 SH         DEFINED      4         --         --    39,547
OIL SERVICE HOLDRS TRUST        EQUITY       678002106    1880       9,800 SH         DEFINED      4         --         --     9,800
OIL STATES INTERNATIONAL INC    EQUITY       678026105    2072      42,891 SH          SOLE        1     42,891         --        --
OIL-DRI CORP OF AMERICA         EQUITY       677864100      25       1,358 SH         DEFINED      4         --         --     1,358
OILSANDS QUEST INC              EQUITY       678046103     420      94,915 SH          SOLE        1     94,915         --        --
OILSANDS QUEST INC              EQUITY       678046103      27       6,240 SH         DEFINED      4         --         --     6,240
OILSANDS QUEST INC COMMON       EQUITY       6780461*3    1555     350,000 SH          OTHER       1         --    350,000        --
OLD DOMINION FREIGHT LINE       EQUITY       679580100     705      29,432 SH          SOLE        1     29,432         --        --
OLD DOMINION FREIGHT LINE       EQUITY       679580100       3         100 SH         DEFINED      4         --         --       100
OLD MUTUAL CLAYMORE LONG-SRT    EQUITY       68003N103      16       1,000 SH         DEFINED      4         --         --     1,000
OLD NATL BANCORP/IN             EQUITY       680033107     959      57,858 SH          SOLE        1     57,858         --        --
OLD NATL BANCORP/IN             EQUITY       680033107      34       2,024 SH         DEFINED      4         --         --     2,024
OLD REPUBLIC INTL CORP          EQUITY       680223104   10843     578,585 SH          SOLE        1    578,585         --        --
OLD REPUBLIC INTL CORP          EQUITY       680223104     218      11,655 SH         DEFINED      4         --         --    11,655
OLD SECOND BANCORP INC          EQUITY       680277100     302      10,612 SH          SOLE        1     10,612         --        --
OLD SECOND BANCORP INC          EQUITY       680277100     189       6,320 SH         DEFINED      4         --         --     6,320
OLIN CORP                       EQUITY       680665205    6647     297,027 SH          SOLE        1    297,027         --        --
OLIN CORP                       EQUITY       680665205     208      11,303 SH         DEFINED      4         --         --    11,303
OLIN CORP                       EQUITY       680665205    4476     200,000 SH          SOLE        2    200,000         --        --
OLYMPIC STEEL INC               EQUITY       68162K106     206       7,602 SH          SOLE        1      7,602         --        --





                                                                                          
OLYMPIC STEEL INC               EQUITY       68162K106      51       1,500 SH         DEFINED      4         --         --     1,500
OM GROUP INC                    EQUITY       670872100    1571      29,745 SH          SOLE        1     29,745         --        --
OM GROUP INC                    EQUITY       670872100     181       3,435 SH         DEFINED      4         --         --     3,435
OMEGA FINANCIAL CORP            EQUITY       682092101     292      11,054 SH          SOLE        1     11,054         --        --
OMEGA FINANCIAL CORP            EQUITY       682092101     154       5,846 SH         DEFINED      4         --         --     5,846
OMEGA HEALTHCARE INVESTORS      EQUITY       681936100     417      26,851 SH          SOLE        1     26,851         --        --
OMEGA NAVIGATION ENT-CLASS A    EQUITY       Y6476R105       6         300 SH         DEFINED      4         --         --       300
OMEGA PROTEIN CORP              EQUITY       68210P107    2923     323,000 SH          SOLE        3    323,000         --        --
OMNI ENERGY SERVICES CORP       EQUITY       68210T208      98       9,750 SH         DEFINED      4         --         --     9,750
OMNICARE INC                    EQUITY       681904108   10086     304,436 SH          SOLE        1    304,436         --        --
OMNICARE INC                    EQUITY       681904108     168       4,891 SH         DEFINED      4         --         --     4,891
OMNICELL INC                    EQUITY       68213N109    1969      68,985 SH          SOLE        1     68,985         --        --
OMNICELL INC                    EQUITY       68213N109    3311     116,000 SH          SOLE        3     99,300         --    16,700
OMNICELL INC                    EQUITY       68213N109      29       1,275 SH         DEFINED      4         --         --     1,275
OMNICOM GROUP                   EQUITY       681919106   25050     518,606 SH          SOLE        1    518,606         --        --
OMNICOM GROUP                   EQUITY       681919106    2951      28,102 SH         DEFINED      4         --         --    28,102
OMNICOM GROUP                   EQUITY       681919106      20         414 SH          SOLE        2        414         --        --
OMNICOM GROUP                   FIXED INCOME 681919AT3      52          48 PRN        DEFINED      4         --         --        --
OMNITURE INC                    EQUITY       68212S109     854      28,171 SH          SOLE        1     28,171         --        --
OMNIVISION TECHNOLOGIES INC     EQUITY       682128103    1087      47,840 SH          SOLE        1     47,840         --        --
OMNIVISION TECHNOLOGIES INC     EQUITY       682128103     244      16,907 SH         DEFINED      4         --         --    16,907
OMNOVA SOLUTIONS INC            EQUITY       682129101      31       5,304 SH          SOLE        1      5,304         --        --
OMRIX BIOPHARMACEUTICALS INC    EQUITY       681989109     422      11,956 SH          SOLE        1     11,956         --        --
OMRIX BIOPHARMACEUTICALS INC    EQUITY       681989109    5900     167,100 SH          SOLE        2    167,100         --        --
ON ASSIGNMENT INC               EQUITY       682159108     328      35,143 SH          SOLE        1     35,143         --        --
ON SEMICONDUCTOR CORPORATION    EQUITY       682189105    2656     211,431 SH          SOLE        1    211,431         --        --
ON SEMICONDUCTOR CORPORATION    EQUITY       682189105    1231      98,000 SH          SOLE        2     98,000         --        --
ON2 TECHNOLOGIES INC            EQUITY       68338A107     114      98,198 SH          SOLE        1     98,198         --        --
ON2 TECHNOLOGIES INC            EQUITY       68338A107      35      30,000 SH         DEFINED      4         --         --    30,000
ONCOLYTICS BIOTECH INC          EQUITY       682310107       6       3,000 SH         DEFINED      4         --         --     3,000
ONE LIBERTY PROPERTIES INC      EQUITY       682406103       7         300 SH         DEFINED      4         --         --       300
ONEOK INC                       EQUITY       682680103   12389     261,371 SH          SOLE        1    261,371         --        --
ONEOK INC                       EQUITY       682680103    1070      21,603 SH         DEFINED      4         --         --    21,603
ONEOK PARTNERS LP               EQUITY       68268N103     956      13,364 SH         DEFINED      4         --         --    13,364
ONLINE RESOURCES CORP           EQUITY       68273G101     288      22,748 SH          SOLE        1     22,748         --        --
ONLINE RESOURCES CORP           EQUITY       68273G101       3         250 SH         DEFINED      4         --         --       250
ONLINE RESOURCES CORP           EQUITY       68273G101     989      78,214 SH          SOLE        2     78,214         --        --
ONYX PHARMACEUTICALS INC        EQUITY       683399109    1830      42,060 SH          SOLE        1     42,060         --        --
ONYX PHARMACEUTICALS INC        EQUITY       683399109      53       1,900 SH         DEFINED      4         --         --     1,900
OPEN TEXT CORP                  EQUITY       683715106      39       1,496 SH          OTHER       1         --      1,496        --
OPEN TEXT CORP                  EQUITY       683715106     151       5,799 SH         DEFINED      4         --         --     5,799
OPENTV CORP-CLASS A             EQUITY       G67543101      48      20,023 SH         DEFINED      4         --         --    20,023
OPENWAVE SYSTEMS INC            EQUITY       683718308     315      71,973 SH          SOLE        1     71,973         --        --
OPENWAVE SYSTEMS INC            EQUITY       683718308      13       1,768 SH         DEFINED      4         --         --     1,768
OPEXA THERAPEUTICS INC          EQUITY       68372T103       3         500 SH         DEFINED      4         --         --       500
OPLINK COMMUNICATIONS INC       EQUITY       68375Q403     265      19,375 SH          SOLE        1     19,375         --        --
OPLINK COMMUNICATIONS INC       EQUITY       68375Q403       8         462 SH         DEFINED      4         --         --       462
OPNEXT INC                      EQUITY       68375V105     188      16,236 SH          SOLE        1     16,236         --        --
OPTICAL CABLE CORP              EQUITY       683827208       3         562 SH         DEFINED      4         --         --       562
OPTICAL COMMUNICATION PROD      EQUITY       68382T101       1         500 SH         DEFINED      4         --         --       500
OPTIMAL GROUP INC-CL A          EQUITY       68388R208      19       2,050 SH         DEFINED      4         --         --     2,050
OPTIONSXPRESS HOLDINGS INC      EQUITY       684010101    1140      43,599 SH          SOLE        1     43,599         --        --
OPTIONSXPRESS HOLDINGS INC      EQUITY       684010101      22         830 SH         DEFINED      4         --         --       830
OPTIUM CORP                     EQUITY       68402T107     110      10,607 SH          SOLE        1     10,607         --        --





                                                                                          
ORACLE CORP                     EQUITY       68389X105   81752   3,776,081 SH          SOLE        1  3,776,081         --        --
ORACLE CORP                     EQUITY       68389X105    8081     424,187 SH         DEFINED      4         --         --   424,187
ORACLE CORP                     EQUITY       68389X105   10835     500,464 SH          SOLE        2    500,464         --        --
ORASURE TECHNOLOGIES INC        EQUITY       68554V108     404      40,163 SH          SOLE        1     40,163         --        --
ORASURE TECHNOLOGIES INC        EQUITY       68554V108      14       1,825 SH         DEFINED      4         --         --     1,825
ORBCOMM INC                     EQUITY       68555P100     172      22,817 SH          SOLE        1     22,817         --        --
ORBCOMM INC                     EQUITY       68555P100       8       1,000 SH         DEFINED      4         --         --     1,000
ORBIT INTERNATIONAL CORP        EQUITY       685559304       1         156 SH         DEFINED      4         --         --       156
ORBITAL SCIENCES CORP           EQUITY       685564106    1527      68,661 SH          SOLE        1     68,661         --        --
ORBITAL SCIENCES CORP           EQUITY       685564106      10         482 SH         DEFINED      4         --         --       482
ORBOTECH LTD                    EQUITY       M75253100     211       9,525 SH         DEFINED      4         --         --     9,525
ORCHID CELLMARK INC             EQUITY       68573C107      15       2,490 SH         DEFINED      4         --         --     2,490
O'REILLY AUTOMOTIVE INC         EQUITY       686091109    9516     284,833 SH          SOLE        1    284,833         --        --
OREXIGEN THERAPEUTICS INC       EQUITY       686164104      83       6,318 SH          SOLE        1      6,318         --        --
ORIENT EXPRESS HOTELS LTD -A    EQUITY       G67743107      54       1,050 SH         DEFINED      4         --         --     1,050
ORIENTAL FINANCIAL GROUP        EQUITY       68618W100     207      18,030 SH          SOLE        1     18,030         --        --
ORITANI FINANCIAL CORP          EQUITY       686323106     168      10,582 SH          SOLE        1     10,582         --        --
ORIX  - SPONSORED ADR           EQUITY       686330101     165       1,451 SH         DEFINED      4         --         --     1,451
ORLEANS HOMEBUILDERS INC        EQUITY       686588104       2         250 SH         DEFINED      4         --         --       250
ORMAT TECHNOLOGIES INC          EQUITY       686688102     555      11,969 SH          SOLE        1     11,969         --        --
ORMAT TECHNOLOGIES INC          EQUITY       686688102      26         680 SH         DEFINED      4         --         --       680
ORTHOFIX INTERNATIONAL NV       EQUITY       N6748L102     450        8657 SH         DEFINED      4         --         --        --
ORTHOFIX INTERNATIONAL NV       EQUITY       N6748L102    4978     101,655 SH          SOLE        2    101,655         --        --
ORTHOLOGIC CORP                 EQUITY       68750J107       8       6,000 SH         DEFINED      4         --         --     6,000
ORTHOVITA INC                   EQUITY       68750U102      41      13,500 SH         DEFINED      4         --         --    13,500
OSCIENT PHARMACEUTICALS         FIXED INCOME 68812RAC9    4539   7,628,000 PRN         SOLE        1  7,628,000         --        --
OSCIENT PHARMACEUTICALS CORP    EQUITY       68812R303     191      74,221 SH          SOLE        1     74,221         --        --
OSCIENT PHARMACEUTICALS CORP    EQUITY       68812R303      17       6,687 SH         DEFINED      4         --         --     6,687
OSHKOSH TRUCK CORP              EQUITY       688239201   11341     183,011 SH          SOLE        1    183,011         --        --
OSHKOSH TRUCK CORP              EQUITY       688239201     375       6,330 SH         DEFINED      4         --         --     6,330
OSI PHARMACEUTICALS INC         EQUITY       671040103    1707      50,226 SH          SOLE        1     50,226         --        --
OSI SYSTEMS INC                 EQUITY       671044105     298      13,243 SH          SOLE        1     13,243         --        --
OSI SYSTEMS INC                 EQUITY       671044105      18         689 SH         DEFINED      4         --         --       689
OSIRIS THERAPEUTICS INC         EQUITY       68827R108     145      11,222 SH          SOLE        1     11,222         --        --
OSTEOTECH INC                   EQUITY       688582105      16       2,194 SH          SOLE        1      2,194         --        --
OSTEOTECH INC                   EQUITY       688582105      16       2,090 SH         DEFINED      4         --         --     2,090
OTELCO INC-IDS                  EQUITY       688823202      14         680 SH         DEFINED      4         --         --       680
OTTER TAIL CORP                 EQUITY       689648103     923      25,897 SH          SOLE        1     25,897         --        --
OTTER TAIL CORP                 EQUITY       689648103     821      23,021 SH         DEFINED      4         --         --    23,021
OUTDOOR CHANNEL HOLDINGS INC    EQUITY       690027206      20       1,875 SH         DEFINED      4         --         --     1,875
OVERLAND STORAGE INC            EQUITY       690310107     154      89,725 SH         DEFINED      4         --         --    89,725
OVERSEAS SHIPHOLDING GROUP      EQUITY       690368105    5441      70,817 SH          SOLE        1     70,817         --        --
OVERSEAS SHIPHOLDING GROUP      EQUITY       690368105      72       1,000 SH         DEFINED      4         --         --     1,000
OVERSTOCK.COM INC               EQUITY       690370101     414      14,374 SH          SOLE        1     14,374         --        --
OWENS & MINOR INC               EQUITY       690732102    1537      40,361 SH          SOLE        1     40,361         --        --
OWENS & MINOR INC               EQUITY       690732102     118       3,281 SH         DEFINED      4         --         --     3,281
OWENS CORNING INC               EQUITY       690742101    7597     303,269 SH          SOLE        1    303,269         --        --
OWENS CORNING INC               EQUITY       690742101      22         896 SH         DEFINED      4         --         --       896
OWENS-ILLINOIS INC              EQUITY       690768403     155       3,737 SH          SOLE        1      3,737         --        --
OWENS-ILLINOIS INC              EQUITY       690768502      14         321 SH         DEFINED      4         --         --       321
OWENS-ILLINOIS INC              EQUITY       690768403    1070      33,006 SH         DEFINED      4         --         --    33,006
OXFORD INDUSTRIES INC           EQUITY       691497309     556      15,384 SH          SOLE        1     15,384         --        --
OYO GEOSPACE CORP               EQUITY       671074102     322       3,472 SH          SOLE        1      3,472         --        --
OYO GEOSPACE CORP               EQUITY       671074102      57         610 SH         DEFINED      4         --         --       610





                                                                                          
P G & E CORP                    EQUITY       69331C108   20797     435,083 SH          SOLE        1    435,083         --        --
P G & E CORP                    EQUITY       69331C108    2573      53,826 SH         DEFINED      4         --         --    53,826
P G & E CORP                    EQUITY       69331C108     600      12,546 SH          SOLE        2     12,546         --        --
PAB BANKSHARES INC              EQUITY       69313P101      38       2,000 SH         DEFINED      4         --         --     2,000
PACCAR INC                      EQUITY       693718108   24275     284,753 SH          SOLE        1    284,753         --        --
PACCAR INC                      EQUITY       693718108     916      10,530 SH         DEFINED      4         --         --    10,530
PACCAR INC                      EQUITY       693718108      27         313 SH          SOLE        2        313         --        --
PACER INTERNATIONAL INC         EQUITY       69373H106     608      31,941 SH          SOLE        1     31,941         --        --
PACER INTERNATIONAL INC         EQUITY       69373H106       3         147 SH         DEFINED      4         --         --       147
PACHOLDER HIGH YIELD FUND       EQUITY       693742108      56       5,493 SH         DEFINED      4         --         --     5,493
PACIFIC CAPITAL BANCORP         EQUITY       69404P101    1077      40,958 SH          SOLE        1     40,958         --        --
PACIFIC CAPITAL BANCORP         EQUITY       69404P101     270      10,274 SH         DEFINED      4         --         --    10,274
PACIFIC ETHANOL INC             EQUITY       69423U107     298      30,939 SH          SOLE        1     30,939         --        --
PACIFIC ETHANOL INC             EQUITY       69423U107     339      23,685 SH         DEFINED      4         --         --    23,685
PACIFIC INTERNET                EQUITY       Y66183107      15       1,350 SH         DEFINED      4         --         --     1,350
PACIFIC MERCANTILE BANCORP      EQUITY       694552100      45       3,200 SH         DEFINED      4         --         --     3,200
PACIFIC RIM MINING CORP         EQUITY       694915208       1         880 SH         DEFINED      4         --         --       880
PACIFIC STATE BANCORP           EQUITY       694864109      68       3,478 SH         DEFINED      4         --         --     3,478
PACIFIC SUNWEAR OF CALIF        EQUITY       694873100    3461     233,858 SH          SOLE        1    233,858         --        --
PACIFIC SUNWEAR OF CALIF        EQUITY       694873100       7         450 SH         DEFINED      4         --         --       450
PACKAGING CORP OF AMERICA       EQUITY       695156109    6741     231,887 SH          SOLE        1    231,887         --        --
PACKAGING CORP OF AMERICA       EQUITY       695156109     137       5,312 SH         DEFINED      4         --         --     5,312
PACKETEER INC                   EQUITY       695210104     238      31,291 SH          SOLE        1     31,291         --        --
PACTIV CORPORATION              EQUITY       695257105    8217     286,700 SH          SOLE        1    286,700         --        --
PACTIV CORPORATION              EQUITY       695257105     393      11,370 SH         DEFINED      4         --         --    11,370
PACTIV CORPORATION              EQUITY       695257105       5         165 SH          SOLE        2        165         --        --
PAETEC HOLDING CORP             EQUITY       695459107     766      61,399 SH          SOLE        1     61,399         --        --
PAETEC HOLDING CORP             EQUITY       695459107     624      50,000 SH          SOLE        2     50,000         --        --
PAIN THERAPEUTICS INC           EQUITY       69562K100     293      31,300 SH          SOLE        1     31,300         --        --
PAIN THERAPEUTICS INC           EQUITY       69562K100      13       1,475 SH         DEFINED      4         --         --     1,475
PAINCARE HOLDINGS INC           EQUITY       69562E104       2       6,000 SH         DEFINED      4         --         --     6,000
PALATIN TECHNOLOGIES INC        EQUITY       696077304      69      34,008 SH         DEFINED      4         --         --    34,008
PALL CORP                       EQUITY       696429307    5339     137,262 SH          SOLE        1    137,262         --        --
PALL CORP                       EQUITY       696429307       6         155 SH          SOLE        2        155         --        --
PALM HARBOR HOMES INC           EQUITY       696639103     106       8,508 SH          SOLE        1      8,508         --        --
PALM HARBOR HOMES INC           EQUITY       696639103     233      15,633 SH         DEFINED      4         --         --    15,633
PALM INC                        EQUITY       696643105    5642     346,788 SH          SOLE        1    346,788         --        --
PALM INC                        EQUITY       696643105     107       6,546 SH         DEFINED      4         --         --     6,546
PALOMAR MEDICAL TECHNOLOGIES    EQUITY       697529303     520      18,258 SH          SOLE        1     18,258         --        --
PALOMAR MEDICAL TECHNOLOGIES    EQUITY       697529303      42       1,476 SH         DEFINED      4         --         --     1,476
PAN AMERICAN SILVER CORP        EQUITY       697900108    2835      97,457 SH          OTHER       1         --     97,457        --
PAN AMERICAN SILVER CORP        EQUITY       697900108     337      11,680 SH         DEFINED      4         --         --    11,680
PANERA BREAD COMPANY-CL A       EQUITY       69840W108     146       3,571 SH          SOLE        1      3,571         --        --
PANERA BREAD COMPANY-CL A       EQUITY       69840W108     336       8,244 SH         DEFINED      4         --         --     8,244
PANTRY INC                      EQUITY       698657103     511      19,951 SH          SOLE        1     19,951         --        --
PANTRY INC                      EQUITY       698657103    2517      98,200 SH          SOLE        2     98,200         --        --
PAPA JOHN'S INTL INC            EQUITY       698813102     525      21,474 SH          SOLE        1     21,474         --        --
PAPA JOHN'S INTL INC            EQUITY       698813102      13         400 SH         DEFINED      4         --         --       400
PAR PHARMACEUTICAL COS INC      EQUITY       69888P106    2207     118,917 SH          SOLE        1    118,917         --        --
PAR PHARMACEUTICAL COS INC      EQUITY       69888P106       7         250 SH         DEFINED      4         --         --       250
PARALLEL PETROLEUM CORP         EQUITY       699157103     558      32,864 SH          SOLE        1     32,864         --        --
PARALLEL PETROLEUM CORP         EQUITY       699157103      29       1,200 SH         DEFINED      4         --         --     1,200
PARAMETRIC TECHNOLOGY CORP      EQUITY       699173209    6680     383,448 SH          SOLE        1    383,448         --        --
PARAMETRIC TECHNOLOGY CORP      EQUITY       699173209       5         304 SH         DEFINED      4         --         --       304





                                                                                          
PAREXEL INTERNATIONAL CORP      EQUITY       699462107    1144      27,717 SH          SOLE        1     27,717         --        --
PAREXEL INTERNATIONAL CORP      EQUITY       699462107     850      20,925 SH         DEFINED      4         --         --    20,925
PARK ELECTROCHEMICAL CORP       EQUITY       700416209    3194      95,125 SH          SOLE        1     95,125         --        --
PARK ELECTROCHEMICAL CORP       EQUITY       700416209       4         150 SH         DEFINED      4         --         --       150
PARK NATIONAL CORP              EQUITY       700658107     920      10,550 SH          SOLE        1     10,550         --        --
PARK NATIONAL CORP              EQUITY       700658107     612       6,874 SH         DEFINED      4         --         --     6,874
PARKER DRILLING CO              EQUITY       701081101     790      97,266 SH          SOLE        1     97,266         --        --
PARKER DRILLING CO              EQUITY       701081101     110      13,590 SH         DEFINED      4         --         --    13,590
PARKER HANNIFIN CORP            EQUITY       701094104    7645      68,359 SH          SOLE        1     68,359         --        --
PARKER HANNIFIN CORP            EQUITY       701094104     507       4,531 SH         DEFINED      4         --         --     4,531
PARKER HANNIFIN CORP            EQUITY       701094104      16         146 SH          SOLE        2        146         --        --
PARK-OHIO HOLDINGS CORP         EQUITY       700666100     181       6,975 SH          SOLE        1      6,975         --        --
PARKWAY PROPERTIES INC          EQUITY       70159Q104     698      15,821 SH          SOLE        1     15,821         --        --
PARKWAY PROPERTIES INC          EQUITY       70159Q104      18         348 SH         DEFINED      4         --         --       348
PARLUX FRAGRANCES INC           EQUITY       701645103       2         600 SH         DEFINED      4         --         --       600
PARTICLE DRILLING TECHNOLOGI    EQUITY       70212G101       3       1,000 SH         DEFINED      4         --         --     1,000
PARTNER COMMUNICATIONS-ADR      EQUITY       70211M109     111       6,758 SH         DEFINED      4         --         --     6,758
PARTNERRE LTD                   EQUITY       G6852T105     149       1,891 SH         DEFINED      4         --         --     1,891
PARTNERS TRUST FINANCIAL GRP    EQUITY       70213F102     463      38,035 SH          SOLE        1     38,035         --        --
PARTNERS TRUST FINANCIAL GRP    EQUITY       70213F102     172      15,378 SH         DEFINED      4         --         --    15,378
PATHFINDER BANCORP INC          EQUITY       70320A103      10       1,000 SH         DEFINED      4         --         --     1,000
PATHMARK STORES INC             EQUITY       70322A101     357      28,024 SH          SOLE        1     28,024         --        --
PATRIOT CAPITAL FUNDING INC     EQUITY       70335Y104     212      15,878 SH          SOLE        1     15,878         --        --
PATRIOT TRANSPORTATION HLDG     EQUITY       70337B102     138       1,402 SH          SOLE        1      1,402         --        --
PATTERSON COS INC               EQUITY       703395103    2669      69,121 SH          SOLE        1     69,121         --        --
PATTERSON COS INC               EQUITY       703395103     183       5,021 SH         DEFINED      4         --         --     5,021
PATTERSON COS INC               EQUITY       703395103       7         176 SH          SOLE        2        176         --        --
PATTERSON-UTI ENERGY INC        EQUITY       703481101    9029     400,062 SH          SOLE        1    400,062         --        --
PATTERSON-UTI ENERGY INC        EQUITY       703481101     403      17,872 SH         DEFINED      4         --         --    17,872
PAYCHEX INC                     EQUITY       704326107    9687     236,260 SH          SOLE        1    236,260         --        --
PAYCHEX INC                     EQUITY       704326107    2942      77,223 SH         DEFINED      4         --         --    77,223
PAYCHEX INC                     EQUITY       704326107    3228      78,729 SH          SOLE        2     78,729         --        --
PC CONNECTION INC               EQUITY       69318J100     101       8,087 SH          SOLE        1      8,087         --        --
PC CONNECTION INC               EQUITY       69318J100       7         658 SH         DEFINED      4         --         --       658
PC-TEL INC                      EQUITY       69325Q105      21       2,832 SH          SOLE        1      2,832         --        --
PDF SOLUTIONS INC               EQUITY       693282105     195      19,758 SH          SOLE        1     19,758         --        --
PDF SOLUTIONS INC               EQUITY       693282105       1         100 SH         DEFINED      4         --         --       100
PDL BIOPHARMA INC               EQUITY       69329Y104    6304     291,715 SH          SOLE        1    291,715         --        --
PDL BIOPHARMA INC               EQUITY       69329Y104     281      10,855 SH         DEFINED      4         --         --    10,855
PEABODY ENERGY CORP             EQUITY       704549104   50523   1,055,418 SH          SOLE        1  1,055,418         --        --
PEABODY ENERGY CORP             EQUITY       704549104    5973     121,369 SH         DEFINED      4         --         --   121,369
PEABODY ENERGY CORP             EQUITY       704549104    4789     100,035 SH          SOLE        2    100,035         --        --
PEAPACK GLADSTONE FINL CORP     EQUITY       704699107      17         558 SH         DEFINED      4         --         --       558
PEARSON PLC-SPONSORED ADR       EQUITY       705015105      24       1,360 SH         DEFINED      4         --         --     1,360
PEDIATRIX MEDICAL GROUP INC     EQUITY       705324101     442       6,757 SH          SOLE        1      6,757         --        --
PEDIATRIX MEDICAL GROUP INC     EQUITY       705324101     659      11,210 SH         DEFINED      4         --         --    11,210
PEDIATRIX MEDICAL GROUP INC     EQUITY       705324101    1089      16,650 SH          SOLE        2     16,650         --        --
PEETS COFFEE & TEA INC          EQUITY       705560100     377      13,493 SH          SOLE        1     13,493         --        --
PEETS COFFEE & TEA INC          EQUITY       705560100      90       3,395 SH         DEFINED      4         --         --     3,395
PEGASYSTEMS INC                 EQUITY       705573103     139      11,665 SH          SOLE        1     11,665         --        --
PEGASYSTEMS INC                 EQUITY       705573103       2         200 SH         DEFINED      4         --         --        --
PENFORD CORP                    EQUITY       707051108      43       1,134 SH          SOLE        1      1,134         --        --
PENFORD CORP                    EQUITY       707051108    1349      35,776 SH         DEFINED      4         --         --    35,776
PENGROWTH ENERGY TRUST          EQUITY       706902509    3442     183,461 SH         DEFINED      4         --         --   183,461





                                                                                          
PENN NATIONAL GAMING INC        EQUITY       707569109      92       1,560 SH          SOLE        1      1,560         --        --
PENN NATIONAL GAMING INC        EQUITY       707569109     383       7,849 SH         DEFINED      4         --         --     7,849
PENN REAL ESTATE INVEST TST     EQUITY       709102107     920      23,622 SH         DEFINED      4         --         --    23,622
PENN TREATY AMER CORP           EQUITY       707874400      14       2,425 SH         DEFINED      4         --         --     2,425
PENN VIRGINIA CORP              EQUITY       707882106    1650      37,515 SH          SOLE        1     37,515         --        --
PENN VIRGINIA CORP              EQUITY       707882106      35         800 SH         DEFINED      4         --         --       800
PENN WEST ENERGY TRUST          EQUITY       707885109     146       4,997 SH          OTHER       1         --      4,997        --
PENN WEST ENERGY TRUST          EQUITY       707885109    1699      53,005 SH         DEFINED      4         --         --    53,005
PENNANTPARK INVESTMENT CORP     EQUITY       708062104     233      17,389 SH          SOLE        1     17,389         --        --
PENNSYLVANIA COMMERCE BANCRP    EQUITY       708677109      56       2,086 SH         DEFINED      4         --         --     2,086
PENSON WORLDWIDE INC            EQUITY       709600100     234      12,647 SH          SOLE        1     12,647         --        --
PENTAIR INC                     EQUITY       709631105    8281     249,586 SH          SOLE        1    249,586         --        --
PENTAIR INC                     EQUITY       709631105     118       3,560 SH         DEFINED      4         --         --     3,560
PENWEST PHARMACEUTICALS CO      EQUITY       709754105     223      20,257 SH          SOLE        1     20,257         --        --
PENWEST PHARMACEUTICALS CO      EQUITY       709754105      22       1,765 SH         DEFINED      4         --         --     1,765
PEOPLES BANCORP INC             EQUITY       709789101     240       9,151 SH          SOLE        1      9,151         --        --
PEOPLES BANCORP INC             EQUITY       709789101     685      26,168 SH         DEFINED      4         --         --    26,168
PEOPLES BANCORP OF NC           EQUITY       710577107      37       1,276 SH         DEFINED      4         --         --     1,276
PEOPLE'S UNITED FINANCIAL       EQUITY       712704105      74       4,306 SH          SOLE        1      4,306         --        --
PEOPLE'S UNITED FINANCIAL       EQUITY       712704105     757      37,291 SH         DEFINED      4         --         --    37,291
PEOPLESUPPORT INC               EQUITY       712714302     245      20,490 SH          SOLE        1     20,490         --        --
PEOPLESUPPORT INC               EQUITY       712714302     328      27,106 SH         DEFINED      4         --         --    27,106
PEP BOYS-MANNY MOE & JACK       EQUITY       713278109     561      40,010 SH          SOLE        1     40,010         --        --
PEP BOYS-MANNY MOE & JACK       EQUITY       713278109      29       1,540 SH         DEFINED      4         --         --     1,540
PEPCO HOLDINGS INC              EQUITY       713291102   23098     852,954 SH          SOLE        1    852,954         --        --
PEPCO HOLDINGS INC              EQUITY       713291102    1426      47,628 SH         DEFINED      4         --         --    47,628
PEPSI BOTTLING GROUP INC        EQUITY       713409100   33556     902,766 SH          SOLE        1    902,766         --        --
PEPSI BOTTLING GROUP INC        EQUITY       713409100     339       9,124 SH         DEFINED      4         --         --     9,124
PEPSI BOTTLING GROUP INC        EQUITY       713409100       7         177 SH          SOLE        2        177         --        --
PEPSIAMERICAS INC               EQUITY       71343P200    4784     147,464 SH          SOLE        1    147,464         --        --
PEPSIAMERICAS INC               EQUITY       71343P200     100       4,100 SH         DEFINED      4         --         --     4,100
PEPSICO INC                     EQUITY       713448108  112165   1,531,054 SH          SOLE        1  1,531,054         --        --
PEPSICO INC                     EQUITY       713448108   19395     264,741 SH         DEFINED      4         --         --   264,741
PEPSICO INC                     EQUITY       713448108   20772     283,537 SH          SOLE        2    283,537         --        --
PEREGRINE PHARMACEUTICALS       EQUITY       713661106     675   1,008,470 SH         DEFINED      4         --         -- 1,008,470
PERFICIENT INC                  EQUITY       71375U101     641      29,293 SH          SOLE        1     29,293         --        --
PERFICIENT INC                  EQUITY       71375U101      44       2,000 SH         DEFINED      4         --         --     2,000
PERFORMANCE FOOD GROUP CO       EQUITY       713755106    1062      35,239 SH          SOLE        1     35,239         --        --
PERFORMANCE FOOD GROUP CO       EQUITY       713755106      41       1,366 SH         DEFINED      4         --         --     1,366
PERFORMANCE TECHNOLOGIES INC    EQUITY       71376K102       5       1,042 SH         DEFINED      4         --         --     1,042
PERICOM SEMICONDUCTOR CORP      EQUITY       713831105     304      25,901 SH          SOLE        1     25,901         --        --
PERINI CORP                     EQUITY       713839108    1300      23,248 SH          SOLE        1     23,248         --        --
PERINI CORP                     EQUITY       713839108      47       1,073 SH         DEFINED      4         --         --     1,073
PERKINELMER INC                 EQUITY       714046109    1642      56,211 SH          SOLE        1     56,211         --        --
PERKINELMER INC                 EQUITY       714046109      16         620 SH         DEFINED      4         --         --       620
PERKINELMER INC                 EQUITY       714046109       4         153 SH          SOLE        2        153         --        --
PERMA-FIX ENVIRONMENTAL SVCS    EQUITY       714157104     104      39,230 SH         DEFINED      4         --         --    39,230
PERMIAN BASIN ROYALTY TRUST     EQUITY       714236106     325      23,747 SH         DEFINED      4         --         --    23,747
PEROT SYSTEMS CORP-CL A         EQUITY       714265105    1286      76,037 SH          SOLE        1     76,037         --        --
PEROT SYSTEMS CORP-CL A         EQUITY       714265105       4         233 SH         DEFINED      4         --         --       233
PERRIGO CO                      EQUITY       714290103    5524     258,741 SH          SOLE        1    258,741         --        --
PERRY ELLIS INTERNATIONAL       EQUITY       288853104     275       9,930 SH          SOLE        1      9,930         --        --
PERRY ELLIS INTERNATIONAL       EQUITY       288853104       3          91 SH         DEFINED      4         --         --        91
PETMED EXPRESS INC              EQUITY       716382106     303      21,640 SH          SOLE        1     21,640         --        --





                                                                                          
PETROBRAS ENERGIA-SPON ADR      EQUITY       71646M102       7         700 SH         DEFINED      4         --         --       700
PETRO-CANADA                    EQUITY       71644E102     615      10,669 SH          OTHER       1         --     10,669        --
PETRO-CANADA                    EQUITY       71644E102    4330      92,798 SH         DEFINED      4         --         --    92,798
PETROCHINA CO LTD -ADR          EQUITY       71646E100   23682     127,935 SH          SOLE        1    127,935         --        --
PETROCHINA CO LTD -ADR          EQUITY       71646E100    5216      40,863 SH         DEFINED      4         --         --    40,863
PETROHAWK ENERGY CORP           EQUITY       716495106    3519     214,318 SH          SOLE        1    214,318         --        --
PETROHAWK ENERGY CORP           EQUITY       716495106      72       4,741 SH         DEFINED      4         --         --     4,741
PETROLEO BRASILEIRO S.A.-ADR    EQUITY       71654V408   83435   1,105,095 SH          SOLE        1  1,105,095         --        --
PETROLEO BRASILEIRO S.A.-ADR    EQUITY       71654V408    4292      56,854 SH         DEFINED      4         --         --    56,854
PETROLEO BRASILEIRO-SPON ADR    EQUITY       71654V101   17905     276,738 SH          SOLE        1    276,738         --        --
PETROLEO BRASILEIRO-SPON ADR    EQUITY       71654V101     305       3,419 SH         DEFINED      4         --         --     3,419
PETROLEUM DEVELOPMENT CORP      EQUITY       716578109     659      14,856 SH          SOLE        1     14,856         --        --
PETROLEUM DEVELOPMENT CORP      EQUITY       716578109     360       6,825 SH         DEFINED      4         --         --     6,825
PETROQUEST ENERGY INC           EQUITY       716748108     389      36,240 SH          SOLE        1     36,240         --        --
PETROQUEST ENERGY INC           EQUITY       716748108      23       2,143 SH         DEFINED      4         --         --     2,143
PETSMART INC                    EQUITY       716768106   10891     341,403 SH          SOLE        1    341,403         --        --
PETSMART INC                    EQUITY       716768106     314       9,135 SH         DEFINED      4         --         --     9,135
PF CHANG'S CHINA BISTRO INC     EQUITY       69333Y108     761      25,721 SH          SOLE        1     25,721         --        --
PF CHANG'S CHINA BISTRO INC     EQUITY       69333Y108      17         559 SH         DEFINED      4         --         --       559
PFF BANCORP INC                 EQUITY       69331W104     322      20,976 SH          SOLE        1     20,976         --        --
PFIZER INC                      EQUITY       717081103  104750   4,287,519 SH          SOLE        1  4,287,519         --        --
PFIZER INC                      EQUITY       717081103   21025     767,898 SH         DEFINED      4         --         --   767,898
PFIZER INC                      EQUITY       717081103   15519     635,239 SH          SOLE        2    635,239         --        --
PFSWEB INC                      EQUITY       717098107       1         600 SH         DEFINED      4         --         --       600
PGT INC                         EQUITY       69336V101      73       9,175 SH          SOLE        1      9,175         --        --
PGT INC                         EQUITY       69336V101       9         800 SH         DEFINED      4         --         --       800
PHARMACEUTICAL HOLDRs TRUST     EQUITY       71712A206     325       3,802 SH         DEFINED      4         --         --     3,802
PHARMACEUTICAL PRODUCT DEVEL    EQUITY       717124101    9180     259,028 SH          SOLE        1    259,028         --        --
PHARMACEUTICAL PRODUCT DEVEL    EQUITY       717124101     737      20,796 SH         DEFINED      4         --         --    20,796
PHARMACOPEIA INC                EQUITY       7171EP101       1         200 SH         DEFINED      4         --         --       200
PHARMANET DEVELOPMENT GROUP     EQUITY       717148100     541      18,632 SH          SOLE        1     18,632         --        --
PHARMANET DEVELOPMENT GROUP     EQUITY       717148100      19         670 SH         DEFINED      4         --         --       670
PHARMERICA CORP                 EQUITY       71714F104     457      30,610 SH          SOLE        1     30,610         --        --
PHARMION CORP                   EQUITY       71715B409    1046      22,664 SH          SOLE        1     22,664         --        --
PHARMION CORP                   EQUITY       71715B409     461      10,000 SH          SOLE        2     10,000         --        --
PHARMOS CORP                    EQUITY       717139307      11       7,120 SH         DEFINED      4         --         --     7,120
PHASE FORWARD INC               EQUITY       71721R406    1942      97,044 SH          SOLE        1     97,044         --        --
PHASE FORWARD INC               EQUITY       71721R406    3722     186,000 SH          SOLE        3    160,100         --    25,900
PHASE FORWARD INC               EQUITY       71721R406     710      35,500 SH          SOLE        2     35,500         --        --
PHC INC-CL A (MASS)             EQUITY       693315103       6       2,000 SH         DEFINED      4         --         --     2,000
PHH CORP                        EQUITY       693320202    1224      46,594 SH          SOLE        1     46,594         --        --
PHH CORP                        EQUITY       693320202      17         635 SH         DEFINED      4         --         --       635
PHI INC-NON VOTING              EQUITY       69336T205     357      11,838 SH          SOLE        1     11,838         --        --
PHILADELPHIA CONS HLDG CO       EQUITY       717528103     327       7,920 SH          SOLE        1      7,920         --        --
PHILADELPHIA CONS HLDG CO       EQUITY       717528103     469      10,718 SH         DEFINED      4         --         --    10,718
PHILLIPS-VAN HEUSEN             EQUITY       718592108    7387     140,749 SH          SOLE        1    140,749         --        --
PHILLIPS-VAN HEUSEN             EQUITY       718592108     206       3,900 SH         DEFINED      4         --         --     3,900
PHILLIPS-VAN HEUSEN             EQUITY       718592108    1795      34,200 SH          SOLE        2     34,200         --        --
PHOENIX COMPANIES INC           EQUITY       71902E109    1402      99,371 SH          SOLE        1     99,371         --        --
PHOENIX COMPANIES INC           EQUITY       71902E109     157       9,871 SH         DEFINED      4         --         --     9,871
PHOENIX FOOTWEAR GROUP INC      EQUITY       71903M100       3       1,000 SH         DEFINED      4         --         --     1,000
PHOENIX TECHNOLOGIES LTD        EQUITY       719153108      36       3,366 SH          SOLE        1      3,366         --        --
PHOTON DYNAMICS INC             EQUITY       719364101      19       2,096 SH          SOLE        1      2,096         --        --
PHOTRONICS INC                  EQUITY       719405102     476      41,736 SH          SOLE        1     41,736         --        --





                                                                                          
PHOTRONICS INC                  EQUITY       719405102       2         134 SH         DEFINED      4         --         --       134
PICO HOLDINGS INC               EQUITY       693366205     551      13,257 SH          SOLE        1     13,257         --        --
PICO HOLDINGS INC               EQUITY       693366205      82       1,725 SH         DEFINED      4         --         --     1,725
PIEDMONT NATURAL GAS CO         EQUITY       720186105    1865      74,335 SH          SOLE        1     74,335         --        --
PIEDMONT NATURAL GAS CO         EQUITY       720186105     265       9,820 SH         DEFINED      4         --         --     9,820
PIER 1 IMPORTS INC              EQUITY       720279108     363      76,798 SH          SOLE        1     76,798         --        --
PIER 1 IMPORTS INC              EQUITY       720279108      12       2,475 SH         DEFINED      4         --         --     2,475
PIKE ELECTRIC CORP              EQUITY       721283109     290      15,453 SH          SOLE        1     15,453         --        --
PIKE ELECTRIC CORP              EQUITY       721283109      28       1,320 SH         DEFINED      4         --         --     1,320
PILGRIM'S PRIDE CORP            EQUITY       721467108    1222      35,183 SH          SOLE        1     35,183         --        --
PILGRIM'S PRIDE CORP            EQUITY       721467108      83       2,278 SH         DEFINED      4         --         --     2,278
PIMCO CALIFORNIA MUNI INC FD    EQUITY       72200N106     166       9,303 SH         DEFINED      4         --         --     9,303
PIMCO CALIFORNIA MUNICIP III    EQUITY       72201C109      52       3,007 SH         DEFINED      4         --         --     3,007
PIMCO CALIFORNIA MUNICIPA II    EQUITY       72200M108     104       6,963 SH         DEFINED      4         --         --     6,963
PIMCO CORPORATE INCOME FUND     EQUITY       72200U100     541      33,570 SH         DEFINED      4         --         --    33,570
PIMCO CORPORATE OPPORTUNITY     EQUITY       72201B101    5789 341118.7187 SH         DEFINED      4         --         --        --
PIMCO FLOATING RATE INC FUND    EQUITY       72201H108     312      16,925 SH         DEFINED      4         --         --    16,925
PIMCO FLOATING RT STRATEGY      EQUITY       72201J104     662      34,222 SH         DEFINED      4         --         --    34,222
PIMCO HIGH INCOME FUND          EQUITY       722014107    5191     319,250 SH         DEFINED      4         --         --   319,250
PIMCO MUNI INCOME FUND III      EQUITY       72201A103     319  19725.1505 SH         DEFINED      4         --         --        --
PIMCO MUNICIPAL INCOME FD II    EQUITY       72200W106     190      12,150 SH         DEFINED      4         --         --    12,150
PIMCO MUNICIPAL INCOME FUND     EQUITY       72200R107      47       2,534 SH         DEFINED      4         --         --     2,534
PIMCO NEW YORK MUNI INC FD      EQUITY       72200T103       7         500 SH         DEFINED      4         --         --       500
PIMCO NEW YORK MUNICIPAL II     EQUITY       72200Y102      15       1,042 SH         DEFINED      4         --         --     1,042
PIMCO NEW YORK MUNICIPAL III    EQUITY       72201E105      34       2,077 SH         DEFINED      4         --         --     2,077
PIMCO STRATEGIC GLBL GOVT       EQUITY       72200X104     246      22,123 SH         DEFINED      4         --         --    22,123
PINNACLE AIRLINES CORP          EQUITY       723443107     274      17,112 SH          SOLE        1     17,112         --        --
PINNACLE AIRLINES CORP          EQUITY       723443107       4         230 SH         DEFINED      4         --         --       230
PINNACLE ENTERTAINMENT INC      EQUITY       723456109    1620      59,501 SH          SOLE        1     59,501         --        --
PINNACLE ENTERTAINMENT INC      EQUITY       723456109       5         192 SH         DEFINED      4         --         --       192
PINNACLE FINANCIAL PARTNERS     EQUITY       72346Q104     389      13,512 SH          SOLE        1     13,512         --        --
PINNACLE FINANCIAL PARTNERS     EQUITY       72346Q104     181       6,023 SH         DEFINED      4         --         --     6,023
PINNACLE WEST CAPITAL           EQUITY       723484101    6520     165,012 SH          SOLE        1    165,012         --        --
PINNACLE WEST CAPITAL           EQUITY       723484101     400       8,127 SH         DEFINED      4         --         --     8,127
PINNACLE WEST CAPITAL           EQUITY       723484101       5         126 SH          SOLE        2        126         --        --
PIONEER DRILLING COMPANY        EQUITY       723655106     602      49,412 SH          SOLE        1     49,412         --        --
PIONEER DRILLING COMPANY        EQUITY       723655106     122       8,776 SH         DEFINED      4         --         --     8,776
PIONEER FLOATING RATE TRUST     EQUITY       72369J102      62       3,095 SH         DEFINED      4         --         --     3,095
PIONEER HIGH INCOME TRUST       EQUITY       72369H106     678      37,549 SH         DEFINED      4         --         --    37,549
PIONEER INTEREST SHARES INC     EQUITY       723703104      26       2,208 SH         DEFINED      4         --         --     2,208
PIONEER MUNI HI INC ADV TRST    EQUITY       723762100     154       9,610 SH         DEFINED      4         --         --     9,610
PIONEER MUNI HI INCOME TRUST    EQUITY       723763108      83       5,635 SH         DEFINED      4         --         --     5,635
PIONEER NATURAL RESOURCES CO    EQUITY       723787107   13638     303,192 SH          SOLE        1    303,192         --        --
PIONEER NATURAL RESOURCES CO    EQUITY       723787107     962      19,391 SH         DEFINED      4         --         --    19,391
PIONEER TAX ADV BALANCED FD     EQUITY       72388R101      23       1,500 SH         DEFINED      4         --         --     1,500
PIPER JAFFRAY COS               EQUITY       724078100    1006      18,776 SH          SOLE        1     18,776         --        --
PIPER JAFFRAY COS               EQUITY       724078100     161       3,012 SH         DEFINED      4         --         --     3,012
PITNEY BOWES INC                EQUITY       724479100   25830     568,138 SH          SOLE        1    568,138         --        --
PITNEY BOWES INC                EQUITY       724479100     838      17,451 SH         DEFINED      4         --         --    17,451
PITNEY BOWES INC                EQUITY       724479100      13         277 SH          SOLE        2        277         --        --
PIXELWORKS INC                  EQUITY       72581M107       1       1,020 SH         DEFINED      4         --         --     1,020
PLAINS ALL AMER PIPELINE LP     EQUITY       726503105    2360      39,010 SH         DEFINED      4         --         --    39,010
PLAINS EXPLORATION & PRODUCT    EQUITY       726505100    8156     184,434 SH          SOLE        1    184,434         --        --
PLAINS EXPLORATION & PRODUCT    EQUITY       726505100     402       9,081 SH         DEFINED      4         --         --     9,081





                                                                                          
PLANAR SYSTEMS INC              EQUITY       726900103      15       2,208 SH          SOLE        1      2,208         --        --
PLANAR SYSTEMS INC              EQUITY       726900103       1          84 SH         DEFINED      4         --         --        84
PLANTRONICS INC                 EQUITY       727493108    4584     160,565 SH          SOLE        1    160,565         --        --
PLANTRONICS INC                 EQUITY       727493108      28       1,123 SH         DEFINED      4         --         --     1,123
PLATO LEARNING INC              EQUITY       72764Y100       2         518 SH         DEFINED      4         --         --       518
PLAYBOY ENTERPRISES-CLASS B     EQUITY       728117300     206      19,171 SH          SOLE        1     19,171         --        --
PLAYBOY ENTERPRISES-CLASS B     EQUITY       728117300       6         604 SH         DEFINED      4         --         --       604
PLAYTEX PRODUCTS INC            EQUITY       72813P100    3394     185,692 SH          SOLE        1    185,692         --        --
PLAYTEX PRODUCTS INC            EQUITY       72813P100      10         538 SH         DEFINED      4         --         --       538
PLC SYSTEMS INC                 EQUITY       69341D104       1       2,050 SH         DEFINED      4         --         --     2,050
PLEXUS CORP                     EQUITY       729132100    1266      46,193 SH          SOLE        1     46,193         --        --
PLEXUS CORP                     EQUITY       729132100     128       4,670 SH         DEFINED      4         --         --     4,670
PLEXUS CORP                     EQUITY       729132100     737      26,900 SH          SOLE        2     26,900         --        --
PLUG POWER INC                  EQUITY       72919P103     121      34,712 SH         DEFINED      4         --         --    34,712
PLUM CREEK TIMBER CO            EQUITY       729251108    7682     171,632 SH          SOLE        1    171,632         --        --
PLUM CREEK TIMBER CO            EQUITY       729251108    2828      69,989 SH         DEFINED      4         --         --    69,989
PLUM CREEK TIMBER CO            EQUITY       729251108      10         220 SH          SOLE        2        220         --        --
PLX TECHNOLOGY INC              EQUITY       693417107     269      24,936 SH          SOLE        1     24,936         --        --
PMA CAPITAL CORPORATION-CL A    EQUITY       693419202     270      28,382 SH          SOLE        1     28,382         --        --
PMC - SIERRA INC                EQUITY       69344F106    1573     187,529 SH          SOLE        1    187,529         --        --
PMC - SIERRA INC                EQUITY       69344F106      71       9,045 SH         DEFINED      4         --         --     9,045
PMC COMMERCIAL TRUST            EQUITY       693434102      13       1,000 SH         DEFINED      4         --         --     1,000
PMI GROUP INC/THE               EQUITY       69344M101    7779     237,890 SH          SOLE        1    237,890         --        --
PMI GROUP INC/THE               EQUITY       69344M101      53       1,086 SH         DEFINED      4         --         --     1,086
PNC FINANCIAL SERVICES          EQUITY       693475501      67         588 SH         DEFINED      4         --         --       588
PNC FINANCIAL SERVICES GROUP    EQUITY       693475105   23263     340,872 SH          SOLE        1    340,872         --        --
PNC FINANCIAL SERVICES GROUP    EQUITY       693475105    3711      49,293 SH         DEFINED      4         --         --    49,293
PNC FINANCIAL SERVICES GROUP    EQUITY       693475105     404       5,931 SH          SOLE        2      5,931         --        --
PNM RESOURCES INC               EQUITY       69349H107    5964     256,193 SH          SOLE        1    256,193         --        --
PNM RESOURCES INC               EQUITY       69349H107     531      15,932 SH         DEFINED      4         --         --    15,932
POGO PRODUCING CO               EQUITY       730448107    7807     147,003 SH          SOLE        1    147,003         --        --
POGO PRODUCING CO               EQUITY       730448107      24         456 SH         DEFINED      4         --         --       456
POLARIS INDUSTRIES INC          EQUITY       731068102    1555      35,642 SH          SOLE        1     35,642         --        --
POLARIS INDUSTRIES INC          EQUITY       731068102      43         991 SH         DEFINED      4         --         --       991
POLO RALPH LAUREN CORP          EQUITY       731572103    3553      45,692 SH          SOLE        1     45,692         --        --
POLO RALPH LAUREN CORP          EQUITY       731572103      28         312 SH         DEFINED      4         --         --       312
POLO RALPH LAUREN CORP          EQUITY       731572103     239       3,076 SH          SOLE        2      3,076         --        --
POLYCOM INC                     EQUITY       73172K104    8205     305,465 SH          SOLE        1    305,465         --        --
POLYCOM INC                     EQUITY       73172K104       4         122 SH         DEFINED      4         --         --       122
POLYCOM INC                     EQUITY       73172K104     497      18,500 SH          SOLE        2     18,500         --        --
POLYMEDICA CORP                 EQUITY       731738100    1191      22,679 SH          SOLE        1     22,679         --        --
POLYMEDICA CORP                 EQUITY       731738100       6         150 SH         DEFINED      4         --         --       150
POLYMEDICA CORP                 EQUITY       731738100     441       8,400 SH          SOLE        2      8,400         --        --
POLYMET MINING CORP             EQUITY       731916102     125      31,245 SH         DEFINED      4         --         --    31,245
POLYONE CORPORATION             EQUITY       73179P106     693      92,777 SH          SOLE        1     92,777         --        --
POLYONE CORPORATION             EQUITY       73179P106     115      15,752 SH         DEFINED      4         --         --    15,752
POMEROY IT SOLUTIONS INC        EQUITY       731822102       7         800 SH         DEFINED      4         --         --       800
PONIARD PHARMACEUTICALS INC     EQUITY       732449301     115      20,228 SH          SOLE        1     20,228         --        --
PONIARD PHARMACEUTICALS INC     EQUITY       732449301      30       4,322 SH         DEFINED      4         --         --     4,322
POOL CORP                       EQUITY       73278L105     181       7,257 SH          SOLE        1      7,257         --        --
POOL CORP                       EQUITY       73278L105      61       1,600 SH         DEFINED      4         --         --     1,600
POPULAR INC                     EQUITY       733174106     176      14,343 SH          SOLE        1     14,343         --        --
POPULAR INC                     EQUITY       733174106     249      14,679 SH         DEFINED      4         --         --    14,679
PORTFOLIO RECOVERY ASSOCIATE    EQUITY       73640Q105     847      15,952 SH          SOLE        1     15,952         --        --





                                                                                          
PORTFOLIO RECOVERY ASSOCIATE    EQUITY       73640Q105      78       1,470 SH         DEFINED      4         --         --     1,470
PORTLAND GENERAL ELECTRIC CO    EQUITY       736508847     739      26,583 SH          SOLE        1     26,583         --        --
PORTLAND GENERAL ELECTRIC CO    EQUITY       736508847      25         823 SH         DEFINED      4         --         --       823
PORTUGAL TELECOM SGPS-SP ADR    EQUITY       737273102     511       36395 SH         DEFINED      4         --         --        --
POSCO-ADR                       EQUITY       693483109     324       1,813 SH         DEFINED      4         --         --     1,813
POSSIS MEDICAL INC              EQUITY       737407106      29       2,153 SH          SOLE        1      2,153         --        --
POSSIS MEDICAL INC              EQUITY       737407106      52        3970 SH         DEFINED      4         --         --        --
POST PROPERTIES INC             EQUITY       737464107    1471      38,014 SH          SOLE        1     38,014         --        --
POST PROPERTIES INC             EQUITY       737464107      11         230 SH         DEFINED      4         --         --       230
POTASH CORP OF SASKATCHEWAN     EQUITY       73755L107     653       6,621 SH          OTHER       1         --      6,621        --
POTASH CORP OF SASKATCHEWAN     EQUITY       73755L107   13473      70,928 SH         DEFINED      4         --         --    70,928
POTLATCH CORP                   EQUITY       737630103    1066      23,684 SH          SOLE        1     23,684         --        --
POTLATCH CORP                   EQUITY       737630103     162       3,593 SH         DEFINED      4         --         --     3,593
POWELL INDUSTRIES INC           EQUITY       739128106     266       7,008 SH          SOLE        1      7,008         --        --
POWELL INDUSTRIES INC           EQUITY       739128106       2          74 SH         DEFINED      4         --         --        74
POWER INTEGRATIONS INC          EQUITY       739276103       5         184 SH         DEFINED      4         --         --       184
POWER-ONE INC                   EQUITY       739308104     311      61,065 SH          SOLE        1     61,065         --        --
POWER-ONE INC                   EQUITY       739308104      42      10,566 SH         DEFINED      4         --         --    10,566
POWERSECURE INTERNATIONAL IN    EQUITY       73936N105    3950     317,000 SH          SOLE        2    317,000         --        --
POWERSHARES AERO & DEFENSE      EQUITY       73935X690     156       7,498 SH         DEFINED      4         --         --     7,498
POWERSHARES BUYB ACHEIVEVERS    EQUITY       73935X286     127       5,000 SH         DEFINED      4         --         --     5,000
POWERSHARES CLEANTECH PORTFO    EQUITY       73935X278    1072      38,537 SH         DEFINED      4         --         --    38,537
POWERSHARES DB AGRICULTURE F    EQUITY       73936B408     230       9,100 SH         DEFINED      4         --         --     9,100
POWERSHARES DB BASE METALS F    EQUITY       73936B705       3         100 SH         DEFINED      4         --         --       100
POWERSHARES DB COMMODITY IND    EQUITY       73935S105     372      13,235 SH         DEFINED      4         --         --    13,235
POWERSHARES DB ENERGY FUND      EQUITY       73936B101     266       9,746 SH         DEFINED      4         --         --     9,746
POWERSHARES DB G10 CURR HARV    EQUITY       73935Y102    4589     166,159 SH         DEFINED      4         --         --   166,159
POWERSHARES DVD ACHIEVERS PT    EQUITY       73935X732     280      15,729 SH         DEFINED      4         --         --    15,729
POWERSHARES DWA TECHINICAL L    EQUITY       73935X153       5         200 SH         DEFINED      4         --         --       200
POWERSHARES DYN BASIC MATERI    EQUITY       73935X427      37       1,150 SH         DEFINED      4         --         --     1,150
POWERSHARES DYN BIOTECH&GENO    EQUITY       73935X856    2088     106,961 SH         DEFINED      4         --         --   106,961
POWERSHARES DYN ENERGY          EQUITY       73935X385      28         855 SH         DEFINED      4         --         --       855
POWERSHARES DYN ENRG EXP PRO    EQUITY       73935X658     924      42,437 SH         DEFINED      4         --         --    42,437
POWERSHARES DYN FOOD&BEVERAG    EQUITY       73935X849     871      48,825 SH         DEFINED      4         --         --    48,825
POWERSHARES DYN HARDW & CONS    EQUITY       73935X831       4         205 SH         DEFINED      4         --         --       205
POWERSHARES DYN HEALTHCARE      EQUITY       73935X351      11         383 SH         DEFINED      4         --         --       383
POWERSHARES DYN L/C GROWTH      EQUITY       73935X609     322      18,215 SH         DEFINED      4         --         --    18,215
POWERSHARES DYN L/C VALUE       EQUITY       73935X708     108       5,208 SH         DEFINED      4         --         --     5,208
POWERSHARES DYN LEISURE&ENT     EQUITY       73935X757      84       4,415 SH         DEFINED      4         --         --     4,415
POWERSHARES DYN M/C GROWTH      EQUITY       73935X807      35       1,480 SH         DEFINED      4         --         --     1,480
POWERSHARES DYN M/C VALUE       EQUITY       73935X880     159       7,997 SH         DEFINED      4         --         --     7,997
POWERSHARES DYN MAGNIQUANT      EQUITY       73935X468    4533     164,759 SH         DEFINED      4         --         --   164,759
POWERSHARES DYN NETWORKING      EQUITY       73935X815       5         285 SH         DEFINED      4         --         --       285
POWERSHARES DYN OIL & GAS SV    EQUITY       73935X625    1818      77,746 SH         DEFINED      4         --         --    77,746
POWERSHARES DYN PHARMACEUTIC    EQUITY       73935X799      32       1,610 SH         DEFINED      4         --         --     1,610
POWERSHARES DYN RETAIL PORTF    EQUITY       73935X617      42       2,360 SH         DEFINED      4         --         --     2,360
POWERSHARES DYN S/C GROWTH      EQUITY       73935X872      28       1,455 SH         DEFINED      4         --         --     1,455
POWERSHARES DYN S/C VALUE       EQUITY       73935X864      75       3,889 SH         DEFINED      4         --         --     3,889
POWERSHARES DYN SEMICONDUCT     EQUITY       73935X781     894      45,980 SH         DEFINED      4         --         --    45,980
POWERSHARES DYN TECHNOLOGY      EQUITY       73935X344       3         100 SH         DEFINED      4         --         --       100
POWERSHARES DYN TELE & WIREL    EQUITY       73935X765     357      17,565 SH         DEFINED      4         --         --    17,565
POWERSHARES DYN UTILITIES PT    EQUITY       73935X591      12         575 SH         DEFINED      4         --         --       575
POWERSHARES DYNAMIC MKT PORT    EQUITY       73935X104    1497      27,695 SH         DEFINED      4         --         --    27,695
POWERSHARES DYNAMIC OTC PORT    EQUITY       73935X203     421       7,510 SH         DEFINED      4         --         --     7,510





                                                                                          
POWERSHARES FIN PFD PORTFOLI    EQUITY       73935X229     247       9,920 SH         DEFINED      4         --         --     9,920
POWERSHARES FTSE RAFI ENERGY    EQUITY       73935X559     153       2,095 SH         DEFINED      4         --         --     2,095
POWERSHARES FTSE RAFI US 1K     EQUITY       73935X583     590       9,494 SH         DEFINED      4         --         --     9,494
POWERSHARES GLD DRG H USX CH    EQUITY       73935X401     251      11,308 SH         DEFINED      4         --         --    11,308
POWERSHARES H/Y EQ DVD ACHIE    EQUITY       73935X302     275      17,048 SH         DEFINED      4         --         --    17,048
POWERSHARES INTER DVD ACHIEV    EQUITY       73935X716     424      20,508 SH         DEFINED      4         --         --    20,508
POWERSHARES LISTED PRIV EQUI    EQUITY       73935X195      77       2,700 SH         DEFINED      4         --         --     2,700
POWERSHARES LUX NANOTECH PT     EQUITY       73935X633     779      44,593 SH         DEFINED      4         --         --    44,593
POWERSHARES QQQ                 EQUITY       73935A104   12323     239,700 SH          SOLE        1    239,700         --        --
POWERSHARES QQQ                 EQUITY       73935A104    9038     193,861 SH         DEFINED      4         --         --   193,861
POWERSHARES VALUE LINE TIME     EQUITY       73935X682     248       13517 SH         DEFINED      4         --         --        --
POWERSHARES WATER RESOURCES     EQUITY       73935X575    7844     399,394 SH         DEFINED      4         --         --   399,394
POWERSHARES WILDERH CLEAN EN    EQUITY       73935X500    9679     490,084 SH         DEFINED      4         --         --   490,084
POWERSHARES WILDERHILL PROGR    EQUITY       73935X161     170       5,760 SH         DEFINED      4         --         --     5,760
POWERSHARES ZACKS MICRO CAP     EQUITY       73935X740      57       3,288 SH         DEFINED      4         --         --     3,288
POWERSHARES ZACKS S/C PTFL      EQUITY       73935X674      25         915 SH         DEFINED      4         --         --       915
POWERWAVE TECHNOLOGIES INC      EQUITY       739363109    2687     436,232 SH          SOLE        1    436,232         --        --
POWERWAVE TECHNOLOGIES INC      EQUITY       739363109      29        4771 SH         DEFINED      4         --         --        --
POZEN INC                       EQUITY       73941U102     245      22,157 SH          SOLE        1     22,157         --        --
PPG INDUSTRIES INC              EQUITY       693506107    6658      88,132 SH          SOLE        1     88,132         --        --
PPG INDUSTRIES INC              EQUITY       693506107    1691      22,312 SH         DEFINED      4         --         --    22,312
PPG INDUSTRIES INC              EQUITY       693506107    6332      83,807 SH          SOLE        2     83,807         --        --
PPL CORPORATION                 EQUITY       69351T106    8077     174,445 SH          SOLE        1    174,445         --        --
PPL CORPORATION                 EQUITY       69351T106    2248      49,678 SH         DEFINED      4         --         --    49,678
PPL CORPORATION                 EQUITY       69351T106      22         483 SH          SOLE        2        483         --        --
PPL ENERGY SUPPLY LLC           FIXED INCOME 69352JAE7       4           2 PRN        DEFINED      4         --         --        --
PRA INTERNATIONAL               EQUITY       69353C101     508      17,267 SH          SOLE        1     17,267         --        --
PRAXAIR INC                     EQUITY       74005P104   28840     344,323 SH          SOLE        1    344,323         --        --
PRAXAIR INC                     EQUITY       74005P104    1703      25,640 SH         DEFINED      4         --         --    25,640
PRAXAIR INC                     EQUITY       74005P104     628       7,503 SH          SOLE        2      7,503         --        --
PRECISION CASTPARTS CORP        EQUITY       740189105   14090      95,217 SH          SOLE        1     95,217         --        --
PRECISION CASTPARTS CORP        EQUITY       740189105    1726      15,799 SH         DEFINED      4         --         --    15,799
PRECISION CASTPARTS CORP        EQUITY       740189105    1491      10,074 SH          SOLE        2     10,074         --        --
PRECISION DRILLING TRUST        EQUITY       740215108      32       1,655 SH          OTHER       1         --      1,655        --
PREFERRED BANK/LOS ANGELES      EQUITY       740367107     317       8,056 SH          SOLE        1      8,056         --        --
PREFORMED LINE PRODUCTS CO      EQUITY       740444104     112       2,147 SH          SOLE        1      2,147         --        --
PREMIER EXHIBITIONS INC         EQUITY       74051E102     385      25,524 SH          SOLE        1     25,524         --        --
PREMIERE GLOBAL SERVICES INC    EQUITY       740585104     773      61,109 SH          SOLE        1     61,109         --        --
PREMIERE GLOBAL SERVICES INC    EQUITY       740585104       1          50 SH         DEFINED      4         --         --        50
PREPAID LEGAL SERVICES INC      EQUITY       740065107     499       8,989 SH          SOLE        1      8,989         --        --
PRESIDENTIAL LIFE               EQUITY       740884101     366      21,587 SH          SOLE        1     21,587         --        --
PRESSURE BIOSCIENCES INC        EQUITY       74112E109       5       1,000 SH         DEFINED      4         --         --     1,000
PRESTIGE BRANDS HOLDINGS INC    EQUITY       74112D101     324      29,476 SH          SOLE        1     29,476         --        --
PRESTIGE BRANDS HOLDINGS INC    EQUITY       74112D101       1         100 SH         DEFINED      4         --         --       100
PRG-SCHULTZ INTERNATIONAL       EQUITY       69357C503       1          67 SH         DEFINED      4         --         --        67
PRICELINE.COM INC               EQUITY       741503403    2929      33,006 SH          SOLE        1     33,006         --        --
PRICELINE.COM INC               EQUITY       741503403     376       4,237 SH         DEFINED      4         --         --     4,237
PRICELINE.COM INC               EQUITY       741503403     621       7,000 SH          SOLE        2      7,000         --        --
PRICESMART INC                  EQUITY       741511109     275      11,644 SH          SOLE        1     11,644         --        --
PRICESMART INC                  EQUITY       741511109       4         250 SH         DEFINED      4         --         --       250
PRIDE INTERNATIONAL INC         EQUITY       74153Q102   15184     415,427 SH          SOLE        1    415,427         --        --
PRIDE INTERNATIONAL INC         EQUITY       74153Q102     723      21,232 SH         DEFINED      4         --         --    21,232
PRIMEDIA INC                    EQUITY       74157K846     540      38,446 SH          SOLE        1     38,446         --        --
PRIMEWEST ENERGY TRUST          EQUITY       741930309      60       2,957 SH          OTHER       1         --      2,957        --





                                                                                          
PRIMEWEST ENERGY TRUST          EQUITY       741930309     745      35,030 SH         DEFINED      4         --         --    35,030
PRINCIPAL FINANCIAL GROUP       EQUITY       74251V102   26749     426,426 SH          SOLE        1    426,426         --        --
PRINCIPAL FINANCIAL GROUP       EQUITY       74251V102    2169      34,649 SH         DEFINED      4         --         --    34,649
PRINCIPAL FINANCIAL GROUP       EQUITY       74251V102      21         335 SH          SOLE        2        335         --        --
PRINTRONIX INC                  EQUITY       742578107      40       3,043 SH         DEFINED      4         --         --     3,043
PRIVATEBANCORP INC              EQUITY       742962103     655      18,789 SH          SOLE        1     18,789         --        --
PRIVATEBANCORP INC              EQUITY       742962103      44       1,257 SH         DEFINED      4         --         --     1,257
PROASSURANCE CORP               EQUITY       74267C106    1791      33,241 SH          SOLE        1     33,241         --        --
PROASSURANCE CORP               EQUITY       74267C106     320       5,938 SH         DEFINED      4         --         --     5,938
PROCENTURY CORP                 EQUITY       74268T108       6         300 SH         DEFINED      4         --         --       300
PROCTER & GAMBLE CO             EQUITY       742718109  137077   1,949,380 SH          SOLE        1  1,949,380         --        --
PROCTER & GAMBLE CO             EQUITY       742718109   56055     901,494 SH         DEFINED      4         --         --   901,494
PROCTER & GAMBLE CO             EQUITY       742718109   28687     407,835 SH          SOLE        2    407,835         --        --
PROGENICS PHARMACEUTICALS       EQUITY       743187106     446      20,187 SH          SOLE        1     20,187         --        --
PROGRESS ENERGY INC             EQUITY       743263105   12481     266,413 SH          SOLE        1    266,413         --        --
PROGRESS ENERGY INC             EQUITY       743263105    2955      63,083 SH         DEFINED      4         --         --    63,083
PROGRESS ENERGY INC             EQUITY       743263105     348       7,426 SH          SOLE        2      7,426         --        --
PROGRESS SOFTWARE CORP          EQUITY       743312100    1241      40,973 SH          SOLE        1     40,973         --        --
PROGRESS SOFTWARE CORP          EQUITY       743312100       4         137 SH         DEFINED      4         --         --       137
PROGRESS SOFTWARE CORP          EQUITY       743312100     630      20,800 SH          SOLE        2     20,800         --        --
PROGRESSIVE CORP                EQUITY       743315103    5969     307,545 SH          SOLE        1    307,545         --        --
PROGRESSIVE CORP                EQUITY       743315103    1163      59,922 SH         DEFINED      4         --         --    59,922
PROGRESSIVE CORP                EQUITY       743315103      18         913 SH          SOLE        2        913         --        --
PROGRESSIVE GAMING INTERNATI    EQUITY       74332S102       5       1,033 SH         DEFINED      4         --         --     1,033
PROLOGIS                        EQUITY       743410102   18271     275,366 SH          SOLE        1    275,366         --        --
PROLOGIS                        EQUITY       743410102     996      14,871 SH         DEFINED      4         --         --    14,871
PROLOGIS                        EQUITY       743410102      21         324 SH          SOLE        2        324         --        --
PROS HOLDINGS INC               EQUITY       74346Y103    1293     107,100 SH          SOLE        3    107,100         --        --
PROSPECT CAPITAL CORP           EQUITY       74348T102     294      17,292 SH          SOLE        1     17,292         --        --
PROSPECT CAPITAL CORP           EQUITY       74348T102     415      23,363 SH         DEFINED      4         --         --    23,363
PROSPECT STREET HI INC PORTF    EQUITY       743586406      30       9,012 SH         DEFINED      4         --         --     9,012
PROSPECT STREET INCOME SHRS     EQUITY       743590101      92      16,782 SH         DEFINED      4         --         --    16,782
PROSPERITY BANCSHARES INC       EQUITY       743606105    1185      35,745 SH          SOLE        1     35,745         --        --
PROSPERITY BANCSHARES INC       EQUITY       743606105      45       1,255 SH         DEFINED      4         --         --     1,255
PROTALIX BIOTHERAPEUTICS INC    EQUITY       74365A101     941      27,217 SH          SOLE        1     27,217         --        --
PROTECTION ONE INC              EQUITY       743663403      76       5,657 SH          SOLE        1      5,657         --        --
PROTECTIVE LIFE CORP            EQUITY       743674103    7458     175,740 SH          SOLE        1    175,740         --        --
PROTECTIVE LIFE CORP            EQUITY       743674103     232       4,852 SH         DEFINED      4         --         --     4,852
PROVIDENCE AND WORCESTER RR     EQUITY       743737108       6         300 SH         DEFINED      4         --         --       300
PROVIDENCE SERVICE CORP         EQUITY       743815102     297      10,117 SH          SOLE        1     10,117         --        --
PROVIDENT BANKSHARES CORP       EQUITY       743859100    1164      37,147 SH          SOLE        1     37,147         --        --
PROVIDENT BANKSHARES CORP       EQUITY       743859100      59       1,703 SH         DEFINED      4         --         --     1,703
PROVIDENT ENERGY TRUST-UTS      EQUITY       74386K104      51       4,194 SH          OTHER       1         --      4,194        --
PROVIDENT ENERGY TRUST-UTS      EQUITY       74386K104    2572     219,828 SH         DEFINED      4         --         --   219,828
PROVIDENT FINANCIAL SERVICES    EQUITY       74386T105     940      57,444 SH          SOLE        1     57,444         --        --
PROVIDENT FINANCIAL SERVICES    EQUITY       74386T105      14         800 SH         DEFINED      4         --         --       800
PROVIDENT NEW YORK BANCORP      EQUITY       744028101     483      36,869 SH          SOLE        1     36,869         --        --
PRUDENTIAL FINANCIAL INC        EQUITY       744320102   19283     197,609 SH          SOLE        1    197,609         --        --
PRUDENTIAL FINANCIAL INC        EQUITY       744320102    1573      16,122 SH         DEFINED      4         --         --    16,122
PRUDENTIAL FINANCIAL INC        EQUITY       744320102      56         579 SH          SOLE        2        579         --        --
PRUDENTIAL PLC                  EQUITY       G7293H189      39       1,700 SH         DEFINED      4         --         --     1,700
PRUDENTIAL PLC                  EQUITY       G7293H114     140       5,432 SH         DEFINED      4         --         --     5,432
PRUDENTIAL PLC-ADR              EQUITY       74435K204     339      10,207 SH         DEFINED      4         --         --    10,207
PS BUSINESS PARKS INC/CA        EQUITY       69360J107    2180      38,338 SH          SOLE        1     38,338         --        --





                                                                                          
PS BUSINESS PARKS INC/CA        EQUITY       69360J107       8         135 SH         DEFINED      4         --         --       135
PSI TECHNOLOGIES HLDGS-ADR      EQUITY       74438Q109       2       1,000 SH         DEFINED      4         --         --     1,000
PSS WORLD MEDICAL INC           EQUITY       69366A100    1282      67,001 SH          SOLE        1     67,001         --        --
PSS WORLD MEDICAL INC           EQUITY       69366A100      24       1,177 SH         DEFINED      4         --         --     1,177
PSYCHEMEDICS CORP               EQUITY       744375205       4         400 SH         DEFINED      4         --         --       400
PSYCHIATRIC SOLUTIONS INC       EQUITY       74439H108    7121     181,289 SH          SOLE        1    181,289         --        --
PSYCHIATRIC SOLUTIONS INC       EQUITY       74439H108      23         575 SH         DEFINED      4         --         --       575
PSYCHIATRIC SOLUTIONS INC       EQUITY       74439H108   38612     983,000 SH          SOLE        2    983,000         --        --
PT INDOSAT-ADR                  EQUITY       744383100      67       1,785 SH         DEFINED      4         --         --     1,785
PUBLIC SERVICE ENTERPRISE GP    EQUITY       744573106    9585     108,938 SH          SOLE        1    108,938         --        --
PUBLIC SERVICE ENTERPRISE GP    EQUITY       744573106    4277      46,885 SH         DEFINED      4         --         --    46,885
PUBLIC SERVICE ENTERPRISE GP    EQUITY       744573106      28         321 SH          SOLE        2        321         --        --
PUBLIC STORAGE                  EQUITY       74460D109    4539      57,710 SH          SOLE        1     57,710         --        --
PUBLIC STORAGE                  EQUITY       74460D109    2855      31,598 SH         DEFINED      4         --         --    31,598
PUBLIC STORAGE                  EQUITY       74460D109    4023      51,157 SH          SOLE        2     51,157         --        --
PUBLIC STORAGE-DEP SHARES A     EQUITY       74460D729      21         812 SH         DEFINED      4         --         --       812
PUBLICIS GROUPE-ADR             EQUITY       74463M106      17         417 SH         DEFINED      4         --         --       417
PUGET ENERGY INC                EQUITY       745310102   23560     962,792 SH          SOLE        1    962,792         --        --
PUGET ENERGY INC                EQUITY       745310102     317      12,952 SH         DEFINED      4         --         --    12,952
PULASKI FINANCIAL CORP          EQUITY       745548107     142      10,987 SH         DEFINED      4         --         --    10,987
PULTE HOMES INC                 EQUITY       745867101    1398     102,707 SH          SOLE        1    102,707         --        --
PULTE HOMES INC                 EQUITY       745867101     144       5,534 SH         DEFINED      4         --         --     5,534
PULTE HOMES INC                 EQUITY       745867101       4         268 SH          SOLE        2        268         --        --
PUTNAM HIGH INCOME SECURITIE    EQUITY       746779107     119      13,272 SH         DEFINED      4         --         --    13,272
PUTNAM HIGH YIELD MUNI TRUST    EQUITY       746781103     163      23,173 SH         DEFINED      4         --         --    23,173
PUTNAM INV GRADE MUNI TRUST     EQUITY       746805100      65       6,379 SH         DEFINED      4         --         --     6,379
PUTNAM MANAGED MUNI INCM TRS    EQUITY       746823103     153      21,036 SH         DEFINED      4         --         --    21,036
PUTNAM MASTER INTER INC TST     EQUITY       746909100     190      28,588 SH         DEFINED      4         --         --    28,588
PUTNAM MUNI OPPORTUNITIES TR    EQUITY       746922103     267      21,768 SH         DEFINED      4         --         --    21,768
PUTNAM MUNICIPAL BOND FUND      EQUITY       74683V100     151      12,651 SH         DEFINED      4         --         --    12,651
PUTNAM PREMIER INCOME TRUST     EQUITY       746853100     891     134,720 SH         DEFINED      4         --         --   134,720
PVF CAPITAL CORP                EQUITY       693654105      10         777 SH         DEFINED      4         --         --       777
QAD INC                         EQUITY       74727D108     109      12,568 SH          SOLE        1     12,568         --        --
QAD INC                         EQUITY       74727D108       3         300 SH         DEFINED      4         --         --       300
QC HOLDINGS INC                 EQUITY       74729T101     101       6,966 SH          SOLE        1      6,966         --        --
QIAGEN N.V.                     EQUITY       N72482107      74       3,850 SH         DEFINED      4         --         --     3,850
QIAO XING UNIVERSAL TELE INC    EQUITY       G7303A109      41       2,720 SH         DEFINED      4         --         --     2,720
QIMONDA AG-SPONSORED ADR        EQUITY       746904101       1         100 SH         DEFINED      4         --         --       100
QLOGIC CORP                     EQUITY       747277101     929      69,071 SH          SOLE        1     69,071         --        --
QLOGIC CORP                     EQUITY       747277101      69       5,098 SH         DEFINED      4         --         --     5,098
QLOGIC CORP                     EQUITY       747277101       2         185 SH          SOLE        2        185         --        --
QLT INC                         EQUITY       746927102       1         110 SH          SOLE        1        110         --        --
QLT INC                         EQUITY       746927102       1         123 SH         DEFINED      4         --         --       123
QSOUND LABS INC                 EQUITY       74728C307       1         250 SH         DEFINED      4         --         --       250
QUADRA REALTY TRUST INC         EQUITY       746945104     138      14,508 SH          SOLE        1     14,508         --        --
QUAKER CHEMICAL CORP            EQUITY       747316107      30       1,272 SH          SOLE        1      1,272         --        --
QUALCOMM INC                    EQUITY       747525103   63198   1,495,445 SH          SOLE        1  1,495,445         --        --
QUALCOMM INC                    EQUITY       747525103    4714     107,249 SH         DEFINED      4         --         --   107,249
QUALCOMM INC                    EQUITY       747525103   10084     238,611 SH          SOLE        2    238,611         --        --
QUALITY SYSTEMS INC             EQUITY       747582104     624      17,040 SH          SOLE        1     17,040         --        --
QUALITY SYSTEMS INC             EQUITY       747582104     243       5,846 SH         DEFINED      4         --         --     5,846
QUANEX CORP                     EQUITY       747620102    1738      36,994 SH          SOLE        1     36,994         --        --
QUANEX CORP                     EQUITY       747620102      11         251 SH         DEFINED      4         --         --       251
QUANTA SERVICES INC             EQUITY       74762E102   12218     461,911 SH          SOLE        1    461,911         --        --





                                                                                          
QUANTA SERVICES INC             EQUITY       74762E102    2563      86,133 SH         DEFINED      4         --         --    86,133
QUANTUM CORP                    EQUITY       747906204     581     170,899 SH          SOLE        1    170,899         --        --
QUANTUM CORP                    EQUITY       747906204       3       1,260 SH         DEFINED      4         --         --     1,260
QUEBECOR WORLD INC              EQUITY       748203106      22       2,392 SH          OTHER       1         --      2,392        --
QUEBECOR WORLD INC              EQUITY       748203106      55       5,648 SH         DEFINED      4         --         --     5,648
QUEST CAPITAL CORP              EQUITY       74835U109      56      21,972 SH         DEFINED      4         --         --    21,972
QUEST DIAGNOSTICS               EQUITY       74834L100    4018      69,554 SH          SOLE        1     69,554         --        --
QUEST DIAGNOSTICS               EQUITY       74834L100     425       8,630 SH         DEFINED      4         --         --     8,630
QUEST DIAGNOSTICS               EQUITY       74834L100     312       5,397 SH          SOLE        2      5,397         --        --
QUEST SOFTWARE INC              EQUITY       74834T103    1020      59,430 SH          SOLE        1     59,430         --        --
QUEST SOFTWARE INC              EQUITY       74834T103       8         500 SH         DEFINED      4         --         --       500
QUESTAR CORP                    EQUITY       748356102    5573     106,091 SH          SOLE        1    106,091         --        --
QUESTAR CORP                    EQUITY       748356102     316       3,172 SH         DEFINED      4         --         --     3,172
QUESTAR CORP                    EQUITY       748356102      11         218 SH          SOLE        2        218         --        --
QUICKSILVER RESOURCES INC       EQUITY       74837R104    4192      89,100 SH          SOLE        3     20,700         --    68,400
QUICKSILVER RESOURCES INC       EQUITY       74837R104    5930     126,027 SH          SOLE        1    126,027         --        --
QUICKSILVER RESOURCES INC       EQUITY       74837R104      12         303 SH         DEFINED      4         --         --       303
QUIDEL CORP                     EQUITY       74838J101     490      25,045 SH          SOLE        1     25,045         --        --
QUIDEL CORP                     EQUITY       74838J101     114       8,125 SH         DEFINED      4         --         --     8,125
QUIGLEY CORP                    EQUITY       74838L304       2         462 SH         DEFINED      4         --         --       462
QUIKSILVER INC                  EQUITY       74838C106    1770     123,762 SH          SOLE        1    123,762         --        --
QUIKSILVER INC                  EQUITY       74838C106      12         873 SH         DEFINED      4         --         --       873
QUINTANA MARITIME LTD           EQUITY       Y7169G109     120       6,270 SH         DEFINED      4         --         --     6,270
QWEST COMMUNICATIONS INTL       EQUITY       749121109    9997   1,091,347 SH          SOLE        1  1,091,347         --        --
QWEST COMMUNICATIONS INTL       EQUITY       749121109    1626     171,006 SH         DEFINED      4         --         --   171,006
QWEST COMMUNICATIONS INTL       EQUITY       749121109      18       2,014 SH          SOLE        2      2,014         --        --
R.H. DONNELLEY CORP             EQUITY       74955W307     170       3,043 SH          SOLE        1      3,043         --        --
R.H. DONNELLEY CORP             EQUITY       74955W307      57         688 SH         DEFINED      4         --         --       688
RACKABLE SYSTEMS INC            EQUITY       750077109     324      25,004 SH          SOLE        1     25,004         --        --
RADIAN GROUP INC                EQUITY       750236101    4739     203,552 SH          SOLE        1    203,552         --        --
RADIAN GROUP INC                EQUITY       750236101      26       1,104 SH         DEFINED      4         --         --     1,104
RADIANT SYSTEMS INC             EQUITY       75025N102     415      26,233 SH          SOLE        1     26,233         --        --
RADIANT SYSTEMS INC             EQUITY       75025N102      38       2,830 SH         DEFINED      4         --         --     2,830
RADIATION THERAPY SERVICES      EQUITY       750323206     235      11,290 SH          SOLE        1     11,290         --        --
RADIATION THERAPY SERVICES      EQUITY       750323206    1405      67,500 SH          SOLE        2     67,500         --        --
RADIO ONE INC -CL D             EQUITY       75040P405     286      76,744 SH          SOLE        1     76,744         --        --
RADIO ONE INC -CL D             EQUITY       75040P405       4       1,000 SH         DEFINED      4         --         --     1,000
RADIO ONE INC-CL A              EQUITY       75040P108       4         500 SH         DEFINED      4         --         --       500
RADIOSHACK CORP                 EQUITY       750438103    5364     258,077 SH          SOLE        1    258,077         --        --
RADIOSHACK CORP                 EQUITY       750438103     574      18,145 SH         DEFINED      4         --         --    18,145
RADIOSHACK CORP                 EQUITY       750438103       4         174 SH          SOLE        2        174         --        --
RADISYS CORP                    EQUITY       750459109     272      21,869 SH          SOLE        1     21,869         --        --
RADISYS CORP                    EQUITY       750459109       1          39 SH         DEFINED      4         --         --        39
RADNET INC                      EQUITY       750491102    1757     281,089 SH         DEFINED      4         --         --   281,089
RADWARE LTD                     EQUITY       M81873107       1         100 SH         DEFINED      4         --         --       100
RADYNE CORP                     EQUITY       750611402      27       2,550 SH         DEFINED      4         --         --     2,550
RADYNE CORP                     EQUITY       750611402    3066     290,900 SH          SOLE        2    290,900         --        --
RAE SYSTEMS INC                 EQUITY       75061P102       1         352 SH         DEFINED      4         --         --       352
RAINIER PACIFIC FINANCIAL GR    EQUITY       75087U101       6         300 SH         DEFINED      4         --         --       300
RAIT FINANCIAL TRUST            EQUITY       749227104     454      55,216 SH          SOLE        1     55,216         --        --
RAIT FINANCIAL TRUST            EQUITY       749227104      82       9,959 SH         DEFINED      4         --         --     9,959
RALCORP HOLDINGS INC            EQUITY       751028101    1497      26,813 SH          SOLE        1     26,813         --        --
RALCORP HOLDINGS INC            EQUITY       751028101      55         785 SH         DEFINED      4         --         --       785
RAMBUS INC                      EQUITY       750917106      22       1,148 SH          SOLE        1      1,148         --        --





                                                                                          
RAMBUS INC                      EQUITY       750917106     102       5,108 SH         DEFINED      4         --         --     5,108
RAMCO-GERSHENSON PROPERTIES     EQUITY       751452202      69       1,813 SH         DEFINED      4         --         --     1,813
RANDGOLD RESOURCES LTD-ADR      EQUITY       752344309      96       2,900 SH         DEFINED      4         --         --     2,900
RANGE RESOURCES CORP            EQUITY       75281A109     128       3,144 SH          SOLE        1      3,144         --        --
RANGE RESOURCES CORP            EQUITY       75281A109    4839     119,000 SH          SOLE        3     40,000         --    79,000
RANGE RESOURCES CORP            EQUITY       75281A109     495      12,171 SH         DEFINED      4         --         --    12,171
RARE HOSPITALITY INTL INC       EQUITY       753820109    1168      30,637 SH          SOLE        1     30,637         --        --
RARE HOSPITALITY INTL INC       EQUITY       753820109       3         100 SH         DEFINED      4         --         --       100
RASER TECHNOLOGIES INC          EQUITY       754055101     348      27,033 SH          SOLE        1     27,033         --        --
RAVEN INDUSTRIES INC            EQUITY       754212108     559      13,954 SH          SOLE        1     13,954         --        --
RAVEN INDUSTRIES INC            EQUITY       754212108      14         342 SH         DEFINED      4         --         --       342
RAYMOND JAMES FINANCIAL INC     EQUITY       754730109    7734     235,434 SH          SOLE        1    235,434         --        --
RAYONIER INC                    EQUITY       754907103    5211     108,473 SH          SOLE        1    108,473         --        --
RAYONIER INC                    EQUITY       754907103     462      10,779 SH         DEFINED      4         --         --    10,779
RAYTHEON COMPANY                EQUITY       755111507   29217     457,806 SH          SOLE        1    457,806         --        --
RAYTHEON COMPANY                EQUITY       755111507    2262      41,301 SH         DEFINED      4         --         --    41,301
RAYTHEON COMPANY                EQUITY       755111507   36208     567,351 SH          SOLE        2    567,351         --        --
RAYTHEON COMPANY-CW11           EQUITY       755111119      14         513 SH          SOLE        1        513         --        --
RBC BEARINGS INC                EQUITY       75524B104    2060      53,710 SH          SOLE        1     53,710         --        --
RBC BEARINGS INC                EQUITY       75524B104    5250     136,900 SH          SOLE        3    120,300         --    16,600
RBC BEARINGS INC                EQUITY       75524B104       2          60 SH         DEFINED      4         --         --        60
RC2 CORP                        EQUITY       749388104     586      21,145 SH          SOLE        1     21,145         --        --
RC2 CORP                        EQUITY       749388104      30         720 SH         DEFINED      4         --         --       720
RCN CORP                        EQUITY       749361200     343      27,876 SH          SOLE        1     27,876         --        --
READY MIX INC                   EQUITY       755747102       2         200 SH         DEFINED      4         --         --       200
REALNETWORKS INC                EQUITY       75605L104     604      89,082 SH          SOLE        1     89,082         --        --
REALNETWORKS INC                EQUITY       75605L104      52       7,653 SH         DEFINED      4         --         --     7,653
REALTY INCOME CORP              EQUITY       756109104    2460      88,017 SH          SOLE        1     88,017         --        --
REALTY INCOME CORP              EQUITY       756109104    3892     137,782 SH         DEFINED      4         --         --   137,782
REAVES UTILITY INCOME FUND      EQUITY       756158101     347      13,720 SH         DEFINED      4         --         --    13,720
RED HAT INC                     EQUITY       756577102      30       1,512 SH          SOLE        1      1,512         --        --
RED HAT INC                     EQUITY       756577102     189       8,460 SH         DEFINED      4         --         --     8,460
RED ROBIN GOURMET BURGERS       EQUITY       75689M101     714      16,636 SH          SOLE        1     16,636         --        --
RED ROBIN GOURMET BURGERS       EQUITY       75689M101      22         540 SH         DEFINED      4         --         --       540
REDDY ICE HOLDINGS INC          EQUITY       75734R105    5725     217,114 SH          SOLE        1    217,114         --        --
REDDY ICE HOLDINGS INC          EQUITY       75734R105     481      16,129 SH         DEFINED      4         --         --    16,129
REDHOOK ALE BREWERY INC         EQUITY       757473103      40       5,900 SH         DEFINED      4         --         --     5,900
REDIFF.COM INDIA LIMITED-ADR    EQUITY       757479100      10         600 SH         DEFINED      4         --         --       600
REDWOOD TRUST INC               EQUITY       758075402     611      18,406 SH          SOLE        1     18,406         --        --
REDWOOD TRUST INC               EQUITY       758075402      40         785 SH         DEFINED      4         --         --       785
REED ELSEVIER NV-SPONS ADR      EQUITY       758204101     775      19,547 SH         DEFINED      4         --         --    19,547
REED ELSEVIER PLC-SPONS ADR     EQUITY       758205108      12         221 SH         DEFINED      4         --         --       221
REGAL BELOIT CORP               EQUITY       758750103    1521      31,762 SH          SOLE        1     31,762         --        --
REGAL BELOIT CORP               EQUITY       758750103      79       1,707 SH         DEFINED      4         --         --     1,707
REGAL ENTERTAINMENT GROUP-A     EQUITY       758766109   11190     509,804 SH          SOLE        1    509,804         --        --
REGENCY CENTERS CORP            EQUITY       758849103   13389     174,444 SH          SOLE        1    174,444         --        --
REGENCY CENTERS CORP            EQUITY       758849103     172       2,092 SH         DEFINED      4         --         --     2,092
REGENERATION TECHNOLOGIES       EQUITY       75886N100     278      25,897 SH          SOLE        1     25,897         --        --
REGENERATION TECHNOLOGIES       EQUITY       75886N100      13       1,575 SH         DEFINED      4         --         --     1,575
REGENERON PHARMACEUTICALS       EQUITY       75886F107    1135      63,754 SH          SOLE        1     63,754         --        --
REGENERON PHARMACEUTICALS       EQUITY       75886F107      63       2,237 SH         DEFINED      4         --         --     2,237
REGIONS FINANCIAL CORP          EQUITY       7591EP100   15224     516,421 SH          SOLE        1    516,421         --        --
REGIONS FINANCIAL CORP          EQUITY       7591EP100    4114     114,034 SH         DEFINED      4         --         --   114,034
REGIONS FINANCIAL CORP          EQUITY       7591EP100      26         888 SH          SOLE        2        888         --        --





                                                                                          
REGIS CORP                      EQUITY       758932107    4709     147,579 SH          SOLE        1    147,579         --        --
REGIS CORP                      EQUITY       758932107      56       1,757 SH         DEFINED      4         --         --     1,757
REHABCARE GROUP INC             EQUITY       759148109     307      17,430 SH          SOLE        1     17,430         --        --
REHABCARE GROUP INC             EQUITY       759148109       3         200 SH         DEFINED      4         --         --       200
REINSURANCE GROUP OF AMERICA    EQUITY       759351109      63       1,107 SH          SOLE        1      1,107         --        --
REINSURANCE GROUP OF AMERICA    EQUITY       759351109      80       1,406 SH         DEFINED      4         --         --     1,406
RELIANCE STEEL & ALUMINUM       EQUITY       759509102    9378     165,865 SH          SOLE        1    165,865         --        --
RELIANCE STEEL & ALUMINUM       EQUITY       759509102     423       6,872 SH         DEFINED      4         --         --     6,872
RELIANT ENERGY INC              EQUITY       75952B105     319      12,449 SH          SOLE        1     12,449         --        --
RELIANT ENERGY INC              EQUITY       75952B105    1179      45,989 SH         DEFINED      4         --         --    45,989
RELIV INTERNATIONAL INC         EQUITY       75952R100      24       2,499 SH         DEFINED      4         --         --     2,499
RENAISSANCE LEARNING INC        EQUITY       75968L105      91       7,504 SH          SOLE        1      7,504         --        --
RENAISSANCERE HOLDINGS LTD      EQUITY       G7496G103      10         182 SH         DEFINED      4         --         --       182
RENASANT CORP                   EQUITY       75970E107     341      15,771 SH          SOLE        1     15,771         --        --
RENOVIS INC                     EQUITY       759885106       1         200 SH         DEFINED      4         --         --       200
RENT-A-CENTER INC               EQUITY       76009N100    4206     231,972 SH          SOLE        1    231,972         --        --
RENT-A-CENTER INC               EQUITY       76009N100      22       1,239 SH         DEFINED      4         --         --     1,239
RENTECH INC                     EQUITY       760112102     307     142,185 SH          SOLE        1    142,185         --        --
RENTECH INC                     EQUITY       760112102      36      15,155 SH         DEFINED      4         --         --    15,155
REPLIGEN CORP                   EQUITY       759916109      12       3,520 SH         DEFINED      4         --         --     3,520
REPROS THERAPEUTICS INC         EQUITY       76028H100      14       1,200 SH         DEFINED      4         --         --     1,200
REPSOL YPF SA -SPONSORED ADR    EQUITY       76026T205     204       6,006 SH         DEFINED      4         --         --     6,006
REPUBLIC AIRWAYS HOLDINGS IN    EQUITY       760276105     672      31,733 SH          SOLE        1     31,733         --        --
REPUBLIC BANCORP INC-CL A       EQUITY       760281204     131       8,245 SH          SOLE        1      8,245         --        --
REPUBLIC BANCORP INC-CL A       EQUITY       760281204      22       1,224 SH         DEFINED      4         --         --     1,224
REPUBLIC FIRST BANCORP INC      EQUITY       760416107      51       6,368 SH         DEFINED      4         --         --     6,368
REPUBLIC PROPERTY TRUST         EQUITY       760737106    1534     104,589 SH          SOLE        1    104,589         --        --
REPUBLIC SERVICES INC           EQUITY       760759100   13988     427,631 SH          SOLE        1    427,631         --        --
REPUBLIC SERVICES INC           EQUITY       760759100     255       8,837 SH         DEFINED      4         --         --     8,837
RES-CARE INC                    EQUITY       760943100     557      24,380 SH          SOLE        1     24,380         --        --
RES-CARE INC                    EQUITY       760943100       5         225 SH         DEFINED      4         --         --       225
RESEARCH FRONTIERS INC          EQUITY       760911107      34       2,900 SH         DEFINED      4         --         --     2,900
RESEARCH IN MOTION              EQUITY       760975102     954      10,488 SH          OTHER       1         --     10,488        --
RESEARCH IN MOTION              EQUITY       760975102    4084      41,441 SH         DEFINED      4         --         --    41,441
RESEARCH IN MOTION              EQUITY       760975102    3252      33,000 SH          SOLE        2     33,000         --        --
RESMED INC                      EQUITY       761152107    8245     192,327 SH          SOLE        1    192,327         --        --
RESMED INC                      EQUITY       761152107       7         152 SH         DEFINED      4         --         --       152
RESOURCE AMERICA INC-CL A       EQUITY       761195205     181      11,491 SH          SOLE        1     11,491         --        --
RESOURCE AMERICA INC-CL A       EQUITY       761195205       7         306 SH         DEFINED      4         --         --       306
RESOURCE CAPITAL CORP           EQUITY       76120W302     216      19,156 SH          SOLE        1     19,156         --        --
RESOURCE CAPITAL CORP           EQUITY       76120W302      24       1,440 SH         DEFINED      4         --         --     1,440
RESOURCES CONNECTION INC        EQUITY       76122Q105     988      42,696 SH          SOLE        1     42,696         --        --
RESOURCES CONNECTION INC        EQUITY       76122Q105     254       8,082 SH         DEFINED      4         --         --     8,082
RESPIRONICS INC                 EQUITY       761230101    2175      45,275 SH          SOLE        1     45,275         --        --
RESPIRONICS INC                 EQUITY       761230101      34         794 SH         DEFINED      4         --         --       794
RESTORATION HARDWARE INC        EQUITY       760981100       1         100 SH         DEFINED      4         --         --       100
RETAIL VENTURES INC             EQUITY       76128Y102     250      24,053 SH          SOLE        1     24,053         --        --
RETAIL VENTURES INC             EQUITY       76128Y102      61       3,007 SH         DEFINED      4         --         --     3,007
RETRACTABLE TECHNOLOGIES INC    EQUITY       76129W105       2         750 SH         DEFINED      4         --         --       750
REUTERS GRP PLC- SP ADR         EQUITY       76132M102     218       2,852 SH         DEFINED      4         --         --     2,852
REVLON INC-CLASS A              EQUITY       761525500     197     171,072 SH          SOLE        1    171,072         --        --
REVLON INC-CLASS A              EQUITY       761525500      21      16,048 SH         DEFINED      4         --         --    16,048
REWARDS NETWORK INC             EQUITY       761557107      16       3,379 SH          SOLE        1      3,379         --        --
REX STORES CORP                 EQUITY       761624105      11         675 SH         DEFINED      4         --         --       675





                                                                                          
REXAM PLC-SPONSORED ADR         EQUITY       761655406     106       1,860 SH         DEFINED      4         --         --     1,860
REYNOLDS AMERICAN INC           EQUITY       761713106   48811     767,590 SH          SOLE        1    767,590         --        --
REYNOLDS AMERICAN INC           EQUITY       761713106    1508      23,462 SH         DEFINED      4         --         --    23,462
REYNOLDS AMERICAN INC           EQUITY       761713106    5241      82,416 SH          SOLE        2     82,416         --        --
RF MICRO DEVICES INC            EQUITY       749941100    1260     187,157 SH          SOLE        1    187,157         --        --
RF MICRO DEVICES INC            EQUITY       749941100     626     101,674 SH         DEFINED      4         --         --   101,674
RF MONOLITHICS INC              EQUITY       74955F106      30       4,973 SH          SOLE        1      4,973         --        --
RICHMONT MINES INC              EQUITY       76547T106       3       1,000 SH         DEFINED      4         --         --     1,000
RICK'S CABARET INTL INC         EQUITY       765641303       6         670 SH         DEFINED      4         --         --        --
RIGEL PHARMACEUTICALS INC       EQUITY       766559603     248      26,274 SH          SOLE        1     26,274         --        --
RIGEL PHARMACEUTICALS INC       EQUITY       766559603       2         222 SH         DEFINED      4         --         --       222
RIGHTNOW TECHNOLOGIES INC       EQUITY       76657R106     253      15,712 SH          SOLE        1     15,712         --        --
RIGHTNOW TECHNOLOGIES INC       EQUITY       76657R106      26       1,600 SH         DEFINED      4         --         --     1,600
RIMAGE CORP                     EQUITY       766721104     197       8,785 SH          SOLE        1      8,785         --        --
RIO TINTO PLC-SPON ADR          EQUITY       767204100    5408      20,097 SH         DEFINED      4         --         --    20,097
RIT TECHNOLOGIES LTD            EQUITY       M8215N109       3       2,500 SH         DEFINED      4         --         --     2,500
RITCHIE BROS. AUCTIONEERS       EQUITY       767744105      36         552 SH          OTHER       1         --        552        --
RITCHIE BROS. AUCTIONEERS       EQUITY       767744105     131       2,182 SH         DEFINED      4         --         --     2,182
RITE AID CORP                   EQUITY       767754104     104      22,591 SH          SOLE        1     22,591         --        --
RITE AID CORP                   EQUITY       767754104     951     153,080 SH         DEFINED      4         --         --   153,080
RIVERBED TECHNOLOGY INC         EQUITY       768573107     112       3,337 SH         DEFINED      4         --         --     3,337
RIVERBED TECHNOLOGY INC         EQUITY       768573107     525      13,000 SH          SOLE        2     13,000         --        --
RIVIERA HOLDINGS CORP           EQUITY       769627100     248       8,845 SH          SOLE        1      8,845         --        --
RIVIERA HOLDINGS CORP           EQUITY       769627100      10         350 SH         DEFINED      4         --         --       350
RIVUS BOND FUND                 EQUITY       769667106      67       3,645 SH         DEFINED      4         --         --     3,645
RLI CORP                        EQUITY       749607107    1182      20,838 SH          SOLE        1     20,838         --        --
RLI CORP                        EQUITY       749607107      73       1,265 SH         DEFINED      4         --         --     1,265
RMK ADVANTAGE INCOME FD INC     EQUITY       74963L103     569      36,836 SH         DEFINED      4         --         --    36,836
RMK HIGH INCOME FUND INC        EQUITY       74963B105      27       2,986 SH         DEFINED      4         --         --     2,986
RMK MULTI-SECTOR HIGH INCOME    EQUITY       74963Q102      23       1,500 SH         DEFINED      4         --         --     1,500
RMK STRATEGIC INCOME            EQUITY       74963H102      37       4,413 SH         DEFINED      4         --         --     4,413
RMR F.I.R.E. FUND               EQUITY       74963M101      11         500 SH         DEFINED      4         --         --       500
RMR HOSPITALITY & REAL ESTAT    EQUITY       74963J108      62       2,700 SH         DEFINED      4         --         --     2,700
RMR REAL ESTATE FUND            EQUITY       74963F106       9         500 SH         DEFINED      4         --         --       500
ROBBINS & MYERS INC             EQUITY       770196103     826      14,426 SH          SOLE        1     14,426         --        --
ROBBINS & MYERS INC             EQUITY       770196103      64       1,119 SH         DEFINED      4         --         --     1,119
ROBERT HALF INTL INC            EQUITY       770323103    2214      74,158 SH          SOLE        1     74,158         --        --
ROBERT HALF INTL INC            EQUITY       770323103     345      10,061 SH         DEFINED      4         --         --    10,061
ROBERT HALF INTL INC            EQUITY       770323103       6         207 SH          SOLE        2        207         --        --
ROCHESTER MEDICAL CORP          EQUITY       771497104      70       4,119 SH         DEFINED      4         --         --     4,119
ROCK-TENN COMPANY -CL A         EQUITY       772739207    1012      35,022 SH          SOLE        1     35,022         --        --
ROCK-TENN COMPANY -CL A         EQUITY       772739207      23         603 SH         DEFINED      4         --         --       603
ROCKVILLE FINANCIAL INC         EQUITY       774186100     110       7,732 SH          SOLE        1      7,732         --        --
ROCKWELL AUTOMATION INC         EQUITY       773903109    4781      68,783 SH          SOLE        1     68,783         --        --
ROCKWELL AUTOMATION INC         EQUITY       773903109    1843      29,251 SH         DEFINED      4         --         --    29,251
ROCKWELL AUTOMATION INC         EQUITY       773903109      13         192 SH          SOLE        2        192         --        --
ROCKWELL COLLINS INC.           EQUITY       774341101   11274     154,350 SH          SOLE        1    154,350         --        --
ROCKWELL COLLINS INC.           EQUITY       774341101    2029      30,602 SH         DEFINED      4         --         --    30,602
ROCKWELL COLLINS INC.           EQUITY       774341101     643       8,810 SH          SOLE        2      8,810         --        --
ROCKWELL MEDICAL TECH INC       EQUITY       774374102       9       1,500 SH         DEFINED      4         --         --     1,500
ROCKWOOD HOLDINGS INC           EQUITY       774415103    1094      30,531 SH          SOLE        1     30,531         --        --
ROCKY MOUNTAIN CHOC FACT INC    EQUITY       774678403       8         613 SH         DEFINED      4         --         --       613
ROFIN-SINAR TECHNOLOGIES INC    EQUITY       775043102     951      13,540 SH          SOLE        1     13,540         --        --
ROFIN-SINAR TECHNOLOGIES INC    EQUITY       775043102       4          62 SH         DEFINED      4         --         --        62





                                                                                          
ROGERS COMMUNICATIONS -CL B     EQUITY       775109200   12292     269,738 SH          OTHER       1         --    269,738        --
ROGERS COMMUNICATIONS -CL B     EQUITY       775109200     169       4,228 SH         DEFINED      4         --         --     4,228
ROGERS CORP                     EQUITY       775133101     727      17,638 SH          SOLE        1     17,638         --        --
ROGERS CORP                     EQUITY       775133101      18         449 SH         DEFINED      4         --         --       449
ROHM AND HAAS CO                EQUITY       775371107    3527      63,361 SH          SOLE        1     63,361         --        --
ROHM AND HAAS CO                EQUITY       775371107     383       6,877 SH         DEFINED      4         --         --     6,877
ROHM AND HAAS CO                EQUITY       775371107    3135      56,315 SH          SOLE        2     56,315         --        --
ROLLINS INC                     EQUITY       775711104    2541      95,188 SH          SOLE        1     95,188         --        --
ROLLINS INC                     EQUITY       775711104      10         421 SH         DEFINED      4         --         --       421
ROMA FINANCIAL CORP             EQUITY       77581P109     151       8,825 SH          SOLE        1      8,825         --        --
ROPER INDUSTRIES INC            EQUITY       776696106   14416     220,088 SH          SOLE        1    220,088         --        --
ROPER INDUSTRIES INC            EQUITY       776696106      24         426 SH         DEFINED      4         --         --       426
ROPER INDUSTRIES INC            EQUITY       776696106    1015      15,500 SH          SOLE        2     15,500         --        --
ROSETTA RESOURCES INC           EQUITY       777779307     811      44,234 SH          SOLE        1     44,234         --        --
ROSETTA RESOURCES INC           EQUITY       777779307       6         325 SH         DEFINED      4         --         --       325
ROSS STORES INC                 EQUITY       778296103    8951     349,119 SH          SOLE        1    349,119         --        --
ROSTELECOM-SPONSORED ADR        EQUITY       778529107      79       1,450 SH         DEFINED      4         --         --     1,450
ROWAN COMPANIES INC             EQUITY       779382100    1844      50,399 SH          SOLE        1     50,399         --        --
ROWAN COMPANIES INC             EQUITY       779382100     169       4,366 SH         DEFINED      4         --         --     4,366
ROWAN COMPANIES INC             EQUITY       779382100       5         139 SH          SOLE        2        139         --        --
ROYAL BANCSHARES OF PENN-A      EQUITY       780081105     103       4,705 SH          SOLE        1      4,705         --        --
ROYAL BANK OF CANADA            EQUITY       780087102   17935     324,701 SH          OTHER       1         --    324,701        --
ROYAL BK SCOTLND GRP PLC        EQUITY       780097879      10         400 SH         DEFINED      4         --         --       400
ROYAL BK SCOTLND GRP PLC        EQUITY       780097754      31       1,276 SH         DEFINED      4         --         --     1,276
ROYAL BK SCOTLND GRP PLC        EQUITY       780097762      56       2,180 SH         DEFINED      4         --         --     2,180
ROYAL BK SCOTLND GRP PLC        EQUITY       780097796     120       4,674 SH         DEFINED      4         --         --     4,674
ROYAL BK SCOTLND GRP PLC        EQUITY       780097747     207       8,203 SH         DEFINED      4         --         --     8,203
ROYAL BK SCOTLND GRP PLC        EQUITY       780097770     232       9,084 SH         DEFINED      4         --         --     9,084
ROYAL BK SCOTLND GRP PLC        EQUITY       780097788     392      18,582 SH         DEFINED      4         --         --    18,582
ROYAL BK SCOTLND GRP PLC        FIXED INCOME 780097754     603      25,000 PRN         SOLE        1     25,000         --        --
ROYAL BK SCOTLND GRP PLC        FIXED INCOME 780097770    1235      55,000 PRN         SOLE        1     55,000         --        --
ROYAL BK SCOTLND GRP PLC        FIXED INCOME 780097804    2299      90,000 PRN         SOLE        1     90,000         --        --
ROYAL BK SCOTLND GRP PLC        FIXED INCOME 780097747    2325     106,900 PRN         SOLE        1    106,900         --        --
ROYAL CARIBBEAN CRUISES LTD     EQUITY       V7780T103     284       7,272 SH         DEFINED      4         --         --     7,272
ROYAL DUTCH SHELL PLC-ADR       EQUITY       780259107     332       4,492 SH         DEFINED      4         --         --     4,492
ROYAL DUTCH SHELL PLC-ADR       EQUITY       780259206    4774      66,308 SH         DEFINED      4         --         --    66,308
ROYAL GOLD INC                  EQUITY       780287108     691      21,095 SH          SOLE        1     21,095         --        --
ROYAL GOLD INC                  EQUITY       780287108      19         642 SH         DEFINED      4         --         --       642
ROYALE ENERGY INC               EQUITY       78074G200      35       9,380 SH         DEFINED      4         --         --     9,380
ROYCE MICRO-CAP TRUST INC       EQUITY       780915104     213      13,202 SH         DEFINED      4         --         --    13,202
ROYCE VALUE TRUST               EQUITY       780910105     643      33,259 SH         DEFINED      4         --         --    33,259
RPC INC                         EQUITY       749660106     398      28,017 SH          SOLE        1     28,017         --        --
RPC INC                         EQUITY       749660106      26       1,528 SH         DEFINED      4         --         --     1,528
RPM INTERNATIONAL INC           EQUITY       749685103    7232     301,947 SH          SOLE        1    301,947         --        --
RPM INTERNATIONAL INC           EQUITY       749685103     912      38,069 SH         DEFINED      4         --         --    38,069
RR DONNELLEY & SONS CO          EQUITY       257867101    3833     104,835 SH          SOLE        1    104,835         --        --
RR DONNELLEY & SONS CO          EQUITY       257867101    2406      55,783 SH         DEFINED      4         --         --    55,783
RR DONNELLEY & SONS CO          EQUITY       257867101      10         280 SH          SOLE        2        280         --        --
RSC HOLDINGS INC                EQUITY       74972L102     297      18,120 SH          SOLE        1     18,120         --        --
RSC HOLDINGS INC                EQUITY       74972L102    4699     286,500 SH          SOLE        2    286,500         --        --
RTI INTERNATIONAL METALS INC    EQUITY       74973W107    1823      22,996 SH          SOLE        1     22,996         --        --
RTI INTERNATIONAL METALS INC    EQUITY       74973W107     210       2,507 SH         DEFINED      4         --         --     2,507
RUBY TUESDAY INC                EQUITY       781182100    3208     174,907 SH          SOLE        1    174,907         --        --
RUBY TUESDAY INC                EQUITY       781182100     105       5,735 SH         DEFINED      4         --         --     5,735





                                                                                          
RUDDICK CORP                    EQUITY       781258108    4259     126,995 SH          SOLE        1    126,995         --        --
RUDDICK CORP                    EQUITY       781258108      12         368 SH         DEFINED      4         --         --       368
RUDOLPH TECHNOLOGIES INC        EQUITY       781270103     402      29,082 SH          SOLE        1     29,082         --        --
RUDOLPH TECHNOLOGIES INC        EQUITY       781270103       4         300 SH         DEFINED      4         --         --       300
RURAL CELLULAR CORP-CL A        EQUITY       781904107     463      10,641 SH          SOLE        1     10,641         --        --
RURAL/METRO CORP                EQUITY       781748108       1         103 SH         DEFINED      4         --         --       103
RURBAN FINANCIAL CORP           EQUITY       78176P108      57       4,533 SH         DEFINED      4         --         --     4,533
RUSH ENTERPRISES INC-CL A       EQUITY       781846209     488      19,245 SH          SOLE        1     19,245         --        --
RUSS BERRIE & CO INC            EQUITY       782233100     278      16,566 SH          SOLE        1     16,566         --        --
RUTH'S CHRIS STEAK HOUSE        EQUITY       783332109     270      18,931 SH          SOLE        1     18,931         --        --
RUTH'S CHRIS STEAK HOUSE        EQUITY       783332109      70       3,762 SH         DEFINED      4         --         --     3,762
RYANAIR HOLDINGS PLC-SP ADR     EQUITY       783513104     504      12,150 SH          SOLE        1     12,150         --        --
RYANAIR HOLDINGS PLC-SP ADR     EQUITY       783513104       1          20 SH         DEFINED      4         --         --        20
RYDER SYSTEM INC                EQUITY       783549108    1376      28,088 SH          SOLE        1     28,088         --        --
RYDER SYSTEM INC                EQUITY       783549108      72       1,388 SH         DEFINED      4         --         --     1,388
RYDER SYSTEM INC                EQUITY       783549108       4          75 SH          SOLE        2         75         --        --
RYDEX RUSSELL TOP 50 ETF        EQUITY       78355W205     346       3,087 SH         DEFINED      4         --         --     3,087
RYDEX S&P EQUAL WEIGHT ETF      EQUITY       78355W106    7482     149,664 SH         DEFINED      4         --         --   149,664
RYERSON INC                     EQUITY       78375P107     892      26,446 SH          SOLE        1     26,446         --        --
RYERSON INC                     EQUITY       78375P107      40       1,188 SH         DEFINED      4         --         --     1,188
RYLAND GROUP INC                EQUITY       783764103    2279     106,342 SH          SOLE        1    106,342         --        --
RYLAND GROUP INC                EQUITY       783764103      27       1,246 SH         DEFINED      4         --         --     1,246
S & T BANCORP INC               EQUITY       783859101     693      21,610 SH          SOLE        1     21,610         --        --
S & T BANCORP INC               EQUITY       783859101    1500      46,746 SH         DEFINED      4         --         --    46,746
S&P 500 COVERED CALL FD INC     EQUITY       78381P109     126       6,255 SH         DEFINED      4         --         --     6,255
S&P QUAL RANK GL EQ MGD TRST    EQUITY       09250D109      62       3,275 SH         DEFINED      4         --         --     3,275
S.Y. BANCORP INC                EQUITY       785060104     291      10,745 SH          SOLE        1     10,745         --        --
S.Y. BANCORP INC                EQUITY       785060104       5         205 SH         DEFINED      4         --         --       205
S1 CORPORATION                  EQUITY       78463B101     433      47,880 SH          SOLE        1     47,880         --        --
S1 CORPORATION                  EQUITY       78463B101      15       2,201 SH         DEFINED      4         --         --     2,201
SABA SOFTWARE INC               EQUITY       784932600      14       2,019 SH         DEFINED      4         --         --     2,019
SABINE ROYALTY TRUST            EQUITY       785688102     302       6,844 SH         DEFINED      4         --         --     6,844
SADIA SA-ADR                    EQUITY       786326108      96       1,730 SH         DEFINED      4         --         --     1,730
SAFECO CORP                     EQUITY       786429100    4524      73,904 SH          SOLE        1     73,904         --        --
SAFECO CORP                     EQUITY       786429100       8         131 SH          SOLE        2        131         --        --
SAFEGUARD SCIENTIFICS INC       EQUITY       786449108     241     105,180 SH          SOLE        1    105,180         --        --
SAFETY INSURANCE GROUP INC      EQUITY       78648T100     581      16,156 SH          SOLE        1     16,156         --        --
SAFETY INSURANCE GROUP INC      EQUITY       78648T100      23         640 SH         DEFINED      4         --         --       640
SAFEWAY INC                     EQUITY       786514208   23117     697,495 SH          SOLE        1    697,495         --        --
SAFEWAY INC                     EQUITY       786514208    1276      35,733 SH         DEFINED      4         --         --    35,733
SAFEWAY INC                     EQUITY       786514208      18         554 SH          SOLE        2        554         --        --
SAIA INC                        EQUITY       78709Y105     205      12,402 SH          SOLE        1     12,402         --        --
SAIA INC                        EQUITY       78709Y105      12         700 SH         DEFINED      4         --         --       700
SAIC INC                        EQUITY       78390X101    1895      98,767 SH          SOLE        1     98,767         --        --
SAIC INC                        EQUITY       78390X101     417      22,029 SH         DEFINED      4         --         --    22,029
SAKS INC                        EQUITY       79377W108    6168     359,627 SH          SOLE        1    359,627         --        --
SAKS INC                        EQUITY       79377W108     137       6,344 SH         DEFINED      4         --         --     6,344
SALARY.COM INC                  EQUITY       794006106     662      56,538 SH          SOLE        1     56,538         --        --
SALEM COMMUNICATIONS -CL A      EQUITY       794093104      64       7,956 SH          SOLE        1      7,956         --        --
SALESFORCE.COM INC              EQUITY       79466L302      63       1,234 SH          SOLE        1      1,234         --        --
SALESFORCE.COM INC              EQUITY       79466L302      32         752 SH         DEFINED      4         --         --       752
SALIX PHARMACEUTICALS LTD       EQUITY       795435106     511      41,131 SH          SOLE        1     41,131         --        --
SALIX PHARMACEUTICALS LTD       EQUITY       795435106      49       3,985 SH         DEFINED      4         --         --     3,985
SALLY BEAUTY HOLDINGS INC       EQUITY       79546E104     689      81,560 SH          SOLE        1     81,560         --        --





                                                                                          
SALLY BEAUTY HOLDINGS INC       EQUITY       79546E104      57       6,068 SH         DEFINED      4         --         --     6,068
SAN JUAN BASIN ROYALTY TR       EQUITY       798241105     430      13,261 SH         DEFINED      4         --         --    13,261
SANDERS MORRIS HARRIS GRP IN    EQUITY       80000Q104     164      16,176 SH          SOLE        1     16,176         --        --
SANDERSON FARMS INC             EQUITY       800013104     695      16,667 SH          SOLE        1     16,667         --        --
SANDERSON FARMS INC             EQUITY       800013104     120       2,888 SH         DEFINED      4         --         --     2,888
SANDISK CORP                    EQUITY       80004C101    7345     133,306 SH          SOLE        1    133,306         --        --
SANDISK CORP                    EQUITY       80004C101     936      21,288 SH         DEFINED      4         --         --    21,288
SANDISK CORP                    EQUITY       80004C101      16         287 SH          SOLE        2        287         --        --
SANDY SPRING BANCORP INC        EQUITY       800363103     412      13,686 SH          SOLE        1     13,686         --        --
SANDY SPRING BANCORP INC        EQUITY       800363103      52        1722 SH         DEFINED      4         --         --        --
SANGAMO BIOSCIENCES INC         EQUITY       800677106      30       4,050 SH         DEFINED      4         --         --     4,050
SANGAMO BIOSCIENCES INC         EQUITY       800677106    1270      90,000 SH          SOLE        2     90,000         --        --
SANMINA-SCI CORP                EQUITY       800907107      61      28,869 SH          SOLE        1     28,869         --        --
SANMINA-SCI CORP                EQUITY       800907107     144      68,130 SH         DEFINED      4         --         --    68,130
SANOFI-AVENTIS-ADR              EQUITY       80105N105    2188      46,762 SH         DEFINED      4         --         --    46,762
SANTA FE ENERGY TR-UTS          EQUITY       802013102      25       1,027 SH         DEFINED      4         --         --     1,027
SANTANDER BANCORP               EQUITY       802809103      49       3,798 SH          SOLE        1      3,798         --        --
SANTARUS INC                    EQUITY       802817304     117      44,070 SH          SOLE        1     44,070         --        --
SANTARUS INC                    EQUITY       802817304       2         310 SH         DEFINED      4         --         --       310
SAP AG-SPONSORED ADR            EQUITY       803054204     376       6,412 SH         DEFINED      4         --         --     6,412
SAPIENT CORPORATION             EQUITY       803062108     477      71,124 SH          SOLE        1     71,124         --        --
SAPIENT CORPORATION             EQUITY       803062108      11       1,495 SH         DEFINED      4         --         --     1,495
SAPPI LTD -SPONSORED ADR        EQUITY       803069202       3         200 SH         DEFINED      4         --         --       200
SARA LEE CORP                   EQUITY       803111103    5729     343,231 SH          SOLE        1    343,231         --        --
SARA LEE CORP                   EQUITY       803111103    2175     129,937 SH         DEFINED      4         --         --   129,937
SARA LEE CORP                   EQUITY       803111103      15         914 SH          SOLE        2        914         --        --
SATCON TECHNOLOGY CORP          EQUITY       803893106     127     108,060 SH         DEFINED      4         --         --   108,060
SATYAM COMPUTER SERVICES-ADR    EQUITY       804098101     523      20,211 SH         DEFINED      4         --         --    20,211
SAUER-DANFOSS INC               EQUITY       804137107     255       9,543 SH          SOLE        1      9,543         --        --
SAUL CENTERS INC                EQUITY       804395101      13         250 SH         DEFINED      4         --         --       250
SAVIENT PHARMACEUTICALS INC     EQUITY       80517Q100     754      51,801 SH          SOLE        1     51,801         --        --
SAVIENT PHARMACEUTICALS INC     EQUITY       80517Q100     113       9,330 SH         DEFINED      4         --         --     9,330
SAVIENT PHARMACEUTICALS INC     EQUITY       80517Q100     441      30,300 SH          SOLE        2     30,300         --        --
SAVVIS INC                      EQUITY       805423308     929      23,931 SH          SOLE        1     23,931         --        --
SBA COMMUNICATIONS CORP-CL A    EQUITY       78388J106      30         841 SH          SOLE        1        841         --        --
SBA COMMUNICATIONS CORP-CL A    EQUITY       78388J106      45       1,287 SH         DEFINED      4         --         --     1,287
SCANA CORP                      EQUITY       80589M102   11917     307,625 SH          SOLE        1    307,625         --        --
SCANA CORP                      EQUITY       80589M102     592      15,276 SH         DEFINED      4         --         --    15,276
SCANSOURCE INC                  EQUITY       806037107     722      25,696 SH          SOLE        1     25,696         --        --
SCANSOURCE INC                  EQUITY       806037107       5         184 SH         DEFINED      4         --         --       184
SCBT FINANCIAL CORP             EQUITY       78401V102     277       8,032 SH          SOLE        1      8,032         --        --
SCBT FINANCIAL CORP             EQUITY       78401V102      36         975 SH         DEFINED      4         --         --       975
SCHAWK INC                      EQUITY       806373106     289      12,803 SH          SOLE        1     12,803         --        --
SCHAWK INC                      EQUITY       806373106      13         725 SH         DEFINED      4         --         --       725
SCHERING-PLOUGH CORP            EQUITY       806605101   27022     854,308 SH          SOLE        1    854,308         --        --
SCHERING-PLOUGH CORP            EQUITY       806605101    6194     195,842 SH          SOLE        2    195,842         --        --
SCHLUMBERGER LIMITED            FIXED INCOME 806857AC2      75          26 PRN        DEFINED      4         --         --        --
SCHLUMBERGER LTD                EQUITY       806857108   84723     806,883 SH          SOLE        1    806,883         --        --
SCHLUMBERGER LTD                EQUITY       806857108    6697      63,779 SH         DEFINED      4         --         --    63,779
SCHLUMBERGER LTD                EQUITY       806857108   16139     153,703 SH          SOLE        2    153,703         --        --
SCHNITZER STEEL INDS INC-A      EQUITY       806882106    1396      19,054 SH          SOLE        1     19,054         --        --
SCHNITZER STEEL INDS INC-A      EQUITY       806882106      18         337 SH         DEFINED      4         --         --       337
SCHOLASTIC CORP                 EQUITY       807066105    3276      93,975 SH          SOLE        1     93,975         --        --
SCHOLASTIC CORP                 EQUITY       807066105       7         200 SH         DEFINED      4         --         --       200





                                                                                          
SCHOOL SPECIALTY INC            EQUITY       807863105     717      20,716 SH          SOLE        1     20,716         --        --
SCHOOL SPECIALTY INC            EQUITY       807863105      68       2,015 SH         DEFINED      4         --         --     2,015
SCHULMAN (A.) INC               EQUITY       808194104     530      26,884 SH          SOLE        1     26,884         --        --
SCHWAB (CHARLES) CORP           EQUITY       808513105   32636   1,514,898 SH          SOLE        1  1,514,898         --        --
SCHWAB (CHARLES) CORP           EQUITY       808513105     451      20,858 SH         DEFINED      4         --         --    20,858
SCHWAB (CHARLES) CORP           EQUITY       808513105      26       1,195 SH          SOLE        2      1,195         --        --
SCHWEITZER-MAUDUIT INTL INC     EQUITY       808541106     364      15,638 SH          SOLE        1     15,638         --        --
SCICLONE PHARMACEUTICALS INC    EQUITY       80862K104      17       6,088 SH         DEFINED      4         --         --     6,088
SCIELE PHARMA INC               EQUITY       808627103     915      35,163 SH          SOLE        1     35,163         --        --
SCIELE PHARMA INC               EQUITY       808627103     176       6,760 SH         DEFINED      4         --         --     6,760
SCIELE PHARMA INC               EQUITY       808627103     427      16,400 SH          SOLE        2     16,400         --        --
SCIENTIFIC GAMES CORP-A         EQUITY       80874P109    6044     160,742 SH          SOLE        1    160,742         --        --
SCIENTIFIC GAMES CORP-A         EQUITY       80874P109      51       1,360 SH         DEFINED      4         --         --     1,360
SCOLR PHARMA INC                EQUITY       78402X107       3         940 SH         DEFINED      4         --         --       940
SCOTTISH RE GROUP LTD           EQUITY       G73537410       1         200 SH         DEFINED      4         --         --       200
SCOTTS MIRACLE-GRO CO-CL A      EQUITY       810186106    4683     109,550 SH          SOLE        1    109,550         --        --
SCOTTS MIRACLE-GRO CO-CL A      EQUITY       810186106     212       4,958 SH         DEFINED      4         --         --     4,958
SCPIE HOLDINGS INC              EQUITY       78402P104      23       1,040 SH          SOLE        1      1,040         --        --
SEABOARD CORP                   EQUITY       811543107     604         308 SH          SOLE        1        308         --        --
SEABRIDGE GOLD INC              EQUITY       811916105     154       9,309 SH         DEFINED      4         --         --     9,309
SEABRIGHT INSURANCE HOLDINGS    EQUITY       811656107     309      18,089 SH          SOLE        1     18,089         --        --
SEABRIGHT INSURANCE HOLDINGS    EQUITY       811656107      13         750 SH         DEFINED      4         --         --       750
SEABRIGHT INSURANCE HOLDINGS    EQUITY       811656107     427      25,000 SH          SOLE        2     25,000         --        --
SEACHANGE INTERNATIONAL INC     EQUITY       811699107     177      25,629 SH          SOLE        1     25,629         --        --
SEACHANGE INTERNATIONAL INC     EQUITY       811699107      26       2,900 SH         DEFINED      4         --         --     2,900
SEACOAST BANKING CORP FL        EQUITY       811707306     241      12,904 SH          SOLE        1     12,904         --        --
SEACOAST BANKING CORP FL        EQUITY       811707306      54       2,110 SH         DEFINED      4         --         --     2,110
SEACOR HOLDINGS INC             EQUITY       811904101     842       8,856 SH          SOLE        1      8,856         --        --
SEACOR HOLDINGS INC             EQUITY       811904101      59         600 SH         DEFINED      4         --         --       600
SEAGATE TECHNOLOGY              EQUITY       G7945J104     664      25,973 SH         DEFINED      4         --         --    25,973
SEALED AIR CORP                 EQUITY       81211K100    1935      75,699 SH          SOLE        1     75,699         --        --
SEALED AIR CORP                 EQUITY       81211K100     828      25,258 SH         DEFINED      4         --         --    25,258
SEALED AIR CORP                 EQUITY       81211K100       5         204 SH          SOLE        2        204         --        --
SEALY CORP                      EQUITY       812139301     546      38,891 SH          SOLE        1     38,891         --        --
SEARS HOLDINGS CORP             EQUITY       812350106    5052      39,719 SH          SOLE        1     39,719         --        --
SEARS HOLDINGS CORP             EQUITY       812350106    1472       8,220 SH         DEFINED      4         --         --     8,220
SEARS HOLDINGS CORP             EQUITY       812350106      12          95 SH          SOLE        2         95         --        --
SEASPAN CORP                    EQUITY       Y75638109     239       8,273 SH         DEFINED      4         --         --     8,273
SEATTLE GENETICS INC /WA        EQUITY       812578102     412      36,679 SH          SOLE        1     36,679         --        --
SEATTLE GENETICS INC /WA        EQUITY       812578102     143      14,750 SH         DEFINED      4         --         --    14,750
SECURE COMPUTING CORP           EQUITY       813705100     466      47,914 SH          SOLE        1     47,914         --        --
SECURE COMPUTING CORP           EQUITY       813705100      91      11,475 SH         DEFINED      4         --         --    11,475
SECURITY BANK CORP              EQUITY       814047106     178      14,232 SH          SOLE        1     14,232         --        --
SECURITY BANK CORP              EQUITY       814047106      28       1,300 SH         DEFINED      4         --         --     1,300
SEI INVESTMENTS COMPANY         EQUITY       784117103    8686     318,417 SH          SOLE        1    318,417         --        --
SEI INVESTMENTS COMPANY         EQUITY       784117103    1994      73,101 SH         DEFINED      4         --         --    73,101
SELECT COMFORT CORPORATION      EQUITY       81616X103     649      46,523 SH          SOLE        1     46,523         --        --
SELECT COMFORT CORPORATION      EQUITY       81616X103     165      11,841 SH         DEFINED      4         --         --    11,841
SELECTIVE INSURANCE GROUP       EQUITY       816300107    1160      54,515 SH          SOLE        1     54,515         --        --
SELECTIVE INSURANCE GROUP       EQUITY       816300107      32       1,200 SH         DEFINED      4         --         --     1,200
SELIGMAN SELECT MUNICIPAL FD    EQUITY       816344105      17       1,660 SH         DEFINED      4         --         --     1,660
SEMCO ENERGY INC                EQUITY       78412D109     244      30,899 SH          SOLE        1     30,899         --        --
SEMCO ENERGY INC                EQUITY       78412D109      88      11,133 SH         DEFINED      4         --         --    11,133
SEMICONDUCTOR HOLDRs TRUST      EQUITY       816636203     266       7,100 SH         DEFINED      4         --         --     7,100





                                                                                          
SEMITOOL INC                    EQUITY       816909105     187      19,283 SH          SOLE        1     19,283         --        --
SEMPRA ENERGY                   EQUITY       816851109    7373     126,851 SH          SOLE        1    126,851         --        --
SEMPRA ENERGY                   EQUITY       816851109    1827      31,435 SH         DEFINED      4         --         --    31,435
SEMPRA ENERGY                   EQUITY       816851109      19         333 SH          SOLE        2        333         --        --
SEMTECH CORP                    EQUITY       816850101    4335     211,662 SH          SOLE        1    211,662         --        --
SEMTECH CORP                    EQUITY       816850101      16         760 SH         DEFINED      4         --         --       760
SENIOR HOUSING PROP TRUST       EQUITY       81721M109    1840      83,392 SH          SOLE        1     83,392         --        --
SENIOR HOUSING PROP TRUST       EQUITY       81721M109     421      17,362 SH         DEFINED      4         --         --    17,362
SENOMYX INC                     EQUITY       81724Q107     325      26,499 SH          SOLE        1     26,499         --        --
SENOMYX INC                     EQUITY       81724Q107      42       3,110 SH         DEFINED      4         --         --     3,110
SENORX INC                      EQUITY       81724W104    5336     625,000 SH          SOLE        1    625,000         --        --
SENSIENT TECHNOLOGIES CORP      EQUITY       81725T100    4539     157,238 SH          SOLE        1    157,238         --        --
SENSIENT TECHNOLOGIES CORP      EQUITY       81725T100      88       3,320 SH         DEFINED      4         --         --     3,320
SEPRACOR INC                    EQUITY       817315104    7484     272,154 SH          SOLE        1    272,154         --        --
SEPRACOR INC                    EQUITY       817315104    1176      21,340 SH         DEFINED      4         --         --    21,340
SEQUA CORP-CL A                 EQUITY       817320104    4043      24,390 SH          SOLE        1     24,390         --        --
SEQUENOM INC                    EQUITY       817337405     293      40,771 SH         DEFINED      4         --         --    40,771
SERVICE CORP INTERNATIONAL      EQUITY       817565104     124       9,614 SH          SOLE        1      9,614         --        --
SERVICE CORP INTERNATIONAL      EQUITY       817565104     387      29,997 SH         DEFINED      4         --         --    29,997
SHANDA INTERACTIVE-SPON ADR     EQUITY       81941Q203    2469      66,400 SH          SOLE        1     66,400         --        --
SHANDA INTERACTIVE-SPON ADR     EQUITY       81941Q203   15092     405,600 SH          SOLE        3    219,500         --   186,100
SHANDA INTERACTIVE-SPON ADR     EQUITY       81941Q203      49       1,990 SH         DEFINED      4         --         --     1,990
SHARPER IMAGE CORP              EQUITY       820013100       2         220 SH         DEFINED      4         --         --       220
SHAW COMMUNICATIONS INC-B       EQUITY       82028K200     186       7,358 SH          OTHER       1         --      7,358        --
SHAW COMMUNICATIONS INC-B       EQUITY       82028K200      30       1,200 SH         DEFINED      4         --         --     1,200
SHAW GROUP INC                  EQUITY       820280105     709      12,202 SH          SOLE        1     12,202         --        --
SHENANDOAH TELECOMMUN CO        EQUITY       82312B106     442      20,298 SH          SOLE        1     20,298         --        --
SHENANDOAH TELECOMMUN CO        EQUITY       82312B106      40         850 SH         DEFINED      4         --         --       850
SHENGDATECH INC                 EQUITY       823213103     150      24,893 SH          SOLE        1     24,893         --        --
SHERWIN-WILLIAMS CO/THE         EQUITY       824348106    3227      49,111 SH          SOLE        1     49,111         --        --
SHERWIN-WILLIAMS CO/THE         EQUITY       824348106     885      13,577 SH         DEFINED      4         --         --    13,577
SHERWIN-WILLIAMS CO/THE         EQUITY       824348106       9         137 SH          SOLE        2        137         --        --
SHIP FINANCE INTL LTD           EQUITY       G81075106     705      26,849 SH         DEFINED      4         --         --    26,849
SHIRE PLC-ADR                   EQUITY       82481R106       4          49 SH         DEFINED      4         --         --        49
SHOE CARNIVAL INC               EQUITY       824889109     130       8,221 SH          SOLE        1      8,221         --        --
SHORE BANCSHARES INC            EQUITY       825107105     115       4,500 SH         DEFINED      4         --         --     4,500
SHORT DOW30 PROSHARES           EQUITY       74347R701      61       1,018 SH         DEFINED      4         --         --     1,018
SHORT S&P500 PROSHARES          EQUITY       74347R503      10         170 SH         DEFINED      4         --         --       170
SHUFFLE MASTER INC              EQUITY       825549108     526      35,171 SH          SOLE        1     35,171         --        --
SHUFFLE MASTER INC              EQUITY       825549108       6         368 SH         DEFINED      4         --         --       368
SHUFFLE MASTER INC              EQUITY       825549108    1630     109,000 SH          SOLE        2    109,000         --        --
SHUTTERFLY INC                  EQUITY       82568P304     405      12,694 SH          SOLE        1     12,694         --        --
SHUTTERFLY INC                  EQUITY       82568P304      41       2,100 SH         DEFINED      4         --         --     2,100
SI INTERNATIONAL INC            EQUITY       78427V102     374      13,108 SH          SOLE        1     13,108         --        --
SI INTERNATIONAL INC            EQUITY       78427V102     265       9,265 SH         DEFINED      4         --         --     9,265
SIEBERT FINANCIAL CORP          EQUITY       826176109       1         200 SH         DEFINED      4         --         --       200
SIEMENS AG-SPONS ADR            EQUITY       826197501     754       6,171 SH         DEFINED      4         --         --     6,171
SIERRA BANCORP                  EQUITY       82620P102     189       6,597 SH          SOLE        1      6,597         --        --
SIERRA HEALTH SERVICES INC      EQUITY       826322109     348       8,239 SH          SOLE        1      8,239         --        --
SIERRA PACIFIC RESOURCES        EQUITY       826428104    8669     551,120 SH          SOLE        1    551,120         --        --
SIERRA PACIFIC RESOURCES        EQUITY       826428104     404      25,715 SH         DEFINED      4         --         --    25,715
SIERRA WIRELESS INC             EQUITY       826516106       8         400 SH         DEFINED      4         --         --       400
SIFCO INDUSTRIES                EQUITY       826546103       3         300 SH         DEFINED      4         --         --       300
SIFY TECHNOLOGIES-SPON ADR      EQUITY       82655M107      10       1,162 SH         DEFINED      4         --         --     1,162





                                                                                          
SIGA TECHNOLOGIES INC           EQUITY       826917106     108      21,750 SH         DEFINED      4         --         --    21,750
SIGMA DESIGNS INC               EQUITY       826565103     962      19,949 SH          SOLE        1     19,949         --        --
SIGMA DESIGNS INC               EQUITY       826565103     136       2,825 SH         DEFINED      4         --         --     2,825
SIGMA-ALDRICH                   EQUITY       826552101    3198      65,608 SH          SOLE        1     65,608         --        --
SIGMA-ALDRICH                   EQUITY       826552101     634      14,757 SH         DEFINED      4         --         --    14,757
SIGMA-ALDRICH                   EQUITY       826552101       8         166 SH          SOLE        2        166         --        --
SIGMATEL INC                    EQUITY       82661W107      22       6,175 SH         DEFINED      4         --         --     6,175
SIGNATURE BANK                  EQUITY       82669G104    1042      29,581 SH          SOLE        1     29,581         --        --
SIGNATURE BANK                  EQUITY       82669G104       2          55 SH         DEFINED      4         --         --        55
SILGAN HOLDINGS INC             EQUITY       827048109    1161      21,601 SH          SOLE        1     21,601         --        --
SILGAN HOLDINGS INC             EQUITY       827048109    1884      32,786 SH         DEFINED      4         --         --    32,786
SILICOM LIMITED                 EQUITY       M84116108    1829      79,400 SH          SOLE        3     79,400         --        --
SILICOM LIMITED                 EQUITY       M84116108      16         700 SH         DEFINED      4         --         --       700
SILICON GRAPHICS INC            EQUITY       827056300     112       5,671 SH          SOLE        1      5,671         --        --
SILICON IMAGE INC               EQUITY       82705T102     394      76,599 SH          SOLE        1     76,599         --        --
SILICON IMAGE INC               EQUITY       82705T102     120      23,250 SH         DEFINED      4         --         --    23,250
SILICON LABORATORIES INC        EQUITY       826919102    7303     174,880 SH          SOLE        1    174,880         --        --
SILICON LABORATORIES INC        EQUITY       826919102       1          23 SH         DEFINED      4         --         --        23
SILICON MOTION TECHNOL-ADR      EQUITY       82706C108     147       6,550 SH         DEFINED      4         --         --     6,550
SILICON STORAGE TECHNOLOGY      EQUITY       827057100     254      78,996 SH          SOLE        1     78,996         --        --
SILICON STORAGE TECHNOLOGY      EQUITY       827057100     347      81,445 SH         DEFINED      4         --         --    81,445
SILICONWARE PRECISION-SP ADR    EQUITY       827084864     439      41,176 SH         DEFINED      4         --         --    41,176
SILVER STANDARD RESOURCES       EQUITY       82823L106     992      25,866 SH         DEFINED      4         --         --    25,866
SILVER WHEATON CORP             EQUITY       828336107    2505     179,500 SH          OTHER       1         --    179,500        --
SILVER WHEATON CORP             EQUITY       828336107     887      71,710 SH         DEFINED      4         --         --    71,710
SIMCERE PHARMACEUTICAL-ADR      EQUITY       82859P104       8         500 SH         DEFINED      4         --         --       500
SIMMONS FIRST NATL CORP-CL A    EQUITY       828730200     325      12,339 SH          SOLE        1     12,339         --        --
SIMON PROPERTY GROUP INC        EQUITY       828806109   17500     175,003 SH          SOLE        1    175,003         --        --
SIMON PROPERTY GROUP INC        EQUITY       828806109    1320      11,583 SH         DEFINED      4         --         --    11,583
SIMON PROPERTY GROUP INC        EQUITY       828806109      28         282 SH          SOLE        2        282         --        --
SIMON PROPERTY GROUP LP         EQUITY       828806802      50         618 SH         DEFINED      4         --         --       618
SIMPSON MANUFACTURING CO INC    EQUITY       829073105    1173      36,823 SH          SOLE        1     36,823         --        --
SIMPSON MANUFACTURING CO INC    EQUITY       829073105      13         386 SH         DEFINED      4         --         --       386
SINA CORP                       EQUITY       G81477104      19         550 SH         DEFINED      4         --         --       550
SINA CORP                       EQUITY       G81477104     191       4,000 SH          SOLE        2      4,000         --        --
SINCLAIR BROADCAST GROUP-A      EQUITY       829226109     516      42,893 SH          SOLE        1     42,893         --        --
SINCLAIR BROADCAST GROUP-A      EQUITY       829226109       7         473 SH         DEFINED      4         --         --       473
SINGAPORE FUND INC              EQUITY       82929L109       2         100 SH         DEFINED      4         --         --       100
SINOPEC SHANGHAI-SPONS ADR      EQUITY       82935M109    3006      50,177 SH         DEFINED      4         --         --    50,177
SINOVAC BIOTECH LTD             EQUITY       P8696W104       3         900 SH         DEFINED      4         --         --       900
SIRENZA MICRODEVICES INC        EQUITY       82966T106    5061     292,694 SH          SOLE        1    292,694         --        --
SIRENZA MICRODEVICES INC        EQUITY       82966T106      14       1,265 SH         DEFINED      4         --         --     1,265
SIRF TECHNOLOGY HOLDINGS INC    EQUITY       82967H101     985      46,140 SH          SOLE        1     46,140         --        --
SIRF TECHNOLOGY HOLDINGS INC    EQUITY       82967H101       4         200 SH         DEFINED      4         --         --       200
SIRF TECHNOLOGY HOLDINGS INC    EQUITY       82967H101   13090     613,100 SH          SOLE        2    613,100         --        --
SIRIUS SATELLITE RADIO INC      EQUITY       82966U103    1746     500,163 SH          SOLE        1    500,163         --        --
SIRIUS SATELLITE RADIO INC      EQUITY       82966U103    1819     521,083 SH         DEFINED      4         --         --   521,083
SIRONA DENTAL SYSTEMS INC       EQUITY       82966C103     521      14,608 SH          SOLE        1     14,608         --        --
SIRONA DENTAL SYSTEMS INC       EQUITY       82966C103      54       1,525 SH         DEFINED      4         --         --     1,525
SIRONA DENTAL SYSTEMS INC       EQUITY       82966C103    8379     234,900 SH          SOLE        2    234,900         --        --
SIRTRIS PHARMACEUTICALS INC     EQUITY       82968A105      90       5,249 SH          SOLE        1      5,249         --        --
SIX FLAGS INC                   EQUITY       83001P109     212      61,355 SH          SOLE        1     61,355         --        --
SIX FLAGS INC                   EQUITY       83001P109      45       7,250 SH         DEFINED      4         --         --     7,250
SJW CORP                        EQUITY       784305104     452      13,230 SH          SOLE        1     13,230         --        --





                                                                                          
SJW CORP                        EQUITY       784305104      36       1,100 SH         DEFINED      4         --         --     1,100
SK TELECOM CO LTD-ADR           EQUITY       78440P108     178       6,501 SH         DEFINED      4         --         --     6,501
SKECHERS USA INC-CL A           EQUITY       830566105     484      21,886 SH          SOLE        1     21,886         --        --
SKECHERS USA INC-CL A           EQUITY       830566105      41       1,289 SH         DEFINED      4         --         --     1,289
SKILLED HEALTHCARE GROU-CL A    EQUITY       83066R107     307      19,480 SH          SOLE        1     19,480         --        --
SKILLSOFT PLC - ADR             EQUITY       830928107       4         471 SH         DEFINED      4         --         --       471
SKYLINE CORP                    EQUITY       830830105     204       6,791 SH          SOLE        1      6,791         --        --
SKYWEST INC                     EQUITY       830879102    1612      64,037 SH          SOLE        1     64,037         --        --
SKYWEST INC                     EQUITY       830879102      81       3,033 SH         DEFINED      4         --         --     3,033
SKYWORKS SOLUTIONS INC          EQUITY       83088M102    1441     159,447 SH          SOLE        1    159,447         --        --
SKYWORKS SOLUTIONS INC          EQUITY       83088M102     148      16,371 SH         DEFINED      4         --         --    16,371
SL GREEN REALTY CORP            EQUITY       78440X101   10324      88,415 SH          SOLE        1     88,415         --        --
SL GREEN REALTY CORP            EQUITY       78440X101     516       4,422 SH         DEFINED      4         --         --     4,422
SLM CORP                        EQUITY       78442P106   11819     237,960 SH          SOLE        1    237,960         --        --
SLM CORP                        EQUITY       78442P106     703      12,940 SH         DEFINED      4         --         --    12,940
SLM CORP                        EQUITY       78442P106    4024      81,020 SH          SOLE        2     81,020         --        --
SM&A                            EQUITY       78465D105       1          75 SH         DEFINED      4         --         --        75
SMALL CAP PREM & DVD INCM FD    EQUITY       83165P101      46       2,282 SH         DEFINED      4         --         --     2,282
SMF ENERGY CORP                 EQUITY       78453M109       5       4,000 SH         DEFINED      4         --         --     4,000
SMITH & NEPHEW PLC -SPON ADR    EQUITY       83175M205      86       1,375 SH         DEFINED      4         --         --     1,375
SMITH & WESSON HOLDING CORP     EQUITY       831756101     494      25,865 SH          SOLE        1     25,865         --        --
SMITH & WESSON HOLDING CORP     EQUITY       831756101     156      11,445 SH         DEFINED      4         --         --    11,445
SMITH & WESSON HOLDING CORP     EQUITY       831756101     754      39,500 SH          SOLE        2     39,500         --        --
SMITH (A.O.) CORP               EQUITY       831865209     909      20,712 SH          SOLE        1     20,712         --        --
SMITH (A.O.) CORP               EQUITY       831865209      47       1,197 SH         DEFINED      4         --         --     1,197
SMITH INTERNATIONAL INC         EQUITY       832110100    6379      89,347 SH          SOLE        1     89,347         --        --
SMITH INTERNATIONAL INC         EQUITY       832110100      18         253 SH          SOLE        2        253         --        --
SMITH MICRO SOFTWARE INC        EQUITY       832154108    1796     111,835 SH          SOLE        1    111,835         --        --
SMITH MICRO SOFTWARE INC        EQUITY       832154108     227      13,850 SH         DEFINED      4         --         --    13,850
SMITHFIELD FOODS INC            EQUITY       832248108    9167     291,005 SH          SOLE        1    291,005         --        --
SMITHFIELD FOODS INC            EQUITY       832248108     124       3,946 SH         DEFINED      4         --         --     3,946
SMITHWAY MOTOR XPRESS-CL A      EQUITY       832653109       3         350 SH         DEFINED      4         --         --       350
SMURFIT-STONE CONTAINER         EQUITY       832727200      19         800 SH         DEFINED      4         --         --       800
SMURFIT-STONE CONTAINER CORP    EQUITY       832727101     178      15,228 SH          SOLE        1     15,228         --        --
SMURFIT-STONE CONTAINER CORP    EQUITY       832727101      48       4,110 SH         DEFINED      4         --         --     4,110
SNAP-ON INC                     EQUITY       833034101    1373      27,714 SH          SOLE        1     27,714         --        --
SNAP-ON INC                     EQUITY       833034101     340       6,865 SH         DEFINED      4         --         --     6,865
SNAP-ON INC                     EQUITY       833034101     420       8,473 SH          SOLE        2      8,473         --        --
SOCKET COMMUNICATIONS INC       EQUITY       833672108       3       3,185 SH         DEFINED      4         --         --     3,185
SOHU.COM INC                    EQUITY       83408W103     903      23,933 SH          SOLE        1     23,933         --        --
SOHU.COM INC                    EQUITY       83408W103     221       9,163 SH         DEFINED      4         --         --     9,163
SOLARFUN POWER HOLD-SPON ADR    EQUITY       83415U108       1         100 SH         DEFINED      4         --         --       100
SOLECTRON CORP                  EQUITY       834182107    1646     422,123 SH          SOLE        1    422,123         --        --
SOLECTRON CORP                  EQUITY       834182107       4       1,152 SH          SOLE        2      1,152         --        --
SOLERA HOLDINGS INC             EQUITY       83421A104     412      22,914 SH          SOLE        1     22,914         --        --
SOMANETICS CORP                 EQUITY       834445405       3         170 SH         DEFINED      4         --         --       170
SOMAXON PHARMACEUTICALS INC     EQUITY       834453102      90       8,835 SH          SOLE        1      8,835         --        --
SONIC AUTOMOTIVE INC-CLASS A    EQUITY       83545G102     740      30,915 SH          SOLE        1     30,915         --        --
SONIC CORP                      EQUITY       835451105    1546      66,051 SH          SOLE        1     66,051         --        --
SONIC CORP                      EQUITY       835451105     295      12,597 SH         DEFINED      4         --         --    12,597
SONIC FOUNDRY INC               EQUITY       83545R108      25      10,890 SH         DEFINED      4         --         --    10,890
SONIC INNOVATIONS INC           EQUITY       83545M109     210      22,946 SH          SOLE        1     22,946         --        --
SONIC INNOVATIONS INC           EQUITY       83545M109       3         300 SH         DEFINED      4         --         --       300
SONIC SOLUTIONS                 EQUITY       835460106     238      22,706 SH          SOLE        1     22,706         --        --





                                                                                          
SONIC SOLUTIONS                 EQUITY       835460106       1         100 SH         DEFINED      4         --         --       100
SONICWALL INC                   EQUITY       835470105     493      56,440 SH          SOLE        1     56,440         --        --
SONICWALL INC                   EQUITY       835470105       6         705 SH         DEFINED      4         --         --       705
SONOCO PRODUCTS CO              EQUITY       835495102    7658     253,756 SH          SOLE        1    253,756         --        --
SONOCO PRODUCTS CO              EQUITY       835495102      52       1,720 SH         DEFINED      4         --         --     1,720
SONOSITE INC                    EQUITY       83568G104     442      14,486 SH          SOLE        1     14,486         --        --
SONOSITE INC                    EQUITY       83568G104      13         412 SH         DEFINED      4         --         --       412
SONUS NETWORKS INC              EQUITY       835916107    1341     219,899 SH          SOLE        1    219,899         --        --
SONUS NETWORKS INC              EQUITY       835916107     114      15,408 SH         DEFINED      4         --         --    15,408
SONUS PHARMACEUTICALS INC       EQUITY       835692104      12       2,250 SH         DEFINED      4         --         --     2,250
SONY CORP-SPONSORED ADR         EQUITY       835699307     914      16,807 SH         DEFINED      4         --         --    16,807
SOTHEBY'S                       EQUITY       835898107   10555     220,862 SH          SOLE        1    220,862         --        --
SOTHEBY'S                       EQUITY       835898107     663      12,716 SH         DEFINED      4         --         --    12,716
SOTHEBY'S                       EQUITY       835898107     817      17,100 SH          SOLE        2     17,100         --        --
SOURCE CAPITAL INC              EQUITY       836144105     457       6,653 SH         DEFINED      4         --         --     6,653
SOURCE INTERLINK COS INC        EQUITY       836151209     105      29,916 SH          SOLE        1     29,916         --        --
SOURCE INTERLINK COS INC        EQUITY       836151209      69      10,575 SH         DEFINED      4         --         --    10,575
SOURCEFIRE INC                  EQUITY       83616T108     154      16,978 SH          SOLE        1     16,978         --        --
SOURCEFORGE INC                 EQUITY       83616W101     144      58,817 SH          SOLE        1     58,817         --        --
SOUTH FINANCIAL GROUP INC       EQUITY       837841105    1680      73,898 SH          SOLE        1     73,898         --        --
SOUTH JERSEY INDUSTRIES         EQUITY       838518108    1023      29,383 SH          SOLE        1     29,383         --        --
SOUTH JERSEY INDUSTRIES         EQUITY       838518108     375      10,786 SH         DEFINED      4         --         --    10,786
SOUTHERN CO                     EQUITY       842587107   17405     479,731 SH          SOLE        1    479,731         --        --
SOUTHERN CO                     EQUITY       842587107    9400     259,089 SH         DEFINED      4         --         --   259,089
SOUTHERN CO                     EQUITY       842587107    5194     143,154 SH          SOLE        2    143,154         --        --
SOUTHERN COMMUNITY FINANCIAL    EQUITY       842632101      39       3,900 SH         DEFINED      4         --         --     3,900
SOUTHERN COPPER CORP            EQUITY       84265V105   20416     164,870 SH          SOLE        1    164,870         --        --
SOUTHERN COPPER CORP            EQUITY       84265V105    2249      26,308 SH         DEFINED      4         --         --    26,308
SOUTHERN COPPER CORP            EQUITY       84265V105   14240     115,000 SH          SOLE        2    115,000         --        --
SOUTHERN UNION CO               EQUITY       844030106     622      19,994 SH          SOLE        1     19,994         --        --
SOUTHERN UNION CO               EQUITY       844030106     323      10,387 SH         DEFINED      4         --         --    10,387
SOUTHSIDE BANCSHARES INC        EQUITY       84470P109     209       9,443 SH          SOLE        1      9,443         --        --
SOUTHWEST AIRLINES CO           EQUITY       844741108    5061     341,963 SH          SOLE        1    341,963         --        --
SOUTHWEST AIRLINES CO           EQUITY       844741108    1663     112,735 SH         DEFINED      4         --         --   112,735
SOUTHWEST AIRLINES CO           EQUITY       844741108      14         942 SH          SOLE        2        942         --        --
SOUTHWEST BANCORP INC/OKLA      EQUITY       844767103     235      12,496 SH          SOLE        1     12,496         --        --
SOUTHWEST GAS CORP              EQUITY       844895102    1190      42,060 SH          SOLE        1     42,060         --        --
SOUTHWEST GAS CORP              EQUITY       844895102      40       1,030 SH         DEFINED      4         --         --     1,030
SOUTHWEST WATER CO              EQUITY       845331107     264      20,931 SH          SOLE        1     20,931         --        --
SOUTHWEST WATER CO              EQUITY       845331107      27       1,966 SH         DEFINED      4         --         --     1,966
SOUTHWESTERN ENERGY CO          EQUITY       845467109   17743     423,978 SH          SOLE        1    423,978         --        --
SOUTHWESTERN ENERGY CO          EQUITY       845467109   45153   1,047,152 SH         DEFINED      4         --         -- 1,047,152
SOUTHWESTERN ENERGY CO          EQUITY       845467109    3846      91,900 SH          SOLE        2     91,900         --        --
SOVEREIGN BANCORP INC           EQUITY       845905108    2901     170,256 SH          SOLE        1    170,256         --        --
SOVEREIGN BANCORP INC           EQUITY       845905108    1566      91,925 SH         DEFINED      4         --         --    91,925
SOVEREIGN BANCORP INC           EQUITY       845905108       8         453 SH          SOLE        2        453         --        --
SOVRAN SELF STORAGE INC         EQUITY       84610H108     947      20,651 SH          SOLE        1     20,651         --        --
SOVRAN SELF STORAGE INC         EQUITY       84610H108     452       8,342 SH         DEFINED      4         --         --     8,342
SPAIN FUND INC                  EQUITY       846330108      14         900 SH         DEFINED      4         --         --       900
SPANISH BROADCASTING SYS-A      EQUITY       846425882      90      35,051 SH          SOLE        1     35,051         --        --
SPANISH BROADCASTING SYS-A      EQUITY       846425882      17       4,750 SH         DEFINED      4         --         --     4,750
SPANSION INC-CLASS A            EQUITY       84649R101     663      78,420 SH          SOLE        1     78,420         --        --
SPANSION INC-CLASS A            EQUITY       84649R101      65       7,640 SH         DEFINED      4         --         --     7,640
SPARTAN MOTORS INC              EQUITY       846819100     473      28,100 SH          SOLE        1     28,100         --        --





                                                                                          
SPARTAN MOTORS INC              EQUITY       846819100       6         198 SH         DEFINED      4         --         --       198
SPARTAN STORES INC              EQUITY       846822104     488      21,663 SH          SOLE        1     21,663         --        --
SPARTAN STORES INC              EQUITY       846822104      18         656 SH         DEFINED      4         --         --       656
SPARTECH CORP                   EQUITY       847220209     474      27,806 SH          SOLE        1     27,806         --        --
SPARTECH CORP                   EQUITY       847220209     106       6,223 SH         DEFINED      4         --         --     6,223
SPARTON CORP                    EQUITY       847235108      10       1,274 SH         DEFINED      4         --         --     1,274
SPDR TRUST SERIES 1             EQUITY       78462F103   68715     450,356 SH          SOLE        1    450,356         --        --
SPDR TRUST SERIES 1             EQUITY       78462F103   12718      84,233 SH         DEFINED      4         --         --    84,233
SPECTRA ENERGY CORP             EQUITY       847560109    7214     294,684 SH          SOLE        1    294,684         --        --
SPECTRA ENERGY CORP             EQUITY       847560109    3029     114,174 SH         DEFINED      4         --         --   114,174
SPECTRA ENERGY CORP             EQUITY       847560109      20         797 SH          SOLE        2        797         --        --
SPECTRANETICS CORP              EQUITY       84760C107    1231      91,288 SH          SOLE        1     91,288         --        --
SPECTRANETICS CORP              EQUITY       84760C107    3187     236,400 SH          SOLE        3    206,200         --    30,200
SPECTRANETICS CORP              EQUITY       84760C107      51       4,960 SH         DEFINED      4         --         --     4,960
SPECTRUM BRANDS INC             EQUITY       84762L105     227      39,187 SH          SOLE        1     39,187         --        --
SPECTRUM BRANDS INC             EQUITY       84762L105     162      21,855 SH         DEFINED      4         --         --    21,855
SPECTRUM CONTROL INC            EQUITY       847615101       7         500 SH         DEFINED      4         --         --       500
SPECTRUM PHARMACEUTICALS INC    EQUITY       84763A108      38       9,080 SH         DEFINED      4         --         --     9,080
SPEEDUS CORP                    EQUITY       847723103       1       2,000 SH         DEFINED      4         --         --     2,000
SPEEDWAY MOTORSPORTS INC        EQUITY       847788106     450      12,149 SH          SOLE        1     12,149         --        --
SPEEDWAY MOTORSPORTS INC        EQUITY       847788106      37         931 SH         DEFINED      4         --         --       931
SPHERION CORPORATION            EQUITY       848420105     465      56,276 SH          SOLE        1     56,276         --        --
SPHERION CORPORATION            EQUITY       848420105      12       1,235 SH         DEFINED      4         --         --     1,235
SPHERIX INC                     EQUITY       84842R106       4       1,602 SH         DEFINED      4         --         --     1,602
SPIRIT AEROSYSTEMS HOLD-CL A    EQUITY       848574109      67       1,710 SH          SOLE        1      1,710         --        --
SPIRIT AEROSYSTEMS HOLD-CL A    EQUITY       848574109      47       1,456 SH         DEFINED      4         --         --     1,456
SPIRIT AEROSYSTEMS HOLD-CL A    EQUITY       848574109    2998      77,000 SH          SOLE        2     77,000         --        --
SPRINT NEXTEL CORP              EQUITY       852061100   48611   2,570,162 SH          SOLE        1  2,570,162         --        --
SPRINT NEXTEL CORP              EQUITY       852061100    2427     117,646 SH         DEFINED      4         --         --   117,646
SPRINT NEXTEL CORP              EQUITY       852061100     161       8,489 SH          SOLE        2      8,489         --        --
SPSS INC                        EQUITY       78462K102     758      18,428 SH          SOLE        1     18,428         --        --
SPSS INC                        EQUITY       78462K102       5         110 SH         DEFINED      4         --         --       110
SPX CORP                        EQUITY       784635104   12586     135,972 SH          SOLE        1    135,972         --        --
SPX CORP                        EQUITY       784635104     554       5,984 SH         DEFINED      4         --         --     5,984
SRA INTERNATIONAL INC-CL A      EQUITY       78464R105    3944     140,470 SH          SOLE        1    140,470         --        --
SRA INTERNATIONAL INC-CL A      EQUITY       78464R105     183       7,075 SH         DEFINED      4         --         --     7,075
SRS LABS INC                    EQUITY       78464M106       1         100 SH         DEFINED      4         --         --       100
ST JUDE MEDICAL INC             EQUITY       790849103    6672     151,406 SH          SOLE        1    151,406         --        --
ST JUDE MEDICAL INC             EQUITY       790849103     477      10,830 SH          SOLE        2     10,830         --        --
ST MARY LAND & EXPLORATION      EQUITY       792228108     369      10,352 SH          SOLE        1     10,352         --        --
ST MARY LAND & EXPLORATION      EQUITY       792228108     144       4,030 SH         DEFINED      4         --         --     4,030
ST MARY LAND & EXPLORATION      EQUITY       792228108    4548     127,500 SH          SOLE        2    127,500         --        --
STAGE STORES INC                EQUITY       85254C305     785      43,041 SH          SOLE        1     43,041         --        --
STAMPS.COM INC                  EQUITY       852857200     207      17,283 SH          SOLE        1     17,283         --        --
STAMPS.COM INC                  EQUITY       852857200       1          44 SH         DEFINED      4         --         --        44
STANCORP FINANCIAL GROUP        EQUITY       852891100    6843     138,212 SH          SOLE        1    138,212         --        --
STANCORP FINANCIAL GROUP        EQUITY       852891100     406       8,506 SH         DEFINED      4         --         --     8,506
STANDARD MICROSYSTEMS CORP      EQUITY       853626109     878      22,844 SH          SOLE        1     22,844         --        --
STANDARD MOTOR PRODS            EQUITY       853666105     144      15,340 SH          SOLE        1     15,340         --        --
STANDARD MOTOR PRODS            EQUITY       853666105      24       1,300 SH         DEFINED      4         --         --     1,300
STANDARD PARKING CORP           EQUITY       853790103     170       4,279 SH          SOLE        1      4,279         --        --
STANDARD REGISTER CO            EQUITY       853887107     217      17,060 SH          SOLE        1     17,060         --        --
STANDARD REGISTER CO            EQUITY       853887107      35       2,750 SH         DEFINED      4         --         --     2,750
STANDARD-PACIFIC CORP           EQUITY       85375C101     355      64,632 SH          SOLE        1     64,632         --        --





                                                                                          
STANDARD-PACIFIC CORP           EQUITY       85375C101      31       5,640 SH         DEFINED      4         --         --     5,640
STANDEX INTERNATIONAL CORP      EQUITY       854231107     256      12,377 SH          SOLE        1     12,377         --        --
STANDEX INTERNATIONAL CORP      EQUITY       854231107      11         550 SH         DEFINED      4         --         --       550
STANLEY FURNITURE CO INC        EQUITY       854305208       4         200 SH         DEFINED      4         --         --       200
STANLEY INC                     EQUITY       854532108     192       6,955 SH          SOLE        1      6,955         --        --
STANLEY WORKS/THE               EQUITY       854616109    2172      38,694 SH          SOLE        1     38,694         --        --
STANLEY WORKS/THE               EQUITY       854616109     346       5,811 SH         DEFINED      4         --         --     5,811
STANLEY WORKS/THE               EQUITY       854616109       6         104 SH          SOLE        2        104         --        --
STANTEC INC                     EQUITY       85472N109      39       1,175 SH         DEFINED      4         --         --     1,175
STAPLES INC                     EQUITY       855030102    7065     328,737 SH          SOLE        1    328,737         --        --
STAPLES INC                     EQUITY       855030102    1164      54,172 SH         DEFINED      4         --         --    54,172
STAPLES INC                     EQUITY       855030102    3847     179,000 SH          SOLE        2    179,000         --        --
STAR GAS PARTNERS L.P.          EQUITY       85512C105      20       5,097 SH         DEFINED      4         --         --     5,097
STAR MARITIME ACQUISITION       EQUITY       85516E107     230      16,412 SH          SOLE        1     16,412         --        --
STAR MARITIME ACQUISITION       EQUITY       85516E107    7750     553,165 SH          SOLE        2    553,165         --        --
STARBUCKS CORP                  EQUITY       855244109    9608     366,721 SH          SOLE        1    366,721         --        --
STARBUCKS CORP                  EQUITY       855244109    9816     374,640 SH          SOLE        2    374,640         --        --
STARTEK INC                     EQUITY       85569C107      14       1,427 SH          SOLE        1      1,427         --        --
STARTEK INC                     EQUITY       85569C107       3         300 SH         DEFINED      4         --         --       300
STARWOOD HOTELS & RESORTS       EQUITY       85590A401    9843     162,032 SH          SOLE        1    162,032         --        --
STARWOOD HOTELS & RESORTS       EQUITY       85590A401     210       3,460 SH         DEFINED      4         --         --     3,460
STATE AUTO FINANCIAL CORP       EQUITY       855707105     369      12,599 SH          SOLE        1     12,599         --        --
STATE AUTO FINANCIAL CORP       EQUITY       855707105     229       7,565 SH         DEFINED      4         --         --     7,565
STATE STREET CORP               EQUITY       857477103   25557     374,675 SH          SOLE        1    374,675         --        --
STATE STREET CORP               EQUITY       857477103      33         491 SH          SOLE        2        491         --        --
STATION CASINOS INC             EQUITY       857689103     108       1,239 SH          SOLE        1      1,239         --        --
STATION CASINOS INC             EQUITY       857689103       3          30 SH         DEFINED      4         --         --        30
STATOILHYDRO ASA-SPON ADR       EQUITY       85771P102     292       9,938 SH         DEFINED      4         --         --     9,938
STEALTHGAS INC                  EQUITY       Y81669106    5484     318,298 SH          SOLE        2    318,298         --        --
STEC INC                        EQUITY       784774101     215      28,143 SH          SOLE        1     28,143         --        --
STEC INC                        EQUITY       784774101       2         225 SH         DEFINED      4         --         --       225
STEEL DYNAMICS INC              EQUITY       858119100   10990     235,339 SH          SOLE        1    235,339         --        --
STEEL DYNAMICS INC              EQUITY       858119100    1453      32,311 SH         DEFINED      4         --         --    32,311
STEELCASE INC-CL A              EQUITY       858155203     571      31,773 SH          SOLE        1     31,773         --        --
STEELCASE INC-CL A              EQUITY       858155203    1698      87,912 SH         DEFINED      4         --         --    87,912
STEELCLOUD INC                  EQUITY       85815M107       3       2,100 SH         DEFINED      4         --         --     2,100
STEIN MART INC                  EQUITY       858375108     205      26,921 SH          SOLE        1     26,921         --        --
STEIN MART INC                  EQUITY       858375108      67       4,475 SH         DEFINED      4         --         --     4,475
STEINER LEISURE LTD             EQUITY       P8744Y102       4          85 SH         DEFINED      4         --         --        85
STEINWAY MUSICAL INSTRUMENTS    EQUITY       858495104   10767     363,499 SH          SOLE        1    363,499         --        --
STEMCELLS INC                   EQUITY       85857R105     225      85,800 SH         DEFINED      4         --         --    85,800
STEPAN CO                       EQUITY       858586100     167       5,401 SH          SOLE        1      5,401         --        --
STEREOTAXIS INC                 EQUITY       85916J102     314      22,748 SH          SOLE        1     22,748         --        --
STEREOTAXIS INC                 EQUITY       85916J102      59       7,380 SH         DEFINED      4         --         --     7,380
STERICYCLE INC                  EQUITY       858912108   12490     218,503 SH          SOLE        1    218,503         --        --
STERICYCLE INC                  EQUITY       858912108     178       3,115 SH         DEFINED      4         --         --     3,115
STERIS CORP                     EQUITY       859152100    5935     217,168 SH          SOLE        1    217,168         --        --
STERIS CORP                     EQUITY       859152100     113       4,134 SH         DEFINED      4         --         --     4,134
STERLING BANCORP-N Y            EQUITY       859158107     259      18,504 SH          SOLE        1     18,504         --        --
STERLING BANCORP-N Y            EQUITY       859158107     228      13,175 SH         DEFINED      4         --         --    13,175
STERLING BANCSHARES INC/TX      EQUITY       858907108     845      74,035 SH          SOLE        1     74,035         --        --
STERLING BANCSHARES INC/TX      EQUITY       858907108     323      26,010 SH         DEFINED      4         --         --    26,010
STERLING CONSTRUCTION CO        EQUITY       859241101       9         400 SH         DEFINED      4         --         --       400
STERLING FINANCIAL CORP (PA)    EQUITY       859317109     395      23,041 SH          SOLE        1     23,041         --        --





                                                                                          
STERLING FINANCIAL CORP (PA)    EQUITY       859317109     681      41,375 SH         DEFINED      4         --         --    41,375
STERLING FINL CORP/SPOKANE      EQUITY       859319105    1376      51,117 SH          SOLE        1     51,117         --        --
STERLING FINL CORP/SPOKANE      EQUITY       859319105     105       3,905 SH         DEFINED      4         --         --     3,905
STEVEN MADDEN LTD               EQUITY       556269108     339      17,900 SH          SOLE        1     17,900         --        --
STEVEN MADDEN LTD               EQUITY       556269108      47       1,500 SH         DEFINED      4         --         --     1,500
STEWART ENTERPRISES INC-CL A    EQUITY       860370105     677      88,841 SH          SOLE        1     88,841         --        --
STEWART ENTERPRISES INC-CL A    EQUITY       860370105      51   6705.2091 SH         DEFINED      4         --         --        --
STEWART INFORMATION SERVICES    EQUITY       860372101     591      17,258 SH          SOLE        1     17,258         --        --
STEWART INFORMATION SERVICES    EQUITY       860372101       8         200 SH         DEFINED      4         --         --       200
STIFEL FINANCIAL CORP           EQUITY       860630102     754      13,030 SH          SOLE        1     13,030         --        --
STILLWATER MINING CO            EQUITY       86074Q102     374      36,362 SH          SOLE        1     36,362         --        --
STILLWATER MINING CO            EQUITY       86074Q102     157      11,040 SH         DEFINED      4         --         --    11,040
STMICROELECTRONICS NV-NY SHS    EQUITY       861012102     742      37,382 SH         DEFINED      4         --         --    37,382
STONE ENERGY CORP               EQUITY       861642106    1118      27,947 SH          SOLE        1     27,947         --        --
STONE ENERGY CORP               EQUITY       861642106      14         350 SH         DEFINED      4         --         --       350
STONERIDGE INC                  EQUITY       86183P102     126      12,328 SH          SOLE        1     12,328         --        --
STONERIDGE INC                  EQUITY       86183P102       2         200 SH         DEFINED      4         --         --       200
STORA ENSO OYJ-SPONS ADR        EQUITY       86210M106     871      45,602 SH         DEFINED      4         --         --    45,602
STORM CAT ENERGY CORP           EQUITY       862168101       3       4,350 SH         DEFINED      4         --         --     4,350
STRATASYS INC                   EQUITY       862685104     568      20,623 SH          SOLE        1     20,623         --        --
STRATASYS INC                   EQUITY       862685104      21         456 SH         DEFINED      4         --         --       456
STRATEGIC DIAGNOSTICS INC       EQUITY       862700101      12       2,500 SH         DEFINED      4         --         --     2,500
STRATEGIC GLOBAL INCOME FUND    EQUITY       862719101    1263     117,205 SH         DEFINED      4         --         --   117,205
STRATEGIC HOTELS & RESORTS I    EQUITY       86272T106    1197      58,117 SH          SOLE        1     58,117         --        --
STRATEGIC HOTELS & RESORTS I    EQUITY       86272T106      48       2,350 SH         DEFINED      4         --         --     2,350
STRATUS PROPERTIES INC          EQUITY       863167201     152       4,305 SH          SOLE        1      4,305         --        --
STRAYER EDUCATION INC           EQUITY       863236105    8154      48,356 SH          SOLE        1     48,356         --        --
STRAYER EDUCATION INC           EQUITY       863236105      18         142 SH         DEFINED      4         --         --       142
STREETTRACKS GOLD TRUST         EQUITY       863307104   25073     367,364 SH         DEFINED      4         --         --   367,364
STRYKER CORP                    EQUITY       863667101   23186     337,204 SH          SOLE        1    337,204         --        --
STRYKER CORP                    EQUITY       863667101   10020     151,911 SH         DEFINED      4         --         --   151,911
STRYKER CORP                    EQUITY       863667101      21         299 SH          SOLE        2        299         --        --
STUDENT LOAN CORP               EQUITY       863902102     106         587 SH          SOLE        1        587         --        --
STUDENT LOAN CORP               EQUITY       863902102     117         650 SH         DEFINED      4         --         --       650
STURM RUGER & CO INC            EQUITY       864159108     405      22,625 SH          SOLE        1     22,625         --        --
STURM RUGER & CO INC            EQUITY       864159108      14       1,067 SH         DEFINED      4         --         --     1,067
SUBURBAN PROPANE PARTNERS LP    EQUITY       864482104    1287      27,514 SH         DEFINED      4         --         --    27,514
SUFFOLK BANCORP                 EQUITY       864739107     282       8,782 SH          SOLE        1      8,782         --        --
SUFFOLK BANCORP                 EQUITY       864739107     644      20,100 SH         DEFINED      4         --         --    20,100
SULPHCO INC                     EQUITY       865378103     340      38,585 SH          SOLE        1     38,585         --        --
SULPHCO INC                     EQUITY       865378103      39       8,233 SH         DEFINED      4         --         --     8,233
SUMMIT STATE BANK               EQUITY       866264203       1         100 SH         DEFINED      4         --         --       100
SUMTOTAL SYSTEMS INC            EQUITY       866615107      78      10,866 SH         DEFINED      4         --         --    10,866
SUN AMERICAN BANCORP-CW09       EQUITY       86664A111       3       4,000 SH         DEFINED      4         --         --     4,000
SUN BANCORP INC-NJ              EQUITY       86663B102     224      12,777 SH          SOLE        1     12,777         --        --
SUN BANCORP INC-NJ              EQUITY       86663B102       3         132 SH         DEFINED      4         --         --       132
SUN HEALTHCARE GROUP INC        EQUITY       866933401    2335     139,740 SH          SOLE        1    139,740         --        --
SUN HEALTHCARE GROUP INC        EQUITY       866933401    1858     132,591 SH         DEFINED      4         --         --   132,591
SUN HEALTHCARE GROUP INC        EQUITY       866933401     650      38,900 SH          SOLE        2     38,900         --        --
SUN HYDRAULICS CORP             EQUITY       866942105     309       9,699 SH          SOLE        1      9,699         --        --
SUN HYDRAULICS CORP             EQUITY       866942105      56        1767 SH         DEFINED      4         --         --        --
SUN LIFE FINANCIAL INC          EQUITY       866796105    6699     127,799 SH          OTHER       1         --    127,799        --
SUN LIFE FINANCIAL INC          EQUITY       866796105    1072      23,541 SH         DEFINED      4         --         --    23,541
SUN MICROSYSTEMS INC            EQUITY       866810104    8936   1,589,970 SH          SOLE        1  1,589,970         --        --





                                                                                          
SUN MICROSYSTEMS INC            EQUITY       866810104    1672     298,051 SH         DEFINED      4         --         --   298,051
SUN MICROSYSTEMS INC            EQUITY       866810104      25       4,460 SH          SOLE        2      4,460         --        --
SUNAMERICA FOCUSED ALPHA GR     EQUITY       867037103    3407     170,331 SH         DEFINED      4         --         --   170,331
SUNAMERICA FOCUSED ALPHA L/C    EQUITY       867038101     289      14,543 SH         DEFINED      4         --         --    14,543
SUNCOR ENERGY INC               EQUITY       867229106   10084     106,105 SH          OTHER       1         --    106,105        --
SUNCOR ENERGY INC               EQUITY       867229106    6333      76,805 SH         DEFINED      4         --         --    76,805
SUNOCO INC                      EQUITY       86764P109    3843      54,292 SH          SOLE        1     54,292         --        --
SUNOCO INC                      EQUITY       86764P109     596       8,418 SH         DEFINED      4         --         --     8,418
SUNOCO INC                      EQUITY       86764P109      11         152 SH          SOLE        2        152         --        --
SUNOCO LOGISTICS PARTNERS LP    EQUITY       86764L108     667      11,017 SH         DEFINED      4         --         --    11,017
SUNOPTA INC                     EQUITY       8676EP108      35       2,434 SH         DEFINED      4         --         --     2,434
SUNPOWER CORP-CLASS A           EQUITY       867652109      39         476 SH          SOLE        1        476         --        --
SUNPOWER CORP-CLASS A           EQUITY       867652109      56       1,005 SH         DEFINED      4         --         --     1,005
SUNPOWER CORP-CLASS A           EQUITY       867652109    1441      17,400 SH          SOLE        2     17,400         --        --
SUNRISE SENIOR LIVING INC       EQUITY       86768K106    1576      44,564 SH          SOLE        1     44,564         --        --
SUNRISE SENIOR LIVING INC       EQUITY       86768K106     553      14,213 SH         DEFINED      4         --         --    14,213
SUNSTONE HOTEL INVESTORS INC    EQUITY       867892101    1395      54,397 SH          SOLE        1     54,397         --        --
SUNSTONE HOTEL INVESTORS INC    EQUITY       867892101     899      30,437 SH         DEFINED      4         --         --    30,437
SUNTECH POWER HOLDINGS-ADR      EQUITY       86800C104     126       3,370 SH         DEFINED      4         --         --     3,370
SUN-TIMES MEDIA GROUP INC-A     EQUITY       86688Q100     129      56,764 SH          SOLE        1     56,764         --        --
SUNTRUST BANKS INC              EQUITY       867914103   23985     316,972 SH          SOLE        1    316,972         --        --
SUNTRUST BANKS INC              EQUITY       867914103    4297      49,850 SH         DEFINED      4         --         --    49,850
SUNTRUST BANKS INC              EQUITY       867914103     268       3,540 SH          SOLE        2      3,540         --        --
SUPER MICRO COMPUTER INC        EQUITY       86800U104      78       8,034 SH          SOLE        1      8,034         --        --
SUPER MICRO COMPUTER INC        EQUITY       86800U104       5         550 SH         DEFINED      4         --         --       550
SUPERCONDUCTOR TECHNOLOGIES     EQUITY       867931305       1         602 SH         DEFINED      4         --         --       602
SUPERGEN INC                    EQUITY       868059106     201      46,428 SH          SOLE        1     46,428         --        --
SUPERGEN INC                    EQUITY       868059106      14       2,105 SH         DEFINED      4         --         --     2,105
SUPERIOR BANCORP                EQUITY       86806M106     268      30,389 SH          SOLE        1     30,389         --        --
SUPERIOR BANCORP                EQUITY       86806M106     169      19,117 SH         DEFINED      4         --         --    19,117
SUPERIOR ENERGY SERVICES INC    EQUITY       868157108    7146     201,640 SH          SOLE        1    201,640         --        --
SUPERIOR ENERGY SERVICES INC    EQUITY       868157108     553      15,607 SH         DEFINED      4         --         --    15,607
SUPERIOR ESSEX INC              EQUITY       86815V105     664      17,802 SH          SOLE        1     17,802         --        --
SUPERIOR ESSEX INC              EQUITY       86815V105     228       6,445 SH         DEFINED      4         --         --     6,445
SUPERIOR INDUSTRIES INTL        EQUITY       868168105     495      22,840 SH          SOLE        1     22,840         --        --
SUPERIOR INDUSTRIES INTL        EQUITY       868168105      14         617 SH         DEFINED      4         --         --       617
SUPERIOR OFFSHORE INTERNATIO    EQUITY       86825Q104      99       8,828 SH          SOLE        1      8,828         --        --
SUPERIOR UNIFORM GROUP INC      EQUITY       868358102      51       4,194 SH         DEFINED      4         --         --     4,194
SUPERIOR WELL SERVICES INC      EQUITY       86837X105     355      15,614 SH          SOLE        1     15,614         --        --
SUPERIOR WELL SERVICES INC      EQUITY       86837X105      40       1,750 SH         DEFINED      4         --         --     1,750
SUPERTEX INC                    EQUITY       868532102     466      11,693 SH          SOLE        1     11,693         --        --
SUPERVALU INC                   EQUITY       868536103    3832      98,229 SH          SOLE        1     98,229         --        --
SUPERVALU INC                   EQUITY       868536103     837      21,462 SH         DEFINED      4         --         --    21,462
SUPERVALU INC                   EQUITY       868536103      10         265 SH          SOLE        2        265         --        --
SUPPORTSOFT INC                 EQUITY       868587106      20       3,510 SH         DEFINED      4         --         --     3,510
SUREWEST COMMUNICATIONS         EQUITY       868733106     316      12,636 SH          SOLE        1     12,636         --        --
SUREWEST COMMUNICATIONS         EQUITY       868733106     219       8,090 SH         DEFINED      4         --         --     8,090
SURMODICS INC                   EQUITY       868873100     741      15,126 SH          SOLE        1     15,126         --        --
SURMODICS INC                   EQUITY       868873100      37         745 SH         DEFINED      4         --         --       745
SUSQUEHANNA BANCSHARES INC      EQUITY       869099101    1045      51,994 SH          SOLE        1     51,994         --        --
SUSQUEHANNA BANCSHARES INC      EQUITY       869099101     229      10,308 SH         DEFINED      4         --         --    10,308
SVB FINANCIAL GROUP             EQUITY       78486Q101    5435     114,767 SH          SOLE        1    114,767         --        --
SVB FINANCIAL GROUP             EQUITY       78486Q101      17         360 SH         DEFINED      4         --         --       360
SWIFT ENERGY CO                 EQUITY       870738101    1220      29,822 SH          SOLE        1     29,822         --        --





                                                                                          
SWIFT ENERGY CO                 EQUITY       870738101     168       4,103 SH         DEFINED      4         --         --     4,103
SWISS HELVETIA FUND             EQUITY       870875101     104       5,787 SH         DEFINED      4         --         --     5,787
SWITCH & DATA FACILITIES CO     EQUITY       871043105    7120     437,093 SH          SOLE        1    437,093         --        --
SWS GROUP INC                   EQUITY       78503N107     393      22,239 SH          SOLE        1     22,239         --        --
SWS GROUP INC                   EQUITY       78503N107     648      23,988 SH         DEFINED      4         --         --    23,988
SYBASE INC                      EQUITY       871130100    7056     305,049 SH          SOLE        1    305,049         --        --
SYBASE INC                      EQUITY       871130100      77       3,234 SH         DEFINED      4         --         --     3,234
SYCAMORE NETWORKS INC           EQUITY       871206108     654     160,676 SH          SOLE        1    160,676         --        --
SYCAMORE NETWORKS INC           EQUITY       871206108      21       5,627 SH         DEFINED      4         --         --     5,627
SYKES ENTERPRISES INC           EQUITY       871237103     543      32,716 SH          SOLE        1     32,716         --        --
SYKES ENTERPRISES INC           EQUITY       871237103      29       1,500 SH         DEFINED      4         --         --     1,500
SYMANTEC CORP                   EQUITY       871503108   14813     764,366 SH          SOLE        1    764,366         --        --
SYMANTEC CORP                   EQUITY       871503108     356      18,257 SH         DEFINED      4         --         --    18,257
SYMANTEC CORP                   EQUITY       871503108      22       1,134 SH          SOLE        2      1,134         --        --
SYMANTEC CORP                   FIXED INCOME 871503AD0      13          11 PRN        DEFINED      4         --         --        --
SYMMETRICOM INC                 EQUITY       871543104     217      46,215 SH          SOLE        1     46,215         --        --
SYMMETRICOM INC                 EQUITY       871543104      15       3,126 SH         DEFINED      4         --         --     3,126
SYMMETRY MEDICAL INC            EQUITY       871546206    1995     119,457 SH          SOLE        1    119,457         --        --
SYMMETRY MEDICAL INC            EQUITY       871546206      27       1,600 SH         DEFINED      4         --         --     1,600
SYMS CORP                       EQUITY       871551107      89       5,948 SH          SOLE        1      5,948         --        --
SYMYX TECHNOLOGIES INC          EQUITY       87155S108     251      28,903 SH          SOLE        1     28,903         --        --
SYMYX TECHNOLOGIES INC          EQUITY       87155S108      11       1,000 SH         DEFINED      4         --         --     1,000
SYNALLOY CORP                   EQUITY       871565107      33         815 SH         DEFINED      4         --         --       815
SYNAPTICS INC                   EQUITY       87157D109    1225      25,649 SH          SOLE        1     25,649         --        --
SYNAPTICS INC                   EQUITY       87157D109     178       3,727 SH         DEFINED      4         --         --     3,727
SYNAPTICS INC                   EQUITY       87157D109    1027      21,500 SH          SOLE        2     21,500         --        --
SYNCHRONOSS TECHNOLOGIES INC    EQUITY       87157B103     675      16,056 SH          SOLE        1     16,056         --        --
SYNCHRONOSS TECHNOLOGIES INC    EQUITY       87157B103     151       3,591 SH         DEFINED      4         --         --     3,591
SYNCHRONOSS TECHNOLOGIES INC    EQUITY       87157B103     631      15,000 SH          SOLE        2     15,000         --        --
SYNERGETICS USA INC             EQUITY       87160G107       9       2,002 SH         DEFINED      4         --         --     2,002
SYNERON MEDICAL LTD             EQUITY       M87245102       9         350 SH         DEFINED      4         --         --       350
SYNGENTA AG-ADR                 EQUITY       87160A100     236       6,372 SH         DEFINED      4         --         --     6,372
SYNIVERSE HOLDINGS INC          EQUITY       87163F106     378      23,745 SH          SOLE        1     23,745         --        --
SYNNEX CORP                     EQUITY       87162W100     334      16,256 SH          SOLE        1     16,256         --        --
SYNOPSYS INC                    EQUITY       871607107    9819     362,597 SH          SOLE        1    362,597         --        --
SYNOPSYS INC                    EQUITY       871607107      62       2,214 SH         DEFINED      4         --         --     2,214
SYNOVIS LIFE TECHNOLOGIES IN    EQUITY       87162G105      43       3,500 SH         DEFINED      4         --         --     3,500
SYNOVUS FINANCIAL CORP          EQUITY       87161C105    5468     194,930 SH          SOLE        1    194,930         --        --
SYNOVUS FINANCIAL CORP          EQUITY       87161C105    1183      42,184 SH         DEFINED      4         --         --    42,184
SYNOVUS FINANCIAL CORP          EQUITY       87161C105      12         413 SH          SOLE        2        413         --        --
SYNTA PHARMACEUTICALS CORP      EQUITY       87162T206    7995   1,211,421 SH          SOLE        1  1,211,421         --        --
SYNTAX-BRILLIAN CORP            EQUITY       87163L103     203      49,887 SH          SOLE        1     49,887         --        --
SYNTAX-BRILLIAN CORP            EQUITY       87163L103     403      47,875 SH         DEFINED      4         --         --    47,875
SYNTEL INC                      EQUITY       87162H103     455      10,950 SH          SOLE        1     10,950         --        --
SYNTEL INC                      EQUITY       87162H103     186       5,099 SH         DEFINED      4         --         --     5,099
SYNTROLEUM CORP                 EQUITY       871630109      11       3,748 SH         DEFINED      4         --         --     3,748
SYNUTRA INTERNATIONAL INC       EQUITY       87164C102     112       3,758 SH          SOLE        1      3,758         --        --
SYPRIS SOLUTIONS INC            EQUITY       871655106       2         200 SH         DEFINED      4         --         --       200
SYSCO CORP                      EQUITY       871829107   11583     325,470 SH          SOLE        1    325,470         --        --
SYSCO CORP                      EQUITY       871829107    5300     148,929 SH          SOLE        2    148,929         --        --
SYSTEMAX INC                    EQUITY       871851101     189       9,232 SH          SOLE        1      9,232         --        --
SYSTEMAX INC                    EQUITY       871851101       4         221 SH         DEFINED      4         --         --       221
T ROWE PRICE GROUP INC          EQUITY       74144T108    6603     118,569 SH          SOLE        1    118,569         --        --
T ROWE PRICE GROUP INC          EQUITY       74144T108     233       4,661 SH         DEFINED      4         --         --     4,661





                                                                                          
T ROWE PRICE GROUP INC          EQUITY       74144T108      19         334 SH          SOLE        2        334         --        --
T-3 ENERGY SERVICES INC         EQUITY       87306E107     203       4,754 SH          SOLE        1      4,754         --        --
T-3 ENERGY SERVICES INC         EQUITY       87306E107    3121      73,200 SH          SOLE        3     64,300         --     8,900
TAIWAN FUND INC                 EQUITY       874036106       4         200 SH         DEFINED      4         --         --       200
TAIWAN GREATER CHINA FUND       EQUITY       874037104       9       1,400 SH         DEFINED      4         --         --     1,400
TAIWAN SEMICONDUCTOR-SP ADR     EQUITY       874039100    5877     580,724 SH          SOLE        1    580,724         --        --
TAIWAN SEMICONDUCTOR-SP ADR     EQUITY       874039100    1034     102,222 SH         DEFINED      4         --         --   102,222
TAKE-TWO INTERACTIVE SOFTWRE    EQUITY       874054109    1244      72,834 SH          SOLE        1     72,834         --        --
TAKE-TWO INTERACTIVE SOFTWRE    EQUITY       874054109       1          74 SH         DEFINED      4         --         --        74
TAL INTERNATIONAL GROUP INC     EQUITY       874083108     358      14,289 SH          SOLE        1     14,289         --        --
TAL INTERNATIONAL GROUP INC     EQUITY       874083108       4         150 SH         DEFINED      4         --         --       150
TALBOTS INC                     EQUITY       874161102     363      20,154 SH          SOLE        1     20,154         --        --
TALBOTS INC                     EQUITY       874161102      14         700 SH         DEFINED      4         --         --       700
TALEO CORP-CLASS A              EQUITY       87424N104     365      14,372 SH          SOLE        1     14,372         --        --
TALISMAN ENERGY INC             EQUITY       87425E103    7743     394,995 SH          OTHER       1         --    394,995        --
TALISMAN ENERGY INC             EQUITY       87425E103     468      23,940 SH         DEFINED      4         --         --    23,940
TANGER FACTORY OUTLET CENTER    EQUITY       875465106    1266      31,192 SH          SOLE        1     31,192         --        --
TANGER FACTORY OUTLET CENTER    EQUITY       875465106     169       4,110 SH         DEFINED      4         --         --     4,110
TANZANIAN ROYALTY EXPLORATIO    EQUITY       87600U104       1         200 SH         DEFINED      4         --         --       200
TAPESTRY PHARMACEUTICALS INC    EQUITY       876031204       2         900 SH         DEFINED      4         --         --       900
TARGET CORP                     EQUITY       87612E106   44444     699,135 SH          SOLE        1    699,135         --        --
TARGET CORP                     EQUITY       87612E106    4638      78,151 SH         DEFINED      4         --         --    78,151
TARGET CORP                     EQUITY       87612E106    5274      82,967 SH          SOLE        2     82,967         --        --
TARGET LOGISTICS INC            EQUITY       876123100       2       1,090 SH         DEFINED      4         --         --     1,090
TARGETED GENETICS CORP          EQUITY       87612M306      25      13,842 SH         DEFINED      4         --         --    13,842
TARPON INDUSTRIES INC           EQUITY       876223108       1       2,000 SH         DEFINED      4         --         --     2,000
TARRAGON CORP                   EQUITY       876287103      32      12,030 SH          SOLE        1     12,030         --        --
TARRAGON CORP                   EQUITY       876287103      17       1,697 SH         DEFINED      4         --         --     1,697
TARRANT APPAREL GROUP           EQUITY       876289109       3       2,000 SH         DEFINED      4         --         --     2,000
TASEKO MINES LTD                EQUITY       876511106      20       5,650 SH         DEFINED      4         --         --     5,650
TASER INTERNATIONAL INC         EQUITY       87651B104     849      54,084 SH          SOLE        1     54,084         --        --
TASER INTERNATIONAL INC         EQUITY       87651B104     811      51,675 SH         DEFINED      4         --         --    51,675
TASTY BAKING CO                 EQUITY       876553306       9       1,025 SH         DEFINED      4         --         --     1,025
TATA MOTORS LTD-SPON ADR        EQUITY       876568502      42       2,330 SH         DEFINED      4         --         --     2,330
TAUBMAN CENTERS INC             EQUITY       876664103    5060      92,421 SH          SOLE        1     92,421         --        --
TAUBMAN CENTERS INC             EQUITY       876664103       3          50 SH         DEFINED      4         --         --        50
TAYLOR CAPITAL GROUP INC        EQUITY       876851106     141       5,033 SH          SOLE        1      5,033         --        --
TBS INTERNATIONAL LTD-A         EQUITY       G86975151      18       2,423 SH         DEFINED      4         --         --     2,423
TC PIPELINES LP                 EQUITY       87233Q108     204       4,825 SH         DEFINED      4         --         --     4,825
TCF FINANCIAL CORP              EQUITY       872275102    7170     273,876 SH          SOLE        1    273,876         --        --
TCF FINANCIAL CORP              EQUITY       872275102     249       9,498 SH         DEFINED      4         --         --     9,498
TCW STRATEGIC INCOME FUND IN    EQUITY       872340104     361      70,201 SH         DEFINED      4         --         --    70,201
TD AMERITRADE HOLDING CORP      EQUITY       87236Y108      96       5,275 SH          SOLE        1      5,275         --        --
TD AMERITRADE HOLDING CORP      EQUITY       87236Y108     192      10,518 SH         DEFINED      4         --         --    10,518
TD AMERITRADE HOLDING CORP      EQUITY       87236Y108   13805     757,700 SH          SOLE        2    757,700         --        --
TDK CORP-SPONSORED ADR          EQUITY       872351408       5          54 SH         DEFINED      4         --         --        54
TEAM INC                        EQUITY       878155100     379      13,826 SH          SOLE        1     13,826         --        --
TEAM INC                        EQUITY       878155100      22         600 SH         DEFINED      4         --         --       600
TECH DATA CORP                  EQUITY       878237106    5535     137,955 SH          SOLE        1    137,955         --        --
TECH DATA CORP                  EQUITY       878237106      19         542 SH         DEFINED      4         --         --       542
TECHNE CORP                     EQUITY       878377100    6170      97,812 SH          SOLE        1     97,812         --        --
TECHNITROL INC                  EQUITY       878555101    1096      40,676 SH          SOLE        1     40,676         --        --
TECHNOLOGY INVSTMT CAP CORP     EQUITY       878717305     248      18,565 SH          SOLE        1     18,565         --        --
TECHNOLOGY RESEARCH CORP        EQUITY       878727304       1         250 SH         DEFINED      4         --         --       250





                                                                                          
TECHNOLOGY SELECT SECT SPDR     EQUITY       81369Y803     443      16,437 SH         DEFINED      4         --         --    16,437
TECHNOLOGY SOLUTIONS CO         EQUITY       87872T207       2         437 SH         DEFINED      4         --         --       437
TECHTARGET                      EQUITY       87874R100     113       6,667 SH          SOLE        1      6,667         --        --
TECHWELL INC                    EQUITY       87874D101     138      12,986 SH          SOLE        1     12,986         --        --
TECK COMINCO LTD-CL B           EQUITY       878742204     437       9,002 SH          OTHER       1         --      9,002        --
TECK COMINCO LTD-CL B           EQUITY       878742204     116       2,435 SH         DEFINED      4         --         --     2,435
TECO ENERGY INC                 EQUITY       872375100    3310     201,442 SH          SOLE        1    201,442         --        --
TECO ENERGY INC                 EQUITY       872375100    1103      67,134 SH         DEFINED      4         --         --    67,134
TECO ENERGY INC                 EQUITY       872375100       4         265 SH          SOLE        2        265         --        --
TECUMSEH PRODUCTS CO-CL A       EQUITY       878895200     259      13,452 SH          SOLE        1     13,452         --        --
TECUMSEH PRODUCTS CO-CL A       EQUITY       878895200       4         225 SH         DEFINED      4         --         --       225
TECUMSEH PRODUCTS CO-CL B       EQUITY       878895101       1          75 SH         DEFINED      4         --         --        75
TEEKAY CORP                     EQUITY       Y8564W103      17         269 SH         DEFINED      4         --         --       269
TEEKAY LNG PARTNERS LP          EQUITY       Y8564M105      59       1,754 SH         DEFINED      4         --         --     1,754
TEEKAY OFFSHORE PARTNERS LP     EQUITY       Y8565J101       6         200 SH         DEFINED      4         --         --       200
TEGAL CORP                      EQUITY       879008209       1         215 SH         DEFINED      4         --         --       215
TEJON RANCH CO                  EQUITY       879080109     399       9,649 SH          SOLE        1      9,649         --        --
TEJON RANCH CO                  EQUITY       879080109      29         583 SH         DEFINED      4         --         --       583
TEKELEC                         EQUITY       879101103     643      53,110 SH          SOLE        1     53,110         --        --
TEKELEC                         EQUITY       879101103       3         200 SH         DEFINED      4         --         --       200
TEKTRONIX INC                   EQUITY       879131100     979      35,282 SH          SOLE        1     35,282         --        --
TEKTRONIX INC                   EQUITY       879131100       3          96 SH          SOLE        2         96         --        --
TEL OFFSHORE TRUST              EQUITY       872382106       5         518 SH         DEFINED      4         --         --       518
TELE NORTE LESTE PART-ADR       EQUITY       879246106     215      12,926 SH         DEFINED      4         --         --    12,926
TELEBRAS-SPONS ADR              EQUITY       879287308     249      10,394 SH         DEFINED      4         --         --    10,394
TELECOM ARGENTINA SA-SP ADR     EQUITY       879273209      66       2,812 SH         DEFINED      4         --         --     2,812
TELECOM HOLDRs TRUST            EQUITY       87927P200      11         285 SH         DEFINED      4         --         --       285
TELECOM ITALIA SPA-SPON ADR     EQUITY       87927Y102    1446      50,086 SH         DEFINED      4         --         --    50,086
TELECOM NEW ZEALAND-SP ADR      EQUITY       879278208     838      49,425 SH         DEFINED      4         --         --    49,425
TELECOMMUNICATION SYSTEMS-A     EQUITY       87929J103       7       1,800 SH         DEFINED      4         --         --     1,800
TELECOMUNICACOES DE S.P.-ADR    EQUITY       87929A102      93       3,316 SH         DEFINED      4         --         --     3,316
TELEDYNE TECHNOLOGIES INC       EQUITY       879360105    1862      34,868 SH          SOLE        1     34,868         --        --
TELEDYNE TECHNOLOGIES INC       EQUITY       879360105     107        2327 SH         DEFINED      4         --         --        --
TELEFLEX INC                    EQUITY       879369106    7700      98,824 SH          SOLE        1     98,824         --        --
TELEFLEX INC                    EQUITY       879369106     274       3,517 SH         DEFINED      4         --         --     3,517
TELEFONICA DE ARGEN-SPON ADR    EQUITY       879378404       3         161 SH         DEFINED      4         --         --       161
TELEFONICA SA-SPON ADR          EQUITY       879382208    2312      27,601 SH         DEFINED      4         --         --    27,601
TELEFONOS DE MEXICO-SP ADR L    EQUITY       879403780    1727      48,087 SH         DEFINED      4         --         --    48,087
TELEKOMUNIK INDONESIA-SP ADR    EQUITY       715684106   23324     477,750 SH          SOLE        1    477,750         --        --
TELEKOMUNIK INDONESIA-SP ADR    EQUITY       715684106     156       3,420 SH         DEFINED      4         --         --     3,420
TELEPHONE & DATA-SPECIAL SHS    EQUITY       879433860      14         257 SH         DEFINED      4         --         --       257
TELEPHONE AND DATA SYSTEMS      EQUITY       879433100   17761     266,078 SH          SOLE        1    266,078         --        --
TELEPHONE AND DATA SYSTEMS      EQUITY       879433100      44         756 SH         DEFINED      4         --         --       756
TELETECH HOLDINGS INC           EQUITY       879939106     871      36,414 SH          SOLE        1     36,414         --        --
TELETECH HOLDINGS INC           EQUITY       879939106      78       3,282 SH         DEFINED      4         --         --     3,282
TELIK INC                       EQUITY       87959M109     133      45,564 SH          SOLE        1     45,564         --        --
TELIK INC                       EQUITY       87959M109       3         510 SH         DEFINED      4         --         --       510
TELKOM SOUTH AFRICA-SPON ADR    EQUITY       879603108      26         260 SH         DEFINED      4         --         --       260
TELKONET INC                    EQUITY       879604106      17       7,150 SH         DEFINED      4         --         --     7,150
TELLABS INC                     EQUITY       879664100    2068     217,270 SH          SOLE        1    217,270         --        --
TELLABS INC                     EQUITY       879664100     505      53,028 SH         DEFINED      4         --         --    53,028
TELLABS INC                     EQUITY       879664100       5         553 SH          SOLE        2        553         --        --
TELULAR CORP                    EQUITY       87970T208    1459     209,900 SH          SOLE        3    209,900         --        --
TELULAR CORP                    EQUITY       87970T208       2         250 SH         DEFINED      4         --         --       250





                                                                                          
TELUS CORPORATION -NON VOTE     EQUITY       87971M202     182       3,311 SH          OTHER       1         --      3,311        --
TELUS CORPORATION -NON VOTE     EQUITY       87971M202      44         788 SH         DEFINED      4         --         --       788
TEMPLE-INLAND INC               EQUITY       879868107    2611      49,610 SH          SOLE        1     49,610         --        --
TEMPLE-INLAND INC               EQUITY       879868107      79       1,272 SH         DEFINED      4         --         --     1,272
TEMPLE-INLAND INC               EQUITY       879868107       7         134 SH          SOLE        2        134         --        --
TEMPLETON DRAGON FUND INC       EQUITY       88018T101     301      12,456 SH         DEFINED      4         --         --    12,456
TEMPLETON EMERG MKTS INC FD     EQUITY       880192109    1083      72,718 SH         DEFINED      4         --         --    72,718
TEMPLETON EMERGING MKTS FND     EQUITY       880191101      49       2,076 SH         DEFINED      4         --         --     2,076
TEMPLETON GLOBAL INCOME FUND    EQUITY       880198106    4277     442,322 SH         DEFINED      4         --         --   442,322
TEMPLETON RUSSIA & EAST EURO    EQUITY       88022F105      77       1,127 SH         DEFINED      4         --         --     1,127
TEMPUR-PEDIC INTERNATIONAL      EQUITY       88023U101    3128      87,500 SH          SOLE        3     66,300         --    21,200
TEMPUR-PEDIC INTERNATIONAL      EQUITY       88023U101    4193     117,292 SH          SOLE        1    117,292         --        --
TEMPUR-PEDIC INTERNATIONAL      EQUITY       88023U101     420      11,736 SH         DEFINED      4         --         --    11,736
TENARIS SA-ADR                  EQUITY       88031M109   13536     257,237 SH          SOLE        1    257,237         --        --
TENARIS SA-ADR                  EQUITY       88031M109     473      10,557 SH         DEFINED      4         --         --    10,557
TENET HEALTHCARE CORP           EQUITY       88033G100     707     210,299 SH          SOLE        1    210,299         --        --
TENET HEALTHCARE CORP           EQUITY       88033G100     488      63,923 SH         DEFINED      4         --         --    63,923
TENET HEALTHCARE CORP           EQUITY       88033G100       2         597 SH          SOLE        2        597         --        --
TENGASCO INC                    EQUITY       88033R205       8      12,129 SH         DEFINED      4         --         --    12,129
TENNANT CO                      EQUITY       880345103     715      14,675 SH          SOLE        1     14,675         --        --
TENNANT CO                      EQUITY       880345103      39       1,228 SH         DEFINED      4         --         --     1,228
TENNECO INC                     EQUITY       880349105    1250      40,311 SH          SOLE        1     40,311         --        --
TENNECO INC                     EQUITY       880349105      42       1,358 SH         DEFINED      4         --         --     1,358
TENNESSEE COMMERCE BANCORP      EQUITY       88043P108      26         900 SH         DEFINED      4         --         --       900
TEPPCO PARTNERS LP              EQUITY       872384102     560      14,733 SH         DEFINED      4         --         --    14,733
TERADYNE INC                    EQUITY       880770102    1813     131,408 SH          SOLE        1    131,408         --        --
TERADYNE INC                    EQUITY       880770102     104       6,060 SH         DEFINED      4         --         --     6,060
TERADYNE INC                    EQUITY       880770102       3         239 SH          SOLE        2        239         --        --
TERCICA INC                     EQUITY       88078L105     178      28,669 SH          SOLE        1     28,669         --        --
TEREX CORP                      EQUITY       880779103    5984      67,226 SH          SOLE        1     67,226         --        --
TEREX CORP                      EQUITY       880779103    2330      29,125 SH         DEFINED      4         --         --    29,125
TEREX CORP                      EQUITY       880779103      11         128 SH          SOLE        2        128         --        --
TERNIUM SA-SPONSORED ADR        EQUITY       880890108      41       1,809 SH         DEFINED      4         --         --     1,809
TERRA INDUSTRIES INC            EQUITY       880915103    3641     116,474 SH          SOLE        1    116,474         --        --
TERRA INDUSTRIES INC            EQUITY       880915103     197      11,208 SH         DEFINED      4         --         --    11,208
TERRA INDUSTRIES INC            EQUITY       880915103     944      30,200 SH          SOLE        2     30,200         --        --
TERRA NITROGEN COMPANY LP       EQUITY       881005201     361       4,421 SH         DEFINED      4         --         --     4,421
TERREMARK WORLDWIDE INC         EQUITY       881448203     300      41,892 SH          SOLE        1     41,892         --        --
TESCO CORP                      EQUITY       88157K101      29       1,012 SH         DEFINED      4         --         --     1,012
TESORO CORP                     EQUITY       881609101    2777      60,337 SH          SOLE        1     60,337         --        --
TESORO CORP                     EQUITY       881609101    1470      31,951 SH         DEFINED      4         --         --    31,951
TESORO CORP                     EQUITY       881609101       8         173 SH          SOLE        2        173         --        --
TESSERA TECHNOLOGIES INC        EQUITY       88164L100    1565      41,744 SH          SOLE        1     41,744         --        --
TESSERA TECHNOLOGIES INC        EQUITY       88164L100      52       1,136 SH         DEFINED      4         --         --     1,136
TESSERA TECHNOLOGIES INC        EQUITY       88164L100    8704     232,100 SH          SOLE        2    232,100         --        --
TETRA TECH INC                  EQUITY       88162G103    1224      57,946 SH          SOLE        1     57,946         --        --
TETRA TECH INC                  EQUITY       88162G103      48       2,250 SH         DEFINED      4         --         --     2,250
TETRA TECHNOLOGIES INC          EQUITY       88162F105     169       7,997 SH          SOLE        1      7,997         --        --
TETRA TECHNOLOGIES INC          EQUITY       88162F105      10         388 SH         DEFINED      4         --         --       388
TETRA TECHNOLOGIES INC          EQUITY       88162F105    5689     269,100 SH          SOLE        2    269,100         --        --
TEVA PHARMACEUT FIN LLC         FIXED INCOME 88164RAB3      29          22 PRN        DEFINED      4         --         --        --
TEVA PHARMACEUT FIN LLC         FIXED INCOME 88164RAA5      17          15 PRN        DEFINED      4         --         --        --
TEVA PHARMACEUTICAL-SP ADR      EQUITY       881624209   38491     865,553 SH          SOLE        1    865,553         --        --
TEVA PHARMACEUTICAL-SP ADR      EQUITY       881624209    3862      99,287 SH         DEFINED      4         --         --    99,287





                                                                                          
TEXAS CAPITAL BANCSHARES INC    EQUITY       88224Q107     443      20,375 SH          SOLE        1     20,375         --        --
TEXAS CAPITAL BANCSHARES INC    EQUITY       88224Q107     876      39,176 SH         DEFINED      4         --         --    39,176
TEXAS INDUSTRIES INC            EQUITY       882491103    2137      27,229 SH          SOLE        1     27,229         --        --
TEXAS INDUSTRIES INC            EQUITY       882491103     104       1,322 SH         DEFINED      4         --         --     1,322
TEXAS INSTRUMENTS INC           EQUITY       882508104   47305   1,295,309 SH          SOLE        1  1,295,309         --        --
TEXAS INSTRUMENTS INC           EQUITY       882508104    6209     176,391 SH         DEFINED      4         --         --   176,391
TEXAS INSTRUMENTS INC           EQUITY       882508104   10139     277,102 SH          SOLE        2    277,102         --        --
TEXAS PACIFIC LAND TRUST        EQUITY       882610108     524       2,140 SH         DEFINED      4         --         --     2,140
TEXAS ROADHOUSE INC-CLASS A     EQUITY       882681109     617      52,705 SH          SOLE        1     52,705         --        --
TEXAS ROADHOUSE INC-CLASS A     EQUITY       882681109     149      12,774 SH         DEFINED      4         --         --    12,774
TEXTRON INC                     EQUITY       883203101    7028     112,966 SH          SOLE        1    112,966         --        --
TEXTRON INC                     EQUITY       883203200       8          15 SH         DEFINED      4         --         --        15
TEXTRON INC                     EQUITY       883203101    1264      20,315 SH          SOLE        2     20,315         --        --
TEXTRON INC.                    EQUITY       883203309      74         200 SH         DEFINED      4         --         --       200
TFS FINANCIAL CORP              EQUITY       87240R107      47       3,660 SH          SOLE        1      3,660         --        --
TFS FINANCIAL CORP              EQUITY       87240R107      15       1,200 SH         DEFINED      4         --         --     1,200
THAI FUND INC                   EQUITY       882904105     240      23,366 SH         DEFINED      4         --         --    23,366
THE BUCKLE INC                  EQUITY       118440106     465      12,248 SH          SOLE        1     12,248         --        --
THE BUCKLE INC                  EQUITY       118440106       5         120 SH         DEFINED      4         --         --       120
THE COOPER COS INC              EQUITY       216648402     347       6,620 SH          SOLE        1      6,620         --        --
THE COOPER COS INC              EQUITY       216648402      30         570 SH         DEFINED      4         --         --       570
THE EUROPEAN EQUITY FUND, IN    EQUITY       298768102     108       8,309 SH         DEFINED      4         --         --     8,309
THE FINISH LINE-CL A            EQUITY       317923100     184      42,326 SH          SOLE        1     42,326         --        --
THE INVENTURE GROUP INC         EQUITY       461214108       4        1600 SH         DEFINED      4         --         --        --
THE MEN'S WEARHOUSE INC         EQUITY       587118100    2724      53,918 SH          SOLE        1     53,918         --        --
THE MEN'S WEARHOUSE INC         EQUITY       587118100     534      10,563 SH         DEFINED      4         --         --    10,563
THE ST JOE COMPANY              EQUITY       790148100      83       2,463 SH          SOLE        1      2,463         --        --
THE ST JOE COMPANY              EQUITY       790148100     348       5,991 SH         DEFINED      4         --         --     5,991
THE STEAK N SHAKE COMPANY       EQUITY       857873103     425      28,329 SH          SOLE        1     28,329         --        --
THE STEAK N SHAKE COMPANY       EQUITY       857873103     136       9,060 SH         DEFINED      4         --         --     9,060
THE WALT DISNEY CO              EQUITY       254687106   98274   2,857,620 SH          SOLE        1  2,857,620         --        --
THE WALT DISNEY CO              EQUITY       254687106    9577     278,489 SH         DEFINED      4         --         --   278,489
THE WALT DISNEY CO              EQUITY       254687106   29625     861,447 SH          SOLE        2    861,447         --        --
THE9 LTD-ADR                    EQUITY       88337K104    3597     104,300 SH          SOLE        1    104,300         --        --
THE9 LTD-ADR                    EQUITY       88337K104      26         740 SH         DEFINED      4         --         --       740
THERAGENICS CORP                EQUITY       883375107      19       4,185 SH          SOLE        1      4,185         --        --
THERAGENICS CORP                EQUITY       883375107       4         600 SH         DEFINED      4         --         --       600
THERAVANCE INC                  EQUITY       88338T104    1870      71,684 SH          SOLE        1     71,684         --        --
THERMAGE INC                    EQUITY       88343R101     121      17,050 SH         DEFINED      4         --         --    17,050
THERMO FISHER SCIENTIFIC INC    EQUITY       883556102   10512     182,113 SH          SOLE        1    182,113         --        --
THERMO FISHER SCIENTIFIC INC    EQUITY       883556102     901      15,609 SH         DEFINED      4         --         --    15,609
THERMO FISHER SCIENTIFIC INC    EQUITY       883556102    7823     135,538 SH          SOLE        2    135,538         --        --
THERMOGENESIS CORP              EQUITY       883623209       2       1,100 SH         DEFINED      4         --         --     1,100
THESTREET.COM INC               EQUITY       88368Q103     218      17,986 SH          SOLE        1     17,986         --        --
THESTREET.COM INC               EQUITY       88368Q103       2         150 SH         DEFINED      4         --         --       150
THIRD WAVE TECHNOLOGIES         EQUITY       88428W108       5       1,000 SH         DEFINED      4         --         --     1,000
THOMAS & BETTS CORP             EQUITY       884315102    7449     127,025 SH          SOLE        1    127,025         --        --
THOMAS & BETTS CORP             EQUITY       884315102     305       5,612 SH         DEFINED      4         --         --     5,612
THOMAS GROUP INC                EQUITY       884402108       5         500 SH         DEFINED      4         --         --       500
THOMAS PROPERTIES GROUP         EQUITY       884453101     248      20,653 SH          SOLE        1     20,653         --        --
THOMAS WEISEL PARTNERS GROUP    EQUITY       884481102     820      56,516 SH          SOLE        1     56,516         --        --
THOMSON (EX-TMM)-SPON ADR       EQUITY       885118109     249      12,816 SH         DEFINED      4         --         --    12,816
THOMSON CORP                    EQUITY       884903105     206       4,783 SH          OTHER       1         --      4,783        --
THOMSON CORP                    EQUITY       884903105      16         365 SH         DEFINED      4         --         --       365





                                                                                          
THOR INDUSTRIES INC             EQUITY       885160101    3890      86,453 SH          SOLE        1     86,453         --        --
THOR INDUSTRIES INC             EQUITY       885160101     408   10194.712 SH         DEFINED      4         --         --        --
THORATEC CORP                   EQUITY       885175307    1867      90,243 SH          SOLE        1     90,243         --        --
THORATEC CORP                   EQUITY       885175307      12         556 SH         DEFINED      4         --         --       556
THORNBURG MORTGAGE INC          EQUITY       885218107      58       4,552 SH          SOLE        1      4,552         --        --
THORNBURG MORTGAGE INC          EQUITY       885218107     878      68,319 SH         DEFINED      4         --         --    68,319
THQ INC                         EQUITY       872443403    1666      66,677 SH          SOLE        1     66,677         --        --
THQ INC                         EQUITY       872443403      72       2,886 SH         DEFINED      4         --         --     2,886
THQ INC                         EQUITY       872443403     327      13,100 SH          SOLE        2     13,100         --        --
TIB FINANCIAL CORP              EQUITY       872449103       9         653 SH         DEFINED      4         --         --       653
TIBCO SOFTWARE INC              EQUITY       88632Q103    1342     181,587 SH          SOLE        1    181,587         --        --
TIBCO SOFTWARE INC              EQUITY       88632Q103      22       2,920 SH         DEFINED      4         --         --     2,920
TIDEWATER INC                   EQUITY       886423102    8737     139,043 SH          SOLE        1    139,043         --        --
TIDEWATER INC                   EQUITY       886423102     531       8,288 SH         DEFINED      4         --         --     8,288
TIENS BIOTECH GROUP USA INC     EQUITY       88650T104      10       3,028 SH          SOLE        1      3,028         --        --
TIERONE CORP                    EQUITY       88650R108     417      15,759 SH          SOLE        1     15,759         --        --
TIERONE CORP                    EQUITY       88650R108      33       1,250 SH         DEFINED      4         --         --     1,250
TIFFANY & CO                    EQUITY       886547108    3197      61,078 SH          SOLE        1     61,078         --        --
TIFFANY & CO                    EQUITY       886547108     109       2,214 SH         DEFINED      4         --         --     2,214
TIFFANY & CO                    EQUITY       886547108      67       1,272 SH          SOLE        2      1,272         --        --
TII NETWORK TECHNOLOGIES INC    EQUITY       872479209       1         240 SH         DEFINED      4         --         --       240
TIM HORTONS INC                 EQUITY       88706M103    1336      42,372 SH         DEFINED      4         --         --    42,372
TIM PARTICIPACOES SA-ADR        EQUITY       88706P106      64       1,586 SH         DEFINED      4         --         --     1,586
TIMBERLAND CO-CL A              EQUITY       887100105    3133     165,234 SH          SOLE        1    165,234         --        --
TIMBERLAND CO-CL A              EQUITY       887100105     444      16,423 SH         DEFINED      4         --         --    16,423
TIME WARNER CABLE-A             EQUITY       88732J108    5560     169,508 SH          SOLE        1    169,508         --        --
TIME WARNER CABLE-A             EQUITY       88732J108      23         618 SH         DEFINED      4         --         --       618
TIME WARNER CABLE-A             EQUITY       88732J108    4025     122,700 SH          SOLE        2    122,700         --        --
TIME WARNER INC                 EQUITY       887317105   56315   3,066,881 SH          SOLE        1  3,066,881         --        --
TIME WARNER INC                 EQUITY       887317105    5397     248,488 SH         DEFINED      4         --         --   248,488
TIME WARNER INC                 EQUITY       887317105     246      13,402 SH          SOLE        2     13,402         --        --
TIME WARNER TELECOM-CLASS A     EQUITY       887319101    2769     126,038 SH          SOLE        1    126,038         --        --
TIME WARNER TELECOM-CLASS A     EQUITY       887319101     221      11,905 SH         DEFINED      4         --         --    11,905
TIME WARNER TELECOM-CLASS A     EQUITY       887319101    5655     257,400 SH          SOLE        2    257,400         --        --
TIMKEN CO                       EQUITY       887389104    8852     238,287 SH          SOLE        1    238,287         --        --
TIMKEN CO                       EQUITY       887389104     519      13,964 SH         DEFINED      4         --         --    13,964
TITAN INTERNATIONAL INC         EQUITY       88830M102     670      20,995 SH          SOLE        1     20,995         --        --
TITAN INTERNATIONAL INC         EQUITY       88830M102     304      10,696 SH         DEFINED      4         --         --    10,696
TITAN PHARMACEUTICALS INC       EQUITY       888314101       4       1,718 SH         DEFINED      4         --         --     1,718
TITANIUM METALS CORP            EQUITY       888339207   26409     786,926 SH          SOLE        1    786,926         --        --
TITANIUM METALS CORP            EQUITY       888339207     738      22,003 SH         DEFINED      4         --         --    22,003
TIVO INC                        EQUITY       888706108     540      85,017 SH          SOLE        1     85,017         --        --
TIVO INC                        EQUITY       888706108      74       11520 SH         DEFINED      4         --         --        --
TIVO INC                        EQUITY       888706108     413      65,000 SH          SOLE        2     65,000         --        --
TJX COMPANIES INC               EQUITY       872540109   22749     777,720 SH          SOLE        1    777,720         --        --
TJX COMPANIES INC               EQUITY       872540109     447      15,833 SH         DEFINED      4         --         --    15,833
TJX COMPANIES INC               EQUITY       872540109      16         561 SH          SOLE        2        561         --        --
TLC VISION CORP                 EQUITY       872549100     194      61,146 SH         DEFINED      4         --         --    61,146
TNS INC                         EQUITY       872960109     340      21,146 SH          SOLE        1     21,146         --        --
TODD SHIPYARDS CORP             EQUITY       889039103   11373     568,650 SH         DEFINED      4         --         --   568,650
TOLL BROTHERS INC               EQUITY       889478103    6372     318,755 SH          SOLE        1    318,755         --        --
TOLL BROTHERS INC               EQUITY       889478103     222       7,677 SH         DEFINED      4         --         --     7,677
TOLLGRADE COMMUNICATIONS INC    EQUITY       889542106      17       1,670 SH          SOLE        1      1,670         --        --
TOLLGRADE COMMUNICATIONS INC    EQUITY       889542106      14       1,100 SH         DEFINED      4         --         --     1,100





                                                                                          
TOMKINS PLC-SPONSORED ADR       EQUITY       890030208      27       1,467 SH         DEFINED      4         --         --     1,467
TOMOTHERAPY INC                 EQUITY       890088107     237      10,217 SH          SOLE        1     10,217         --        --
TOMPKINS FINANCIAL CORP         EQUITY       890110109     227       5,718 SH          SOLE        1      5,718         --        --
TOMPKINS FINANCIAL CORP         EQUITY       890110109      24         620 SH         DEFINED      4         --         --       620
TONGJITANG CHINESE MEDIC-ADR    EQUITY       89025E103     125      11,900 SH         DEFINED      4         --         --    11,900
TOOTSIE ROLL INDS               EQUITY       890516107    2592      97,709 SH          SOLE        1     97,709         --        --
TOOTSIE ROLL INDS               EQUITY       890516107     115       3,960 SH         DEFINED      4         --         --     3,960
TOP IMAGE SYSTEMS LTD           EQUITY       M87896102      11       3,300 SH         DEFINED      4         --         --     3,300
TOP TANKERS INC                 EQUITY       Y8897Y107       7       1,600 SH         DEFINED      4         --         --     1,600
TOPPS COMPANY INC (THE)         EQUITY       890786106     285      29,364 SH          SOLE        1     29,364         --        --
TOPPS COMPANY INC (THE)         EQUITY       890786106       1         129 SH         DEFINED      4         --         --       129
TORCH ENERGY ROYALTY TRUST      EQUITY       891013104      44       6,687 SH         DEFINED      4         --         --     6,687
TORCHMARK CORP                  EQUITY       891027104   12380     198,659 SH          SOLE        1    198,659         --        --
TORCHMARK CORP                  EQUITY       891027104       8         121 SH          SOLE        2        121         --        --
TOREADOR RESOURCES CORP         EQUITY       891050106     156      13,149 SH          SOLE        1     13,149         --        --
TOREADOR RESOURCES CORP         EQUITY       891050106       2         155 SH         DEFINED      4         --         --       155
TORO CO                         EQUITY       891092108     316       5,365 SH          SOLE        1      5,365         --        --
TORO CO                         EQUITY       891092108     424       8,236 SH         DEFINED      4         --         --     8,236
TORONTO-DOMINION BANK           EQUITY       891160509   15739     204,984 SH          OTHER       1         --    204,984        --
TORONTO-DOMINION BANK           EQUITY       891160509     182       2,920 SH         DEFINED      4         --         --     2,920
TORTOISE CAPITAL RESOURCES C    EQUITY       89147N304       5         300 SH         DEFINED      4         --         --       300
TORTOISE ENERGY CAPITAL CORP    EQUITY       89147U100      24         780 SH         DEFINED      4         --         --       780
TORTOISE ENERGY INFRASTRUCTU    EQUITY       89147L100      34         833 SH         DEFINED      4         --         --       833
TORTOISE NORTH AMERICAN ENER    EQUITY       89147T103      25       1,000 SH         DEFINED      4         --         --     1,000
TOTAL SA-SPON ADR               EQUITY       89151E109    2442      32,304 SH         DEFINED      4         --         --    32,304
TOTAL SYSTEM SERVICES INC       EQUITY       891906109      54       1,942 SH          SOLE        1      1,942         --        --
TOWER FINANCIAL CORP            EQUITY       891769101      62       4,117 SH         DEFINED      4         --         --     4,117
TOWER GROUP INC                 EQUITY       891777104     522      19,937 SH          SOLE        1     19,937         --        --
TOWN SPORTS INTERNATIONAL       EQUITY       89214A102     215      14,131 SH          SOLE        1     14,131         --        --
TOYOTA MOTOR CORP -SPON ADR     EQUITY       892331307    1349      11,540 SH         DEFINED      4         --         --    11,540
TRACK DATA CORP                 EQUITY       891918203       1         620 SH         DEFINED      4         --         --       620
TRACTOR SUPPLY COMPANY          EQUITY       892356106     246       5,346 SH          SOLE        1      5,346         --        --
TRACTOR SUPPLY COMPANY          EQUITY       892356106     335       6,504 SH         DEFINED      4         --         --     6,504
TRADESTATION GROUP INC          EQUITY       89267P105     338      28,959 SH          SOLE        1     28,959         --        --
TRADESTATION GROUP INC          EQUITY       89267P105       8         660 SH         DEFINED      4         --         --       660
TRADESTATION GROUP INC          EQUITY       89267P105    1036      88,800 SH          SOLE        2     88,800         --        --
TRAFFIX INC                     EQUITY       892721101      20       3,310 SH         DEFINED      4         --         --     3,310
TRANSACT TECHNOLOGIES INC       EQUITY       892918103      51       7,590 SH         DEFINED      4         --         --     7,590
TRANSALTA CORP                  EQUITY       89346D107     142       4,697 SH          OTHER       1         --      4,697        --
TRANSAMERICA INCOME SHARES      EQUITY       893506105      20       1,000 SH         DEFINED      4         --         --     1,000
TRANSATLANTIC HOLDINGS INC      EQUITY       893521104      56         800 SH          SOLE        1        800         --        --
TRANSATLANTIC HOLDINGS INC      EQUITY       893521104 2749387  39,092,662 SH          SOLE        1 39,092,662         --        --
TRANSATLANTIC HOLDINGS INC      EQUITY       893521104     338       4,755 SH         DEFINED      4         --         --     4,755
TRANSCANADA CORP                EQUITY       89353D107     398      10,997 SH          OTHER       1         --     10,997        --
TRANSCANADA CORP                EQUITY       89353D107     103       2,808 SH         DEFINED      4         --         --     2,808
TRANSCAT INC                    EQUITY       893529107     524     107,000 SH         DEFINED      4         --         --   107,000
TRANSCONTINENTAL REALTY INV     EQUITY       893617209       4         248 SH         DEFINED      4         --         --       248
TRANSDIGM GROUP INC             EQUITY       893641100     373       8,158 SH          SOLE        1      8,158         --        --
TRANSGLOBE ENERGY CORP          EQUITY       893662106      33       8,300 SH         DEFINED      4         --         --     8,300
TRANSMERIDIAN EXPLORATION       EQUITY       89376N108     228     109,699 SH          SOLE        1    109,699         --        --
TRANSMERIDIAN EXPLORATION       EQUITY       89376N108       6       2,700 SH         DEFINED      4         --         --     2,700
TRANSOCEAN INC                  EQUITY       G90078109    4973      55,724 SH         DEFINED      4         --         --    55,724
TRANSOCEAN INC                  EQUITY       G90078109      41         365 SH          SOLE        2        365         --        --
TRAVELCENTERS OF AMERICA LLC    EQUITY       894174101      37       1,134 SH         DEFINED      4         --         --     1,134





                                                                                          
TRAVELERS COS INC/THE           EQUITY       89417E109   77437   1,537,209 SH          SOLE        1  1,537,209         --        --
TRAVELERS COS INC/THE           EQUITY       89417E109    1695      30,166 SH         DEFINED      4         --         --    30,166
TRAVELERS COS INC/THE           EQUITY       89417E109      42         828 SH          SOLE        2        828         --        --
TRAVELZOO INC                   EQUITY       89421Q106     150       6,527 SH          SOLE        1      6,527         --        --
TRAVELZOO INC                   EQUITY       89421Q106       1          22 SH         DEFINED      4         --         --        22
TREDEGAR CORP                   EQUITY       894650100     525      30,431 SH          SOLE        1     30,431         --        --
TREDEGAR CORP                   EQUITY       894650100      29       1,231 SH         DEFINED      4         --         --     1,231
TREEHOUSE FOODS INC             EQUITY       89469A104     842      31,118 SH          SOLE        1     31,118         --        --
TREEHOUSE FOODS INC             EQUITY       89469A104      32         997 SH         DEFINED      4         --         --       997
TREX COMPANY INC                EQUITY       89531P105     116      10,400 SH          SOLE        1     10,400         --        --
TREX COMPANY INC                EQUITY       89531P105      11         549 SH         DEFINED      4         --         --        --
TRIAD GUARANTY INC              EQUITY       895925105     218      11,517 SH          SOLE        1     11,517         --        --
TRIAD GUARANTY INC              EQUITY       895925105       3          60 SH         DEFINED      4         --         --        60
TRIARC COS-B                    EQUITY       895927309     786      62,811 SH          SOLE        1     62,811         --        --
TRIBUNE CO                      EQUITY       896047107     994      36,385 SH          SOLE        1     36,385         --        --
TRIBUNE CO                      EQUITY       896047107     791      24,082 SH         DEFINED      4         --         --    24,082
TRIBUNE CO                      EQUITY       896047107       3          97 SH          SOLE        2         97         --        --
TRICO BANCSHARES                EQUITY       896095106     273      12,258 SH          SOLE        1     12,258         --        --
TRICO BANCSHARES                EQUITY       896095106       4         200 SH         DEFINED      4         --         --       200
TRICO MARINE SERVICES INC       EQUITY       896106200   22441     728,171 SH          SOLE        1    728,171         --        --
TRICO MARINE SERVICES INC       EQUITY       896106200    1895      63,588 SH          SOLE        2     63,588         --        --
TRI-CONTINENTAL CORPORATION     EQUITY       895436103     401      15,593 SH         DEFINED      4         --         --    15,593
TRIDENT MICROSYSTEMS INC        EQUITY       895919108     791      49,766 SH          SOLE        1     49,766         --        --
TRIDENT MICROSYSTEMS INC        EQUITY       895919108     170       8,202 SH         DEFINED      4         --         --     8,202
TRIDENT MICROSYSTEMS INC        EQUITY       895919108    7694     484,200 SH          SOLE        2    484,200         --        --
TRIMAS CORP                     EQUITY       896215209     155      11,657 SH          SOLE        1     11,657         --        --
TRIMBLE NAVIGATION LTD          EQUITY       896239100     700      17,847 SH          SOLE        1     17,847         --        --
TRIMBLE NAVIGATION LTD          EQUITY       896239100     278       7,100 SH         DEFINED      4         --         --     7,100
TRIMERIS INC                    EQUITY       896263100     249      33,175 SH         DEFINED      4         --         --    33,175
TRINITY BIOTECH PLC-SPON ADR    EQUITY       896438306      53       5,025 SH         DEFINED      4         --         --     5,025
TRINITY INDUSTRIES INC          EQUITY       896522109    7600     202,457 SH          SOLE        1    202,457         --        --
TRINITY INDUSTRIES INC          EQUITY       896522109     433       9,864 SH         DEFINED      4         --         --     9,864
TRIO-TECH INTERNATIONAL         EQUITY       896712205       1          65 SH         DEFINED      4         --         --        65
TRIQUINT SEMICONDUCTOR INC      EQUITY       89674K103    2281     464,522 SH          SOLE        1    464,522         --        --
TRIQUINT SEMICONDUCTOR INC      EQUITY       89674K103      26       5,210 SH         DEFINED      4         --         --     5,210
TRIUMPH GROUP INC               EQUITY       896818101    1343      16,442 SH          SOLE        1     16,442         --        --
TRIUMPH GROUP INC               EQUITY       896818101     127       1,550 SH         DEFINED      4         --         --     1,550
TRIUMPH GROUP INC               EQUITY       896818101     662       8,100 SH          SOLE        2      8,100         --        --
TRI-VALLEY CORP                 EQUITY       895735108      17       2,185 SH         DEFINED      4         --         --     2,185
TRIZETTO GROUP INC              EQUITY       896882107     691      39,438 SH          SOLE        1     39,438         --        --
TRIZETTO GROUP INC              EQUITY       896882107       2         100 SH         DEFINED      4         --         --       100
TRONOX INC-CLASS B              EQUITY       897051207     374      41,407 SH          SOLE        1     41,407         --        --
TRONOX INC-CLASS B              EQUITY       897051207      10         741 SH         DEFINED      4         --         --       741
TRUBION PHARMACEUTICALS INC     EQUITY       89778N102      92       7,553 SH          SOLE        1      7,553         --        --
TRUBION PHARMACEUTICALS INC     EQUITY       89778N102      18       1,500 SH         DEFINED      4         --         --     1,500
TRUE RELIGION APPAREL INC       EQUITY       89784N104    1285      73,032 SH          SOLE        1     73,032         --        --
TRUE RELIGION APPAREL INC       EQUITY       89784N104    3766     214,000 SH          SOLE        3    185,200         --    28,800
TRUMP ENTERTAINMENT RESORTS     EQUITY       89816T103     175      27,057 SH          SOLE        1     27,057         --        --
TRUMP ENTERTAINMENT RESORTS     EQUITY       89816T103      15       1,002 SH         DEFINED      4         --         --     1,002
TRUSTCO BANK CORP NY            EQUITY       898349105     819      74,903 SH          SOLE        1     74,903         --        --
TRUSTCO BANK CORP NY            EQUITY       898349105     303      31,735 SH         DEFINED      4         --         --    31,735
TRUSTMARK CORP                  EQUITY       898402102    1196      42,638 SH          SOLE        1     42,638         --        --
TRUSTMARK CORP                  EQUITY       898402102      47       1,700 SH         DEFINED      4         --         --     1,700
TRW AUTOMOTIVE HOLDINGS CORP    EQUITY       87264S106      83       2,617 SH          SOLE        1      2,617         --        --





                                                                                          
TS&W/CLAYMORE T/A BALANCED      EQUITY       87280R108      27       1,700 SH         DEFINED      4         --         --     1,700
TSAKOS ENERGY NAVIGATION LTD    EQUITY       G9108L108     830      14,315 SH         DEFINED      4         --         --    14,315
TTM TECHNOLOGIES                EQUITY       87305R109     487      42,130 SH          SOLE        1     42,130         --        --
TTM TECHNOLOGIES                EQUITY       87305R109      21       1,800 SH         DEFINED      4         --         --     1,800
TUESDAY MORNING CORP            EQUITY       899035505     268      29,851 SH          SOLE        1     29,851         --        --
TUMBLEWEED COMMUNICATIONS CP    EQUITY       899690101      21       9,649 SH         DEFINED      4         --         --     9,649
TUPPERWARE BRANDS CORP          EQUITY       899896104    6485     205,932 SH          SOLE        1    205,932         --        --
TUPPERWARE BRANDS CORP          EQUITY       899896104     158       5,018 SH         DEFINED      4         --         --     5,018
TURBOCHEF TECHNOLOGIES INC      EQUITY       900006206     226      17,101 SH          SOLE        1     17,101         --        --
TURBOCHEF TECHNOLOGIES INC      EQUITY       900006206     103       7,575 SH         DEFINED      4         --         --     7,575
TURKCELL ILETISIM HIZMET-ADR    EQUITY       900111204     193       9,070 SH         DEFINED      4         --         --     9,070
TURKISH INVESTMENT FUND         EQUITY       900145103      19       1,050 SH         DEFINED      4         --         --     1,050
TVI CORP                        EQUITY       872916101      40      45,500 SH         DEFINED      4         --         --    45,500
TWEEN BRANDS INC                EQUITY       901166108    1005      30,602 SH          SOLE        1     30,602         --        --
TWEEN BRANDS INC                EQUITY       901166108      26         795 SH         DEFINED      4         --         --       795
TWIN DISC INC                   EQUITY       901476101     231       3,973 SH          SOLE        1      3,973         --        --
TWIN DISC INC                   EQUITY       901476101      13         200 SH         DEFINED      4         --         --       200
TXCO RESOURCES INC              EQUITY       87311M102     264      29,473 SH          SOLE        1     29,473         --        --
TYCO ELECTRONICS LTD            EQUITY       G9144P105      22         627 SH          SOLE        2        627         --        --
TYCO INTERNATIONAL LTD          EQUITY       G9143X208    1722      38,847 SH         DEFINED      4         --         --    38,847
TYCO INTERNATIONAL LTD          EQUITY       G9143X208      28         627 SH          SOLE        2        627         --        --
TYLER TECHNOLOGIES INC          EQUITY       902252105     510      38,223 SH          SOLE        1     38,223         --        --
TYLER TECHNOLOGIES INC          EQUITY       902252105      15       1,100 SH         DEFINED      4         --         --     1,100
TYSON FOODS INC-CL A            EQUITY       902494103    2301     128,899 SH          SOLE        1    128,899         --        --
TYSON FOODS INC-CL A            EQUITY       902494103     160       7,449 SH         DEFINED      4         --         --     7,449
TYSON FOODS INC-CL A            EQUITY       902494103       6         347 SH          SOLE        2        347         --        --
U S CONCRETE INC                EQUITY       90333L102     195      29,570 SH          SOLE        1     29,570         --        --
U S CONCRETE INC                EQUITY       90333L102     808      98,350 SH         DEFINED      4         --         --    98,350
U S ENERGY CORP - WYOMING       EQUITY       911805109       1         200 SH         DEFINED      4         --         --       200
U S GOLD CORP                   EQUITY       912023207     281      44,814 SH          SOLE        1     44,814         --        --
U S GOLD CORP                   EQUITY       912023207      30       4,930 SH         DEFINED      4         --         --     4,930
U.S. ENERGY SYSTEMS INC         EQUITY       902951102       3       4,000 SH         DEFINED      4         --         --     4,000
U.S. GLOBAL INVESTORS INC-A     EQUITY       902952100     195      10,274 SH          SOLE        1     10,274         --        --
U.S. GLOBAL INVESTORS INC-A     EQUITY       902952100      42       2,221 SH         DEFINED      4         --         --     2,221
U.S. PHYSICAL THERAPY INC       EQUITY       90337L108      14       1,000 SH         DEFINED      4         --         --     1,000
UAL CORP                        EQUITY       902549807    1376      29,563 SH          SOLE        1     29,563         --        --
UAL CORP                        EQUITY       902549807      50       1,408 SH         DEFINED      4         --         --     1,408
UAP HOLDING CORP                EQUITY       903441103    1406      44,833 SH          SOLE        1     44,833         --        --
UAP HOLDING CORP                EQUITY       903441103     523      16,667 SH         DEFINED      4         --         --    16,667
UBS AG-REG                      EQUITY       H89231338    2063      32,175 SH         DEFINED      4         --         --    32,175
UCBH HOLDINGS INC               EQUITY       90262T308    1750     100,091 SH          SOLE        1    100,091         --        --
UCBH HOLDINGS INC               EQUITY       90262T308       2         100 SH         DEFINED      4         --         --       100
UDR INC                         EQUITY       902653104    8157     335,386 SH          SOLE        1    335,386         --        --
UGI CORP                        EQUITY       902681105     453      17,421 SH          SOLE        1     17,421         --        --
UGI CORP                        EQUITY       902681105     197       6,956 SH         DEFINED      4         --         --     6,956
UIL HOLDINGS CORP               EQUITY       902748102     790      25,090 SH          SOLE        1     25,090         --        --
UIL HOLDINGS CORP               EQUITY       902748102     224       6,274 SH         DEFINED      4         --         --     6,274
ULTIMATE SOFTWARE GROUP INC     EQUITY       90385D107     751      21,506 SH          SOLE        1     21,506         --        --
ULTIMATE SOFTWARE GROUP INC     EQUITY       90385D107      99       2,850 SH         DEFINED      4         --         --     2,850
ULTRA CLEAN HOLDINGS            EQUITY       90385V107     242      16,503 SH          SOLE        1     16,503         --        --
ULTRA CLEAN HOLDINGS            EQUITY       90385V107    1904     127,412 SH         DEFINED      4         --         --   127,412
ULTRA DOW30 PROSHARES           EQUITY       74347R305     758        8178 SH         DEFINED      4         --         --        --
ULTRA OIL & GAS PROSHARES       EQUITY       74347R719     106         950 SH         DEFINED      4         --         --       950
ULTRA PETROLEUM CORP            EQUITY       903914109     864      13,932 SH         DEFINED      4         --         --    13,932





                                                                                          
ULTRA QQQ PROSHARES             EQUITY       74347R206    1873      17,323 SH         DEFINED      4         --         --    17,323
ULTRA RUSSELL2000 PROSHARES     EQUITY       74347R842      59         850 SH         DEFINED      4         --         --       850
ULTRA S&P500 PROSHARES          EQUITY       74347R107     589       6,153 SH         DEFINED      4         --         --     6,153
ULTRA SMALLCAP600 PROSHARES     EQUITY       74347R818      56         700 SH         DEFINED      4         --         --       700
ULTRAPAR PARTICPAC-SPON ADR     EQUITY       90400P101     158       4,082 SH         DEFINED      4         --         --     4,082
ULTRASHORT DOW30 PROSHARES      EQUITY       74347R867     119       2,558 SH         DEFINED      4         --         --     2,558
ULTRASHORT FINANCIALS PROSHA    EQUITY       74347R628     591       8,640 SH         DEFINED      4         --         --     8,640
ULTRASHORT MIDCAP400 PROSHAR    EQUITY       74347R859      56       1,075 SH         DEFINED      4         --         --     1,075
ULTRASHORT QQQ PROSHARES        EQUITY       74347R875     900      18,918 SH         DEFINED      4         --         --    18,918
ULTRASHORT REAL ESTATE PROSH    EQUITY       74347R552     727       8,161 SH         DEFINED      4         --         --     8,161
ULTRASHORT RUSSELL2000 PROSH    EQUITY       74347R834     570       9,012 SH         DEFINED      4         --         --     9,012
ULTRASHORT S&P500 PROSHARES     EQUITY       74347R883    1690      33,362 SH         DEFINED      4         --         --    33,362
ULTRATECH INC                   EQUITY       904034105     321      23,141 SH          SOLE        1     23,141         --        --
ULTRATECH INC                   EQUITY       904034105       4         300 SH         DEFINED      4         --         --       300
UMB FINANCIAL CORP              EQUITY       902788108    1156      26,978 SH          SOLE        1     26,978         --        --
UMB FINANCIAL CORP              EQUITY       902788108       8         182 SH         DEFINED      4         --         --       182
UMH PROPERTIES INC              EQUITY       903002103      26       1,700 SH         DEFINED      4         --         --     1,700
UMPQUA HOLDINGS CORP            EQUITY       904214103    1222      61,070 SH          SOLE        1     61,070         --        --
UMPQUA HOLDINGS CORP            EQUITY       904214103      89       4,457 SH         DEFINED      4         --         --     4,457
UNDER ARMOUR INC-CLASS A        EQUITY       904311107   15687     262,242 SH          SOLE        1    262,242         --        --
UNDER ARMOUR INC-CLASS A        EQUITY       904311107     207       4,607 SH         DEFINED      4         --         --     4,607
UNIBANCO-GDR                    EQUITY       90458E107   20294     154,270 SH          SOLE        1    154,270         --        --
UNIBANCO-GDR                    EQUITY       90458E107       8          77 SH         DEFINED      4         --         --        77
UNICA CORP                      EQUITY       904583101      96       8,532 SH          SOLE        1      8,532         --        --
UNIFI INC                       EQUITY       904677101    3909   1,421,500 SH          SOLE        1  1,421,500         --        --
UNIFI INC                       EQUITY       904677101       5       1,753 SH         DEFINED      4         --         --     1,753
UNIFIRST CORP/MA                EQUITY       904708104     535      14,282 SH          SOLE        1     14,282         --        --
UNILEVER N V  -NY SHARES        EQUITY       904784709    1375      43,426 SH         DEFINED      4         --         --    43,426
UNILEVER PLC-SPONSORED ADR      EQUITY       904767704    1428      44,183 SH         DEFINED      4         --         --    44,183
UNION BANKSHARES CORP           EQUITY       905399101     264      11,611 SH          SOLE        1     11,611         --        --
UNION BANKSHARES CORP           EQUITY       905399101       6         267 SH         DEFINED      4         --         --       267
UNION DRILLING INC              EQUITY       90653P105     175      11,996 SH          SOLE        1     11,996         --        --
UNION DRILLING INC              EQUITY       90653P105      15       1,030 SH         DEFINED      4         --         --     1,030
UNION PACIFIC CORP              EQUITY       907818108   16061     142,057 SH          SOLE        1    142,057         --        --
UNION PACIFIC CORP              EQUITY       907818108      38         336 SH          SOLE        2        336         --        --
UNIONBANCAL CORPORATION         EQUITY       908906100     105       1,801 SH          SOLE        1      1,801         --        --
UNIONBANCAL CORPORATION         EQUITY       908906100     184       2,915 SH         DEFINED      4         --         --     2,915
UNISOURCE ENERGY CORP CO        EQUITY       909205106    1051      35,173 SH          SOLE        1     35,173         --        --
UNISOURCE ENERGY CORP CO        EQUITY       909205106      69       1,777 SH         DEFINED      4         --         --     1,777
UNISYS CORP                     EQUITY       909214108    1073     162,018 SH          SOLE        1    162,018         --        --
UNISYS CORP                     EQUITY       909214108     399      49,783 SH         DEFINED      4         --         --    49,783
UNISYS CORP                     EQUITY       909214108       3         441 SH          SOLE        2        441         --        --
UNIT CORP                       EQUITY       909218109     283       5,837 SH          SOLE        1      5,837         --        --
UNIT CORP                       EQUITY       909218109      26         450 SH         DEFINED      4         --         --       450
UNIT CORP                       EQUITY       909218109    7037     145,400 SH          SOLE        2    145,400         --        --
UNITED AMERICA INDEMNITY-A      EQUITY       90933T109     463      21,520 SH          SOLE        1     21,520         --        --
UNITED AMERICA INDEMNITY-A      EQUITY       90933T109       2          77 SH         DEFINED      4         --         --        77
UNITED BANCORP INC/OHIO         EQUITY       909911109       2         146 SH         DEFINED      4         --         --       146
UNITED BANKSHARES INC           EQUITY       909907107    1163      38,215 SH          SOLE        1     38,215         --        --
UNITED BANKSHARES INC           EQUITY       909907107     131       4,314 SH         DEFINED      4         --         --     4,314
UNITED COMMUNITY BANKS/GA       EQUITY       90984P105    1014      41,359 SH          SOLE        1     41,359         --        --
UNITED COMMUNITY BANKS/GA       EQUITY       90984P105     311      10,339 SH         DEFINED      4         --         --    10,339
UNITED COMMUNITY FINANCIAL      EQUITY       909839102     169      23,340 SH          SOLE        1     23,340         --        --
UNITED COMMUNITY FINANCIAL      EQUITY       909839102      50       4,642 SH         DEFINED      4         --         --     4,642





                                                                                          
UNITED FIRE & CASUALTY CO       EQUITY       910331107     855      21,869 SH          SOLE        1     21,869         --        --
UNITED FIRE & CASUALTY CO       EQUITY       910331107      76       1,982 SH         DEFINED      4         --         --     1,982
UNITED INDUSTRIAL CORP          EQUITY       910671106     556       7,384 SH          SOLE        1      7,384         --        --
UNITED INDUSTRIAL CORP          EQUITY       910671106      69       1,351 SH         DEFINED      4         --         --     1,351
UNITED INDUSTRIAL CORP          EQUITY       910671106    1091      14,500 SH          SOLE        2     14,500         --        --
UNITED MICROELECTRONICS CORP
SPONSORED ADR                   EQUITY       910873207     108      31,666 SH         DEFINED      4         --         --    31,666
UNITED NATURAL FOODS INC        EQUITY       911163103    1162      42,673 SH          SOLE        1     42,673         --        --
UNITED NATURAL FOODS INC        EQUITY       911163103      71       2,301 SH         DEFINED      4         --         --     2,301
UNITED ONLINE INC               EQUITY       911268100    1000      66,640 SH          SOLE        1     66,640         --        --
UNITED ONLINE INC               EQUITY       911268100     525      34,975 SH         DEFINED      4         --         --    34,975
UNITED PARCEL SERVICE-CL B      EQUITY       911312106  146842   1,955,173 SH          SOLE        1  1,955,173         --        --
UNITED PARCEL SERVICE-CL B      EQUITY       911312106   14961     211,372 SH         DEFINED      4         --         --   211,372
UNITED PARCEL SERVICE-CL B      EQUITY       911312106    2300      30,624 SH          SOLE        2     30,624         --        --
UNITED RENTALS INC              EQUITY       911363109   14109     438,576 SH          SOLE        1    438,576         --        --
UNITED RENTALS INC              EQUITY       911363109      13         400 SH         DEFINED      4         --         --       400
UNITED RETAIL GROUP INC         EQUITY       911380103      47       3,360 SH         DEFINED      4         --         --     3,360
UNITED SECURITY BANCSHARE/CA    EQUITY       911460103     134       7,114 SH          SOLE        1      7,114         --        --
UNITED STATES OIL FUND LP       EQUITY       91232N108     150       2,401 SH         DEFINED      4         --         --     2,401
UNITED STATES STEEL CORP        EQUITY       912909108   16372     154,636 SH          SOLE        1    154,636         --        --
UNITED STATES STEEL CORP        EQUITY       912909108    1163      10,993 SH         DEFINED      4         --         --    10,993
UNITED STATES STEEL CORP        EQUITY       912909108      16         149 SH          SOLE        2        149         --        --
UNITED STATIONERS INC           EQUITY       913004107    1543      27,785 SH          SOLE        1     27,785         --        --
UNITED TECHNOLOGIES CORP        EQUITY       913017109   85801   1,067,171 SH          SOLE        1  1,067,171         --        --
UNITED TECHNOLOGIES CORP        EQUITY       913017109   10819     156,679 SH         DEFINED      4         --         --   156,679
UNITED TECHNOLOGIES CORP        EQUITY       913017109   16599     206,251 SH          SOLE        2    206,251         --        --
UNITED THERAPEUTICS CORP        EQUITY       91307C102    1205      18,104 SH          SOLE        1     18,104         --        --
UNITED THERAPEUTICS CORP        EQUITY       91307C102       3          50 SH         DEFINED      4         --         --        50
UNITED THERAPEUTICS CORP        EQUITY       91307C102     416       6,250 SH          SOLE        2      6,250         --        --
UNITEDHEALTH GROUP INC          EQUITY       91324P102   63485   1,309,801 SH          SOLE        1  1,309,801         --        --
UNITEDHEALTH GROUP INC          EQUITY       91324P102    4720      97,460 SH         DEFINED      4         --         --    97,460
UNITEDHEALTH GROUP INC          EQUITY       91324P102    7689     158,771 SH          SOLE        2    158,771         --        --
UNITIL CORP                     EQUITY       913259107      24         900 SH         DEFINED      4         --         --       900
UNITRIN INC                     EQUITY       913275103    6462     130,318 SH          SOLE        1    130,318         --        --
UNIVERSAL AMER FINANCIAL CRP    EQUITY       913377107     780      34,187 SH          SOLE        1     34,187         --        --
UNIVERSAL AMER FINANCIAL CRP    EQUITY       913377107      14         840 SH         DEFINED      4         --         --       840
UNIVERSAL CORP/VA               EQUITY       913456109    4461      91,135 SH          SOLE        1     91,135         --        --
UNIVERSAL CORP/VA               EQUITY       913456109    1038      16,238 SH         DEFINED      4         --         --    16,238
UNIVERSAL DISPLAY CORP          EQUITY       91347P105     383      21,620 SH          SOLE        1     21,620         --        --
UNIVERSAL DISPLAY CORP          EQUITY       91347P105     158       9,099 SH         DEFINED      4         --         --     9,099
UNIVERSAL ELECTRONICS INC       EQUITY       913483103     468      14,392 SH          SOLE        1     14,392         --        --
UNIVERSAL FOREST PRODUCTS       EQUITY       913543104     507      16,952 SH          SOLE        1     16,952         --        --
UNIVERSAL FOREST PRODUCTS       EQUITY       913543104      16         540 SH         DEFINED      4         --         --       540
UNIVERSAL HEALTH RLTY INCOME    EQUITY       91359E105     503      14,070 SH         DEFINED      4         --         --    14,070
UNIVERSAL HEALTH SERVICES-B     EQUITY       913903100    7289     133,945 SH          SOLE        1    133,945         --        --
UNIVERSAL HEALTH SERVICES-B     EQUITY       913903100     442       7,222 SH         DEFINED      4         --         --     7,222
UNIVERSAL SECURITY INSTRUMNT    EQUITY       913821302       1          30 SH         DEFINED      4         --         --        30
UNIVERSAL STAINLESS & ALLOY     EQUITY       913837100     230       5,774 SH          SOLE        1      5,774         --        --
UNIVERSAL STAINLESS & ALLOY     EQUITY       913837100      36         800 SH         DEFINED      4         --         --       800
UNIVERSAL TECHNICAL INSTITUT    EQUITY       913915104     423      23,492 SH          SOLE        1     23,492         --        --
UNIVERSAL TRUCKLOAD SERVICES    EQUITY       91388P105     113       5,160 SH          SOLE        1      5,160         --        --
UNIVEST CORP OF PENNSYLVANIA    EQUITY       915271100     268      11,288 SH          SOLE        1     11,288         --        --
UNUM GROUP                      EQUITY       91529Y106    4125     168,563 SH          SOLE        1    168,563         --        --
UNUM GROUP                      EQUITY       91529Y106     418      15,286 SH         DEFINED      4         --         --    15,286





                                                                                          
UNUM GROUP                      EQUITY       91529Y106      11         455 SH          SOLE        2        455         --        --
UPM-KYMMENE OYJ-SPONS ADR       EQUITY       915436109     384      15,953 SH         DEFINED      4         --         --    15,953
UQM TECHNOLOGIES INC            EQUITY       903213106      21       5,050 SH         DEFINED      4         --         --     5,050
URANERZ ENERGY CORP             EQUITY       91688T104      10       2,575 SH         DEFINED      4         --         --     2,575
URANIUM RESOURCES INC           EQUITY       916901507     428      45,553 SH          SOLE        1     45,553         --        --
URANIUM RESOURCES INC           EQUITY       916901507      11       1,200 SH         DEFINED      4         --         --     1,200
URBAN OUTFITTERS INC            EQUITY       917047102    6095     279,579 SH          SOLE        1    279,579         --        --
URBAN OUTFITTERS INC            EQUITY       917047102     213       8,280 SH         DEFINED      4         --         --     8,280
UROLOGIX INC                    EQUITY       917273104      75      30,170 SH         DEFINED      4         --         --    30,170
URS CORP                        EQUITY       903236107     445       7,881 SH          SOLE        1      7,881         --        --
URS CORP                        EQUITY       903236107     139       3,010 SH         DEFINED      4         --         --     3,010
URSTADT BIDDLE - CLASS A        EQUITY       917286205     286      18,470 SH          SOLE        1     18,470         --        --
URSTADT BIDDLE - CLASS A        EQUITY       917286205       5         300 SH         DEFINED      4         --         --       300
US AIRWAYS GROUP INC            EQUITY       90341W108     220       8,369 SH          SOLE        1      8,369         --        --
US AIRWAYS GROUP INC            EQUITY       90341W108      13         369 SH         DEFINED      4         --         --       369
US BANCORP                      EQUITY       902973304   45614   1,402,222 SH          SOLE        1  1,402,222         --        --
US BANCORP                      EQUITY       902973304   11155     322,215 SH         DEFINED      4         --         --   322,215
US BANCORP                      EQUITY       902973304     364      11,177 SH          SOLE        2     11,177         --        --
US BIOENERGY CORP               EQUITY       90342V109      78      10,054 SH          SOLE        1     10,054         --        --
US BIOENERGY CORP               EQUITY       90342V109      29       2,000 SH         DEFINED      4         --         --     2,000
US CELLULAR CORP                EQUITY       911684108      28         289 SH          SOLE        1        289         --        --
US CELLULAR CORP                EQUITY       911684108      19         250 SH         DEFINED      4         --         --       250
US SHIPPING PARTNERS LP         EQUITY       903417103      53       2,660 SH         DEFINED      4         --         --     2,660
USA MOBILITY INC                EQUITY       90341G103     339      20,075 SH          SOLE        1     20,075         --        --
USA MOBILITY INC                EQUITY       90341G103      27       1,625 SH         DEFINED      4         --         --     1,625
USA TECHNOLOGIES INC            EQUITY       90328S500      20       2,373 SH         DEFINED      4         --         --     2,373
USANA HEALTH SCIENCES INC       EQUITY       90328M107     368       8,402 SH          SOLE        1      8,402         --        --
USANA HEALTH SCIENCES INC       EQUITY       90328M107     127       2,895 SH         DEFINED      4         --         --     2,895
USB HOLDING CO INC              EQUITY       902910108     228       9,823 SH          SOLE        1      9,823         --        --
USEC INC                        EQUITY       90333E108     781      76,155 SH          SOLE        1     76,155         --        --
USEC INC                        EQUITY       90333E108     213       9,648 SH         DEFINED      4         --         --     9,648
USG CORP                        EQUITY       903293405     102       2,714 SH          SOLE        1      2,714         --        --
USG CORP                        EQUITY       903293405     194       3,997 SH         DEFINED      4         --         --     3,997
UST INC                         EQUITY       902911106   51651   1,041,353 SH          SOLE        1  1,041,353         --        --
UST INC                         EQUITY       902911106     698      12,499 SH         DEFINED      4         --         --    12,499
UST INC                         EQUITY       902911106    4950      99,801 SH          SOLE        2     99,801         --        --
UTI WORLDWIDE INC               EQUITY       G87210103    6140     267,200 SH          SOLE        2    267,200         --        --
UTILITIES HOLDRS TRUST          EQUITY       918019100       1           6 SH         DEFINED      4         --         --         6
UTILITIES SELECT SECTOR SPDR    EQUITY       81369Y886    1115      26,178 SH         DEFINED      4         --         --    26,178
UTSTARCOM INC                   EQUITY       918076100    1299     354,886 SH          SOLE        1    354,886         --        --
UTSTARCOM INC                   EQUITY       918076100      70       9,731 SH         DEFINED      4         --         --     9,731
VAALCO ENERGY INC               EQUITY       91851C201     235      51,412 SH          SOLE        1     51,412         --        --
VAALCO ENERGY INC               EQUITY       91851C201      15       3,370 SH         DEFINED      4         --         --     3,370
VAIL RESORTS INC                EQUITY       91879Q109    1704      27,359 SH          SOLE        1     27,359         --        --
VAIL RESORTS INC                EQUITY       91879Q109     181       3,052 SH         DEFINED      4         --         --     3,052
VALASSIS COMMUNICATIONS INC     EQUITY       918866104    1427     159,999 SH          SOLE        1    159,999         --        --
VALEANT PHARMACEUTICALS INTE    EQUITY       91911X104    4792     309,570 SH          SOLE        1    309,570         --        --
VALEANT PHARMACEUTICALS INTE    EQUITY       91911X104      31       1,982 SH         DEFINED      4         --         --     1,982
VALENCE TECHNOLOGY INC          EQUITY       918914102     135     119,825 SH         DEFINED      4         --         --   119,825
VALERO ENERGY CORP              EQUITY       91913Y100   15921     236,995 SH          SOLE        1    236,995         --        --
VALERO ENERGY CORP              EQUITY       91913Y100   10296     153,253 SH         DEFINED      4         --         --   153,253
VALERO ENERGY CORP              EQUITY       91913Y100   29008     431,798 SH          SOLE        2    431,798         --        --
VALHI INC                       EQUITY       918905100     139       5,858 SH          SOLE        1      5,858         --        --
VALHI INC                       EQUITY       918905100      31       1,290 SH         DEFINED      4         --         --     1,290





                                                                                          
VALLEY NATIONAL BANCORP         EQUITY       919794107     101       4,533 SH          SOLE        1      4,533         --        --
VALLEY NATIONAL BANCORP         EQUITY       919794107      76       3,438 SH         DEFINED      4         --         --     3,438
VALMONT INDUSTRIES              EQUITY       920253101    1560      18,380 SH          SOLE        1     18,380         --        --
VALMONT INDUSTRIES              EQUITY       920253101      25         380 SH         DEFINED      4         --         --       380
VALSPAR CORP                    EQUITY       920355104    6831     251,046 SH          SOLE        1    251,046         --        --
VALSPAR CORP                    EQUITY       920355104     185       6,636 SH         DEFINED      4         --         --     6,636
VALUE LINE INC                  EQUITY       920437100      58       1,168 SH          SOLE        1      1,168         --        --
VALUECLICK INC                  EQUITY       92046N102    7940     353,500 SH          SOLE        1    353,500         --        --
VALUECLICK INC                  EQUITY       92046N102     439      16,786 SH         DEFINED      4         --         --    16,786
VALUEVISION MEDIA INC-CL A      EQUITY       92047K107     198      26,683 SH          SOLE        1     26,683         --        --
VALUEVISION MEDIA INC-CL A      EQUITY       92047K107       2         150 SH         DEFINED      4         --         --       150
VAN KAMP PENN VAL MUNI INCOM    EQUITY       92112T108      68       4,904 SH         DEFINED      4         --         --     4,904
VAN KAMP TR/INV GRD MUNIS       EQUITY       920929106     906      57,041 SH         DEFINED      4         --         --    57,041
VAN KAMP TR/INV GRD NJ MUNIS    EQUITY       920933108      12         707 SH         DEFINED      4         --         --       707
VAN KAMPEN ADV MUNI INCOM II    EQUITY       92112K107     148      10,712 SH         DEFINED      4         --         --    10,712
VAN KAMPEN BOND FUND            EQUITY       920955101      28       1,665 SH         DEFINED      4         --         --     1,665
VAN KAMPEN CAL VALUE MUNI IN    EQUITY       92112B107     110       6,562 SH         DEFINED      4         --         --     6,562
VAN KAMPEN HIGH INCOME TR II    EQUITY       920913100      62      15,052 SH         DEFINED      4         --         --    15,052
VAN KAMPEN MUNI OPPOR TRUST     EQUITY       920935103      96       6,033 SH         DEFINED      4         --         --     6,033
VAN KAMPEN MUNICIPAL TRUST      EQUITY       920919107     146      10,042 SH         DEFINED      4         --         --    10,042
VAN KAMPEN OHIO QUAL MUNI TR    EQUITY       920923109      15         956 SH         DEFINED      4         --         --       956
VAN KAMPEN SEL SECTOR MUNI      EQUITY       92112M103      57       4,176 SH         DEFINED      4         --         --     4,176
VAN KAMPEN SENIOR INCOME TRS    EQUITY       920961109    1040     117,204 SH         DEFINED      4         --         --   117,204
VANDA PHARMACEUTICALS INC       EQUITY       921659108     323      23,215 SH          SOLE        1     23,215         --        --
VANGUARD CONSUMER STAPLE ETF    EQUITY       92204A207      16         235 SH         DEFINED      4         --         --       235
VANGUARD DIVIDEND APPREC ETF    EQUITY       921908844     270       4,765 SH         DEFINED      4         --         --     4,765
VANGUARD EMERGING MARKET ETF    EQUITY       922042858    1324      15,493 SH         DEFINED      4         --         --    15,493
VANGUARD ENERGY ETF             EQUITY       92204A306     100         916 SH         DEFINED      4         --         --       916
VANGUARD EUROPEAN ETF           EQUITY       922042874     158       2,021 SH         DEFINED      4         --         --     2,021
VANGUARD EXTENDED MARKET ETF    EQUITY       922908652     274       2,465 SH         DEFINED      4         --         --     2,465
VANGUARD FINANCIALS ETF         EQUITY       92204A405      34         515 SH         DEFINED      4         --         --       515
VANGUARD FTSE ALL-WORLD EX-U    EQUITY       922042775      74       1,315 SH         DEFINED      4         --         --     1,315
VANGUARD GROWTH ETF             EQUITY       922908736      91       1,410 SH         DEFINED      4         --         --     1,410
VANGUARD HEALTH CARE ETF        EQUITY       92204A504    5075      81,092 SH         DEFINED      4         --         --    81,092
VANGUARD INFO TECH ETF          EQUITY       92204A702       4          80 SH         DEFINED      4         --         --        80
VANGUARD LARGE-CAP ETF          EQUITY       922908637     101       1,482 SH         DEFINED      4         --         --     1,482
VANGUARD MATERIALS ETF          EQUITY       92204A801     311       3,768 SH         DEFINED      4         --         --     3,768
VANGUARD MID-CAP ETF            EQUITY       922908629      89       1,109 SH         DEFINED      4         --         --     1,109
VANGUARD MID-CAP GROWTH INDE    EQUITY       922908538      80       1,294 SH         DEFINED      4         --         --     1,294
VANGUARD PACIFIC ETF            EQUITY       922042866      18         262 SH         DEFINED      4         --         --       262
VANGUARD REIT ETF               EQUITY       922908553      58         812 SH         DEFINED      4         --         --       812
VANGUARD SMALL-CAP ETF          EQUITY       922908751     326       4,410 SH         DEFINED      4         --         --     4,410
VANGUARD SMALL-CAP GRWTH ETF    EQUITY       922908595      79       1,086 SH         DEFINED      4         --         --     1,086
VANGUARD SMALL-CAP VALUE ETF    EQUITY       922908611      78       1,100 SH         DEFINED      4         --         --     1,100
VANGUARD TELECOM SERVICE ETF    EQUITY       92204A884     431       5,191 SH         DEFINED      4         --         --     5,191
VANGUARD TOTAL STOCK MKT ETF    EQUITY       922908769     882       5,831 SH         DEFINED      4         --         --     5,831
VANGUARD UTILITIES ETF          EQUITY       92204A876     192       2,165 SH         DEFINED      4         --         --     2,165
VANGUARD VALUE ETF              EQUITY       922908744     299       4,123 SH         DEFINED      4         --         --     4,123
VARIAN INC                      EQUITY       922206107    6489     102,009 SH          SOLE        1    102,009         --        --
VARIAN INC                      EQUITY       922206107      86       1,447 SH         DEFINED      4         --         --     1,447
VARIAN MEDICAL SYSTEMS INC      EQUITY       92220P105    2324      55,475 SH          SOLE        1     55,475         --        --
VARIAN MEDICAL SYSTEMS INC      EQUITY       92220P105    1782      40,887 SH         DEFINED      4         --         --    40,887
VARIAN MEDICAL SYSTEMS INC      EQUITY       92220P105    5808     138,659 SH          SOLE        2    138,659         --        --
VARIAN SEMICONDUCTOR EQUIP      EQUITY       922207105     605      11,297 SH          SOLE        1     11,297         --        --





                                                                                          
VARIAN SEMICONDUCTOR EQUIP      EQUITY       922207105    1426      26,640 SH         DEFINED      4         --         --    26,640
VARIAN SEMICONDUCTOR EQUIP      EQUITY       922207105     388       7,250 SH          SOLE        2      7,250         --        --
VARSITY GROUP INC               EQUITY       922281100       2       1,365 SH         DEFINED      4         --         --     1,365
VASCO DATA SECURITY INTL        EQUITY       92230Y104     805      22,796 SH          SOLE        1     22,796         --        --
VASCO DATA SECURITY INTL        EQUITY       92230Y104     109       4,781 SH         DEFINED      4         --         --     4,781
VASCO DATA SECURITY INTL        EQUITY       92230Y104     657      18,600 SH          SOLE        2     18,600         --        --
VASCULAR SOLUTIONS INC          EQUITY       92231M109      22       2,350 SH         DEFINED      4         --         --     2,350
VCA ANTECH INC                  EQUITY       918194101    8696     208,284 SH          SOLE        1    208,284         --        --
VCA ANTECH INC                  EQUITY       918194101      43       1,047 SH         DEFINED      4         --         --     1,047
VECTOR GROUP LTD                EQUITY       92240M108     607      27,082 SH          SOLE        1     27,082         --        --
VECTOR GROUP LTD                EQUITY       92240M108    1101      60,015 SH         DEFINED      4         --         --    60,015
VECTREN CORPORATION             EQUITY       92240G101    5234     191,782 SH          SOLE        1    191,782         --        --
VECTREN CORPORATION             EQUITY       92240G101     345      11,514 SH         DEFINED      4         --         --    11,514
VEECO INSTRUMENTS INC           EQUITY       922417100     603      31,094 SH          SOLE        1     31,094         --        --
VEECO INSTRUMENTS INC           EQUITY       922417100       3         150 SH         DEFINED      4         --         --       150
VENOCO INC                      EQUITY       92275P307     212      12,386 SH          SOLE        1     12,386         --        --
VENTANA MEDICAL SYSTEMS         EQUITY       92276H106    8203      95,478 SH          SOLE        1     95,478         --        --
VENTAS INC                      EQUITY       92276F100   10441     252,186 SH          SOLE        1    252,186         --        --
VENTAS INC                      EQUITY       92276F100     498      12,033 SH         DEFINED      4         --         --    12,033
VEOLIA ENVIRONNEMENT-ADR        EQUITY       92334N103    9279     107,925 SH         DEFINED      4         --         --   107,925
VERASUN ENERGY CORP             EQUITY       92336G106     316      28,693 SH          SOLE        1     28,693         --        --
VERASUN ENERGY CORP             EQUITY       92336G106      34       1,731 SH         DEFINED      4         --         --     1,731
VERAZ NETWORKS INC              EQUITY       923359103      55       7,848 SH          SOLE        1      7,848         --        --
VERENIUM CORP                   EQUITY       92340P100     187      35,391 SH          SOLE        1     35,391         --        --
VERIFONE HOLDINGS INC           EQUITY       92342Y109    2242      50,583 SH          SOLE        1     50,583         --        --
VERIFONE HOLDINGS INC           EQUITY       92342Y109     474      12,566 SH         DEFINED      4         --         --    12,566
VERIFONE HOLDINGS INC           EQUITY       92342Y109    9207     207,700 SH          SOLE        2    207,700         --        --
VERIGY LTD                      EQUITY       Y93691106      70       2,693 SH         DEFINED      4         --         --     2,693
VERIGY LTD                      EQUITY       Y93691106     377      15,250 SH          SOLE        2     15,250         --        --
VERISIGN INC                    EQUITY       92343E102    4866     144,218 SH          SOLE        1    144,218         --        --
VERISIGN INC                    EQUITY       92343E102     338      10,022 SH         DEFINED      4         --         --    10,022
VERISIGN INC                    EQUITY       92343E102      10         307 SH          SOLE        2        307         --        --
VERIZON COMMUNICATIONS INC      EQUITY       92343V104   92791   2,095,584 SH          SOLE        1  2,095,584         --        --
VERIZON COMMUNICATIONS INC      EQUITY       92343V104   26911     659,099 SH         DEFINED      4         --         --   659,099
VERIZON COMMUNICATIONS INC      EQUITY       92343V104   19242     434,555 SH          SOLE        2    434,555         --        --
VERSANT CORP                    EQUITY       925284309      13         653 SH         DEFINED      4         --         --       653
VERSAR INC                      EQUITY       925297103      36       4,725 SH         DEFINED      4         --         --     4,725
VERTEX PHARMACEUTICALS INC      EQUITY       92532F100   12833     334,096 SH          SOLE        1    334,096         --        --
VERTEX PHARMACEUTICALS INC      EQUITY       92532F100      55       1,797 SH         DEFINED      4         --         --     1,797
VESTIN REALTY MORTGAGE II       EQUITY       92549X102     129      26,255 SH         DEFINED      4         --         --    26,255
VF CORP                         EQUITY       918204108    3337      41,330 SH          SOLE        1     41,330         --        --
VF CORP                         EQUITY       918204108     214       2,644 SH         DEFINED      4         --         --     2,644
VF CORP                         EQUITY       918204108    6154      76,212 SH          SOLE        2     76,212         --        --
VIACOM INC-CLASS A              EQUITY       92553P102      66       1,686 SH         DEFINED      4         --         --     1,686
VIACOM INC-CLASS B              EQUITY       92553P201   16401     420,870 SH          SOLE        1    420,870         --        --
VIACOM INC-CLASS B              EQUITY       92553P201    1484      35,348 SH         DEFINED      4         --         --    35,348
VIACOM INC-CLASS B              EQUITY       92553P201      34         866 SH          SOLE        2        866         --        --
VIAD CORP                       EQUITY       92552R406     757      21,015 SH          SOLE        1     21,015         --        --
VIAD CORP                       EQUITY       92552R406      69       1,911 SH         DEFINED      4         --         --     1,911
VIASAT INC                      EQUITY       92552V100     751      24,375 SH          SOLE        1     24,375         --        --
VIASAT INC                      EQUITY       92552V100      73       2,089 SH         DEFINED      4         --         --     2,089
VICAL INC                       EQUITY       925602104      19       3,909 SH         DEFINED      4         --         --     3,909
VICON INDUSTRIES INC            EQUITY       925811101       2         220 SH         DEFINED      4         --         --       220
VICOR CORP                      EQUITY       925815102     234      19,326 SH          SOLE        1     19,326         --        --





                                                                                          
VICOR CORP                      EQUITY       925815102      26       2,150 SH         DEFINED      4         --         --     2,150
VIEWPOINT FINANCIAL GROUP       EQUITY       926727108     187      10,101 SH          SOLE        1     10,101         --        --
VIEWPOINT FINANCIAL GROUP       EQUITY       926727108    1787      99,214 SH         DEFINED      4         --         --    99,214
VIGNETTE CORPORATION            EQUITY       926734401     499      24,840 SH          SOLE        1     24,840         --        --
VIGNETTE CORPORATION            EQUITY       926734401      82       4,104 SH         DEFINED      4         --         --     4,104
VILLAGE SUPER MARKET-CLASS A    EQUITY       927107409     139       2,665 SH          SOLE        1      2,665         --        --
VIMPELCOM-SP ADR                EQUITY       68370R109   47277   1,743,286 SH          SOLE        1  1,743,286         --        --
VIMPELCOM-SP ADR                EQUITY       68370R109     752       7,148 SH         DEFINED      4         --         --     7,148
VINEYARD NATL BANCORP CO        EQUITY       927426106       8         315 SH         DEFINED      4         --         --       315
VION PHARMACEUTICALS INC        EQUITY       927624106       4       4,695 SH         DEFINED      4         --         --     4,695
VIRGIN MEDIA INC                EQUITY       92769L101     670      27,588 SH          SOLE        1     27,588         --        --
VIRGINIA COMMERCE BANCORP       EQUITY       92778Q109     214      14,905 SH          SOLE        1     14,905         --        --
VIRGINIA FINANCIAL GROUP INC    EQUITY       927810101     168       8,854 SH         DEFINED      4         --         --     8,854
VIROPHARMA INC                  EQUITY       928241108     620      69,651 SH          SOLE        1     69,651         --        --
VIROPHARMA INC                  EQUITY       928241108     134      15,057 SH         DEFINED      4         --         --    15,057
VIRTUSA CORP                    EQUITY       92827P102    1621     108,100 SH          SOLE        3    108,100         --        --
VISHAY INTERTECHNOLOGY          FIXED INCOME 928298AF5       1           1 PRN        DEFINED      4         --         --        --
VISHAY INTERTECHNOLOGY INC      EQUITY       928298108    6056     464,789 SH          SOLE        1    464,789         --        --
VISHAY INTERTECHNOLOGY INC      EQUITY       928298108      47       3,625 SH         DEFINED      4         --         --     3,625
VISICU INC                      EQUITY       92831L204     101      13,355 SH          SOLE        1     13,355         --        --
VISICU INC                      EQUITY       92831L204      27       3,225 SH         DEFINED      4         --         --     3,225
VISTAPRINT LTD                  EQUITY       G93762204       5         145 SH         DEFINED      4         --         --       145
VISTEON CORP                    EQUITY       92839U107     582     113,038 SH          SOLE        1    113,038         --        --
VISTEON CORP                    EQUITY       92839U107     140      16,237 SH         DEFINED      4         --         --    16,237
VISUAL SCIENCES INC             EQUITY       92845H108     256      17,745 SH          SOLE        1     17,745         --        --
VITA FOOD PRODUCTS INC          EQUITY       928450105       7         800 SH         DEFINED      4         --         --       800
VITAL IMAGES INC                EQUITY       92846N104     290      14,846 SH          SOLE        1     14,846         --        --
VITAL IMAGES INC                EQUITY       92846N104     177       9,057 SH         DEFINED      4         --         --     9,057
VITAL SIGNS INC                 EQUITY       928469105     543      10,423 SH          SOLE        1     10,423         --        --
VITAL SIGNS INC                 EQUITY       928469105      39         700 SH         DEFINED      4         --         --       700
VIVO PARTICIPACOES SA-ADR       EQUITY       92855S101      76      17,118 SH         DEFINED      4         --         --    17,118
VIVUS INC                       EQUITY       928551100     252      50,758 SH          SOLE        1     50,758         --        --
VIVUS INC                       EQUITY       928551100      73      14,200 SH         DEFINED      4         --         --    14,200
VMWARE INC-CLASS A              EQUITY       928563402      77         900 SH          SOLE        2        900         --        --
VOCUS INC                       EQUITY       92858J108    1338      45,772 SH          SOLE        1     45,772         --        --
VOCUS INC                       EQUITY       92858J108   10181     348,200 SH          SOLE        3    234,100         --   114,100
VODAFONE GROUP PLC-SP ADR       EQUITY       92857W209    7021     193,423 SH         DEFINED      4         --         --   193,423
VOLCANO CORP                    EQUITY       928645100     339      20,610 SH          SOLE        1     20,610         --        --
VOLCANO CORP                    EQUITY       928645100      40       1,900 SH         DEFINED      4         --         --     1,900
VOLCOM INC                      EQUITY       92864N101    1871      44,000 SH          SOLE        3     33,300         --    10,700
VOLCOM INC                      EQUITY       92864N101    1582      37,211 SH          SOLE        1     37,211         --        --
VOLCOM INC                      EQUITY       92864N101      38         900 SH         DEFINED      4         --         --       900
VOLT INFO SCIENCES INC          EQUITY       928703107     248      14,057 SH          SOLE        1     14,057         --        --
VOLTERRA SEMICONDUCTOR CORP     EQUITY       928708106     227      18,509 SH          SOLE        1     18,509         --        --
VOLVO AB-SPONSORED ADR          EQUITY       928856400    2425      24,055 SH         DEFINED      4         --         --    24,055
VONAGE HOLDINGS CORP            EQUITY       92886T201      58      56,149 SH          SOLE        1     56,149         --        --
VONAGE HOLDINGS CORP            EQUITY       92886T201       2         510 SH         DEFINED      4         --         --       510
VORNADO REALTY TRUST            EQUITY       929042109   15274     139,680 SH          SOLE        1    139,680         --        --
VORNADO REALTY TRUST            EQUITY       929042208       8          50 SH         DEFINED      4         --         --        50
VORNADO REALTY TRUST            EQUITY       929042109     760       6,308 SH         DEFINED      4         --         --     6,308
VORNADO REALTY TRUST            EQUITY       929042109      18         169 SH          SOLE        2        169         --        --
VOTORANTIM CELULOSE-SPON ADR    EQUITY       92906P106     119       4,170 SH         DEFINED      4         --         --     4,170
VOXWARE INC                     EQUITY       92906L501       3         456 SH         DEFINED      4         --         --       456
VULCAN MATERIALS CO             EQUITY       929160109    3826      42,914 SH          SOLE        1     42,914         --        --





                                                                                          
VULCAN MATERIALS CO             EQUITY       929160109     524       5,885 SH         DEFINED      4         --         --     5,885
VULCAN MATERIALS CO             EQUITY       929160109      11         120 SH          SOLE        2        120         --        --
W HOLDING COMPANY INC           EQUITY       929251106     222      99,255 SH          SOLE        1     99,255         --        --
W HOLDING COMPANY INC           EQUITY       929251106      25      11,265 SH         DEFINED      4         --         --    11,265
W&T OFFSHORE INC                EQUITY       92922P106      30       1,222 SH          SOLE        1      1,222         --        --
W&T OFFSHORE INC                EQUITY       92922P106      94       3,853 SH         DEFINED      4         --         --     3,853
W.P. CAREY & CO. LLC            EQUITY       92930Y107    2605      73,998 SH         DEFINED      4         --         --    73,998
W.P. STEWART & CO LTD           EQUITY       G84922106       2         200 SH         DEFINED      4         --         --       200
WA/CLAY US INFL-LKD OPP&INC     EQUITY       95766R104     146      12,125 SH         DEFINED      4         --         --    12,125
WA/CLAY US INFL-LKD SEC&INC     EQUITY       95766Q106      84       7,187 SH         DEFINED      4         --         --     7,187
WABASH NATIONAL CORP            EQUITY       929566107     343      30,362 SH          SOLE        1     30,362         --        --
WABCO HOLDINGS INC              EQUITY       92927K102      60       1,279 SH          SOLE        1      1,279         --        --
WABTEC CORP                     EQUITY       929740108    1589      42,414 SH          SOLE        1     42,414         --        --
WABTEC CORP                     EQUITY       929740108      74       1,935 SH         DEFINED      4         --         --     1,935
WABTEC CORP                     EQUITY       929740108     571      15,250 SH          SOLE        2     15,250         --        --
WACHOVIA CORP                   EQUITY       929903102   65014   1,296,386 SH          SOLE        1  1,296,386         --        --
WACHOVIA CORP                   EQUITY       929903102   12598     223,536 SH         DEFINED      4         --         --   223,536
WACHOVIA CORP                   EQUITY       929903102    7487     149,299 SH          SOLE        2    149,299         --        --
WADDELL & REED FINANCIAL-A      EQUITY       930059100    7566     279,902 SH          SOLE        1    279,902         --        --
WADDELL & REED FINANCIAL-A      EQUITY       930059100     371      14,988 SH         DEFINED      4         --         --    14,988
WALGREEN CO                     EQUITY       931422109   41768     884,164 SH          SOLE        1    884,164         --        --
WALGREEN CO                     EQUITY       931422109   11408     253,233 SH         DEFINED      4         --         --   253,233
WALGREEN CO                     EQUITY       931422109     177       3,753 SH          SOLE        2      3,753         --        --
WAL-MART STORES INC             EQUITY       931142103   71622   1,640,402 SH          SOLE        1  1,640,402         --        --
WAL-MART STORES INC             EQUITY       931142103   14432     296,903 SH         DEFINED      4         --         --   296,903
WAL-MART STORES INC             EQUITY       931142103    4571     104,726 SH          SOLE        2    104,726         --        --
WALT DISNEY COMPANY             FIXED INCOME 254687AU0     670     550,000 PRN         SOLE        1    550,000         --        --
WALT DISNEY COMPANY             FIXED INCOME 254687AU0      51          41 PRN        DEFINED      4         --         --        --
WALTER INDUSTRIES INC           EQUITY       93317Q105    2011      74,762 SH          SOLE        1     74,762         --        --
WALTER INDUSTRIES INC           EQUITY       93317Q105      13         455 SH         DEFINED      4         --         --       455
WARNACO GROUP INC/THE           EQUITY       934390402    5959     152,521 SH          SOLE        1    152,521         --        --
WARNACO GROUP INC/THE           EQUITY       934390402      98       2,512 SH         DEFINED      4         --         --     2,512
WARNACO GROUP INC/THE           EQUITY       934390402     664      17,000 SH          SOLE        2     17,000         --        --
WARREN RESOURCES INC            EQUITY       93564A100     594      47,361 SH          SOLE        1     47,361         --        --
WARREN RESOURCES INC            EQUITY       93564A100       9         705 SH         DEFINED      4         --         --       705
WASHINGTON FEDERAL INC          EQUITY       938824109    5702     217,126 SH          SOLE        1    217,126         --        --
WASHINGTON FEDERAL INC          EQUITY       938824109      12         500 SH         DEFINED      4         --         --       500
WASHINGTON GROUP INTL INC       EQUITY       938862208    2232      25,421 SH          SOLE        1     25,421         --        --
WASHINGTON GROUP INTL INC       EQUITY       938862208      12         140 SH         DEFINED      4         --         --       140
WASHINGTON MUTUAL INC           EQUITY       939322103   23663     670,149 SH          SOLE        1    670,149         --        --
WASHINGTON MUTUAL INC           EQUITY       939322103    4739     110,536 SH         DEFINED      4         --         --   110,536
WASHINGTON MUTUAL INC           EQUITY       939322103      39       1,104 SH          SOLE        2      1,104         --        --
WASHINGTON POST  -CL B          EQUITY       939640108   11755      14,643 SH          SOLE        1     14,643         --        --
WASHINGTON POST  -CL B          EQUITY       939640108     585         764 SH         DEFINED      4         --         --       764
WASHINGTON REAL ESTATE INV      EQUITY       939653101    1302      39,247 SH          SOLE        1     39,247         --        --
WASHINGTON REAL ESTATE INV      EQUITY       939653101     849      25,576 SH         DEFINED      4         --         --    25,576
WASHINGTON SAVINGS BK-FSB       EQUITY       939696100      29       3,364 SH         DEFINED      4         --         --     3,364
WASHINGTON TRUST BANCORP        EQUITY       940610108     268       9,932 SH          SOLE        1      9,932         --        --
WASHINGTON TRUST BANCORP        EQUITY       940610108    5179     199,131 SH         DEFINED      4         --         --   199,131
WASTE CONNECTIONS INC           EQUITY       941053100    2172      68,401 SH          SOLE        1     68,401         --        --
WASTE CONNECTIONS INC           EQUITY       941053100     158       4,982 SH         DEFINED      4         --         --     4,982
WASTE INDUSTRIES USA INC        EQUITY       941057101     126       4,401 SH          SOLE        1      4,401         --        --
WASTE MANAGEMENT INC            EQUITY       94106L109   60869   1,611,539 SH          SOLE        1  1,611,539         --        --
WASTE MANAGEMENT INC            EQUITY       94106L109     988      26,166 SH         DEFINED      4         --         --    26,166





                                                                                          
WASTE MANAGEMENT INC            EQUITY       94106L109    3670      97,255 SH          SOLE        2     97,255         --        --
WASTE SERVICES INC              EQUITY       941075202     164      16,920 SH          SOLE        1     16,920         --        --
WASTE SERVICES INC              EQUITY       941075202       1         115 SH         DEFINED      4         --         --       115
WATERS CORP                     EQUITY       941848103    2976      44,474 SH          SOLE        1     44,474         --        --
WATERS CORP                     EQUITY       941848103      60         995 SH         DEFINED      4         --         --       995
WATERS CORP                     EQUITY       941848103       8         126 SH          SOLE        2        126         --        --
WATSCO INC                      EQUITY       942622200    1070      23,037 SH          SOLE        1     23,037         --        --
WATSCO INC                      EQUITY       942622200     135       2,417 SH         DEFINED      4         --         --     2,417
WATSON PHARMACEUTICALS          FIXED INCOME 942683AC7      38          39 PRN        DEFINED      4         --         --        --
WATSON PHARMACEUTICALS INC      EQUITY       942683103    7482     230,932 SH          SOLE        1    230,932         --        --
WATSON PHARMACEUTICALS INC      EQUITY       942683103     153       4,958 SH         DEFINED      4         --         --     4,958
WATSON PHARMACEUTICALS INC      EQUITY       942683103       4         129 SH          SOLE        2        129         --        --
WATSON WYATT WORLDWIDE INC-A    EQUITY       942712100    1913      42,565 SH          SOLE        1     42,565         --        --
WATSON WYATT WORLDWIDE INC-A    EQUITY       942712100     514      10,334 SH         DEFINED      4         --         --    10,334
WATSON WYATT WORLDWIDE INC-A    EQUITY       942712100     571      12,700 SH          SOLE        2     12,700         --        --
WATTS WATER TECHNOLOGIES-A      EQUITY       942749102     961      31,312 SH          SOLE        1     31,312         --        --
WATTS WATER TECHNOLOGIES-A      EQUITY       942749102      46       1,500 SH         DEFINED      4         --         --     1,500
WAUSAU PAPER CORP               EQUITY       943315101     504      45,166 SH          SOLE        1     45,166         --        --
WAUSAU PAPER CORP               EQUITY       943315101      13         900 SH         DEFINED      4         --         --       900
WAUWATOSA HOLDINGS INC          EQUITY       94348P108     138       8,516 SH          SOLE        1      8,516         --        --
WAVE SYSTEMS CORP-CLASS A       EQUITY       943526301      58      31,292 SH         DEFINED      4         --         --    31,292
WAYNE SAVINGS BANCSHARES INC    EQUITY       94624Q101      14       1,057 SH         DEFINED      4         --         --     1,057
WCI COMMUNITIES INC             EQUITY       92923C104     161      26,858 SH          SOLE        1     26,858         --        --
WCI COMMUNITIES INC             EQUITY       92923C104       9       1,585 SH         DEFINED      4         --         --     1,585
WD-40 CO                        EQUITY       929236107     598      17,509 SH          SOLE        1     17,509         --        --
WD-40 CO                        EQUITY       929236107     969      28,394 SH         DEFINED      4         --         --    28,394
WEATHERFORD INTL LTD            EQUITY       G95089101     961      17,870 SH         DEFINED      4         --         --    17,870
WEATHERFORD INTL LTD            EQUITY       G95089101      29         425 SH          SOLE        2        425         --        --
WEB.COM INC                     EQUITY       94732Q100       5       1,046 SH         DEFINED      4         --         --     1,046
WEBMD HEALTH CORP-CLASS A       EQUITY       94770V102       8         161 SH          SOLE        1        161         --        --
WEBMD HEALTH CORP-CLASS A       EQUITY       94770V102      10         200 SH          SOLE        2        200         --        --
WEBSENSE INC                    EQUITY       947684106     885      44,846 SH          SOLE        1     44,846         --        --
WEBSITE PROS INC                EQUITY       94769V105    1430     136,700 SH          SOLE        3    136,700         --        --
WEBSTER FINANCIAL CORP          EQUITY       947890109    5804     137,796 SH          SOLE        1    137,796         --        --
WEBSTER FINANCIAL CORP          EQUITY       947890109      93       2,209 SH         DEFINED      4         --         --     2,209
WEIGHT WATCHERS INTL INC        EQUITY       948626106      56         967 SH          SOLE        1        967         --        --
WEIGHT WATCHERS INTL INC        EQUITY       948626106     253       4,992 SH         DEFINED      4         --         --     4,992
WEINGARTEN REALTY INVESTORS     EQUITY       948741103    7941     191,534 SH          SOLE        1    191,534         --        --
WEINGARTEN REALTY INVESTORS     EQUITY       948741103     274       5,603 SH         DEFINED      4         --         --     5,603
WEIS MARKETS INC                EQUITY       948849104     461      10,796 SH          SOLE        1     10,796         --        --
WEIS MARKETS INC                EQUITY       948849104     758      17,755 SH         DEFINED      4         --         --    17,755
WELLCARE HEALTH PLANS INC       EQUITY       94946T106   10986     104,200 SH          SOLE        1    104,200         --        --
WELLCARE HEALTH PLANS INC       EQUITY       94946T106     266       3,206 SH         DEFINED      4         --         --     3,206
WELLCARE HEALTH PLANS INC       EQUITY       94946T106     411       3,900 SH          SOLE        2      3,900         --        --
WELLMAN INC                     EQUITY       949702104       8       2,650 SH         DEFINED      4         --         --     2,650
WELLPOINT INC                   EQUITY       94973V107  105148   1,332,337 SH          SOLE        1  1,332,337         --        --
WELLPOINT INC                   EQUITY       94973V107    3598      45,613 SH         DEFINED      4         --         --    45,613
WELLPOINT INC                   EQUITY       94973V107    2104      26,661 SH          SOLE        2     26,661         --        --
WELLS FARGO & COMPANY           EQUITY       949746101   79920   2,243,680 SH          SOLE        1  2,243,680         --        --
WELLS FARGO & COMPANY           EQUITY       949746101   10427     289,080 SH         DEFINED      4         --         --   289,080
WELLS FARGO & COMPANY           EQUITY       949746101    5112     143,514 SH          SOLE        2    143,514         --        --
WELLS FARGO COMPANY             FIXED INCOME 949746FA4      10          10 PRN        DEFINED      4         --         --        --
WENDY'S INTERNATIONAL INC       EQUITY       950590109    1382      39,592 SH          SOLE        1     39,592         --        --
WENDY'S INTERNATIONAL INC       EQUITY       950590109    1529      38,469 SH         DEFINED      4         --         --    38,469





                                                                                          
WENDY'S INTERNATIONAL INC       EQUITY       950590109       4         110 SH          SOLE        2        110         --        --
WERNER ENTERPRISES INC          EQUITY       950755108    2642     154,029 SH          SOLE        1    154,029         --        --
WERNER ENTERPRISES INC          EQUITY       950755108      84       4,907 SH         DEFINED      4         --         --     4,907
WESBANCO INC                    EQUITY       950810101    2134      85,422 SH          SOLE        1     85,422         --        --
WESBANCO INC                    EQUITY       950810101      46       1,475 SH         DEFINED      4         --         --     1,475
WESCO FINANCIAL CORP            EQUITY       950817106      21          53 SH          SOLE        1         53         --        --
WESCO INTERNATIONAL INC         EQUITY       95082P105      68       1,590 SH          SOLE        1      1,590         --        --
WESCO INTERNATIONAL INC         EQUITY       95082P105       2          56 SH         DEFINED      4         --         --        56
WESCO INTERNATIONAL INC         EQUITY       95082P105    2091      48,700 SH          SOLE        2     48,700         --        --
WEST BANCORPORATION             EQUITY       95123P106       2         110 SH         DEFINED      4         --         --       110
WEST COAST BANCORP/OREGON       EQUITY       952145100     388      13,650 SH          SOLE        1     13,650         --        --
WEST MARINE INC                 EQUITY       954235107     148      12,840 SH          SOLE        1     12,840         --        --
WEST MARINE INC                 EQUITY       954235107       1         100 SH         DEFINED      4         --         --       100
WEST PHARMACEUTICAL SERVICES    EQUITY       955306105    1197      28,736 SH          SOLE        1     28,736         --        --
WEST PHARMACEUTICAL SERVICES    EQUITY       955306105     194       3,735 SH         DEFINED      4         --         --     3,735
WESTAMERICA BANCORPORATION      EQUITY       957090103    4960      99,586 SH          SOLE        1     99,586         --        --
WESTAR ENERGY INC               EQUITY       95709T100    7447     303,202 SH          SOLE        1    303,202         --        --
WESTAR ENERGY INC               EQUITY       95709T100     278       9,952 SH         DEFINED      4         --         --     9,952
WESTELL TECHNOLOGIES INC-A      EQUITY       957541105       5       2,140 SH         DEFINED      4         --         --     2,140
WESTERN ALLIANCE BANCORP        EQUITY       957638109     340      14,417 SH          SOLE        1     14,417         --        --
WESTERN ASSET 2008 WORLDWIDE    EQUITY       95766W103     169      16,072 SH         DEFINED      4         --         --    16,072
WESTERN ASSET EMERGING MARKE    EQUITY       95766A101     114       6,235 SH         DEFINED      4         --         --     6,235
WESTERN ASSET EMG MKTS INC 2    EQUITY       95766E103     881      67,583 SH         DEFINED      4         --         --    67,583
WESTERN ASSET GLOBAL HIGH IN    EQUITY       95766B109      70       4,893 SH         DEFINED      4         --         --     4,893
WESTERN ASSET HIGH INC FD II    EQUITY       95766J102     205      17,380 SH         DEFINED      4         --         --    17,380
WESTERN ASSET HIGH INCOME FU    EQUITY       95766H106      30       3,200 SH         DEFINED      4         --         --     3,200
WESTERN ASSET HIGH INCOME OP    EQUITY       95766K109     184      28,413 SH         DEFINED      4         --         --    28,413
WESTERN ASSET INCOME FUND       EQUITY       95766T100       7         505 SH         DEFINED      4         --         --       505
WESTERN ASSET INTERMEDIATE      EQUITY       958435109      74       8,100 SH         DEFINED      4         --         --     8,100
WESTERN ASSET MANAGED HIGH Y    EQUITY       95766L107      63       9,067 SH         DEFINED      4         --         --     9,067
WESTERN ASSET MANAGED MUNICI    EQUITY       95766M105     111       9,854 SH         DEFINED      4         --         --     9,854
WESTERN ASSET PREMIER BOND      EQUITY       957664105      16       1,062 SH         DEFINED      4         --         --     1,062
WESTERN ASSET VARIABLE RATE     EQUITY       957667108      49       2,880 SH         DEFINED      4         --         --     2,880
WESTERN ASSET WORLDWIDE INCO    EQUITY       957668106     139       9,789 SH         DEFINED      4         --         --     9,789
WESTERN ASSET ZENIX INCOME F    EQUITY       957669104      59      22,175 SH         DEFINED      4         --         --    22,175
WESTERN DIGITAL CORP            EQUITY       958102105   13845     546,816 SH          SOLE        1    546,816         --        --
WESTERN DIGITAL CORP            EQUITY       958102105     442      24,063 SH         DEFINED      4         --         --    24,063
WESTERN REFINING INC            EQUITY       959319104     272       7,018 SH         DEFINED      4         --         --     7,018
WESTERN UNION CO                EQUITY       959802109    6923     330,158 SH          SOLE        1    330,158         --        --
WESTERN UNION CO                EQUITY       959802109    1275      58,927 SH         DEFINED      4         --         --    58,927
WESTERN UNION CO                EQUITY       959802109      20         974 SH          SOLE        2        974         --        --
WESTFIELD FINANCIAL INC         EQUITY       96008P104      88       9,110 SH          SOLE        1      9,110         --        --
WESTMORELAND COAL CO            EQUITY       960878106     128       5,200 SH         DEFINED      4         --         --     5,200
WESTPAC BANKING CORP-SP ADR     EQUITY       961214301      60         473 SH         DEFINED      4         --         --       473
WESTWOOD HOLDINGS GROUP INC     EQUITY       961765104       4         151 SH         DEFINED      4         --         --       151
WESTWOOD ONE INC                EQUITY       961815107     170      61,735 SH          SOLE        1     61,735         --        --
WESTWOOD ONE INC                EQUITY       961815107       8       2,838 SH         DEFINED      4         --         --     2,838
WET SEAL INC/THE-CLASS A        EQUITY       961840105     284      73,348 SH          SOLE        1     73,348         --        --
WET SEAL INC/THE-CLASS A        EQUITY       961840105       2         400 SH         DEFINED      4         --         --       400
WEYCO GROUP INC                 EQUITY       962149100     203       6,447 SH          SOLE        1      6,447         --        --
WEYCO GROUP INC                 EQUITY       962149100     802      25,536 SH         DEFINED      4         --         --    25,536
WEYERHAEUSER CO                 EQUITY       962166104    6712      92,832 SH          SOLE        1     92,832         --        --
WEYERHAEUSER CO                 EQUITY       962166104     403       4,904 SH         DEFINED      4         --         --     4,904
WEYERHAEUSER CO                 EQUITY       962166104      20         272 SH          SOLE        2        272         --        --





                                                                                          
WGL HOLDINGS INC                EQUITY       92924F106    5578     164,597 SH          SOLE        1    164,597         --        --
WGL HOLDINGS INC                EQUITY       92924F106     769      21,980 SH         DEFINED      4         --         --    21,980
W-H ENERGY SERVICES INC         EQUITY       92925E108    2239      30,353 SH          SOLE        1     30,353         --        --
W-H ENERGY SERVICES INC         EQUITY       92925E108     671       9,100 SH          SOLE        2      9,100         --        --
WHEELING-PITTSBURGH CORP        EQUITY       963142302     504      26,094 SH          SOLE        1     26,094         --        --
WHEELING-PITTSBURGH CORP        EQUITY       963142302      14         700 SH         DEFINED      4         --         --       700
WHIRLPOOL CORP                  EQUITY       963320106    3914      43,796 SH          SOLE        1     43,796         --        --
WHIRLPOOL CORP                  EQUITY       963320106     806       9,047 SH         DEFINED      4         --         --     9,047
WHIRLPOOL CORP                  EQUITY       963320106       9          98 SH          SOLE        2         98         --        --
WHITE ELECTRONIC DESIGNS        EQUITY       963801105       4         650 SH         DEFINED      4         --         --       650
WHITE MOUNTAINS INSURANCE GP    EQUITY       G9618E107      52          92 SH         DEFINED      4         --         --        92
WHITING PETROLEUM CORP          EQUITY       966387102    1628      36,630 SH          SOLE        1     36,630         --        --
WHITNEY HOLDING CORP            EQUITY       966612103     280      10,630 SH          SOLE        1     10,630         --        --
WHITNEY HOLDING CORP            EQUITY       966612103     262       8,266 SH         DEFINED      4         --         --     8,266
WHOLE FOODS MARKET INC          EQUITY       966837106    3387      69,189 SH          SOLE        1     69,189         --        --
WHOLE FOODS MARKET INC          EQUITY       966837106    1395      28,493 SH         DEFINED      4         --         --    28,493
WHOLE FOODS MARKET INC          EQUITY       966837106       9         175 SH          SOLE        2        175         --        --
WIDEPOINT CORP                  EQUITY       967590100      12      15,000 SH         DEFINED      4         --         --    15,000
WILBER CORP                     EQUITY       967797101      68       7,195 SH         DEFINED      4         --         --     7,195
WILEY (JOHN) & SONS  -CL A      EQUITY       968223206    4992     111,113 SH          SOLE        1    111,113         --        --
WILEY (JOHN) & SONS  -CL A      EQUITY       968223206    2537      64,482 SH         DEFINED      4         --         --    64,482
WILLAMETTE VALLEY VINEYARDS     EQUITY       969136100       5         700 SH         DEFINED      4         --         --       700
WILLBROS GROUP INC              EQUITY       969199108     776      22,833 SH          SOLE        1     22,833         --        --
WILLBROS GROUP INC              EQUITY       969199108      12         346 SH         DEFINED      4         --         --       346
WILLIAMS COAL SEAM GAS TR       EQUITY       969450105       2         200 SH         DEFINED      4         --         --       200
WILLIAMS COS INC                EQUITY       969457100   45967   1,350,874 SH          SOLE        1  1,350,874         --        --
WILLIAMS COS INC                EQUITY       969457100    2125      71,863 SH         DEFINED      4         --         --    71,863
WILLIAMS COS INC                EQUITY       969457100      26         757 SH          SOLE        2        757         --        --
WILLIAMS SCOTSMAN INTL INC      EQUITY       96950G102     729      26,323 SH          SOLE        1     26,323         --        --
WILLIAMS-SONOMA INC             EQUITY       969904101    7348     225,249 SH          SOLE        1    225,249         --        --
WILLIAMS-SONOMA INC             EQUITY       969904101      31         904 SH         DEFINED      4         --         --       904
WILLIS GROUP HOLDINGS LTD       EQUITY       G96655108      41       1,004 SH         DEFINED      4         --         --     1,004
WILLOW FINANCIAL BANCORP INC    EQUITY       97111W101      28       2,310 SH         DEFINED      4         --         --     2,310
WILMINGTON TRUST CORP           EQUITY       971807102    6604     169,756 SH          SOLE        1    169,756         --        --
WILMINGTON TRUST CORP           EQUITY       971807102    1350      32,431 SH         DEFINED      4         --         --    32,431
WILSHIRE BANCORP INC            EQUITY       97186T108     193      17,552 SH          SOLE        1     17,552         --        --
WIMM-BILL-DANN FOODS-ADR        EQUITY       97263M109    1968      18,000 SH          SOLE        1     18,000         --        --
WIMM-BILL-DANN FOODS-ADR        EQUITY       97263M109       4          48 SH         DEFINED      4         --         --        48
WIND RIVER SYSTEMS INC          EQUITY       973149107    2990     254,060 SH          SOLE        1    254,060         --        --
WIND RIVER SYSTEMS INC          EQUITY       973149107      27       2,315 SH         DEFINED      4         --         --     2,315
WINDSTREAM CORP                 EQUITY       97381W104   37694   2,669,519 SH          SOLE        1  2,669,519         --        --
WINDSTREAM CORP                 EQUITY       97381W104    1733     117,078 SH         DEFINED      4         --         --   117,078
WINDSTREAM CORP                 EQUITY       97381W104       9         602 SH          SOLE        2        602         --        --
WINN-DIXIE STORES INC           EQUITY       974280307     559      29,838 SH          SOLE        1     29,838         --        --
WINN-DIXIE STORES INC           EQUITY       974280307      12         648 SH         DEFINED      4         --         --       648
WINNEBAGO INDUSTRIES            EQUITY       974637100     750      31,409 SH          SOLE        1     31,409         --        --
WINTHROP REALTY TRUST           EQUITY       976391102    1953     290,204 SH          SOLE        1    290,204         --        --
WINTHROP REALTY TRUST           EQUITY       976391102       5         750 SH         DEFINED      4         --         --       750
WINTRUST FINANCIAL CORP         EQUITY       97650W108    1028      24,074 SH          SOLE        1     24,074         --        --
WINTRUST FINANCIAL CORP         EQUITY       97650W108     128       2,772 SH         DEFINED      4         --         --     2,772
WIPRO LTD-ADR                   EQUITY       97651M109     255      15,378 SH         DEFINED      4         --         --    15,378
WIRELESS RONIN TECHNOLOGIES     EQUITY       97652A203    1435     212,600 SH          SOLE        3    212,600         --        --
WIRELESS RONIN TECHNOLOGIES     EQUITY       97652A203      77       8,500 SH         DEFINED      4         --         --     8,500
WIRELESS TELECOM GROUP INC      EQUITY       976524108       1         425 SH         DEFINED      4         --         --       425





                                                                                          
WISCONSIN ENERGY CORP           EQUITY       976657106   13172     292,512 SH          SOLE        1    292,512         --        --
WISCONSIN ENERGY CORP           EQUITY       976657106    1005      22,311 SH         DEFINED      4         --         --    22,311
WISDOMTREE DEFA FUND            EQUITY       97717W703     192       2,694 SH         DEFINED      4         --         --     2,694
WISDOMTREE DEFA H/Y EQ FUND     EQUITY       97717W802     149       2,175 SH         DEFINED      4         --         --     2,175
WISDOMTREE DVD TOP 100 FUND     EQUITY       97717W406    3721      59,184 SH         DEFINED      4         --         --    59,184
WISDOMTREE EUR HY EQUITY FD     EQUITY       97717W877     139       2,050 SH         DEFINED      4         --         --     2,050
WISDOMTREE EUR S/C DIVIDEND     EQUITY       97717W869      11         160 SH         DEFINED      4         --         --       160
WISDOMTREE EUROPE DIVIDEND F    EQUITY       97717W885       7         100 SH         DEFINED      4         --         --       100
WISDOMTREE HIGH-YIELDING EQ     EQUITY       97717W208      18         301 SH         DEFINED      4         --         --       301
WISDOMTREE INTL CON N-CY SEC    EQUITY       97717W729    8996     299,558 SH         DEFINED      4         --         --   299,558
WISDOMTREE INTL DVD TOP 100     EQUITY       97717W786    8311     116,260 SH         DEFINED      4         --         --   116,260
WISDOMTREE INTL FIN SECTOR F    EQUITY       97717W695     883      29,210 SH         DEFINED      4         --         --    29,210
WISDOMTREE INTL H/C SECTOR F    EQUITY       97717W687    8601     304,783 SH         DEFINED      4         --         --   304,783
WISDOMTREE INTL L/C DVD FUND    EQUITY       97717W794      90       1,282 SH         DEFINED      4         --         --     1,282
WISDOMTREE INTL M/C DVD FUND    EQUITY       97717W778      24         326 SH         DEFINED      4         --         --       326
WISDOMTREE INTL S/C DVD FUND    EQUITY       97717W760     559       7,687 SH         DEFINED      4         --         --     7,687
WISDOMTREE INTL UTL SECTOR F    EQUITY       97717W653      25         750 SH         DEFINED      4         --         --       750
WISDOMTREE JAP S/C DVD FUND     EQUITY       97717W836       5          95 SH         DEFINED      4         --         --        95
WISDOMTREE JAPAN DIVIDEND FD    EQUITY       97717W851      19         350 SH         DEFINED      4         --         --       350
WISDOMTREE JAPAN H/Y EQTY FD    EQUITY       97717W844      14         243 SH         DEFINED      4         --         --       243
WISDOMTREE L/C DIVIDEND FUND    EQUITY       97717W307     238       3,878 SH         DEFINED      4         --         --     3,878
WISDOMTREE MIDCAP DIVIDEND F    EQUITY       97717W505     108       1,910 SH         DEFINED      4         --         --     1,910
WISDOMTREE PAC EX-JAP DVD FD    EQUITY       97717W828      88       1,213 SH         DEFINED      4         --         --     1,213
WISDOMTREE PAC EX-JAP HY EQ     EQUITY       97717W810     130       1,690 SH         DEFINED      4         --         --     1,690
WISDOMTREE SMALLCAP DVD FUND    EQUITY       97717W604     202       3,461 SH         DEFINED      4         --         --     3,461
WISDOMTREE TOTAL DIVIDEND FD    EQUITY       97717W109      22         361 SH         DEFINED      4         --         --       361
WJ COMMUNICATIONS INC           EQUITY       929284107      26      20,000 SH         DEFINED      4         --         --    20,000
WMS INDUSTRIES INC              EQUITY       929297109    1343      40,566 SH          SOLE        1     40,566         --        --
WMS INDUSTRIES INC              EQUITY       929297109      30         726 SH         DEFINED      4         --         --       726
WOLSELEY PLC-ADR                EQUITY       97786P100     100       3,853 SH         DEFINED      4         --         --     3,853
WOLVERINE WORLD WIDE INC        EQUITY       978097103    1484      54,150 SH          SOLE        1     54,150         --        --
WOLVERINE WORLD WIDE INC        EQUITY       978097103       3         119 SH         DEFINED      4         --         --       119
WOODWARD GOVERNOR CO            EQUITY       980745103    1863      29,848 SH          SOLE        1     29,848         --        --
WOODWARD GOVERNOR CO            EQUITY       980745103      38         719 SH         DEFINED      4         --         --       719
WOODWARD GOVERNOR CO            EQUITY       980745103     406       6,500 SH          SOLE        2      6,500         --        --
WORLD ACCEPTANCE CORP           EQUITY       981419104     577      17,437 SH          SOLE        1     17,437         --        --
WORLD ACCEPTANCE CORP           EQUITY       981419104      43       1,000 SH         DEFINED      4         --         --     1,000
WORLD FUEL SERVICES CORP        EQUITY       981475106    1161      28,454 SH          SOLE        1     28,454         --        --
WORLD FUEL SERVICES CORP        EQUITY       981475106     161       3,950 SH         DEFINED      4         --         --     3,950
WORLD FUEL SERVICES CORP        EQUITY       981475106   12467     305,500 SH          SOLE        2    305,500         --        --
WORLD WRESTLING ENTMNT INC-A    EQUITY       98156Q108     297      19,716 SH          SOLE        1     19,716         --        --
WORLD WRESTLING ENTMNT INC-A    EQUITY       98156Q108      15       1,002 SH         DEFINED      4         --         --     1,002
WORLDGATE COMMUNICATIONS INC    EQUITY       98156L307       4       6,115 SH         DEFINED      4         --         --     6,115
WORTHINGTON INDUSTRIES          EQUITY       981811102    5428     230,373 SH          SOLE        1    230,373         --        --
WORTHINGTON INDUSTRIES          EQUITY       981811102     272      12,005 SH         DEFINED      4         --         --    12,005
WPP GROUP PLC-SPONSORED ADR     EQUITY       929309409     203       2,679 SH         DEFINED      4         --         --     2,679
WPT ENTERPRISES INC             EQUITY       98211W108       1         220 SH         DEFINED      4         --         --       220
WR GRACE & CO                   EQUITY       38388F108    1640      61,043 SH          SOLE        1     61,043         --        --
WR GRACE & CO                   EQUITY       38388F108      80       2,975 SH         DEFINED      4         --         --     2,975
WRIGHT EXPRESS CORP             EQUITY       98233Q105    1269      34,785 SH          SOLE        1     34,785         --        --
WRIGHT MEDICAL GROUP INC        EQUITY       98235T107    1397      52,078 SH          SOLE        1     52,078         --        --
WRIGHT MEDICAL GROUP INC        EQUITY       98235T107      10         400 SH         DEFINED      4         --         --       400
WRIGLEY WM JR CO                EQUITY       982526105    6281      97,794 SH          SOLE        1     97,794         --        --
WRIGLEY WM JR CO                EQUITY       982526105    1959      33,291 SH         DEFINED      4         --         --    33,291





                                                                                          
WRIGLEY WM JR CO                EQUITY       982526105     242       3,774 SH          SOLE        2      3,774         --        --
WSFS FINANCIAL CORP             EQUITY       929328102     343       5,490 SH          SOLE        1      5,490         --        --
WSFS FINANCIAL CORP             EQUITY       929328102      86       1,300 SH         DEFINED      4         --         --     1,300
WSI INDUSTRIES INC              EQUITY       92932Q102       2         508 SH         DEFINED      4         --         --       508
WW GRAINGER INC                 EQUITY       384802104    2925      32,072 SH          SOLE        1     32,072         --        --
WW GRAINGER INC                 EQUITY       384802104     925      11,107 SH         DEFINED      4         --         --    11,107
WW GRAINGER INC                 EQUITY       384802104       8          90 SH          SOLE        2         90         --        --
WYETH                           EQUITY       983024100   36002     807,938 SH          SOLE        1    807,938         --        --
WYETH                           EQUITY       983024209      18          10 SH         DEFINED      4         --         --        10
WYETH                           EQUITY       983024100    6848     153,721 SH         DEFINED      4         --         --   153,721
WYETH                           EQUITY       983024100      76       1,695 SH          SOLE        2      1,695         --        --
WYETH                           FIXED INCOME 983024AD2      10           9 PRN        DEFINED      4         --         --        --
WYNDHAM WORLDWIDE CORP          EQUITY       98310W108    2676      81,697 SH          SOLE        1     81,697         --        --
WYNDHAM WORLDWIDE CORP          EQUITY       98310W108     156       4,773 SH         DEFINED      4         --         --     4,773
WYNDHAM WORLDWIDE CORP          EQUITY       98310W108       7         225 SH          SOLE        2        225         --        --
WYNN RESORTS LTD                EQUITY       983134107    1062       6,740 SH          SOLE        1      6,740         --        --
WYNN RESORTS LTD                EQUITY       983134107     310       3,045 SH         DEFINED      4         --         --     3,045
XATA CORP                       EQUITY       983882309       1         200 SH         DEFINED      4         --         --       200
XCEL ENERGY INC                 EQUITY       98389B100    5070     235,379 SH          SOLE        1    235,379         --        --
XCEL ENERGY INC                 EQUITY       98389B100    2067      95,964 SH         DEFINED      4         --         --    95,964
XCEL ENERGY INC                 EQUITY       98389B100    3352     155,629 SH          SOLE        2    155,629         --        --
XENOPORT INC                    EQUITY       98411C100     883      18,773 SH          SOLE        1     18,773         --        --
XENOPORT INC                    EQUITY       98411C100       7         155 SH         DEFINED      4         --         --       155
XERIUM TECHNOLOGIES INC         EQUITY       98416J100      94      17,340 SH          SOLE        1     17,340         --        --
XEROX CORP                      EQUITY       984121103    8390     483,872 SH          SOLE        1    483,872         --        --
XEROX CORP                      EQUITY       984121103    2127     117,181 SH         DEFINED      4         --         --   117,181
XEROX CORP                      EQUITY       984121103      20       1,180 SH          SOLE        2      1,180         --        --
XETHANOL CORP                   EQUITY       98420A103       5       3,000 SH         DEFINED      4         --         --     3,000
XILINX INC                      EQUITY       983919101    3956     151,353 SH          SOLE        1    151,353         --        --
XILINX INC                      EQUITY       983919101      10         373 SH          SOLE        2        373         --        --
XL CAPITAL LTD -CLASS A         EQUITY       G98255105     122       1,540 SH         DEFINED      4         --         --     1,540
XL CAPITAL LTD -CLASS A         EQUITY       G98255105     216       2,729 SH          SOLE        2      2,729         --        --
XM SATELLITE RADIO HOLD-CL A    EQUITY       983759101     305      21,528 SH          SOLE        1     21,528         --        --
XM SATELLITE RADIO HOLD-CL A    EQUITY       983759101     195      17,297 SH         DEFINED      4         --         --    17,297
XM SATELLITE RADIO HOLD-CL A    EQUITY       983759101    2237     157,900 SH          SOLE        2    157,900         --        --
XOMA LTD                        EQUITY       G9825R107      16       4,934 SH         DEFINED      4         --         --     4,934
X-RITE INC                      EQUITY       983857103     419      29,003 SH          SOLE        1     29,003         --        --
X-RITE INC                      EQUITY       983857103      27       2,080 SH         DEFINED      4         --         --     2,080
XTO ENERGY INC                  EQUITY       98385X106   10155     164,216 SH          SOLE        1    164,216         --        --
XTO ENERGY INC                  EQUITY       98385X106    3560      64,152 SH         DEFINED      4         --         --    64,152
XTO ENERGY INC                  EQUITY       98385X106     141       2,286 SH          SOLE        2      2,286         --        --
YADKIN VALLEY FINANCIAL CORP    EQUITY       984314104    1392      74,505 SH         DEFINED      4         --         --    74,505
YAHOO! INC                      EQUITY       984332106   19681     733,197 SH          SOLE        1    733,197         --        --
YAHOO! INC                      EQUITY       984332106    1679      55,283 SH         DEFINED      4         --         --    55,283
YAHOO! INC                      EQUITY       984332106    8044     299,699 SH          SOLE        2    299,699         --        --
YAMANA GOLD INC                 EQUITY       98462Y100    5512     465,703 SH          OTHER       1         --    465,703        --
YAMANA GOLD INC                 EQUITY       98462Y100     221      18,696 SH         DEFINED      4         --         --    18,696
YANZHOU COAL MINING-SP ADR      EQUITY       984846105      92       1,695 SH         DEFINED      4         --         --     1,695
YARDVILLE NATIONAL BANCORP      EQUITY       985021104     291       8,650 SH          SOLE        1      8,650         --        --
YM BIOSCIENCES INC              EQUITY       984238105       1         600 SH         DEFINED      4         --         --       600
YORK WATER CO                   EQUITY       987184108     223      12,476 SH         DEFINED      4         --         --    12,476
YOUNG INNOVATIONS INC           EQUITY       987520103      43       1,503 SH         DEFINED      4         --         --     1,503
YRC WORLDWIDE INC               EQUITY       984249102    3960     144,960 SH          SOLE        1    144,960         --        --
YRC WORLDWIDE INC               EQUITY       984249102     381       9,592 SH         DEFINED      4         --         --     9,592





                                                                                          
YUM! BRANDS INC                 EQUITY       988498101    7882     232,974 SH          SOLE        1    232,974         --        --
YUM! BRANDS INC                 EQUITY       988498101      22         656 SH          SOLE        2        656         --        --
ZALE CORP                       EQUITY       988858106    1130      48,825 SH          SOLE        1     48,825         --        --
ZALE CORP                       EQUITY       988858106      33       1,190 SH         DEFINED      4         --         --     1,190
ZAPATA CORP                     EQUITY       989070602       1         112 SH         DEFINED      4         --         --       112
ZARLINK SEMICONDUCTOR INC       EQUITY       989139100      46      33,174 SH         DEFINED      4         --         --    33,174
ZEBRA TECHNOLOGIES CORP-CL A    EQUITY       989207105    6293     172,461 SH          SOLE        1    172,461         --        --
ZEBRA TECHNOLOGIES CORP-CL A    EQUITY       989207105      88       2,238 SH         DEFINED      4         --         --     2,238
ZENITH NATIONAL INSURANCE CP    EQUITY       989390109    1658      36,936 SH          SOLE        1     36,936         --        --
ZHONE TECHNOLOGIES INC          EQUITY       98950P108      16      10,957 SH         DEFINED      4         --         --    10,957
ZI CORP                         EQUITY       988918108       2       1,714 SH         DEFINED      4         --         --     1,714
ZILA INC                        EQUITY       989513205      58      52,733 SH         DEFINED      4         --         --    52,733
ZILOG INC                       EQUITY       989524301       5       1,000 SH         DEFINED      4         --         --     1,000
ZIMMER HOLDINGS INC             EQUITY       98956P102   20420     251,873 SH          SOLE        1    251,873         --        --
ZIMMER HOLDINGS INC             EQUITY       98956P102    3752      41,347 SH         DEFINED      4         --         --    41,347
ZIMMER HOLDINGS INC             EQUITY       98956P102      24         298 SH          SOLE        2        298         --        --
ZION OIL & GAS INC              EQUITY       989696109       8       1,450 SH         DEFINED      4         --         --     1,450
ZIONS BANCORPORATION            EQUITY       989701107    3500      50,975 SH          SOLE        1     50,975         --        --
ZIONS BANCORPORATION            EQUITY       989701107       9         136 SH          SOLE        2        136         --        --
ZIX CORP                        EQUITY       98974P100      85      38,800 SH         DEFINED      4         --         --    38,800
ZOLL MEDICAL CORP               EQUITY       989922109     461      17,793 SH          SOLE        1     17,793         --        --
ZOLL MEDICAL CORP               EQUITY       989922109      10         458 SH         DEFINED      4         --         --       458
ZOLTEK COMPANIES INC            EQUITY       98975W104     834      19,121 SH          SOLE        1     19,121         --        --
ZOLTEK COMPANIES INC            EQUITY       98975W104    1754      48,125 SH         DEFINED      4         --         --    48,125
ZORAN CORP                      EQUITY       98975F101     873      43,210 SH          SOLE        1     43,210         --        --
ZORAN CORP                      EQUITY       98975F101       9         427 SH         DEFINED      4         --         --       427
Z-TRIM HOLDINGS                 EQUITY       988924106      15      10,740 SH         DEFINED      4         --         --    10,740
ZUMIEZ INC                      EQUITY       989817101    2031      45,776 SH          SOLE        1     45,776         --        --
ZUMIEZ INC                      EQUITY       989817101     439       9,900 SH          SOLE        2      9,900         --        --
ZWEIG FUND INC                  EQUITY       989834106     118      22,605 SH         DEFINED      4         --         --    22,605
ZWEIG TOTAL RETURN FUND INC     EQUITY       989837109     478      85,037 SH         DEFINED      4         --         --    85,037
ZYGO CORP                       EQUITY       989855101     185      14,220 SH          SOLE        1     14,220         --        --
ZYGO CORP                       EQUITY       989855101       3         200 SH         DEFINED      4         --         --       200
ZYMOGENETICS INC                EQUITY       98985T109     441      33,824 SH          SOLE        1     33,824         --        --
ZYMOGENETICS INC                EQUITY       98985T109     101       6,720 SH         DEFINED      4         --         --     6,720