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

                                    FORM 13F
                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: JUNE 30, 2003

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:       FLEETBOSTON FINANCIAL CORPORATION
Address:    100 FEDERAL STREET
            BOSTON, MA  02110

Form 13F File Number:  28-452

The institutional investment manager filing this report and the person by whom
it is signed hereby 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:  ERNEST L. PUSCHAVER
Title: CHIEF ACCOUNTING OFFICER
Phone: 617-434-2341

Signature, Place, and Date of Signing:


                                                        
/S/ ERNEST L. PUSCHAVER         BOSTON, MASSACHUSETTS         08/13/2003
-----------------------         ---------------------         ----------
      (Signature)                   (City, State)                Date


Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager:



      FORM 13F FILE NUMBER        NAME
      --------------------        ----
                               
      28-03639                    Liberty Wanger Asset Management, LP
      28-04161                    Columbia Trust Company
      28-03964                    Crabbe Huson Group Inc.
      28-10483                    Liberty Asset Management Company



FORM 13F SUMMARY PAGE

Section I

Report Summary:



                                       
Number of other Included Managers:                 10
Form 13F Information Table Entry Total:         7,252

Form 13F Information Table Value Total:   $47,066,633
(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.




      FORM 13F FILE NUMBER    NAME
      --------------------    ----
                        
1.    28-453                  Fleet National Bank
                              (entities also included within the numbers
                              presented for Fleet National Bank for
                              purposes of this report include:  BancBoston
                              Capital Inc., BancBoston Investments Inc.;
                              BancBoston Ventures Inc.)
2.    28-00297                Columbia Management Advisors, Inc.
3.    28-3494                 Burr, Francis
4.    28-3692                 Collidge, Francis L.
5.    28-1930                 Fuller, Alfred W., Esq.
6.    28-3488                 Grace, Nichols
7.    28-5798                 Hammer, Curtis A.
8.    28-04918                Whitney, Thomas H.P. Jr.
9.    28-02710                Dassori, F. Davis Jr.
10.   28-06476                Lowell, William A.







    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
AAIPHARMA INC COM                      00252W104        59580       3000          X                       3000        0          0
AAR CORP COM                           000361105       146848      20800          X                       9850        0      10950
AARON RENTS INC CL B COM               002535201       394740      15300          X                      14200        0       1100
AASTROM BIOSCIENCES INC COM            00253U107         1010       1000          X                          0        0       1000
ABBOTT LABS COM                        002824100    223146812    5099333          X                    4792981        0     306352
ABBOTT LABS COM                        002824100    106568115    2435286                 X             2229181      150     205955
ABERCROMBIE & FITCH CO COM             002896207       266429       9378          X                        828        0       8550
ABIOMED INC COM                        003654100         2640        500          X                        500        0          0
ABM INDS INC COM                       000957100       494340      32100          X                      32100        0          0
ABRAXAS PETE CORP COM                  003830106         1080       1000          X                       1000        0          0
ABRAXAS PETE CORP COM                  003830106         5400       5000                 X                5000        0          0
ACADIA REALTY TRUST COM                004239109         7320        800                 X                 800        0          0
ACCLAIM ENTMT INC COM PAR $0.02        004325205          760       1000          X                       1000        0          0
ACCREDO HEALTH INC COM                 00437V104      4707143     217420          X                     197335        0      20085
ACMAT CORP CL A                        004616207        37540       4065                 X                   0        0       4065
ACTEL CORP COM                         004934105       329280      16000          X                      16000        0          0
ACTION PERFORMANCE COS INC COM         004933107       220400      11600          X                      11600        0          0
ACTIVISION INC COM                     004930202      3328182     258600          X                     249900        0       8700
ACTIVISION INC COM                     004930202       860038      66825                 X                   0        0      66825
ACTUANT CORP CL A COM                  00508X203       172339       3642          X                          0        0       3642
ACTUATE SOFTWARE COM                   00508B102        80399      29025          X                      29025        0          0
ACUITY BRANDS INC COM                  00508Y102       492407      27100          X                      27100        0          0
ACXIOM CORP                            005125109      8984553     589151          X                     458386        0     130765
ACXIOM CORP                            005125109       221888      14550                 X                   0        0      14550
ADAPTEC INC                            00651F108       651900      82000          X                      69900        0      12100
ADAPTEC INC                            00651F108         1988        250                 X                 250        0          0
ADC TELECOMMUNICATIONS INC COM         000886101       546268     237508          X                     174483        0      63025
ADC TELECOMMUNICATIONS INC COM         000886101        19090       8300                 X                6900        0       1400
ADMINSTAFF INC COM                     007094105       178190      17300          X                      17300        0          0
ADOBE SYS INC COM                      00724F101      6274335     195645          X                     193945        0       1700
ADOBE SYS INC COM                      00724F101       939651      29300                 X               18700        0      10600
ADOLOR CORPORATION COM                 00724X102       704298      57400          X                      56900        0        500
ADOLOR CORPORATION COM                 00724X102        34123       2781                 X                2781        0          0
ADVANCE PCS COM                        00790K109          956         25          X                         25        0          0
ADVANCE PCS COM                        00790K109       198900       5200                 X                5200        0          0
ADVANCED AUTO PARTS COM                00751Y106      6652716     109240          X                     107070        0       2170
ADVANCED AUTO PARTS COM                00751Y106       816060      13400                 X                 370        0      13030
ADVANCED DIGITAL INFO CORP COM         007525108          992        100          X                        100        0          0
ADVANCED DIGITAL INFO CORP COM         007525108       316448      31900                 X                   0        0      31900
ADVANCED ENERGY INDS INC COM           007973100       300300      21000          X                      21000        0          0
ADVANCED FIBER COMMUNICATIONS COM      00754A105       175266      10700          X                       8100        0       2600
ADVANCED FIBER COMMUNICATIONS COM      00754A105         3276        200                 X                 200        0          0
ADVANCED MAGNETICS INC COM             00753P103        10250       1000          X                       1000        0          0





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
ADVANCED MARKETING SVCS INC COM        00753T105       262080      20160          X                      20160        0          0
ADVANCED MARKETING SVCS INC COM        00753T105       108875       8375                 X                8375        0          0
ADVANCED MEDICAL OPTICS COM            00763M108       335697      19689          X                      19689        0          0
ADVANCED MEDICAL OPTICS COM            00763M108        24006       1408                 X                1375        0         33
ADVANCED MICRO DEVICES INC COM         007903107       337775      52695          X                      44795        0       7900
ADVANCED MICRO DEVICES INC COM         007903107         3846        600                 X                 600        0          0
ADVANCED NEUROMODULATION SYS INC COM   00757T101         5150        100                 X                 100        0          0
ADVENT SOFTWARE INC COM                007974108       143038       8355          X                       3870        0       4485
ADVENT SOFTWARE INC COM                007974108         1712        100                 X                 100        0          0
ADVO INC COM                           007585102     22401754     504544          X                     371144        0     133400
AEROFLEX INC COM                       007768104       557652      72611          X                      72611        0          0
AES CORP COM                           00130H105       459708      72395          X                      70295        0       2100
AES CORP COM                           00130H105        22333       3517                 X                3517        0          0
AETNA INC COM NEW                      00817Y108     22505650     373848          X                     330423        0      43425
AETNA INC COM NEW                      00817Y108      7538665     125227                 X              115344        0       9883
AFC ENTERPRISES INC COM                00104Q107       302845      18500          X                      18500        0          0
AFFILIATED COMPUTER SVCS COM           008190100      4878476     106680          X                      96230        0      10450
AFFILIATED COMPUTER SVCS COM           008190100       348508       7621                 X                6401        0       1220
AFFILIATED MANAGERS GROUP COM          008252108         1219         20          X                         20        0          0
AFFYMETRIX INC COM                     00826T108        11826        600          X                        600        0          0
AFLAC INC COM                          001055102     53846694    1751112          X                    1572987        0     178125
AFLAC INC COM                          001055102      7358998     239317                 X              213314      100      25903
AG SVCS AMER INC COM                   001250109        29700       5000          X                       5000        0          0
AG SVCS AMER INC COM                   001250109        20606       3469                 X                2000        0       1469
AGCO CORP COM                          001084102      8139115     476529          X                     412919        0      63610
AGERE SYSTEMS INC CL A COM             00845V100       872296     374376          X                     332346        0      42030
AGERE SYSTEMS INC CL A COM             00845V100        78975      33895                 X               25728        0       8167
AGERE SYSTEMS INC CL B COM             00845V209       121042      52627          X                      38289        0      14338
AGERE SYSTEMS INC CL B COM             00845V209       125113      54397                 X               50137        0       4260
AGILENT TECHNOLOGIES INC COM           00846U101      3462051     177087          X                     155337        0      21750
AGILENT TECHNOLOGIES INC COM           00846U101      3231087     165273                 X              156780        0       8493
AGL RESOURCES INC COM                  001204106        63600       2500          X                        900        0       1600
AGL RESOURCES INC COM                  001204106       140225       5512                 X                5212        0        300
AGREE RLTY CORP COM                    008492100        24310       1000                 X                1000        0          0
AIR PRODS & CHEMS INC COM              009158106     74123130    1781806          X                    1679881        0     101925
AIR PRODS & CHEMS INC COM              009158106     16852077     405098                 X              387271      100      17727
AIRBORNE INC COM                       009269101        12247        586          X                        586        0          0
AIRBORNE INC COM                       009269101        29260       1400                 X                1400        0          0
AIRGAS INC COM                         009363102       155775       9300          X                          0        0       9300
AIRNET SYSTEMS INC COM                 009417106      4323035    1067416          X                     700916        0     366500
AIRNET SYSTEMS INC COM                 009417106         9720       2400                 X                2400        0          0
AIRSPAN NETWORKS INC COM               00950H102         3300       2000                 X                2000        0          0
AIRTRAN HLDGS INC COM                  00949P108        48686       4650          X                          0        0       4650
AIRTRAN HLDGS INC COM                  00949P108         1047        100                 X                 100        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
AK STEEL HOLDING CORP COM              001547108           43         12                 X                  12        0          0
AKAMI TECHNOLOGIES COM                 00971T101         2868        600          X                        600        0          0
ALAMO GROUP INC COM                    011311107        23096       1890          X                       1890        0          0
ALBANY INTERNATIONAL CORP CL A COM     012348108     24263303     885522          X                     716105        0     169417
ALBANY INTERNATIONAL CORP CL A COM     012348108       949410      34650                 X                1000        0      33650
ALBANY MOLECULAR RESH INC COM          012423109      1305295      86673          X                      86673        0          0
ALBANY MOLECULAR RESH INC COM          012423109        30120       2000                 X                   0        0       2000
ALBEMARLE CORP COM                     012653101     11107866     397135          X                     302220        0      94915
ALBEMARLE CORP COM                     012653101       202279       7232                 X                7232        0          0
ALBERTO CULVER CO CL A                 013068200        69692       1400                 X                1400        0          0
ALBERTO CULVER CO CL B COM             013068101      2401700      47000          X                      44318        0       2682
ALBERTO CULVER CO CL B COM             013068101       743505      14550                 X                 200        0      14350
ALBERTSONS INC COM                     013104104      1737408      90490          X                      66913        0      23577
ALBERTSONS INC COM                     013104104      1290451      67211                 X               58780        0       8431
ALCOA INC COM                          013817101     12049566     472532          X                     362224        0     110308
ALCOA INC COM                          013817101      4838217     189734                 X              179264        0      10470
ALEXANDER & BALDWIN INC                014482103        36540       1400          X                          0        0       1400
ALEXANDER & BALDWIN INC                014482103         2610        100                 X                 100        0          0
ALEXANDERS INC COM                     014752109       100188       1200                 X                1200        0          0
ALICO INC COM                          016230104        19752        800                 X                 800        0          0
ALIGN TECHNOLOGY INC COM               016255101        12600       1000          X                       1000        0          0
ALKERMES INC COM                       01642T108        31329       2950          X                       2500        0        450
ALKERMES INC COM                       01642T108        48746       4590                 X                4472        0        118
ALLEGHANY CORP DEL COM                 017175100       970853       5083          X                       5083        0          0
ALLEGHANY CORP DEL COM                 017175100       756360       3960                 X                3960        0          0
ALLEGHENY ENERGY INC COM               017361106       209357      24776          X                      23576        0       1200
ALLEGHENY ENERGY INC COM               017361106       144765      17132                 X               16662        0        470
ALLEGHENY TECHNOLOGIES INC COM         01741R102        80520      12200          X                      10038        0       2162
ALLEGHENY TECHNOLOGIES INC COM         01741R102        35429       5368                 X                4812        0        556
ALLEGIANT BANCORP INC COM              017476102       263044      13022          X                      13022        0          0
ALLEN TELECOM INC COM                  018091108       370048      22400          X                      21100        0       1300
ALLERGAN INC COM                       018490102      3343133      43361          X                      28211        0      15150
ALLERGAN INC COM                       018490102      2369129      30728                 X               29062        0       1666
ALLETE INC COM                         018522102      1040733      39199          X                      28510        0      10689
ALLETE INC COM                         018522102       257854       9712                 X                9712        0          0
ALLIANCE SEMICONDUCTOR CORP COM        01877H100       119072      24400          X                      24400        0          0
ALLIANT ENERGY CORP COM                018802108       128833       6770          X                       5720        0       1050
ALLIANT ENERGY CORP COM                018802108       190338      10002                 X               10002        0          0
ALLIANT TECHSYSTEMS INC COM            018804104      2434994      46908          X                      27483        0      19425
ALLIANT TECHSYSTEMS INC COM            018804104       477572       9200                 X                9200        0          0
ALLIED CAP CORP NEW COM                01903Q108       644490      27900          X                      17000        0      10900
ALLIED CAP CORP NEW COM                01903Q108       124093       5372                 X                5072        0        300
ALLIED DEFENSE GROUP INC COM           019118108        14760        800          X                        800        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
ALLIED WASTE INDS INC COM              019589308       243210      24200          X                      23500        0        700
ALLMERICA FINL CORP COM                019754100       112725       6266          X                       1403        0       4863
ALLMERICA FINL CORP COM                019754100        33965       1888                 X                1888        0          0
ALLSTATE CORP COM                      020002101     11960112     335487          X                     280211        0      55276
ALLSTATE CORP COM                      020002101      3123225      87608                 X               80286        0       7322
ALLTEL CORP COM                        020039103      5104328     105855          X                      77290        0      28565
ALLTEL CORP COM                        020039103      1256710      26062                 X               25514        0        548
ALPHARMA INC CL A COM                  020813101      1043280      48300          X                      48300        0          0
ALTEON INC COM                         02144G107         4850       1000          X                       1000        0          0
ALTERA CORP                            021441100      2663747     162127          X                     133327        0      28800
ALTERA CORP                            021441100       649018      39502                 X               39302        0        200
ALTRIA GROUP INC COM                   02209S103     38708746     851865          X                     685953        0     165912
ALTRIA GROUP INC COM                   02209S103     36196277     796573                 X              621138        0     175435
AMAZON COM INC COM                     023135106       740601      20391          X                       1791        0      18600
AMAZON COM INC COM                     023135106       229869       6329                 X                6329        0          0
AMBAC FINANCIAL GROUP INC COM          023139108     12689856     191545          X                     165310        0      26235
AMBAC FINANCIAL GROUP INC COM          023139108       366031       5525                 X                4910        0        615
AMCOL INTL CORP COM                    02341W103         7200        900          X                        900        0          0
AMDOCS LTD COM                         G02602103      1440480      60020          X                      54020        0       6000
AMDOCS LTD COM                         G02602103      1375680      57320                 X                1700        0      55620
AMER INTERNATIONAL GROUP INC COM       026874107    447493853    8109711          X                    7602617        0     507094
AMER INTERNATIONAL GROUP INC COM       026874107    148318101    2687896                 X             2487449      706     199741
AMERADA HESS CORP COM                  023551104      1637645      33299          X                      28762        0       4537
AMERADA HESS CORP COM                  023551104       286769       5831                 X                5831        0          0
AMEREN CORP COM                        023608102      1662791      37705          X                      31155        0       6550
AMEREN CORP COM                        023608102      1174295      26628                 X               20868        0       5760
AMERICA FIRST APARTMENT INV COM        02363X104         2480        250                 X                   0        0        250
AMERICAN AXLE & MFG HLDGS INC COM      024061103        74688       3125          X                          0        0       3125
AMERICAN CAP STRATEGIES LTD COM        024937104       135108       5400          X                       5400        0          0
AMERICAN CAP STRATEGIES LTD COM        024937104       275220      11000                 X                1000        0      10000
AMERICAN CMNTY PPTYS TR COM            02520N106         1560        300                 X                 300        0          0
AMERICAN EAGLE OUTFITTERS INC NEW CO   02553E106      7422652     403405          X                     316155        0      87250
AMERICAN ELEC PWR INC                  025537101     13134686     440318          X                     367754        0      72564
AMERICAN ELEC PWR INC                  025537101      4338386     145437                 X              134796        0      10641
AMERICAN EXPRESS CO COM                025816109     45111150    1078956          X                     900516        0     178440
AMERICAN EXPRESS CO COM                025816109     25228865     603417                 X              510932      600      91885
AMERICAN FINL GROUP INC COM            025932104        56225       2466          X                       1466        0       1000
AMERICAN GREETINGS CORP CL A           026375105       237840      12110          X                       8766        0       3344
AMERICAN HEALTHWAYS INC COM            02649V104      1898254      52700          X                      40100        0      12600
AMERICAN INDEPENDENCE CORP COM         026760405         1771        166          X                          0        0        166
AMERICAN ITALIAN PASTA CL A COM        027070101      3919265      94100          X                      88000        0       6100
AMERICAN MED SYS HLDGS INC COM         02744M108      3775883     223425          X                     216900        0       6525
AMERICAN MEDICAL ALERT CORP COM        027904101         7980       3000                 X                3000        0          0





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
AMERICAN MGMT SYS INC                  027352103       584707      40860          X                      28560        0      12300
AMERICAN MGMT SYS INC                  027352103        68616       4795                 X                   0        0       4795
AMERICAN NATL INS CO                   028591105        43115        500          X                          0        0        500
AMERICAN NATL INS CO                   028591105        25869        300                 X                 300        0          0
AMERICAN PHARMACEUTICAL PARTNERS       02886P109        45765       1350          X                          0        0       1350
AMERICAN POWER CONVERSION CORP COM     029066107      2188522     140200          X                     120720        0      19480
AMERICAN POWER CONVERSION CORP COM     029066107       666422      42692                 X               41052        0       1640
AMERICAN RLTY INVS INC COM             029174109         9004        735                 X                 735        0          0
AMERICAN STD COS INC DEL COM           029712106      4023714      54426          X                      32766        0      21660
AMERICAN STD COS INC DEL COM           029712106       171222       2316                 X                2316        0          0
AMERICAN STS WTR CO COM                029899101      6276270     229900          X                     161650        0      68250
AMERICAN TOWER CORP CL A               029912201     10800098    1220350          X                    1210050        0      10300
AMERICAN TOWER CORP CL A               029912201      3178478     359150                 X              275150        0      84000
AMERICREDIT CORP COM                   03060R101       465975      54500          X                      50600        0       3900
AMERIGROUP CORP COM                    03073T102       798870      21475          X                      13500        0       7975
AMERISOURCEBERGEN CORP COM             03073E105      2476974      35717          X                      22142        0      13575
AMERISOURCEBERGEN CORP COM             03073E105       138631       1999                 X                1349        0        650
AMERISTAR CASINOS INC COM              03070Q101       723392      33900                 X                   0        0      33900
AMERON INTERNATIONAL INC COM           030710107        97356       2800                 X                2800        0          0
AMERUS GROUP CO COM                    03072M108     10001446     354787          X                     257390        0      97397
AMERUS GROUP CO COM                    03072M108        22552        800                 X                 800        0          0
AMETEK INC COM                         031100100       654862      17868          X                      17868        0          0
AMETEK INC COM                         031100100       472785      12900                 X                2400        0      10500
AMGEN INC                              031162100     56118171     851049          X                     690489        0     160560
AMGEN INC                              031162100     24509173     371689                 X              308410       75      63204
AMKOR TECHNOLOGY INC COM               031652100        93436       7100          X                       2800        0       4300
AMPCO-PITTSBURGH CORP                  032037103         1340        100          X                        100        0          0
AMPCO-PITTSBURGH CORP                  032037103         1340        100                 X                 100        0          0
AMPHENOL CORP NEW CL A COM             032095101      2112284      45115          X                      39877        0       5238
AMPHENOL CORP NEW CL A COM             032095101      2920163      62370                 X                1440        0      60930
AMR CORP DEL COM                       001765106       124938      11358          X                       5558        0       5800
AMR CORP DEL COM                       001765106        40700       3700                 X                3700        0          0
AMSOUTH BANCORPORATION COM             032165102       969696      44400          X                      42000        0       2400
AMSOUTH BANCORPORATION COM             032165102       567207      25971                 X               21471        0       4500
AMSURG CORP COM                        03232P405      1157087      37900          X                      12900        0      25000
ANADARKO PETROLEUM CORP COM            032511107     17816772     400647          X                     345348        0      55299
ANADARKO PETROLEUM CORP COM            032511107      8513693     191448                 X              176155        0      15293
ANADIGICS INC COM                      032515108      3405303    1070850          X                     727550        0     343300
ANADIGICS INC COM                      032515108         7117       2238                 X                2238        0          0
ANALOG DEVICES INC COM                 032654105     89459962    2569212          X                    2442912        0     126300
ANALOG DEVICES INC COM                 032654105     17143453     492345                 X              436307      225      55813
ANALOGIC CORP COM                      032657207     11471528     234976          X                     188176        0      46800
ANALYSTS INTL CORP COM                 032681108      3221907    1292900          X                     871200        0     421700





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
ANAREN, INC. COM                       032744104         4760        500                 X                 500        0          0
ANCHOR BANCORP WI INC COM              032839102       382240      16000          X                      16000        0          0
ANDERSEN GROUP INC COM                 033501107        34511       8737          X                       8737        0          0
ANDREW CORP COM                        034425108      1136958     121730          X                     107595        0      14135
ANDREW CORP COM                        034425108       195225      20902                 X                2162        0      18740
ANDRX GROUP COM                        034553107       993231      49786          X                      45030        0       4756
ANDRX GROUP COM                        034553107      1225828      61445                 X                1220        0      60225
ANGELICA CORP COM                      034663104        96615       5700          X                       5700        0          0
ANHEUSER-BUSCH COMPANIES INC COM       035229103    128567281    2518458          X                    2378142        0     140316
ANHEUSER-BUSCH COMPANIES INC COM       035229103     36986082     724507                 X              611312       50     113145
ANIXTER INTL INC COM                   035290105      5431871     231834          X                     119470        0     112364
ANIXTER INTL INC COM                   035290105         8786        375                 X                   0        0        375
ANNTAYLOR STORES CORP                  036115103       882975      30500          X                      29400        0       1100
ANSYS INC COM                          03662Q105       505057      16100          X                       9700        0       6400
ANTHEM INC COM                         03674B104      4436819      57509          X                      39229        0      18280
ANTHEM INC COM                         03674B104       647597       8394                 X                1948        0       6446
ANTHRACITE CAPITAL INC COM             037023108        36180       3000                 X                3000        0          0
ANTIGENICS INC DEL COM                 037032109         3326        289                 X                 289        0          0
ANWORTH MORTGAGE ASSET CORP COM        037347101         3084        200                 X                 200        0          0
AOL TIME WARNER INC COM                00184A105     28413846    1765932          X                    1493333        0     272599
AOL TIME WARNER INC COM                00184A105      7919273     492186                 X              384484        0     107702
AON CORP                               037389103      2584410     107326          X                      75721        0      31605
AON CORP                               037389103      1845708      76649                 X               43974        0      32675
APAC TELESERVICES INC COM              00185E106      1526691     603435          X                     442445        0     160990
APACHE CORP COM                        037411105     51562913     792544          X                     722755        0      69789
APACHE CORP COM                        037411105      7328814     112647                 X               85251        0      27396
APOGEE ENTERPRISES INC COM             037598109       157353      17700          X                      12900        0       4800
APOGENT TECHNOLOGIES INC COM           03760A101      3529300     176465          X                        203        0     176262
APOGENT TECHNOLOGIES INC COM           03760A101       490000      24500                 X                2800        0      21700
APOLLO GROUP INC CL A COM              037604105      7023817     113654          X                      99554        0      14100
APOLLO GROUP INC CL A COM              037604105       477405       7725                 X                7145        0        580
APPLE COMPUTER INC COM                 037833100      1281537      67237          X                      48376        0      18861
APPLE COMPUTER INC COM                 037833100       136756       7175                 X                7175        0          0
APPLEBEES INTL INC                     037899101     14739130     468951          X                     411826        0      57125
APPLEBEES INTL INC                     037899101       619957      19725                 X                   0        0      19725
APPLERA CORP-APPLIED BIOSYSTEMS GRP    038020103      4013484     210903          X                     108350        0     102553
APPLERA CORP-APPLIED BIOSYSTEMS GRP    038020103      1317142      69214                 X               42070        0      27144
APPLERA CORP-CELERA GENOMICS GROUP     038020202       143138      13870          X                      13820        0         50
APPLERA CORP-CELERA GENOMICS GROUP     038020202        88669       8592                 X                8532        0         60
APPLICA INC COM                        03815A106       135150      15900          X                      15900        0          0
APPLIED DIGITAL SOLUTIONS INC COM      038188108        15600      26000          X                      26000        0          0
APPLIED DIGITAL SOLUTIONS INC COM      038188108       603398    1005663                 X             1000663        0       5000
APPLIED FILMS CORP COM                 038197109      4753068     183800          X                     182400        0       1400
APPLIED FILMS CORP COM                 038197109          259         10                 X                  10        0          0





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
APPLIED INDUSTRIAL TECH COM            03820C105       261640      12400          X                      12400        0          0
APPLIED INDUSTRIAL TECH COM            03820C105        42200       2000                 X                2000        0          0
APPLIED MATERIALS INC COM              038222105     13518347     853431          X                     601134        0     252297
APPLIED MATERIALS INC COM              038222105      4219142     266360                 X              242500      150      23710
APPLIED MICRO CIRCUITS CORP COM        03822W109       938344     155355          X                     154355        0       1000
APPLIED MICRO CIRCUITS CORP COM        03822W109       155228      25700                 X                   0        0      25700
APTARGROUP INC COM                     038336103      1036800      28800          X                      10400        0      18400
APTARGROUP INC COM                     038336103       430200      11950                 X                1450        0      10500
AQUILA INC DEL COM                     03840P102         7740       3000          X                       3000        0          0
AQUILA INC DEL COM                     03840P102        13958       5410                 X                5410        0          0
ARAMARK CORPORATION CLASS B            038521100        42598       1900          X                          0        0       1900
ARAMARK CORPORATION CLASS B            038521100         2242        100                 X                 100        0          0
ARBITRON INC COM                       03875Q108      4857878     136075          X                     130575        0       5500
ARBITRON INC COM                       03875Q108       107100       3000                 X                3000        0          0
ARCH CAP GROUP LTD ORD COM             G0450A105       634644      18300                 X               11300        0       7000
ARCH CHEMICALS INC COM                 03937R102       280770      14700          X                      14700        0          0
ARCH CHEMICALS INC COM                 03937R102         5997        314                 X                 314        0          0
ARCH COAL INC COM                      039380100       198111       8621          X                        171        0       8450
ARCHER DANIELS MIDLAND CO              039483102      2907487     225912          X                     123622        0     102290
ARCHER DANIELS MIDLAND CO              039483102       886859      68909                 X               64260        0       4649
ARCTIC CAT INC COM                     039670104       273456      14400          X                      14400        0          0
ARGONAUT GROUP INC                     040157109        77796       6330                 X                5116        0       1214
ARGOSY GAMING CORP COM                 040228108       397290      19000          X                      19000        0          0
ARIBA INC COM                          04033V104        15150       5050          X                       4050        0       1000
ARIBA INC COM                          04033V104          300        100                 X                 100        0          0
ARK RESTAURANTS CORP COM               040712101        15400       2000          X                       2000        0          0
ARKANSAS BEST CORP DEL COM             040790107      8585186     363625          X                     289100        0      74525
ARMOR HLDGS INC COM                    042260109     11534787     860805          X                     677715        0     183090
ARMOR HLDGS INC COM                    042260109        18760       1400                 X                1400        0          0
ARQULE INC COM                         04269E107        63860      15500          X                      15500        0          0
ARRIS GROUP INC COM                    04269Q100          992        200          X                        200        0          0
ARROW ELECTRONICS INC                  042735100       605790      39750          X                      16150        0      23600
ARROW ELECTRONICS INC                  042735100       299466      19650                 X                3050        0      16600
ARROW FINL CORP COM                    042744102       290399       8784          X                       8784        0          0
ARROW INTL INC COM                     042764100       891000      20000          X                          0        0      20000
ART TECHNOLOGY GROUP INC COM           04289L107         2800       1750          X                       1750        0          0
ARTESYN TECHNOLOGIES INC COM           043127109       141680      25300          X                      25300        0          0
ARTHROCARE CORP COM                    043136100       222899      13700          X                      13700        0          0
ARTISAN COMPONENTS INC COM             042923102      2554810     113800          X                     111400        0       2400
ARVINMERITOR INC COM                   043353101       123522       6121          X                       1021        0       5100
ARVINMERITOR INC COM                   043353101        87722       4347                 X                4212        0        135
ASHLAND INC COM                        044204105       691067      22525          X                       8050        0      14475
ASHLAND INC COM                        044204105        45100       1470                 X                1470        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
ASHWORTH INC COM                       04516H101        59556       8400          X                       8400        0          0
ASPECT MED SYS INC COM                 045235108        43608       5909          X                       5909        0          0
ASSOCIATED BANC CORP COM               045487105        76881       2100          X                       2100        0          0
ASSOCIATED BANC CORP COM               045487105        10983        300                 X                 300        0          0
ASTEC INDS INC                         046224101       111616      12800          X                      12800        0          0
ASTORIA FINL CORP COM                  046265104        74573       2670          X                       1870        0        800
ASTORIA FINL CORP COM                  046265104        68429       2450                 X                2450        0          0
ASTRO MED INC NEW                      04638F108        62100       9000          X                          0        0       9000
ASTRONICS CORP COM                     046433108       221260      68185          X                      68185        0          0
ASTROPOWER INC COM                     04644A101        48334      14300          X                      14300        0          0
ASTROPOWER INC COM                     04644A101         4056       1200                 X                1200        0          0
ASYST TECHNOLOGY CORP COM              04648X107      3044998     453800          X                     281600        0     172200
AT & T CORP NEW COM                    001957505      7391461     383972          X                     354796        0      29176
AT & T CORP NEW COM                    001957505     10105904     524982                 X              477294      218      47470
AT & T WIRELESS SVCS INC COM           00209A106      6629509     807492          X                     706883        0     100609
AT & T WIRELESS SVCS INC COM           00209A106      7970350     970810                 X              690632        0     280178
ATHEROGENICS INC COM                   047439104       530015      35500                 X                   0        0      35500
ATLANTIC AMERICAN CORP COM             048209100         1635        662                 X                 662        0          0
ATLANTIC COAST AIRLINES HOLDINGS INC   048396105       479160      36000          X                      33700        0       2300
ATLANTIC COAST AIRLINES HOLDINGS INC   048396105       423258      31800                 X                 100        0      31700
ATMEL CORP COM                         049513104        31750      12500          X                      12500        0          0
ATMI INC COM                           00207R101       501495      20100          X                      20100        0          0
ATMI INC COM                           00207R101        24950       1000                 X                1000        0          0
ATMOS ENERGY CORP COM                  049560105       803520      32400          X                      32100        0        300
ATMOS ENERGY CORP COM                  049560105        24800       1000                 X                1000        0          0
ATRIX LABS INC COM                     04962L101      2111317      96100          X                      95300        0        800
ATS MED INC COM                        002083103        46680      12000          X                      12000        0          0
ATWOOD OCEANICS INC COM                050095108      8639130     318200          X                     249300        0      68900
AUDIOVOX CORP COM                      050757103       165539      14900          X                      14900        0          0
AURORA FOODS INC COM                   05164B106           39        112          X                        112        0          0
AUTHENTIDATE HLDG CORP COM             052666104         8258       2352          X                       2352        0          0
AUTODESK INC COM                       052769106       322721      19958          X                       9510        0      10448
AUTODESK INC COM                       052769106       693370      42880                 X                2220        0      40660
AUTOIMMUNE INC COM                     052776101          160        100                 X                 100        0          0
AUTOLIV INC COM                        052800109        24372        900          X                          0        0        900
AUTOLIV INC COM                        052800109      1002122      37006                 X                1506        0      35500
AUTOMATIC DATA PROCESSING INC          053015103    221618305    6545136          X                    6311705        0     233431
AUTOMATIC DATA PROCESSING INC          053015103    122325683    3612690                 X             3440206     1000     171484
AUTONATION INC COM                     05329W102       645149      41040          X                      40140        0        900
AUTOZONE INC COM                       053332102      2751254      36215          X                      13965        0      22250
AUTOZONE INC COM                       053332102       189925       2500                 X                2500        0          0
AVANEX CORP COM                        05348W109        15800       4000                 X                4000        0          0
AVANIR PHARMACEUTICALS COM CL A        05348P104         3500       2000          X                       2000        0          0
AVANIR PHARMACEUTICALS COM CL A        05348P104        17500      10000                 X               10000        0          0





    ITEM 1            ITEM 2             ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER   MARKET      SH/PV        INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
AVAYA INC COM                          053499109       607686      94069          X                      50446        0      43623
AVAYA INC COM                          053499109       133541      20672                 X               19563        0       1109
AVERY DENNISON CORP COM                053611109     19728801     393004          X                     370948        0      22056
AVERY DENNISON CORP COM                053611109      4037636      80431                 X               78331        0       2100
AVI BIOSPHERE INC COM                  002346104         6090       1000          X                       1000        0          0
AVIALL INC NEW COM                     05366B102         5685        500          X                        500        0          0
AVICI SYSTEMS INC NEW COM              05367L802        61763      10125          X                      10125        0          0
AVICI SYSTEMS INC NEW COM              05367L802         1983        325                 X                 325        0          0
AVID TECHNOLOGY INC COM                05367P100       653605      18500          X                      18500        0          0
AVIGEN INC COM                         053690103        41871      11286          X                      11286        0          0
AVISTA CORP COM                        05379B107       444310      31400          X                      31400        0          0
AVISTA CORP COM                        05379B107        39620       2800                 X                2800        0          0
AVNET INC COM                          053807103     10657477     840495          X                     812149        0      28346
AVNET INC COM                          053807103         8876        700                 X                 300        0        400
AVOCENT CORP COM                       053893103      2005619      67100          X                      64900        0       2200
AVOCENT CORP COM                       053893103        14945        500                 X                 500        0          0
AVON PRODS INC COM                     054303102     16683844     268229          X                     232707        0      35522
AVON PRODS INC COM                     054303102      1154183      18556                 X               18381        0        175
AVX CORP NEW COM                       002444107       730176      66440          X                      66440        0          0
AVX CORP NEW COM                       002444107        15386       1400                 X                1400        0          0
AWARE INC MASSACHUSETTS COM            05453N100        11745       5000                 X                   0        0       5000
AXCELIS TECHNOLOGIES INC COM           054540109       395066      64659          X                      64659        0          0
AXCELIS TECHNOLOGIES INC COM           054540109        30214       4945                 X                4788        0        157
AZTAR CORP COM                         054802103       444233      27575          X                      22900        0       4675
B J SERVICES CO COM                    055482103     12561478     336228          X                     305683        0      30545
B J SERVICES CO COM                    055482103       775220      20750                 X                1650        0      19100
BACK YARD BURGERS INC COM              05635W101         6264       1200          X                       1200        0          0
BAIRNCO CORP COM                       057097107          301         50          X                         50        0          0
BAIRNCO CORP COM                       057097107          602        100                 X                   0        0        100
BAKER HUGHES INC COM                   057224107    145448370    4332689          X                    4116703        0     215986
BAKER HUGHES INC COM                   057224107     21022608     626232                 X              572787      275      53170
BALDOR ELECTRIC CO COM                 057741100       438780      21300          X                      21300        0          0
BALDOR ELECTRIC CO COM                 057741100         8240        400                 X                 400        0          0
BALDWIN & LYONS INC CL A COM           057755100       622034      29067          X                          0        0      29067
BALDWIN & LYONS INC CL B COM           057755209      3701604     155857          X                          0        0     155857
BALL CORP COM                          058498106      2107113      46300          X                       8570        0      37730
BALL CORP COM                          058498106       164974       3625                 X                3625        0          0
BALLY TOTAL FITNESS HOLDINGS COM       05873K108       243991      27020          X                      27020        0          0
BANCFIRST CORP COM                     05945F103        19627        380          X                        380        0          0
BANCORP RHODE ISLAND INC COM           059690107       113256       5200          X                       5200        0          0
BANCORP RHODE ISLAND INC COM           059690107       261360      12000                 X               12000        0          0
BANCORPSOUTH INC COM                   059692103        58380       2800          X                       2800        0          0
BANDAG INC CL A                        059815308        35100       1000          X                          0        0       1000






    ITEM 1            ITEM 2             ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER   MARKET      SH/PV        INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
BANK GRANITE CORP COM                  062401104        49610       2908          X                       2908        0          0
BANK NEW YORK INC COM                  064057102     81703475    2841860          X                    2723344        0     118516
BANK NEW YORK INC COM                  064057102     20997879     730361                 X              656601      125      73635
BANK OF AMERICA CORP COM               060505104    265079818    3354167          X                    3092579        0     261588
BANK OF AMERICA CORP COM               060505104     51687122     654019                 X              592340      125      61554
BANK OF HAWAII CORP COM                062540109       159319       4806          X                       2006        0       2800
BANK OF HAWAII CORP COM                062540109         3315        100                 X                   0        0        100
BANK ONE CORP NEW COM                  06423A103     44760110    1203876          X                    1117900        0      85976
BANK ONE CORP NEW COM                  06423A103      6326289     170153                 X              147873      727      21553
BANKATLANTIC BANCORP INC A COM         065908501         3567        300          X                        300        0          0
BANKNORTH GROUP INC COM NEW            06646R107      3717728     145679          X                     134199        0      11480
BANKNORTH GROUP INC COM NEW            06646R107      1467170      57491                 X               55139        0       2352
BANKUNITED FINL CORP CL A COM          06652B103       385536      19200          X                      19200        0          0
BANTA CORP COM                         066821109       134983       4170          X                       1470        0       2700
BANTA CORP COM                         066821109       453180      14000                 X                   0        0      14000
BAR HARBOR BANKSHARES COM              066849100        58331       2745          X                       2645        0        100
BAR HARBOR BANKSHARES COM              066849100         8500        400                 X                 400        0          0
BARD C R INC                           067383109      1528886      21440          X                       9211        0      12229
BARD C R INC                           067383109      1747095      24500                 X               24500        0          0
BARNES & NOBLE INC COM                 067774109       780611      33866          X                      15566        0      18300
BARNES & NOBLE INC COM                 067774109         9220        400                 X                 400        0          0
BARNES GROUP INC                       067806109      7908716     363452          X                     356606        0       6846
BARNES GROUP INC                       067806109     47618605    2188355                 X              122101        0    2066254
BARR LABS INC COM                      068306109      3049484      46557          X                      34620        0      11937
BARR LABS INC COM                      068306109       162440       2480                 X                1290        0       1190
BARRA INC COM                          068313105       454279      12700          X                      12700        0          0
BASSETT FURNITURE INDS INC COM         070203104      4882877     371604          X                     274604        0      97000
BASSETT FURNITURE INDS INC COM         070203104         9986        760                 X                   0        0        760
BAUSCH & LOMB COM                      071707103       642563      17135          X                      13757        0       3378
BAUSCH & LOMB COM                      071707103        86513       2307                 X                2307        0          0
BAXTER INTERNATIONAL COM               071813109     34282170    1318545          X                    1204071        0     114474
BAXTER INTERNATIONAL COM               071813109     12974676     499026                 X              475948      100      22978
BAY VIEW CAP CORP DEL COM              07262L101       348337      60266          X                      54466        0       5800
BB & T CORP COM                        054937107      2104888      61367          X                      59117        0       2250
BB & T CORP COM                        054937107       590749      17223                 X               17223        0          0
BE AEROSPACE INC COM                   073302101         9300       3000                 X                3000        0          0
BEA SYS INC COM                        073325102       430427      39525          X                       7225        0      32300
BEA SYS INC COM                        073325102       225750      20730                 X                  30        0      20700
BEAR STEARNS COM                       073902108      3063366      42300          X                      38300        0       4000
BEAR STEARNS COM                       073902108       160048       2210                 X                2210        0          0
BEARINGPOINT INC COM                   074002106       458500      47513          X                       2413        0      45100
BEASLEY BROADCAST GROUP INC CL A COM   074014101        56910       4200          X                       4200        0          0
BEAZER HOMES USA INC COM               07556Q105      3674000      44000          X                      42000        0       2000
BEAZER HOMES USA INC COM               07556Q105        16700        200                 X                 200        0          0





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
BEBE STORES INC COM                    075571109        49686       2600          X                          0        0       2600
BECKMAN COULTER INC COM                075811109      6319032     155488          X                     145438        0      10050
BECKMAN COULTER INC COM                075811109       171907       4230                 X                4230        0          0
BECTON DICKINSON & CO COM              075887109     16011328     412132          X                     291356        0     120776
BECTON DICKINSON & CO COM              075887109      6702674     172527                 X              138602        0      33925
BED BATH & BEYOND INC COM              075896100     34056941     877304          X                     845604        0      31700
BED BATH & BEYOND INC COM              075896100      2322407      59825                 X               43030        0      16795
BEI TECHNOLOGIES COM                   05538P104       113810       9500          X                       9500        0          0
BEL FUSE INC CL A COM                  077347201        20500       1000          X                          0        0       1000
BEL FUSE INC CL B COM                  077347300       194876       8600          X                       7100        0       1500
BELDEN INC COM                         077459105       262185      16500          X                      16500        0          0
BELL MICROPRODUCTS INC COM             078137106        55806      13100          X                      13100        0          0
BELL SOUTH CORP COM                    079860102     92883816    3487939          X                    3255980        0     231959
BELL SOUTH CORP COM                    079860102     58508294    2197082                 X             2085586        0     111496
BELO CORPORATION CL A COM              080555105     19052509     852080          X                     842780        0       9300
BELO CORPORATION CL A COM              080555105     81665987    3652325                 X             2337228        0    1315097
BEMIS CO COM                           081437105     28395526     606742          X                     604620        0       2122
BEMIS CO COM                           081437105      4664041      99659                 X               40689        0      58970
BENCHMARK ELECTRONICS INC COM          08160H101     23466558     762892          X                     631367        0     131525
BENCHMARK ELECTRONICS INC COM          08160H101      1110436      36100                 X                   0        0      36100
BERKLEY W R CORP COM                   084423102        31620        600          X                          0        0        600
BERKLEY W R CORP COM                   084423102        79050       1500                 X                1500        0          0
BERKSHIRE BANCORP INC COM              084597103         4254        120                 X                 120        0          0
BERKSHIRE HATHAWAY INC CL A COM        084670108      5582500         77          X                         48        0         29
BERKSHIRE HATHAWAY INC CL A COM        084670108     18487500        255                 X                 252        0          3
BERKSHIRE HATHAWAY INC CL B COM        084670207     34561890      14223          X                      13252        0        971
BERKSHIRE HATHAWAY INC CL B COM        084670207     29451600      12120                 X               11639        0        481
BERRY PETE CO CL A COM                 085789105        77185       4300          X                          0        0       4300
BEST BUY INC COM                       086516101      3619008      82400          X                      65950        0      16450
BEST BUY INC COM                       086516101       127807       2910                 X                2910        0          0
BEVERLY ENTERPRISES INC COM NEW        087851309      4552100    1300600          X                     955500        0     345100
BIG LOTS INC COM                       089302103       267742      17802          X                      13502        0       4300
BIG 5 SPORTING GOODS CORP COM          08915P101        79254       6300          X                          0        0       6300
BIO RAD LABS INC CL A                  090572207      4300695      77700          X                      75400        0       2300
BIOGEN INC                             090597105      2532029      66685          X                      35135        0      31550
BIOGEN INC                             090597105       380421      10019                 X                3619        0       6400
BIOLASE TECHNOLOGY INCORPORATED COM    090911108        64740       6000          X                       5000        0       1000
BIOMARIN PHARMACEUTICAL INC COM        09061G101      6048906     619765          X                     520175        0      99590
BIOMET INC COM                         090613100      8064700     281000          X                     260288        0      20712
BIOMET INC COM                         090613100       586829      20447                 X               18293        0       2154
BIOPURE CORP COM                       09065H105        50627       8382          X                       7382        0       1000
BIOPURE CORP COM                       09065H105        12080       2000                 X                2000        0          0
BIOSITE INCORPORATED COM               090945106       517935      10750          X                       9800        0        950






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
BIOSPHERE MEDICAL INC COM              09066V103        78000      13000          X                      13000        0          0
BIOSPHERE MEDICAL INC COM              09066V103         6000       1000                 X                1000        0          0
BIOTIME INC COM                        09066L105         4470       2235          X                       2235        0          0
BIOVAIL CORP COM                       09067J109     20544514     436560          X                     428670        0       7890
BIOVAIL CORP COM                       09067J109       873904      18570                 X                3670        0      14900
BISYS GROUP INC COM                    055472104       991153      53955          X                      46390        0       7565
BISYS GROUP INC COM                    055472104       996021      54220                 X                2630        0      51590
BJS WHOLESALE CLUB INC COM             05548J106       206322      13700          X                       5200        0       8500
BJS WHOLESALE CLUB INC COM             05548J106        72288       4800                 X                2800        0       2000
BKF CAP GROUP INC COM                  05548G102        53047       2430          X                       2430        0          0
BLACK & DECKER CORP                    091797100      4900769     112791          X                      78841        0      33950
BLACK & DECKER CORP                    091797100       743038      17101                 X               14901      200       2000
BLACK BOX CORP DEL COM                 091826107       505680      14000          X                      14000        0          0
BLACK HILLS CORP COM                   092113109       130475       4250          X                       4250        0          0
BLAIR CORP COM                         092828102         2220        100                 X                 100        0          0
BLOCK H & R INC COM                    093671105     11268615     260546          X                     246718        0      13828
BLOCK H & R INC COM                    093671105      2455389      56772                 X               56772        0          0
BLOCKBUSTER INC COM CL A               093679108         5645        335          X                        335        0          0
BLOCKBUSTER INC COM CL A               093679108        16850       1000                 X                1000        0          0
BLUE COAT SYSTEMS INC COM              09534T508          120         20          X                          0        0         20
BLUE RHINO CORP COM                    095811105      3100800     258400          X                     252000        0       6400
BLUE RHINO CORP COM                    095811105       156000      13000                 X                   0        0      13000
BLYTH INC COM                          09643P108        81600       3000          X                       3000        0          0
BMC SOFTWARE INC COM                   055921100     17326832    1061043          X                    1008903        0      52140
BMC SOFTWARE INC COM                   055921100       173751      10640                 X                9670        0        970
BOB EVANS FARMS INC COM                096761101       142749       5100          X                          0        0       5100
BOCA RESORTS INC CL A COM              09688T106         1300        100          X                          0        0        100
BOEING CO COM                          097023105     16214518     472451          X                     371935        0     100516
BOEING CO COM                          097023105      7864153     229142                 X              222156      400       6586
BOISE CASCADE CO                       097383103       917282      38380          X                      26138        0      12242
BOISE CASCADE CO                       097383103         7959        333                 X                 333        0          0
BORDERS GROUP INC COM                  099709107       787325      44709          X                      44709        0          0
BORG WARNER INC COM                    099724106       193200       3000          X                        800        0       2200
BORLAND SOFTWARE CORP COM              099849101      4615496     471450          X                     467500        0       3950
BOSTON BEER INC CL A COM               100557107       694872      48255          X                          0        0      48255
BOSTON BEER INC CL A COM               100557107          720         50                 X                  50        0          0
BOSTON COMMUNICATION GROUP INC COM     100582105       207993      12300          X                      12300        0          0
BOSTON LIFE SCIENCES INC COM           100843408         9250       5000          X                       5000        0          0
BOSTON LIFE SCIENCES INC COM           100843408        37000      20000                 X               20000        0          0
BOSTON PRIVATE FINANCIAL HLDGS COM     101119105      2578752     122100          X                     121200        0        900
BOSTON SCIENTIFIC CORP COM             101137107     37382813     611830          X                     551989        0      59841
BOSTON SCIENTIFIC CORP COM             101137107      3091232      50593                 X               17303      600      32690
BOTTOMLINE TECHNOLOGIES COM            101388106         4005        500          X                        500        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
BOWATER INC COM                        102183100     51483339    1374722          X                    1311779        0      62943
BOWATER INC COM                        102183100      3719160      99310                 X               89270      100       9940
BOWNE & CO INC DEL COM                 103043105       308811      23700          X                      21900        0       1800
BOYD GAMING CORP COM                   103304101         8630        500          X                        500        0          0
BOYD GAMING CORP COM                   103304101       502266      29100                 X                   0        0      29100
BOYKIN LODGING CO COM                  103430104        14820       1900          X                       1900        0          0
BOYKIN LODGING CO COM                  103430104        12035       1543                 X                1543        0          0
BP PRUDHOE BAY RTY TR UNIT BEN INT     055630107        56670       3000          X                       3000        0          0
BP PRUDHOE BAY RTY TR UNIT BEN INT     055630107       151498       8020                 X                7820        0        200
BRADY CORPORATION COM CLASS A          104674106       507020      15203          X                      15203        0          0
BRIGGS & STRATTON CORP COM             109043109      1038280      20560          X                      17500        0       3060
BRIGGS & STRATTON CORP COM             109043109       101000       2000                 X                2000        0          0
BRIGHTPOINT INC COM                    109473405         1758        142                 X                   0        0        142
BRINKER INTL INC COM                   109641100      3492139      96950          X                      84715        0      12235
BRINKER INTL INC COM                   109641100        77803       2160                 X                1120        0       1040
BRINKS CO COM                          109696104       936764      64294          X                      63325        0        969
BRINKS CO COM                          109696104       190925      13104                 X               12579        0        525
BRISTOL MYERS SQUIBB CO                110122108    123565270    4551207          X                    4256579      500     294128
BRISTOL MYERS SQUIBB CO                110122108     84653700    3118000                 X             2939327      800     177873
BRITESMILE INC COM                     110415205          517         20          X                         20        0          0
BROADCOM CORP CL A COM                 111320107      3377422     135585          X                      98695        0      36890
BROADCOM CORP CL A COM                 111320107       575421      23100                 X                 400        0      22700
BROADVISION INC COM                    111412607          244         44          X                         44        0          0
BROADVISION INC COM                    111412607          333         60                 X                  60        0          0
BROCADE COMMUNICATIONS SYTEMS COM      111621108       759287     128475          X                     103565        0      24910
BROCADE COMMUNICATIONS SYTEMS COM      111621108       157797      26700                 X                4000        0      22700
BROOKLINE BANCORP INC COM              11373M107       136682       9763          X                       9763        0          0
BROOKLINE BANCORP INC COM              11373M107       122164       8726                 X                7726        0       1000
BROOKS AUTOMATION INC COM              114340102      4642914     409428          X                     406428        0       3000
BROOKTROUT INC                         114580103        64608       8200          X                       8200        0          0
BROOKTROUT INC                         114580103         2206        280                 X                 280        0          0
BROWN & BROWN INC COM                  115236101        73450       2260          X                       2260        0          0
BROWN FORMAN CORP CL B                 115637209       731166       9300          X                       7083        0       2217
BROWN FORMAN CORP CL B                 115637209       329025       4185                 X                3560        0        625
BROWN SHOE COMPANY INC COM             115736100       345680      11600          X                      11600        0          0
BRUNSWICK CORP COM                     117043109      5076933     202915          X                     182075        0      20840
BRUSH ENGINEERED MATERIALS INC         117421107        99515      11918          X                      11918        0          0
BRYN MAWR BANK CORP COM                117665109       104532       2792          X                       2792        0          0
BRYN MAWR BANK CORP COM                117665109        12355        330                 X                   0        0        330
BSB BANCORP INC COM                    055652101         2034         82          X                         82        0          0
BSB BANCORP INC COM                    055652101        68277       2752                 X                2752        0          0
BUCKEYE TECHNOLOGIES INC COM           118255108      3676760     540700          X                     412800        0     127900
BUCKLE INC COM                         118440106     12218742     635400          X                     429000        0     206400






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                            
BUILDING MATERIALS HOLDING CORP COM    120113105       152350      10280          X                      10280        0          0
BURLINGTON COAT FACTORY WHSE CORP      121579106       520890      29100          X                      29100        0          0
BURLINGTON NORTHN SANTA FE CORP COM    12189T104     23490246     825958          X                     772208        0      53750
BURLINGTON NORTHN SANTA FE CORP COM    12189T104      3232604     113664                 X              107764        0       5900
BURLINGTON RES INC COM                 122014103      7743959     143221          X                     135623        0       7598
BURLINGTON RES INC COM                 122014103      2188213      40470                 X               34150        0       6320
BUSH INDS INC CL A                     123164105          300        100          X                        100        0          0
BUTLER MANUFACTURING CO COM            123655102        67773       4100          X                          0        0       4100
C & D TECHNOLOGIES INC COM             124661109       257044      17900          X                      17700        0        200
C H ROBINSON WORLDWIDE INC COM         12541W100       125812       3550          X                          0        0       3550
C-COR.NET CORPORATION COM              125010108       116620      23800          X                      23800        0          0
CABLE DESIGN TECHNOLOGIES CORP COM     126924109       228800      32000          X                      32000        0          0
CABLE DESIGN TECHNOLOGIES CORP COM     126924109          286         40                 X                  40        0          0
CABLEVISION NY GROUP CL A              12686C109       799364      38505          X                      10295        0      28210
CABOT CORP COM                         127055101     22186248     773040          X                     772490        0        550
CABOT CORP COM                         127055101     17623235     614050                 X              604050        0      10000
CABOT MICROELECTRONICS CORP COM        12709P103      7766371     154003          X                     141598        0      12405
CABOT MICROELECTRONICS CORP COM        12709P103      4556653      90356                 X               77256        0      13100
CABOT OIL & GAS COM                    127097103      4675284     169333          X                     169333        0          0
CABOT OIL & GAS COM                    127097103       908921      32920                 X               32920        0          0
CACI INTL INC CL A COM                 127190304       710010      20700          X                      18700        0       2000
CACI INTL INC CL A COM                 127190304       675710      19700                 X                 200        0      19500
CADENCE DESIGN SYS INC COM             127387108       548730      45500          X                      36400        0       9100
CADENCE DESIGN SYS INC COM             127387108        18090       1500                 X                1500        0          0
CAL DIVE INTERNATIONAL INC COM         127914109       533610      24500          X                      24500        0          0
CAL DIVE INTERNATIONAL INC COM         127914109       780813      35850                 X                   0        0      35850
CALGON CARBON CORP COM                 129603106      1891175     328900          X                     245900        0      83000
CALIFORNIA COASTAL CMNTYS INC COM      129915203          719        109                 X                 109        0          0
CALIFORNIA PIZZA KITCHEN COM           13054D109      2608072     120800          X                     119500        0       1300
CALIFORNIA PIZZA KITCHEN COM           13054D109        86360       4000                 X                4000        0          0
CALLAWAY GOLF CO COM                   131193104      3710854     280700          X                     211000        0      69700
CALLAWAY GOLF CO COM                   131193104        44948       3400                 X                3400        0          0
CALPINE CORP COM                       131347106       572253      86705          X                      74685        0      12020
CALPINE CORP COM                       131347106       559218      84730                 X                2800        0      81930
CAMBREX CORP COM                       132011107       386736      16800          X                      16800        0          0
CAMBREX CORP COM                       132011107       163442       7100                 X                   0        0       7100
CAMDEN NATIONAL CORP COM               133034108       769918      27997          X                      27697        0        300
CAMPBELL SOUP CO COM                   134429109      2188095      89310          X                      65269        0      24041
CAMPBELL SOUP CO COM                   134429109      3078107     125637                 X              113392        0      12245
CANADA SOUTHN PETE LTD                 135231108         2930        637                 X                 218        0        419
CANTERBURY CONSULTING GROUP COM        138108402          149        191          X                        191        0          0
CAPITAL BANCORP LTD COM                14056D105        31436       1160          X                       1160        0          0
CAPITAL CROSSING BK COM                140071101       661984      27400          X                      27400        0          0





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
CAPITAL ONE FINL CORP COM              14040H105      5558127     113016          X                      97246        0      15770
CAPITAL ONE FINL CORP COM              14040H105      2081544      42325                 X               41425        0        900
CAPITAL PROPERTIES INC RI CL A COM     140430109        16340       1900          X                       1900        0          0
CAPSTEAD MTG CORP COM                  14067E506         8453        750                 X                 250        0        500
CAPTARIS INC COM                       14071N104        68112      19800          X                      19800        0          0
CARAUSTAR INDS INC COM                 140909102       145782      18200          X                       6100        0      12100
CARBO CERAMICS INC COM                 140781105       376225      10100          X                      10100        0          0
CARBO CERAMICS INC COM                 140781105          745         20                 X                  20        0          0
CARDINAL HEALTH INC COM                14149Y108     28504704     443308          X                     391987        0      51321
CARDINAL HEALTH INC COM                14149Y108     11157786     173527                 X              150803       75      22649
CAREER ED CORP COM                     141665109        44395        650          X                          0        0        650
CAREER ED CORP COM                     141665109       543122       7952                 X                2662        0       5290
CAREMARK RX INC COM                    141705103      4497570     175139          X                     154138        0      21001
CAREMARK RX INC COM                    141705103      3190714     124249                 X               10462        0     113787
CARLISLE COMPANIES INC                 142339100      1648709      39106          X                      39106        0          0
CARLISLE COMPANIES INC                 142339100       488044      11576                 X               11376        0        200
CARMAX INC COM                         143130102       425417      14110          X                      13036        0       1074
CARMAX INC COM                         143130102       160488       5323                 X                4570        0        753
CARPENTER TECH CORP COM                144285103        90480       5800          X                       5800        0          0
CARPENTER TECH CORP COM                144285103        17066       1094                 X                1092        0          2
CARREKER CORPORATION COM               144433109        68068      15400          X                      15400        0          0
CARRINGTON LABS INC COM                144525102         2450       1000          X                       1000        0          0
CASCADE NATURAL GAS CORP COM           147339105      5358448     280547          X                     187887        0      92660
CASELLA WASTE SYSTEMS INC CL A COM     147448104        65132       7310          X                       7310        0          0
CASEYS GEN STORES INC COM              147528103      7919767     560890          X                     440180        0     120710
CASH AMERICAN INTERNATIONAL INC COM    14754D100       306968      23220          X                      23220        0          0
CASH AMERICAN INTERNATIONAL INC COM    14754D100        12956        980                 X                   0        0        980
CASTLE A M & CO COM                    148411101        67465      10300          X                       1488        0       8812
CASTLE A M & CO COM                    148411101       100215      15300                 X               15300        0          0
CASUAL MALE RETAIL GROUP INC COM       148711104         5895       1125                 X                1125        0          0
CATALINA MARKETING CORP COM            148867104       141200       8000                 X                8000        0          0
CATAPULT COMMUNICATIONS CORP COM       149016107        88116       8400          X                       8400        0          0
CATELLUS DEV CORP COM                  149111106       533566      24253          X                      23703        0        550
CATELLUS DEV CORP COM                  149111106        39556       1798                 X                1798        0          0
CATERPILLAR INC COM                    149123101     11274879     202567          X                     160309        0      42258
CATERPILLAR INC COM                    149123101      9073638     163019                 X              158669        0       4350
CATHAY BANCORP INC COM                 149150104       659636      14800          X                      14800        0          0
CATHAY BANCORP INC COM                 149150104       205022       4600                 X                4600        0          0
CATO CORP NEW COM                      149205106       571268      27100          X                      16600        0      10500
CCBT FINANCIAL CO COM                  12500Q102       475610      19900          X                      17100        0       2800
CCBT FINANCIAL CO COM                  12500Q102      1101790      46100                 X               46100        0          0
CDI CORP                               125071100       327096      12600          X                      11500        0       1100
CEC ENTMT INC COM                      125137109     14533248     393535          X                     319660        0      73875






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
CELESTICA INC COM                      15101Q108     20132580    1277448          X                    1229788        0      47660
CELESTICA INC COM                      15101Q108       756039      47972                 X               47072        0        900
CELGENE CORP COM                       151020104       509712      16800          X                       4400        0      12400
CELGENE CORP COM                       151020104       129704       4275                 X                4275        0          0
CELL GENESYS INC COM                   150921104         2291        260                 X                 260        0          0
CELL THERAPEUTICS INC COM              150934107        21179       2170          X                          0        0       2170
CENDANT CORP COM                       151313103     42882247    2340734          X                    2229599        0     111135
CENDANT CORP COM                       151313103       985103      53772                 X               50657        0       3115
CENTENE CORP COM                       15135B101       273563       7100          X                       7100        0          0
CENTENE CORP COM                       15135B101       192650       5000                 X                5000        0          0
CENTENNIAL CELLULAR CORP COM           15133V208        12494       3108          X                          0        0       3108
CENTER BANCORP INC COM                 151408101         9400        630          X                        630        0          0
CENTER BANCORP INC COM                 151408101       181934      12194                 X               12194        0          0
CENTER FINANCIAL CORP CALIF COM        15146E102        18042       1198                 X                1198        0          0
CENTERPOINT ENERGY INC COM             15189T107       526474      64598          X                      49254        0      15344
CENTERPOINT ENERGY INC COM             15189T107       678708      83277                 X               51249        0      32028
CENTEX CONSTRUCTION PRODUCTS COM       15231R109        52919       1320          X                       1320        0          0
CENTEX CORP COM                        152312104     10609234     136383          X                     123575        0      12808
CENTEX CORP COM                        152312104      1285869      16530                 X               15830        0        700
CENTRA SOFTWARE INC COM                15234X103       189630      60200          X                          0        0      60200
CENTRA SOFTWARE INC COM                15234X103         1991        632                 X                 632        0          0
CENTRAL GARDEN & PET CO COM            153527106        50484       2100          X                       2100        0          0
CENTRAL PKG CORP COM                   154785109       291696      23600          X                      23600        0          0
CENTRAL VT PUB SVC CORP COM            155771108       224532      11485          X                      11485        0          0
CENTRAL VT PUB SVC CORP COM            155771108        84671       4331                 X                3736        0        595
CENTURY ALUMINUM COMPANY COM           156431108        95900      13700          X                      13700        0          0
CENTURY BANCORP CL A NON VTG           156432106        59560       2000          X                       2000        0          0
CENTURY BUSINESS SVCS INC COM          156490104        14458       4490          X                       4490        0          0
CENTURYTEL INC COM                     156700106     32886690     943664          X                     919754        0      23910
CENTURYTEL INC COM                     156700106       851176      24424                 X               17824        0       6600
CEPHALON INC COM                       156708109      2282996      55615          X                      44015        0      11600
CEPHALON INC COM                       156708109        20525        500                 X                 500        0          0
CEPHEID INC COM                        15670R107        24550       5000                 X                5000        0          0
CERIDIAN CORP COM                      156779100        53201       3135          X                       1635        0       1500
CERNER CORP COM                        156782104       722076      31670          X                      23300        0       8370
CERNER CORP COM                        156782104       499320      21900                 X                   0        0      21900
CERTEGY INC COM                        156880106       643162      23177          X                      17377        0       5800
CERTEGY INC COM                        156880106       837884      30194                 X               27394        0       2800
CH ENERGY GROUP INC COM                12541M102       646650      14370          X                      14370        0          0
CH ENERGY GROUP INC COM                12541M102       190845       4241                 X                4241        0          0
CHALONE WINE GROUP LTD COM             157639105          770        100          X                        100        0          0
CHAMPION ENTERPRISES INC COM           158496109       192178      37100          X                      32300        0       4800
CHARLES RIVER ASSOCIATES COM           159852102       262911       9300          X                          0        0       9300





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
CHARLES RIVER LABORATORIES COM         159864107      4229096     131420          X                     118500        0      12920
CHARLES RIVER LABORATORIES COM         159864107       189862       5900                 X                5900        0          0
CHARMING SHOPPES INC                   161133103        15149       3130          X                          0        0       3130
CHARTER COMMUN INC CL A COM            16117M107       286744      76875          X                       5100        0      71775
CHARTER COMMUN INC CL A COM            16117M107         1865        500                 X                 500        0          0
CHARTER MUNI MTG ACCEPT CO COM         160908109       261254      13743                 X               13743        0          0
CHARTER ONE FINL INC COM               160903100     79509780    2550025          X                    2417110        0     132915
CHARTER ONE FINL INC COM               160903100      9845958     315778                 X              283739        0      32039
CHASE CORP COM                         16150R104        28401       2309          X                       2309        0          0
CHASE CORP COM                         16150R104        22140       1800                 X                1800        0          0
CHECK POINT SOFTWARE TECH COM          M22465104      3468251     177859          X                     174109        0       3750
CHECK POINT SOFTWARE TECH COM          M22465104        26598       1364                 X                 864        0        500
CHECKERS DRIVE-IN RESTAURANT COM NEW   162809305     13748346    1215592          X                     813492        0     402100
CHECKERS DRIVE-IN RESTAURANT COM NEW   162809305        22620       2000                 X                2000        0          0
CHECKFREE CORP NEW COM                 162813109       256732       9169          X                        500        0       8669
CHECKFREE CORP NEW COM                 162813109       126000       4500                 X                4500        0          0
CHECKPOINT SYS INC COM                 162825103       314130      22200          X                      17600        0       4600
CHEESECAKE FACTORY INC                 163072101      1953853      54516          X                      53916        0        600
CHEESECAKE FACTORY INC                 163072101       240128       6700                 X                6700        0          0
CHEMICAL FINL CORP                     163731102        65719       2224          X                       2224        0          0
CHEMICAL FINL CORP                     163731102         8274        280                 X                   0        0        280
CHESAPEAKE CORP COM                    165159104       218500      10000          X                      10000        0          0
CHESAPEAKE ENERGY CORP COM             165167107        81810       8100          X                          0        0       8100
CHESAPEAKE ENERGY CORP COM             165167107       751440      74400                 X                1000        0      73400
CHESAPEAKE UTILITIES                   165303108        27120       1200                 X                1200        0          0
CHEVRONTEXACO CORP COM                 166764100     97664290    1352691          X                    1227029        0     125662
CHEVRONTEXACO CORP COM                 166764100     77845390    1078191                 X             1014797       37      63357
CHICAGO MERCANTILE EXCHANGE COM        167760107       105838       1520          X                          0        0       1520
CHICAGO MERCANTILE EXCHANGE COM        167760107        13926        200                 X                 200        0          0
CHICOS FAS INC COM                     168615102      3266960     155200          X                     140250        0      14950
CHICOS FAS INC COM                     168615102       595715      28300                 X                5700        0      22600
CHILDRENS PL RETAIL STORES INC         168905107       350088      17400          X                      17400        0          0
CHINADOTCOM CORPORATION COM            G2108N109         1682        200          X                        200        0          0
CHIQUITA BRANDS INTL INC COM           170032809        39223       2705          X                       2705        0          0
CHIRON CORP COM                        170040109      1049131      23920          X                      21970        0       1950
CHIRON CORP COM                        170040109       309476       7056                 X                7056        0          0
CHITTENDEN CORP                        170228100       971581      35524          X                      34524        0       1000
CHITTENDEN CORP                        170228100       267538       9782                 X                3992        0       5790
CHOICE HOTELS INTL INC COM             169905106       163860       6000                 X                6000        0          0
CHOICEPOINT INC COM                    170388102       988100      28624          X                      24001        0       4623
CHOICEPOINT INC COM                    170388102       940774      27253                 X               26547        0        706
CHOLESTECH CORP COM                    170393102        83249       8300          X                          0        0       8300
CHRISTOPHER & BANKS CORP COM           171046105       981160      26525          X                      16200        0      10325





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
CHUBB CORP                             171232101      9693000     161550          X                     102221        0      59329
CHUBB CORP                             171232101      7244400     120740                 X              103290       50      17400
CHURCH & DWIGHT CO COM                 171340102        94917       2900          X                       1400        0       1500
CHURCH & DWIGHT CO COM                 171340102        16365        500                 X                 500        0          0
CIBER INC COM                          17163B102       292734      41700          X                      41700        0          0
CIENA COM                              171779101       284112      54954          X                      53241        0       1713
CIENA COM                              171779101         1034        200                 X                   0        0        200
CIGNA CORP COM                         125509109     28811772     613800          X                     576391        0      37409
CIGNA CORP COM                         125509109     21272926     453194                 X              436641        0      16553
CIMA LABS INC COM                      171796105       250077       9300          X                       9300        0          0
CIMA LABS INC COM                      171796105       615781      22900                 X                   0        0      22900
CIMAREX ENERGY CO COM                  171798101      7059070     297224          X                     247524        0      49700
CIMAREX ENERGY CO COM                  171798101       324259      13653                 X                1153        0      12500
CINCINNATI BELL INC COM                171871106         4422        660          X                        160        0        500
CINCINNATI BELL INC COM                171871106        43041       6424                 X                6424        0          0
CINCINNATTI FINL CORP COM              172062101      1535308      41450          X                      40950        0        500
CINCINNATTI FINL CORP COM              172062101       917296      24765                 X               24765        0          0
CINERGY CORP COM                       172474108      1314028      35717          X                      20862        0      14855
CINERGY CORP COM                       172474108       842528      22901                 X               12001        0      10900
CINTAS CORP COM                        172908105      1357748      38322          X                      34822        0       3500
CINTAS CORP COM                        172908105       441104      12450                 X               12450        0          0
CIPHERGEN BIOSYSTEMS INC COM           17252Y104       875904      85454          X                      83654        0       1800
CIPHERGEN BIOSYSTEMS INC COM           17252Y104      1496654     146015                 X                   0        0     146015
CIPRICO INC COM                        172529109       179340      29400          X                          0        0      29400
CIRCOR INTL INC COM                    17273K109      9649596     541200          X                     438900        0     102300
CIRCUIT CITY GROUP COM                 172737108      3806370     432542          X                     415144        0      17398
CIRCUIT CITY GROUP COM                 172737108       135520      15400                 X               13000        0       2400
CIRRUS LOGIC INC COM                   172755100        48678      12200          X                      12200        0          0
CISCO SYS INC COM                      17275R102    283278227   16871842          X                   15809295        0    1062547
CISCO SYS INC COM                      17275R102     79617911    4741984                 X             4279908     2257     459819
CIT GROUP INC COM                      125581108       423364      17175          X                       1400        0      15775
CITIBANK WEST FSB COM                  17306J202          107        100          X                        100        0          0
CITIGROUP INC COM                      172967101    556004271   12990754          X                   12144572       38     846144
CITIGROUP INC COM                      172967101    164934251    3853604                 X             3495465     1405     356734
CITIZENS COMMUNICATIONS CO COM         17453B101       851887      66089          X                      56789        0       9300
CITIZENS COMMUNICATIONS CO COM         17453B101       475641      36900                 X               36900        0          0
CITRIX SYSTEMS INC COM                 177376100      7150432     351200          X                     336800        0      14400
CITRIX SYSTEMS INC COM                 177376100       570080      28000                 X                 200        0      27800
CITY NATL CORP COM                     178566105      3124102      70110          X                      67610        0       2500
CITY NATL CORP COM                     178566105        77089       1730                 X                1730        0          0
CLAIRES STORES INC COM                 179584107        12680        500                 X                 500        0          0
CLARCOR INC COM                        179895107       724740      18800          X                      16300        0       2500
CLARCOR INC COM                        179895107        15420        400                 X                 400        0          0





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
CLARK INC COM                          181457102         1195        100          X                        100        0          0
CLAYTON HOMES INC                      184190106        50024       3986          X                       3406        0        580
CLAYTON HOMES INC                      184190106        64545       5143                 X                2460        0       2683
CLEAN HBRS INC COM                     184496107         2856        300          X                        300        0          0
CLEAN HBRS INC COM                     184496107          857         90                 X                  90        0          0
CLEAR CHANNEL COMMUNICATIONS INC       184502102      8127223     191725          X                     151035        0      40690
CLEAR CHANNEL COMMUNICATIONS INC       184502102      1245630      29385                 X                1825        0      27560
CLECO CORP NEW COM                     12561W105       624213      36040          X                      36040        0          0
CLECO CORP NEW COM                     12561W105       451844      26088                 X               21588        0       4500
CLEVELAND-CLIFFS INC COM               185896107       119595       6700          X                       6700        0          0
CLOROX CO COM                          189054109      3630496      85123          X                      34741        0      50382
CLOROX CO COM                          189054109      2423416      56821                 X               53621        0       3200
CLOSURE MEDICAL CORP COM               189093107         3718        200          X                          0        0        200
CMGI INC COM                           125750109        16359      10834          X                      10834        0          0
CMGI INC COM                           125750109         3398       2250                 X                2250        0          0
CMS ENERGY CORP                        125896100       286335      35350          X                      19400        0      15950
CNET NETWORKS INC COM                  12613R104        18933       3182          X                       3182        0          0
CNF INC COM                            12612W104       672062      26480          X                      23280        0       3200
COACH INC COM                          189754104       759779      15275          X                       9645        0       5630
COACHMEN INDS INC COM                  189873102       132645      11100          X                      11100        0          0
COBALT CORP COM                        19074W100      3280808     159650          X                     158400        0       1250
COBALT CORP COM                        19074W100       764460      37200                 X               10000        0      27200
COCA COLA BOTTLING CO CONS COM         191098102       322140       5900          X                        700        0       5200
COCA COLA CO COM                       191216100    151033038    3254321          X                    3012664        0     241657
COCA COLA CO COM                       191216100     95340249    2054304                 X             1953019      500     100785
COCA COLA ENTERPRISES INC COM          191219104      1374590      75735          X                      74000        0       1735
COCA COLA ENTERPRISES INC COM          191219104       418993      23085                 X               21485        0       1600
COEUR D'ALENE MINES CORP COM           192108108          445        320          X                        320        0          0
COEUR D'ALENE MINES CORP COM           192108108          973        700                 X                 700        0          0
COGNEX CORP COM                        192422103       636405      28500          X                      28500        0          0
COGNIZANT TECHNOLOGY SOLUTIONS CL A    192446102      3846083     157691          X                     146047        0      11644
COGNIZANT TECHNOLOGY SOLUTIONS CL A    192446102      1477936      60596                 X                6189        0      54407
COHERENT INC COM                       192479103       463557      19100          X                      16500        0       2600
COHU INC COM                           192576106       213720      13700          X                      13700        0          0
COINSTAR INC COM                       19259P300       266913      14100          X                      14100        0          0
COINSTAR INC COM                       19259P300         8651        457                 X                 457        0          0
COLGATE PALMOLIVE CO COM               194162103     29168495     503339          X                     451652        0      51687
COLGATE PALMOLIVE CO COM               194162103     22553561     389190                 X              369199        0      19991
COLLAGENEX PHARMACEUTICALS INC COM     19419B100         6630        500          X                        500        0          0
COLLINS & AIKMAN CORP NEW COM          194830204        29500      10000          X                      10000        0          0
COLONIAL BANCGROUP INC COM             195493309        47158       3400          X                          0        0       3400
COLUMBIA BANCORP OR COM                197231103        56786       4260          X                          0        0       4260
COLUMBIA LABS INC COM                  197779101        67500       6000                 X                6000        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
COMCAST CORP CL A COM                  20030N101     29927544     991635          X                     876764        0     114871
COMCAST CORP CL A COM                  20030N101     28855581     956116                 X              827698      351     128067
COMCAST CORP SPL CL A COM              20030N200     10259068     353883          X                     225118        0     128765
COMCAST CORP SPL CL A COM              20030N200      4100693     141452                 X              110972      125      30355
COMERICA INC COM                       200340107      6498329     139749          X                     123749        0      16000
COMERICA INC COM                       200340107      1694228      36435                 X               36435        0          0
COMFORT SYS USA INC COM                199908104        17621       6700          X                       6700        0          0
COMMERCE BANCORP INC NJ COM            200519106       205868       5549          X                       5549        0          0
COMMERCE BANCORP INC NJ COM            200519106      1426681      38455                 X               38455        0          0
COMMERCE BANCSHARES INC COM            200525103        95860       2463          X                       1500        0        963
COMMERCE BANCSHARES INC COM            200525103      2257632      58007                 X               58007        0          0
COMMERCE GROUP INC MA COM              200641108        56110       1550          X                       1550        0          0
COMMERCE GROUP INC MA COM              200641108      2999351      82855                 X               82855        0          0
COMMERCE ONE INC COM                   200693208          188         80          X                         80        0          0
COMMERCIAL CAITAL BANCORP COM          20162L105      1174142      75800          X                      75245        0        555
COMMERCIAL FED CORP COM                201647104       741788      34990          X                      15400        0      19590
COMMERCIAL METALS CO COM               201723103       821471      46176          X                      27944        0      18232
COMMERCIAL METALS CO COM               201723103        53370       3000                 X                3000        0          0
COMMERCIAL NET LEASE RLTY INC COM      202218103        23653       1372          X                          0        0       1372
COMMONWEALTH INDS INC DEL COM          203004106        50846      10400          X                      10400        0          0
COMMONWEALTH TEL ENTERPRISE COM CL B   203349204         3255         68          X                         68        0          0
COMMONWEALTH TEL ENTERPRISES INC COM   203349105       218382       4970          X                         70        0       4900
COMMONWEALTH TEL ENTERPRISES INC COM   203349105        81289       1850                 X                1850        0          0
COMMUNICATIONS SYSTEMS INC             203900105         7800       1000          X                       1000        0          0
COMMUNITY BANCORP OF NJ COM            20343B109       456543      24078          X                      24078        0          0
COMMUNITY BANK SYS COM                 203607106       387600      10200          X                      10200        0          0
COMMUNITY BANK SYS COM                 203607106       341696       8992                 X                8992        0          0
COMMUNITY BANKSHARES INC COM           20343F100         6460        400                 X                 400        0          0
COMMUNITY BKS INC COM                  203628102        88850       3018          X                       3018        0          0
COMMUNITY FIRST BANKSHARES INC COM     203902101       737116      27070          X                      27070        0          0
COMMUNITY FIRST BANKSHARES INC COM     203902101        16066        590                 X                   0        0        590
COMMUNITY HEALTH SYS INC COM           203668108      1029951      53393          X                      23048        0      30345
COMMUNITY HEALTH SYS INC COM           203668108      1012918      52510                 X                1050        0      51460
COMMUNITY TRUST BANCORP INC COM        204149108        36886       1410          X                       1410        0          0
COMPASS BANCSHARES INC COM             20449H109        13892        400                 X                 400        0          0
COMPUCREDIT CORP COM                   20478N100         8862        730          X                        730        0          0
COMPUDYNE CORP COM                     204795306       400760      43000          X                      43000        0          0
COMPUDYNE CORP COM                     204795306        41008       4400                 X                4400        0          0
COMPUTER ASSOCIATES INTL INC COM       204912109      2554246     114643          X                      54143        0      60500
COMPUTER ASSOCIATES INTL INC COM       204912109       775678      34815                 X               22315        0      12500
COMPUTER HORIZONS CORP COM             205908106        19023       4190          X                       4190        0          0
COMPUTER MOTION INC COM                205253107          776        200          X                        200        0          0
COMPUTER NETWORK TECHNOLOGY CORP COM   204925101        43131       5439          X                       1939        0       3500





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
COMPUTER SCIENCES CORP COM             205363104     22719634     596003          X                     542022        0      53981
COMPUTER SCIENCES CORP COM             205363104      1950486      51167                 X               40117        0      11050
COMPUTER TASK GROUP INC COM            205477102      6070332    2137441          X                    1436841        0     700600
COMPUTER TASK GROUP INC COM            205477102         9088       3200                 X                3200        0          0
COMPUTERIZED THERMAL IMAGING COM       20557C108         4312       9800          X                       9800        0          0
COMPUWARE CORP COM                     205638109      2597155     454048          X                     444486        0       9562
COMSTOCK RES INC COM                   205768203      2262672     165400          X                     154300        0      11100
COMVERSE TECHNOLOGY INC COM            205862402      2090143     139250          X                     126750        0      12500
COMVERSE TECHNOLOGY INC COM            205862402       321214      21400                 X                   0        0      21400
CONAGRA FOODS INC COM                  205887102     39955956    1693049          X                    1581134        0     111915
CONAGRA FOODS INC COM                  205887102      6412993     271737                 X              266437        0       5300
CONCEPTUS INC COM                      206016107        14020       1000                 X                1000        0          0
CONCERTO SOFTWARE INC COM              20602T106        68925       7500          X                       7500        0          0
CONCORD CAMERA CORP COM                206156101       126672      18200          X                      18200        0          0
CONCORD COMMUNICATIONS INC COM         206186108       155714      11300          X                      11300        0          0
CONCORD COMMUNICATIONS INC COM         206186108         4134        300                 X                 300        0          0
CONCORD EFS INC COM                    206197105      8828232     599744          X                     584709        0      15035
CONCORD EFS INC COM                    206197105      1162821      78996                 X               34396        0      44600
CONCUR TECHNOLOGIES INC COM            206708109        19209       1900          X                          0        0       1900
CONE MLS CORP N C COM                  206814105          159        100                 X                 100        0          0
CONEXANT SYSTEMS INC COM               207142100        17306       3400          X                       3400        0          0
CONEXANT SYSTEMS INC COM               207142100        61976      12176                 X               12176        0          0
CONMED CORP COM                        207410101      1055807      57412          X                      25875        0      31537
CONMED CORP COM                        207410101        13756        748                 X                   0        0        748
CONNECTICUT WTR SVC INC COM            207797101       178404       6988          X                       6988        0          0
CONNECTICUT WTR SVC INC COM            207797101       143964       5639                 X                5639        0          0
CONNETICS CORP COM                     208192104        15000       1000          X                       1000        0          0
CONNETICS CORP COM                     208192104      1086000      72400                 X                   0        0      72400
CONOCOPHILLIPS COM                     20825C104    151947412    2772763          X                    2598625        0     174138
CONOCOPHILLIPS COM                     20825C104     37015098     675458                 X              636086      566      38806
CONSOLIDATED EDISON INC COM            209115104    108144385    2498715          X                    2414903        0      83812
CONSOLIDATED EDISON INC COM            209115104     21524832     497339                 X              442825      200      54314
CONSOLIDATED GRAPHICS INC COM          209341106       267925      11710          X                      11710        0          0
CONSOLIDATED GRAPHICS INC COM          209341106         9610        420                 X                   0        0        420
CONSOLIDATED TOMOKA LD CO              210226106         5526        220          X                        220        0          0
CONSTELLATION BRANDS INC CL A COM      21036P108       587180      18700          X                       2650        0      16050
CONSTELLATION BRANDS INC CL A COM      21036P108        34540       1100                 X                1100        0          0
CONSTELLATION BRANDS INC CL B COM      21036P207        12580        400          X                        400        0          0
CONSTELLATION ENERGY GROUP INC COM     210371100      4640550     135293          X                      80740        0      54553
CONSTELLATION ENERGY GROUP INC COM     210371100      2676498      78032                 X               74907        0       3125
CONVERGYS CORP COM                     212485106      2910240     181890          X                     178290        0       3600
CONVERGYS CORP COM                     212485106       124384       7774                 X                7774        0          0
COOPER CAMERON CORP COM                216640102      1189724      23615          X                        365        0      23250
COOPER CAMERON CORP COM                216640102        55922       1110                 X                1110        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
COOPER COMPANIES INC COM               216648402       769286      22125          X                      20625        0       1500
COOPER COMPANIES INC COM               216648402       632814      18200                 X                   0        0      18200
COOPER TIRE & RUBBER CO COM            216831107      7289032     414385          X                     305940        0     108445
COOPER TIRE & RUBBER CO COM            216831107       168864       9600                 X                9600        0          0
COORS ADOLPH CO CL B                   217016104       228639       4668          X                       2929        0       1739
COPART INC COM                         217204106       263891      27925          X                        600        0      27325
COPPER MOUNTAIN NETWORKS INC COM       217510205         1404        130          X                          0        0        130
COPPER MOUNTAIN NETWORKS INC COM       217510205          108         10                 X                  10        0          0
COREL CORPORATION COM                  21868Q109           52         50                 X                  50        0          0
CORINTHIAN COLLEGES INC COM            218868107       103867       2150          X                         50        0       2100
CORINTHIAN COLLEGES INC COM            218868107      1193257      24700                 X                2900        0      21800
CORN PRODS INTL INC COM                219023108     10250861     341354          X                     265934        0      75420
CORN PRODS INTL INC COM                219023108       321982      10722                 X               10222        0        500
CORNELL COMPANIES INC COM              219141108     10225556     675400          X                     538000        0     137400
CORNING INC COM                        219350105      3511395     475155          X                     342762        0     132393
CORNING INC COM                        219350105      4969420     672452                 X              370517        0     301935
CORPORATE EXECUTIVE BRD CO COM         21988R102      4201399     102925          X                      98125        0       4800
CORPORATE EXECUTIVE BRD CO COM         21988R102      1255215      30750                 X                3000        0      27750
CORUS BANKSHARES INC COM               220873103        58237       1210          X                       1210        0          0
CORVIS CORP COM                        221009103          435        300          X                        200        0        100
CORVIS CORP COM                        221009103       273325     188500                 X                 100        0     188400
COST PLUS INC CA COM                   221485105      3659742     102600          X                     101900        0        700
COST PLUS INC CA COM                   221485105       538617      15100                 X                   0        0      15100
COSTAR GROUP INC COM                   22160N109        84588       2850          X                       1000        0       1850
COSTCO WHOLESALE CORP COM NEW          22160K105     21547921     588741          X                     557937        0      30804
COSTCO WHOLESALE CORP COM NEW          22160K105      1788020      48853                 X               46353        0       2500
COUNTRYWIDE FINANCIAL CORP COM         222372104     20594877     296031          X                     285826        0      10205
COUNTRYWIDE FINANCIAL CORP COM         222372104        90441       1300                 X                1300        0          0
COUSINS PROPERTIES INC                 222795106      3035520     108800          X                     103600        0       5200
COVANCE INC COM                        222816100        20797       1149          X                       1149        0          0
COVANCE INC COM                        222816100       125686       6944                 X                6114        0        830
COVENANT TRANS INC CL A COM            22284P105        37580       2190          X                       2190        0          0
COVENTRY HEALTH CARE INC COM           222862104       398592       8635          X                       3070        0       5565
COVENTRY HEALTH CARE INC COM           222862104      1144306      24790                 X                1590        0      23200
COX COMMUNICATIONS INC CL A NEW COM    224044107      2571874      80623          X                      48083        0      32540
COX COMMUNICATIONS INC CL A NEW COM    224044107       402323      12612                 X                9330        0       3282
COX RADIO INC CL A COM                 224051102       681745      29500          X                      29500        0          0
CPI CORP COM                           125902106        93545       5300          X                       5300        0          0
CRACKER BARRELL GROUP INC COM          12489V106       388500      10000          X                       9100        0        900
CRACKER BARRELL GROUP INC COM          12489V106        27195        700                 X                 700        0          0
CRANE CO COM                           224399105       411889      18201          X                      17825        0        376
CRANE CO COM                           224399105        56575       2500                 X                2500        0          0
CRAWFORD & CO CL A  COM                224633206        80976      16696                 X               16696        0          0





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED    NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
CRAWFORD & CO CL B COM                 224633107        94110      19167                 X               19167        0          0
CRAY INC COM                           225223106      3873370     490300          X                     486500        0       3800
CRAY INC COM                           225223106          395         50                 X                  50        0          0
CREDENCE SYS CORP COM                  225302108          258         30          X                         30        0          0
CREDENCE SYS CORP COM                  225302108       797152      92800                 X                   0        0      92800
CREE INC COM                           225447101       337106      20745          X                      11300        0       9445
CREE INC COM                           225447101        70688       4350                 X                4350        0          0
CRITICAL PATH COM                      22674V100          689        696          X                        696        0          0
CROMPTON CORP COM                      227116100     11246668    1595272          X                     138454        0    1456818
CROMPTON CORP COM                      227116100      2947217     418045                 X              418045        0          0
CROSS A T CO CL A COM                  227478104       654499     110185          X                     110185        0          0
CROSS A T CO CL A COM                  227478104      3074544     517600                 X              517600        0          0
CROSS COUNTRY HEALTHCARE INC COM       227483104        41151       3127          X                       3127        0          0
CROSS COUNTRY HEALTHCARE INC COM       227483104         6580        500                 X                 500        0          0
CROSSROADS SYSTEMS COM                 22765D100        32682      19350          X                      19350        0          0
CROWN CASTLE INTL CORP COM             228227104       308982      39766          X                      36900        0       2866
CROWN CASTLE INTL CORP COM             228227104       103341      13300                 X                5000        0       8300
CROWN HOLDINGS INC COM                 228368106      2034971     285010          X                     262600        0      22410
CRYO-CELL INTL INC COM                 228895108         5100       5000                 X                5000        0          0
CRYOLIFE INC COM                       228903100       132480      12800          X                      12800        0          0
CRYOLIFE INC COM                       228903100         5175        500                 X                 500        0          0
CSP INCORPORATED COM                   126389105        11109       3450          X                       3450        0          0
CSX CORP COM                           126408103      5321025     176837          X                     128834        0      48003
CSX CORP COM                           126408103      2272096      75510                 X               74110        0       1400
CT COMMUNICATIONS INC COM              126426402      4457577     416596          X                     338900        0      77696
CTI MOLECULAR IMAGING INC COM          22943D105       172513       9250          X                          0        0       9250
CTI MOLECULAR IMAGING INC COM          22943D105       676995      36300                 X                7500        0      28800
CTS CORP COM                           126501105       334400      32000          X                      22300        0       9700
CTS CORP COM                           126501105         2090        200                 X                 200        0          0
CUBIC CORP COM                         229669106       386628      17400          X                      17400        0          0
CUBIST PHARMACEUTICALS INC COM         229678107        54000       5000                 X                5000        0          0
CULLEN FROST BANKERS INC COM           229899109      1281432      39920          X                      31920        0       8000
CUMMINS INC COM                        231021106       473138      13183          X                      10651        0       2532
CUMULUS MEDIA INC COM                  231082108          939         50                 X                  50        0          0
CUNO INCORPORATED COM                  126583103      3400988      93924          X                      93449        0        475
CURAGEN CORP COM                       23126R101        41259       7770          X                        470        0       7300
CURATIVE HEALTH SERVICES INC           231264102       136971       8100          X                       8100        0          0
CURIS INC COM                          231269101        18300       5000                 X                5000        0          0
CURON MEDICAL INC COM                  231292103         4596       4000          X                       4000        0          0
CURTISS WRIGHT CORP CL B COM           231561408        48469        778          X                        778        0          0
CURTISS WRIGHT CORP CL B COM           231561408       212692       3414                 X                3368        0         46
CURTISS-WRIGHT CORP COM                231561101       564060       8925          X                       6700        0       2225
CURTISS-WRIGHT CORP COM                231561101         2528         40                 X                  40        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
CV THERAPEUTICS INC COM                126667104      9674331     324860          X                     255460        0      69400
CVB FINANCIAL CORP COM                 126600105       102555       5300          X                          0        0       5300
CVS CORP COM                           126650100     86788252    3096263          X                    2888753        0     207510
CVS CORP COM                           126650100     21554145     768967                 X              709919      250      58798
CYBERONICS INC COM                     23251P102       211288       9800          X                          0        0       9800
CYBEX INTERNATIONAL INC COM            23252E106         7000       5000          X                          0        0       5000
CYMER INC COM                          232572107      4493007     140100          X                     139200        0        900
CYPRESS BIOSCIENCES INC COM            232674507       133966      30939          X                      30939        0          0
CYPRESS SEMICONDUCTOR CORP             232806109       215400      17950                 X               17950        0          0
CYTEC INDS INC COM                     232820100       190463       5635          X                       4335        0       1300
CYTEC INDS INC COM                     232820100       165012       4882                 X                4457        0        425
CYTOGEN CORP COM                       232824300         2374        285          X                        285        0          0
CYTYC CORP COM                         232946103       211960      20091          X                      20091        0          0
CYTYC CORP COM                         232946103      1109744     105189                 X              105189        0          0
D & K HEALTHCARE RESOURCES COM         232861104         3228        200          X                        200        0          0
D R HORTON INC COM                     23331A109      1515686      53939          X                       5645        0      48294
D R HORTON INC COM                     23331A109        87110       3100                 X                3100        0          0
DAKTRONICS INC COM                     234264109         4878        300          X                        300        0          0
DANA CORP COM                          235811106       497924      43073          X                      20802        0      22271
DANA CORP COM                          235811106      1245012     107700                 X              107600        0        100
DANAHER CORP COM                       235851102     30066804     441834          X                     411063        0      30771
DANAHER CORP COM                       235851102      2240410      32923                 X               28779       50       4094
DANIELSON HLDG CORP COM                236274106          160        100          X                        100        0          0
DARDEN RESTAURANTS INC COM             237194105      6151285     324093          X                     234422        0      89671
DARDEN RESTAURANTS INC COM             237194105      1244879      65589                 X               43916        0      21673
DATASCOPE CORP                         238113104     12056101     415155          X                     314955        0     100200
DATATEC SYS INC COM                    238128102           19         18          X                         18        0          0
DAVITA INC COM                         23918K108      1456484      54387          X                      33356        0      21031
DAVITA INC COM                         23918K108      1721445      64281                 X                2540        0      61741
DEAN FOODS CO COM                      242370104      6044378     191885          X                     146735        0      45150
DEAN FOODS CO COM                      242370104      1654065      52510                 X               10788        0      41722
DEERE JOHN & CO COM                    244199105     14040502     307232          X                     270294        0      36938
DEERE JOHN & CO COM                    244199105      5756646     125966                 X              116948        0       9018
DEL MONTE FOODS CO COM                 24522P103       862607      97580          X                      95617        0       1963
DEL MONTE FOODS CO COM                 24522P103       596196      67443                 X               64859        0       2584
DELCATH SYSTEMS INC COM                24661P104         5650       5000                 X                5000        0          0
DELIA*S CORP CL A COM                  24688Q101           82        119          X                        119        0          0
DELL COMPUTER CORP COM                 247025109    140575288    4415053          X                    4167863        0     247190
DELL COMPUTER CORP COM                 247025109     22870194     718285                 X              652425      225      65635
DELPHI CORPORATION COM                 247126105     10452035    1211128          X                    1074118        0     137010
DELPHI CORPORATION COM                 247126105      1039596     120463                 X              112760        0       7703
DELPHI FINL GROUP INC CL A             247131105      1423188      30410          X                      15110        0      15300
DELPHI FINL GROUP INC CL A             247131105        13338        285                 X                   0        0        285





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
DELTA & PINE LAND CO COM               247357106     15456336     703200          X                     566000        0     137200
DELTA AIR LINES INC DEL COM            247361108       508721      34654          X                      29922        0       4732
DELTA AIR LINES INC DEL COM            247361108        62742       4274                 X                4064        0        210
DELTA APPAREL INC COM                  247368103        17550       1080          X                       1080        0          0
DELTIC TIMBER CORP COM                 247850100       303192      10657          X                      10657        0          0
DELTIC TIMBER CORP COM                 247850100        23215        816                 X                 816        0          0
DELUXE CORP COM                        248019101      1104365      24651          X                      21644        0       3007
DELUXE CORP COM                        248019101       829517      18516                 X               18516        0          0
DENDREON CORP COM                      24823Q107        20790       3500                 X                3500        0          0
DENDRITE INTL INC COM                  248239105       544854      42600          X                      26200        0      16400
DENTSPLY INTL INC NEW COM              249030107         8274        202          X                        102        0        100
DENTSPLY INTL INC NEW COM              249030107        12288        300                 X                 300        0          0
DEPARTMENT 56 INC COM                  249509100       130305       8500          X                       8500        0          0
DEPOMED INC COM                        249908104         9600       2000          X                       2000        0          0
DETWILER MITCHELL & CO COM             251464103         6225       7500                 X                   0        0       7500
DEVON ENERGY CORPORATION COM           25179M103      2388208      44723          X                      27889        0      16834
DEVON ENERGY CORPORATION COM           25179M103       665204      12457                 X                1917        0      10540
DEVRY INC DEL COM                      251893103        16652        715          X                        715        0          0
DEVRY INC DEL COM                      251893103       251532      10800                 X               10000        0        800
DHB INDUSTRIES INC COM                 23321E103        16360       4000          X                       4000        0          0
DIAGNOSTIC PRODUCTS COM                252450101       808685      19700          X                      18700        0       1000
DIAL CORP COM                          25247D101        35827       1842          X                        642        0       1200
DIAL CORP COM                          25247D101         5563        286                 X                   0        0        286
DIAMETRICS MEDICAL INC COM             252532106         1190       1000          X                       1000        0          0
DIAMOND OFFSHORE DRILLING INC COM      25271C102       580059      27635          X                      16585        0      11050
DIAMOND OFFSHORE DRILLING INC COM      25271C102         8396        400                 X                   0        0        400
DIAMONDCLUSTER INTL INC CL A COM       25278P106        14520       4000          X                       3000        0       1000
DICKS SPORTING GOODS INC COM           253393102        55570       1515          X                        115        0       1400
DIEBOLD INC COM                        253651103      3119277      72122          X                      63122        0       9000
DIEBOLD INC COM                        253651103       970703      22444                 X               17864        0       4580
DIGI INTL INC COM                      253798102        74421      13100          X                      13100        0          0
DIGITAL INSIGHT CORP COM               25385P106       142050       7500          X                          0        0       7500
DIGITAL LIGHTWAVE INC COM              253855100          550        500                 X                 500        0          0
DIGITAL RIV INC COM                    25388B104      3123461     163105          X                     160405        0       2700
DIGITAS INC COM                        25388K104         2239        447          X                        447        0          0
DILLARDS INC CL A COM                  254067101       129312       9600          X                       8742        0        858
DILLARDS INC CL A COM                  254067101         8756        650                 X                 650        0          0
DIME CMNTY BANCORP INC COM             253922108      5975806     235825          X                     228100        0       7725
DIMON INC COM                          254394109       209072      29200          X                      29200        0          0
DIONEX CORP COM                        254546104       540464      13600          X                          0        0      13600
DISCOVERY LABORATORIES INC COM         254668106         4494        700          X                        700        0          0
DISNEY WALT CO COM                     254687106    105822949    5358124          X                    4944654        0     413470
DISNEY WALT CO COM                     254687106     27828817    1409054                 X             1329563      800      78691





    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                            
DITECH COMMUNICATIONS CORP COM         25500M103         9720       2000          X                       2000        0          0
DIVERSA CORP COM                       255064107         6795        710          X                          0        0        710
DIVERSIFIED CORPORATE RES INC COM      255153108        30000      40000          X                      40000        0          0
DOBSON COMM CORP CL A COM              256069105       228191      43300                 X                   0        0      43300
DOCUMENTUM INC COM                     256159104      1050024      53600                 X                   0        0      53600
DOLLAR GEN CORP COM                    256669102      1109350      60753          X                      52778        0       7975
DOLLAR GEN CORP COM                    256669102       758612      41545                 X               12595        0      28950
DOLLAR THRIFTY AUTOMOTIVE GROUP COM    256743105      2652650     143000          X                     122800        0      20200
DOLLAR TREE STORES INC COM             256747106      2662072      83792          X                      32571        0      51221
DOLLAR TREE STORES INC COM             256747106       368532      11600                 X               11600        0          0
DOMINION RES INC VA COM                25746U109     72126750    1122246          X                    1054185        0      68061
DOMINION RES INC VA COM                25746U109     20534779     319508                 X              296944      200      22364
DONALDSON INC COM                      257651109       186690       4200          X                       4200        0          0
DONALDSON INC COM                      257651109       504508      11350                 X               10300        0       1050
DONNELLEY R R & SONS CO                257867101      2723579     104192          X                      89414        0      14778
DONNELLEY R R & SONS CO                257867101      2189120      83746                 X               78646        0       5100
DOUBLECLICK INC COM                    258609304       136900      14800          X                        500        0      14300
DOUBLECLICK INC COM                    258609304        27750       3000                 X                3000        0          0
DOVER CORP COM                         260003108     13997372     467202          X                     435164        0      32038
DOVER CORP COM                         260003108     17776826     593352                 X              564523      600      28229
DOW CHEMICAL CO COM                    260543103     26016864     840338          X                     749935      150      90253
DOW CHEMICAL CO COM                    260543103     25768318     832310                 X              817939      400      13971
DOW JONES & CO INC COM                 260561105      1577695      36665          X                      19555        0      17110
DOW JONES & CO INC COM                 260561105       102067       2372                 X                2372        0          0
DOWNEY FINANCIAL CORP COM              261018105       751660      18200          X                      18200        0          0
DPL INC COM                            233293109       106400       6675          X                       4675        0       2000
DPL INC COM                            233293109       102335       6420                 X                6420        0          0
DQE INC COM                            23329J104        28256       1875          X                       1350        0        525
DQE INC COM                            23329J104        27653       1835                 X                1335        0        500
DRESS BARN INC COM                     261570105       271308      21670          X                      21470        0        200
DRESS BARN INC COM                     261570105         6886        550                 X                   0        0        550
DRILL-QUIP COM                         262037104       205660      11300          X                      11300        0          0
DRS TECHNOLOGIES INC COM               23330X100      4657056     166800          X                     165700        0       1100
DSL.NET INC COM                        262506108         2600       5000          X                       5000        0          0
DSP GROUP INC COM                      23332B106      2580736     118600          X                     117451        0       1149
DST SYS INC DEL COM                    233326107      2113370      55615          X                      43515        0      12100
DST SYS INC DEL COM                    233326107       565440      14880                 X               13480        0       1400
DTE ENERGY CO COM                      233331107       911402      23587          X                      21387        0       2200
DTE ENERGY CO COM                      233331107      1632463      42248                 X               19098        0      23150
DUANE READE INC COM                    263578106       308275      20900          X                      15700        0       5200
DUANE READE INC COM                    263578106         4425        300                 X                 300        0          0
DUKE ENERGY CORP COM                   264399106     27531998    1380050          X                    1300773        0      79277
DUKE ENERGY CORP COM                   264399106      4644879     232826                 X              212836      150      19840






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
DUN & BRADSTREET CORP COM              26483E100      1988295      48377          X                      18227        0      30150
DUN & BRADSTREET CORP COM              26483E100      1498670      36464                 X               34697        0       1767
DUPONT E I DE NEMOURS & CO COM         263534109     73907336    1774912          X                    1668326        0     106586
DUPONT E I DE NEMOURS & CO COM         263534109     58652064    1408551                 X             1337070        0      71481
DUPONT PHOTOMASKS INC COM              26613X101       307192      16340          X                      16340        0          0
DUPONT PHOTOMASKS INC COM              26613X101       234530      12475                 X                   0        0      12475
DYNAMEX INC COM                        26784F103           80         12          X                         12        0          0
DYNAMEX INC COM                        26784F103           27          4                 X                   4        0          0
DYNAMICS RESEARCH CORP COM             268057106        76300       5000          X                       5000        0          0
DYNEGY INC CL A NEW COM                26816Q101       181545      43225          X                      42025        0       1200
E M C CORP MASSACHUSETTS COM           268648102     18469792    1764068          X                    1410327        0     353741
E M C CORP MASSACHUSETTS COM           268648102      5013957     478888                 X              426053      300      52535
E.PIPHANY INC COM                      26881V100         1186        232          X                        232        0          0
E*TRADE GROUP INC COM                  269246104        64090       7540          X                        740        0       6800
E*TRADE GROUP INC COM                  269246104        64600       7600                 X                   0        0       7600
E-LOAN INC COM                         26861P107         5540       1000          X                       1000        0          0
EAGLE BROADBAND INC COM                269437109           95        250                 X                 250        0          0
EARTHLINK INC COM                      270321102        46069       5773          X                       5773        0          0
EARTHLINK INC COM                      270321102         5554        696                 X                 696        0          0
EARTHSHELL CORP COM                    27032B100         2150       5000          X                       3000        0       2000
EAST WEST BANCORP INC COM              27579R104      4534315     125500          X                     124600        0        900
EASTERN CO COM                         276317104       475464      32566          X                      32566        0          0
EASTERN CO COM                         276317104      2309151     158161                 X               36485        0     121676
EASTMAN CHEM CO COM                    277432100      3532187     111531          X                      70584        0      40947
EASTMAN CHEM CO COM                    277432100      1454920      45940                 X               41759        0       4181
EASTMAN KODAK CO COM                   277461109     23560384     861440          X                     806425        0      55015
EASTMAN KODAK CO COM                   277461109      6104739     223208                 X              194317        0      28891
EASYLINK SERVICES CORP COM CL A        27784T200         3808       5600          X                          0        0       5600
EASYLINK SERVICES CORP COM CL A        27784T200           14         20                 X                  20        0          0
EATON CORP COM                         278058102      1258546      16010          X                      11303        0       4707
EATON CORP COM                         278058102       469144       5968                 X                5876        0         92
EATON VANCE CORP COM                   278265103        63200       2000          X                       2000        0          0
EATON VANCE CORP COM                   278265103       448720      14200                 X               11200        0       3000
EBAY INC COM                           278642103     22592960     217240          X                     201465        0      15775
EBAY INC COM                           278642103      1015560       9765                 X                2865        0       6900
ECHELON CORP COM                       27874N105         4179        300          X                          0        0        300
ECHELON CORP COM                       27874N105        34825       2500                 X                2500        0          0
ECHOSTAR COMMUNICATIONS CORP CL A      278762109      8293221     239550          X                     209950        0      29600
ECHOSTAR COMMUNICATIONS CORP CL A      278762109       192141       5550                 X                3550        0       2000
ECLIPSYS CORP COM                      278856109        51390       4885          X                       1945        0       2940
ECOLAB INC COM                         278865100      2226227      86962          X                      57406        0      29556
ECOLAB INC COM                         278865100       898048      35080                 X               32980        0       2100
EDGAR ONLINE INC COM                   279765101          108        100                 X                 100        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                            
EDGEWATER TECHNOLOGY INC COM           280358102         5770       1202          X                       1202        0          0
EDISON INTERNATIONAL COM               281020107      1838780     111916          X                     107516        0       4400
EDISON INTERNATIONAL COM               281020107       442361      26924                 X               26924        0          0
EDISON SCHOOLS INC COM                 281033100        30000      20000                 X                   0        0      20000
EDO CORP COM                           281347104       230985      13050          X                      13050        0          0
EDUCATION MGMT CORP COM                28139T101       326196       6150          X                        890        0       5260
EDUCATION MGMT CORP COM                28139T101      2380435      44880                 X                4380        0      40500
EDWARDS A G INC COM                    281760108       275789       8064          X                       8064        0          0
EDWARDS A G INC COM                    281760108       815191      23836                 X               23836        0          0
EDWARDS LIFESCIENCES CORP COM          28176E108       104809       3261          X                       2561        0        700
EDWARDS LIFESCIENCES CORP COM          28176E108       239218       7443                 X                7223        0        220
EFUNDS CORP COM                        28224R101       496338      42973          X                      38573        0       4400
EFUNDS CORP COM                        28224R101        68191       5904                 X                5904        0          0
EGAIN COMMUNICATIONS CORP COM          28225C103           47        100          X                        100        0          0
EGL INC COM                            268484102      1444000      95000          X                      94300        0        700
EL PASO CORP COM                       28336L109      1037100     128354          X                     109709        0      18645
EL PASO CORP COM                       28336L109       490949      60761                 X               56961        0       3800
EL PASO ELEC CO NEW COM                283677854       442647      35900          X                      35900        0          0
ELECTRO RENT CORP COM                  285218103        45625       4260          X                       1060        0       3200
ELECTRO SCIENTIFIC INDS INC COM        285229100       274396      18100          X                      18100        0          0
ELECTRO SCIENTIFIC INDS INC COM        285229100         6064        400                 X                 400        0          0
ELECTRONIC ARTS COM                    285512109      5622090      76077          X                      58987        0      17090
ELECTRONIC ARTS COM                    285512109       440444       5960                 X                1240        0       4720
ELECTRONIC DATA SYS CORP COM           285661104     29598190    1379869          X                    1327588        0      52281
ELECTRONIC DATA SYS CORP COM           285661104      2846994     132727                 X              124031       75       8621
ELECTRONICS BOUTIQUE HLDGS CORP COM    286045109       403744      17600                 X                   0        0      17600
ELECTRONICS FOR IMAGING INC COM        286082102       231654      11468          X                       3690        0       7778
ELECTRONICS FOR IMAGING INC COM        286082102      1351380      66900                 X                3970        0      62930
ELITE PHARMACEUTICALS INC COM          28659T200         8550       3000          X                       3000        0          0
ELIZABETH ARDEN INC COM                28660G106          330         25          X                         25        0          0
ELKCORP COM                            287456107       285750      12700          X                      12700        0          0
EMAGIN CORP COM                        29076N107         1180       2000                 X                2000        0          0
EMC INSURANCE GROUP                    268664109        22752       1200          X                       1200        0          0
EMCOR GROUP INC COM                    29084Q100       839614      17010          X                      15910        0       1100
EMCOR GROUP INC COM                    29084Q100        14068        285                 X                   0        0        285
EMCORE CORP COM                        290846104         1630        500                 X                 500        0          0
EMERSON ELECTRIC CO COM                291011104     34193463     669148          X                     605714        0      63434
EMERSON ELECTRIC CO COM                291011104     32574002     637456                 X              607474        0      29982
EMMIS COMMUNICATIONS CORP CL A COM     291525103        11565        500          X                          0        0        500
EMPIRE DISTRICT ELECTRIC COM           291641108        74494       3425          X                          0        0       3425
EMPIRE DISTRICT ELECTRIC COM           291641108        52200       2400                 X                2400        0          0
EMULEX CORP COM                        292475209      1139024      50023          X                      50023        0          0
EMULEX CORP COM                        292475209       951786      41800                 X               23500        0      18300






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
ENBRIDGE ENERGY MGMT LLC COM           29250X103      1386802      30399                 X                   0        0      30399
ENCYSIVE PHARMACEUTICALS INC COM       29256X107         1912        400          X                        400        0          0
ENDO PHARMACEUTICALS HLDGS INC COM     29264F205         1675        100          X                          0        0        100
ENERGEN CORP COM                       29265N108       959040      28800          X                      23800        0       5000
ENERGIZER HLDGS INC COM                29266R108       171632       5466          X                       5466        0          0
ENERGIZER HLDGS INC COM                29266R108       131064       4174                 X                4174        0          0
ENERGY EAST CORP COM                   29266M109      1632338      78629          X                      55761        0      22868
ENERGY EAST CORP COM                   29266M109       511298      24629                 X               18060        0       6569
ENESCO GROUP INC COM                   292973104       589462      79657          X                      79657        0          0
ENESCO GROUP INC COM                   292973104         3330        450                 X                 450        0          0
ENGELHARD CORP COM                     292845104      2177655      87915          X                      81141        0       6774
ENGELHARD CORP COM                     292845104       156051       6300                 X                6300        0          0
ENGINEERED SUPPORT SYS INC COM         292866100       685965      16450          X                      10500        0       5950
ENPRO INDUSTRIES INC COM               29355X107         1347        126          X                        126        0          0
ENPRO INDUSTRIES INC COM               29355X107         5131        480                 X                 480        0          0
ENSCO INTL INC COM                     26874Q100       472902      17580          X                       1755        0      15825
ENSCO INTL INC COM                     26874Q100       339586      12624                 X                   0        0      12624
ENTEGRIS INC COM                       29362U104      6149174     455832          X                     452251        0       3581
ENTERASYS NETWORKS INC COM             293637104         3030       1000          X                       1000        0          0
ENTERASYS NETWORKS INC COM             293637104          909        300                 X                 300        0          0
ENTERCOM COMMUNICATIONS COM            293639100       419281       8555          X                        740        0       7815
ENTERCOM COMMUNICATIONS COM            293639100      1710939      34910                 X                1050        0      33860
ENTERGY CORP COM                       29364G103      4379790      82982          X                      39973        0      43009
ENTERGY CORP COM                       29364G103       221465       4196                 X                3741        0        455
ENTRAVISION COMMUNICATIONS COM         29382R107       431300      38000          X                      38000        0          0
ENTRAVISION COMMUNICATIONS COM         29382R107       766693      67550                 X                   0        0      67550
ENTREMED INC COM                       29382F103         2905        700          X                        700        0          0
ENTREMED INC COM                       29382F103        12450       3000                 X                3000        0          0
ENZO BIOCHEM INC COM                   294100102       420286      18600          X                       4283        0      14317
ENZO BIOCHEM INC COM                   294100102          475         21                 X                  21        0          0
ENZON PHARMACEUTICALS INC              293904108       197663      15750          X                      13250        0       2500
EOG RES INC COM                        26875P101      1522348      36385          X                      17735        0      18650
EOG RES INC COM                        26875P101       244764       5850                 X                   0        0       5850
EPIQ SYS INC COM                       26882D109        78169       4550          X                          0        0       4550
EPIX MEDICAL INC COM                   26881Q101        14050       1000          X                       1000        0          0
EPRESENCE INC COM                      294348107       296064     120400          X                          0        0     120400
EQUIFAX INC COM                        294429105      3453580     132830          X                      75980        0      56850
EQUIFAX INC COM                        294429105      1795690      69065                 X               63465        0       5600
EQUITABLE RESOURCES COM                294549100        69258       1700          X                       1700        0          0
EQUITABLE RESOURCES COM                294549100       281921       6920                 X                2820        0       4100
ESCO TECHNOLOGIES INC COM              296315104       360800       8200          X                       3700        0       4500
ESCO TECHNOLOGIES INC COM              296315104          660         15                 X                  15        0          0
ESPEED INC CL A COM                    296643109       197600      10000          X                          0        0      10000






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
ESS TECHNOLOGY INC COM                 269151106       328575      33700          X                      25200        0       8500
ESTEE LAUDER COSMETICS CL A COM        518439104       755431      22530          X                       4330        0      18200
ESTEE LAUDER COSMETICS CL A COM        518439104        28333        845                 X                 245        0        600
ESTERLINE TECHNOLOGIES CORP COM        297425100       351769      20205          X                      16380        0       3825
ESTERLINE TECHNOLOGIES CORP COM        297425100       280301      16100                 X                   0        0      16100
ETHAN ALLEN INTERIORS INC COM          297602104      1231479      35025          X                      27400        0       7625
ETHAN ALLEN INTERIORS INC COM          297602104       305892       8700                 X                8700        0          0
ETHYL CORP COM                         297659609       238800      24000          X                          0        0      24000
EVEREST RE GROUP LTD.                  G3223R108       405450       5300          X                          0        0       5300
EVEREST RE GROUP LTD.                  G3223R108       229500       3000                 X                   0        0       3000
EVERGREEN RESOURCES INC COM            299900308      2987050      55000          X                      54700        0        300
EXAR CORP COM                          300645108       441480      28300          X                      28300        0          0
EXCO RESOURCES INC COM                 269279204      7079832     394200          X                     385300        0       8900
EXELIXIS INC COM                       30161Q104         3445        500          X                        500        0          0
EXELON CORP COM                        30161N101      5470223      91460          X                      70081        0      21379
EXELON CORP COM                        30161N101      1331490      22262                 X               14079        0       8183
EXPEDIA INC CL A COM                   302125109        45684        600          X                        600        0          0
EXPEDITORS INTL WASH INC COM           302130109       142216       4127          X                          0        0       4127
EXPEDITORS INTL WASH INC COM           302130109        90458       2625                 X                1825        0        800
EXPLORATION COM                        302133202         2125        500          X                        500        0          0
EXPRESS SCRIPTS INC COM                302182100       763456      11160          X                       2360        0       8800
EXPRESS SCRIPTS INC COM                302182100       321527       4700                 X                4700        0          0
EXPRESSJET HOLDINGS INC COM            30218U108        75500       5000          X                       5000        0          0
EXTENDED STAY AMER INC COM             30224P101       101175       7500                 X                7500        0          0
EXTREME NETWORKS COM                   30226D106      1472836     279725          X                     277725        0       2000
EXTREME NETWORKS COM                   30226D106         1316        250                 X                 250        0          0
EXXON MOBIL CORP COM                   30231G102    719012966   20022639          X                   19194766        0     827873
EXXON MOBIL CORP COM                   30231G102    610846660   17010489                 X            16104613     1406     904470
EZENIA INC COM                         302311105        51198      74200          X                          0        0      74200
F N B CORP PA COM                      302520101        55442       1834          X                       1834        0          0
FACTSET RESEARCH SYSTEM COM            303075105      1489991      33825          X                      21800        0      12025
FAIR ISAAC INC                         303250104       190108       3695          X                        500        0       3195
FAIR ISAAC INC                         303250104      1340787      26060                 X                4300        0      21760
FAIRCHILD SEMICON INTL COM             303726103      7410526     579400          X                     466500        0     112900
FAIRCHILD SEMICON INTL COM             303726103         4860        380                 X                 380        0          0
FALMOUTH BANCORP INC COM               306754102         2550        100                 X                 100        0          0
FAMILY DLR STORES INC COM              307000109      2680991      70275          X                      38975        0      31300
FAMILY DLR STORES INC COM              307000109       942305      24700                 X                8700        0      16000
FARGO ELECTRONICS INC COM              30744P102       114720      12000          X                       4000        0       8000
FARGO ELECTRONICS INC COM              30744P102        95600      10000                 X               10000        0          0
FASTENAL CO COM                        311900104      1357815      39842          X                      38037        0       1805
FASTENAL CO COM                        311900104       233448       6850                 X                6580        0        270
FBL FINL GROUP INC CL A COM            30239F106        68510       3400          X                       3400        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
FEDDERS CORP COM                       313135501        64421      20984          X                      20142        0        842
FEDERAL NATIONAL MORTGAGE ASSN COM     313586109    267395014    3964932          X                    3741249        0     223683
FEDERAL NATIONAL MORTGAGE ASSN COM     313586109     83083922    1231968                 X             1144012      800      87156
FEDERAL SIGNAL CORP                    313855108      3029929     172449          X                     165849        0       6600
FEDERAL SIGNAL CORP                    313855108        47439       2700                 X                2700        0          0
FEDERATED DEPT STORES INC COM          31410H101      4319004     117205          X                      84180        0      33025
FEDERATED DEPT STORES INC COM          31410H101        82728       2245                 X                1725        0        520
FEDERATED INVESTORS INC CL B COM       314211103      8131401     296550          X                     296250        0        300
FEDEX CORP COM                         31428X106     57005322     918996          X                     863719        0      55277
FEDEX CORP COM                         31428X106      4417156      71210                 X               52010       50      19150
FEI COMPANY COM                        30241L109       406371      21650          X                      21650        0          0
FEI COMPANY COM                        30241L109       234625      12500                 X                   0        0      12500
FELCOR LODGING TR INC COM              31430F101        39643       5050          X                          0        0       5050
FERRO CORP COM                         315405100       460175      20425                 X                   0        0      20425
FIBERCORE INC COM                      31563B109          220       1000                 X                1000        0          0
FIDELITY NATL FINL INC COM             316326107      1854305      60283          X                      56108        0       4175
FIDELITY NATL FINL INC COM             316326107      1067926      34718                 X               29218        0       5500
FIDELITY NATL INFO SOLUTIONS COM       31620P109      3323925     127500          X                     127500        0          0
FIDELITY NATL INFO SOLUTIONS COM       31620P109         8942        343                 X                 343        0          0
FIFTH THIRD BANCORP                    316773100     13039163     227084          X                     210717        0      16367
FIFTH THIRD BANCORP                    316773100      8483805     147750                 X              137025        0      10725
FILENET CORP COM                       316869106       702000      39000          X                      20200        0      18800
FILENET CORP COM                       316869106       500400      27800                 X                   0        0      27800
FINANCIAL FED CORP COM                 317492106       427000      17500          X                      12100        0       5400
FINANCIAL INSTITUTIONS INC COM         317585404        65572       2782          X                       2782        0          0
FINISAR CORPORATION COM                31787A101        27356      17880          X                      17880        0          0
FINISH LINE INC CL A                   317923100        33195       1500          X                       1500        0          0
FIRST CHARTER CORP COM                 319439105       193490      11000                 X               11000        0          0
FIRST CITIZENS BANCSHARES CL A COM     31946M103       157295       1560          X                       1560        0          0
FIRST CITY BANK NEW BRITAIN CT         319610101        65736       3984          X                       3984        0          0
FIRST COLONIAL GROUP INC COM           319734109       378846       7800          X                       7800        0          0
FIRST DATA CORP COM                    319963104    120902733    2917537          X                    2761320        0     156217
FIRST DATA CORP COM                    319963104     33064313     797884                 X              728006      150      69728
FIRST DEFIANCE FINL CORP COM           32006W106         9920        500          X                          0        0        500
FIRST ESSEX BANCORP INC                320103104       122564       2600          X                        400        0       2200
FIRST ESSEX BANCORP INC                320103104       141420       3000                 X                3000        0          0
FIRST FINL BANCORP COM                 320209109        25565       1615          X                       1615        0          0
FIRST FINL BANKSHARES INC COM          32020R109       162248       4849          X                       4849        0          0
FIRST FINL HLDGS INC COM               320239106       167140       6100          X                       2400        0       3700
FIRST HEALTH GROUP CORP COM            320960107     23904060     865462          X                     100770        0     764692
FIRST HEALTH GROUP CORP COM            320960107      1919314      69490                 X                 600        0      68890
FIRST INDL RLTY TR INC COM             32054K103       706260      22350          X                      21050        0       1300
FIRST MIDWEST BANCORP INC DEL COM      320867104       875824      30400          X                      30400        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
FIRST NATL LINCOLN CORP COM            335716106       103435       2640          X                          0        0       2640
FIRST NATL LINCOLN CORP COM            335716106         3918        100                 X                 100        0          0
FIRST NIAGARA FINANCIAL GRP COM        33582V108      6034320     433500          X                     335900        0      97600
FIRST REP BK SAN FRANCISCO CA COM      336158100       252700       9500          X                       9500        0          0
FIRST REP BK SAN FRANCISCO CA COM      336158100       317444      11934                 X               11934        0          0
FIRST SENTINEL BANCORP INC COM         33640T103       127040       8000          X                          0        0       8000
FIRST TENN NATL CORP COM               337162101      9431253     214786          X                     198186        0      16600
FIRST TENN NATL CORP COM               337162101      2175301      49540                 X               49140        0        400
FIRST VIRGINIA BANKS INC               337477103       785172      18209          X                      18209        0          0
FIRST VIRGINIA BANKS INC               337477103       624895      14492                 X               11119        0       3373
FIRST VIRTUAL COMMUNICATIONS COM       337484109         1798       2000          X                          0        0       2000
FIRSTENERGY CORP COM                   337932107      2651166      68951          X                      60372        0       8579
FIRSTENERGY CORP COM                   337932107      1030575      26803                 X               26603        0        200
FIRSTFED AMER BANCORP INC COM          337929103        44850       1300          X                       1300        0          0
FIRSTFED AMER BANCORP INC COM          337929103       213107       6177                 X                6177        0          0
FIRSTFED FINL CORP DEL COM             337907109       501118      14200          X                      11100        0       3100
FIRSTMERIT CORP COM                    337915102       132240       5800          X                       4000        0       1800
FIRSTMERIT CORP COM                    337915102       592800      26000                 X                6000        0      20000
FISERV INC COM                         337738108       838010      23500          X                      21300        0       2200
FISERV INC COM                         337738108        47891       1343                 X                1343        0          0
FISHER SCIENTIFIC INTL INC COM         338032204        38739       1110          X                        360        0        750
FIVE STAR QUALITY CARE-WI COM          33832D106          772        511          X                        511        0          0
FIVE STAR QUALITY CARE-WI COM          33832D106          216        143                 X                 143        0          0
FLAGSTAR BANCORP INC COM               337930101       948660      38800          X                      38800        0          0
FLEET BOSTON FINANCIAL CORP COM        339030108    108023777    3635940          X                      57962        0    3577978
FLEET BOSTON FINANCIAL CORP COM        339030108    102982050    3466242                 X                   0        0    3466242
FLEETWOOD ENTERPRISES INC COM          339099103       173160      23400          X                      23400        0          0
FLIR SYS INC COM                       302445101       847597      28150          X                      22600        0       5550
FLORIDA BKS INC COM                    340560101        46120       4000          X                          0        0       4000
FLORIDA EAST COAST INDS CL B COM       340632207        63669       2557          X                       2557        0          0
FLORIDA EAST COAST INDS CL B COM       340632207          573         23                 X                  23        0          0
FLORIDA PUB UTLYS CO                   341135101         2747        168          X                        168        0          0
FLORIDA PUB UTLYS CO                   341135101       114450       7000                 X                7000        0          0
FLORIDA ROCK INDS INC COM              341140101       916416      22200          X                      18700        0       3500
FLOWERS FOODS INC COM                  343498101       734163      37154          X                      37154        0          0
FLOWERS FOODS INC COM                  343498101       145730       7375                 X                3959        0       3416
FLOWSERVE CORP COM                     34354P105     12936723     657688          X                     511660        0     146028
FLOWSERVE CORP COM                     34354P105       396547      20160                 X                 460        0      19700
FLUOR CORP COM                         343412102       442904      13166          X                       9770        0       3396
FLUOR CORP COM                         343412102        93687       2785                 X                2785        0          0
FMC CORP (NEW) COM                     302491303       315326      13934          X                       9634        0       4300
FMC CORP (NEW) COM                     302491303        11315        500                 X                 500        0          0
FMC TECHNOLOGIES INC COM               30249U101        63866       3034          X                        859        0       2175
FMC TECHNOLOGIES INC COM               30249U101        41595       1976                 X                1976        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
FMS FINL CORP COM                      302509104        13167        798          X                        798        0          0
FOAMEX INTL INC COM                    344123104         8880       3000          X                       3000        0          0
FONAR CORP COM                         344437108         7306       5620          X                       5620        0          0
FONAR CORP COM                         344437108           62         48                 X                  48        0          0
FOOT LOCKER INC COM                    344849104      2914232     219942          X                     205142        0      14800
FOOT LOCKER INC COM                    344849104       308858      23310                 X               23310        0          0
FOOTSTAR INC COM                       344912100       172718      13286          X                      13286        0          0
FOOTSTAR INC COM                       344912100         6071        467                 X                 467        0          0
FORD MTR CO DEL COM                    345370860      8868666     806976          X                     654366        0     152610
FORD MTR CO DEL COM                    345370860      4246305     386379                 X              375167        0      11212
FOREST CITY ENTERPRISES INC CL A       345550107        74610       1800          X                          0        0       1800
FOREST CITY ENTERPRISES INC COM CL B   345550305       108290       2600          X                          0        0       2600
FOREST LABS INC COM                    345838106     14174939     258903          X                     236128        0      22775
FOREST LABS INC COM                    345838106      4480740      81840                 X               65040        0      16800
FORRESTER RESEARCH COM                 346563109         3232        200                 X                 200        0          0
FORTUNE BRANDS INC COM                 349631101     12044732     230742          X                     195141        0      35601
FORTUNE BRANDS INC COM                 349631101      4906591      93996                 X               90238        0       3758
FORWARD AIR CORP COM                   349853101       350836      13900          X                      13900        0          0
FOSSIL INC COM                         349882100       715989      30300          X                      30300        0          0
FOSTER WHEELER LTD COM                 G36535105        10700       5000          X                       5000        0          0
FOSTER WHEELER LTD COM                 G36535105         2140       1000                 X                1000        0          0
FOUNDRY NETWORKS INC COM               35063R100        41354       2900          X                        500        0       2400
FOUNDRY NETWORKS INC COM               35063R100       804977      56450                 X                   0        0      56450
FOX ENTERTAINMENT GROUP INC CL A COM   35138T107       938660      32615          X                      18600        0      14015
FOX ENTERTAINMENT GROUP INC CL A COM   35138T107        60438       2100                 X                2100        0          0
FPL GROUP INC COM                      302571104     12359429     184883          X                     163287        0      21596
FPL GROUP INC COM                      302571104     10515572     157301                 X              130321        0      26980
FRANKLIN ELECTR PUBLISHERS INC COM     353515109       100800      25200          X                          0        0      25200
FRANKLIN RES INC COM                   354613101      2116969      54184          X                      45309        0       8875
FRANKLIN RES INC COM                   354613101       289235       7403                 X                7403        0          0
FREDDIE MAC COM                        313400301     25498166     502229          X                     404839        0      97390
FREDDIE MAC COM                        313400301      2397359      47220                 X               46020        0       1200
FREDS INC CL A                         356108100       682162      18225          X                      16800        0       1425
FREEMARKETS.COM INC COM                356602102         1390        200          X                        200        0          0
FREEMARKETS.COM INC COM                356602102          348         50                 X                  50        0          0
FREEPORT-MCMORAN COPPER & GOLD B COM   35671D857       510703      20845          X                      18070        0       2775
FREEPORT-MCMORAN COPPER & GOLD B COM   35671D857      2294915      93670                 X               91170        0       2500
FREMONT GEN CORP                       357288109       676780      49400          X                      40490        0       8910
FRESH DEL MONTE PRODUCE INC COM        G36738105        29544       1150          X                       1150        0          0
FRIEDMAN BILLINGS RAMSEY CL A COM      358434108       110215       8225          X                       3200        0       5025
FRIEDMANS INC COM CL A                 358438109       153381      13490          X                      13490        0          0
FRIENDLY ICE CREAM CORP COM            358497105      5130279     811753          X                     577553        0     234200
FRIENDLY ICE CREAM CORP COM            358497105        12640       2000                 X                2000        0          0






    ITEM 1            ITEM 2             ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
FRONTIER AIRLINES INC COM              359065109       174665      19300          X                      19300        0          0
FRONTIER OIL CORP COM                  35914P105      4384440     288450          X                     284750        0       3700
FRONTIER OIL CORP COM                  35914P105        45600       3000                 X                3000        0          0
FRONTLINE COMMUNICATIONS CORP COM      35921T108          144        400                 X                 400        0          0
FROZEN FOOD EXPRESS INDS INC COM       359360104         5372       1700                 X                1700        0          0
FTI CONSULTING INC COM                 302941109      3201279     128205          X                     117350        0      10855
FUEL-TECH N V COM                      359523107         8960       1600          X                          0        0       1600
FUELCELL ENERGY INC COM                35952H106        24980       3050          X                       3050        0          0
FUELCELL ENERGY INC COM                35952H106        11057       1350                 X                1100        0        250
FULLER H B CO COM                      359694106     10949181     497238          X                     397098        0     100140
FULTON FINL CORP PA COM                360271100       934623      46966          X                      46966        0          0
FULTON FINL CORP PA COM                360271100        79640       4002                 X                4002        0          0
FURNITURE BRANDS INTL INC COM          360921100       132849       5090          X                       2000        0       3090
F5 NETWORKS INC COM                    315616102      2913569     175305          X                     169700        0       5605
F5 NETWORKS INC COM                    315616102       550621      33130                 X                1180        0      31950
G & K SVCS INC COM                     361268105     11781888     400200          X                     310290        0      89910
GABELLI ASSET MGMT INC CL A            36239Y102        14440        400          X                          0        0        400
GAIAM INC COM                          36268Q103         2960        500          X                        500        0          0
GAIAM INC COM                          36268Q103          237         40                 X                   0        0         40
GALLAGHER ARTHUR J & CO COM            363576109      1007624      37045          X                      31060        0       5985
GALLAGHER ARTHUR J & CO COM            363576109        89216       3280                 X                1250        0       2030
GAMESTOP CORP COM                      36466R101       405688      31400                 X                   0        0      31400
GANNETT INC COM                        364730101     38327422     498990          X                     464870        0      34120
GANNETT INC COM                        364730101     20332606     264713                 X              245163      200      19350
GAP INC COM                            364760108      6582978     350905          X                     272258        0      78647
GAP INC COM                            364760108       672377      35841                 X               33841        0       2000
GARDEN FRESH RESTAURANT CORP COM       365235100         4500        500          X                        500        0          0
GARDNER DENVER INC COM                 365558105       387308      18930          X                      15680        0       3250
GARDNER DENVER INC COM                 365558105         2946        144                 X                 132        0         12
GARMIN LTD COM                         G37260109       985530      24700          X                      22500        0       2200
GARMIN LTD COM                         G37260109       223440       5600                 X                 500        0       5100
GARTNER GROUP INC COM CL B             366651206        28808       3841          X                       3841        0          0
GARTNER GROUP INC COM CL B             366651206         9705       1294                 X                1190        0        104
GARTNER INC CL A COM                   366651107      3821578     504166          X                     388366        0     115800
GATEWAY INC COM                        367626108       135050      37000          X                      36000        0       1000
GATEWAY INC COM                        367626108         4745       1300                 X                1300        0          0
GATX CORPORATION COM                   361448103        26569       1625          X                       1625        0          0
GATX CORPORATION COM                   361448103        32308       1976                 X                1376        0        600
GBC BANCORP CALIFORNIA COM             361475106       286875       7500          X                       7500        0          0
GEMSTAR TV GUIDE INTL COM              36866W106        50887      10157          X                        657        0       9500
GEMSTAR TV GUIDE INTL COM              36866W106        10977       2191                 X                2191        0          0
GEN-PROBE INC COM                      36866T103        61455       1500          X                          0        0       1500
GENAISSANCE PHARMACEUTICALS COM        36867W105          154        100          X                        100        0          0






    ITEM 1            ITEM 2             ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER   MARKET      SH/PV        INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
GENCORP INC COM                        368682100       257277      28940          X                      28940        0          0
GENE LOGIC INC COM                     368689105        34962       5876          X                       4076        0       1800
GENE LOGIC INC COM                     368689105         4760        800                 X                 800        0          0
GENENTECH INC COM                      368710406      4614310      63981          X                      47221        0      16760
GENENTECH INC COM                      368710406      2311807      32055                 X               30105        0       1950
GENERAL COMMUNICATION INC CL A COM     369385109      8293250     947800          X                     640600        0     307200
GENERAL DYNAMICS CORP COM              369550108      9694338     133715          X                      87632        0      46083
GENERAL DYNAMICS CORP COM              369550108       637275       8790                 X                3565        0       5225
GENERAL ELECTRIC CO COM                369604103    708860272   24716188          X                   23232587      400    1483201
GENERAL ELECTRIC CO COM                369604103    569102718   19843191                 X            18522188     1625    1319378
GENERAL MARITIME CORP COM              Y2692M103          508         50                 X                  50        0          0
GENERAL MILLS INC COM                  370334104     24065411     507602          X                     465256        0      42346
GENERAL MILLS INC COM                  370334104     22284312     470034                 X              422549        0      47485
GENERAL MOTORS CORP CL H COM           370442832       620196      48415          X                      18578        0      29837
GENERAL MOTORS CORP CL H COM           370442832       317329      24772                 X               24028        0        744
GENERAL MTRS CORP COM                  370442105     10354392     287622          X                     226858        0      60764
GENERAL MTRS CORP COM                  370442105      5331348     148093                 X              138744        0       9349
GENESCO INC COM                        371532102       251340      14200          X                      14200        0          0
GENESEE & WYOMING INC COM              371559105      3928870     191000          X                     189500        0       1500
GENESEE CORP CL B COM                  371601204         1220        250          X                        250        0          0
GENESIS HEALTH VENTURE INC COM         37183F107        56352       3200          X                       3200        0          0
GENESIS MICROCHIP INC DEL COM          37184C103       121860       9000          X                       2000        0       7000
GENESIS MICROCHIP INC DEL COM          37184C103       243720      18000                 X                   0        0      18000
GENLYTE GROUP INC COM                  372302109        35926       1030          X                       1030        0          0
GENLYTE GROUP INC COM                  372302109        52320       1500                 X                   0        0       1500
GENTA INC COM                          37245M207        13300       1000          X                       1000        0          0
GENTA INC COM                          37245M207        66500       5000                 X                2000        0       3000
GENTEX CORP COM                        371901109      2526663      82436          X                      71550        0      10886
GENTEX CORP COM                        371901109      1203564      39268                 X                4753        0      34515
GENUINE PARTS CO                       372460105      3545556     110764          X                      62894        0      47870
GENUINE PARTS CO                       372460105      2934229      91666                 X               84736        0       6930
GENUS INC COM                          372461103       113940      42200          X                          0        0      42200
GENZYME CORP ( GENERAL DIVISION COM)   372917104      7297203     174324          X                     150584        0      23740
GENZYME CORP ( GENERAL DIVISION COM)   372917104      5299309     126596                 X              114096      100      12400
GENZYME CORP BIOSURGERY DIVISION COM   372917708          871        421          X                        421        0          0
GENZYME CORP BIOSURGERY DIVISION COM   372917708          542        262                 X                 262        0          0
GENZYME-MOLECULAR ONCOLOGY COM         372917500          127         54          X                         54        0          0
GENZYME-MOLECULAR ONCOLOGY COM         372917500          498        212                 X                 212        0          0
GEORGIA GULF CORP COM                  373200203       419760      21200          X                      21200        0          0
GEORGIA-PACIFIC CORP COM               373298108      6201236     327242          X                     266911        0      60331
GEORGIA-PACIFIC CORP COM               373298108      1727520      91162                 X               89060      800       1302
GERBER SCIENTIFIC INC COM              373730100      6776970    1017563          X                     684600        0     332963
GERBER SCIENTIFIC INC COM              373730100      5384364     808463                 X              787707        0      20756






    ITEM 1            ITEM 2             ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER   MARKET      SH/PV        INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
GERON CORP COM                         374163103         2184        300          X                          0        0        300
GERON CORP COM                         374163103        74620      10250                 X               10250        0          0
GETTY IMAGES INC COM                   374276103       371907       9005          X                       2700        0       6305
GETTY RLTY CORP NEW COM                374297109        56693       2540          X                       2540        0          0
GEVITY HR INC COM                      374393106       647900      55000                 X                   0        0      55000
GILEAD SCIENCES INC COM                375558103      2747614      49462          X                      28327        0      21135
GILEAD SCIENCES INC COM                375558103       600218      10805                 X               10555        0        250
GILLETTE CO COM                        375766102     60402418    1895870          X                    1669612        0     226258
GILLETTE CO COM                        375766102     43352029    1360704                 X             1287680      600      72424
GLATFELTER                             377316104      9017811     611377          X                     471040        0     140337
GLATFELTER                             377316104        35400       2400                 X                2400        0          0
GLENBOROUGH REALTY TRUST INC COM       37803P105       346615      18100          X                      18100        0          0
GLOBAL IMAGING SYS INC COM             37934A100      4301667     186300          X                     185000        0       1300
GLOBAL PAYMENTS INC COM                37940X102      1021229      28767          X                      27800        0        967
GLOBAL PAYMENTS INC COM                37940X102       734495      20690                 X                 340        0      20350
GLOBAL POWER EQUIPTMENT GRP INC COM    37941P108          465        100          X                          0        0        100
GLOBAL SANTAFE CORP COM                G3930E101       313153      13417          X                      12327        0       1090
GLOBAL SANTAFE CORP COM                G3930E101        41989       1799                 X                1499        0        300
GLOBECOMM SYS INC COM                  37956X103        15633       4810          X                       4810        0          0
GLOBESPANVIRATA INC. COM               37957V106       356554      42650          X                          0        0      42650
GLOBESPANVIRATA INC. COM               37957V106         1781        213                 X                 213        0          0
GOAMERICA INC COM                      38020R106          140        400          X                        400        0          0
GOLD BANC CORP INC COM                 379907108        14668       1401          X                       1401        0          0
GOLDEN WEST FINANCIAL COM              381317106      5705513      71310          X                      50629        0      20681
GOLDEN WEST FINANCIAL COM              381317106       401650       5020                 X                4750        0        270
GOLDFIELD CORP                         381370105          610       1000          X                       1000        0          0
GOLDMAN SACHS GROUP INC COM            38141G104     48609421     580411          X                     531986        0      48425
GOLDMAN SACHS GROUP INC COM            38141G104      2037219      24325                 X               11725        0      12600
GOODRICH CORPORATION COM               382388106       905100      43100          X                      29331        0      13769
GOODRICH CORPORATION COM               382388106        61845       2945                 X                2645        0        300
GOODRICH PETE CORP COM NEW             382410405        11250       2500                 X                2500        0          0
GOODYEAR TIRE & RUBBER COM             382550101       127218      24232          X                      17248        0       6984
GOODYEAR TIRE & RUBBER COM             382550101        29705       5658                 X                5658        0          0
GOODYS FAMILY CLOTHING INC COM         382588101       221192      25720          X                      25720        0          0
GRACO INC COM                          384109104       966400      30200          X                      30200        0          0
GRACO INC COM                          384109104       131264       4102                 X                4102        0          0
GRAFTECH INTL LTD COM                  384313102      3241388     594750          X                     384400        0     210350
GRAHAM CORP COM                        384556106        17200       2000                 X                2000        0          0
GRAINGER W W INC                       384802104      2941952      62916          X                      54047        0       8869
GRAINGER W W INC                       384802104      1950827      41720                 X               40605        0       1115
GRANITE BROADCASTING CORP COM          387241102        52020      17000          X                      17000        0          0
GRANITE CONSTR INC                     387328107        78556       4100          X                       4100        0          0
GRANT PRIDECO INC COM                  38821G101        16838       1433          X                        633        0        800





    ITEM 1            ITEM 2             ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7         ITEM 8
NAME OF ISSUER     TITLE OF CLASS     CUSIP/TICKER   MARKET      SH/PV        INVEST AUTH      MNGR    VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-            SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
GRAY TELEVISION INC COM                389375106      1867440     150600          X                     149400        0       1200
GRAY TELEVISION INC COM                389375106       105400       8500                 X                8500        0          0
GREAT AMERN FINL RES INC COM           389915109         8548        652                 X                 652        0          0
GREAT ATLANTIC & PACIFIC TEA INC COM   390064103       220880      25100          X                      25100        0          0
GREAT ATLANTIC & PACIFIC TEA INC COM   390064103         2640        300                 X                 300        0          0
GREAT LAKES CHEMICAL                   390568103       402308      19721          X                      19521        0        200
GREAT LAKES CHEMICAL                   390568103       169646       8316                 X                7316        0       1000
GREAT PLAINS ENERGY INC COM            391164100       143562       4971          X                       4971        0          0
GREAT PLAINS ENERGY INC COM            391164100       249350       8634                 X                3634        0       5000
GREEN MOUNTAIN COFFEE ROASTERS INC     393122106         1900        100                 X                 100        0          0
GREEN MOUNTAIN POWER CORP COM          393154109        95140       4757          X                       4757        0          0
GREEN MOUNTAIN POWER CORP COM          393154109        20000       1000                 X                1000        0          0
GREENPOINT FINL CORP COM               395384100      5661981     111150          X                     105150        0       6000
GREENPOINT FINL CORP COM               395384100         8150        160                 X                   0        0        160
GREIF INC                              397624107     15400754     669598          X                     489798        0     179800
GREKA ENERGY CORP COM                  397637109         1007        174          X                        174        0          0
GREY WOLF INC COM                      397888108        40400      10000          X                      10000        0          0
GREY WOLF INC COM                      397888108       353096      87400                 X                   0        0      87400
GRIFFIN LD & NURSERIES INC CL A COM    398231100        11678        865                 X                 865        0          0
GRIFFON CORPORATION COM                398433102       339200      21200          X                      21200        0          0
GRIFFON CORPORATION COM                398433102        15440        965                 X                 965        0          0
GRISTEDES FOODS INC COM                398635102          720       1000          X                       1000        0          0
GROUP 1 AUTOMOTIVE INC COM             398905109       586621      18100          X                      14600        0       3500
GROUP 1 AUTOMOTIVE INC COM             398905109       424571      13100                 X                   0        0      13100
GTECH HLDGS CORP COM                   400518106       199545       5300          X                       3600        0       1700
GTECH HLDGS CORP COM                   400518106        18147        482                 X                 482        0          0
GUIDANT CORP COM                       401698105     22275479     501813          X                     467885        0      33928
GUIDANT CORP COM                       401698105      1248069      28116                 X               24791        0       3325
GUILFORD PHARMACEUTICALS INC COM       401829106          446        100                 X                   0        0        100
GUITAR CENTER INC COM                  402040109        81424       2800          X                          0        0       2800
GULFMARK OFFSHORE INC COM              402629109     20541405    1224890          X                     902290        0     322600
GULFMARK OFFSHORE INC COM              402629109        30186       1800                 X                1800        0          0
GYMBOREE CORP COM                      403777105       320307      19100          X                      19100        0          0
GYRODYNE CO AMER INC COM               403820103       277689      13747          X                          0        0      13747
H J HEINZ CO COM                       423074103      9519017     288630          X                     255452        0      33178
H J HEINZ CO COM                       423074103      7162003     217162                 X              181391        0      35771
HAEMONETICS CORP MA COM                405024100       312290      16700          X                      16700        0          0
HAGGAR CORP COM                        405173105        52500       4200          X                       4200        0          0
HAIN CELESTIAL GROUP INC COM           405217100       354534      22200          X                      22200        0          0
HAIN CELESTIAL GROUP INC COM           405217100        18078       1132                 X                 632        0        500
HALLIBURTON CO COM NEW                 406216101     12566418     546366          X                     455514        0      90852
HALLIBURTON CO COM NEW                 406216101      2802527     121849                 X              118224        0       3625
HANCOCK FABRICS INC COM                409900107       195415      12100          X                      12100        0          0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
HANCOCK HOLDING CO COM                 410120109        25713       550          X                        550      0            0
HANDELMAN CO COM                       410252100        56640      3540          X                       3540      0            0
HANDELMAN CO COM                       410252100         9840       615                 X                   0      0          615
HANDSPRING INC COM                     410293104        11300     10000                 X               10000      0            0
HANGER ORTHOPEDIC GRP INC COM NEW      41043F208        28625      2500          X                       2500      0            0
HANMI FINL CORP COM                    410495105      5096447    292060          X                     243971      0        48089
HANOVER COMPRESSOR COMPANY COM         410768105      7244554    641111          X                     521311      0       119800
HARBOR FL BANCSHARES INC COM           411901101       101873      4250          X                          0      0         4250
HARKEN ENERGY CORP COM                 412552309         1975      5064          X                       5064      0            0
HARLAND JOHN H CO COM                  412693103       473496     18100          X                      18100      0            0
HARLAND JOHN H CO COM                  412693103         2616       100                 X                 100      0            0
HARLEY DAVIDSON INC COM                412822108      5971706    149817          X                     106447      0        43370
HARLEY DAVIDSON INC COM                412822108      1302426     32675                 X               32575      0          100
HARLEYSVILLE GROUP INC                 412824104        27660      1200          X                          0      0         1200
HARLEYSVILLE NATL CORP PA COM          412850109        75432      2800          X                       2800      0            0
HARMAN INTL INDS INC NEW COM           413086109      4731860     59791          X                      56500      0         3291
HARMAN INTL INDS INC NEW COM           413086109      1734749     21920                 X                 680      0        21240
HARMONIC INC COM                       413160102       165869     40754          X                      39454      0         1300
HARRAH'S ENTMT INC COM                 413619107      2293640     56999          X                      42469      0        14530
HARRAH'S ENTMT INC COM                 413619107       234961      5839                 X                5649      0          190
HARRIS & HARRIS GROUP INC              413833104         3475       500          X                        500      0            0
HARRIS CORP COM                        413875105     16206656    539323          X                     532723      0         6600
HARRIS CORP COM                        413875105       178016      5924                 X                5324      0          600
HARRIS INTERACTIVE INC                 414549105         6460      1000          X                       1000      0            0
HARSCO CORP COM                        415864107       682066     18920          X                      16970      0         1950
HARSCO CORP COM                        415864107        12437       345                 X                   0      0          345
HARTE-HANKS INC COM                    416196103        25650      1350          X                       1350      0            0
HARTE-HANKS INC COM                    416196103         5700       300                 X                 300      0            0
HARTFORD FINL SVCS GROUP INC COM       416515104     24809552    492644          X                     437253      0        55391
HARTFORD FINL SVCS GROUP INC COM       416515104     16101401    319726                 X              276206      0        43520
HARTMARX CORP COM                      417119104        56810     19000                 X               19000      0            0
HARVEST NATURAL RESOURCES INC COM      41754V103        60451      9490          X                       9490      0            0
HARVEST NATURAL RESOURCES INC COM      41754V103        10829      1700                 X                1700      0            0
HASBRO INC                             418056107      1426152     81541          X                      27749      0        53792
HASBRO INC                             418056107        14867       850                 X                 850      0            0
HAUPPAUGE DIGITAL INC COM              419131107          326       100                 X                 100      0            0
HAVERTY FURNITURE COS INC COM          419596101       248500     14200          X                      14200      0            0
HAWAIIAN ELECTRIC CO INDS INC COM      419870100      2303917     50249          X                      47199      0         3050
HAWAIIAN ELECTRIC CO INDS INC COM      419870100       192524      4199                 X                4199      0            0
HCA INC COM                            404119109      3571531    111471          X                      60167      0        51304
HCA INC COM                            404119109       571113     17825                 X                7825      0        10000
HCC INS HLDGS INC COM                  404132102       532851     18020          X                      18020      0            0
HCC INS HLDGS INC COM                  404132102       774734     26200                 X                   0      0        26200






    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
HEADWATERS INC COM                     42210P102        90210      6200          X                          0      0         6200
HEALTH MGMT ASSOC INC CL A NEW COM     421933102      1661810     90071          X                      67971      0        22100
HEALTH MGMT ASSOC INC CL A NEW COM     421933102        23616      1280                 X                1280      0            0
HEALTH NET INC COM                     42222G108       321592      9760          X                       5100      0         4660
HEARST-ARGYLE TELEVISION INC COM       422317107        93240      3600          X                       3600      0            0
HEARTLAND EXPRESS CO                   422347104      4000984    176800          X                     175600      0         1200
HECLA MINING COMPANY                   422704106         3003       710                 X                 710      0            0
HEIDRICK & STRUGGLES INTL INC COM      422819102       148916     11800          X                      11800      0            0
HEIDRICK & STRUGGLES INTL INC COM      422819102        10727       850                 X                  50      0          800
HELEN OF TROY CORP LTD COM             G4388N106          758        50          X                         50      0            0
HELEN OF TROY CORP LTD COM             G4388N106         9702       640                 X                 640      0            0
HELIX TECHNOLOGY CORP COM              423319102      1964809    150100          X                     149100      0         1000
HELIX TECHNOLOGY CORP COM              423319102        53905      4118                 X                 240      0         3878
HELMERICH & PAYNE INC COM              423452101        43800      1500          X                       1500      0            0
HELMERICH & PAYNE INC COM              423452101        17520       600                 X                 200      0          400
HENRY JACK & ASSOC INC COM             426281101      8728040    487600          X                     424400      0        63200
HENRY SCHEIN INC COM                   806407102        60387      1150          X                        500      0          650
HENRY SCHEIN INC COM                   806407102      1542744     29380                 X                   0      0        29380
HERCULES INC COM                       427056106       175725     17750          X                      12908      0         4842
HERCULES INC COM                       427056106       128700     13000                 X               13000      0            0
HERLEY INDS INC DEL COM                427398102        51316      3060          X                       3060      0            0
HERSHEY FOODS CORP COM                 427866108     20671535    296749          X                     289485      0         7264
HERSHEY FOODS CORP COM                 427866108      5633753     80875                 X               77375      0         3500
HEWITT & ASSOCIATES INC CL A COM       42822Q100         2355       100          X                          0      0          100
HEWITT & ASSOCIATES INC CL A COM       42822Q100       105975      4500                 X                4500      0            0
HEWLETT PACKARD CO COM                 428236103     51837128   2433668          X                    2006206      0       427462
HEWLETT PACKARD CO COM                 428236103     38344090   1800192                 X             1733123   1200        65869
HEXCEL CORP COM NEW                    428291108         3680      1150          X                          0      0         1150
HIBBETT SPORTING GOODS INC COM         428565105       187758      5700          X                          0      0         5700
HIBERNIA CORP CLASS A VOTING COM       428656102       253786     13975          X                       1225      0        12750
HICKORY TECH CORP COM                  429060106        94164      8400          X                          0      0         8400
HILB ROGAL & HAMILTON CO COM           431294107      5031112    147800          X                     143400      0         4400
HILB ROGAL & HAMILTON CO COM           431294107       170200      5000                 X                5000      0            0
HILFIGER TOMMY CORP                    G8915Z102      4765992    515800          X                     496200      0        19600
HILFIGER TOMMY CORP                    G8915Z102        14507      1570                 X                 250      0         1320
HILLENBRAND INDS INC COM               431573104       567916     11257          X                      10202      0         1055
HILLENBRAND INDS INC COM               431573104       496428      9840                 X                1670      0         8170
HILTON HOTELS CORP COM                 432848109      2348589    183627          X                     146187      0        37440
HILTON HOTELS CORP COM                 432848109       426547     33350                 X                   0      0        33350
HISPANIC BROADCASTING CORP COM         43357B104      1194063     46918          X                      42370      0         4548
HISPANIC BROADCASTING CORP COM         43357B104        51536      2025                 X                1290      0          735
HMS HOLDINGS CORP COM                  40425J101      2124864    761600          X                     477100      0       284500
HOLLYWOOD ENTMT CORP COM               436141105        36171      2080          X                       2080      0            0
HOLLYWOOD ENTMT CORP COM               436141105       824286     47400                 X                   0      0        47400





    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
HOLOGIC INC                            436440101       167552     12800          X                      12800      0            0
HOLOGIC INC                            436440101        13483      1030                 X                 500      0          530
HOME DEPOT INC COM                     437076102    231878485   7001162          X                    6633666      0       367496
HOME DEPOT INC COM                     437076102     68412573   2065597                 X             1900278   1100       164219
HONEYWELL INTL INC COM                 438516106     38598942   1437577          X                    1323409      0       114168
HONEYWELL INTL INC COM                 438516106      5667820    211092                 X              200893      0        10199
HOOKER FURNITURE CORP COM              439038100       265419     10711          X                      10711      0            0
HOOPER HOLMES INC COM                  439104100      2507092    389300          X                     386300      0         3000
HORACE MANN EDUCATORS CORP NEW COM     440327104      6767067    419533          X                     313133      0       106400
HORIZON OFFSHORE INC COM               44043J105        19960      4000          X                       4000      0            0
HORIZON ORGANIC HLDG CORP COM          44043T103       109250      4600          X                       4600      0            0
HORMEL FOODS CORPORATION               440452100       514551     21711          X                      21711      0            0
HOST MARRIOTT CORP COM                 44107P104       124596     13617          X                       9217      0         4400
HOST MARRIOTT CORP COM                 44107P104        17925      1959                 X                1259      0          700
HOT TOPIC INC COM                      441339108       571552     21200          X                      21200      0            0
HOUSTON EXPLORATION COMPANY COM        442120101     14601760    420800          X                     328800      0        92000
HPSC INC COM                           404264103         9730      1000                 X                1000      0            0
HUBBELL INC CL B COM                   443510201      1126360     34029          X                      29329      0         4700
HUBBELL INC CL B COM                   443510201      1580724     47756                 X               23362      0        24394
HUBBELL INC CLASS A COM                443510102       128600      4000          X                          0      0         4000
HUBBELL INC CLASS A COM                443510102        15175       472                 X                 472      0            0
HUDSON CITY BANCORP INC COM            443683107       306000     12000          X                      11000      0         1000
HUDSON RIVER BANCORP COM               444128102       228944      8200          X                       6000      0         2200
HUDSON RIVER BANCORP COM               444128102       307120     11000                 X               11000      0            0
HUDSON UNITED BANCORP COM              444165104      1129682     33080          X                      33080      0            0
HUDSON UNITED BANCORP COM              444165104      3023129     88525                 X               88525      0            0
HUFFY CORPORATION COM                  444356109        67200      9600          X                       9600      0            0
HUFFY CORPORATION COM                  444356109         7875      1125                 X                   0      0         1125
HUGHES SUPPLY INC COM                  444482103       655830     18900          X                      16500      0         2400
HUGOTON ROYALTY TR TX UNIT BEN INT     444717102        92000      5000          X                       5000      0            0
HUGOTON ROYALTY TR TX UNIT BEN INT     444717102         3680       200                 X                 200      0            0
HUMAN GENOME SCIENCES INC COM          444903108       148625     11749          X                      11149      0          600
HUMAN GENOME SCIENCES INC COM          444903108        15813      1250                 X                 750      0          500
HUMANA INC COM                         444859102      1442050     95500          X                      27300      0        68200
HUMANA INC COM                         444859102       181200     12000                 X               12000      0            0
HUNT J B TRANS SVCS INC COM            445658107     12363450    324500          X                     280700      0        43800
HUNTINGTON BANCSHARES INC              446150104       799637     40986          X                      39086      0         1900
HUNTINGTON BANCSHARES INC              446150104       257161     13181                 X               13181      0            0
HUTCHINSON TECHNOLOGY INC COM          448407106       566010     17100          X                      17100      0            0
HUTTIG BLDG PRODS INC COM              448451104         6135      2264          X                       2264      0            0
HYDRIL CO COM                          448774109       429345     15750          X                      14800      0          950
HYPERCOM CORP COM                      44913M105      4078620    982800          X                     681500      0       301300
HYPERION SOLUTIONS CORP COM            44914M104      1068398     31675          X                      23800      0         7875






    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
I-MANY INC COM                         44973Q103        49820     47000          X                      47000     0             0
ICN PHARMACEUTICALS INC COM            448924100     17069054   1018440          X                     782771     0        235669
ICN PHARMACEUTICALS INC COM            448924100        21788      1300                 X                1300     0             0
ICOS CORP COM                          449295104       586417     15905          X                       5105     0         10800
ICOS CORP COM                          449295104       961201     26070                 X                1670     0         24400
ICU MED INC COM                        44930G107       592171     19047          X                       9000     0         10047
IDACORP INC COM                        451107106      5188024    197639          X                     156939     0         40700
IDACORP INC COM                        451107106       343665     13092                 X                9105     0          3987
IDEC PHARMACEUTICALS CORP COM          449370105       642523     18920          X                      10800     0          8120
IDEC PHARMACEUTICALS CORP COM          449370105       264039      7775                 X                3875     0          3900
IDENTIX INC COM                        451906101         6340      1000                 X                1000     0             0
IDEX CORP COM                          45167R104      1018344     28100          X                      21200     0          6900
IDEXX LABS CORP                        45168D104       958238     28750          X                      15550     0         13200
IDT CORP CL B COM                      448947309        29920      1700          X                       1700     0             0
IDT CORP COM                           448947101        96660      5400          X                       5400     0             0
IGEN INTL INC COM                      449536101        15665       500          X                        500     0             0
IGEN INTL INC COM                      449536101        53261      1700                 X                1700     0             0
IHOP CORP COM                          449623107       441980     14000          X                      14000     0             0
IKON OFFICE SOLUTIONS INC COM          451713101       139730     15700          X                       3200     0         12500
IKON OFFICE SOLUTIONS INC COM          451713101        71200      8000                 X                8000     0             0
ILEX ONCOLOGY INC COM                  451923106       307499     15875          X                          0     0         15875
ILLINOIS TOOL WORKS INC COM            452308109    111380666   1691430          X                    1609401     0         82029
ILLINOIS TOOL WORKS INC COM            452308109     31552949    479164                 X              449581    50         29533
IMAGISTICS INTL INC COM                45247T104       387722     15028          X                      15028     0             0
IMAGISTICS INTL INC COM                45247T104       109495      4244                 X                3799     0           445
IMATION CORP COM                       45245A107       157218      4157          X                       1352     0          2805
IMATION CORP COM                       45245A107       594114     15709                 X                2157     0         13552
IMC GLOBAL INC COM                     449669100        35563      5300          X                        200     0          5100
IMCLONE SYS INC COM                    45245W109       170240      5325          X                        425     0          4900
IMCLONE SYS INC COM                    45245W109        34272      1072                 X                 572     0           500
IMCO RECYCLING INC                     449681105       126824     19100          X                      15900     0          3200
IMMUCOR INC COM                        452526106        85137      3900          X                          0     0          3900
IMMUNOMEDICS INC COM                   452907108        98115     15500          X                      15500     0             0
IMPAC MEDICAL SYSTEMS INC COM          45255A104       574249     27100                 X                   0     0         27100
IMPAC MORTGAGE HOLDINGS INC COM        45254P102         3338       200                 X                 200     0             0
IMPATH INC COM                         45255G101       150977     10700          X                      10700     0             0
IMPCO TECHNOLOGIES INC COM             45255W106         3075       500          X                        500     0             0
IMS HEALTH INC COM                     449934108      9077646    504594          X                     460342     0         44252
IMS HEALTH INC COM                     449934108      2390169    132861                 X              122460     0         10401
INAMED CORP COM                        453235103       779202     14600          X                      14600     0             0
INCYTE CORPORATION                     45337C102         9720      2000                 X                   0     0          2000
INDEPENDENCE CMNTY BK CORP COM         453414104       140419      4990          X                       2100     0          2890
INDEPENDENT BK CORP MA COM             453836108         2256       100          X                        100     0             0
INDEPENDENT BK CORP MA COM             453836108        22560      1000                 X                   0     0          1000






    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
INFORMATION HLDGS INC COM              456727106       255500     14000          X                      14000      0            0
INFOSPACE INC COM                      45678T201         2189       160          X                         30      0          130
INFOSPACE INC COM                      45678T201         1094        80                 X                  80      0            0
INFOUSA INC NEW COM                    456818301      4168325    514608          X                     404108      0       110500
INGLES MKTS INC CL A                   457030104      2349260    232600          X                     181800      0        50800
INGLES MKTS INC CL A                   457030104         2020       200                 X                 200      0            0
INGRAM MICRO CL A COM                  457153104       350350     31850          X                          0      0        31850
INGRAM MICRO CL A COM                  457153104        61875      5625                 X                5375      0          250
INKINE PHARMACEUTICAL INC COM          457214104        16850      5000          X                       5000      0            0
INNOVEX INC COM                        457647105       147465     14500          X                        500      0        14000
INPUT/OUTPUT INC COM                   457652105       179692     33400          X                      15000      0        18400
INSIGHT COMMUNICATIONS INC COM         45768V108       629381     47180          X                      47180      0            0
INSIGHT ENTERPRISES INC COM            45765U103       351000     35100          X                      30100      0         5000
INSITUFORM TECHNOLOGIES INC CL A COM   457667103       304999     17300          X                      17300      0            0
INSITUFORM TECHNOLOGIES INC CL A COM   457667103         4055       230                 X                 230      0            0
INSPIRE PHARMACEUTICALS INC COM        457733103       401080     37000          X                          0      0        37000
INSURANCE AUTO AUCTIONS INC COM        457875102        94950      7500          X                       7500      0            0
INTEGRA LIFESCIENCES CORP COM NEW      457985208      5794365    219900          X                     218200      0         1700
INTEGRAL SYSTEMS INC /MD COM           45810H107      5773243    293058          X                     218558      0        74500
INTEGRATED CIRCUIT SYS INC COM         45811K208      2204197     70175          X                      59000      0        11175
INTEGRATED DEFENSE TECHNOLOGIES COM    45819B101      1371084     88400          X                      87800      0          600
INTEGRATED DEVICE TECHNOLOGY INC COM   458118106       120227     10900          X                       9400      0         1500
INTEGRATED DEVICE TECHNOLOGY INC COM   458118106       686066     62200                 X                 800      0        61400
INTEL CORP COM                         458140100    232894595  11191475          X                   10308734      0       882741
INTEL CORP COM                         458140100    104390556   5016365                 X             4672561   2062       341742
INTER PARFUMS INC COM                  458334109        10434      1410          X                       1410      0            0
INTER TEL INC COM                      458372109       348983     16300          X                      16300      0            0
INTERCHANGE FINANCIAL SVCS CORP COM    458447109       505067     26210          X                      26210      0            0
INTERDIGITAL COMMUNICATIONS CORP COM   45866A105        11695       500          X                        500      0            0
INTERFACE INC COM                      458665106       154896     33600          X                      15000      0        18600
INTERGRAPH CORP COM                    458683109      5086284    240600          X                     198800      0        41800
INTERGRAPH CORP COM                    458683109        21563      1020                 X                 600      0          420
INTERGROUP CORP COM                    458685104         1200       126                 X                 126      0            0
INTERLAND INC COM                      458727104          970      1000          X                       1000      0            0
INTERMAGNETICS GEN CORP COM            458771102       212074     10700          X                      10700      0            0
INTERMET CORP                          45881K104        62790     18200          X                       9000      0         9200
INTERMUNE INC COM                      45884X103      1623711    100291          X                      99491      0          800
INTERNAP NETWORK SERVICES COM          45885A102          102       100          X                        100      0            0
INTERNAP NETWORK SERVICES COM          45885A102        51000     50000                 X                   0      0        50000
INTERNATIONAL ALUM CORP                458884103        18573       850          X                        850      0            0
INTERNATIONAL BUSINESS MACHS CORP      459200101    323599815   3922422          X                    3647910      0       274512
INTERNATIONAL BUSINESS MACHS CORP      459200101    178125008   2159091                 X             2003910    265       154916
INTERNATIONAL GAME TECH COM            459902102      6657897     65063          X                      60075      0         4988
INTERNATIONAL GAME TECH COM            459902102       417506      4080                 X                 450      0         3630






    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
INTERNATIONAL MULTIFOODS CORP COM      460043102       296685     12950          X                      12950     0             0
INTERNATIONAL PAPER CO COM             460146103     12731135    356315          X                     265490     0         90825
INTERNATIONAL PAPER CO COM             460146103      4318757    120872                 X              116410     0          4462
INTERNATIONAL RECTIFIER CORP COM       460254105       319963     11930          X                       5900     0          6030
INTERNATIONAL RECTIFIER CORP COM       460254105         2682       100                 X                 100     0             0
INTERNATIONAL SPEEDWAY CORP COM CL A   460335201       148163      3750          X                        550     0          3200
INTERNET CAP GROUP INC COM             46059C106          480      1000          X                       1000     0             0
INTERNET CAP GROUP INC COM             46059C106          288       600                 X                 600     0             0
INTERNET INITIATIVE JAPAN COM          46059T109         2398       550                 X                 550     0             0
INTERNET PICTURES CORP NEW COM         46059S200          170        40          X                         40     0             0
INTERNET SEC SYS INC COM               46060X107        13461       944          X                        944     0             0
INTERNET SEC SYS INC COM               46060X107       842766     59100                 X                   0     0         59100
INTERPUBLIC GRP OF COMPANIES INC COM   460690100     10963920    819426          X                     697583     0        121843
INTERPUBLIC GRP OF COMPANIES INC COM   460690100      2362747    176588                 X              156066     0         20522
INTERSIL CORP                          46069S109      4022102    151150          X                     141220     0          9930
INTERSIL CORP                          46069S109      1317195     49500                 X                   0     0         49500
INTERSTATE BAKERIES CORP DEL NEW COM   46072H108          419        33          X                         33     0             0
INTERTAN INC COM                       461120107     10237897   1248524          X                     906374     0        342150
INTERVOICE INC COM                     461142101         1256       800          X                        800     0             0
INTL FLAVORS & FRAGRANCES COM          459506101      2883087     90294          X                      82810     0          7484
INTL FLAVORS & FRAGRANCES COM          459506101      3119816     97708                 X               95788     0          1920
INTROGEN THERAPEUTICS INC COM          46119F107        16350      3000                 X                3000     0             0
INTUIT INC COM                         461202103      2698657     60508          X                      38110     0         22398
INTUIT INC COM                         461202103       450014     10090                 X                4665     0          5425
INTUITIVE SURGICAL INC COM             46120E107        15180      2000          X                       2000     0             0
INTUITIVE SURGICAL INC COM             46120E107         3795       500                 X                 500     0             0
INVACARE CORP COM                      461203101     30492000    924000          X                     671500     0        252500
INVERESK RESEARCH GROUP INC COM        461238107       299825     16750          X                          0     0         16750
INVERNESS MED INNOVATIONS INC COM      46126P106        57900      3000          X                       3000     0             0
INVESTORS FINL SERVICES CORP COM       461915100      5524409    190300          X                     188500     0          1800
INVESTORS FINL SERVICES CORP COM       461915100       430515     14830                 X               14830     0             0
INVISION TECHNOLOGIES INC COM          461851107       293851     11950          X                      11950     0             0
INVITROGEN CORP COM                    46185R100      4162330    108394          X                      76839     0         31555
INVITROGEN CORP COM                    46185R100     16543373    430817                 X               15122     0        415695
IOMEGA CORP COM                        462030305        81726      7710          X                       7710     0             0
IOMEGA CORP COM                        462030305        11766      1110                 X                 200     0           910
IONICS INC COM                         462218108       271348     12130          X                      12130     0             0
IONICS INC COM                         462218108       190436      8513                 X                8513     0             0
IPAYMENT INC COM                       46262E105       193104      8100                 X                   0     0          8100
IRON MOUNTAIN INC COM                  462846106       190012      5123          X                       5123     0             0
IRON MOUNTAIN INC COM                  462846106      1555926     41950                 X               41950     0             0
IRWIN FINL CORP COM                    464119106       471380     18200          X                      18200     0             0
ITRON INC COM                          465741106      4250550    197700          X                     196150     0          1550






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
ITT EDL SVCS INC COM                   45068B109      1158300     39600          X                      29200      0        10400
ITT EDL SVCS INC COM                   45068B109        61718      2110                 X                1110      0         1000
ITT INDUSTRIES, INC COM                450911102      3711386     56697          X                      54104      0         2593
ITT INDUSTRIES, INC COM                450911102      2921807     44635                 X               39184      0         5451
IVAX CORP                              465823102        67402      3776          X                       3776      0            0
IVAX CORP                              465823102        23419      1312                 X                   0      0         1312
IVILLAGE COM                           46588H105        45831     30967          X                      30967      0            0
J & J SNACK FOODS CORP COM             466032109       178980      5700          X                       5700      0            0
J D EDWARDS & CO COM                   281667105        52589      3675          X                        900      0         2775
J M SMUCKER CO COM                     832696405      1147556     28768          X                      20702      0         8066
J M SMUCKER CO COM                     832696405      1556907     39030                 X               34167      1         4862
J P MORGAN CHASE & CO COM              46625H100    189753107   5551583          X                    5351060      0       200523
J P MORGAN CHASE & CO COM              46625H100    104319821   3052072                 X             2832205   1040       218827
J. JILL GROUP INC COM                  466189107       214528     12800          X                      12800      0            0
J.C. PENNEY CO INC (HOLDING CO)        708160106      2257091    133952          X                     110078      0        23874
J.C. PENNEY CO INC (HOLDING CO)        708160106       340067     20182                 X               20034      0          148
JABIL CIRCUIT INC COM                  466313103      5824411    263548          X                     250510      0        13038
JABIL CIRCUIT INC COM                  466313103       148269      6709                 X                5509      0         1200
JACK IN THE BOX INC COM                466367109     14260850    639500          X                     501100      0       138400
JACK IN THE BOX INC COM                466367109         4460       200                 X                 200      0            0
JACOBS ENGR GROUP INC COM              469814107       453956     10770          X                       8290      0         2480
JACOBS ENGR GROUP INC COM              469814107      1423827     33780                 X                3930      0        29850
JACUZZI BRANDS INC COM                 469865109        46288      8750          X                       8750      0            0
JACUZZI BRANDS INC COM                 469865109          794       150                 X                   0      0          150
JAKKS PAC INC COM                      47012E106       258102     19450          X                      19450      0            0
JAKKS PAC INC COM                      47012E106         8493       640                 X                   0      0          640
JANUS CAPITAL GROUP INC COM            47102X105      2161750    131814          X                     131014      0          800
JANUS CAPITAL GROUP INC COM            47102X105       743002     45305                 X               44320      0          985
JARDEN CORP COM                        471109108     10868776    392800          X                     347600      0        45200
JDA SOFTWARE GROUP INC COM             46612K108       206274     18600          X                      18600      0            0
JDS UNIPHASE CORP COM                  46612J101      1524391    435914          X                     400964      0        34950
JDS UNIPHASE CORP COM                  46612J101       540776    154640                 X               46290    200       108150
JEFFERIES GROUP INC NEW COM            472319102      4657855     93550          X                      92650      0          900
JEFFERIES GROUP INC NEW COM            472319102       124475      2500                 X                2500      0            0
JEFFERSON PILOT CORP COM               475070108      1380701     33302          X                      19926      0        13376
JEFFERSON PILOT CORP COM               475070108      2288385     55195                 X               51145      0         4050
JETBLUE AIRWAYS CORP COM               477143101       564631     13450          X                       2400      0        11050
JETBLUE AIRWAYS CORP COM               477143101        12594       300                 X                 300      0            0
JLG INDUSTRIES INC COM                 466210101       282880     41600          X                      28100      0        13500
JMAR TECHNOLOGIES INC COM              466212107         1250      1000          X                       1000      0            0
JO-ANN STORES INC CL A COM             47758P109       326370     12900          X                      12900      0            0
JOHN HANCOCK FINL SVCS COM             41014S106      7961651    259084          X                     233798      0        25286
JOHN HANCOCK FINL SVCS COM             41014S106       299034      9731                 X                9731      0            0





    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
JOHNSON & JOHNSON COM                  478160104    384481061   7436771          X                    7014812       0      421959
JOHNSON & JOHNSON COM                  478160104    201927844   3905761                 X             3648355    1000      256406
JOHNSON CONTROLS INC COM               478366107      3952751     46177          X                      32715       0       13462
JOHNSON CONTROLS INC COM               478366107      1223738     14296                 X               11956       0        2340
JOHNSON OUTDOORS INC CL A COM          479167108        27007      1980          X                       1980       0           0
JOHNSON OUTDOORS INC CL A COM          479167108        13640      1000                 X                1000       0           0
JONES APPAREL GROUP INC COM            480074103     13340541    455931          X                     419541       0       36390
JONES APPAREL GROUP INC COM            480074103       623794     21319                 X               21319       0           0
JOS A BANK CLOTHIERS INC COM           480838101        90558      2700          X                          0       0        2700
JOURNAL REGISTER CO COM                481138105     10960731    605900          X                     460900       0      145000
JOURNAL REGISTER CO COM                481138105       703701     38900                 X               22500       0       16400
JUNIPER NETWORKS INC COM               48203R104       571812     45855          X                      32035       0       13820
JUNIPER NETWORKS INC COM               48203R104        62974      5050                 X                 300       0        4750
K TRON INTL INC COM                    482730108      2174693    147637          X                     110197       0       37440
K-SWISS COM                            482686102       396865     11500          X                      11500       0           0
KADANT INC COM                         48282T104       112800      6016          X                       6016       0           0
KADANT INC COM                         48282T104        32456      1731                 X                1499       0         232
KAMAN CORP CL A COM                    483548103      2165837    189653          X                     146353       0       43300
KAMAN CORP CL A COM                    483548103        68520      6000                 X                 200       0        5800
KANA SOFTWARE INC COM NEW              483600300        95309     31455          X                      31455       0           0
KANEB SERVICES LLC CL WI COM           484173109       133398      4570                 X                4570       0           0
KANSAS CITY LIFE INS CO COM            484836101        16279       380          X                        380       0           0
KANSAS CITY LIFE INS CO COM            484836101        46267      1080                 X                1080       0           0
KANSAS CITY SOUTHERN INC COM           485170302      7315263    608085          X                     490960       0      117125
KANSAS CITY SOUTHERN INC COM           485170302       169382     14080                 X               14080       0           0
KAYDON CORP COM                        486587108       648960     31200          X                      19700       0       11500
KAYDON CORP COM                        486587108        83200      4000                 X                   0       0        4000
KB HOME COM                            48666K109       958211     15460          X                      13393       0        2067
KCS ENERGY INC                         482434206        10780      2000          X                          0       0        2000
KEANE INC COM                          486665102        27260      2000          X                       2000       0           0
KEANE INC COM                          486665102        13085       960                 X                 960       0           0
KEITHLEY INSTRUMENTS INC COM           487584104      7359963    509340          X                     381095       0      128245
KEITHLEY INSTRUMENTS INC COM           487584104          145        10                 X                  10       0           0
KELLOGG CO COM                         487836108      5250258    152757          X                     115289       0       37468
KELLOGG CO COM                         487836108      8449693    245845                 X              243045       0        2800
KELLWOOD CO COM                        488044108       690957     21845          X                      12720       0        9125
KELLWOOD CO COM                        488044108         8856       280                 X                   0       0         280
KEMET CORP COM                         488360108       124230     12300          X                       4000       0        8300
KEMET CORP COM                         488360108        35350      3500                 X                3500       0           0
KENNAMETAL INC COM                     489170100       101012      2985          X                        835       0        2150
KENSEY NASH CORP COM                   490057106         5124       200                 X                 200       0           0
KERR-MCGEE CORP COM                    492386107     23920512    533940          X                     509068       0       24872
KERR-MCGEE CORP COM                    492386107       931437     20791                 X               19891       0         900






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
KERYX BIOPHARMACEUTICALS COM           492515101         2140      1000          X                       1000      0            0
KEY ENERGY SERVICES INC COM            492914106      6616384    617200          X                     611300      0         5900
KEY ENERGY SERVICES INC COM            492914106       928352     86600                 X                   0      0        86600
KEY TECHNOLOGY INC COM                 493143101      5939888    508117          X                     343902      0       164215
KEYCORP NEW COM                        493267108      2843481    112524          X                      75454      0        37070
KEYCORP NEW COM                        493267108      4922773    194807                 X              194071      0          736
KEYSPAN CORP COM                       49337W100      2615536     73781          X                      36681      0        37100
KEYSPAN CORP COM                       49337W100       394062     11116                 X                8420      0         2696
KEYSTONE PPTY TR CORP COM              493596100        36835      1990          X                       1990      0            0
KEYSTONE PPTY TR CORP COM              493596100        64785      3500                 X                3500      0            0
KFORCE INC COM                         493732101     12503837   2572806          X                    1693561      0       879245
KFORCE INC COM                         493732101        29160      6000                 X                6000      0            0
KIMBALL INTL INC CL B COM              494274103      3890156    250010          X                     199610      0        50400
KIMBERLY CLARK CORP COM                494368103     57906215   1110591          X                    1016274      0        94317
KIMBERLY CLARK CORP COM                494368103     24151874    463212                 X              443187      0        20025
KINDER MORGAN INC COM                  49455P101      1070047     19580          X                      18630      0          950
KINDER MORGAN INC COM                  49455P101       199473      3650                 X                3650      0            0
KINDER MORGAN MGMT LLC COM             49455U100      1379914     36837                 X                   0      0        36837
KINDRED HEALTHCARE INC COM             494580103        26833      1510          X                       1510      0            0
KING PHARMACEUTICALS COM               495582108       579463     39259          X                      39259      0            0
KING PHARMACEUTICALS COM               495582108        59040      4000                 X                4000      0            0
KIRBY CORP COM                         497266106       442740     15700          X                      14800      0          900
KLA-TENCOR CORP COM                    482480100      5071527    109159          X                      89859      0        19300
KNIGHT RIDDER INC COM                  499040103     11076568    160693          X                     153949      0         6744
KNIGHT RIDDER INC COM                  499040103      2269245     32921                 X               32121      0          800
KNIGHT TRADING GROUP INC COM           499063105        11340      1800          X                       1800      0            0
KNIGHT TRADING GROUP INC COM           499063105         3150       500                 X                 500      0            0
KNIGHT TRANSN INC COM                  499064103       941993     37953          X                      24400      0        13553
KOHLS CORP COM                         500255104     25915301    504385          X                     486200      0        18185
KOHLS CORP COM                         500255104      2290777     44585                 X                3600      0        40985
KOPIN CORP COM                         500600101       881686    143597          X                     126497      0        17100
KOPIN CORP COM                         500600101       160868     26200                 X                6200      0        20000
KORN/FERRY INTERNATIONAL COM           500643200         1215       150                 X                   0      0          150
KOSAN BIOSCIENCES INC COM              50064W107        21058      3612                 X                3612      0            0
KRAFT FOODS INC COM                    50075N104     52258830   1605494          X                    1534877      0        70617
KRAFT FOODS INC COM                    50075N104     11417856    350779                 X              311579    275        38925
KRAMONT RLTY TR COM                    50075Q107       156750      9500                 X                9500      0            0
KRISPY KREME DOUGHNUTS INC COM         501014104       164720      4000          X                       2900      0         1100
KRISPY KREME DOUGHNUTS INC COM         501014104       501367     12175                 X               12175      0            0
KROGER CO COM                          501044101      9323303    558951          X                     488273      0        70678
KROGER CO COM                          501044101       236022     14150                 X               13750      0          400
KROLL INC COM                          501049100      2264461     83900          X                      83400      0          500
KRONOS INC COM                         501052104       958624     18852          X                      13852      0         5000
KRONOS INC COM                         501052104       127125      2500                 X                2500      0            0





    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
KULICKE & SOFFA INDS INC COM           501242101       207036     32400          X                      32400     0             0
KULICKE & SOFFA INDS INC COM           501242101        88821     13900                 X                   0     0         13900
KVH INDUSTRIES INC COM                 482738101        18450       750          X                          0     0           750
KYPHON INC COM                         501577100      2552797    170300          X                     168900     0          1400
KYPHON INC COM                         501577100       577865     38550                 X                   0     0         38550
K2 INC COM                             482732104       222828     18190          X                      18190     0             0
L-3 COMM HLDGS INC COM                 502424104     16887297    388303          X                     352479     0         35824
L-3 COMM HLDGS INC COM                 502424104       670877     15426                 X                1501     0         13925
LA-Z-BOY INC COM                       505336107       816892     36501          X                      24801     0         11700
LABONE INC NEW COM                     50540L105      2156000    100000          X                      77100     0         22900
LABOR READY INC COM                    505401208       187137     26100          X                      26100     0             0
LABORATORY CORP AMER HLDGS COM         50540R409      2255220     74800          X                      25395     0         49405
LABORATORY CORP AMER HLDGS COM         50540R409        77727      2578                 X                1748     0           830
LABRANCHE & CO INC COM                 505447102      1819686     87950          X                      87950     0             0
LACLEDE GROUP INC COM                  505597104       332320     12400          X                      12400     0             0
LACLEDE GROUP INC COM                  505597104       135930      5072                 X                5072     0             0
LADENBURG THALMANN FINANCIAL COM       50575Q102        39610    172219          X                     172219     0             0
LADISH COMPANY INC COM                 505754200      3475537    521070          X                     405170     0        115900
LAFARGE NORTH AMERICA COM              505862102         3090       100          X                        100     0             0
LAFARGE NORTH AMERICA COM              505862102        12360       400                 X                   0     0           400
LAKELAND BANCORP INC COM               511637100        41308      2585          X                       2585     0             0
LAKELAND FINL CORP COM                 511656100        11932       400                 X                 400     0             0
LAM RESEARCH CORPORATION COM           512807108        25494      1400          X                        600     0           800
LAMAR ADVERTISING COM CL A             512815101       262274      7388          X                       1095     0          6293
LAMAR ADVERTISING COM CL A             512815101      1036316     29192                 X                1122     0         28070
LANCASTER COLONY CORP COM              513847103       254039      6566          X                       6566     0             0
LANCE INC COM                          514606102       173470     19000          X                      19000     0             0
LANDAMERICA FINL GROUP INC COM         514936103       741000     15600          X                      12100     0          3500
LANDAUER INC                           51476K103        93072      2225          X                       1000     0          1225
LANDRY'S RESTAURANTS INC COM           51508L103       491824     20840          X                      20840     0             0
LANDSTAR SYS INC COM                   515098101       650624     10400          X                       4600     0          5800
LASER TECHNOLOGY INC COM               518074208          135       100          X                        100     0             0
LATTICE SEMICONDUCTOR CORP             518415104      2583661    311660          X                     308100     0          3560
LATTICE SEMICONDUCTOR CORP             518415104       494499     59650                 X                   0     0         59650
LAWSON PRODUCTS INC COM                520776105       214374      7821          X                       6621     0          1200
LAYNE CHRISTENSEN CO COM               521050104      2209275    273764          X                     176964     0         96800
LAZARE KAPLAN INTERNATIONAL COM        521078105       280140     48300          X                      48300     0             0
LAZARE KAPLAN INTERNATIONAL COM        521078105       125860     21700                 X               11500     0         10200
LCA-VISION INC COM                     501803308        27030      3010                 X                3010     0             0
LEAPFROG ENTERPRISES INC COM           52186N106        63620      2000          X                          0     0          2000
LEAR CORP COM                          521865105      1935739     42063          X                      29613     0         12450
LEAR CORP COM                          521865105       138980      3020                 X                2825     0           195
LECROY CORP COM                        52324W109      3437706    358842          X                     245242     0        113600






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
LEE ENTERPRISES INC COM                523768109       199509      5316          X                       4216      0         1100
LEGATO SYS INC COM                     524651106       270282     32100          X                          0      0        32100
LEGG MASON INC COM                     524901105       612479      9430          X                       7850      0         1580
LEGG MASON INC COM                     524901105        35723       550                 X                 360      0          190
LEGGETT & PLATT INC COM                524660107       956551     46661          X                      25236      0        21425
LEGGETT & PLATT INC COM                524660107        92968      4535                 X                4385      0          150
LEHMAN BROS HLDGS INC COM              524908100      4729587     71143          X                      50253      0        20890
LEHMAN BROS HLDGS INC COM              524908100      1099446     16538                 X               13744      0         2794
LENNAR CORP CL A COM                   526057104       936650     13100          X                       1000      0        12100
LENNAR CORP CL A COM                   526057104       972400     13600                 X                4100      0         9500
LENNAR CORP CL B COM                   526057302        70074      1020          X                         20      0         1000
LENNAR CORP CL B COM                   526057302        97554      1420                 X                 440      0          980
LENNOX INTL INC COM                    526107107       489060     38000          X                      38000      0            0
LEUCADIA NATL CORP COM                 527288104       519680     14000          X                          0      0        14000
LEUCADIA NATL CORP COM                 527288104       445440     12000                 X                   0      0        12000
LEVEL 3 COMMUNICATIONS INC COM         52729N100        67932     10200          X                       5200      0         5000
LEVEL 3 COMMUNICATIONS INC COM         52729N100         7992      1200                 X                1200      0            0
LEXAR MEDIA INC COM                    52886P104       119196     12600          X                          0      0        12600
LEXMARK INTERNATIONAL INC CL A COM     529771107     26675902    376938          X                     362508      0        14430
LEXMARK INTERNATIONAL INC CL A COM     529771107      1020503     14420                 X                 520      0        13900
LIBBEY INC COM                         529898108       213380      9400          X                       9400      0            0
LIBBEY INC COM                         529898108        10215       450                 X                 450      0            0
LIBERTY CORP SC COM                    530370105        68000      1600          X                       1600      0            0
LIBERTY MEDIA CORP COM CL A            530718105     36143531   3126603          X                    2918287      0       208316
LIBERTY MEDIA CORP COM CL A            530718105      4058970    351122                 X              157721      0       193401
LIFECELL CORP COM                      531927101        15300      3000                 X                3000      0            0
LIFECORE BIOMEDICAL INC COM            532187101      2857734    504900          X                     417200      0        87700
LIFEPOINT HOSPS INC COM                53219L109      3052506    144600          X                     143500      0         1100
LIFEPOINT HOSPS INC COM                53219L109        16107       763                 X                 763      0            0
LIGAND PHARMACEUTICALS INC CL B COM    53220K207        30578      2250          X                          0      0         2250
LIGAND PHARMACEUTICALS INC CL B COM    53220K207          163        12                 X                  12      0            0
LILLY ELI & CO COM                     532457108     75129918   1089313          X                    1008258      0        81055
LILLY ELI & CO COM                     532457108     44621176    646965                 X              610686    200        36079
LIMITED BRANDS INC COM                 532716107      3251513    209775          X                     145284      0        64491
LIMITED BRANDS INC COM                 532716107        32550      2100                 X                2100      0            0
LIN TV CORP CL A COM                   532774106      3946980    167600          X                     155600      0        12000
LIN TV CORP CL A COM                   532774106       247275     10500                 X               10500      0            0
LINCARE HLDGS INC                      532791100      1159455     36680          X                      28555      0         8125
LINCARE HLDGS INC                      532791100       192505      6090                 X                5460      0          630
LINCOLN ELEC HLDGS INC COM             533900106        69428      3400          X                          0      0         3400
LINCOLN NATIONAL CORP COM              534187109     30553544    857523          X                     782072      0        75451
LINCOLN NATIONAL CORP COM              534187109      1980315     55580                 X               42640      0        12940
LINDSAY MFG CO COM                     535555106       202014      8700          X                       1000      0         7700
LINDSAY MFG CO COM                     535555106       133213      5737                 X                5737      0            0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
LINEAR TECHNOLOGY CORP COM             535678106      8641510    266878          X                     254528     0         12350
LINEAR TECHNOLOGY CORP COM             535678106      1712902     52900                 X               39100     0         13800
LINENS N THINGS INC COM                535679104       700273     29660          X                      28860     0           800
LINENS N THINGS INC COM                535679104       517059     21900                 X                   0     0         21900
LIONBRIDGE TECHNOLOGIES INC COM        536252109        25969      5102                 X                5102     0             0
LIPID SCIENCES INC COM                 53630P101           50        24                 X                  24     0             0
LITHIA MTRS INC CL A COM               536797103      8068830    499000          X                     397300     0        101700
LITHIA MTRS INC CL A COM               536797103         8085       500                 X                 500     0             0
LITTELFUSE INC COM                     537008104       580008     26400          X                      15500     0         10900
LIZ CLAIBORNE INC COM                  539320101       895350     25400          X                       9426     0         15974
LIZ CLAIBORNE INC COM                  539320101       158978      4510                 X                4360     0           150
LNR PROPERTY CORP COM                  501940100        13464       360          X                        360     0             0
LOCKHEED MARTIN CORP COM               539830109      9809648    206215          X                     161145     0         45070
LOCKHEED MARTIN CORP COM               539830109      1807755     38002                 X                9642     0         28360
LOEWS CORP COM                         540424108      1600057     33835          X                      28710     0          5125
LOEWS CORP COM                         540424108       575519     12170                 X               11990     0           180
LOEWS CORP-CAROLINA GROUP COM          540424207        13500       500                 X                   0     0           500
LOJACK CORP COM                        539451104          495       100          X                        100     0             0
LONE STAR STEAKHOUSE SALOON COM        542307103       446420     20200          X                      20200     0             0
LONE STAR STEAKHOUSE SALOON COM        542307103        13039       590                 X                   0     0           590
LONE STAR TECHNOLOGIES INC COM         542312103       455370     21500          X                      21500     0             0
LONE STAR TECHNOLOGIES INC COM         542312103        22663      1070                 X                1070     0             0
LONG ISLAND FIN CORP COM               542669106      1027600     35000          X                      35000     0             0
LONGS DRUG STORES CORP COM             543162101        23240      1400          X                       1400     0             0
LONGS DRUG STORES CORP COM             543162101        56440      3400                 X                3400     0             0
LONGVIEW FIBRE CO COM                  543213102      4038500    492500          X                     381000     0        111500
LOUISIANA PAC CORP COM                 546347105      8985276    828900          X                     717773     0        111127
LOUISIANA PAC CORP COM                 546347105        56921      5251                 X                5251     0             0
LOWES COS INC COM                      548661107     36479969    849359          X                     765103     0         84256
LOWES COS INC COM                      548661107      5502410    128112                 X               88152     0         39960
LSI INDS INC OHIO COM                  50216C108     12105249   1090563          X                     754963     0        335600
LSI LOGIC CORP COM                     502161102       413798     58446          X                      45446     0         13000
LSI LOGIC CORP COM                     502161102        26196      3700                 X                3700     0             0
LTX CORP COM                           502392103          864       100                 X                 100     0             0
LUBRIZOL CORP COM                      549271104      1490464     48095          X                      37070     0         11025
LUBRIZOL CORP COM                      549271104       595008     19200                 X               18750     0           450
LUBY'S INC COM                         549282101         6750      3000                 X                3000     0             0
LUCENT TECHNOLOGIES INC COM            549463107      1890774    931416          X                     625987     0        305429
LUCENT TECHNOLOGIES INC COM            549463107       519309    255817                 X              232402     0         23415
LUFKIN INDS INC COM                    549764108        54057      2210          X                       2210     0             0
LUFKIN INDS INC COM                    549764108        12108       495                 X                   0     0           495
LUMINEX CORP COM                       55027E102         6541      1270                 X                1270     0             0
LYDALL INC COM                         550819106      1938005    181122          X                     144827     0         36295
LYDALL INC COM                         550819106        10786      1008                 X                1008     0             0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED     NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
LYONDELL CHEMICAL COMPANY              552078107       197538     14600          X                          0       0       14600
LYONDELL CHEMICAL COMPANY              552078107          677        50                 X                  50       0           0
M & F WORLDWIDE CORP COM               552541104          108        15          X                         15       0           0
M & F WORLDWIDE CORP COM               552541104         2160       300                 X                 300       0           0
M & T BK CORP COM                      55261F104      1055950     12538          X                       7268       0        5270
M & T BK CORP COM                      55261F104      4242751     50377                 X               50377       0           0
M D C HLDGS INC COM                    552676108       898008     18600          X                      18600       0           0
MAC GRAY CORP COM                      554153106        98119     24715                 X               24715       0           0
MACDERMID INC COM                      554273102     23135242    879667          X                     633212       0      246455
MACDERMID INC COM                      554273102     21203718    806225                 X                 645  737591       67989
MACROCHEM CORP DEL COM                 555903103          570       500          X                        500       0           0
MACROMEDIA INC COM                     556100105        33616      1600          X                       1600       0           0
MACROMEDIA INC COM                     556100105      1439185     68500                 X                 100       0       68400
MACROVISION CORP COM                   555904101       236171     11850          X                          0       0       11850
MAF BANCORP INC COM                    55261R108       563464     15200          X                      15200       0           0
MAGELLAN PETROLEUM CO                  559091301         1200      1000                 X                   0       0        1000
MAGMA DESIGN AUTOMATION COM            559181102      2140749    124825          X                     115100       0        9725
MAGNETEK INC COM                       559424106        39116     15400          X                      15400       0           0
MAGNUM HUNTER RESOURCES INC            55972F203        78302      9800          X                          0       0        9800
MAGNUM HUNTER RESOURCES INC            55972F203          719        90                 X                  90       0           0
MAINE PUB SVC CO COM                   560483109        18206       560          X                        560       0           0
MAINE PUB SVC CO COM                   560483109        32510      1000                 X                1000       0           0
MAINSOURCE FINANCIAL GROUP COM         56062Y102        22374       920          X                        920       0           0
MALAN RLTY INVS INC COM                561063108        17360      4000                 X                4000       0           0
MANDALAY RESORT GROUP COM              562567107       525525     16500          X                       1300       0       15200
MANDALAY RESORT GROUP COM              562567107        89180      2800                 X                2800       0           0
MANHATTAN ASSOCS INC COM               562750109       652349     25100          X                      19100       0        6000
MANITOWOC INC COM                      563571108       410320     18400          X                      18400       0           0
MANITOWOC INC COM                      563571108       423700     19000                 X                5000       0       14000
MANOR CARE INC COM                     564055101      1455582     58200          X                       6976       0       51224
MANOR CARE INC COM                     564055101       287615     11500                 X               11500       0           0
MANPOWER INC WIS COM                   56418H100      1079319     29100          X                      29100       0           0
MANPOWER INC WIS COM                   56418H100        71769      1935                 X                1750       0         185
MANTECH INTERNATIONAL CORP CL A COM    564563104        82517      4300          X                          0       0        4300
MANUGISTICS GROUP INC COM              565011103        67650     16500          X                      16500       0           0
MAPICS INC COM                         564910107         6552       800                 X                 800       0           0
MAPINFO CORP COM                       565105103      6806761    954665          X                     657065       0      297600
MAPINFO CORP COM                       565105103        33333      4675                 X                 675       0        4000
MARATHON OIL CORP COM                  565849106     13255394    503051          X                     433370       0       69681
MARATHON OIL CORP COM                  565849106       922935     35026                 X               34026       0        1000
MARCUS CORP COM                        566330106       313950     21000          X                      19200       0        1800
MARKEL CORPORATION (HOLDING COMPANY)   570535104       507648      1983          X                        783       0        1200
MARKETWATCH INC COM                    570619106          830       100          X                        100       0           0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
MARRIOTT INTERNATIONAL INC COM CL A    571903202      2180335     56750          X                      51819     0          4931
MARRIOTT INTERNATIONAL INC COM CL A    571903202       609725     15870                 X               14470     0          1400
MARSH & MCLENNAN COS INC COM           571748102    125901186   2465267          X                    2343738     0        121529
MARSH & MCLENNAN COS INC COM           571748102     52633099   1030607                 X              838819   200        191588
MARSHALL & ILSLEY CORP                 571834100      1013727     33150          X                      30850     0          2300
MARSHALL & ILSLEY CORP                 571834100        37919      1240                 X                1240     0             0
MARTEK BIOSCIENCES CORP COM            572901106       587926     13695          X                          0     0         13695
MARTEK BIOSCIENCES CORP COM            572901106       682587     15900                 X                   0     0         15900
MARTHA STEWART LIVING CL A COM         573083102         9860      1050          X                       1050     0             0
MARTHA STEWART LIVING CL A COM         573083102          939       100                 X                 100     0             0
MARTIN MARIETTA MATLS INC COM          573284106       638590     19000          X                       9300     0          9700
MARTIN MARIETTA MATLS INC COM          573284106         4840       144                 X                 144     0             0
MARVEL ENTERPRISES INC COM             57383M108          363        19          X                         19     0             0
MASCO CORP COM                         574599106      4360734    182840          X                     141686     0         41154
MASCO CORP COM                         574599106      4288540    179813                 X              152445     0         27368
MASSBANK CORP READING MA COM           576152102        27489       760          X                        760     0             0
MASSEY ENERGY CORP COM                 576206106       779348     59266          X                      52866     0          6400
MASSEY ENERGY CORP COM                 576206106        42461      3229                 X                3229     0             0
MASTEC INC COM                         576323109      4091904    710400          X                     554400     0        156000
MATERIAL SCIENCES CORP COM             576674105        89240      9200          X                       9200     0             0
MATERIAL SCIENCES CORP COM             576674105         2183       225                 X                 225     0             0
MATRIX BANCORP INC COM                 576819106      6884229    672288          X                     441688     0        230600
MATRIX SVC CO COM                      576853105      4393830    256200          X                     253851     0          2349
MATRIXONE INC COM                      57685P304       896440    153500          X                     152212     0          1288
MATRIXX INITIATIVES INC COM            57685L105         1989       300          X                          0     0           300
MATTEL INC COM                         577081102      7535514    398283          X                     312335     0         85948
MATTEL INC COM                         577081102       239224     12644                 X               11094     0          1550
MATTSON TECHNOLOGY INC COM             577223100         1966       630          X                        630     0             0
MAVERICK TUBE CORP COM                 577914104      6666115    348100          X                     345600     0          2500
MAVERICK TUBE CORP COM                 577914104       235545     12300                 X                   0     0         12300
MAXIM INTEGRATED PRODS INC             57772K101     44300981   1299149          X                    1195024     0        104125
MAXIM INTEGRATED PRODS INC             57772K101      2994867     87826                 X               79806     0          8020
MAXIMUS INC COM                        577933104       530496     19200          X                      14500     0          4700
MAXTOR CORP NEW COM                    577729205      6904784    919412          X                     695132     0        224280
MAXWELL SHOE INC COM                   577766108        54288      3770          X                       3770     0             0
MAXWELL SHOE INC COM                   577766108       108000      7500                 X                7500     0             0
MAY DEPT STORES CO COM                 577778103      4793112    215324          X                     161427     0         53897
MAY DEPT STORES CO COM                 577778103      2000528     89871                 X               78114     0         11757
MAYTAG CORP COM                        578592107       474969     19450          X                      14993     0          4457
MAYTAG CORP COM                        578592107       349035     14293                 X               14293     0             0
MBIA INC COM                           55262C100     29307720    601184          X                     576884     0         24300
MBIA INC COM                           55262C100      2524373     51782                 X               50482     0          1300
MBNA CORP COM                          55262L100     13211205    633935          X                     526160     0        107775
MBNA CORP COM                          55262L100      1541472     73967                 X               69793     0          4174






    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
MCCLATCHY CO (HOLDING COMPANY) CL A    579489105       524457      9102          X                       7802      0         1300
MCCORMICK & CO INC COM                 579780206       451520     16600          X                      16200      0          400
MCCORMICK & CO INC COM                 579780206       108800      4000                 X                2400      0         1600
MCDATA CORP CL A COM                   580031201       853890     58286          X                      19311      0        38975
MCDATA CORP CL A COM                   580031201        26795      1829                 X                1591      0          238
MCDATA CORP COM                        580031102        56472      3900          X                       3900      0            0
MCDATA CORP COM                        580031102        16652      1150                 X                1150      0            0
MCDERMOTT INTERNATIONAL INC COM        580037109        46842      7400          X                       7200      0          200
MCDONALDS CORP COM                     580135101     93722792   4248540          X                    4011762      0       236778
MCDONALDS CORP COM                     580135101     38422806   1741741                 X             1625714     50       115977
MCGRAW HILL COMPANIES INC COM          580645109     14759038    238049          X                     223573      0        14476
MCGRAW HILL COMPANIES INC COM          580645109      8987954    144967                 X              139316      0         5651
MCKESSON CORP COM                      58155Q103     22942400    641925          X                     603075      0        38850
MCKESSON CORP COM                      58155Q103      1769881     49521                 X               21021      0        28500
MCLEODUSA INC CL A COM                 582266706         2015      1371          X                          0      0         1371
MCMORAN EXPLORATION CO COM             582411104         1248       112                 X                 112      0            0
MDU RES GROUP INC COM                  552690109      1869747     55830          X                      55830      0            0
MDU RES GROUP INC COM                  552690109       150705      4500                 X                3910      0          590
MEADE INSTRS CORP COM                  583062104        41280     12900          X                      12900      0            0
MEADWESTVACO CORP COM                  583334107      4846782    196226          X                     150734      0        45492
MEADWESTVACO CORP COM                  583334107       568051     22998                 X               21497      0         1501
MECHANICAL TECHNOLOGY INC COM          583538103         3100      1000          X                       1000      0            0
MECHANICAL TECHNOLOGY INC COM          583538103        46035     14850                 X               14850      0            0
MEDAREX INC COM                        583916101         1956       300          X                        300      0            0
MEDAREX INC COM                        583916101        18582      2850                 X                2850      0            0
MEDIA GENERAL INC CL A COM             584404107        28600       500          X                        500      0            0
MEDIABAY INC COM                       58446J108           72       100                 X                 100      0            0
MEDIACOM COMM CORP COM                 58446K105       803258     82470          X                      70620      0        11850
MEDICAL ACTION INDS INC COM            58449L100      5440188    335400          X                     332727      0         2673
MEDICAL TECHNOLOGY SYS INC COM         58462R802         6864      1600          X                       1600      0            0
MEDICINES COMPANY COM                  584688105        26339      1350          X                          0      0         1350
MEDICIS PHARMACEUTICAL CORP CL A COM   584690309      1481061     26121          X                      22200      0         3921
MEDICIS PHARMACEUTICAL CORP CL A COM   584690309        26933       475                 X                 325      0          150
MEDIMMUNE INC COM                      584699102      1965289     54036          X                      38759      0        15277
MEDIMMUNE INC COM                      584699102       238769      6565                 X                6475      0           90
MEDIX RESOURCE INC COM                 585011109          703      2269          X                       2269      0            0
MEDSOURCE TECHNOLOGIES INC COM         58505Y103          106        25          X                         25      0            0
MEDTRONIC INC COM                      585055106    189552640   3951483          X                    3717215      0       234268
MEDTRONIC INC COM                      585055106     40872503    852043                 X              779042    200        72801
MELLON FINL CORP COM                   58551A108     58272475   2099909          X                    1994076      0       105833
MELLON FINL CORP COM                   58551A108      9215137    332077                 X              278866    200        53011
MEMBERWORKS INC COM                    586002107     10684962    539100          X                     532900      0         6200
MEMC ELECTRONIC MATERIALS INC COM      552715104          980       100                 X                 100      0            0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
MEMRY CORP NEW COM                     586263204         5500      5000                 X                5000      0            0
MENS WEARHOUSE INC COM                 587118100       563730     25800          X                      25800      0            0
MENTOR CORP MINN                       587188103       585880     30200          X                      30200      0            0
MENTOR GRAPHICS CORP COM               587200106       156924     10800          X                       9200      0         1600
MERCANTILE BANKSHARES CORP COM         587405101       241058      6126          X                       4926      0         1200
MERCANTILE BANKSHARES CORP COM         587405101       358203      9103                 X                7903      0         1200
MERCANTILE BK CORP COM                 587376104       957430     33500          X                      33222      0          278
MERCHANTS BANCSHARES INC COM           588448100        50466      1950          X                       1950      0            0
MERCHANTS GROUP INC COM                588539106         2045       100                 X                 100      0            0
MERCK & CO INC COM                     589331107    484816705   8006882          X                    7625501      0       381381
MERCK & CO INC COM                     589331107    339533520   5607490                 X             5287998    730       318762
MERCURY COMPUTER SYS INC COM           589378108      1730820     95100          X                      94400      0          700
MERCURY GEN CORP COM NEW               589400100        57063      1250          X                        150      0         1100
MERCURY INTERACTIVE CORP COM           589405109      7539479    194517          X                     176803      0        17714
MERCURY INTERACTIVE CORP COM           589405109      1498849     38670                 X                2910      0        35760
MEREDITH CORP COM                      589433101      2263800     51450          X                      45994      0         5456
MERIDIAN GOLD INC COM                  589975101         4596       400                 X                 400      0            0
MERISTAR HOSPITALITY CORP COM          58984Y103         5346      1040          X                          0      0         1040
MERIT MEDICAL SYSTEMS INC COM          589889104           60         3          X                          3      0            0
MERITAGE CORP COM                      59001A102      1809074     36725          X                      33200      0         3525
MERRILL LYNCH & COMPANY COM            590188108     17446650    373750          X                     287563      0        86187
MERRILL LYNCH & COMPANY COM            590188108      5033738    107835                 X               82915    100        24820
MESA AIR GROUP INC COM                 590479101      5570408    699800          X                     536300      0       163500
MESABA HLDGS INC COM                   59066B102        15903      2700          X                       2700      0            0
MESABI TRUST CTF BEN INT               590672101         3362       696          X                        696      0            0
MESTEK INC                             590829107       251226     13957          X                      13957      0            0
MESTEK INC                             590829107      6483600    360200                 X              360200      0            0
MET PRO CORP COM                       590876306        25559      1770          X                       1770      0            0
MET PRO CORP COM                       590876306        28880      2000                 X                2000      0            0
METASOLV INC COM                       59139P104         8681      4429          X                       4429      0            0
METHODE ELECTRONICS INC CL A           591520200       256925     23900          X                      23900      0            0
METLIFE INC COM                        59156R108      6937522    244969          X                     106236      0       138733
METLIFE INC COM                        59156R108       390703     13796                 X               13796      0            0
METRIS COMPANIES INC COM               591598107        83189     14989          X                      14989      0            0
METRO ONE TELECOMMUNICATIONS INC COM   59163F105        91258     17720          X                      17720      0            0
METROCORP BANCSHARES INC COM           591650106         9559       790          X                        790      0            0
MFA MORTGAGE INVESTMENTS INC COM       55272X102       240207     23925          X                      23925      0            0
MFA MORTGAGE INVESTMENTS INC COM       55272X102        68674      6840                 X                6840      0            0
MGE ENERGY INC COM                     55277P104      1458454     46492          X                       4892      0        41600
MGE ENERGY INC COM                     55277P104        62740      2000                 X                2000      0            0
MGI PHARMA INC COM                     552880106       424628     16600          X                      16600      0            0
MGI PHARMA INC COM                     552880106       537180     21000                 X               21000      0            0
MGIC INVT CORP WI COM                  552848103     10707611    229580          X                     212730      0        16850
MGIC INVT CORP WI COM                  552848103       467566     10025                 X                9725      0          300






    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
MGM MIRAGE COM                         552953101       757976     22176          X                      16300      0         5876
MGM MIRAGE COM                         552953101       625494     18300                 X               17800      0          500
MICHAELS STORES INC COM                594087108       188625      4956          X                       1915      0         3041
MICHAELS STORES INC COM                594087108       953593     25055                 X                 825      0        24230
MICREL INC COM                         594793101       290160     27900          X                          0      0        27900
MICROCHIP TECHNOLOGY INC COM           595017104      2289623     92510          X                      81540      0        10970
MICROCHIP TECHNOLOGY INC COM           595017104       308509     12465                 X                2475      0         9990
MICROMUSE INC COM                      595094103      1105598    138720          X                     136000      0         2720
MICROMUSE INC COM                      595094103       236709     29700                 X                   0      0        29700
MICRON TECHNOLOGY INC COM              595112103      1358617    116820          X                      52899      0        63921
MICRON TECHNOLOGY INC COM              595112103         2326       200                 X                 200      0            0
MICROS SYS INC COM                     594901100       372900     11300          X                      11300      0            0
MICROSEMI CORP COM                     595137100       300888     18900          X                      18900      0            0
MICROSEMI CORP COM                     595137100      1294296     81300                 X                   0      0        81300
MICROSOFT CORP COM                     594918104    473239531  18457080          X                   17152000      0      1305080
MICROSOFT CORP COM                     594918104    122646017   4783386                 X             4136071   2250       645065
MICROSTRATEGY INC CL A COM             594972408       202362      5526          X                         19      0         5507
MICROSTRATEGY INC CL A COM             594972408       549300     15000                 X                   0      0        15000
MICROTUNE INC COM                      59514P109        25440      8000          X                       8000      0            0
MID ATLANTIC MED SVCS INC COM          59523C107      1854715     35463          X                      31180      0         4283
MID ATLANTIC MED SVCS INC COM          59523C107      1760418     33660                 X                1165      0        32495
MID-STATE BANCSHARES COM               595440108        68672      3560          X                       3560      0            0
MIDAS INC COM                          595626102       145440     12000          X                       9800      0         2200
MIDAS INC COM                          595626102         6060       500                 X                 400      0          100
MIDDLESEX WTR CO COM                   596680108       189420      7700                 X                7700      0            0
MIDLAND CO COM                         597486109         8828       400          X                        400      0            0
MIDWAY GAMES INC COM                   598148104       110857     30539          X                      30539      0            0
MIDWEST BANC HOLDINGS INC COM          598251106        19420      1000          X                       1000      0            0
MILACRON INC COM                       598709103       117521     24033          X                      24033      0            0
MILACRON INC COM                       598709103        11736      2400                 X                2400      0            0
MILLBROOK PRESS INC COM                600179105         6500      5000                 X                5000      0            0
MILLENNIUM CELL INC COM                60038B105         1638       900          X                        900      0            0
MILLENNIUM PHARMACEUTICALS INC COM     599902103       173769     11047          X                       8572      0         2475
MILLENNIUM PHARMACEUTICALS INC COM     599902103      2709084    172224                 X              172224      0            0
MILLER HERMAN INC COM                  600544100        62627      3122          X                       3122      0            0
MILLIPORE CORP COM                     601073109      6553227    147695          X                      95673      0        52022
MILLIPORE CORP COM                     601073109      2966978     66869                 X               66594      0          275
MILLS CORP COM                         601148109        51466      1534          X                         34      0         1500
MILLS CORP COM                         601148109       199119      5935                 X                5935      0            0
MINE SAFETY APPLIANCES CO COM          602720104        28353       650                 X                 650      0            0
MINERALS TECHNOLOGIES INC COM          603158106       905076     18600          X                       1150      0        17450
MINERALS TECHNOLOGIES INC COM          603158106       990231     20350                 X                   0      0        20350
MIPS TECHNOLOGIES INC CL B COM         604567206          247       100          X                        100      0            0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
MIRANT CORP COM                        604675108       143637     49530          X                      38394    0          11136
MIRANT CORP COM                        604675108        10817      3730                 X                3240    0            490
MOBILE MINI INC COM                    60740F105       151683      9300          X                       9300    0              0
MOCON INC COM                          607494101        29000      4000          X                       1000    0           3000
MOCON INC COM                          607494101        82918     11437                 X               11437    0              0
MOD-PAC CORP COM                       607495108       226712     34092          X                      34092    0              0
MODEM MEDIA INC CLASS A COM            607533106         1194       300                 X                 300    0              0
MODINE MFG CO COM                      607828100        96900      5100          X                       1800    0           3300
MOHAWK INDS INC COM                    608190104        51532       928          X                        613    0            315
MOHAWK INDS INC COM                    608190104       564407     10164                 X               10164    0              0
MOLECULAR DEVICES CORP COM             60851C107         4770       300                 X                 300    0              0
MOLEX INC CL A NON-VTG COM             608554200     10067704    434890          X                     430190    0           4700
MOLEX INC CL A NON-VTG COM             608554200      3863967    166910                 X              142442    0          24468
MOLEX INC COM                          608554101      3113978    115418          X                     113818    0           1600
MOLEX INC COM                          608554101      2889990    107116                 X               90652    0          16464
MONACO COACH CORP COM                  60886R103       497842     32475          X                      32475    0              0
MONDAVI ROBERT CORP CL A COM           609200100        75060      3000          X                          0    0           3000
MONOLITHIC SYSTEM TECHNOLOGY COM       609842109        83036      9075          X                          0    0           9075
MONRO MUFFLER BRAKE INC COM            610236101        71215      2520          X                       2520    0              0
MONRO MUFFLER BRAKE INC COM            610236101        13706       485                 X                   0    0            485
MONSANTO CO COM                        61166W101     15671666    724199          X                     671140    0          53059
MONSANTO CO COM                        61166W101      2416885    111686                 X               76048    6          35632
MONSTER WORLDWIDE INC COM              611742107       250610     12702          X                      12300    0            402
MONY GROUP INC COM                     615337102       167252      6206          X                       6206    0              0
MONY GROUP INC COM                     615337102        63979      2374                 X                2374    0              0
MOODYS CORP COM                        615369105      3842612     72901          X                      64336    0           8565
MOODYS CORP COM                        615369105      3210988     60918                 X               55663    0           5255
MOOG CORP CL A COM                     615394202        67763      1950          X                          0    0           1950
MOOG CORP CL A COM                     615394202       104250      3000                 X                3000    0              0
MORGAN STANLEY COM                     617446448     20335705    475689          X                     381563    0          94126
MORGAN STANLEY COM                     617446448      4398462    102888                 X               83750    0          19138
MOTHERS WORK INC COM                   619903107      2160339     80700          X                      80100    0            600
MOTOROLA INC COM                       620076109     23058208   2445197          X                    2299217    0         145980
MOTOROLA INC COM                       620076109      4550767    482584                 X              423389    0          59195
MOVIE GALLERY INC COM                  624581104       593831     31875          X                      23700    0           8175
MPS GROUP INC COM                      553409103        76987     11190          X                      11190    0              0
MPS GROUP INC COM                      553409103        11593      1685                 X                   0    0           1685
MPW INDL SVCS GROUP INC COM            553444100      1018612    509306          X                     364306    0         145000
MPW INDL SVCS GROUP INC COM            553444100         8000      4000                 X                4000    0              0
MRO SOFTWARE INC COM                   55347W105       147567     17139          X                      17139    0              0
MRV COMMUNICATIONS INC COM             553477100        14550      7500          X                       7500    0              0
MSC INDL DIRECT INC CL A COM           553530106       255970     14300          X                       4300    0          10000
MSC SOFTWARE CORP COM                  553531104      6904402   1024392          X                     782792    0         241600






    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
MTC TECHNOLOGIES INC COM               55377A106      2273855     95500          X                      94700     0           800
MTI TECHNOLOGY CORP COM                553903105          148       150          X                        150     0             0
MTS SYSTEMS CORP COM                   553777103       198106     13440          X                       3340     0         10100
MUELLER INDS INC COM                   624756102       802456     29600          X                      24800     0          4800
MULTI-COLOR CORP COM                   625383104        11135       500          X                        500     0             0
MUNICIPAL MTG & EQUITY GROWTH SH LLC   62624B101         3350       132                 X                 132     0             0
MURPHY OIL CORP COM                    626717102      2299409     43715          X                      41940     0          1775
MURPHY OIL CORP COM                    626717102      1054420     20046                 X               14546     0          5500
MYERS INDS INC COM                     628464109       186200     19600          X                       2044     0         17556
MYKROLIS CORP COM                      62852P103      2936882    289348          X                     284203     0          5145
MYKROLIS CORP COM                      62852P103       231410     22799                 X               22799     0             0
MYLAN LABORATORIES COM                 628530107      1013546     29150          X                      19500     0          9650
MYLAN LABORATORIES COM                 628530107       292068      8400                 X                7950     0           450
MYRIAD GENETICS COM                    62855J104       162401     11950          X                          0     0         11950
MYRIAD GENETICS COM                    62855J104        13590      1000                 X                1000     0             0
NABI BIOPHARMACEUTICALS COM            629519109         5560       800          X                        800     0             0
NACCO INDS INC CL A                    629579103       282912      4800                 X                4800     0             0
NAM TAI ELECTRONICS INC COM            629865205       212000      5000          X                          0     0          5000
NARA BANCORP INC COM                   63080P105        18730      1000                 X                1000     0             0
NASH FINCH CO COM                      631158102       130026      7800          X                       7800     0             0
NASHUA CORP COM                        631226107      4593343    516106          X                     319906     0        196200
NASSDA CORP COM                        63172M101       108803     13825          X                          0     0         13825
NASTECH PHARMACEUTICAL INC COM         631728409         1291       125          X                        125     0             0
NATHANS FAMOUS INC NEW COM             632347100         1740       500          X                        500     0             0
NATIONAL CITY CORPORATION COM          635405103     22773814    696234          X                     639859     0         56375
NATIONAL CITY CORPORATION COM          635405103     11545093    352953                 X              346053     0          6900
NATIONAL FUEL GAS CO N J COM           636180101       530560     20367          X                      20367     0             0
NATIONAL FUEL GAS CO N J COM           636180101       637600     24476                 X               19920     0          4556
NATIONAL INSTRUMENTS CORP COM          636518102       488872     12882                 X                   0     0         12882
NATIONAL PRESTO INDS INC COM           637215104       148520      4700          X                       4700     0             0
NATIONAL SEMICONDUCTOR CORP COM        637640103      1055316     53515          X                      41189     0         12326
NATIONAL SEMICONDUCTOR CORP COM        637640103       318872     16170                 X                1890     0         14280
NATIONAL-OILWELL INC COM               637071101     18765516    852978          X                     839700     0         13278
NATIONAL-OILWELL INC COM               637071101      1047354     47607                 X                3047     0         44560
NATIONWIDE FINANCIAL SVCS CL A COM     638612101       905385     27858          X                      27658     0           200
NATIONWIDE FINANCIAL SVCS CL A COM     638612101       139848      4303                 X                4303     0             0
NATL COMMERCE FINANCIAL CORP COM       63545P104       255185     11500          X                          0     0         11500
NATL COMMERCE FINANCIAL CORP COM       63545P104        95417      4300                 X                4300     0             0
NATURES SUNSHINE PRODS INC COM         639027101        96558     12100          X                      12100     0             0
NAUTICA ENTERPRISES INC COM            639089101       320485     24390          X                      23190     0          1200
NAUTILUS GROUP INC COM                 63910B102       269080     21700          X                      21700     0             0
NAVIGANT CONSULTING INC COM            63935N107       971984     82024          X                      81424     0           600
NAVIGATORS GROUP INC COM               638904102        21769       730          X                        730     0             0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
NAVISTAR INTL CORP NEW COM             63934E108      2217470     67958          X                      62758     0          5200
NAVISTAR INTL CORP NEW COM             63934E108        14292       438                 X                  13     0           425
NBT BANCORP INC COM                    628778102       703465     36336          X                      36336     0             0
NBT BANCORP INC COM                    628778102       137456      7100                 X                7100     0             0
NBTY INC COM                           628782104       913136     43400          X                      43400     0             0
NCI BLDG SYS INC COM                   628852105     11709990    701197          X                     526107     0        175090
NCI BLDG SYS INC COM                   628852105       285570     17100                 X                 100     0         17000
NCO GROUP INC COM                      628858102     15244486    849275          X                     695870     0        153405
NCR CORP COM                           62886E108       371080     14484          X                      13134     0          1350
NCR CORP COM                           62886E108        57799      2256                 X                2038     0           218
NDCHEALTH CORP COM                     639480102       425537     23190          X                      22700     0           490
NEIMAN MARCUS GROUP INC CL A COM       640204202        62220      1700          X                       1700     0             0
NEIMAN MARCUS GROUP INC CL A COM       640204202        15958       436                 X                 436     0             0
NEIMAN-MARCUS GROUP INC CL B COM       640204301       212589      6162          X                       4656     0          1506
NEIMAN-MARCUS GROUP INC CL B COM       640204301        33362       967                 X                 967     0             0
NEKTAR THERAPEUTICS COM                640268108         3851       420                 X                 420     0             0
NEOFORMA INC COM                       640475505        80660      7400          X                          0     0          7400
NETEGRITY INC COM                      64110P107       135973     22700          X                      22400     0           300
NETSCREEN TECHNOLOGIES INC COM         64117V107        89200      4000          X                          0     0          4000
NETSCREEN TECHNOLOGIES INC COM         64117V107      1222040     54800                 X                   0     0         54800
NETWORK APPLIANCE INC COM              64120L104      1107687     68886          X                      57086     0         11800
NETWORK APPLIANCE INC COM              64120L104        56232      3497                 X                2147     0          1350
NETWORK EQUIP TECHNOLOGIES COM         641208103       227761     27050          X                      14800     0         12250
NETWORKS ASSOCIATES INC COM            640938106       252966     19950          X                       1475     0         18475
NETWORKS ASSOCIATES INC COM            640938106         3804       300                 X                 300     0             0
NET2PHONE INC COM                      64108N106         1311       300          X                        300     0             0
NEUBERGER BERMAN INC COM               641234109        99176      2485          X                       2200     0           285
NEUROBIOLOGICAL TECHNOLOGIES INC COM   64124W106          524       150          X                        150     0             0
NEUROBIOLOGICAL TECHNOLOGIES INC COM   64124W106         6980      2000                 X                2000     0             0
NEUROCRINE BIOSCIENCES INC COM         64125C109      2562435     51300          X                      50900     0           400
NEUROCRINE BIOSCIENCES INC COM         64125C109       746353     14942                 X                   0     0         14942
NEW CENTURY FINANCIAL CORP COM         64352D101       677664     15600          X                      15600     0             0
NEW ENGLAND BUSINESS SVC INC COM       643872104       893100     29770          X                      11120     0         18650
NEW ENGLAND BUSINESS SVC INC COM       643872104       117000      3900                 X                3900     0             0
NEW FRONTIER MEDIA INC COM             644398109          160       100          X                          0     0           100
NEW HAMPSHIRE THRIFT BANCSHRS          644722100        36615      1480                 X                1480     0             0
NEW JERSEY RES CORP COM                646025106     12132622    341764          X                     269264     0         72500
NEW JERSEY RES CORP COM                646025106       176861      4982                 X                4982     0             0
NEW VALLEY CORP COM                    649080504       169855     40929          X                      40929     0             0
NEW YORK CMNTY BANCORP INC COM         649445103        71358      2453          X                       2453     0             0
NEW YORK CMNTY BANCORP INC COM         649445103       199703      6865                 X                6732     0           133
NEW YORK TIMES CO CL A COM             650111107      3509415     77130          X                      52130     0         25000
NEW YORK TIMES CO CL A COM             650111107       737555     16210                 X               16000     0           210






    ITEM 1              ITEM 2           ITEM 3       ITEM 4    ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
NEWCASTLE INVESTMENT CORP COM          65105M108      1063684     54325          X                      46375    0           7950
NEWCASTLE INVESTMENT CORP COM          65105M108        11748       600                 X                 600    0              0
NEWELL RUBBERMAID INC COM              651229106     10546648    376666          X                     351313    0          25353
NEWELL RUBBERMAID INC COM              651229106      1185212     42329                 X               39517    0           2812
NEWFIELD EXPL CO COM                   651290108      1610895     42900          X                      38400    0           4500
NEWFIELD EXPL CO COM                   651290108          225         6                 X                   6    0              0
NEWFOCUS INC COM                       644383101          374       100          X                        100    0              0
NEWMIL BANCORP INC                     651633109        52598      2380                 X                2380    0              0
NEWMONT MINING CORP COM NEW            651639106      2588425     79742          X                      50989    0          28753
NEWMONT MINING CORP COM NEW            651639106       451713     13916                 X               13417    0            499
NEWPARK RESOURCES NEW                  651718504      8851844   1615300          X                    1268200    0         347100
NEWPORT CORP COM                       651824104         8892       600          X                        600    0              0
NEXPRISE INC COM                       65333Q202           38        12          X                         12    0              0
NEXTEL COMMUNICATIONS INC CL A COM     65332V103      3729648    206400          X                     139100    0          67300
NEXTEL COMMUNICATIONS INC CL A COM     65332V103       529288     29291                 X               27491    0           1800
NEXTEL PARTNERS INC CL A COM           65333F107       195244     26600          X                          0    0          26600
NEXTERA ENTERPRISES INC COM            65332E101       373376   1166800          X                     782200    0         384600
NICOR INC COM                          654086107      5356086    144330          X                     142088    0           2242
NICOR INC COM                          654086107       132112      3560                 X                3560    0              0
NIKE INC CL B COM                      654106103      3486104     65173          X                      26157    0          39016
NIKE INC CL B COM                      654106103       213960      4000                 X                4000    0              0
NISOURCE INC COM                       65473P105      1290499     67921          X                      64521    0           3400
NISOURCE INC COM                       65473P105      2277188    119852                 X              119432    0            420
NL INDUSTRIES COM                      629156407        46478      2734          X                       2734    0              0
NL INDUSTRIES COM                      629156407       128537      7561                 X                7561    0              0
NMS COMMUNICATIONS CORP COM            629248105      1449107    735214          X                     588324    0         146890
NMS COMMUNICATIONS CORP COM            629248105        15768      8000                 X                8000    0              0
NOBLE ENERGY INC COM                   655044105      4508784    119280          X                     113075    0           6205
NOBLE ENERGY INC COM                   655044105       801738     21210                 X               17930    0           3280
NORDSON CORP COM                       655663102        39184      1600                 X                1600    0              0
NORDSTROM INC COM                      655664100       782752     40100          X                      20552    0          19548
NORDSTROM INC COM                      655664100       140739      7210                 X                7210    0              0
NORFOLK SOUTHERN CORP COM              655844108     10007405    521219          X                     422437    0          98782
NORFOLK SOUTHERN CORP COM              655844108      7418131    386361                 X              357861    0          28500
NORTH EUROPEAN OIL ROYALTY TRUST       659310106       251970     11100          X                      11100    0              0
NORTH EUROPEAN OIL ROYALTY TRUST       659310106       941596     41480                 X               40880    0            600
NORTH FORK BANCORP NY COM              659424105      2883009     84645          X                      79145    0           5500
NORTH FORK BANCORP NY COM              659424105       355961     10451                 X               10101    0            350
NORTH PITTSBURGH SYSTEMS COM           661562108        35616      2400          X                       2400    0              0
NORTHEAST BANCORP COM                  663904100         6600       400                 X                 400    0              0
NORTHEAST UTILITIES COM                664397106       616400     36822          X                      23055    0          13767
NORTHEAST UTILITIES COM                664397106       395298     23614                 X               22242    0           1372
NORTHERN TR CORP COM                   665859104      3263312     78445          X                      62465    0          15980
NORTHERN TR CORP COM                   665859104      2252973     54158                 X               47632    0           6526






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR  OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
NORTHFIELD LABS INC COM                666135108         3865       500          X                          0     0           500
NORTHRIM BANCORP INC COM               666762109        30821      1700          X                       1700     0             0
NORTHRIM BANCORP INC COM               666762109        10878       600                 X                   0     0           600
NORTHROP GRUMMAN CORP COM              666807102     38778036    449392          X                     424442     0         24950
NORTHROP GRUMMAN CORP COM              666807102      6129696     71036                 X               57381    50         13605
NORTHWAY FINL INC COM                  667270102       708355     24384                 X               24384     0             0
NORTHWEST AIRLS CORP CL A COM          667280101         1111       100          X                        100     0             0
NORTHWEST NATURAL GAS CO COM           667655104      9283966    340696          X                     266796     0         73900
NORTHWEST NATURAL GAS CO COM           667655104        13761       505                 X                   0     0           505
NORTHWEST PIPE CO COM                  667746101      8704592    627132          X                     485016     0        142116
NORTHWESTERN CORP COM                  668074107        49200     24600          X                      24600     0             0
NORTHWESTERN CORP COM                  668074107         1000       500                 X                 500     0             0
NORWOOD FINL CORP COM                  669549107        13980       600                 X                 600     0             0
NOVADIGM INC                           669937104        13312      5200          X                       5200     0             0
NOVAMED EYECARE INC COM                66986W108         7476      5707          X                       5707     0             0
NOVELL INC COM                         670006105       175665     56484          X                      55276     0          1208
NOVELL INC COM                         670006105        46028     14800                 X               14800     0             0
NOVELLUS SYS INC COM                   670008101      2911366     79437          X                      41687     0         37750
NOVELLUS SYS INC COM                   670008101        82096      2240                 X                1660     0           580
NOVEN PHARMACEUTICALS INC COM          670009109      2263040    221000          X                     219400     0          1600
NOVOSTE CORP COM                       67010C100         7212      1200          X                       1200     0             0
NSTAR COM                              67019E107      1959197     43012          X                      39597     0          3415
NSTAR COM                              67019E107      1138112     24986                 X               24886     0           100
NTL INC COM                            62940M104        76068      2210          X                          0     0          2210
NTL INC COM                            62940M104         6987       203                 X                 203     0             0
NU HORIZONS ELECTRS CORP COM           669908105        38877      6512          X                       6512     0             0
NUCOR CORPORATION COM                  670346105      3882647     79481          X                      50461     0         29020
NUCOR CORPORATION COM                  670346105       844030     17278                 X               17265     0            13
NUCO2 INC COM                          629428103         9410      1000          X                       1000     0             0
NUEVO ENERGY CO COM                    670509108       219870     12600          X                      12600     0             0
NUI CORP COM                           629431107      7170240    462000          X                     360900     0        101100
NUVEEN INVESTMENTS INC CL A COM        67090F106       498492     18300          X                      18300     0             0
NUVELO INC COM                         67072M103        12000      6000                 X                6000     0             0
NVIDIA CORP COM                        67066G104      4547635    198500          X                     167300     0         31200
NVIDIA CORP COM                        67066G104       884326     38600                 X                1200     0         37400
NVR INC COM                            62944T105      2231730      5430          X                       4700     0           730
NVR INC COM                            62944T105       123300       300                 X                 300     0             0
NYFIX INC COM                          670712108       156984     24800          X                      24800     0             0
O CHARLEYS INC COM                     670823103     16846391    782098          X                     595779     0        186319
O CHARLEYS INC COM                     670823103       582442     27040                 X                   0     0         27040
O REILLY AUTOMOTIVE INC COM            686091109      6880763    205580          X                     141145     0         64435
O REILLY AUTOMOTIVE INC COM            686091109       579031     17300                 X                   0     0         17300
OAK TECHNOLOGIES COM                   671802106         3090       500          X                        500     0             0
OAK TECHNOLOGIES COM                   671802106         6180      1000                 X                1000     0             0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
OCCIDENTAL PETE CORP COM               674599105     11584144     345280          X                     282137      0        63143
OCCIDENTAL PETE CORP COM               674599105       380558      11343                X                10393      0          950
OCEANEERING INTL INC COM               675232102      7691802     301049          X                     230134      0        70915
OCEANEERING INTL INC COM               675232102       480340      18800                X                    0      0        18800
OCTEL CORP COM                         675727101        19460       1400          X                       1400      0            0
OCTEL CORP COM                         675727101          917         66                X                   66      0            0
OCWEN FINANCIAL CORP COM               675746101         4540       1000          X                       1000      0            0
ODYSSEY HEALTHCARE INC COM             67611V101      3344800      90400          X                      65650      0        24750
ODYSSEY HEALTHCARE INC COM             67611V101       166500       4500                X                 4500      0            0
OFFICE DEPOT INC COM                   676220106     51494960    3548929          X                    3247596      0       301333
OFFICE DEPOT INC COM                   676220106      4442759     306186                X               293511    200        12475
OFFICEMAX INC COM                      67622M108       139843      21350          X                      18500      0         2850
OFFICEMAX INC COM                      67622M108        26200       4000                X                 4000      0            0
OFFSHORE LOGISTICS INC COM             676255102      4617351     212292          X                     153792      0        58500
OGE ENERGY CORP COM                    670837103       204639       9576          X                       9576      0            0
OGE ENERGY CORP COM                    670837103       534549      25014                X                25014      0            0
OHIO CASUALITY COM                     677240103      8150130     616500          X                     480600      0       135900
OIL STATES INTERNATIONAL INC COM       678026105      4383830     362300          X                     278500      0        83800
OLD DOMINION FGHT LINES INC COM        679580100      2250646     105318          X                      97701      0         7617
OLD REP INTERNATIONAL CORPORATION      680223104      1535879      44817          X                       5992      0        38825
OLD SECOND BANCORP INC COM             680277100        35456        840                X                  840      0            0
OLIN CORP COM                          680665205      6523650     381500          X                     289900      0        91600
OLIN CORP COM                          680665205        27839       1628                X                 1628      0            0
OM GROUP INC COM                       670872100       527334      35800          X                      21550      0        14250
OM GROUP INC COM                       670872100       754176      51200                X                    0      0        51200
OMEGA FINL CORP COM                    682092101        15039        440          X                        440      0            0
OMEGA FINL CORP COM                    682092101       512700      15000                X                15000      0            0
OMI CORP NEW COM                       Y6476W104        59752       9700          X                          0      0         9700
OMI CORP NEW COM                       Y6476W104         3080        500                X                  500      0            0
OMNICARE INC COM                       681904108       763654      22600          X                      12000      0        10600
OMNICARE INC COM                       681904108        67580       2000                X                    0      0         2000
OMNICOM GROUP INC COM                  681919106     24759086     345315          X                     326620      0        18695
OMNICOM GROUP INC COM                  681919106      2330465      32503                X                25648      0         6855
OMNOVA SOLUTIONS INC COM               682129101       105444      26100          X                      26100      0            0
ON ASSIGNMENT INC COM                  682159108        66660      16500          X                      16500      0            0
ON SEMICONDUCTOR CORP COM              682189105          810        300                X                  300      0            0
ONEIDA LTD COM                         682505102       346721      51366          X                       1366      0        50000
ONEOK INC NEW COM                      682680103        22889       1166          X                       1166      0            0
ONEOK INC NEW COM                      682680103       102076       5200                X                 1200      0         4000
ONLINE RESOURCES CORPORATION           68273G101          637        100                X                  100      0            0
ONYX PHARMACEUTICALS INC DEL COM       683399109        18105       1500          X                       1500      0            0
ON2 TECHNOLOGIES INC COM               68338A107         5000       4000          X                       4000      0            0
OPENTV CORP CL A COM                   G67543101          426        300                X                  300      0            0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
OPENWAVE SYS INC COM                   683718100          628        314          X                        314    0              0
OPENWAVE SYS INC COM                   683718100        32410      16205                X                16205    0              0
OPTICAL COMMUNICATIONS PROD COM        68382T101         8986       5020          X                       5020    0              0
OPTICARE HEALTH SYS INC COM            68386P105        57194     109989          X                     109989    0              0
ORACLE CORP COM                        68389X105     32588907    2713481          X                    2193362    0         520119
ORACLE CORP COM                        68389X105      5799004     482848                X               394198    0          88650
ORCHID BIOSCIENCES INC COM             68571P100          600        500          X                        500    0              0
OREGON STL MLS INC COM                 686079104           58         20                X                   20    0              0
ORTHODONTIC CTRS AMER INC COM          68750P103       381877      47675          X                      32800    0          14875
ORTHOFIX INTL N V COM                  N6748L102       713732      21800                X                    0    0          21800
ORTHOLOGIC CORP COM                    68750J107         5830       1287          X                       1287    0              0
OSHKOSH B GOSH INC CL A COM            688222207       207438       7700          X                       7700    0              0
OSHKOSH TRUCK CORP COM                 688239201     11888499     200413          X                     138713    0          61700
OSHKOSH TRUCK CORP COM                 688239201         7712        130                X                    0    0            130
OSI PHARMACEUTICALS INC COM            671040103       108063       3356          X                          0    0           3356
OSI PHARMACEUTICALS INC COM            671040103        65656       2039                X                 2039    0              0
OSTEOTECH INC COM                      688582105       150849      11100          X                      11100    0              0
OUTBACK STEAKHOUSE INC COM             689899102      2921880      74920          X                      39765    0          35155
OUTBACK STEAKHOUSE INC COM             689899102       852891      21869                X                 1090    0          20779
OVERTURE SVCS INC COM                  69039R100         5439        300          X                        300    0              0
OWENS & MINOR INC NEW COM              690732102       496170      22200          X                      21150    0           1050
OWENS & MINOR INC NEW COM              690732102         2235        100                X                    0    0            100
OWENS ILL INC COM NEW                  690768403       167306      12150          X                        900    0          11250
OXFORD HEALTH PLANS INC COM            691471106      1506313      35839          X                       1664    0          34175
OXFORD HEALTH PLANS INC COM            691471106       588420      14000                X                 1000    0          13000
OXFORD INDS INC COM                    691497309       215904       5200          X                       5200    0              0
OYO GEOSPACE CORP COM                  671074102        86430       6450          X                        600    0           5850
P.A.M. TRANSPORTATION SVCS COM         693149106      1123527      43700          X                      27100    0          16600
PAC WEST TELECOM INC COM               69371Y101         1850       2500                X                    0    0           2500
PACCAR INC COM                         693718108      1131086      16695          X                       8834    0           7861
PACCAR INC COM                         693718108        15244        225                X                  225    0              0
PACIFIC SUNWEAR CA INC COM             694873100       893368      37100          X                      32700    0           4400
PACIFICARE HEALTH SYSTEMS COM          695112102       625258      12675          X                       1900    0          10775
PACIFICARE HEALTH SYSTEMS COM          695112102       590973      11980                X                  380    0          11600
PACKAGING CORP OF AMERICA COM          695156109      1502045      81500          X                      46200    0          35300
PACTIV CORP COM                        695257105       718213      36439          X                      18089    0          18350
PACTIV CORP COM                        695257105       100206       5084                X                 5084    0              0
PAIN THERAPEUTICS INC COM              69562K100          194         30                X                   30    0              0
PALATIN TECHNOLOGIES INC COM           696077304         3190       1000                X                    0    0           1000
PALL CORP COM                          696429307     12791498     568511          X                     529244    0          39267
PALL CORP COM                          696429307      1312178      58319                X                53769    0           4550
PALM INC NEW COM                       696642206         5926        369          X                        369    0              0
PALM INC NEW COM                       696642206         5653        352                X                  202    0            150






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
PALOMAR MED TECHNOLOGIES INC COM       697529303         4760       1000          X                          0    0           1000
PALOMAR MED TECHNOLOGIES INC COM       697529303        63394      13318                 X                   0    0          13318
PANAMSAT CORP COM                      697933109       208146      11300          X                      11300    0              0
PANERA BREAD CO CL A COM               69840W108       871200      21780          X                      21780    0              0
PANERA BREAD CO CL A COM               69840W108       944000      23600                 X                3000    0          20600
PAPA JOHNS INTL INC COM                698813102       328653      11700          X                      11700    0              0
PARAGON TECHNOLOGIES INC COM           69912T108        45150       4515          X                       4515    0              0
PARAMETRIC TECHNOLOGY CORP COM         699173100       211708      70102          X                      32302    0          37800
PARAMETRIC TECHNOLOGY CORP COM         699173100         2416        800                 X                   0    0            800
PAREXEL INTL CORP COM                  699462107       232965      16700          X                      16700    0              0
PARK ELECTROCHEMICAL CORP COM          700416209       257355      12900          X                      12900    0              0
PARK ELECTROCHEMICAL CORP COM          700416209       244826      12272                 X                1272    0          11000
PARK NATL CORP COM                     700658107       205650       1800          X                          0    0           1800
PARK NATL CORP COM                     700658107       251350       2200                 X                2200    0              0
PARK PL ENTMT CORP COM                 700690100       116352      12800          X                        200    0          12600
PARK PL ENTMT CORP COM                 700690100        32724       3600                 X                3600    0              0
PARKER DRILLING CO COM                 701081101         2328        800          X                        800    0              0
PARKER DRILLING CO COM                 701081101          291        100                 X                 100    0              0
PARKER-HANNIFIN CORP COM               701094104      8012532     190820          X                     175176    0          15644
PARKER-HANNIFIN CORP COM               701094104      1294426      30827                 X               28595    0           2232
PARKWAY PROPERTIES INC COM             70159Q104       423654      10075          X                       5975    0           4100
PARTHUSCEVA INC COM                    70212E106         1096        134          X                          1    0            133
PARTY CITY CORP COM                    702145103      1281953     124100          X                     123100    0           1000
PATINA OIL & GAS CORP COM              703224105      4240167     131887          X                     129400    0           2487
PATINA OIL & GAS CORP COM              703224105       682384      21225                 X                   0    0          21225
PATTERSON DENTAL CO COM                703412106        18160        400          X                          0    0            400
PATTERSON DENTAL CO COM                703412106       124850       2750                 X                2750    0              0
PATTERSON-UTI ENERGY INC COM           703481101      2286520      70637          X                      67090    0           3547
PATTERSON-UTI ENERGY INC COM           703481101      1189274      36740                 X                1980    0          34760
PAXAR CORP COM                         704227107       279400      25400          X                      23571    0           1829
PAXSON COMMUNICATIONS CORP COM         704231109      9474982    1581800          X                    1211716    0         370084
PAXSON COMMUNICATIONS CORP COM         704231109        14975       2500                 X                   0    0           2500
PAYCHEX INC COM                        704326107      4367001     148588          X                     141788    0           6800
PAYCHEX INC COM                        704326107      3960655     134762                 X               61533    0          73229
PAYLESS SHOESOURCE INC COM             704379106       243150      19452          X                      13752    0           5700
PAYLESS SHOESOURCE INC COM             704379106        67913       5433                 X                5433    0              0
PC CONNECTION INC COM                  69318J100          689        100          X                        100    0              0
PC-TEL INC COM                         69325Q105       151680      12800          X                      12800    0              0
PEABODY ENERGY CORP COM                704549104       453801      13510          X                       5110    0           8400
PEABODY ENERGY CORP COM                704549104        13772        410                 X                   0    0            410
PEAPACK-GLADSTONE FINL CORP COM        704699107      1582090      49394                 X               46082    0           3312
PEC SOLUTIONS INC COM                  705107100      3425180     213274          X                     205600    0           7674
PEDIATRIX MEDICAL GROUP INC COM        705324101       860948      24150          X                      16800    0           7350





    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                          
PEGASUS COMMUNICATIONS CORP COM        705904605          583         20                 X                  20      0            0
PEGASUS SOLUTIONS INC COM              705906105       263898      16200          X                      16200      0            0
PENFORD CORPORATION COM                707051108        62552       5600          X                       5600      0            0
PENN ENGINEERING & MFG CORP COM        707389300        66885       4900          X                          0      0         4900
PENN VIRGINIA CORP COM                 707882106        94600       2200          X                          0      0         2200
PENNICHUCK CORPORATION NEW COM         708254206        43324       1754          X                        265      0         1489
PENTAIR INC                            709631105     11163934     285815          X                     215815      0        70000
PENTAIR INC                            709631105       377163       9656                 X                1656      0         8000
PEOPLES BK BRIDGEPORT CT COM           710198102       267143       9215          X                       9215      0            0
PEOPLES BK BRIDGEPORT CT COM           710198102       247024       8521                 X                7521      0         1000
PEOPLES ENERGY CORP COM                711030106      4022653      93790          X                      92410      0         1380
PEOPLES ENERGY CORP COM                711030106       166542       3883                 X                3883      0            0
PEOPLESOFT INC COM                     712713106      4048318     230542          X                     192842      0        37700
PEOPLESOFT INC COM                     712713106        98055       5584                 X                5584      0            0
PEP BOYS-MANNY,MOE & JACK              713278109       476633      35280          X                      35280      0            0
PEP BOYS-MANNY,MOE & JACK              713278109         5404        400                 X                 400      0            0
PEPCO HOLDINGS INC COM                 713291102       560871      29273          X                      21681      0         7592
PEPCO HOLDINGS INC COM                 713291102       679605      35470                 X               34868      0          602
PEPSI BOTTLING GROUP COM               713409100      1696735      84752          X                      83452      0         1300
PEPSI BOTTLING GROUP COM               713409100         5205        260                 X                   0      0          260
PEPSIAMERICAS INC COM                  71343P200        20397       1624          X                       1624      0            0
PEPSIAMERICAS INC COM                  71343P200       185260      14750                 X               14150      0          600
PEPSICO INC COM                        713448108    356421860    8009480          X                    7577101    200       432179
PEPSICO INC COM                        713448108    132319727    2973477                 X             2780402    325       192750
PERFORMANCE FOOD GROUP CO COM          713755106      5583300     150900          X                     150000      0          900
PERFORMANCE FOOD GROUP CO COM          713755106        18500        500                 X                   0      0          500
PERFORMANCE TECHNOLOGIES INC COM       71376K102      8572361    1174296          X                     780496      0       393800
PERICOM SEMICONDUCTOR CORP COM         713831105      5816092     606285          X                     472560      0       133725
PERKINELMER INC COM                    714046109       948996      68718          X                      53703      0        15015
PERKINELMER INC COM                    714046109      2883362     208788                 X              208788      0            0
PEROT SYSTEMS CORP COM CL A            714265105       482800      42500                 X                   0      0        42500
PERRIGO CO COM                         714290103         3128        200          X                        200      0            0
PERVASIVE SOFTWARE COM                 715710109        24129       4510          X                       4510      0            0
PETCO ANIMAL SUPPLIES INC COM          716016209      6061374     278300          X                     276200      0         2100
PETCO ANIMAL SUPPLIES INC COM          716016209       527076      24200                 X               12000      0        12200
PETROLEUM HELICOPTERS INC COM NON VT   716604202         3015        100                 X                 100      0            0
PETSMART INC COM                       716768106        11697        700          X                        700      0            0
PETSMART INC COM                       716768106       608244      36400                 X                   0      0        36400
PF CHANGS CHINA BISTRO COM             69333Y108      3174045      64500          X                      64350      0          150
PF CHANGS CHINA BISTRO COM             69333Y108      1082620      22000                 X                4450      0        17550
PFF BANCORP INC COM                    69331W104        86963       2250          X                          0      0         2250
PFIZER INC COM                         717081103    726648379   21278137          X                   20117876      0      1160261
PFIZER INC COM                         717081103    335961997    9837833                 X             9136765  31097       669971






    ITEM 1              ITEM 2           ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
PG & E CORP COM                        69331C108      1230042      58158          X                      41231    0          16927
PG & E CORP COM                        69331C108       143122       6767                 X                6767    0              0
PHARMACEUTICAL PROD DEV INC COM        717124101      1472105      51275          X                      36300    0          14975
PHARMACEUTICAL RES INC COM             717125108       116784       2400          X                          0    0           2400
PHARMOS CORP COM NEW                   717139208          206        100                 X                 100    0              0
PHELPS DODGE CORP COM                  717265102       997568      26019          X                      17116    0           8903
PHELPS DODGE CORP COM                  717265102       232302       6059                 X                5435    0            624
PHILADELPHIA CONS HLDG CORP COM        717528103      3929926      98150          X                      97550    0            600
PHILADELPHIA CONS HLDG CORP COM        717528103        24024        600                 X                   0    0            600
PHILADELPHIA SUBN CORP COM             718009608      6261418     256826          X                     194589    0          62237
PHILADELPHIA SUBN CORP COM             718009608       192602       7900                 X                7900    0              0
PHILLIPS VAN HEUSEN CORP               718592108      8015803     588100          X                     458600    0         129500
PHOENIX COMPANIES INC COM              71902E109      3922226     434355          X                     314054    0         120301
PHOENIX COMPANIES INC COM              71902E109        62867       6962                 X                6573    0            389
PHOENIX FOOTWEAR GROUP INC COM         71903M100        26450       5000          X                       5000    0              0
PHOENIX TECHNOLOGIES LTD COM           719153108       420491      73900          X                      15800    0          58100
PHOTOMEDEX INC COM                     719358103       186150      85000          X                      85000    0              0
PHOTON DYNAMICS INC                    719364101       288600      10400          X                      10400    0              0
PHOTRONICS INC                         719405102       359271      20900          X                      20900    0              0
PHOTRONICS INC                         719405102       899897      52350                 X                3000    0          49350
PHYSIOMETRIX INC COM                   718928104         9600       6400          X                       6400    0              0
PICO HLDGS INC COM NEW                 693366205       927420      71340          X                      50460    0          20880
PIEDMONT NAT GAS INC COM               720186105      1017016      26205          X                      26205    0              0
PIEDMONT NAT GAS INC COM               720186105       616691      15890                 X               13090    0           2800
PIER 1 IMPORTS INC COM                 720279108       604860      29650          X                        550    0          29100
PIER 1 IMPORTS INC COM                 720279108       459000      22500                 X                   0    0          22500
PINNACLE ENTMT INC COM                 723456109       114920      16900          X                      16900    0              0
PINNACLE SYS INC COM                   723481107       440840      41200          X                      41200    0              0
PINNACLE WEST CAPITAL CORP COM         723484101      1308391      34937          X                      32537    0           2400
PINNACLE WEST CAPITAL CORP COM         723484101       181333       4842                 X                 542    0           4300
PIONEER NATURAL RESOURCES CO COM       723787107       208409       7985          X                       1015    0           6970
PIONEER NATURAL RESOURCES CO COM       723787107       196246       7519                 X                 519    0           7000
PIONEER STANDARD ELECTRONICS COM       723877106      4494471     531890          X                     414240    0         117650
PIONEER STANDARD ELECTRONICS COM       723877106         6971        825                 X                   0    0            825
PITNEY BOWES INC COM                   724479100     10735672     279502          X                     255534    0          23968
PITNEY BOWES INC COM                   724479100      9017170     234761                 X              218574    0          16187
PIXAR INC COM                          725811103       271701       4485          X                       4475    0             10
PIXAR INC COM                          725811103        16660        275                 X                   0    0            275
PIXELWORKS INC COM                     72581M107       234228      39300                 X                   0    0          39300
PLAINS EXPLORATION & PRODTN COM        726505100      1784082     165040          X                     104945    0          60095
PLAINS RES INC COM PAR $0.10           726540503       219325      15500          X                      15500    0              0
PLANAR SYS INC COM                     726900103      1943301      99300          X                      98600    0            700
PLATO LEARNING INC COM                 72764Y100        41032       7026          X                       7026    0              0





    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
PLAYTEX PRODS INC COM                  72813P100       127116      19800          X                      12300     0          7500
PLEXUS CORP COM                        729132100      5178600     450705          X                     327899     0        122806
PLUG POWER INC COM                     72919P103        27744       5941          X                       4691     0          1250
PLUG POWER INC COM                     72919P103         5838       1250                 X                1250     0             0
PLUMTREE SOFTWARE INC COM              72940Q104        12300       3000          X                       3000     0             0
PMA CAPITAL CORP CL A COM              693419202        24980       2000          X                          0     0          2000
PMC-SIERRA INC COM                     69344F106      8049367     684470          X                     671930     0         12540
PMC-SIERRA INC COM                     69344F106       980361      83364                 X                 164     0         83200
PMI GROUP INC COM                      69344M101      2698896     100555          X                      85235     0         15320
PMI GROUP INC COM                      69344M101        57303       2135                 X                1055     0          1080
PNC FINANCIAL SERVICES GROUP           693475105     13350853     273527          X                     227290     0         46237
PNC FINANCIAL SERVICES GROUP           693475105      4344236      89003                 X               81768     0          7235
PNM RES INC COM                        69349H107        77575       2900          X                          0     0          2900
PNM RES INC COM                        69349H107        42265       1580                 X                 580     0          1000
POGO PRODUCING CO COM                  730448107       194513       4550          X                       3400     0          1150
POLARIS INDS INC COM                   731068102       951700      15500          X                      15500     0             0
POLO RALPH LAUREN COM                  731572103       154740       6000                 X                6000     0             0
POLYCOM INC COM                        73172K104       101178       7300          X                       1000     0          6300
POLYCOM INC COM                        73172K104       580041      41850                 X                1350     0         40500
POLYMEDICA CORP COM                    731738100       371466       8100          X                       8100     0             0
POLYONE CORP COM                       73179P106       273898      61550          X                      60050     0          1500
POPE & TALBOT INC                      732827100       112710      10200          X                       9900     0           300
POPE & TALBOT INC                      732827100          553         50                 X                  50     0             0
POSSIS MEDICAL INC                     737407106       162840      12000          X                      12000     0             0
POTLATCH CORP COM                      737628107       103000       4000          X                       4000     0             0
POWELL INDS INC COM                    739128106      6965712     475800          X                     383400     0         92400
POWER INTEGRATIONS INC COM             739276103       534820      22000          X                      18900     0          3100
POWER-ONE INC COM                      739308104        66928       9400          X                       9100     0           300
PPG INDS INC COM                       693506107     17255608     340079          X                     328833     0         11246
PPG INDS INC COM                       693506107      4063817      80091                 X               79591     0           500
PPL CORP COM                           69351T106      3054376      71032          X                      52337     0         18695
PPL CORP COM                           69351T106      2470694      57458                 X               27073     0         30385
PRACTICEWORKS INC COM                  739419109         6031        312          X                        312     0             0
PRAECIS PHARMACEUTICALS INC COM        739421105      5207720    1062800          X                     826000     0        236800
PRAXAIR INC COM                        74005P104      4798504      79842          X                      42303     0         37539
PRAXAIR INC COM                        74005P104       621494      10341                 X                4106     0          6235
PRE PAID LEGAL SVCS INC COM            740065107       284548      11600          X                      11600     0             0
PRECISION CASTPARTS CORP COM           740189105      6834007     219743          X                     214393     0          5350
PRECISION CASTPARTS CORP COM           740189105       283725       9123                 X                9123     0             0
PREFORMED LINE PRODS CO COM            740444104       219180      15600          X                      15600     0             0
PREFORMED LINE PRODS CO COM            740444104         2810        200                 X                 200     0             0
PREMCOR INC COM                        74045Q104      1289983      59860          X                      43390     0         16470
PREMCOR INC COM                        74045Q104      1277053      59260                 X                6220     0         53040






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
PREMIER CMNTY BANKSHARES INC COM       740473103        21300       1500          X                       1500      0            0
PRESIDENTIAL LIFE CORP COM             740884101      4407964     312400          X                     248600      0        63800
PRESSTEK INC COM                       741113104        31000       5000          X                       5000      0            0
PRESSTEK INC COM                       741113104          620        100                 X                 100      0            0
PRG-SCHULTZ INTERNATIONAL COM          69357C107       238764      40400          X                      40400      0            0
PRG-SCHULTZ INTERNATIONAL COM          69357C107        29550       5000                 X                5000      0            0
PRICESMART INC COM                     741511109          129         10                 X                  10      0            0
PRIDE INTL INC COM                     74153Q102      2862522     152100          X                     146000      0         6100
PRIDE INTL INC COM                     74153Q102        94100       5000                 X                5000      0            0
PRIMA ENERGY CORP COM                  741901201       173387       8300          X                       8300      0            0
PRIME HOSPITALITY CORP COM             741917108       304460      45374          X                      34074      0        11300
PRIME HOSPITALITY CORP COM             741917108         8220       1225                 X                   0      0         1225
PRIMEDIA INC COM                       74157K101         7137       2340          X                       2340      0            0
PRIMUS TELECOMMUNICATIONS GROUP COM    741929103         1931        375          X                        375      0            0
PRINCIPAL FINANCIAL GROUP COM          74251V102      1332538      41319          X                      39419      0         1900
PRINCIPAL FINANCIAL GROUP COM          74251V102        40345       1251                 X                1251      0            0
PRIORITY HEALTHCARE CORP CL B          74264T102     11828670     635950          X                     513875      0       122075
PROASSURANCE CORP COM                  74267C106        18893        700                 X                   0      0          700
PROCTER & GAMBLE CO COM                742718109    385486079    4322562          X                    4082332    150       240080
PROCTER & GAMBLE CO COM                742718109    191285214    2144934                 X             2007356    155       137423
PROGRAMMERS PARADISE INC               743205106          147         50          X                         50      0            0
PROGRESS ENERGY INC COM                743263105      6472001     147426          X                     139476      0         7950
PROGRESS ENERGY INC COM                743263105      3773864      85965                 X               76297      0         9668
PROGRESS SOFTWARE CORP COM             743312100     13402882     645922          X                     489422      0       156500
PROGRESS SOFTWARE CORP COM             743312100        29050       1400                 X                1400      0            0
PROGRESSIVE CORP OHIO COM              743315103      2576629      35248          X                      32208      0         3040
PROGRESSIVE CORP OHIO COM              743315103     35096991     480123                 X              220258      0       259865
PROQUEST CO COM                        74346P102     19030802     737628          X                     585013      0       152615
PROSOFT TRAINING COM                   743477101         8462      19680          X                      19680      0            0
PROSPERITY BANCSHARES INC COM          743606105      3306041     172100          X                     166200      0         5900
PROTECTIVE LIFE CORP COM               743674103       231923       8670          X                        320      0         8350
PROTECTIVE LIFE CORP COM               743674103        96300       3600                 X                3600      0            0
PROTEIN DESIGN LABS INC COM            74369L103      2542865     179075          X                     172500      0         6575
PROTEIN DESIGN LABS INC COM            74369L103          142         10                 X                  10      0            0
PROTON ENERGY SYS INC COM              74371K101          178         75          X                         75      0            0
PROVIDENCE & WORCESTER RR CO COM       743737108         2808        400          X                        400      0            0
PROVIDENT BANKSHARES CORP COM          743859100       422265      16730          X                      16000      0          730
PROVIDENT FINANCIAL SERVICES COM       74386T105        74295       3900                 X                3900      0            0
PROVIDIAN FINANCIAL CORP COM           74406A102      1260712     136146          X                     116973      0        19173
PROVIDIAN FINANCIAL CORP COM           74406A102       895998      96760                 X               91660      0         5100
PROVINCE HEALTHCARE CO COM             743977100       375273      33900          X                      33900      0            0
PROXIM CORP CL A COM                   744283102         2739       1889          X                       1889      0            0
PROXYMED INC COM                       744290305      1579985     124900          X                      94000      0        30900






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
PRUDENTIAL FINANCIAL INC COM           744320102      5514360     163874          X                     122224     0         41650
PRUDENTIAL FINANCIAL INC COM           744320102       262840       7811                 X                6365     0          1446
PSS WORLD MED INC COM                  69366A100      8462351    1476850          X                    1143350     0        333500
PSS WORLD MED INC COM                  69366A100        28650       5000                 X                5000     0             0
PSYCHIATRIC SOLUTIONS INC COM          74439H108       345320      35600          X                      27741     0          7859
PTEK HLDGS INC COM                     69366M104          503        100          X                        100     0             0
PUBLIC SERVICE ENTERPRISE GROUP COM    744573106     13211322     312694          X                     272252     0         40442
PUBLIC SERVICE ENTERPRISE GROUP COM    744573106      3940827      93274                 X               82509     0         10765
PUGET ENERGY INC COM                   745310102       262427      10994          X                       6494     0          4500
PUGET ENERGY INC COM                   745310102       556410      23310                 X               23310     0             0
PULITZER INC COM                       745769109     10753792     217600          X                     177300     0         40300
PULTE HOMES INC                        745867101      3411340      55325          X                      27786     0         27539
PULTE HOMES INC                        745867101        15415        250                 X                 250     0             0
QAD INC COM                            74727D108          372         50                 X                  50     0             0
QLOGIC CORP COM                        747277101     11550489     239438          X                     237088     0          2350
QLOGIC CORP COM                        747277101       882792      18300                 X               18300     0             0
QMED INC                               747914109         5800        800                 X                 800     0             0
QRS CORP COM                           74726X105        54590      10300          X                      10300     0             0
QUAKER CHEMICAL CORP COM               747316107       152805       6100          X                       6100     0             0
QUALCOMM INC COM                       747525103      6676107     185757          X                     116437     0         69320
QUALCOMM INC COM                       747525103       956184      26605                 X               10255     0         16350
QUANEX CORP COM                        747620102      2267487      76295          X                       4200     0         72095
QUANTUM CORP-DLT & STORAGE COM         747906204       155723      38450          X                        700     0         37750
QUANTUM CORP-DLT & STORAGE COM         747906204         1559        385                 X                 135     0           250
QUEST DIAGNOSTICS INC COM              74834L100      8500584     133238          X                     116248     0         16990
QUEST DIAGNOSTICS INC COM              74834L100       800052      12540                 X               11655     0           885
QUEST SOFTWARE INC COM                 74834T103       405270      34200          X                        200     0         34000
QUESTAR CORP COM                       748356102        31696        947          X                        947     0             0
QUESTAR CORP COM                       748356102      4300895     128500                 X              114500     0         14000
QUICKSILVER RESOURCES INC COM          74837R104         3353        140          X                        140     0             0
QUIKSILVER INC COM                     74838C106      2199766     133400          X                      43400     0         90000
QUINTILES TRANSNATIONAL CORP COM       748767100       202631      14300          X                      13600     0           700
QUOVADX INC COM                        74913K106         1001        375                 X                 375     0             0
QWEST COMMUNICATIONS INTL COM          749121109      1760178     368238          X                     181557     0        186681
QWEST COMMUNICATIONS INTL COM          749121109       439468      91939                 X               85275   150          6514
R & B INC COM                          749124103      6468203     607343          X                     434243     0        173100
R & B INC COM                          749124103        42600       4000                 X                4000     0             0
R H DONNELLEY CORP NEW COM             74955W307        79505       2180          X                       2080     0           100
R H DONNELLEY CORP NEW COM             74955W307       105909       2904                 X                1904     0          1000
R J REYNOLDS TOBACCO HOLD COM          76182K105       637035      17120          X                      16820     0           300
R J REYNOLDS TOBACCO HOLD COM          76182K105       568383      15275                 X               14825     0           450
RADIAN GROUP INC COM                   750236101      3814752     104086          X                      95436     0          8650
RADIAN GROUP INC COM                   750236101         7513        205                 X                   0     0           205






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
RADIANT SYS INC COM                    75025N102       123120      18000          X                      18000     0             0
RADIO ONE INC CL D NON-VTG COM         75040P405      4097935     231130          X                     229100     0          2030
RADIO ONE INC CL D NON-VTG COM         75040P405      1249965      70500                 X               11200     0         59300
RADIOSHACK CORP COM                    750438103       865599      32900          X                      11436     0         21464
RADIOSHACK CORP COM                    750438103       184170       7000                 X                7000     0             0
RADISYS CORP COM                       750459109       155440      11600          X                      11600     0             0
RADYNE COMSTREAM INC COM               750611402        12750       6250          X                       6250     0             0
RAINBOW TECHNOLOGIES INC COM           750862104       147350      17500          X                      17500     0             0
RAINBOW TECHNOLOGIES INC COM           750862104        25260       3000                 X                3000     0             0
RAIT INVESTMENT TRUST COM              749227104        26500       1000                 X                1000     0             0
RALCORP HOLDINGS COM                   751028101       545126      21840          X                      21840     0             0
RAMBUS INC COM                         750917106        69384       4200          X                       4200     0             0
RAMBUS INC COM                         750917106         3304        200                 X                 200     0             0
RAND CAPITAL CORP COM                  752185108        12490       9835          X                       9835     0             0
RARE HOSPITALITY INTL INC COM          753820109       470670      14500          X                      14500     0             0
RAVEN INDS INC COM                     754212108       549918      27400                 X                   0     0         27400
RAYMOND JAMES FINL INC COM             754730109      2475115      74890          X                      59955     0         14935
RAYMOND JAMES FINL INC COM             754730109       125821       3807                 X                3807     0             0
RAYONIER INC COM                       754907103     12679557     384229          X                     318153     0         66076
RAYONIER INC COM                       754907103      1182621      35837                 X               15878     0         19959
RAYOVAC CORP COM                       755081106      9459975     730500          X                     554400     0        176100
RAYOVAC CORP COM                       755081106       262885      20300                 X                   0     0         20300
RAYTECH CORP DEL                       755103108          200         47                 X                  47     0             0
RAYTHEON CO COM                        755111507    113269429    3449130          X                    3295746     0        153384
RAYTHEON CO COM                        755111507     21674039     659989                 X              621282   750         37957
RCN CORP COM                           749361101        40784      20598          X                      13383     0          7215
RCN CORP COM                           749361101         6237       3150                 X                3150     0             0
RC2 CORP COM                           749388104      8734587     509900          X                     401800     0        108100
READ RITE CORP COM                     755246204           60       1000                 X                   0     0          1000
READERS DIGEST ASSOCIATION COM         755267101       133452       9900          X                       4400     0          5500
READERS DIGEST ASSOCIATION COM         755267101       113232       8400                 X                8400     0             0
REALNETWORKS INC COM                   75605L104         4732        700          X                          0     0           700
REALNETWORKS INC COM                   75605L104          338         50                 X                  50     0             0
RED HAT INC COM                        756577102         1885        250          X                        250     0             0
RED HAT INC COM                        756577102         7540       1000                 X                1000     0             0
RED ROBIN GOURMET BURGERS COM          75689M101      1346870      71000          X                      70427     0           573
REDBACK NETWORKS COM                   757209101         1936       2200          X                       2200     0             0
REEBOK INTL                            758110100       459050      13650          X                       4914     0          8736
REGAL BELOIT CORP COM                  758750103       383910      20100          X                      11300     0          8800
REGAL ENTERTAINMENT GROUP CL A COM     758766109        80172       3400          X                       3400     0             0
REGENERON PHARMACEUTICALS INC COM      75886F107       659556      41850          X                      41850     0             0
REGENERON PHARMACEUTICALS INC COM      75886F107         1576        100                 X                   0     0           100
REGENT COMMUNICATIONS INC COM          758865109      4603158     749700          X                     590300     0        159400






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
REGIONS FINL CORP COM                  758940100      1211114      35853          X                      34353    0           1500
REGIONS FINL CORP COM                  758940100       214300       6344                 X                3756    0           2588
REGIS CORP MINNESOTA COM               758932107       822115      28300          X                      19750    0           8550
REHABCARE GROUP INC COM                759148109       209861      14325          X                      10400    0           3925
REINSURANCE GROUP AMER INC COM         759351109      8718360     271600          X                     213900    0          57700
RELIANCE STL & ALUM CO COM             759509102     13349616     644909          X                     505909    0         139000
RELIANCE STL & ALUM CO COM             759509102       338445      16350                 X                   0    0          16350
RELIANT RESOURCES COM                  75952B105       158896      25921          X                      14921    0          11000
RELIANT RESOURCES COM                  75952B105       221980      36212                 X               34821    0           1391
REMEC INC COM                          759543101         6900       1000          X                       1000    0              0
REMEDYTEMP INC CL A COM                759549108      2647976     285650          X                     202450    0          83200
REMINGTON OIL & GAS CORP COM NEW       759594302      2141270     116500          X                     115800    0            700
REMINGTON OIL & GAS CORP COM NEW       759594302         9190        500                 X                 500    0              0
RENAISSANCE LEARNING INC COM           75968L105        56420       2600          X                          0    0           2600
RENAL CARE GROUP INC COM               759930100      1418963      40300          X                      33700    0           6600
RENAL CARE GROUP INC COM               759930100       110031       3125                 X                2250    0            875
RENT A CTR INC NEW COM                 76009N100     15078609     198900          X                     147400    0          51500
RENT WAY INC COM                       76009U104        38595       8300          X                       8300    0              0
REPUBLIC BANCORP INC COM               760282103      9185258     685467          X                     551042    0         134425
REPUBLIC BANCORP INC COM               760282103       663488      49514                 X               14616    0          34898
REPUBLIC SERVICES INC COM              760759100      1731897      76396          X                      33261    0          43135
REPUBLIC SERVICES INC COM              760759100        62569       2760                 X                1890    0            870
RES-CARE INC COM                       760943100     10863309    2403387          X                    1644837    0         758550
RES-CARE INC COM                       760943100         9040       2000                 X                2000    0              0
RESEARCH FRONTIERS INC COM             760911107         2796        200          X                        200    0              0
RESEARCH IN MOTION COM                 760975102        34592       1600          X                       1600    0              0
RESMED INC COM                         761152107       862400      22000          X                      21700    0            300
RESOURCE AMER INC COM NEW              761195205         3633        351          X                        351    0              0
RESOURCES CONNECTION INC COM           76122Q105       238700      10000          X                          0    0          10000
RESOURCES CONNECTION INC COM           76122Q105       984638      41250                 X                   0    0          41250
RESPIRONICS INC COM                    761230101      9636539     258838          X                     218231    0          40607
RESPIRONICS INC COM                    761230101       111690       3000                 X                3000    0              0
RETEK INC COM                          76128Q109       130568      20725          X                      18000    0           2725
REYNOLDS & REYNOLDS CO CL A COM        761695105      1464757      51287          X                      45737    0           5550
REYNOLDS & REYNOLDS CO CL A COM        761695105       484520      16965                 X                 100    0          16865
RF MICRO DEVICES INC COM               749941100         3540        600          X                        600    0              0
RF MICRO DEVICES INC COM               749941100       797975     135250                 X                3150    0         132100
RICHARDSON ELECTRS LTD COM             763165107         6295        781          X                        781    0              0
RICKS CABARET INTL INC COM             765641303          128        100          X                          0    0            100
RIGGS NATIONAL CORPORATION COM         766570105       347016      22800          X                      10500    0          12300
RIGGS NATIONAL CORPORATION COM         766570105        28461       1870                 X                1000    0            870
RIGHT MGMT CONSULTANTS INC COM         766573109        70840       5600          X                          0    0           5600
RIMAGE CORP COM                        766721104      2675268     215400          X                     182900    0          32500






    ITEM 1              ITEM 2           ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
RITE AID CORP COM                      767754104       149186      33525          X                      26725    0           6800
RITE AID CORP COM                      767754104       378250      85000                 X               72000    0          13000
RIVERSTONE NETWORKS INC COM            769320102          600        513          X                        513    0              0
RIVERSTONE NETWORKS INC COM            769320102          179        153                 X                 153    0              0
RLI CORP COM                           749607107      1429505      43450          X                      43242    0            208
ROADWAY CORPORATION COM                769742107      4486488     157200          X                     124900    0          32300
ROBBINS & MYERS INC COM                770196103       173900       9400          X                       9400    0              0
ROBERT HALF INTL INC COM               770323103      1198201      63263          X                      57332    0           5931
ROBERT HALF INTL INC COM               770323103        45873       2422                 X                1482    0            940
ROCK-TENN CO CL A COM                  772739207       575453      33950          X                      22500    0          11450
ROCKWELL AUTOMATION INC COM            773903109      5616132     235576          X                     205889    0          29687
ROCKWELL AUTOMATION INC COM            773903109       444974      18665                 X               16965    0           1700
ROCKWELL COLLINS INC COM               774341101      1221796      49606          X                      19619    0          29987
ROCKWELL COLLINS INC COM               774341101       475655      19312                 X               17612    0           1700
ROCKY SHOES & BOOTS INC COM            774830103      3393166     376600          X                     276100    0         100500
ROGERS CORP                            775133101       981351      29470          X                      29470    0              0
ROGERS CORP                            775133101       126540       3800                 X                3800    0              0
ROHM & HAAS CO COM                     775371107      2045156      65909          X                      40620    0          25289
ROHM & HAAS CO COM                     775371107       265524       8557                 X                6124    0           2433
ROLLINS INC COM                        775711104        12724        675          X                        675    0              0
ROPER INDUSTRIES INC COM               776696106       830676      22330          X                      19530    0           2800
ROPER INDUSTRIES INC COM               776696106       297600       8000                 X                   0    0           8000
ROSLYN BANCORP INC COM                 778162107        61532       2850          X                        450    0           2400
ROSS STORES INC COM                    778296103      1198154      27890          X                      17770    0          10120
ROSS STORES INC COM                    778296103       482870      11240                 X                 320    0          10920
ROTO-ROOTER INC COM                    778787101       244096       6400          X                       2200    0           4200
ROUSE CO COM                           779273101      1971675      51750          X                      49200    0           2550
ROUSE CO COM                           779273101       125730       3300                 X                   0    0           3300
ROWAN COS INC COM                      779382100       273280      12200          X                      11624    0            576
ROXIO INC COM                          780008108       115700      17800          X                      17800    0              0
ROXIO INC COM                          780008108          267         41                 X                  41    0              0
ROYAL CARIBBEAN CRUISES LTD COM        V7780T103     10540348     455110          X                     418165    0          36945
ROYAL CARIBBEAN CRUISES LTD COM        V7780T103       808863      34925                 X                1125    0          33800
ROYAL GOLD INC COM                     780287108        85680       4000          X                          0    0           4000
RPM INTERNATIONAL INC DELAWARE         749685103       774744      56345          X                      45015    0          11330
RPM INTERNATIONAL INC DELAWARE         749685103       516409      37557                 X               37557    0              0
RSA SEC INC COM                        749719100        20463       1900          X                       1200    0            700
RSA SEC INC COM                        749719100        21540       2000                 X                2000    0              0
RTI INTERNATIONAL METALS COM           74973W107       255371      23580          X                      17180    0           6400
RUBY TUESDAY INC COM                   781182100      7095037     286900          X                     236800    0          50100
RUBY TUESDAY INC COM                   781182100       730722      29548                 X                6848    0          22700
RUDOPLH TECHNOLOGIES INC COM           781270103       170772      10700          X                      10700    0              0
RURAL / METRO CORP COM                 781748108        12363      10750          X                      10750    0              0






    ITEM 1              ITEM 2           ITEM 3      ITEM 4      ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER   MARKET      SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
RUSS BERRIE & CO INC COM               782233100       527935      14460          X                      13960      0          500
RUSSELL CORP COM                       782352108       454100      23900          X                      23900      0            0
RUSSELL CORP COM                       782352108        19000       1000                 X                   0      0         1000
RYANS FAMILY STEAK HOUSES INC COM      783519101     13567639     991062          X                     762697      0       228365
RYDER SYSTEM COM                       783549108     11128867     434382          X                     332618      0       101764
RYDER SYSTEM COM                       783549108        15372        600                 X                 600      0            0
RYERSON TULL INC COM                   78375P107       142236      16200          X                      16200      0            0
RYLAND GROUP INC COM                   783764103      1297780      18700          X                      16300      0         2400
SABRE HOLDINGS CORP CL A COM           785905100       445968      18092          X                      11861      0         6231
SABRE HOLDINGS CORP CL A COM           785905100        55117       2236                 X                2236      0            0
SAFECO CORP COM                        786429100      1459242      41350          X                      17692      0        23658
SAFECO CORP COM                        786429100       260970       7395                 X                7395      0            0
SAFEGUARD SCIENTIFICS INC COM          786449108        12409       4596          X                       4596      0            0
SAFEGUARD SCIENTIFICS INC COM          786449108         2700       1000                 X                   0      0         1000
SAFENET INC COM                        78645R107       270465       9750          X                          0      0         9750
SAFEWAY INC COM NEW                    786514208     24626024    1203618          X                    1069098      0       134520
SAFEWAY INC COM NEW                    786514208      1617609      79062                 X               76612      0         2450
SAGA COMMUNICATIONS INC COM            786598102         9103        468          X                        468      0            0
SAGA COMMUNICATIONS INC COM            786598102        97250       5000                 X                5000      0            0
SAKS INC COM                           79377W108       168780      17400          X                      15100      0         2300
SALISBURY BANCORP INC COM              795226109        82010       2780          X                       2780      0            0
SALISBURY BANCORP INC COM              795226109        67850       2300                 X                2300      0            0
SALIX PHARMACEUTICALS LTD COM          795435106      1820848     175250          X                     167000      0         8250
SALTON INC COM                         795757103        65846       7300          X                       7300      0            0
SANCHEZ COMPUTER ASSOCS INC COM        799702105         5180       1000          X                       1000      0            0
SANDERSON FARMS INC COM                800013104       132070       4700          X                          0      0         4700
SANDISK CORP COM                       80004C101        28399        700          X                          0      0          700
SANDISK CORP COM                       80004C101          406         10                 X                  10      0            0
SANGSTAT MED CORP COM                  801003104       394611      30100                 X                   0      0        30100
SANMINA-SCI CORPORATION                800907107       988385     156390          X                      93490      0        62900
SANMINA-SCI CORPORATION                800907107        10744       1700                 X                1700      0            0
SANTA FE ENERGY TR                     802013102        77280       3000          X                       3000      0            0
SANTA FE ENERGY TR                     802013102         5152        200                 X                 200      0            0
SARA LEE CORP COM                      803111103     26624934    1415467          X                    1255709      0       159758
SARA LEE CORP COM                      803111103     16307536     866961                 X              798437   1600        66924
SAUER INC COM                          804137107      6443550     599400          X                     458500      0       140900
SBA COMMUNICATIONS CORP COM            78388J106          602        200          X                        200      0            0
SBC COMMUNICATIONS INC COM             78387G103    187300535    7330745          X                    6806151      0       524594
SBC COMMUNICATIONS INC COM             78387G103     74724118    2924623                 X             2733401   1275       189947
SBS BROADCASTING SA ORD COM            L8137F102        70040       4000          X                          0      0         4000
SBS TECHNOLOGIES INC COM               78387P103       132736      13600          X                       9500      0         4100
SCANA CORP COM                         80589M102       667946      19485          X                      16485      0         3000
SCANA CORP COM                         80589M102      1054110      30750                 X               30750      0            0





    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
SCANSOFT INC COM                       80603P107        28016       5150          X                       4673     0           477
SCANSOURCE INC COM                     806037107        17120        640          X                          0     0           640
SCHAWK INC COM                         806373106         5502        525                 X                 525     0             0
SCHERING PLOUGH CORP COM               806605101     21622258    1162487          X                     949214     0        213273
SCHERING PLOUGH CORP COM               806605101     18319884     984940                 X              970677     0         14263
SCHOLASTIC CORP COM                    807066105     12802422     429900          X                     318800     0        111100
SCHOLASTIC CORP COM                    807066105       148900       5000                 X                   0     0          5000
SCHOOL SPECIALTY INC COM               807863105       338520      12000          X                      12000     0             0
SCHULMAN A INC COM                     808194104       408866      25427          X                      25427     0             0
SCHULMAN A INC COM                     808194104        96480       6000                 X                6000     0             0
SCHWAB CHARLES CORP NEW COM            808513105      2214382     219463          X                     211523     0          7940
SCHWAB CHARLES CORP NEW COM            808513105       606903      60149                 X               58649     0          1500
SCHWEITZER-MAUDUIT INTL INC COM        808541106       441279      18280          X                      10530     0          7750
SCHWEITZER-MAUDUIT INTL INC COM        808541106         3138        130                 X                 120     0            10
SCIENTIFIC ATLANTA                     808655104      1591892      66774          X                      49348     0         17426
SCIENTIFIC ATLANTA                     808655104       131835       5530                 X                4760     0           770
SCIENTIFIC GAMES CORP CL A COM         80874P109      4436856     474530          X                     452900     0         21630
SCIENTIFIC TECH INC COM                808799209         4850       1000                 X                1000     0             0
SCM MICROSYSTEMS COM                   784018103        55146      10100          X                      10100     0             0
SCOTTS CO CL A COM                     810186106      1227600      24800          X                      18800     0          6000
SCOTTS CO CL A COM                     810186106       435600       8800                 X                   0     0          8800
SCP POOL CORP COM                      784028102      3621095     105295          X                      94895     0         10400
SCPIE HLDGS INC COM                    78402P104        49152       6400          X                       6400     0             0
SCRIPPS CO (E.W.) CLASS A              811054204       385932       4350          X                        200     0          4150
SEA CONTAINERS LTD CL A COM            811371707        12062       1059          X                       1059     0             0
SEA CONTAINERS LTD CL A COM            811371707          570         50                 X                  50     0             0
SEABULK INTERNATIONAL INC COM          81169P101          872        100                 X                 100     0             0
SEACHANGE INTERNATIONAL COM            811699107      1908000     200000          X                     200000     0             0
SEACOAST BANKING CORP FL COM           811707306       205881      11949                 X               11949     0             0
SEACOAST FINL SVCS CORP COM            81170Q106       584237      29492          X                      16300     0         13192
SEACOAST FINL SVCS CORP COM            81170Q106       108955       5500                 X                5500     0             0
SEACOR SMIT INC COM                    811904101       540052      14800          X                      12700     0          2100
SEACOR SMIT INC COM                    811904101        96699       2650                 X                2650     0             0
SEALED AIR CORP NEW COM                81211K100       995045      20878          X                      13147     0          7731
SEALED AIR CORP NEW COM                81211K100       155133       3255                 X                2395     0           860
SEARS ROEBUCK & CO COM                 812387108      2693858      80079          X                      34569     0         45510
SEARS ROEBUCK & CO COM                 812387108      1158326      34433                 X               21903     0         12530
SEATTLE GENETICS INCCOM                812578102         5070       1000          X                       1000     0             0
SECTOR SPDR CONSUMER STAPLES INDEX     81369Y308       119347       5920          X                       5920     0             0
SECTOR SPDR CONSUMER STAPLES INDEX     81369Y308        18144        900                 X                 900     0             0
SECTOR SPDR FINANCIAL SELECT INDEX     81369Y605        11048        450          X                        450     0             0
SECTOR SPDR FINANCIAL SELECT INDEX     81369Y605        36825       1500                 X                1500     0             0
SECTOR SPDR INDUSTRIAL SELECT INDEX    81369Y704        22390       1000                 X                1000     0             0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
SEGUE SOFTWARE INC COM                 815807102        44457      20300          X                          0      0        20300
SEI INVESTMENT CO COM                  784117103       768560      24025          X                      23025      0         1000
SEI INVESTMENT CO COM                  784117103         3199        100                 X                 100      0            0
SELECT MEDICAL CORP COM                816196109     10699247     430900          X                     345700      0        85200
SELECTIVE INS GROUP INC                816300107     11566186     461724          X                     353600      0       108124
SELECTIVE INS GROUP INC                816300107      1645034      65670                 X               65670      0            0
SEMPRA ENERGY COM                      816851109      2720935      95371          X                      27732      0        67639
SEMPRA ENERGY COM                      816851109       701667      24594                 X                8524      0        16070
SEMTECH CORP COM                       816850101       156422      10977          X                       1377      0         9600
SEMTECH CORP COM                       816850101        39900       2800                 X                2800      0            0
SENECA FOODS CORP CL A COM             817070501         7008        400                 X                 400      0            0
SENSIENT TECHNOLOGIES CORP COM         81725T100     10120198     440200          X                     352900      0        87300
SENSIENT TECHNOLOGIES CORP COM         81725T100        43681       1900                 X                1900      0            0
SEPRACOR INC COM                       817315104        91443       5100          X                       5100      0            0
SEPRACOR INC COM                       817315104         8965        500                 X                 500      0            0
SEQUENOM INC COM                       817337108         2750       1000          X                       1000      0            0
SERENA SOFTWARE COM                    817492101       545952      26400          X                      26400      0            0
SEROLOGICALS CORP COM                  817523103     17296480    1271800          X                    1114293      0       157507
SERVICE CORP INTERNATIONAL             817565104         5805       1500          X                       1500      0            0
SERVICE CORP INTERNATIONAL             817565104        33015       8531                 X                8531      0            0
SERVICEMASTER CO COM                   81760N109       684222      63946          X                      47184      0        16762
SERVICEMASTER CO COM                   81760N109       642578      60054                 X               60054      0            0
SFBC INTL INC COM                      784121105      1345988      74200          X                      73700      0          500
SFBC INTL INC COM                      784121105        18140       1000                 X                1000      0            0
SHARPER IMAGE CORP COM                 820013100      4450464     163200          X                     161900      0         1300
SHAW GROUP INC COM                     820280105      8392343     696460          X                     550960      0       145500
SHAW GROUP INC COM                     820280105        63263       5250                 X                4600      0          650
SHERWIN WILLIAMS CO COM                824348106     11000694     409252          X                     398492      0        10760
SHERWIN WILLIAMS CO COM                824348106      1171377      43578                 X               43578      0            0
SHOE CARNIVAL INC COM                  824889109       109224       7400          X                          0      0         7400
SHOPKO STORES INC COM                  824911101       278460      21420          X                      15320      0         6100
SHUFFLE MASTER INC COM                 825549108       315252      10800          X                      10800      0            0
SI INTERNATIONAL INC COM               78427V102         5220        400                 X                 400      0            0
SICOR INC COM                          825846108      4618706     227075          X                     211900      0        15175
SIEBEL SYSTEMS INC COM                 826170102      4324798     456058          X                     382093      0        73965
SIEBEL SYSTEMS INC COM                 826170102       621724      65562                 X               55802    250         9510
SIERRA HEALTH SVCS INC COM             826322109       358000      17900          X                      17150      0          750
SIERRA PACIFIC RESOURCES COM NEW       826428104        19602       3300          X                          0      0         3300
SIERRA PACIFIC RESOURCES COM NEW       826428104        12254       2063                 X                2063      0            0
SIGMA ALDRICH CORP COM                 826552101     10176309     187340          X                     178040      0         9300
SIGMA ALDRICH CORP COM                 826552101      3066907      56460                 X               50920   3640         1900
SILGAN HOLDINGS INC COM                827048109      1738701      55355                 X               55355      0            0
SILICON LABORATORIES INC COM           826919102       385990      14500                 X                   0      0        14500






    ITEM 1              ITEM 2           ITEM 3       ITEM 4      ITEM 5        ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET      SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
SILICON STORAGE TECHNOLOGY COM         827057100        42100      10000          X                      10000     0             0
SILICON STORAGE TECHNOLOGY COM         827057100        21050       5000                 X                5000     0             0
SILICON VY BANCSHARES COM              827064106       817278      34325          X                      24040     0         10285
SIMMONS FIRST NATL CORP CL A COM       828730200        37807       1880          X                       1880     0             0
SIMPSON MFG INC COM                    829073105       585600      16000          X                      16000     0             0
SINCLAIR BROADCAST GRP CL A COM        829226109      7449931     641130          X                     556200     0         84930
SIRIUS SATELLITE RADIO INC COM         82966U103       936429     554100          X                     554100     0             0
SIRIUS SATELLITE RADIO INC COM         82966U103       212264     125600                 X                 700     0        124900
SIRNA THERAPEUTICS INC COM             829669100         5790        667                 X                 667     0             0
SITEL CORP COM                         82980K107         1550       1000                 X                1000     0             0
SIX FLAGS INC COM                      83001P109       735766     108520          X                     108520     0             0
SKYLINE CORP COM                       830830105       207000       6900          X                       5500     0          1400
SKYWEST INC COM                        830879102       778464      40800          X                      40800     0             0
SKYWEST INC COM                        830879102       330084      17300                 X                   0     0         17300
SKYWORKS SOLUTIONS INC COM             83088M102      2089838     308691          X                     306991     0          1700
SKYWORKS SOLUTIONS INC COM             83088M102        39334       5810                 X                4549     0          1261
SLADES FERRY BANCORP COM               830896106       106905       6779          X                       6779     0             0
SLADES FERRY BANCORP COM               830896106       191716      12157                 X               12157     0             0
SLM CORP COM                           78442P106      6588433     168201          X                     152286     0         15915
SLM CORP COM                           78442P106      1927752      49215                 X               27465     0         21750
SMITH A O CORP COM                     831865209       534850      19000          X                      17500     0          1500
SMITH INTERNATIONAL INC                832110100     18834467     512642          X                     490992     0         21650
SMITH INTERNATIONAL INC                832110100      4322865     117661                 X               97811   150         19700
SMITHFIELD FOODS INC                   832248108       323997      14136          X                      11036     0          3100
SMITHFIELD FOODS INC                   832248108        22920       1000                 X                1000     0             0
SMURFIT-STONE CONTAINER CORP COM       832727101      9375305     720623          X                     627123     0         93500
SMURFIT-STONE CONTAINER CORP COM       832727101       156120      12000                 X               11750     0           250
SNAP ON INC COM                        833034101      2075384      71491          X                      59608     0         11883
SOLA INTL INC COM                      834092108       328338      18870          X                      18870     0             0
SOLECTRON CORP COM                     834182107       668271     178682          X                      91631     0         87051
SOLECTRON CORP COM                     834182107        86394      23100                 X               16400     0          6700
SOLUTIA INC COM                        834376105        28704      13167          X                       6307     0          6860
SOLUTIA INC COM                        834376105        41309      18949                 X               18949     0             0
SOMANETICS CORP COM                    834445405        17150       5000          X                       5000     0             0
SOMERA COMMUNICATIONS INC COM          834458101        12607       8240          X                       8240     0             0
SONIC AUTOMOTIVE INC CL A COM          83545G102        84901       3875          X                          0     0          3875
SONIC CORP COM                         835451105       672570      26500          X                      25200     0          1300
SONIC SOLUTIONS COM                    835460106         8620       1000                 X                1000     0             0
SONICWALL INC COM                      835470105        49034      10110          X                      10110     0             0
SONICWALL INC COM                      835470105        48500      10000                 X                   0     0         10000
SONOCO PRODUCTS CO SO CAROLINA         835495102      3307362     137692          X                     131461     0          6231
SONOCO PRODUCTS CO SO CAROLINA         835495102      4795401     199642                 X              196822     0          2820
SONOSIGHT INC COM                      83568G104      3230857     161140          X                     159840     0          1300






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
SOS STAFFING SVCS INC COM              78462X104       397528    1074400          X                     730600     0        343800
SOS STAFFING SVCS INC COM              78462X104         1480       4000                 X                4000     0             0
SOTHEBYS HLDGS INC CL A COM            835898107        40920       5500          X                       5500     0             0
SOURCECORP INC COM                     836167106      1917864      88790          X                      88290     0           500
SOUTH FINANCIAL GRP INC COM            837841105       703152      30400          X                      30400     0             0
SOUTH JERSEY IND INC COM               838518108      7798050     211616          X                     153716     0         57900
SOUTH JERSEY IND INC COM               838518108       222095       6027                 X                6027     0             0
SOUTHERN COMPANY COM                   842587107     13906521     446294          X                     386490     0         59804
SOUTHERN COMPANY COM                   842587107      3609169     115827                 X              103141     0         12686
SOUTHERN UN CO NEW COM                 844030106       851743      50280          X                      50280     0             0
SOUTHERN UN CO NEW COM                 844030106       254151      15003                 X               15003     0             0
SOUTHTRUST CORP COM                    844730101      1795986      66518          X                      51074     0         15444
SOUTHTRUST CORP COM                    844730101       218700       8100                 X                6600     0          1500
SOUTHWEST AIRLINES COM                 844741108      3397722     197542          X                     170381     0         27161
SOUTHWEST AIRLINES COM                 844741108       898992      52267                 X               48462     0          3805
SOUTHWEST BANCORP OF TEXAS COM         84476R109       721722      22200          X                      22200     0             0
SOUTHWEST GAS CORP COM                 844895102     13590147     641650          X                     499450     0        142200
SOUTHWEST GAS CORP COM                 844895102        27534       1300                 X                1300     0             0
SOUTHWEST WTR CO COM                   845331107         8394        600          X                        600     0             0
SOUTHWEST WTR CO COM                   845331107         2798        200                 X                 200     0             0
SOUTHWESTERN ENERGY COM                845467109       370747      24700          X                      24700     0             0
SOUTHWESTERN ENERGY COM                845467109        67545       4500                 X                4500     0             0
SOVEREIGN BANCORP INC COM              845905108      2905203     185636          X                     175136     0         10500
SOVEREIGN BANCORP INC COM              845905108       931159      59499                 X               17424     0         42075
SPARTECH CORP COM NEW                  847220209      8827602     416200          X                     336200     0         80000
SPECTRALINK CORP COM                   847580107        29370       3000          X                       3000     0             0
SPECTRUM PHARMACEUTICALS INC COM       84763A108         9514       2020                 X                2020     0             0
SPEEDWAY MOTORSPORTS INC COM           847788106         2680        100          X                        100     0             0
SPHERION CORP COM                      848420105      8839629    1271889          X                     989089     0        282800
SPHERION CORP COM                      848420105         5560        800                 X                 800     0             0
SPHERIX INC COM                        84842R106        10560       1500                 X                1500     0             0
SPINNAKER EXPL CO COM                  84855W109      3869740     147700          X                     146700     0          1000
SPINNAKER EXPL CO COM                  84855W109         5240        200                 X                 200     0             0
SPRINT CORP COM                        852061100      3433392     238430          X                     159968     0         78462
SPRINT CORP COM                        852061100      1122192      77930                 X               76794     0          1136
SPRINT CORP PCS GROUP COM              852061506      1880388     327024          X                     200293     0        126731
SPRINT CORP PCS GROUP COM              852061506       337611      58715                 X               41915     0         16800
SPS TECHNOLOGIES INC COM               784626103       227136       8400          X                       8400     0             0
SPSS INC COM                           78462K102       187467      11300          X                      11300     0             0
SPX CORP COM                           784635104      4942827     112184          X                     102912     0          9272
SPX CORP COM                           784635104       139582       3168                 X                3168     0             0
SRA INTERNATIONAL INC CL A COM         78464R105      3124800      97650          X                      96900     0           750
ST JOE CO COM                          790148100      1925196      61705          X                      60655     0          1050
ST JOE CO COM                          790148100        65520       2100                 X                2100     0             0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
ST JUDE MEDICAL INC COM                790849103     23108273     401883          X                     381597     0         20286
ST JUDE MEDICAL INC COM                790849103      1335840      23232                 X               11732     0         11500
ST MARY LD & EXPL CO COM               792228108      3345615     122550          X                     121750     0           800
ST. PAUL COMPANIES COM                 792860108      4102702     112372          X                      68755     0         43617
ST. PAUL COMPANIES COM                 792860108      1759307      48187                 X               43087     0          5100
STAAR SURGICAL CO COM NEW PAR $0.01    852312305      3471000     300000          X                     253900     0         46100
STANCORP FINANCIAL GROUP COM           852891100       778078      14900          X                      14900     0             0
STANCORP FINANCIAL GROUP COM           852891100        10444        200                 X                   0     0           200
STANDARD COMMERCIAL CORP COM           853258101        34850       2050                 X                   0     0          2050
STANDARD MGMT CORP COM                 853612109        10863       3000                 X                   0     0          3000
STANDARD MICROSYSTEMS CORP COM         853626109       164263      10900          X                      10900     0             0
STANDARD MOTOR PRODUCTS INC COM        853666105       162171      14610          X                      14610     0             0
STANDARD PAC CORP NEW COM              85375C101       782576      23600          X                      21000     0          2600
STANDARD REGISTER CO COM               853887107       303232      18400          X                      18400     0             0
STANDEX INTL CORP COM                  854231107       163800       7800          X                       6100     0          1700
STANDEX INTL CORP COM                  854231107        34860       1660                 X                1360     0           300
STANLEY WKS COM                        854616109      8103608     293609          X                     278651     0         14958
STANLEY WKS COM                        854616109      6445152     233520                 X              171275     0         62245
STAPLES INC COM                        855030102     44929883    2448495          X                    2388747     0         59748
STAPLES INC COM                        855030102      4445985     242288                 X              232788     0          9500
STAR SCIENTIFIC INC COM                85517P101        33700      10000          X                      10000     0             0
STARBUCKS CORP COM                     855244109      2657194     108236          X                     100236     0          8000
STARBUCKS CORP COM                     855244109       287284      11702                 X               10262     0          1440
STARRETT LS CO CL A COM                855668109       279720      21600          X                      21600     0             0
STARRETT LS CO CL A COM                855668109        77700       6000                 X                6000     0             0
STARTECH ENVIRONMENTAL COM             855906103         2800       2800          X                       2800     0             0
STARTECH ENVIRONMENTAL COM             855906103         1000       1000                 X                1000     0             0
STARTEK INC COM                        85569C107       244590       9300          X                       9300     0             0
STARWOOD HOTELS & RESORTS WORLDWIDE    85590A203      4050946     141691          X                     124142     0         17549
STARWOOD HOTELS & RESORTS WORLDWIDE    85590A203       323381      11311                 X                5887     0          5424
STATE AUTO FINL CORP COM               855707105        41551       1850          X                       1850     0             0
STATE BANCORP INC NY COM               855716106       166772       8116          X                         98     0          8018
STATE STREET CORP COM                  857477103     17080806     433523          X                     409973     0         23550
STATE STREET CORP COM                  857477103     11814287     299855                 X              292730     0          7125
STATEN IS BANCORP INC COM              857550107       759720      39000          X                      39000     0             0
STATEN IS BANCORP INC COM              857550107       253357      13006                 X               13006     0             0
STATION CASINOS INC COM                857689103      6125650     242600          X                     240900     0          1700
STATION CASINOS INC COM                857689103       151500       6000                 X                6000     0             0
STEAK N SHAKE CO COM                   857873103      4288300     281200          X                     218615     0         62585
STEEL DYNAMICS INC COM                 858119100      5128501     371900          X                     307600     0         64300
STEEL TECHNOLOGIES INC COM             858147101        64704       6400          X                       6400     0             0
STEIN MART INC COM                     858375108       158806      27100          X                      27100     0             0
STELLENT INC COM                       85856W105        28620       5300          X                       5300     0             0






    ITEM 1              ITEM 2           ITEM 3       ITEM 4     ITEM 5         ITEM 6        ITEM 7       ITEM 8
NAME OF ISSUER      TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                          SOLE  SHRD-  SHRD-           SOLE      SHARED     NONE
A. COMMON STOCK                                                                 INSTR  OTHER
                                                                                  V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
STEMCELLS INC COM                      85857R105         2158       1300          X                       1000     0           300
STEMCELLS INC COM                      85857R105          116         70                 X                  70     0             0
STERICYCLE INC COM                     858912108        70506       1838          X                       1838     0             0
STERICYCLE INC COM                     858912108       678588      17690                 X                   0     0         17690
STERIS CORP COM                        859152100       128611       5570          X                       5570     0             0
STERLING BANCORP COM                   859158107       131083       4700          X                          0     0          4700
STERLING BANCSHARES INC / TX COM       858907108       372813      28700          X                      28700     0             0
STEWART & STEVENSON SVCS INC COM       860342104       292950      18600          X                      18600     0             0
STEWART & STEVENSON SVCS INC COM       860342104       157500      10000                 X               10000     0             0
STEWART ENTERPRISES INC COM            860370105        73014      16980          X                      16980     0             0
STEWART INFORMATION SVCS CORP COM      860372101       323060      11600          X                      11600     0             0
STILLWATER MINING CO COM               86074Q102       147004      28600          X                      28600     0             0
STILLWATER MINING CO COM               86074Q102          514        100                 X                 100     0             0
STOCKERYALE INC COM                    86126T203         3850       5000          X                       5000     0             0
STONE ENERGY CORP COM                  861642106       804864      19200          X                      17200     0          2000
STORAGE COMPUTER CORP COM              86211A101          750       1000          X                       1000     0             0
STORAGE TECHNOLOGY CORP COM            862111200      4273484     166025          X                     104900     0         61125
STORAGENETWORKS INC COM                86211E103          276        200          X                        200     0             0
STORAGENETWORKS INC COM                86211E103          621        450                 X                 450     0             0
STRATEGIC DIAGNOSTICS INC COM          862700101         1561        350          X                          0     0           350
STRATEX NETWORKS INC COM               86279T109        16848       5400                 X                4000     0          1400
STRATOS LIGHTWAVE INC COM              863100202         2021        410          X                          0     0           410
STRAYER EDUCATION INC COM              863236105        87505       1100          X                          0     0          1100
STRAYER EDUCATION INC COM              863236105       119325       1500                 X                1500     0             0
STRIDE-RITE CORP                       863314100       345512      34690          X                      34690     0             0
STRIDE-RITE CORP                       863314100       896798      90040                 X               90040     0             0
STRYKER CORP COM                       863667101      7562856     109022          X                     103547     0          5475
STRYKER CORP COM                       863667101      5146213      74185                 X               55144     0         19041
STURM RUGER & CO INC                   864159108       180000      18000          X                      18000     0             0
STURM RUGER & CO INC                   864159108        26000       2600                 X                2000     0           600
SUFFOLK BANCORP COM                    864739107        51456       1600          X                          0     0          1600
SUMMIT BANCSHARES INC TX COM           866011109        46960       2000                 X                2000     0             0
SUN HYDRAULICS COM                     866942105         3880        500                 X                 500     0             0
SUN MICROSYSTEMS INC COM               866810104      5398041    1160869          X                     897779     0        263090
SUN MICROSYSTEMS INC COM               866810104      1294667     278423                 X              216498   175         61750
SUNGARD DATA SYS INC COM               867363103      3808330     146983          X                      45903     0        101080
SUNGARD DATA SYS INC COM               867363103      1026269      39609                 X               19149     0         20460
SUNOCO INC COM                         86764P109       584102      15477          X                      12818     0          2659
SUNOCO INC COM                         86764P109       187379       4965                 X                4965     0             0
SUNRISE SENIOR LIVING INC COM          86768K106       389972      17425          X                      16625     0           800
SUNRISE SENIOR LIVING INC COM          86768K106        22828       1020                 X                1020     0             0
SUNTRUST BANKS INC COM                 867914103     11082338     186760          X                     148535     0         38225
SUNTRUST BANKS INC COM                 867914103      6116411     103074                 X              100720     0          2354






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
SUPERCONDUCTOR TECHNOLOGIES INC COM    867931107       26760      12000          X                   12000        0            0
SUPERIOR ENERGY SVCS INC COM           868157108     2836890     299250          X                  295242        0         4008
SUPERIOR INDS INTL INC COM             868168105     1264136      30315          X                   30315        0            0
SUPERIOR INDS INTL INC COM             868168105       25646        615                X               400        0          215
SUPERTEX INC COM                       868532102      152139       8300          X                    8300        0            0
SUPERVALU INC                          868536103      901729      42295          X                   23704        0        18591
SUPERVALU INC                          868536103      261298      12256                X             10806        0         1450
SUPPORTSOFT INC COM                    868587106       14904       2300          X                       0        0         2300
SUREBEAM CORP CL A COM                 86866R102         375        139          X                     139        0            0
SUREBEAM CORP CL A COM                 86866R102         753        279                X               279        0            0
SURGICARE INC COM                      868823105          62        200                X               200        0            0
SURMODICS INC COM                      868873100      402559      13190          X                   11300        0         1890
SUSQUEHANNA BANCSHARES INC PA COM      869099101      604506      25900          X                   25900        0            0
SWIFT ENERGY CO COM                    870738101      195800      17800          X                   17800        0            0
SWIFT TRANSN INC COM                   870756103       37200       2000          X                       0        0         2000
SWITCHBOARD INC COM                    871045100      201600      56000          X                       0        0        56000
SWS GROUP INC COM                      78503N107      223665      11100          X                   11100        0            0
SYBASE INC COM                         871130100    12579369     904340          X                  723508        0       180832
SYBASE INC COM                         871130100       83071       5972                X              1489        0         4483
SYBRON DENTAL SPECIALTIES COM          871142105      587640      24900          X                   24900        0            0
SYCAMORE NETWORKS COM                  871206108       10314       2700          X                    2700        0            0
SYCAMORE NETWORKS COM                  871206108        9932       2600                X              2600        0            0
SYKES ENTERPRISES INC COM              871237103       24200       5000                X              5000        0            0
SYLVAN LEARNING SYS INC COM            871399101     5152249     226075          X                  222325        0         3750
SYMANTEC CORP COM                      871503108     1873201      42660          X                   37355        0         5305
SYMANTEC CORP COM                      871503108      384213       8750                X               670        0         8080
SYMBOL TECHNOLOGIES INC COM            871508107     1265834      97297          X                   88652        0         8645
SYMBOL TECHNOLOGIES INC COM            871508107      323116      24836                X             23906        0          930
SYMMETRICOM INC COM                    871543104      121000      27500          X                   27500        0            0
SYMS CORP                              871551107         643        100                X               100        0            0
SYMYX TECHNOLOGIES INC COM             87155S108      187574      11375          X                       0        0        11375
SYMYX TECHNOLOGIES INC COM             87155S108      115430       7000                X              7000        0            0
SYNAPTICS INC COM                      87157D109       82708       6200          X                     200        0         6000
SYNAVANT INC COM                       87157A105        1360        425          X                     375        0           50
SYNAVANT INC COM                       87157A105        2048        640                X               600        0           40
SYNERGY BRANDS INC COM                 87159E402         673        250                X               250        0            0
SYNOPSYS INC                           871607107      223877       3615          X                     325        0         3290
SYNOPSYS INC                           871607107       85340       1378                X              1378        0            0
SYNOVUS FINL CORP                      87161C105      789179      36706          X                   34806        0         1900
SYNOVUS FINL CORP                      87161C105      456875      21250                X             21250        0            0
SYNTROLEUM CORP COM                    871630109        1068        400          X                     400        0            0
SYSCO CORP COM                         871829107    58247860    1939010          X                 1856576        0        82434
SYSCO CORP COM                         871829107    29848315     993619                X            907849        0        85770






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
SYSTEMS & COMPUTER TECHNOLOGY CORP     871873105      655464      74400          X                   22600         0       51800
SYSTEMS & COMPUTER TECHNOLOGY CORP     871873105        5286        600                X                 0         0         600
S1 CORP COM                            78463B101      296000      74000          X                    4000         0       70000
T ROWE PRICE GROUP INC COM             74144T108     2570249      68050          X                   67650         0         400
T ROWE PRICE GROUP INC COM             74144T108      149192       3950                X              1800         0        2150
TAKE-TWO INTERACTIVE SOFTWARE COM      874054109     2820672      99600          X                   91200         0        8400
TAKE-TWO INTERACTIVE SOFTWARE COM      874054109       42480       1500                X              1500         0           0
TALBOTS INC COM                        874161102     1063145      36100          X                   32300         0        3800
TALBOTS INC COM                        874161102       32042       1088                X              1088         0           0
TALK AMERICA HOLDINGS INC NEW COM      87426R202        1851        166                X               166         0           0
TALX CORP COM                          874918105      197032       8800          X                    8800         0           0
TARGET CORP COM                        87612E106   221893268    5863987          X                 5633359         0      230628
TARGET CORP COM                        87612E106    60914378    1609788                X           1488737      1225      119826
TASTY BAKING CO COM                    876553306       18375       1750          X                    1750         0           0
TASTY BAKING CO COM                    876553306       19688       1875                X              1875         0           0
TAYLOR CAPITAL GROUP INC COM           876851106     6621960     317600          X                  241000         0       76600
TB WOODS CORP COM                      872226105     2073815     316613          X                  215780         0      100833
TBC CORP COM                           872180104      330344      17350          X                   17350         0           0
TBC CORP COM                           872180104        9710        510                X                 0         0         510
TCF FINL CORP COM                      872275102      325692       8175          X                    3250         0        4925
TCF FINL CORP COM                      872275102       47808       1200                X              1200         0           0
TEAM AMERICA INC COM                   87816F107          66        100          X                     100         0           0
TECH DATA CORP COM                     878237106      402588      15050          X                    2000         0       13050
TECH DATA CORP COM                     878237106       69095       2583                X              2175         0         408
TECHNE CORP COM                        878377100     1406267      46335          X                   26635         0       19700
TECHNE CORP COM                        878377100       18210        600                X               600         0           0
TECHNITROL INC COM                     878555101     6860166     455825          X                  377275         0       78550
TECHNITROL INC COM                     878555101      150500      10000                X             10000         0           0
TECHNOLOGY RESH CORP COM               878727304       87041      22667          X                   22667         0           0
TECO ENERGY INC COM                    872375100    11499273     959072          X                  956072         0        3000
TECO ENERGY INC COM                    872375100     3952432     329644                X            324294         0        5350
TECUMSEH PRODS CO CL A COM             878895200       83581       2180          X                    1620         0         560
TECUMSEH PRODUCTS CO CL B              878895101        3698        100          X                     100         0           0
TEJON RANCH CO COM                     879080109      150500       5000          X                    5000         0           0
TEKELEC COM                            879101103      102466       9100          X                       0         0        9100
TEKTRONIX INC COM                      879131100      652514      30209          X                   19497         0       10712
TEKTRONIX INC COM                      879131100       12960        600                X                 0         0         600
TEL OFFSHORE TR UNIT BEN INT           872382106        4130       1000          X                    1000         0           0
TELEDYNE TECHNOLOGIES INC COM          879360105      275100      21000          X                   21000         0           0
TELEDYNE TECHNOLOGIES INC COM          879360105       28859       2203                X              2044         0         159
TELEFLEX INC COM                       879369106      236833       5566          X                    5566         0           0
TELEPHONE & DATA SYS INC COM           879433100     1630906      32815          X                   32115         0         700
TELEPHONE & DATA SYS INC COM           879433100       10934        220                X                 0         0         220





    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
TELETECH HOLDINGS INC COM              879939106       16555       4300          X                    4300         0           0
TELIK INC COM                          87959M109     2795490     174500          X                  165200         0        9300
TELLABS INC COM                        879664100      973445     148391          X                   82991         0       65400
TELLABS INC COM                        879664100      253872      38700                X             37950         0         750
TELLIUM INC COM                        87967E107         440        500          X                     500         0           0
TEMPLE-INLAND INC COM                  879868107      587610      13694          X                    6910         0        6784
TEMPLE-INLAND INC COM                  879868107      226779       5285                X              5067         0         218
TENET HEALTHCARE CORP COM              88033G100     2224602     190953          X                  113228         0       77725
TENET HEALTHCARE CORP COM              88033G100       96054       8245                X              8245         0           0
TENNANT CO COM                         880345103      236119       6425          X                      25         0        6400
TENNANT CO COM                         880345103       73500       2000                X              2000         0           0
TENNECO AUTOMOTIVE INC COM             880349105         151         42          X                      42         0           0
TENNECO AUTOMOTIVE INC COM             880349105        1764        490                X               490         0           0
TERADYNE COM                           880770102    11841598     684090          X                  656240         0       27850
TERADYNE COM                           880770102      456119      26350                X             15350         0       11000
TEREX CORP NEW                         880779103    14794403     757910          X                  585837         0      172073
TERREMARK WORLDWIDE INC COM            881448104        1720       2000                X              2000         0           0
TESORO PETROLEUM CORP                  881609101      106640      15500          X                       0         0       15500
TETON PETROLEUM CO COM                 88162A205      473568     110132          X                  110132         0           0
TETRA TECH INC COM                     88162G103     8684340     499100          X                  397100         0      102000
TETRA TECHNOLOGIES INC DEL COM         88162F105      308657      10410          X                    9400         0        1010
TETRA TECHNOLOGIES INC DEL COM         88162F105      263885       8900                X                 0         0        8900
TEXAS GENCO HOLDINGS INC COM           882443104       29458       1267          X                    1267         0           0
TEXAS GENCO HOLDINGS INC COM           882443104       55730       2397                X              2296         0         101
TEXAS INDUSTRIES INC                   882491103      414120      17400          X                   12700         0        4700
TEXAS INDUSTRIES INC                   882491103       78778       3310                X              2700         0         610
TEXAS INSTRUMENTS COM                  882508104    48200152    2738645          X                 2512831         0      225814
TEXAS INSTRUMENTS COM                  882508104    17152133     974553                X            890085      1100       83368
TEXTRON INC COM                        883203101    22706792     581927          X                  529999         0       51928
TEXTRON INC COM                        883203101     5263720     134898                X            126958       100        7840
TF FINL CORP COM                       872391107       30000       1000          X                       0         0        1000
THE MANAGEMENT NETWORK GROUP INC COM   561693102       26947      13890          X                   13890         0           0
THERAGENICS CORP COM                   883375107       83850      19500          X                   19500         0           0
THERMO ELECTRON CORPORATION COM        883556102     3852041     183256          X                  121756         0       61500
THERMO ELECTRON CORPORATION COM        883556102     1703692      81051                X             77686         0        3365
THIRD WAVE TECHNOLOGIES COM            88428W108        4972       1100          X                    1100         0           0
THOMAS & BETTS CORP COM                884315102      682878      47258          X                   37724         0        9534
THOMAS & BETTS CORP COM                884315102      693600      48000                X             48000         0           0
THOMAS INDS INC COM                    884425109    13206757     488235          X                  385480         0      102755
THOMAS NELSON INC                      640376109      117500       9400          X                    9400         0           0
THOR INDS INC COM                      885160101      851097      20850          X                   19600         0        1250
THORATEC CORPORATION COM               885175307    18290546    1245950          X                 1039250         0      206700
THORNBURG MORTGAGE INC COM             885218107       63850       2585          X                    2585         0           0
THORNBURG MORTGAGE INC COM             885218107      553280      22400                X             13900         0        8500






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
THQ INC COM                            872443403     5897820     327293          X                  284893        0        42400
THQ INC COM                            872443403        1802        100                X                 0        0          100
THREE-FIVE SYSTEMS INC                 88554L108       95910      13900          X                   13900        0            0
TIDEWATER INC COM                      886423102     2759165      93945          X                   86645        0         7300
TIDEWATER INC COM                      886423102       99858       3400                X              3400        0            0
TIFFANY & CO NEW                       886547108      594122      18180          X                   17680        0          500
TIFFANY & CO NEW                       886547108      179740       5500                X              5500        0            0
TIMBERLAND CO CL A COM                 887100105       15858        300          X                     300        0            0
TIME WARNER TELECOM CL A COM           887319101         123         20          X                      20        0            0
TIMKEN CO COM                          887389104     1140952      65160          X                   62360        0         2800
TIMKEN CO COM                          887389104        3502        200                X                 0        0          200
TITAN CORP COM                         888266103        2058        200          X                     200        0            0
TITAN CORP COM                         888266103        4116        400                X               400        0            0
TIVO INC COM                           888706108        2902        240          X                     240        0            0
TJX COS INC NEW COM                    872540109    16594234     880798          X                  804160        0        76638
TJX COS INC NEW COM                    872540109     1978878     105036                X             81386        0        23650
TOLL BROS INC COM                      889478103      142258       5025          X                     500        0         4525
TOLL BROS INC COM                      889478103       48127       1700                X              1700        0            0
TOLLGRADE COMMUNICATIONS INC COM       889542106      218135      11690          X                   11690        0            0
TOM BROWN INC COM                      115660201    13922790     501000          X                  407700        0        93300
TOMPKINS TRUSTCO INC COM               890110109      607151      13598          X                    2678        0        10920
TOMPKINS TRUSTCO INC COM               890110109      167661       3755                X              3755        0            0
TOO INC COM                            890333107    13406351     662042          X                  568442        0        93600
TOO INC COM                            890333107        2309        114                X               114        0            0
TOOTSIE ROLL INDUSTRIES COM            890516107       43021       1411          X                    1305        0          106
TOOTSIE ROLL INDUSTRIES COM            890516107     1123465      36847                X              9238        0        27609
TOPPS INC COM                          890786106     4902436     578800          X                  429600        0       149200
TORCH ENERGY ROYALTY TRUST COM         891013104        2304        300                X               300        0            0
TORCHMARK CORP COM                     891027104     9846218     264328          X                  244025        0        20303
TORCHMARK CORP COM                     891027104     1779209      47764                X             46864        0          900
TORO CO COM                            891092108      765585      19260          X                   19260        0            0
TORO CO COM                            891092108       14310        360                X                 0        0          360
TOWER AUTOMOTIVE INC COM               891707101      134322      36700          X                   36700        0            0
TOYS-R-US INC                          892335100     3144049     259410          X                  246723        0        12687
TOYS-R-US INC                          892335100        7090        585                X               585        0            0
TRACTOR SUPPLY CO COM                  892356106      573056      12100          X                   12100        0            0
TRANS WORLD ENTMT CORP COM             89336Q100        6438       1250                X              1250        0            0
TRANSACT TECHNOLOGIES INC COM          892918103         364         30          X                      30        0            0
TRANSACTION SYS ARCHITECTS INC COM A   893416107       27150       3000          X                       0        0         3000
TRANSATLANTIC HLDG INC COM             893521104     2222135      32135          X                   31823        0          312
TRANSATLANTIC HLDG INC COM             893521104     1002122      14492                X             11892        0         2600
TRANSMONTAIGNE INC COM                 893934109      259200      40000                X             40000        0            0
TRANSPRO INC COM                       893885103       12096       2700                X                 0        0         2700






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
TRANSWITCH CORP COM                    894065101       13736      10100          X                    5600        0         4500
TRAVELERS PROPERTY CASUALTY CL A COM   89420G109     4096412     257636          X                   77038        0       180598
TRAVELERS PROPERTY CASUALTY CL A COM   89420G109     1110615      69850                X             65944       11         3895
TRAVELERS PROPERTY CASUALTY CL B COM   89420G406     5626799     356804          X                  287919        0        68885
TRAVELERS PROPERTY CASUALTY CL B COM   89420G406     2168186     137488                X            130213       23         7252
TRAVIS BOATS & MOTORS INC COM          894363100        2689       3320          X                    3320        0            0
TRC COS INC COM                        872625108        4428        300                X               300        0            0
TREDEGAR CORPORATION                   894650100      373251      24900          X                   24900        0            0
TREX COMPANY INC COM                   89531P105        7850        200          X                       0        0          200
TRIAD HOSPS INC COM                    89579K109    13797562     555905          X                  436905        0       119000
TRIAD HOSPS INC COM                    89579K109       18938        763                X               763        0            0
TRIARC COS INC CL A COM                895927101      416831      13899          X                   10799        0         3100
TRIBUNE CO NEW COM                     896047107    25740905     532938          X                  520148        0        12790
TRIBUNE CO NEW COM                     896047107    27390978     567101                X            535759        0        31342
TRICO BANCSHARES COM                   896095106       63575       2500          X                    2500        0            0
TRIMBLE NAV LTD                        896239100      483630      21000          X                   21000        0            0
TRIMBLE NAV LTD                        896239100       46060       2000                X              2000        0            0
TRIMERIS INC COM                       896263100     2864936      62800          X                   62300        0          500
TRIMERIS INC COM                       896263100     1044698      22900                X               250        0        22650
TRIQUINT SEMICONDUCTOR INC COM         89674K103       61910      15100          X                    9100        0         6000
TRIQUINT SEMICONDUCTOR INC COM         89674K103        4100       1000                X              1000        0            0
TRIUMPH GROUP INC COM                  896818101      307053      10900          X                   10300        0          600
TRIZETTO GROUP INC COM                 896882107        7787       1300          X                    1300        0            0
TROY FINANICIAL CORP COM               897329108       28508       1050          X                    1050        0            0
TROY FINANICIAL CORP COM               897329108      481913      17750                X             12500        0         5250
TRUST CO NJ JERSEY CITY NEW COM        898304100       18907        624          X                     624        0            0
TRUST CO NJ JERSEY CITY NEW COM        898304100       32966       1088                X              1088        0            0
TRUSTCO BK CORP NY                     898349105     1035758      93649          X                   88431        0         5218
TRUSTCO BK CORP NY                     898349105     1955253     176786                X            130803        0        45983
TUMBLEWEED COMMUNICATIONS CORP COM     899690101         521        202          X                     202        0            0
TUPPERWARE CORP COM                    899896104      228769      15931          X                   10229        0         5702
TUPPERWARE CORP COM                    899896104       26652       1856                X              1856        0            0
TWEETER HOME ENTMT GROUP INC COM       901167106       35414       4080          X                    4080        0            0
TXU CORP COM                           873168108    15584498     694187          X                  666658        0        27529
TXU CORP COM                           873168108     2192781      97674                X             83946        0        13728
TYSON FOODS INC CL A COM               902494103      204371      19244          X                   18344        0          900
TYSON FOODS INC CL A COM               902494103      154234      14523                X             12523        0         2000
U S XPRESS ENTERPRISES INC CL A COM    90338N103        6384        600          X                     600        0            0
UCBH HLDGS INC COM                     90262T308     4418260     154000          X                  146000        0         8000
UGI CORPORATION COM                    902681105     1375780      43400          X                   37850        0         5550
UGI CORPORATION COM                    902681105      525428      16575                X             14625        0         1950
UICI                                   902737105      458128      30400          X                   30400        0            0
UIL HLDG CORP COM                      902748102      538828      13288          X                   12825        0          463
UIL HLDG CORP COM                      902748102      403594       9953                X              9453        0          500





    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
ULTIMATE ELECTRONICS INC COM           903849107     1238996      97100          X                   96438         0         662
ULTRALIFE BATTERIES INC COM            903899102       35000       3500          X                    3500         0           0
ULTRATECH INC                          904034105      273948      14800          X                   14800         0           0
ULTRATECH INC                          904034105      873672      47200                X                 0         0       47200
UNIFIRST CORP COM                      904708104    24900957    1137030          X                  843430         0      293600
UNION BANKSHARES INC COM               905400107      149695       4900          X                    4900         0           0
UNION BANKSHARES INC COM               905400107      274950       9000                X              9000         0           0
UNION PACIFIC CORP COM                 907818108    59640789    1027935          X                  954072         0       73863
UNION PACIFIC CORP COM                 907818108    26628685     458957                X            444096         0       14861
UNION PLANTERS CORP COM                908068109     1324764      42693          X                   41493         0        1200
UNION PLANTERS CORP COM                908068109      164583       5304                X              5304         0           0
UNIONBANCAL CORP COM                   908906100       82740       2000          X                       0         0        2000
UNISOURCE ENERGY CORP COM              909205106      484100      25750          X                   21900         0        3850
UNISOURCE ENERGY CORP COM              909205106        6279        334                X               334         0           0
UNISYS CORP COM                        909214108      485613      39545          X                   34101         0        5444
UNISYS CORP COM                        909214108      257880      21000                X             20500         0         500
UNIT CORP COM                          909218109     5647791     270100          X                  268200         0        1900
UNITED BANKSHARES INC W VA COM         909907107      778736      27200          X                   27200         0           0
UNITED BANKSHARES INC W VA COM         909907107      114520       4000                X              4000         0           0
UNITED FIRE & CAS CO COM               910331107     5477010     170358          X                  124258         0       46100
UNITED GLOBAL COM CL A                 913247508        1530        300          X                     300         0           0
UNITED NAT FOODS INC COM               911163103     6197511     218530          X                  178381         0       40149
UNITED NAT FOODS INC COM               911163103        5672        200                X                 0         0         200
UNITED NATL BANCORP NJ COM             910909100       82740       3000          X                    3000         0           0
UNITED NATL BANCORP NJ COM             910909100     2429136      88076                X             88076         0           0
UNITED PARCEL SERVICE CL B COM         911312106    14098848     221332          X                  208167         0       13165
UNITED PARCEL SERVICE CL B COM         911312106     8822705     138504                X             88299         0       50205
UNITED RENTALS INC COM                 911363109      159735      11500          X                    9100         0        2400
UNITED RETAIL GROUP INC COM            911380103       55160      28000          X                   28000         0           0
UNITED STATES CELLULAR CORP COM        911684108       76350       3000          X                       0         0        3000
UNITED STATIONERS INC COM              913004107     2908859      81185          X                   77600         0        3585
UNITED STS STL CORP COM                912909108      238576      14574          X                   11610         0        2964
UNITED STS STL CORP COM                912909108        1637        100                X               100         0           0
UNITED SURGICAL PARTNERS COM           913016309      171532       7600          X                     600         0        7000
UNITED SURGICAL PARTNERS COM           913016309      180560       8000                X              8000         0           0
UNITED TECHNOLOGIES CORP COM           913017109   233320111    3294086          X                 3143978         0      150108
UNITED TECHNOLOGIES CORP COM           913017109    57377754     810077                X            762650       460       46967
UNITED THERAPEUTICS CORP DEL COM       91307C102      504926      23333          X                   23333         0           0
UNITEDHEALTH GROUP INC COM             91324P102    19721819     392474          X                  313324         0       79150
UNITEDHEALTH GROUP INC COM             91324P102     4936661      98242                X             53952         0       44290
UNITIL CORP COM                        913259107       31426       1304          X                    1304         0           0
UNITIL CORP COM                        913259107     1595806      66216                X             66216         0           0
UNITRIN INC COM                        913275103      315948      11650          X                   11650         0           0
UNITRIN INC COM                        913275103     1082495      39915                X             39199         0         716






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
UNIVERSAL AMER FINANCIAL CORP COM      913377107       15154       2460          X                    2460         0           0
UNIVERSAL AUTOMOTIVE INDS COM          913378105       10300      10000          X                   10000         0           0
UNIVERSAL COMPRESSION HLDGS INC COM    913431102       39217       1880          X                    1880         0           0
UNIVERSAL COMPRESSION HLDGS INC COM    913431102       11264        540                X                 0         0         540
UNIVERSAL CORP COM                     913456109       25380        600          X                     600         0           0
UNIVERSAL DISPLAY CORP COM             91347P105        5310        600          X                     600         0           0
UNIVERSAL FST PRODS INC COM            913543104      240810      11500          X                   11500         0           0
UNIVERSAL HEALTH SVC CL B COM          913903100      724056      18275          X                     500         0       17775
UNIVERSITY OF PHOENIX ONLINE COM       037604204       85493       1700          X                    1700         0           0
UNIVISION COMMUNICATIONS INC COM       914906102     1836738      60419          X                   49756         0       10663
UNIVISION COMMUNICATIONS INC COM       914906102       96672       3180                X              2640         0         540
UNOCAL CORP COM                        915289102     3314957     115544          X                   60874         0       54670
UNOCAL CORP COM                        915289102      968115      33744                X             30744         0        3000
UNOVA INC COM                          91529B106       12210       1100          X                    1100         0           0
UNOVA INC COM                          91529B106       43934       3958                X               890         0        3068
UNUMPROVIDENT CORP COM                 91529Y106      962208      71753          X                   63953         0        7800
UNUMPROVIDENT CORP COM                 91529Y106      597188      44533                X             39093       600        4840
URBAN OUTFITTERS INC COM               917047102      456565      12700          X                   12700         0           0
URBAN OUTFITTERS INC COM               917047102       71900       2000                X              2000         0           0
URS CORP NEW COM                       903236107      414498      21300          X                   21300         0           0
URS CORP NEW COM                       903236107      427964      21992                X                 0         0       21992
US BANCORP DEL COM                     902973304    66415923    2710854          X                 2506851         0      204003
US BANCORP DEL COM                     902973304    15679339     639973                X            559724       100       80149
US LEC CORP CL-A COM                   90331S109        3056        800          X                     800         0           0
US ONCOLOGY INC COM                    90338W103      562010      76050          X                   76050         0           0
US ONCOLOGY INC COM                    90338W103        8942       1210                X                 0         0        1210
USF CORP COM                           91729Q101     4143752     153700          X                  118900         0       34800
USG CORP COM NEW                       903293405        3800        200                X               200         0           0
UST INC COM                            902911106      789751      22545          X                   13281         0        9264
UST INC COM                            902911106     1505659      42982                X              4935         0       38047
UTI WORLDWIDE INC COM                  G87210103     2625335      85100          X                   82400         0        2700
UTSTARCOM INC COM                      918076100     4478166     125650          X                  111700         0       13950
UTSTARCOM INC COM                      918076100      720641      20220                X              1120         0       19100
V F CORP COM                           918204108     2037690      59985          X                   24482         0       35503
V F CORP COM                           918204108      339190       9985                X              9835         0         150
VA SOFTWARE CORP COM                   91819B105         367        170          X                     170         0           0
VA SOFTWARE CORP COM                   91819B105          43         20                X                20         0           0
VAIL RESORTS INC COM                   91879Q109       67350       5000          X                       0         0        5000
VAIL RESORTS INC COM                   91879Q109      208785      15500                X             15500         0           0
VALASSIS COMMUNICATIONS INC COM        918866104      246912       9600                X                 0         0        9600
VALENCE TECHNOLOGY INC COM             918914102        1495        500          X                     500         0           0
VALERO ENERGY CO COM                   91913Y100     1989794      54770          X                   31355         0       23415
VALERO ENERGY CO COM                   91913Y100      230877       6355                X              5630         0         725






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
VALHI INC NEW COM                      918905100       26166       2720                X              2720         0           0
VALLEY NATIONAL BANCORP                919794107      183159       6951          X                    6951         0           0
VALLEY NATIONAL BANCORP                919794107     2871149     108962                X            108962         0           0
VALMONT INDS INC                       920253101     7013053     360383          X                  279019         0       81364
VALSPAR CORP                           920355104       16888        400                X               400         0           0
VALUE LINE INC                         920437100        1225         25                X                25         0           0
VALUECLICK INC COM                     92046N102      753925     124410          X                  124410         0           0
VANGUARD TOTAL STK MKT VIPERS          922908769      416025       4500          X                    4500         0           0
VANGUARD TOTAL STK MKT VIPERS          922908769      184900       2000                X              2000         0           0
VARCO INTL INC DEL COM                 922122106     2940392     150020          X                  125700         0       24320
VARCO INTL INC DEL COM                 922122106      997640      50900                X                 0         0       50900
VARIAN INC COM                         922206107     1004100      29234          X                   28229         0        1005
VARIAN INC COM                         922206107       34347       1000                X              1000         0           0
VARIAN MED SYS INC COM                 92220P105     1608794      27945          X                   18180         0        9765
VARIAN MED SYS INC COM                 92220P105      279215       4850                X              4560         0         290
VARIAN SEMICONDUCTOR EQUIPTMENT COM    922207105      675779      22700          X                   22700         0           0
VARIAN SEMICONDUCTOR EQUIPTMENT COM    922207105       23816        800                X               800         0           0
VAXGEN INC NEW COM                     922390208       10360       2000          X                    2000         0           0
VAXGEN INC NEW COM                     922390208       25900       5000                X              5000         0           0
VECTOR GROUP LTD COM                   92240M108     8282208     473269          X                  473269         0           0
VECTREN CORP COM                       92240G101      599672      23939          X                   23460         0         479
VECTREN CORP COM                       92240G101      390905      15605                X             13720         0        1885
VEECO INSTRS INC DEL COM               922417100      340600      20000          X                   19100         0         900
VENTAS INC COM                         92276F100      111353       7350                X              7350         0           0
VERIDIAN CORP COM                      92342R203     5666136     162400          X                  127100         0       35300
VERISIGN INC COM                       92343E102       76741       5565          X                    3915         0        1650
VERISITY LTD COM                       M97385112      220485      18575          X                       0         0       18575
VERITAS DGC INC COM                    92343P107      250700      21800          X                   21800         0           0
VERITAS SOFTWARE CO COM                923436109    14022803     486565          X                  445576         0       40989
VERITAS SOFTWARE CO COM                923436109      927082      32168                X              3598         0       28570
VERITY INC COM                         92343C106      439420      34600          X                   24100         0       10500
VERITY INC COM                         92343C106      106680       8400                X                 0         0        8400
VERIZON COMMUNICATIONS COM             92343V104   226158408    5732786          X                 5314749       300      417737
VERIZON COMMUNICATIONS COM             92343V104    93558397    2371569                X           2208079       600      162890
VERSANT CORP COM                       925284101        4141       6800          X                    6800         0           0
VERTEX PHARMACEUTICALS INC COM         92532F100       50766       3470          X                    3470         0           0
VERTEX PHARMACEUTICALS INC COM         92532F100        4389        300                X               300         0           0
VI TECHNOLOGIES INC COM                917920100        9423       3846          X                    3846         0           0
VIACOM INC CL A COM                    925524100     7272336     166415          X                  133015         0       33400
VIACOM INC CL A COM                    925524100     1298764      29720                X             29520         0         200
VIACOM INC CL B COM                    925524308   199857186    4577581          X                 4326612         0      250969
VIACOM INC CL B COM                    925524308    27787451     636451                X            558792       650       77009
VIAD CORP COM                          92552R109      709158      31673          X                   28623         0        3050
VIAD CORP COM                          92552R109       15360        686                X               400         0         286






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
VIASAT INC COM                         92552V100      266910      18600          X                   18600         0           0
VIASAT INC COM                         92552V100       28700       2000                X              2000         0           0
VIASYS HEALTHCARE INC COM              92553Q209      831084      40149          X                   22223         0       17926
VIASYS HEALTHCARE INC COM              92553Q209       99588       4811                X              4255         0         556
VICOR CORP COM                         925815102      265780      27400          X                   22600         0        4800
VICOR CORP COM                         925815102       23280       2400                X              2400         0           0
VIGNETTE CORP COM                      926734104        2941       1493          X                    1493         0           0
VINTAGE PETE INC COM                   927460105     7745017     686615          X                  516815         0      169800
VINTAGE PETE INC COM                   927460105      188150      16680                X                30         0       16650
VION PHARMACEUTICALS INC COM           927624106        2475       1500                X              1000         0         500
VIRBAC CORPORATION COM                 927649103        2995        500                X                 0         0         500
VIRCO MFG CORP COM                     927651109       10151       1596          X                       0         0        1596
VIROLOGIC INC COM                      92823R201        1646       1296          X                    1296         0           0
VIROLOGIC INC COM                      92823R201         152        120                X               120         0           0
VIROPHARMA INC COM                     928241108        3705       1425          X                    1400         0          25
VISHAY INTERTECHNOLOGY INC COM         928298108      514734      38995          X                   35780         0        3215
VISHAY INTERTECHNOLOGY INC COM         928298108       36168       2740                X              2000         0         740
VISTEON CORP COM                       92839U107      155303      22606          X                   16821         0        5785
VISTEON CORP COM                       92839U107       35855       5219                X              5135         0          84
VISUAL NETWORKS INC COM                928444108         137        100          X                     100         0           0
VISX INC DEL COM                       92844S105      204730      11800          X                     600         0       11200
VITAL SIGNS INC COM                    928469105      221085       8500          X                    8500         0           0
VITALWORKS INC COM                     928483106        4863       1250          X                    1250         0           0
VITESSE SEMICONDUCTOR CORP COM         928497106       10514       2150          X                    2150         0           0
VITESSE SEMICONDUCTOR CORP COM         928497106      153057      31300                X               500         0       30800
VITRIA TECHNOLOGY INC COM              92849Q401       38630       6825                X                 0         0        6825
VIVUS INC COM                          928551100       25250       5000          X                    5000         0           0
VOLT INFORMATION SCIENCES INC COM      928703107      135135       9900          X                    9900         0           0
VOLT INFORMATION SCIENCES INC COM      928703107         137         10                X                10         0           0
VORNADO OPERATING CO COM               92904N103           6         10          X                      10         0           0
VULCAN MATERIALS CO COM                929160109     2501447      67479          X                   60279         0        7200
VULCAN MATERIALS CO COM                929160109     1601721      43208                X             41858         0        1350
W P CAREY & CO LLC COM                 92930Y107      247514       8267          X                    8267         0           0
W P CAREY & CO LLC COM                 92930Y107      751075      25086                X             25086         0           0
W.R. GRACE & CO COM                    38388F108        2205        500          X                     200         0         300
W-H ENERGY SVCS INC COM                92925E108      346212      17700          X                   17700         0           0
WABASH NATL CORP COM                   929566107      244122      17400          X                   16200         0        1200
WACHOVIA CORPORATION COM               929903102    87181611    2181722          X                 1972113         0      209609
WACHOVIA CORPORATION COM               929903102    23384272     585192                X            554708       100       30384
WACKENHUT CORRECTIONS CORP COM         929798106        5484        400          X                     400         0           0
WADDELL & REED FINANCIAL INC COM A     930059100     3851398     150035          X                  148235         0        1800
WADDELL & REED FINANCIAL INC COM A     930059100       42227       1645                X              1645         0           0
WAINWRIGHT BANK & TRUST CO COM         930705108       53772       5324          X                    5324         0           0
WAINWRIGHT BANK & TRUST CO COM         930705108        9585        949                X               949         0           0






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
WAL-MART STORES INC                    931142103   240969981    4489845          X                 4088527         0      401318
WAL-MART STORES INC                    931142103    68204909    1270820                X           1158726       100      111994
WALGREEN CO COM                        931422109    58586339    1946390          X                 1846546         0       99844
WALGREEN CO COM                        931422109    31342829    1041290                X            979015     12800       49475
WASHINGTON FED INC COM                 938824109     1214927      52458          X                   48074         0        4384
WASHINGTON FED INC COM                 938824109       60008       2591                X              1991         0         600
WASHINGTON MUTUAL INC COM              939322103    32503265     787004          X                  613429         0      173575
WASHINGTON MUTUAL INC COM              939322103     9442213     228625                X            215463         0       13162
WASHINGTON POST CO CL B COM            939640108       60098         82          X                      50         0          32
WASHINGTON POST CO CL B COM            939640108      635424        867                X               867         0           0
WASHINGTON TR BANCORP INC COM          940610108     1420196      61694          X                   61419         0         275
WASHINGTON TR BANCORP INC COM          940610108     1260690      54765                X             54765         0           0
WASTE CONNECTIONS INC COM              941053100     4117499     117475          X                  113775         0        3700
WASTE CONNECTIONS INC COM              941053100      995420      28400                X                 0         0       28400
WASTE MGMT INC DEL COM                 94106L109    33253812    1380399          X                 1262357         0      118042
WASTE MGMT INC DEL COM                 94106L109     2199682      91311                X             54511         0       36800
WATER PIK TECHNOLOGIES INC COM         94113U100         427         55                X                 0         0          55
WATERS CORP COM                        941848103     3800329     130461          X                   37993         0       92468
WATERS CORP COM                        941848103      612604      21030                X             10010         0       11020
WATSCO INC CL B COM                    942622101        9833        607          X                     607         0           0
WATSCO INC COM                         942622200      347876      21007          X                   21007         0           0
WATSON PHARMACEUTICALS INC COM         942683103    10779476     267017          X                  252577         0       14440
WATSON PHARMACEUTICALS INC COM         942683103       48444       1200                X              1200         0           0
WATSON WYATT & CO HLDGS                942712100      498370      21500          X                   21500         0           0
WATTS INDS INC CL A                    942749102      315945      17700          X                   17700         0           0
WAUSAU-MOSINEE PAPER CORP COM          943315101       11110        992          X                     992         0           0
WAUSAU-MOSINEE PAPER CORP COM          943315101       54566       4872                X              4872         0           0
WAVE SYS CORP CL A COM                 943526103         220        250          X                     250         0           0
WAVE SYS CORP CL A COM                 943526103       10076      11450                X             11450         0           0
WAYPOINT FINL CORP COM                 946756103      385104      21300          X                   21300         0           0
WD-40 CO COM                           929236107      384210      13500          X                    7500         0        6000
WD-40 CO COM                           929236107       73996       2600                X              2600         0           0
WEBEX COMMUNICATIONS INC COM           94767L109       70094       5050          X                    3000         0        2050
WEBMD CORPORATION COM                  94769M105     1102762     101450          X                   82900         0       18550
WEBMD CORPORATION COM                  94769M105       58698       5400                X              3400         0        2000
WEBMETHODS INC COM                     94768C108     2680355     330500          X                  327900         0        2600
WEBMETHODS INC COM                     94768C108      678402      83650                X                 0         0       83650
WEBSENSE INC COM                       947684106      224865      14350          X                   14300         0          50
WEBSENSE INC COM                       947684106      396451      25300                X                 0         0       25300
WEBSTER FINANCIAL CORP COM             947890109    13130057     347356          X                  278876         0       68480
WEBSTER FINANCIAL CORP COM             947890109     1632998      43201                X             39995         0        3206
WEIGHTWATCHERS INTERNATIONAL INC COM   948626106     1002600      22040          X                   19490         0        2550
WEIGHTWATCHERS INTERNATIONAL INC COM   948626106      602697      13249                X              2819         0       10430






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
WEIS MARKETS INC COM                   948849104       37224       1200          X                       0         0        1200
WEIS MARKETS INC COM                   948849104        3102        100                X                 0         0         100
WELLCHOICE INC COM                     949475107     3339384     114050          X                  110400         0        3650
WELLCHOICE INC COM                     949475107       29573       1010                X               610         0         400
WELLMAN INC COM                        949702104      232960      20800          X                   20800         0           0
WELLMAN INC COM                        949702104        6720        600                X               600         0           0
WELLPOINT HEALTH NETWORKS INC COM      94973H108    22743381     269791          X                  252860         0       16931
WELLPOINT HEALTH NETWORKS INC COM      94973H108     1217966      14448                X              4883         0        9565
WELLS FARGO & CO NEW COM               949746101   290438870    5762676          X                 5502123         0      260553
WELLS FARGO & CO NEW COM               949746101    68703970    1363174                X           1292808      1064       69302
WENDYS INTL INC COM                    950590109     2125963      73385          X                   68550         0        4835
WENDYS INTL INC COM                    950590109      424845      14665                X              4665         0       10000
WERNER ENTERPRISES INC COM             950755108     8028891     378900          X                  292000         0       86900
WESCO FINL CORP COM                    950817106       62400        200          X                       0         0         200
WEST CORPORATION COM                   952355105      290485      10900          X                       0         0       10900
WEST PHARMACEUTICAL SVCS INC COM       955306105    15324750     625500          X                  478416         0      147084
WESTAFF INC COM                        957070105      957306     435139          X                  314939         0      120200
WESTAMERICA BANCORPORATION COM         957090103       35756        830          X                       0         0         830
WESTAR ENERGY INC COM                  95709T100       68085       4195          X                    2195         0        2000
WESTAR ENERGY INC COM                  95709T100       56805       3500                X              3500         0           0
WESTBANK CORP COM                      957116106         220         14                X                14         0           0
WESTELL TECHNOLOGIES INC CL A COM      957541105        8280       1000                X              1000         0           0
WESTERN DIGITAL CORP COM               958102105       38625       3750          X                    3750         0           0
WESTERN GAS RES INC COM                958259103       23760        600          X                       0         0         600
WESTPORT RESOURCES CORP COM            961418100      244335      10740          X                   10740         0           0
WESTWOOD ONE INC COM                   961815107      437561      12896          X                   11020         0        1876
WESTWOOD ONE INC COM                   961815107       27823        820                X               480         0         340
WET SEAL INC CL A COM                  961840105      203229      19300          X                   19300         0           0
WEYERHAEUSER CO COM                    962166104    20743830     384145          X                  347501         0       36644
WEYERHAEUSER CO COM                    962166104     6331770     117255                X            113340         0        3915
WGL HLDGS INC COM                      92924F106     6700365     250950          X                  250200         0         750
WGL HLDGS INC COM                      92924F106     1781798      66734                X             64534         0        2200
WHIRLPOOL CORP COM                     963320106     2063816      32399          X                   10130         0       22269
WHIRLPOOL CORP COM                     963320106      426663       6698                X              4660         0        2038
WHITE ELECTR DESIGNS CORP COM          963801105       56970       5400          X                       0         0        5400
WHITE ELECTR DESIGNS CORP COM          963801105        1055        100                X               100         0           0
WHITE MTNS INS GROUP LTD COM           G9618E107      177750        450          X                       0         0         450
WHITE MTNS INS GROUP LTD COM           G9618E107       39500        100                X                 0         0         100
WHITNEY HOLDING CORP                   966612103      990720      30960          X                   28410         0        2550
WHOLE FOODS MKT INC COM                966837106     1743876      36690          X                   25800         0       10890
WHOLE FOODS MKT INC COM                966837106      473874       9970                X              5970         0        4000
WILD OATS MKTS INC COM                 96808B107     5639700     512700          X                  393200         0      119500
WILD OATS MKTS INC COM                 96808B107       14575       1325                X              1325         0           0






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
WILEY JOHN & SONS INC CL A COM         968223206      311780      11900          X                       0         0       11900
WILLIAMS COAL SEAM GAS RTY TR          969450105        4960        400          X                     400         0           0
WILLIAMS COS INC COM                   969457100     6816713     862875          X                  841474         0       21401
WILLIAMS COS INC COM                   969457100      680719      86167                X             78992        75        7100
WILLIAMS SONOMA INC COM                969904101     2056994      70445          X                   54000         0       16445
WILLIAMS SONOMA INC COM                969904101       92126       3155                X              1985         0        1170
WILLIS LEASE FINANCE COM               970646105     1503324     324692          X                  206492         0      118200
WILLOW GROVE BANCORP INC NEW COM       97111W101    11588900     681700          X                  520300         0      161400
WILMINGTON TRUST CORPORATION COM       971807102      713440      24308          X                   24308         0           0
WILMINGTON TRUST CORPORATION COM       971807102      199580       6800                X              5400         0        1400
WILSHIRE OIL CO TEX                    971889100        4037        809                X               809         0           0
WILSON GREATBATCH TECHNOLOGIES INC     972232102      201438       5580          X                       0         0        5580
WILSON GREATBATCH TECHNOLOGIES INC     972232102      853765      23650                X                 0         0       23650
WILTEL COMMUNICATIONS INC COM          972487102       31099       2090          X                    2090         0           0
WINN DIXIE STORES INC COM              974280109      368069      29900          X                   29316         0         584
WINN DIXIE STORES INC COM              974280109       11128        904                X               904         0           0
WINNEBAGO INDUSTRIES INC COM           974637100      447220      11800          X                   11800         0           0
WINTRUST FINL CORP COM                 97650W108      470682      15800          X                   11400         0        4400
WINTRUST FINL CORP COM                 97650W108      223425       7500                X              7500         0           0
WIRE ONE TECHNOLOGIES INC COM          976521104       10600       4000                X                 0         0        4000
WIRELESS FACILITIES INC COM            97653A103        1904        160          X                     160         0           0
WIRELESS TELECOM GROUP INC COM         976524108        7200       3000                X              3000         0           0
WISCONSIN ENERGY CORP                  976657106     8336021     287449          X                  273799         0       13650
WISCONSIN ENERGY CORP                  976657106     4186904     144376                X            143739         0         637
WISER OIL COM                          977284108         576        100                X               100         0           0
WMS INDUSTRIES INC COM                 929297109      307123      19700          X                   19700         0           0
WOLVERINE TUBE INC COM                 978093102       65494      11450          X                    1600         0        9850
WOLVERINE WORLD WIDE INC COM           978097103     1016158      52760          X                   50735         0        2025
WOODHEAD INDS INC                      979438108        2366        200          X                     200         0           0
WOODWARD GOVERNOR CO COM               980745103      313973       7300          X                    7300         0           0
WORLD FUEL SVCS CORP COM               981475106      110655       4500          X                       0         0        4500
WORTHINGTON INDUSTRIES INC COM         981811102      312970      23356          X                   17544         0        5812
WORTHINGTON INDUSTRIES INC COM         981811102      183299      13679                X             11654         0        2025
WPS RESOURCES CORP COM                 92931B106      179011       4453          X                    2853         0        1600
WPS RESOURCES CORP COM                 92931B106      594638      14792                X             14450         0         342
WRIGHT MEDICAL GROUP INC COM           98235T107     3018170     158684          X                  153863         0        4821
WRIGLEY WM JR CO COM                   982526105     4282645      76163          X                   59532         0       16631
WRIGLEY WM JR CO COM                   982526105     1436677      25550                X             17400         0        8150
WYETH COM                              983024100   148996191    3271047          X                 3078396         0      192651
WYETH COM                              983024100   114706606    2518257                X           2339314         0      178943
WYNN RESORTS LTD COM                   983134107       70960       4000          X                    4000         0           0
WYNN RESORTS LTD COM                   983134107      354800      20000                X             20000         0           0
X-RITE INC COM                         983857103      132000      13200          X                   13200         0           0






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                         
XCEL ENERGY INC COM                    98389B100     1322392      87925          X                   78171         0        9754
XCEL ENERGY INC COM                    98389B100     1055372      70171                X             67587         0        2584
XEROX CORP COM                         984121103     8784649     829523          X                  667373         0      162150
XEROX CORP COM                         984121103     1914111     180747                X            178847         0        1900
XILINX INC COM                         983919101     2262933      89444          X                   58879         0       30565
XILINX INC COM                         983919101      539143      21310                X              8750         0       12560
XM SATELLITE RADIO HLDG INC CL A COM   983759101     1119881     101900          X                   90800         0       11100
XM SATELLITE RADIO HLDG INC CL A COM   983759101      224416      20420                X               120         0       20300
XOMA LTD COM                           G9825R107        5320       1000          X                    1000         0           0
XTO ENERGY INC COM                     98385X106     3573668     177706          X                  169890         0        7816
XTO ENERGY INC COM                     98385X106     1478065      73499                X              8730         0       64769
XYBERNAUT COM                          984149104        2424       4180          X                    4180         0           0
YAHOO INC COM                          984332106     7338796     224428          X                  170613         0       53815
YAHOO INC COM                          984332106     1104050      33763                X             15863         0       17900
YANKEE CANDLE CO COM                   984757104      263199      11335          X                      85         0       11250
YANKEE CANDLE CO COM                   984757104       27864       1200                X              1200         0           0
YELLOW CORP COM                        985509108      515291      22125          X                   19400         0        2725
YELLOW CORP COM                        985509108      659107      28300                X                 0         0       28300
YOCREAM INTL INC COM                   986001105        4600       1000          X                    1000         0           0
YOUNG BROADCASTING CORP CL A COM       987434107     7700166     365283          X                  268183         0       97100
YUM! BRANDS INC COM                    988498101     6723570     227455          X                  170395         0       57060
YUM! BRANDS INC COM                    988498101     3284352     111108                X             61314         0       49794
ZALE CORP COM                          988858106     1223200      30580          X                   22480         0        8100
ZALE CORP COM                          988858106       13800        345                X                 0         0         345
ZEBRA TECHNOLOGIES CORP CL A           989207105     3129648      41590          X                   39290         0        2300
ZEBRA TECHNOLOGIES CORP CL A           989207105       71864        955                X               800         0         155
ZENITH NATL INS CORP COM               989390109      350550      12300          X                   12300         0           0
ZIMMER HLDGS INC COM                   98956P102     4749757     105433          X                   89823         0       15610
ZIMMER HLDGS INC COM                   98956P102     7001085     155407                X            148393         0        7014
ZIONS BANCORP COM                      989701107      531300      10500          X                   10200         0         300
ZIX CORPORATION COM                    98974P100       51649      13700          X                   13700         0           0
ZOLL MED CORP COM                      989922109     2278934      68560          X                   68070         0         490
ZOLL MED CORP COM                      989922109       53483       1609                X              1609         0           0
ZOLTEK COS INC COM                     98975W104       18525       6500                X              6500         0           0
ZORAN CORP COM                         98975F101     2876581     149900          X                  148700         0        1200
1-800-FLOWERS.COM INC COM              68243Q106        1468        175          X                     175         0           0
1ST CONSTITUTION BANCORP COM           31986N102       13617        510          X                     510         0           0
3 COM CORP COM                         885535104      406524      87050          X                   74900         0       12150
3 COM CORP COM                         885535104       35749       7655                X              5855         0        1800
3M CO COM                              88579Y101   239382366    1855965          X                 1789227         0       66738
3M CO COM                              88579Y101   129028883    1000379                X            950179       112       50088
4 KIDS ENTMT INC COM                   350865101      159960       8600          X                    8600         0           0
7-ELEVEN INC COM                       817826209       84400       8000          X                       0         0        8000






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5        ITEM 6        ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED       NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        COMMON STOCK - DOMESTIC
        -----------------------
                                                                                           
99 CENTS ONLY STORES                   65440K106      227850      6639           X                       0       0          6639
99 CENTS ONLY STORES                   65440K106      102891      2998                 X              2998       0             0






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST  AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                         
ABBEY NATL GROUP ADR 7.375% PFD        002920700       55180       2000          X                       0         0        2000
ABBY NATIONAL PLC CL A PFD 8.75%       002920205        5200        200          X                     200         0           0
ABN AMRO HLDG N V SPONSORED ADR        000937102      163143       8546          X                    6521         0        2025
ABN AMRO HLDG N V SPONSORED ADR        000937102       21075       1104                X              1104         0           0
ACAMBIS PLC SPONS ADR                  004286100       30420        500                X               500         0           0
ACCENTURE LTD COM                      G1150G111      557262      30805          X                    2275         0       28530
ACCENTURE LTD COM                      G1150G111       95877       5300                X              5300         0           0
ACE LTD COM                            G0070K103    23615214     688691          X                  645986         0       42705
ACE LTD COM                            G0070K103      898398      26200                X             25400         0         800
ADECCO SA                              006754105        4285        410          X                       0         0         410
AEGON N.V. AMERICAN REGISTERED SHS     007924103      416058      41440          X                   31737         0        9703
AEGON N.V. AMERICAN REGISTERED SHS     007924103      563515      56127                X             52311         0        3816
AGNICO EAGLE MINES LTD                 008474108        2030        175          X                     175         0           0
AGNICO EAGLE MINES LTD                 008474108        3480        300                X               300         0           0
AGRIUM INC COM                         008916108       49868       4550          X                       0         0        4550
 AKTIEBOLAGET ELECTROLUX ADR            010198208        5569        140          X                     140         0           0
AKZO NOBEL NV SPONSORED ADR            010199305      105268       3950          X                     800         0        3150
AKZO NOBEL NV SPONSORED ADR            010199305       47970       1800                X              1800         0           0
ALCAN INC                              013716105      171594       5484          X                    4484         0        1000
ALCAN INC                              013716105      464406      14842                X             14167         0         675
ALCATEL ADR                            013904305       13980       1562          X                    1440         0         122
ALCATEL ADR                            013904305      368472      41170                X             35270         0        5900
ALCON INC COM                          H01301102    21114543     462025          X                  442175         0       19850
ALCON INC COM                          H01301102      488990      10700                X              3800         0        6900
ALLIANCE ATLANTIS COMM CL B COM        01853E204       80787       5560          X                    5560         0           0
ALLIANZ AKTIENGESELLSCHAFT COM         018805101       12405       1500          X                    1500         0           0
ALLIANZ AKTIENGESELLSCHAFT COM         018805101        6616        800                X               800         0           0
ALLIED IRISH BKS ADR                   019228402      485649      16237          X                   10600         0        5637
ALLIED IRISH BKS ADR                   019228402      144914       4845                X              4845         0           0
ALPHA PRO TECH LTD COM                 020772109        1780       1000          X                    1000         0           0
AMERICA MOVIL SER L SPONSORED ADR      02364W105       85444       4557          X                    2046         0        2511
AMERICA MOVIL SER L SPONSORED ADR      02364W105      142500       7600                X              6850         0         750
AMERSHAM PLC SPONS ADR                 030719108       41549       1082          X                       0         0        1082
ANGIOTECH PHARMACEUTICALS INC COM      034918102      206400       5075          X                       0         0        5075
ANGLO AMERICAN PLC ADR                 03485P102      121390       7903          X                    3211         0        4692
ANGLO AMERICAN PLC ADR                 03485P102       28047       1826                X              1826         0           0
ANGLOGOLD LTD SPONSORED ADR            035128206       38567       1209          X                    1209         0           0
ANGLOGOLD LTD SPONSORED ADR            035128206       28200        884                X               884         0           0
ANNUITY & LIFE RE HOLDINGS LTD COM     G03910109       16875      13500          X                   13500         0           0
ARACRUZ CELULOSE SA                    038496204      497016      23600          X                       0         0       23600
ARCADIS N V COM                        03923E107       79178       7650          X                    7650         0           0
ASHANTI GOLDFIELDS LTD GDR             043743202        4782        600                X               600         0           0
ASTRAZENECA PLC SPONSORED ADR          046353108       53001       1300          X                      65         0        1235
ASTRAZENECA PLC SPONSORED ADR          046353108      157780       3870                X              2295         0        1575






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                         
ATI TECHNOLOGIES INC COM               001941103      319005      31275          X                       0         0       31275
AU OPTRONICS CORP ADR                  002255107       84597      12225          X                    2700         0        9525
AU OPTRONICS CORP ADR                  002255107       28649       4140                X              2540         0        1600
AUDIOCODES LTD COM                     M15342104        3728        800          X                     800         0           0
AUSTRALIA & NEW ZEALAND BNKG GRP ADR   052528304      130998       2100                X              2100         0           0
AVENTIS SPONSORED ADR                  053561106     1130649      20670          X                   15970         0        4700
AVENTIS SPONSORED ADR                  053561106       53333        975                X               975         0           0
AXA ADR                                054536107      355596      22780          X                   16432         0        6348
AXA ADR                                054536107       29191       1870                X               818         0        1052
BALLARD PWR SYSTEMS INC COM            05858H104       69976       5134          X                    4784         0         350
BALLARD PWR SYSTEMS INC COM            05858H104       70876       5200                X              5200         0           0
BANCO BILBAO VIZCAYA ARGENTARIA S A    05946K101        1731        165          X                     165         0           0
BANCO SANTANDER CEN SPONSORED ADR      05964H105      111988      12697          X                       0         0       12697
BANCO SANTANDER CEN SPONSORED ADR      05964H105        8626        978                X               978         0           0
BANK MONTREAL QUE                      063671101       70485       2220          X                    2220         0           0
BANK MONTREAL QUE                      063671101       88900       2800                X              2800         0           0
BANK NOVA SCOTIA HALIFAX               064149107       20548        444                X               444         0           0
BARCLAYS PLC ADR                       06738E204      146698       4903          X                     240         0        4663
BARRICK GOLD CORP COM                  067901108     7202065     402350          X                  354250         0       48100
BARRICK GOLD CORP COM                  067901108      504136      28164                X             26304         0        1860
BASF AG SPONS ADR                      055262505        2131         50          X                      50         0           0
BASF AG SPONS ADR                      055262505      426200      10000                X             10000         0           0
BAYER A G ADR                          072730302        2304        100          X                     100         0           0
BCE INC COM                            05534B109       50149       2170          X                    2170         0           0
BCE INC COM                            05534B109       28240       1222                X              1022         0         200
BEMA GOLD CORP COM                     08135F107        3870       3000          X                    3000         0           0
BG GROUP PLC SPONSORED ADR             055434203       13448        594          X                     594         0           0
BG GROUP PLC SPONSORED ADR             055434203       20104        888                X               888         0           0
BHP BILLITON LTD SPONSORED ADR         088606108      134166      11576          X                    3000         0        8576
BHP BILLITON LTD SPONSORED ADR         088606108       13908       1200                X              1200         0           0
BP PLC SPONSORED ADR                   055622104   298786950    7110589          X                 6859456        82      251051
BP PLC SPONSORED ADR                   055622104   158238160    3765782                X           3541238      1078      223466
BRASCAN CORP LTD VTG SHS CL A COM      10549P606      428302      17439          X                     439         0       17000
BRASCAN CORP LTD VTG SHS CL A COM      10549P606       57716       2350                X                 0         0        2350
BRASIL TELECOM PART S A ADR            105530109        1873         50          X                      50         0           0
BRITISH AMERN TOB PLC ADR              110448107      110996       4894          X                    2546         0        2348
BRITISH AMERN TOB PLC ADR              110448107       11113        490                X               490         0           0
BRITISH AWYS PLC ADR                   110419306       38400       1500          X                    1500         0           0
BRITISH AWYS PLC ADR                   110419306       67072       2620                X              2620         0           0
BRITISH SKY BROADCASTING GRP PLC ADR   111013108      264963       5875          X                    5875         0           0
BRITISH SKY BROADCASTING GRP PLC ADR   111013108       15785        350                X               350         0           0
BT GROUP PLC ADR                       05577E101       25851        768          X                     768         0           0
BT GROUP PLC ADR                       05577E101       37868       1125                X               200         0         925






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                         
CABLE & WIRELESS PUB LTD CO ADR        126830207        4458        815          X                     815         0           0
CABLE & WIRELESS PUB LTD CO ADR        126830207         109         20                X                20         0           0
CADBURY SCHWEPPES PLC SPON ADR 10 P    127209302     2140728      88533          X                   87163         0        1370
CADBURY SCHWEPPES PLC SPON ADR 10 P    127209302     2489839     102971                X            101721         0        1250
CANADA LIFE FINL CORP COM              135113108      730400      22000                X             22000         0           0
CANADIAN IMPERIAL BK COM               136069101       82967       2069          X                    2069         0           0
CANADIAN IMPERIAL BK COM               136069101       40100       1000                X              1000         0           0
CANADIAN NATIONAL RAILWAY CO COM       136375102      993432      20585          X                   12355         0        8230
CANADIAN NATIONAL RAILWAY CO COM       136375102       28956        600                X               600         0           0
CANADIAN NATIONAL RESOURCES COM        136385101         120          3          X                       3         0           0
CANON INC ADR REPSTG 5 SHS CDN TAX     138006309      172009       3768          X                    1630         0        2138
CANON INC ADR REPSTG 5 SHS CDN TAX     138006309      470195      10300                X             10300         0           0
CAPITAL ENVIRO RESOURCES INC COM       14008M104     1021408     255992          X                  251592         0        4400
CARNIVAL CORP COM                      143658300    11833217     363987          X                  267487         0       96500
CARNIVAL CORP COM                      143658300     1381512      42495                X             13865         0       28630
CELLTECH GROUP PLC SPONSORED ADR       151158102        3025        272          X                     272         0           0
CEMEX SA SPONSORED ADR                 151290889       70124       3146          X                      74         0        3072
CHICAGO BRIDGE & IRON NY SHR COM       167250109    16242962     716180          X                  693780         0       22400
CHICAGO BRIDGE & IRON NY SHR COM       167250109     1463540      64530                X                 0         0       64530
CHINA MOBILE HONG KONG LTD SP ADR      16941M109        2354        200          X                     200         0           0
CHINA MOBILE HONG KONG LTD SP ADR      16941M109       83449       7090                X                 0         0        7090
CHINA SOUTHERN AIRLINES ADR            169409109       42470       3100                X              3100         0           0
CHINA TELECOM CORP LTD ADR             169426103      456051      20055          X                       0         0       20055
CHINA YUCHAI INTL LTD COM              G21082105        6650       1000          X                    1000         0           0
CIA VALE DO RIO DOCE ADR               204412209       17796        600          X                       0         0         600
CNH GLOBAL NV COM                      N20935206       15073       1580          X                       0         0        1580
COCA COLA FEMSA S A SPONSORED ADR      191241108      260150      12100                X              8400         0        3700
COGNOS INC COM                         19244C109       27040       1000          X                       0         0        1000
COGNOS INC COM                         19244C109       14872        550                X               550         0           0
COMPANHIA VALE SPONSORED ADR           204412100      141525       5100                X                 0         0        5100
COOPER INDUSTRIES LTD CL A COM         G24182100     4629317     112090          X                   71900         0       40190
COOPER INDUSTRIES LTD CL A COM         G24182100      610414      14780                X             14420         0         360
CORE LABORATORIES N V COM              N22717107     2242080     207600          X                  198200         0        9400
CORUS GROUP PLC SPONSORED ADR          22087M101       10710       4500                X              4500         0           0
CP RAILWAY LIMITED COM                 13645T100       43324       1917          X                    1917         0           0
CP RAILWAY LIMITED COM                 13645T100       80320       3554                X              3020         0         534
CP SHIPS LTD COM                       22409V102        2928        175          X                     175         0           0
CP SHIPS LTD COM                       22409V102        9954        595                X               325         0         270
CREDIT SUISSE GROUP SPON ADR           225401108       70406       2675                X                 0         0        2675
CRESUD S A SPONSORED ADR               226406106        4495        500                X               500         0           0
CRH PLC ADR                            12626K203      173536      11000                X              1000         0       10000
CRYSTALLEX INTL CORP COM               22942F101         139        100                X               100         0           0
DAIMLERCHRYSLER AG COM                 D1668R123      543646      15658          X                   15658         0           0
DAIMLERCHRYSLER AG COM                 D1668R123      194849       5612                X              5612         0           0






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                         
DASSAULT SYS SA ADR                    237545108         757         23                X                23         0           0
DELHAIZE 'LE LION' SPON ADR            29759W101        6715        219          X                     219         0           0
DELHAIZE 'LE LION' SPON ADR            29759W101       69843       2278                X              2278         0           0
DENBURY RESOURCES INC COM              247916208       44588       3320          X                    3320         0           0
DENBURY RESOURCES INC COM              247916208         672         50                X                50         0           0
DENISON INTERNATIONAL PLC ADR          248335101     8219923     427009          X                  410409         0       16600
DENISON INTERNATIONAL PLC ADR          248335101       28875       1500                X              1500         0           0
DEUTSCHE BANK AG COM                   D18190898      162016       2515          X                    1360         0        1155
DEUTSCHE BANK AG COM                   D18190898       44128        685                X               685         0           0
DEUTSCHE TELE                          251566105      247730      16298          X                   11016         0        5282
DEUTSCHE TELE                          251566105      261045      17174                X             14549         0        2625
DIAGEO PLC SPONSORED ADR NEW           25243Q205      143883       3288          X                     515         0        2773
DIAGEO PLC SPONSORED ADR NEW           25243Q205       83144       1900                X              1900         0           0
DOMTAR INC COM                         257561100        5525        500          X                     500         0           0
DORAL FINL CORP COM                    25811P100      476058      10662          X                    7500         0        3162
DORAL FINL CORP COM                    25811P100      233520       5230                X              5230         0           0
DURBAN ROODEPOORT DEEP LTD SP ADR      266597301        9324       3700                X              3700         0           0
E. ON AG SPONSORED ADR                 268780103      197825       3860          X                    1840         0        2020
E. ON AG SPONSORED ADR                 268780103       10250        200                X               200         0           0
ECI TELECOM LTD ORD COM                268258100       49392      16800          X                       0         0       16800
ELAN PLC ADR                           284131208      124700      22110          X                   21210         0         900
ELAN PLC ADR                           284131208      344350      61055                X             59305       100        1650
EMBRAER AIRCRAFT CORP ADR              29081M102       14535        761          X                     250         0         511
ENBRIDGE INC COM                       29250N105       28496        800                X                 0         0         800
ENCANA CORP COM                        292505104      381244       9936          X                    3236         0        6700
ENCANA CORP COM                        292505104      446358      11633                X              4512         0        7121
ENDESA SPONSORED ADR                   29258N107      242071      14851          X                    4470         0       10381
ENDURANCE SPECIALTY HOLDINGS COM       G30397106      119400       4000                X              4000         0           0
ENERNORTH INDUSTRIES INC COM           29275G101         264        167                X                 0         0         167
ENERPLUS RESOURCES FUND TRUST UNITS    29274D604       11620        500          X                     500         0           0
ENERPLUS RESOURCES FUND TRUST UNITS    29274D604       23240       1000                X              1000         0           0
ENI S P A ADR                          26874R108      145769       1917          X                     650         0        1267
ENTERRA ENERGY CORP COM                29381L101       45480       3000                X              3000         0           0
ERICSSON (LM) TEL SP ADR               294821608      320526      30153          X                   23933         0        6220
ERICSSON (LM) TEL SP ADR               294821608      322174      30308                X             29372         0         936
FAHNESTOCK VINER HLDNGS INC COM CL A   302921101       89472       3200          X                       0         0        3200
FAIRMONT HOTELS COM                    305204109       38025       1625          X                     925         0         700
FAIRMONT HOTELS COM                    305204109       16263        695                X               445         0         250
FIRST BANCORP PR COM                   318672102      808101      29439          X                   15939         0       13500
FIRST SERVICE CORP VTG COM             33761N109     1652118     106602          X                  106602         0           0
FLAMEL TECHNOLOGIES SPONSORED ADR      338488109       15468       1150          X                       0         0        1150
FLEXTRONICS INTERNATIONAL LTD          Y2573F102    26442960    2535279          X                 2470064         0       65215
FLEXTRONICS INTERNATIONAL LTD          Y2573F102     2102093     201543                X            193918       200        7425






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                         
FORDING CDN COAL TR COM                345425102        2102        116          X                     116         0           0
FORDING CDN COAL TR COM                345425102       13554        748                X               273         0         475
FOUR SEASONS HOTELS LTD VTG SHARES     35100E104      281190       6500                X              6500         0           0
FRANCE TELECOM COM                     35177Q105       42201       1712          X                       0         0        1712
FRESENIUS MEDICAL CARE SPONSORED ADR   358029106       26600       1618          X                    1618         0           0
FUJI PHOTO FILM LTD UNSPONSORED ADR    359586302       35552       1234          X                       0         0        1234
GALLAHER GROUP PLC SPONSORED ADR       363595109     1023066      25835          X                   15835         0       10000
GALLAHER GROUP PLC SPONSORED ADR       363595109     3770831      95223                X             94223         0        1000
GENESYS SA SPONSORED ADR               37185M100       32577      13406          X                       0         0       13406
GILAT SATELLITE NETWORKS LTD COM       M51474118         127         25          X                      25         0           0
GILAT SATELLITE NETWORKS LTD COM       M51474118        2036        400                X               400         0           0
GIVEN IMAGING LTD COM                  M52020100        8450       1000                X                 0         0        1000
GLAMIS GOLD LTD COM                    376775102       40913       3567          X                    3567         0           0
GLAMIS GOLD LTD COM                    376775102        4588        400                X               400         0           0
GLAXO SMITHKLINE SPONSORED PLC ADR     37733W105    11543562     284745          X                  247326         0       37419
GLAXO SMITHKLINE SPONSORED PLC ADR     37733W105    10169986     250863                X            241923         0        8940
GOLD FIELDS LIMITED ADR                38059T106       12180       1000          X                    1000         0           0
GOLD FIELDS LIMITED ADR                38059T106       39281       3225                X              3225         0           0
GOLDCORP INC COM                       380956409        2400        200          X                       0         0         200
GOLDCORP INC COM                       380956409        5520        460                X               460         0           0
GROUPE DANONE SPONSORED ADR            399449107      264624       9536          X                    8100         0        1436
GROUPE DANONE SPONSORED ADR            399449107       13875        500                X               500         0           0
GRUPO TELEVISA SA DE CV ADR            40049J206       34500       1000                X              1000         0           0
HANSON PLC SPONSORED ADR               411352404        7065        250          X                       0         0         250
HANSON PLC SPONSORED ADR               411352404        7404        262                X               262         0           0
HARMONY GOLD MNG LTD SPON ADR          413216300        2559        190          X                     190         0           0
HELLENIC TELECOMM SPONSORED ADR        423325307       72000      12000          X                   12000         0           0
HEMOSOL INC COM                        42369K102        3000       5000                X              5000         0           0
HITACHI LTD DEP SHS                    433578507         635         15          X                      15         0           0
HITACHI LTD DEP SHS                    433578507       10575        250                X               250         0           0
HONDA ADR COM                          438128308      390525      20500          X                   16650         0        3850
HONDA ADR COM                          438128308        8573        450                X               450         0           0
HSBC HLDGS PLC SPONSORED ADR           404280406     1630963      27592          X                   23845         0        3747
HSBC HLDGS PLC SPONSORED ADR           404280406     1479346      25027                X             24127         0         900
ICON PLC SPONS ADR                     45103T107        7160        225          X                       0         0         225
ID BIOMEDICAL CORP COM                 44936D108        5145        500          X                     500         0           0
IMAX CORPORATION COM                   45245E109       18020       2000          X                    2000         0           0
IMPERIAL CHEMICAL INDUSTRIES ADR       452704505      145250      17500          X                     400         0       17100
IMPERIAL CHEMICAL INDUSTRIES ADR       452704505        5810        700                X               700         0           0
IMPERIAL OIL LTD COM NEW               453038408      133569       3825          X                    3825         0           0
IMPERIAL OIL LTD COM NEW               453038408      394247      11290                X              5400         0        5890
IMPERIAL TOBACCO GROUP SPONSORED ADR   453142101       39831       1100          X                    1100         0           0
IMPERIAL TOBACCO GROUP SPONSORED ADR   453142101       15027        415                X               415         0           0






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                         
INCO LTD COM                           453258402       53400       2526          X                    2276         0         250
INCO LTD COM                           453258402        7399        350                X               350         0           0
INFINEON TECHNOLOGIES ADR              45662N103     1824018     190200          X                  190200         0           0
INFINEON TECHNOLOGIES ADR              45662N103      411411      42900                X                 0         0       42900
INFOSYS TECHNOLOGIES LTD SPN ADR       456788108       53114        990          X                     500         0         490
ING GROEP NV ADR                       456837103      251135      14326          X                    8459         0        5867
ING GROEP NV ADR                       456837103       30432       1736                X              1536         0         200
INGERSOLL-RAND CO CL A COM             G4776G101     8452724     178629          X                  166954         0       11675
INGERSOLL-RAND CO CL A COM             G4776G101     5446059     115090                X            110235         0        4855
INTERCONTINENTAL HOTELS ADR            458573102        4942        677                X               677         0           0
IONA TECHNOLOGIES ADR                  46206P109         553        250          X                     250         0           0
IPC HOLDINGS LTD COM                   G4933P101      164098       4897          X                     280         0        4617
IPC HOLDINGS LTD COM                   G4933P101      625297      18660                X               725         0       17935
IRELAND BK SP ADR                      46267Q103      136285       2810          X                    1810         0        1000
KERZNER INTERNATIONAL LTD COM          P6065Y107      322100      10000                X             10000         0           0
KINROSS GOLD CORP COM                  496902206         284         42          X                      42         0           0
KLM ROYAL DUTCH AIRLS COM              482516309        2200        260                X               260         0           0
KNIGHTSBRIDGE TANKERS LTD COM          G5299G106      514678      54400          X                   54400         0           0
KNIGHTSBRIDGE TANKERS LTD COM          G5299G106       46595       4925                X              4925         0           0
KONINKLIJKE AHOLD NV SPON ADR NEW      500467303      124035      14819          X                   14819         0           0
KONINKLIJKE AHOLD NV SPON ADR NEW      500467303       23855       2850                X               800         0        2050
KONINKLIJKE PHILIPS ELECTR SPON ADR    500472303     1860034      97333          X                   57163         0       40170
KONINKLIJKE PHILIPS ELECTR SPON ADR    500472303      474463      24828                X             22828         0        2000
KT CORP SPONSORED ADR                  48268K101       42534       2158          X                      75         0        2083
KYOCERA CORP ADR                       501556203       60420       1060                X              1060         0           0
LANOPTICS LTD COM                      M6706C103        7994       1167          X                    1167         0           0
LEADING BRANDS INC COM                 52170U108        4560       3000          X                    3000         0           0
LLOYDS TSB GROUP COM                   539439109       78037       2690          X                     285         0        2405
LOGITECH INTERNATIONAL ADR             541419107      150713       4003          X                       3         0        4000
LUXOTTICA GROUP S P A SPNSRD ADR       55068R202      307190      22100          X                   22100         0           0
LUXOTTICA GROUP S P A SPNSRD ADR       55068R202      512771      36890                X             29100         0        7790
MAGNA INTL INC CL A COM                559222401     1326901      19725          X                       0         0       19725
MANULIFE FINANCIAL CORP COM            56501R106     1094209      38788          X                   37788         0        1000
MANULIFE FINANCIAL CORP COM            56501R106      206808       7331                X              7331         0           0
MARVELL TECHNOLOGY GROUP LTD COM       G5876H105     3288154      95725          X                   92000         0        3725
MARVELL TECHNOLOGY GROUP LTD COM       G5876H105     1088552      31690                X               990         0       30700
MATSUSHITA ELEC INDL LTD ADR           576879209        4070        405          X                     405         0           0
MATSUSHITA ELEC INDL LTD ADR           576879209       20100       2000                X              2000         0           0
MERCER INTL INC COM                    588056101       22250       5000          X                    5000         0           0
MERIDIAN RESOURCE CORP COM             58977Q109       68585      14500          X                   14500         0           0
METHANEX CORP COM                      59151K108      161268      15100          X                   13100         0        2000
METHANEX CORP COM                      59151K108       40584       3800                X               500         0        3300
MFC BANCORP LTD COM NEW                55271X202       44142       5319          X                    5319         0           0
MFC BANCORP LTD COM NEW                55271X202       10374       1250                X                 0         0        1250






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                         
MILLEA HOLDINGS INC ADR                60032R106        2115         55          X                      55         0           0
MILLENNIUM CHEMICALS INC COM           599903101      160719      16900          X                       0         0       16900
MILLENNIUM CHEMICALS INC COM           599903101         609         64                X                64         0           0
MITCHELLS & BUTLERS SPON ADR           60668M108        5261       1277                X              1277         0           0
MITSUBISHI TOKYO FIN ADR               606816106        1237        270          X                     270         0           0
MITSUBISHI TOKYO FIN ADR               606816106        6870       1500                X              1500         0           0
MMO2 PLC ADR                           55309W101        6729        729          X                     729         0           0
MMO2 PLC ADR                           55309W101        1846        200                X               200         0           0
MOBILE TELESYSTEMS-SP ADR              607409109      938100      15900          X                   15900         0           0
MOBILE TELESYSTEMS-SP ADR              607409109      212400       3600                X                 0         0        3600
NABORS INDUSTRIES LTD COM              G6359F103     4349921     110041          X                   89292         0       20749
NABORS INDUSTRIES LTD COM              G6359F103      892192      22570                X              2820         0       19750
NATIONAL GRID COMPANY ADR              636274102       36668       1075          X                    1075         0           0
NATIONAL GRID COMPANY ADR              636274102       13132        385                X               385         0           0
NATL WESTMINSTER BK PLC PFD SER B      638539700       13844        550          X                     550         0           0
NATL WESTMINSTER BK PLC PFD SER B      638539700      231564       9200                X              9200         0           0
NATL WESTMINSTER SER C 8.625% PFD      638539882       26360       1000          X                       0         0        1000
NATL WESTMINSTER SER C 8.625% PFD      638539882      210880       8000                X              8000         0           0
NEC CORP ADR                           629050204        8064       1600                X              1600         0           0
NEWS CORP LTD SPONSORED ADR PFD        652487802     2196760      87695          X                   76995         0       10700
NEWS CORP LTD SPONSORED ADR PFD        652487802      707187      28231                X               981         0       27250
NEWS CORPORATION LTD SPONSORED ADR     652487703      216794       7162          X                    4818         0        2344
NIPPON TELEG & TEL CORP ADR            654624105       88803       4485          X                    3570         0         915
NOBLE CORP COM                         G65422100    34594706    1008592          X                  941968         0       66624
NOBLE CORP COM                         G65422100     1575845      45943                X             25943         0       20000
NOKIA CORP ADR SERIES A                654902204    45224627    2752564          X                 2634676         0      117888
NOKIA CORP ADR SERIES A                654902204    16480489    1003073                X            951663       375       51035
NOMURA HOLDINGS INC ADR                65535H208       82187       6446          X                       0         0        6446
NORANDA INC COM                        655422103        1933        202          X                     202         0           0
NORDIC AMER TANKER SHIPPING COM        G65773106        2840        200                X               200         0           0
NORSK HYDRO AS ADR                     656531605       66598       1355          X                       0         0        1355
NORTEL NETWORKS CORP COM NEW           656568102     1240858     459577          X                   53352         0      406225
NORTEL NETWORKS CORP COM NEW           656568102      293590     108737                X            105862       175        2700
NOVA CHEMICALS CORP COM                66977W109        3046        160                X                 0         0         160
NOVARTIS AG ADR                        66987V109    35324687     887332          X                  830158         0       57174
NOVARTIS AG ADR                        66987V109     3174688      79746                X             74883       100        4763
NOVO-NORDISK A/S ADR                   670100205      199353       5750                X              5750         0           0
NTT DOCOMO INC SPONSORED ADR           62942M201       10990        500                X               500         0           0
NUR MACROPRINTERS                      M75165106      149820     227000          X                  227000         0           0
ORBITAL ENGINE CORP SPON ADR           685563405        2070        600                X               600         0           0
ORCKIT COMMUNICATION LTD COM           M7531S206          92         10          X                      10         0           0
ORIENTAL FINANCIAL GROUP COM           68618W100    10691536     416175          X                  393475         0       22700
O2MICRO INTERNATIONAL LTD COM          G6797E106      629070      39000          X                       0         0       39000
O2MICRO INTERNATIONAL LTD COM          G6797E106        1613        100                X               100         0           0






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                         
PARTNER COMMUNICATIONS LTD ADR         70211M109        4900       1000                X              1000         0           0
PARTNERRE LTD COM                      G6852T105     1182941      23145          X                       0         0       23145
PARTNERRE LTD COM                      G6852T105       33222        650                X               600         0          50
PCCW LTD SPONS ADR                     70454G207        1488        242          X                     242         0           0
PEAK INTL LTD COM                      G69586108     1921500     427000          X                  411000         0       16000
PEARSON PLC SPONS ADR                  705015105        1229        128          X                     128         0           0
PEARSON PLC SPONS ADR                  705015105       45600       4750                X                 0         0        4750
PENGROWTH ENERGY TRUST COM             706902103       25660       2000                X               500         0        1500
PETRO-CANADA COM                       71644E102       11985        300          X                     300         0           0
PETRO-CANADA COM                       71644E102       15980        400                X               400         0           0
PETROKAZAKHSTAN INC CL A COM           71649P102       31175       2500          X                       0         0        2500
PETROLEO BRASILEIRO SA SPON ADR        71654V408       61058       3090                X              3090         0           0
PETROLEO BRASILEIRO SPONS ADR          71654V101      717770      40415          X                      65         0       40350
PHARMACEUTICAL HOLDRS TR               71712A206       16180        200          X                       0         0         200
PLACER DOME INC COM                    725906101       71436       5822          X                    5522         0         300
PLACER DOME INC COM                    725906101     2661535     216914                X            216914         0           0
POPULAR INC COM                        733174106      451072      11704                X             11704         0           0
POTASH CORP SASKATCHEWAN INC COM       73755L107      217600       3400          X                    2600         0         800
POTASH CORP SASKATCHEWAN INC COM       73755L107       24000        375                X               375         0           0
PRECISION DRILLING CORP COM            74022D100      454215      12029          X                    9750         0        2279
PRECISION DRILLING CORP COM            74022D100     1352072      35807                X               767         0       35040
PROVIDENT ENERGY TRUST COM             74386K104        8060       1000          X                    1000         0           0
PT INDOSAT ADR                         715680104        2166        200                X               200         0           0
QIAGEN NV COM                          N72482107      198859      24490          X                     400         0       24090
QLT INC. COM                           746927102        6350        500          X                     500         0           0
QSOUND LABS INC COM                    74728C307          67         46          X                      46         0           0
QUEBECOR WORLD INC                     748203106      397909      21497                X             21497         0           0
RANDGOLD & EXPL LTD ADR                753009307        1229        100                X               100         0           0
RANK GROUP PLC SPONSORED ADR           753037100         207         25          X                      25         0           0
RANK GROUP PLC SPONSORED ADR           753037100        1699        205                X               205         0           0
REED ELSEVIER NV SPON ADR              758204101      360525      15180          X                   15180         0           0
REED ELSEVIER PLC SPON ADR             758205108      534795      15874          X                   15874         0           0
RENAISSANCERE HOLDINGS LTD COM         G7496G103      925422      20330          X                    6000         0       14330
RENAISSANCERE HOLDINGS LTD COM         G7496G103     1201364      26392                X              8700         0       17692
RESPOL YPF, S.A. COM                   76026T205       97230       6013          X                    3240         0        2773
REUTERS GROUP PLC-SPONSORED ADR        76132M102      565565      32355          X                   31955         0         400
REUTERS GROUP PLC-SPONSORED ADR        76132M102     1086889      62179                X             62079         0         100
ROGERS COMMUNICATIONS INC CL B NV      775109200      151673       9450          X                       0         0        9450
ROYAL & SUN ALLIANCE INS GRP ADR       78004V202       17145       1500          X                    1500         0           0
ROYAL BK CDA MONTREAL QUE COM          780087102      268128       6300          X                    4300         0        2000
ROYAL BK CDA MONTREAL QUE COM          780087102      127680       3000                X              3000         0           0
ROYAL BK OF SCOT GRP PLC 7.875% PFD    780097820       27600       1000                X              1000         0           0
ROYAL BK SCOTLAND GROUP PFD            780097705        5800        200          X                     200         0           0
ROYAL BK SCOTLAND GROUP PFD            780097705       58000       2000                X              2000         0           0






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                         
ROYAL BK SCOTLAND GRP PLC PFD 8.50%    780097804      183808       6400          X                    6400         0           0
ROYAL BK SCOTLAND GRP PLC PFD 8.50%    780097804      201040       7000                X              7000         0           0
ROYAL DUTCH PETRO NY SHARES COM        780257804    41630355     892972          X                  851394         0       41578
ROYAL DUTCH PETRO NY SHARES COM        780257804    32534606     697868                X            639180         0       58688
RYANAIR HOLDINGS ADR                   783513104      408772       9100          X                    3900         0        5200
RYANAIR HOLDINGS ADR                   783513104      121284       2700                X              2700         0           0
SAN PAOLO-IMI SPA SPONSORED ADR        799175104       24937       1325          X                     130         0        1195
SANOFI SYNTHELABO SA ADR               80105N105       73750       2530          X                       0         0        2530
SAP AG SPONS ADR                       803054204    11112074     380290          X                  376140         0        4150
SAP AG SPONS ADR                       803054204      854393      29240                X              6640         0       22600
SAPPI LTD SPONSORED ADR                803069202        8645        700          X                     700         0           0
SCHLUMBERGER LTD COM                   806857108    57150979    1201408          X                 1070940         0      130468
SCHLUMBERGER LTD COM                   806857108    26479032     556633                X            508401       650       47582
SCOTTISH ANNUITY & LIFE HLDG COM       G7885T104      998374      49400                X                 0         0       49400
SCOTTISH PWR PLC ADR FINAL PMT         81013T705       60216       2477          X                    2477         0           0
SCOTTISH PWR PLC ADR FINAL PMT         81013T705      220881       9086                X              8359         0         727
SERONO SA COM                          81752M101      365456      25100          X                    3000         0       22100
SERONO SA COM                          81752M101        7280        500                X               500         0           0
SHELL TRANS & TRADING PLC ADR          822703609      970905      24364          X                   21007         0        3357
SHELL TRANS & TRADING PLC ADR          822703609      642462      16122                X             15222         0         900
SHIRE PHARMACEUTICALS GROUP PLC ADR    82481R106      487825      24700          X                       0         0       24700
SHIRE PHARMACEUTICALS GROUP PLC ADR    82481R106      242925      12300                X                 0         0       12300
SIEMENS AG SPONS ADR                   826197501      226273       4632          X                    1910         0        2722
SIEMENS AG SPONS ADR                   826197501      109913       2250                X              2250         0           0
SIERRA WIRELESS INC COM                826516106        6230       1000          X                    1000         0           0
SILVER STANDARD RESOURCES COM          82823L106        9842       2000          X                    2000         0           0
SILVER STANDARD RESOURCES COM          82823L106        1476        300                X               300         0           0
SK TELECOM LTD ADR                     78440P108       33741       1789          X                       0         0        1789
SK TELECOM LTD ADR                     78440P108       18860       1000                X              1000         0           0
SKILLSOFT PLC ADR                      830928107       19347       3831          X                       0         0        3831
SMITH & NEPHEW PLC SPONSORED ADR       83175M205      600880      10360          X                   10360         0           0
SMITH & NEPHEW PLC SPONSORED ADR       83175M205       17400        300                X               300         0           0
SONY CORP ADR                          835699307      279384       9978          X                    5218         0        4760
SONY CORP ADR                          835699307       49560       1770                X              1770         0           0
SOUTHERN PAC PETE N L SPON ADR         843581406         585        100          X                     100         0           0
SOUTHERN PAC PETE N L SPON ADR         843581406        1814        310                X                 0         0         310
STELMAR SHIPPING LTD COM               V8726M103      584850      35000          X                       0         0       35000
STMICROELECTRONICS NV-NY SHS COM       861012102      558274      26853          X                    9100         0       17753
STMICROELECTRONICS NV-NY SHS COM       861012102       22869       1100                X              1100         0           0
STOLT OFFSHORE SA SPON ADR             861567105        3150       2100          X                       0         0        2100
STORA ENSO OYJ SPONSORED ADR R SHS     86210M106      650710      57636          X                   57636         0           0
STORA ENSO OYJ SPONSORED ADR R SHS     86210M106       28214       2499                X              2499         0           0
SUN LIFE FINL SVCS CDA INC COM         866796105     1148394      55291          X                   53313         0        1978
SUN LIFE FINL SVCS CDA INC COM         866796105      454738      21894                X             21894         0           0






    ITEM 1             ITEM 2           ITEM 3       ITEM 4     ITEM 5       ITEM 6         ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS    CUSIP/TICKER    MARKET     SH/PV      INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD- SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                INSTR OTHER
                                                                                 V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                         
SUNCOR ENERGY INC COM                  867229106       20625       1100          X                     600         0         500
SUNCOR ENERGY INC COM                  867229106        3750        200                X               200         0           0
SYNGENTA AG SPONS ADR                  87160A100        1349        133                X               133         0           0
TAIWAN SEMICONDUCTOR ADR               874039100     1502686     149076          X                  130767         0       18309
TAIWAN SEMICONDUCTOR ADR               874039100      465998      46230                X              1520         0       44710
TALISMAN ENERGY INC COM                87425E103      334705       7300          X                       0         0        7300
TARO PHARMACEUTICAL INDS LTD COM       M8737E108     4578496      83200          X                   76300         0        6900
TECHNOLOGY FLAVORS & FRAGRANCES COM    87869A104       16800      21000                X             21000         0           0
TEEKAY SHIPPING MARSHALL ISL COM       Y8564W103      643500      15000          X                       0         0       15000
TELE DANMARK A/S SPON ADR              87236N102        9090        600          X                     600         0           0
TELEBRAS SPONSORED ADR PFD BLOCK       879287308        4684        170          X                     170         0           0
TELECOM CORP NEW ZEALAND LTD           879278208       10572        434          X                     334         0         100
TELECOM CORP NEW ZEALAND LTD           879278208       17296        710                X               510         0         200
TELECOM ITALIA SPA ADR                 87927W106       64989        717          X                      90         0         627
TELEFONICA DE ARGENTINA SPON ADR       879378404       27398       2854          X                    2854         0           0
TELEFONICA DE ESPANA ADR               879382208      302902       8762          X                    5527         0        3235
TELEFONICA DE ESPANA ADR               879382208      223944       6478                X              6478         0           0
TELEFONICA DEL PERU S A SPON ADR       879384204        2283        801          X                     801         0           0
TELEFONOS DE MEXICO SA ADR REP ORD L   879403780     6145061     195578          X                  190511         0        5067
TELEFONOS DE MEXICO SA ADR REP ORD L   879403780      257644       8200                X              7450         0         750
TELENORTE LESTE PARTICIP ADR           879246106         175         15          X                      15         0           0
TERRA NETWORKS SA SPONSORED            88100W103        6072       1012          X                    1012         0           0
TERRA NETWORKS SA SPONSORED            88100W103         510         85                X                85         0           0
TESCO CORP COM                         88157K101       72000       7500          X                    7500         0           0
TEVA PHARMACEUTICAL INDUSTRIES ADR     881624209    34746839     610665          X                  573100         0       37565
TEVA PHARMACEUTICAL INDUSTRIES ADR     881624209     1438432      25280                X              7010         0       18270
THOMSON                                885118109       41715       2700          X                       0         0        2700
THOMSON                                885118109       15450       1000                X              1000         0           0
THOMSON CORP COM                       884903105         126          4          X                       4         0           0
TORONTO DOMINION BK COM                891160509       16668        600          X                     600         0           0
TORONTO DOMINION BK COM                891160509      133900       4820                X              4820         0           0
TOTAL S A ADR                          89151E109     2179023      28747          X                   22265         0        6482
TOTAL S A ADR                          89151E109      273865       3613                X              3176         0         437
TOYOTA MOTOR CORP ADR 2                892331307      109350       2111          X                     500         0        1611
TOYOTA MOTOR CORP ADR 2                892331307       75110       1450                X              1450         0           0
TRANSCANADA CORP COM                   89353D107        6571        374          X                     374         0           0
TRANSCANADA CORP COM                   89353D107       14056        800                X                 0         0         800
TRANSOCEAN INC COM                     G90078109    14047486     639394          X                  603123         0       36271
TRANSOCEAN INC COM                     G90078109      805838      36679                X             33800         0        2879
TYCO INTL LTD NEW COM                  902124106    20701429    1090697          X                  979577         0      111120
TYCO INTL LTD NEW COM                  902124106     8221984     433192                X            346275       100       86817
UBS AG REG COM                         H8920M855      177003       3195          X                     945         0        2250
UBS AG REG COM                         H8920M855      131076       2366                X              2366         0           0






    ITEM 1             ITEM 2              ITEM 3        ITEM 4    ITEM 5          ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS       CUSIP/TICKER     MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                            SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
A. COMMON STOCK                                                                   INSTR  OTHER
                                                                                    V
        FOREIGN EQUITY DOMESTIC STLMT
        -----------------------------
                                                                                              
ULTRA PETE CORP COM                       903914109       360254     27905          X                      27905       0           0
ULTRA PETE CORP COM                       903914109       161375     12500                 X               12500       0           0
UNIBANCO-UNIAO DE BRANCOS ADR             90458E107         3175       185          X                        185       0           0
UNILEVER NV NY SHARES COM                 904784709      3313764     61366          X                      41961       0       19405
UNILEVER NV NY SHARES COM                 904784709      2075706     38439                 X               32682       0        5757
UNILEVER PLC SPONSORED ADR                904767704      1060648     33042          X                        300       0       32742
UNILEVER PLC SPONSORED ADR                904767704       385200     12000                 X               12000       0           0
UNITED BUSINESS MEDIA SPON ADR            90969M101          250        50                 X                  50       0           0
UNITED MICROELECTRONICS CORP ADR          910873207         1358       362                 X                 362       0           0
UPM KYMMENE CORP ADR                      915436109        46007      3162          X                          0       0        3162
UPM KYMMENE CORP ADR                      915436109        11640       800                 X                 800       0           0
VELCRO INDS N V COM                       922571104        22576      2000          X                       2000       0           0
VIVENDI UNIVERSAL SPONSORED ADR           92851S204        71437      3874          X                          0       0        3874
VIVENDI UNIVERSAL SPONSORED ADR           92851S204         7376       400                 X                 400       0           0
VODAFONE GROUP PLC ADR NEW                92857W100     15388229    783116          X                     741018       0       42098
VODAFONE GROUP PLC ADR NEW                92857W100     13231504    673359                 X              592914       0       80445
VOLVO AKTIEBOLAGET ADR B                  928856400        59643      2700          X                       2700       0           0
W HOLDING CO INC COM                      929251106      1336680     79000          X                      78400       0         600
W P STEWART & CO LTD COM                  G84922106       652960     29150                 X                   0       0       29150
WEATHERFORD INTERNATIONAL LTD COM         G95089101      1424265     33992          X                      14502       0       19490
WEATHERFORD INTERNATIONAL LTD COM         G95089101         8380       200                 X                   0       0         200
WILLBROS GROUP INC COM                    969199108        57353      5520          X                       5520       0           0
WILLIS GROUP HOLDINGS LTD COM             G96655108      1171114     38085          X                          0       0       38085
WIPRO LTD ADR                             97651M109        11525       500          X                        500       0           0
WPP GROUP PLC ADR                         929309300        67077      1674          X                         18       0        1656
WPP GROUP PLC ADR                         929309300        13383       334                 X                 334       0           0
XCELERA INC COM                           G31611109          795       500          X                        500       0           0
XL CAP LTD CL A COM                       G98255105      4546740     54780          X                      27695       0       27085
XL CAP LTD CL A COM                       G98255105       328597      3959                 X                3551       0         408






    ITEM 1             ITEM 2              ITEM 3        ITEM 4    ITEM 5          ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS       CUSIP/TICKER     MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                            SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
B. PREFERRED STOCK                                                                INSTR  OTHER
                                                                                    V
        PREFERRED STOCK - DOMESTIC
        --------------------------
                                                                                              
ALLTEL CORP 7.75% CONV PFD                020039822      14925       300                   X               N.A.      N.A.       N.A.
APARTMENT INVEST CONV CL P FLT RT PF      03748R861       8617       341            X                      N.A.      N.A.       N.A.
CABCO -J C PENNEY 7.625% PFD              126797208      11990       500            X                      N.A.      N.A.       N.A.
CINCINNATI BELL 6.75% SER B CONV PFD      171871403       6128       150            X                      N.A.      N.A.       N.A.
CINCINNATI BELL 6.75% SER B CONV PFD      171871403       4085       100                   X               N.A.      N.A.       N.A.
CITYFED FINANCIAL CORP PFD                178762407          0         9            X                      N.A.      N.A.       N.A.
MIRANT TR I CONV SER A 6.25% PFD          60467Q102      37816      2115            X                      N.A.      N.A.       N.A.
MIRANT TR I CONV SER A 6.25% PFD          60467Q102       1788       100                   X               N.A.      N.A.       N.A.






    ITEM 1             ITEM 2              ITEM 3        ITEM 4    ITEM 5          ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS       CUSIP/TICKER     MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                            SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
B. PREFERRED STOCK                                                                INSTR  OTHER
                                                                                    V
        PREFERRED STOCK - CONVERTIBLE
        -----------------------------
                                                                                              
ALLIED WASTE INDS 6.25% CONV PFD          019589605       21132       360           X                      N.A.      N.A.       N.A.
BAXTER INTL INC 7.00% CONV PFD            071813406       85785      1750           X                      N.A.      N.A.       N.A.
BAXTER INTL INC 7.00% CONV PFD            071813406       98040      2000                  X               N.A.      N.A.       N.A.
BRISTOL MYERS SQUIBB CO CONV $2 PFD       110122207        8000        40                  X               N.A.      N.A.       N.A.
CAPSTEAD MTG PFD SER B CONV $1.26         14067E308       18255      1500           X                      N.A.      N.A.       N.A.
CNF TR I SER A PFD 5.00%                  12612V205        9150       200                  X               N.A.      N.A.       N.A.
CRESCENT REAL ESTATE SER 6.75% PFD        225756204       32700      1500           X                      N.A.      N.A.       N.A.
EMMIS COMM CORP SER A 6.25% PFD           291525202        7590       165           X                      N.A.      N.A.       N.A.
EQUITY OFFICE CONV SER B 5.25% PFD        294741509      284533      5725                  X               N.A.      N.A.       N.A.
EQUITY RESIDENTIAL 7.25% PFD              29476L859       26637      1045           X                      N.A.      N.A.       N.A.
FORD MTR CO CAP TR II 6.50% CONV PFD      345395206      160765      3700           X                      N.A.      N.A.       N.A.
FORD MTR CO CAP TR II 6.50% CONV PFD      345395206       82555      1900                  X               N.A.      N.A.       N.A.
FORTUNE BRANDS INC PFD CONV $2.67         349631200       40000       200           X                      N.A.      N.A.       N.A.
FRONTLINE COMMUN 4.00% CONV PFD           35921T207         680       400                  X               N.A.      N.A.       N.A.
GENERAL MTRS CONV 5.25% PFD               370442733       89600      4000           X                      N.A.      N.A.       N.A.
GENERAL MTRS CORP CONV 4.50% PFD          370442741      122250      5000                  X               N.A.      N.A.       N.A.
HECLA MNG CO PFD SER B CONV $3.50         422704205       55500      1500                  X               N.A.      N.A.       N.A.
PERINI CORP PFD CONV $2.125               713839306       50000      2000           X                      N.A.      N.A.       N.A.
PNC FINL SVCS GROUP INC $1.80 PFD         693475501        2480        31                  X               N.A.      N.A.       N.A.
SEALED AIR CORP SER A 2.00% CONV PFD      81211K209      562029     11031           X                      N.A.      N.A.       N.A.
SEALED AIR CORP SER A 2.00% CONV PFD      81211K209       40352       792                  X               N.A.      N.A.       N.A.
SINCLAIR BROADCAST GRP SER 6.00% PFD      829226505       16875       375           X                      N.A.      N.A.       N.A.
TEXTRON INC PFD CONV $2.08                883203200       18600       124           X                      N.A.      N.A.       N.A.
TEXTRON INC PFD CONV $2.08                883203200       47700       318                  X               N.A.      N.A.       N.A.
UTD FIRE & CASUALTY 6.375% CONV PFD       910331305     3863400    137000           X                      N.A.      N.A.       N.A.
WESTPORT RES CORP 6.50% CONV PFD          961418209        2530       100                  X               N.A.      N.A.       N.A.
WHX CORP PFD                              929248201        2525       500                  X               N.A.      N.A.       N.A.
WYETH $2.00 CONV PFD                      983024209       55200        46           X                      N.A.      N.A.       N.A.






    ITEM 1             ITEM 2              ITEM 3        ITEM 4    ITEM 5          ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER     TITLE OF CLASS       CUSIP/TICKER     MARKET    SH/PV        INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                            SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
B. PREFERRED STOCK                                                                INSTR  OTHER
                                                                                    V
        PREFERRED STOCK - FOREIGN
        -------------------------
                                                                                              
ROYAL BANK OF SCOTLAND 7.25% PFD          780097879      945547     36706           X                      N.A.      N.A.       N.A.
ROYAL BANK OF SCOTLAND 7.25% PFD          780097879      706880     27441                  X               N.A.      N.A.       N.A.
ROYAL BK OF SCOTLAND SER J 8.50% PFD      780097853       87804      3240           X                      N.A.      N.A.       N.A.
ROYAL BK OF SCOTLAND SER J 8.50% PFD      780097853       27100      1000                  X               N.A.      N.A.       N.A.
ROYAL BK OF SCOTLAND 8.8889% PFD          780097861       40560      1500                  X               N.A.      N.A.       N.A.
ROYAL BK SCOTLAND GROUP PLC PFD           780097606       75301      2675           X                      N.A.      N.A.       N.A.
ROYAL BK SCOTLAND GROUP PLC PFD           780097606      129490      4600                  X               N.A.      N.A.       N.A.







    ITEM 1                ITEM 2           ITEM 3        ITEM 4    ITEM 5          ITEM 6       ITEM 7          ITEM 8
NAME OF ISSUER        TITLE OF CLASS    CUSIP/TICKER     MARKET    SH/PV        INVEST AUTH      MNGR     VOTING AUTH(SHARES)
                                                                            SOLE  SHRD-  SHRD-             SOLE      SHARED     NONE
C. OTHER                                                                          INSTR  OTHER
                                                                                    V
        CORPORATE BONDS
        ---------------
                                                                                         
CITIGROUP GBL MKTS   3.00%  8/22/08 *     173073AA5      237500    250000                  X               N.A.      N.A.       N.A.
MICROSTRATEGY INC    7.50%  6/24/07 *     594972AA9       11948     10300           X                      N.A.      N.A.       N.A.
MICROSTRATEGY INC    7.50%  6/24/07 *     594972AA9        4756      4100                  X               N.A.      N.A.       N.A.






    ITEM 1                 ITEM 2           ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER         TITLE OF CLASS    CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-            SOLE     SHARED       NONE
C. OTHER                                                                       INSTR  OTHER
                                                                                 V
        DOMESTIC CONVERTIBLE BONDS
        --------------------------
                                                                                      
AMER TOWER CORP CONV    6.25%  10/15/09   029912AB8      13875    15000          X                      N.A.      N.A.       N.A.
ANALOG DEVICES CONV     4.75%  10/01/05   032654AD7     773300   760000          X                      N.A.      N.A.       N.A.
ANALOG DEVICES CONV     4.75%  10/01/05   032654AD7     274725   270000                 X               N.A.      N.A.       N.A.
BATTLE MTN GOLD CO      6.00%   1/04/05   071593AA5     110688   110000                 X               N.A.      N.A.       N.A.
BEA SYS INC             4.00%  12/15/06   073325AD4     265031   275000                 X               N.A.      N.A.       N.A.
CALPINE CORP CONV       4.00%  12/26/06   131347BA3      13500    15000          X                      N.A.      N.A.       N.A.
CHARTER COMM CONV       5.75%  10/15/05   16117MAB3      20850    30000          X                      N.A.      N.A.       N.A.
CHARTER COMM CONV       5.75%  10/15/05   16117MAB3     194600   280000                 X               N.A.      N.A.       N.A.
CIENA CORP CONV         3.75%   2/01/08   171779AA9     249000   300000                 X               N.A.      N.A.       N.A.
COX COMM INC CONV      FLT RT   4/19/20   224044AX5     299250   600000                 X               N.A.      N.A.       N.A.
CRAY RESEARCH CONV     6.125%   2/01/11   225224AA2      17500    50000          X                      N.A.      N.A.       N.A.
CRAY RESEARCH CONV     6.125%   2/01/11   225224AA2      17500    50000                 X               N.A.      N.A.       N.A.
DEVON ENERGY CORP       4.90%   8/15/08   25179MAA1      12240    12000                 X               N.A.      N.A.       N.A.
ECHOSTAR COMM CONV     4.875%   1/01/07   278762AD1     198500   200000                 X               N.A.      N.A.       N.A.
GENZYME CORP CONV       3.00%   5/15/21   372917AK0     249375   250000                 X               N.A.      N.A.       N.A.
HCC INSURANCE CONV      2.00%   9/01/21   404132AA0      12059    11000                 X               N.A.      N.A.       N.A.
HERCULES INC CONV       8.00%   8/15/10   427056AK2       4550     5000                 X               N.A.      N.A.       N.A.
INCO LTD                7.75%   3/15/16   453258AH8      44440    44000          X                      N.A.      N.A.       N.A.
INTERPUBLIC GRP CO      1.87%   6/01/06   460690AJ9     261375   300000                 X               N.A.      N.A.       N.A.
IVAX CORP               4.50%   5/15/08   465823AG7     232800   240000                 X               N.A.      N.A.       N.A.
JUNIPER NETWORKS        4.75%   3/15/07   48203RAA2       9438    10000          X                      N.A.      N.A.       N.A.
LIBERTY MEDIA CORP      4.00%  11/15/29   530715AG6     219725   340000                 X               N.A.      N.A.       N.A.
LOEWS CORP             3.125%   9/15/07   540424AL2      79688    85000          X                      N.A.      N.A.       N.A.
LSI LOGIC CONV CORP     4.00%   2/15/05   502161AE2      19700    20000          X                      N.A.      N.A.       N.A.
MFC BANCORP CONV        8.00%   4/01/08   55271XAA1      55296    57600          X                      N.A.      N.A.       N.A.
NORAM ENERGY CONV       6.00%   3/15/12   655419AC3      71438    75000          X                      N.A.      N.A.       N.A.
PENN TREATY AMER        6.25%  10/15/08   707874AE3       7820     8000          X                      N.A.      N.A.       N.A.
PENN TREATY AMER CONV   6.25%  10/15/08   707874AD5      14663    15000          X                      N.A.      N.A.       N.A.
RICHARDSON CONV SF      7.25%  12/15/06   763165AB3       6020     7000          X                      N.A.      N.A.       N.A.
RICHARDSON ELEC CONV    8.25%   6/15/06   763165AC1      30938    33000          X                      N.A.      N.A.       N.A.
SERVICE CORP INT CONV   6.75%   6/22/08   817565AU8      15319    15000          X                      N.A.      N.A.       N.A.
SILICON GRAPHICS INC    5.25%   9/01/04   827056AC6      96563   125000          X                      N.A.      N.A.       N.A.
TYCO INTL CONV         3.125%   1/15/23   902118BE7      32850    30000          X                      N.A.      N.A.       N.A.
WMX TECHNOLOGIES        2.00%   1/24/05   92929QAF4       6458     7000          X                      N.A.      N.A.       N.A.
WMX TECHNOLOGIES        2.00%   1/24/05   92929QAF4      11070    12000                 X               N.A.      N.A.       N.A.






    ITEM 1                 ITEM 2           ITEM 3      ITEM 4  ITEM 5         ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER         TITLE OF CLASS    CUSIP/TICKER   MARKET  SH/PV        INVEST AUTH     MNGR   VOTING AUTH(SHARES)
                                                                         SOLE  SHRD-  SHRD-          SOLE      SHARED       NONE
C. OTHER                                                                       INSTR  OTHER
                                                                                 V
        CLOSED-END INVESTMENTS
        ----------------------
                                                                                           
ABERDEEN ASIA-PACIFIC INCOME FD INC    * 003009107      84409   15100            X                      N.A.      N.A.       N.A.
ABERDEEN ASIA-PACIFIC INCOME FD INC    * 003009107     310659   55574                   X               N.A.      N.A.       N.A.
ABERDEEN AUSTRALIA EQUITY FD INC       * 003011103      38733    5440                   X               N.A.      N.A.       N.A.
ABERDEEN GLOBAL INCOME FUND            * 003013109       1668     138            X                      N.A.      N.A.       N.A.
ACM INCOME FUND INC                    * 000912105      53097    5595            X                      N.A.      N.A.       N.A.
ACM INCOME FUND INC                    * 000912105     153311   16155                   X               N.A.      N.A.       N.A.
ADAMS EXPRESS CO                       * 006212104      54928    4651            X                      N.A.      N.A.       N.A.
ADAMS EXPRESS CO                       * 006212104      79328    6717                   X               N.A.      N.A.       N.A.
ALLIANCE ALL-MARKET ADVANTAGE FD       * 01852M108      58920    4000                   X               N.A.      N.A.       N.A.
ALLIANCE WORLD DLR GOVT FD II          * 01879R106      51176    4254            X                      N.A.      N.A.       N.A.
ALLIANCE WORLD DLR GOVT FD II          * 01879R106     306067   25442                   X               N.A.      N.A.       N.A.
ALLMERICA SECS TR SH BEN INT           * 019921105      12000    1200                   X               N.A.      N.A.       N.A.
AMERICAN STRATEGIC INCOME II FD        * 030099105       7249     528                   X               N.A.      N.A.       N.A.
AMERICAN STRATGEIC INC III             * 03009T101      12940    1000            X                      N.A.      N.A.       N.A.
AMERICAN STRATGEIC INC III             * 03009T101      17210    1330                   X               N.A.      N.A.       N.A.
AMEX ENERGY SELECT SPDR FD             * 81369Y506      24050    1000                   X               N.A.      N.A.       N.A.
ASA LTD COM                            * 002050102      66818    1770            X                      N.A.      N.A.       N.A.
ASA LTD COM                            * 002050102     150623    3990                   X               N.A.      N.A.       N.A.
ASIA PACIFIC FUND INC COM              * 044901106      18685    1850            X                      N.A.      N.A.       N.A.
ASIA PACIFIC FUND INC COM              * 044901106      20200    2000                   X               N.A.      N.A.       N.A.
BANCROFT CONVERTABLE FD                * 059695106       2299     116            X                      N.A.      N.A.       N.A.
BIOTECH HOLDERS TRUST                  * 09067D201      55463     450            X                      N.A.      N.A.       N.A.
BIOTECH HOLDERS TRUST                  * 09067D201      12325     100                   X               N.A.      N.A.       N.A.
BLACKROCK ADVANTAGE TERM TR INC FD     * 09247A101      13079    1100            X                      N.A.      N.A.       N.A.
BLACKROCK FL INSD MUN 2008 TERM TR     * 09247H106     157605    9500                   X               N.A.      N.A.       N.A.
BLACKROCK FLORIDA INSD MUNI FD         * 09250G102     107778    7100                   X               N.A.      N.A.       N.A.
BLACKROCK INCOME OPPORTUNITY TRUST     * 092475102    1177761  102325            X                      N.A.      N.A.       N.A.
BLACKROCK INCOME TR INC                * 09247F100      30952    3918            X                      N.A.      N.A.       N.A.
BLACKROCK INCOME TR INC                * 09247F100     243051   30766                   X               N.A.      N.A.       N.A.
BLACKROCK INSD MUN TERM TR INC         * 092474105      41292    3600                   X               N.A.      N.A.       N.A.
BLACKROCK INSD MUN 2008 TERM TR INC    * 09247K109      44475    2500                   X               N.A.      N.A.       N.A.
BLACKROCK INSD MUNI INCOME TR FD       * 092479104     337418   22600                   X               N.A.      N.A.       N.A.
BLACKROCK INVT QUALITY TERM TR INC     * 09247J102      27347    2900            X                      N.A.      N.A.       N.A.
BLACKROCK MUN TARGET TERM TR INC       * 09247M105     118517   10563            X                      N.A.      N.A.       N.A.
BLACKROCK MUN TARGET TERM TR INC       * 09247M105      78540    7000                   X               N.A.      N.A.       N.A.
BLACKROCK MUNICIPAL INC TRST FD        * 09248F109     342650   24598                   X               N.A.      N.A.       N.A.
BLACKROCK PFD OPPORTUNITY TR FD        * 09249V103     293685   11738            X                      N.A.      N.A.       N.A.
BLACKROCK PFD OPPORTUNITY TR FD        * 09249V103      13761     550                   X               N.A.      N.A.       N.A.
BLACKROCK STRATEGIC BOND TR FD         * 09249G106      25157    1666                   X               N.A.      N.A.       N.A.
BLUE CHIP VALUE FD INC                 * 095333100     182909   31700            X                      N.A.      N.A.       N.A.
BRAZIL FUND INC COM                    * 105759104      29900    2000                   X               N.A.      N.A.       N.A.
BROADBAND HOLDRS TR                    * 11130P104       9440    1000                   X               N.A.      N.A.       N.A.
CALAMOS CONVERTIBLE OPP & INC FUND     * 128117108     519837   28206                   X               N.A.      N.A.       N.A.






    ITEM 1               ITEM 2           ITEM 3      ITEM 4   ITEM 5          ITEM 6        ITEM 7        ITEM 8
NAME OF ISSUER       TITLE OF CLASS    CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH        MNGR   VOTING AUTH(SHARES)
                                                                       SOLE   SHRD-  SHRD-            SOLE      SHARED     NONE
C. OTHER                                                                      INSTR  OTHER
                                                                                V
        CLOSED-END INVESTMENTS
        ----------------------
                                                                                          
CENTRAL SECURITIES CORP                * 155123102     48170    2546             X                      N.A.     N.A.       N.A.
CHINA FUND INC                         * 169373107      3099     134             X                      N.A.     N.A.       N.A.
CHINA FUND INC                         * 169373107     34695    1500                    X               N.A.     N.A.       N.A.
CIGNA FDS HIGH INCOME SHS              * 12551D109       501     177             X                      N.A.     N.A.       N.A.
CIGNA FDS HIGH INCOME SHS              * 12551D109     19354    6839                    X               N.A.     N.A.       N.A.
CIGNA INVESTMENT SECURITIES            * 17179X106     47654    2734             X                      N.A.     N.A.       N.A.
CIGNA INVESTMENT SECURITIES            * 17179X106      3904     224                    X               N.A.     N.A.       N.A.
COLONIAL HIGH INCOME MUN TR            * 195743109     48411    7391             X                      N.A.     N.A.       N.A.
COLONIAL HIGH INCOME MUN TR            * 195743109     83244   12709                    X               N.A.     N.A.       N.A.
COLONIAL INTERMARKET INC TR ISB        * 195762109     37878    4256                    X               N.A.     N.A.       N.A.
COLONIAL INVT GRADE MUN TR SH BEN IN   * 195768106     37601    3488             X                      N.A.     N.A.       N.A.
COLONIAL INVT GRADE MUN TR SH BEN IN   * 195768106        22       2                    X               N.A.     N.A.       N.A.
COLONIAL MUNICIPAL INCOME TRUST        * 195799101     31914    5400             X                      N.A.     N.A.       N.A.
CONS DISCRY SELECT SECTR SPDR FD       * 81369Y407     40635    1500                    X               N.A.     N.A.       N.A.
CORNERSTONE STRATEGIC VALUE COM        * 21924B104      7754    1055                    X               N.A.     N.A.       N.A.
CORPORATE HIGH YIELD FD III INC COM    * 219925104     33228    3900             X                      N.A.     N.A.       N.A.
CORPORATE HIGH YIELD FD III INC COM    * 219925104     89460   10500                    X               N.A.     N.A.       N.A.
CORPORATE HIGH YIELD FD V              * 219931102     30035    2001             X                      N.A.     N.A.       N.A.
CP HOLDRS FD                           * 12616K106     50500    1000             X                      N.A.     N.A.       N.A.
CREDIT SUISSE ASSET MGMT INC COM       * 224916106     15629    3420                    X               N.A.     N.A.       N.A.
CREDIT SUISSE HIGH YIELD BD FD         * 22544F103     25903    5374             X                      N.A.     N.A.       N.A.
DEBT STRATEGIES FD INC                 * 24276Q109     47291    6975             X                      N.A.     N.A.       N.A.
DELAWARE INVESTMENTS DIV & INC FD      * 245915103    208728   16118             X                      N.A.     N.A.       N.A.
DNP SELECT INCOME FD INC               * 23325P104    531184   48867             X                      N.A.     N.A.       N.A.
DNP SELECT INCOME FD INC               * 23325P104    220607   20295                    X               N.A.     N.A.       N.A.
DREYFUS HIGH YIELD STRATEGIES FD       * 26200S101      2465     500             X                      N.A.     N.A.       N.A.
DREYFUS MUNICIPAL INCOME FUND          * 26201R102     10912    1100             X                      N.A.     N.A.       N.A.
DREYFUS MUNICIPAL INCOME FUND          * 26201R102     84320    8500                    X               N.A.     N.A.       N.A.
DREYFUS NY MUNI INCOME INC FUND        * 26201T108     12036    1385                    X               N.A.     N.A.       N.A.
DREYFUS STRATEGIC MUNI BOND FUND       * 26202F107     36068    4048             X                      N.A.     N.A.       N.A.
DREYFUS STRATEGIC MUNI BOND FUND       * 26202F107    129346   14517                    X               N.A.     N.A.       N.A.
DREYFUS STRATEGIC MUNS INC             * 261932107     27713    2763             X                      N.A.     N.A.       N.A.
DREYFUS STRATEGIC MUNS INC             * 261932107    153008   15255                    X               N.A.     N.A.       N.A.
DTF TAX-FREE INCOME INC FD             * 23334J107    237162   14330             X                      N.A.     N.A.       N.A.
DUFF & PHELPS UTIL & CORPORATE BD TR   * 26432K108     37725    2500             X                      N.A.     N.A.       N.A.
DUFF & PHELPS UTIL & CORPORATE BD TR   * 26432K108     36744    2435                    X               N.A.     N.A.       N.A.
EASTERN AMERN NAT GAS TR SPRS RCT UT   * 276217106     11693     550             X                      N.A.     N.A.       N.A.
EATON VANCE INSD MA MUN BD FD CL I     * 27828K108      5740     350             X                      N.A.     N.A.       N.A.
EATON VANCE INSURED NEW YORK FD        * 27827Y109    293600   20000             X                      N.A.     N.A.       N.A.
EATON VANCE MUNICIPAL INCOME           * 27826U108     61661    4070             X                      N.A.     N.A.       N.A.
EATON VANCE NJ MUNICIPAL INC CL B      * 27826V106    155484    9999                    X               N.A.     N.A.       N.A.
EATON VANCE SENIOR INCOME FUND         * 27826S103     67337    7549             X                      N.A.     N.A.       N.A.
EUROPE FD INC                          * 29874M103       248      30                    X               N.A.     N.A.       N.A.






    ITEM 1               ITEM 2           ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER       TITLE OF CLASS    CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        CLOSED-END INVESTMENTS
        ----------------------
                                                                                       
EUROPEAN WARRANT FUND INC              * 298792102       594      300                 X              N.A.      N.A.      N.A.
FIRST FINANCIAL FUND INC               * 320228109     39073     2529          X                     N.A.      N.A.      N.A.
FORT DEARBORN INC SECS COM             * 347200107     21175     1375                 X              N.A.      N.A.      N.A.
FORTUNE 500 INDEX FD                   * 86330E885     26600      380          X                     N.A.      N.A.      N.A.
FRANKLIN UNVL TR SH BEN INT            * 355145103     17216     3200          X                     N.A.      N.A.      N.A.
GABELLI EQUITY TR INC                  * 362397101     26429     3538          X                     N.A.      N.A.      N.A.
GABELLI EQUITY TR INC                  * 362397101    207502    27778                 X              N.A.      N.A.      N.A.
GABELLI GLOBAL MULTIMEDIA TR INC COM   * 36239Q109      2093      270          X                     N.A.      N.A.      N.A.
GABELLI GLOBAL MULTIMEDIA TR INC COM   * 36239Q109      4356      562                 X              N.A.      N.A.      N.A.
GABELLI UTILITY TRUST                  * 36240A101     22295     2320          X                     N.A.      N.A.      N.A.
GABELLI UTILITY TRUST                  * 36240A101      5218      543                 X              N.A.      N.A.      N.A.
GENERAL AMERICAN INVESTORS INC COM     * 368802104    257991     9402                 X              N.A.      N.A.      N.A.
GLOBAL HIGH INC DLR FD INC COM         * 37933G108     56526     3430          X                     N.A.      N.A.      N.A.
H & Q HEALTHCARE FD SH BEN INT         * 404052102     35893     2044          X                     N.A.      N.A.      N.A.
H & Q HEALTHCARE FD SH BEN INT         * 404052102     30519     1738                 X              N.A.      N.A.      N.A.
H & Q LIFE SCIENCES INVS               * 404053100      6108      408          X                     N.A.      N.A.      N.A.
HANCOCK JOHN INCOME SECS TR SBI        * 410123103     54165     3450          X                     N.A.      N.A.      N.A.
HANCOCK JOHN INCOME SECS TR SBI        * 410123103     86350     5500                 X              N.A.      N.A.      N.A.
HANCOCK JOHN INVEST TR                 * 410142103     29678     1420          X                     N.A.      N.A.      N.A.
HANCOCK JOHN INVEST TR                 * 410142103     19542      935                 X              N.A.      N.A.      N.A.
HANCOCK JOHN PATRIOT PFD DIVID FD      * 41013J107     59895     4500                 X              N.A.      N.A.      N.A.
HANCOCK JOHN PATRIOT PREM DIVID CL I   * 41013Q101     82743     9043          X                     N.A.      N.A.      N.A.
HANCOCK JOHN PATRIOT PREM DIVID CL I   * 41013Q101    204109    22307                 X              N.A.      N.A.      N.A.
HANCOCK JOHN PATRIOT SELECT DIVID TR   * 41013U102      7419      504          X                     N.A.      N.A.      N.A.
HANCOCK JOHN PFD INCOME FD             * 41013W108     25890     1000          X                     N.A.      N.A.      N.A.
HANCOCK JOHN PFD INCOME FD             * 41013W108     37256     1439                 X              N.A.      N.A.      N.A.
HANCOCK JOHN PFD INCOME FD II          * 41013X106     48156     1850          X                     N.A.      N.A.      N.A.
HANCOCK JOHN PFD INCOME FD II          * 41013X106     28633     1100                 X              N.A.      N.A.      N.A.
HIGH INCOME OPPORTUNITY FD             * 42967Q105     15259     2051          X                     N.A.      N.A.      N.A.
HIGH INCOME OPPORTUNITY FD             * 42967Q105     65472     8800                 X              N.A.      N.A.      N.A.
HIGH YIELD INCOME FD INC               * 429904105     12465     2250                 X              N.A.      N.A.      N.A.
HYPERION 2005 INVT GRADE OPPORTUNITY   * 448918102     19680     2000          X                     N.A.      N.A.      N.A.
HYPERION 2005 INVT GRADE OPPORTUNITY   * 448918102      4920      500                 X              N.A.      N.A.      N.A.
ING PRIME RATE TR FD                   * 44977W106     67448     9316                 X              N.A.      N.A.      N.A.
INSURED MUNICIPAL INCOME FUND          * 45809F104    199035    13549          X                     N.A.      N.A.      N.A.
INSURED MUNICIPAL INCOME FUND          * 45809F104      4495      306                 X              N.A.      N.A.      N.A.
INTERMEDIATE MUNI FD INC COM           * 45880P104     11048     1107                 X              N.A.      N.A.      N.A.
INTERNET ARCHITECTURE HOLDRS           * 46060A107      3102      100                 X              N.A.      N.A.      N.A.
INVESTMENT GRADE MUN INCOME FD         * 461368102     57389     3693                 X              N.A.      N.A.      N.A.
ISARES RUSSELL MIDCAP INDEX FD         * 464287499     90542     1620                 X              N.A.      N.A.      N.A.
ISHARES DJ U S HEALTHCARE SEC          * 464287762     37980      697                 X              N.A.      N.A.      N.A.
ISHARES DJ US CONSMER CYCLIC FD        * 464287580     92568     1900          X                     N.A.      N.A.      N.A.
ISHARES DJ US CONSMER CYCLIC FD        * 464287580     61874     1270                 X              N.A.      N.A.      N.A.






    ITEM 1               ITEM 2           ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER       TITLE OF CLASS    CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED       NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        CLOSED-END INVESTMENTS
        ----------------------
                                                                                          
ISHARES DJ US FINANCIAL SVCS FD        * 464287770      11608     130          X                     N.A.       N.A.       N.A.
ISHARES DOW JONES U S FINL SECTOR      * 464287788      98692    1295                 X              N.A.       N.A.       N.A.
ISHARES DOW JONES U S UTILS SECTOR     * 464287697       6775     125          X                     N.A.       N.A.       N.A.
ISHARES GOLDMAN SACHS TECH INDEX FD    * 464287549      18980     520                 X              N.A.       N.A.       N.A.
ISHARES GS$ INVESTOP CORP BD FD        * 464287242    1604820   14000          X                     N.A.       N.A.       N.A.
ISHARES INC MSCI UNITED KINGDOM FD     * 464286699      45955    3500          X                     N.A.       N.A.       N.A.
ISHARES MSCI BRAZIL FREE INDEX FD      * 464286400       6366     600                 X              N.A.       N.A.       N.A.
ISHARES MSCI EAFE INDEX FD             * 464287465      57404     530          X                     N.A.       N.A.       N.A.
ISHARES MSCI EAFE INDEX FD             * 464287465     125315    1157                 X              N.A.       N.A.       N.A.
ISHARES MSCI EMU INDEX FUND            * 464286608       9800     200          X                     N.A.       N.A.       N.A.
ISHARES MSCI EMU INDEX FUND            * 464286608       9800     200                 X              N.A.       N.A.       N.A.
ISHARES MSCI FRANCE                    * 464286707      75900    4600                 X              N.A.       N.A.       N.A.
ISHARES MSCI HONG KONG INDEX FD        * 464286871       5355     700          X                     N.A.       N.A.       N.A.
ISHARES MSCI PACIFIC EX JPN INDEX FD   * 464286665      23524     400          X                     N.A.       N.A.       N.A.
ISHARES MSCI PACIFIC EX JPN INDEX FD   * 464286665       5881     100                 X              N.A.       N.A.       N.A.
ISHARES MSCI SINGAPORE FREE FD         * 464286673       3381     700          X                     N.A.       N.A.       N.A.
ISHARES MSCI SOUTH KOREA INDEX FD      * 464286772       8996     450          X                     N.A.       N.A.       N.A.
ISHARES RUSSELL 2000 GROWTH            * 464287648    1351350   28600          X                     N.A.       N.A.       N.A.
ISHARES RUSSELL 2000 GROWTH            * 464287648      36666     776                 X              N.A.       N.A.       N.A.
ISHARES RUSSELL 2000 VALUE INDEX FD    * 464287630     866764    6740          X                     N.A.       N.A.       N.A.
ISHARES RUSSELL 2000 VALUE INDEX FD    * 464287630      36908     287                 X              N.A.       N.A.       N.A.
ISHARES RUSSELL 3000                   * 464287689       1911      35          X                     N.A.       N.A.       N.A.
ISHARES S & P EUROPE 350 FD            * 464287861     129311    2450          X                     N.A.       N.A.       N.A.
ISHARES S & P EUROPE 350 FD            * 464287861      79170    1500                 X              N.A.       N.A.       N.A.
ISHARES S & P MIDCAP 400 FD            * 464287507    1646688   17153          X                     N.A.       N.A.       N.A.
ISHARES S & P MIDCAP 400/VALUE FD      * 464287705      44603     502                 X              N.A.       N.A.       N.A.
ISHARES S & P SMALLCAP 600/VALUE FD    * 464287879      36675     450                 X              N.A.       N.A.       N.A.
ISHARES S & P 100 INDEX FUND           * 464287101      75305    1525                 X              N.A.       N.A.       N.A.
ISHARES S & P 500 INDEX FD             * 464287200   11385405  116439          X                     N.A.       N.A.       N.A.
ISHARES S & P 500 INDEX FD             * 464287200     228512    2337                 X              N.A.       N.A.       N.A.
ISHARES S&P MIDCAP GROWTH 400 FD       * 464287606      98467     963                 X              N.A.       N.A.       N.A.
ISHARES S&P SMALLCAP 600 GROWTH FD     * 464287887     175200    2400                 X              N.A.       N.A.       N.A.
ISHARES S&P SMALLCAP 600 INDEX FD      * 464287804    1225887   11180          X                     N.A.       N.A.       N.A.
ISHARES TR - RUSSEL 2000 INDEX FD      * 464287655    1647139   18528          X                     N.A.       N.A.       N.A.
ISHARES TR - RUSSEL 2000 INDEX FD      * 464287655     177800    2000                 X              N.A.       N.A.       N.A.
ISHARES TR COHEN STEERS REALTY FD      * 464287564      58338     650                 X              N.A.       N.A.       N.A.
ISHARES TR DJ US REAL ESTATE FD        * 464287739      25380     300                 X              N.A.       N.A.       N.A.
ISHARES TR NASDAQ BIOTECH INDX FD      * 464287556       5024      75          X                     N.A.       N.A.       N.A.
ISHARES TR NASDAQ BIOTECH INDX FD      * 464287556      15743     235                 X              N.A.       N.A.       N.A.
ISHARES TR RUSSELL 1000 GRWTH INDX     * 464287614      20525     500          X                     N.A.       N.A.       N.A.
ISHARES TR S & P GLOBAL 100 INDEX FD   * 464287572      34216     700                 X              N.A.       N.A.       N.A.
ISHARES TR US ENERGY SEC INDEX FD      * 464287796      17272     400          X                     N.A.       N.A.       N.A.
ISHARES TR US ENERGY SEC INDEX FD      * 464287796     215900    5000                 X              N.A.       N.A.       N.A.






    ITEM 1               ITEM 2           ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER       TITLE OF CLASS    CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        CLOSED-END INVESTMENTS
        ----------------------
                                                                                         
ISHARES TRUST DOW JONES TECH           * 464287721      5792      150          X                     N.A.      N.A.       N.A.
ISHARES TRUST DOW JONES TECH           * 464287721     19305      500                 X              N.A.      N.A.       N.A.
JOHN HANCOCK BANK & THRIFT OPP FUND    * 409735107     26113     2954          X                     N.A.      N.A.       N.A.
LATIN AMERICA EQUITY FD INC            * 51827Q106      4019      351                 X              N.A.      N.A.       N.A.
LIBERTY ALL STAR EQUITY FUND           * 530158104     45680     5537          X                     N.A.      N.A.       N.A.
LINCOLN NATL INCOME FD INC             * 534217104      5700      400          X                     N.A.      N.A.       N.A.
MA HLTH & ED TAX EX TR SBI             * 575672100    105850     7152          X                     N.A.      N.A.       N.A.
MANAGED HIGH INCOME PORTFOLIO INC      * 56166C105     26005     3500          X                     N.A.      N.A.       N.A.
MANAGED HIGH INCOME PORTFOLIO INC      * 56166C105     14749     1985                 X              N.A.      N.A.       N.A.
MANAGED HIGH YIELD PLUS FD INC         * 561911108      2591      504          X                     N.A.      N.A.       N.A.
MANAGED HIGH YIELD PLUS FD INC         * 561911108     44636     8684                 X              N.A.      N.A.       N.A.
MANAGED MUNS PORTFOLIO INC             * 561662107     28834     2660          X                     N.A.      N.A.       N.A.
MANAGED MUNS PORTFOLIO INC             * 561662107    414316    38221                 X              N.A.      N.A.       N.A.
MASS MUTUAL PARTICIPATION INVESTORS    * 576299101     72520     7000          X                     N.A.      N.A.       N.A.
MASS MUTUAL PARTICIPATION INVESTORS    * 576299101    281264    27149                 X              N.A.      N.A.       N.A.
MASSMUTUAL CORP INVESTORS FUND         * 576292106    209045     9678          X                     N.A.      N.A.       N.A.
MASSMUTUAL CORP INVESTORS FUND         * 576292106    520387    24092                 X              N.A.      N.A.       N.A.
MFS CHARTER INCOME TRUST               * 552727109     26520     3000          X                     N.A.      N.A.       N.A.
MFS CHARTER INCOME TRUST               * 552727109      2652      300                 X              N.A.      N.A.       N.A.
MFS GOVERNMENT MARKETS INCOME TRUST    * 552939100    345015    49500          X                     N.A.      N.A.       N.A.
MFS INTERMEDIATE INCOME TRUST          * 55273C107     75557    10322          X                     N.A.      N.A.       N.A.
MFS INTERMEDIATE INCOME TRUST          * 55273C107    129871    17742                 X              N.A.      N.A.       N.A.
MFS MULTIMARKET INCOME TRUST           * 552737108     34815     5500          X                     N.A.      N.A.       N.A.
MFS MULTIMARKET INCOME TRUST           * 552737108     37347     5900                 X              N.A.      N.A.       N.A.
MFS MUNICIPAL INCOME TRUST             * 552738106     93236    12046                 X              N.A.      N.A.       N.A.
MIDCAP SPDR TR COM                     * 595635103    345617     3940          X                     N.A.      N.A.       N.A.
MIDCAP SPDR TR COM                     * 595635103    219300     2500                 X              N.A.      N.A.       N.A.
MORGAN STANLEY ASIA-PACIFIC FUND INC   * 61744U106    106503    13100                 X              N.A.      N.A.       N.A.
MORGAN STANLEY EASTERN EUROPE FUND     * 616988101     21760     1000                 X              N.A.      N.A.       N.A.
MORGAN STANLEY EMERGING MARKETS FUND   * 61744G107     10403     1067                 X              N.A.      N.A.       N.A.
MORGAN STANLEY GOVT. INCOME TR         * 61745P106     44112     4800          X                     N.A.      N.A.       N.A.
MORGAN STANLEY INCOME SECURITIES       * 61745P874     11277      700                 X              N.A.      N.A.       N.A.
MORGAN STANLEY INS MUNI INC TR FD      * 61745P791     77048     5079          X                     N.A.      N.A.       N.A.
MORGAN STANLEY INSURED MUNI BOND FD    * 61745P817      5162      335          X                     N.A.      N.A.       N.A.
MORGAN STANLEY INSURED MUNI SEC FD     * 61745P833      5936      400                 X              N.A.      N.A.       N.A.
MORGAN STANLEY NY QUAL MUNI SEC FD     * 61745P528    132155     9333          X                     N.A.      N.A.       N.A.
MORGAN STANLEY PREMIUM INCOME TR FD    * 61745P429     17521     1860          X                     N.A.      N.A.       N.A.
MORGAN STANLEY QUALITY MUNI INC FD     * 61745P734    193026    13131          X                     N.A.      N.A.       N.A.
MORGAN STANLEY QUALITY MUNI SEC FD     * 61745P585      5780      400                 X              N.A.      N.A.       N.A.
MUNICIPAL ADVANTAGE FD INC             * 626189104      4266      300                 X              N.A.      N.A.       N.A.
MUNICIPAL HIGH INCOME FD INC           * 626214100     29161     3696                 X              N.A.      N.A.       N.A.
MUNIENHANCED FD INC                    * 626243109      5550      500          X                     N.A.      N.A.       N.A.
MUNIHOLDINGS FD II INC                 * 625935101     18796     1334                 X              N.A.      N.A.       N.A.






    ITEM 1               ITEM 2           ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER       TITLE OF CLASS    CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        CLOSED-END INVESTMENTS
        ----------------------
                                                                                         
MUNIHOLDINGS FLORIDA INSURED FD        * 62624W105    138780    9000           X                     N.A.      N.A.       N.A.
MUNIHOLDINGS FUND INC                  * 62625H107     24240    1600                  X              N.A.      N.A.       N.A.
MUNIHOLDINGS INSD FD II INC FD         * 62625A102     51984    3800           X                     N.A.      N.A.       N.A.
MUNIHOLDINGS INSD FD II INC FD         * 62625A102     27305    1996                  X              N.A.      N.A.       N.A.
MUNIHOLDINGS NEW JERSEY INSD FD        * 625936109     26320    1750           X                     N.A.      N.A.       N.A.
MUNIHOLDINGS NEW JERSEY INSD FD        * 625936109     18063    1201                  X              N.A.      N.A.       N.A.
MUNIHOLDINGS NY INS FUND               * 625931100     39906    2700           X                     N.A.      N.A.       N.A.
MUNIINSURED FD INC                     * 626245104     10670    1100                  X              N.A.      N.A.       N.A.
MUNIVEST FD II INC                     * 62629P105     24193    1638           X                     N.A.      N.A.       N.A.
MUNIVEST FD INC                        * 626295109    105562   11266           X                     N.A.      N.A.       N.A.
MUNIVEST FD INC                        * 626295109     62592    6680                  X              N.A.      N.A.       N.A.
MUNIYIELD CALIFORNIA INSURED FD INC    * 62629L104    144700   10000           X                     N.A.      N.A.       N.A.
MUNIYIELD FD INC                       * 626299101     36652    2719           X                     N.A.      N.A.       N.A.
MUNIYIELD FD INC                       * 626299101     16230    1204                  X              N.A.      N.A.       N.A.
MUNIYIELD INSD FD INC                  * 62630E107    206510   13640           X                     N.A.      N.A.       N.A.
MUNIYIELD INSD FD INC                  * 62630E107    236653   15631                  X              N.A.      N.A.       N.A.
MUNIYIELD MICH INSD INC FD             * 62630J106     63000    4075           X                     N.A.      N.A.       N.A.
MUNIYIELD NJ FD INC                    * 62630L101      5073     334           X                     N.A.      N.A.       N.A.
MUNIYIELD NJ FD INC                    * 62630L101     96198    6333                  X              N.A.      N.A.       N.A.
MUNIYIELD NJ INSD FD                   * 625921101    118620    7541           X                     N.A.      N.A.       N.A.
MUNIYIELD NY INSURED FUND INC          * 626301105     57419    4119           X                     N.A.      N.A.       N.A.
MUNIYIELD NY INSURED FUND INC          * 626301105     39032    2800                  X              N.A.      N.A.       N.A.
MUNIYIELD QUALITY FD II INC            * 62630T104      3843     300                  X              N.A.      N.A.       N.A.
MUNIYIELD QUALITY FD INC               * 626302103     52388    3516           X                     N.A.      N.A.       N.A.
MUNIYIELD QUALITY FD INC               * 626302103      5960     400                  X              N.A.      N.A.       N.A.
MVC CAPITAL FD                         * 553829102      8470    1000           X                     N.A.      N.A.       N.A.
NEUBERGER BERMAN INTER MUN FD INC      * 64124P101     74550    5044                  X              N.A.      N.A.       N.A.
NEW AMER HIGH INCOME FD                * 641876107     23846   10839           X                     N.A.      N.A.       N.A.
NEW IRELAND FD INC                     * 645673104       150      13                  X              N.A.      N.A.       N.A.
NICHOLAS-APPLEGATE CONV & INC FD       * 65370F101     24840    1656           X                     N.A.      N.A.       N.A.
NUVEEN CA DVD ADV MUNI FD 2            * 67069X104     86622    5933           X                     N.A.      N.A.       N.A.
NUVEEN CA DVD ADV MUNI FD 2            * 67069X104     64196    4397                  X              N.A.      N.A.       N.A.
NUVEEN CA INVT QUALITY MUN FD INC      * 67062A101     63080    4000           X                     N.A.      N.A.       N.A.
NUVEEN CONN PREM INCOME MUN FD         * 67060D107     57285    3350           X                     N.A.      N.A.       N.A.
NUVEEN CONN PREM INCOME MUN FD         * 67060D107    303799   17766                  X              N.A.      N.A.       N.A.
NUVEEN CONNECTICUT DVD ADV FUND 3      * 67071Y108     22485    1500           X                     N.A.      N.A.       N.A.
NUVEEN DIVIDEND ADV MUNI FUND 3        * 67070X101     10599     734           X                     N.A.      N.A.       N.A.
NUVEEN DIVIDEND ADVANTAGE MUNI FUND    * 67066V101     26775    1700                  X              N.A.      N.A.       N.A.
NUVEEN DVD ADV MUNI FD 2               * 67070F100     11067     714           X                     N.A.      N.A.       N.A.
NUVEEN FLA INVT QUALITY MUN FD         * 670970102     16750    1000           X                     N.A.      N.A.       N.A.
NUVEEN FLA QUALITY INCOME MUN FD       * 670978105     34362    2070                  X              N.A.      N.A.       N.A.
NUVEEN INS TAX-FREE ADV MUNICIPAL FD   * 670657105    385950   24900                  X              N.A.      N.A.       N.A.
NUVEEN INSD MUN OPPORTUNITY FD INC     * 670984103    252931   15642           X                     N.A.      N.A.       N.A.
NUVEEN INSD MUN OPPORTUNITY FD INC     * 670984103    135117    8356                  X              N.A.      N.A.       N.A.





    ITEM 1               ITEM 2           ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER       TITLE OF CLASS    CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        CLOSED-END INVESTMENTS
        ----------------------
                                                                                         
NUVEEN INSD PREM INCOME MUN FD 2       * 6706D8104     65076     4400          X                      N.A.     N.A.       N.A.
NUVEEN INSD PREM INCOME MUN FD 2       * 6706D8104     80842     5466                 X               N.A.     N.A.       N.A.
NUVEEN INSD QUALITY MUN FD INC         * 67062N103    101482     5966          X                      N.A.     N.A.       N.A.
NUVEEN INSD QUALITY MUN FD INC         * 67062N103     17010     1000                 X               N.A.     N.A.       N.A.
NUVEEN INSURED FLORIDA PREMIUM INC     * 67101V108      8610      500                 X               N.A.     N.A.       N.A.
NUVEEN MASS PREM INCOME MUN FD         * 67061E104     48713     3007          X                      N.A.     N.A.       N.A.
NUVEEN MASS PREM INCOME MUN FD         * 67061E104      8100      500                 X               N.A.     N.A.       N.A.
NUVEEN MD PREMIUM INC MUNI FD          * 67061Q107     32820     2000                 X               N.A.     N.A.       N.A.
NUVEEN MUN MKT OPPORTUNITY FD COM      * 67062W103     96450     6430          X                      N.A.     N.A.       N.A.
NUVEEN MUN MKT OPPORTUNITY FD COM      * 67062W103    100950     6730                 X               N.A.     N.A.       N.A.
NUVEEN MUNI ADVANTAGE FD               * 67062H106    417040    26196          X                      N.A.     N.A.       N.A.
NUVEEN MUNI ADVANTAGE FD               * 67062H106    211179    13265                 X               N.A.     N.A.       N.A.
NUVEEN MUNI INCOME FUND INC            * 67062J102     10800     1000                 X               N.A.     N.A.       N.A.
NUVEEN MUNI VALUE FD INC               * 670928100    153063    16180          X                      N.A.     N.A.       N.A.
NUVEEN MUNI VALUE FD INC               * 670928100   1014632   107255                 X               N.A.     N.A.       N.A.
NUVEEN N Y INVT QUALITY MUN FD INC     * 67062X101     89262     5400          X                      N.A.     N.A.       N.A.
NUVEEN N Y QUALITY INCOME MUN FD INC   * 670986108     56736     3600          X                      N.A.     N.A.       N.A.
NUVEEN NC PREMIUM INC MUNI FD          * 67060P100    154263     8815          X                      N.A.     N.A.       N.A.
NUVEEN NJ DVD ADV MUNI FD              * 67069Y102     32803     2144                 X               N.A.     N.A.       N.A.
NUVEEN NJ INVT QUALITY MUN FD INC      * 670971100    523358    32833          X                      N.A.     N.A.       N.A.
NUVEEN NJ INVT QUALITY MUN FD INC      * 670971100    722369    45318                 X               N.A.     N.A.       N.A.
NUVEEN NJ PREM INCOME MUN FD INC       * 67101N106      8066      501          X                      N.A.     N.A.       N.A.
NUVEEN NJ PREM INCOME MUN FD INC       * 67101N106     48300     3000                 X               N.A.     N.A.       N.A.
NUVEEN NY MUNICIPAL VALUE FUND INC     * 67062M105     33635     3500                 X               N.A.     N.A.       N.A.
NUVEEN NY SELECT QUALITY MUN FD INC    * 670976109     17820     1100          X                      N.A.     N.A.       N.A.
NUVEEN PA INVT QUALITY MUN FD          * 670972108     41626     2600          X                      N.A.     N.A.       N.A.
NUVEEN PA INVT QUALITY MUN FD          * 670972108    147996     9244                 X               N.A.     N.A.       N.A.
NUVEEN PA PREM INCOME MUN FD 2         * 67061F101     19168     1198                 X               N.A.     N.A.       N.A.
NUVEEN PERFORMANCE PLUS MUN FD         * 67062P108     27612     1800          X                      N.A.     N.A.       N.A.
NUVEEN PERFORMANCE PLUS MUN FD         * 67062P108    402890    26264                 X               N.A.     N.A.       N.A.
NUVEEN PFD & CONV INCOME FD            * 67073B106    262712    16993                 X               N.A.     N.A.       N.A.
NUVEEN PREM INCOME MUN FD 2 INC        * 67063W102    810357    53666                 X               N.A.     N.A.       N.A.
NUVEEN PREM INCOME MUN FD 4 INC        * 6706K4105     99126     7359          X                      N.A.     N.A.       N.A.
NUVEEN PREM INCOME MUN FD 4 INC        * 6706K4105     82867     6152                 X               N.A.     N.A.       N.A.
NUVEEN PREMIER INSD MUN INCOME FD      * 670987106     16600     1000          X                      N.A.     N.A.       N.A.
NUVEEN PREMIER INSD MUN INCOME FD      * 670987106     47941     2888                 X               N.A.     N.A.       N.A.
NUVEEN PREMIER MUN INCOME FD INC       * 670988104     15635     1010          X                      N.A.     N.A.       N.A.
NUVEEN PREMIER MUN INCOME FD INC       * 670988104    139413     9006                 X               N.A.     N.A.       N.A.
NUVEEN PREMIUM INC MUNI FD INC         * 67062T100     12712      838          X                      N.A.     N.A.       N.A.
NUVEEN PREMIUM INC MUNI FD INC         * 67062T100    255781    16861                 X               N.A.     N.A.       N.A.
NUVEEN QUALITY INCOME MUN FD           * 670977107     72300     4766          X                      N.A.     N.A.       N.A.
NUVEEN QUALITY INCOME MUN FD           * 670977107    453553    29898                 X               N.A.     N.A.       N.A.
NUVEEN QUALITY PFD INCOME FD           * 67071S101     75891     4779          X                      N.A.     N.A.       N.A.
NUVEEN QUALITY PFD INCOME FD           * 67071S101     47640     3000                 X               N.A.     N.A.       N.A.






    ITEM 1               ITEM 2           ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER       TITLE OF CLASS    CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        CLOSED-END INVESTMENTS
        ----------------------
                                                                                         
NUVEEN QUALITY PREFERRED II FUND       * 67072C105     23775    1500           X                      N.A.     N.A.       N.A.
NUVEEN REAL ESTATE INCOME FD           * 67071B108     30100    1780           X                      N.A.     N.A.       N.A.
NUVEEN REAL ESTATE INCOME FD           * 67071B108     42275    2500                  X               N.A.     N.A.       N.A.
NUVEEN SELECT QUALITY MUN FD INC       * 670973106     88068    5715                  X               N.A.     N.A.       N.A.
NUVEEN SELECT T/F INC III FD           * 67063X100     13838    1016           X                      N.A.     N.A.       N.A.
NUVEEN SELECT TAX FREE INCOME PORT 2   * 67063C106     39283    2820                  X               N.A.     N.A.       N.A.
NUVEEN SELECT TAX-FREE INCOME          * 67062F100    193320   13500                  X               N.A.     N.A.       N.A.
OIL SERVICE HOLDERS TRUST              * 678002106     73684    1225           X                      N.A.     N.A.       N.A.
OPPENHEIMER MULTI-SECTOR INCOME TR     * 683933105     51969    6330           X                      N.A.     N.A.       N.A.
PETROLEUM & RESOURCES CORP             * 716549100     21671    1052           X                      N.A.     N.A.       N.A.
PETROLEUM & RESOURCES CORP             * 716549100    117420    5700                  X               N.A.     N.A.       N.A.
PIMCO CORP OPPORTUNITY FD              * 72201B101     27155    1628           X                      N.A.     N.A.       N.A.
PIMCO CORP OPPORTUNITY FD              * 72201B101     16680    1000                  X               N.A.     N.A.       N.A.
PIMCO HIGH INCOME FUND                 * 722014107     22185    1500           X                      N.A.     N.A.       N.A.
PIMCO HIGH INCOME FUND                 * 722014107    591600   40000                  X               N.A.     N.A.       N.A.
PIMCO MUNI INCOME FD III               * 72201A103    243540   16500                  X               N.A.     N.A.       N.A.
PIMCO MUNICIPAL INCOME FUND            * 72200R107        45       3           X                      N.A.     N.A.       N.A.
PIMCO MUNICIPAL INCOME FUND II         * 72200W106     35293    2375                  X               N.A.     N.A.       N.A.
PIMCO RCM STRAT GLOBAL GOVT FD         * 72200X104    117900   10000                  X               N.A.     N.A.       N.A.
PIONEER INTEREST SHARES INC FUND       * 723703104      5850     500           X                      N.A.     N.A.       N.A.
PROSPECT STR HIGH INCOME PORT FD       * 743586406     70309   26333                  X               N.A.     N.A.       N.A.
PROSPECT STR INCOME SHS                * 743590101      3255     500                  X               N.A.     N.A.       N.A.
PUTNAM HIGH INCOME BOND FUND           * 746779107     12032    1600                  X               N.A.     N.A.       N.A.
PUTNAM HIGH INCOME OPPORT.TRUST        * 746479104      2597     150           X                      N.A.     N.A.       N.A.
PUTNAM HIGH INCOME OPPORT.TRUST        * 746479104      5193     300                  X               N.A.     N.A.       N.A.
PUTNAM HIGH YIELD MUN TR               * 746781103     17975    2500           X                      N.A.     N.A.       N.A.
PUTNAM HIGH YIELD MUN TR               * 746781103      7190    1000                  X               N.A.     N.A.       N.A.
PUTNAM INVT GRADE MUN TR               * 746805100     23520    2000           X                      N.A.     N.A.       N.A.
PUTNAM INVT GRADE MUN TR               * 746805100     37632    3200                  X               N.A.     N.A.       N.A.
PUTNAM MANAGED MUN INCOME TR           * 746823103      8020    1000           X                      N.A.     N.A.       N.A.
PUTNAM MANAGED MUN INCOME TR           * 746823103      7619     950                  X               N.A.     N.A.       N.A.
PUTNAM MASTER INCOME TR SH BEN INT     * 74683K104     16464    2472           X                      N.A.     N.A.       N.A.
PUTNAM MASTER INCOME TR SH BEN INT     * 74683K104    139860   21000                  X               N.A.     N.A.       N.A.
PUTNAM MASTER INTER INCOME TR SBI      * 746909100      7521    1166           X                      N.A.     N.A.       N.A.
PUTNAM MASTER INTER INCOME TR SBI      * 746909100    268984   41703                  X               N.A.     N.A.       N.A.
PUTNAM MUNICIPAL BOND FUND INC         * 74683V100     90636    6940           X                      N.A.     N.A.       N.A.
PUTNAM MUNICIPAL BOND FUND INC         * 74683V100     13060    1000                  X               N.A.     N.A.       N.A.
PUTNAM NY INVT GRADE MUNI FD           * 746921105     10981     875           X                      N.A.     N.A.       N.A.
PUTNAM PREMIER INCOME TR SH BEN INT    * 746853100     76159   11487                  X               N.A.     N.A.       N.A.
ROYCE MICRO-CAP TRUST INC              * 780915104       586      60                  X               N.A.     N.A.       N.A.
ROYCE VALUE TRUST INC                  * 780910105    157199   10522           X                      N.A.     N.A.       N.A.
ROYCE VALUE TRUST INC                  * 780910105     27086    1813                  X               N.A.     N.A.       N.A.
SALOMON BROS FD INC                    * 795477108     71487    6681           X                      N.A.     N.A.       N.A.
SALOMON BROS FD INC                    * 795477108     76205    7122                  X               N.A.     N.A.       N.A.







    ITEM 1               ITEM 2           ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7        ITEM 8
NAME OF ISSUER       TITLE OF CLASS    CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        CLOSED-END INVESTMENTS
        ----------------------
                                                                                         
SALOMON BROS HIGH INCOME FD II COM     * 794907105     71520     6000          X                      N.A.     N.A.       N.A.
SALOMON BROS HIGH INCOME FD II COM     * 794907105     25771     2162                 X               N.A.     N.A.       N.A.
SALOMON BROS HIGH INCOME FD INC        * 79547Q106     10660     1000          X                      N.A.     N.A.       N.A.
SALOMON BROS WLDWIDE INC FD INC        * 79548T109     77500     5000                 X               N.A.     N.A.       N.A.
SALOMON BROS 2008 WORLDWIDE DLR GOVT   * 79548R103     56013     5153          X                      N.A.     N.A.       N.A.
SALOMON BROS 2008 WORLDWIDE DLR GOVT   * 79548R103      7935      730                 X               N.A.     N.A.       N.A.
SALOMON BROTHERS EMERG INC MKT FD II   * 794910109     22963     1536                 X               N.A.     N.A.       N.A.
SALOMON BROTHERS MUNI PARTNERS II FD   * 794918102      5568      400                 X               N.A.     N.A.       N.A.
SCUDDER GLOBAL HIGH INCOME FD          * 81115E101      4254      600          X                      N.A.     N.A.       N.A.
SCUDDER HIGH INCOME TR                 * 811153105     24386     3667          X                      N.A.     N.A.       N.A.
SCUDDER INTER GOVT TR                  * 811163104       891      125          X                      N.A.     N.A.       N.A.
SCUDDER MULTI-MARKET INCOME TR         * 81118Q101     33384     3900                 X               N.A.     N.A.       N.A.
SCUDDER MUN INCOME TR                  * 81118R604     24800     2000          X                      N.A.     N.A.       N.A.
SCUDDER NEW ASIA FD INC                * 811183102     74400     8000          X                      N.A.     N.A.       N.A.
SCUDDER RREEF REAL ESTATE FD           * 81119Q100     49650     3000                 X               N.A.     N.A.       N.A.
SECTOR SPDR TECHNOLOGY SELECT INDEX    * 81369Y803     21338     1250          X                      N.A.     N.A.       N.A.
SECTOR SPDR TECHNOLOGY SELECT INDEX    * 81369Y803     28763     1685                 X               N.A.     N.A.       N.A.
SELIGMAN QUALITY MUNI FD               * 816343107    119693     8919          X                      N.A.     N.A.       N.A.
SENIOR HIGH INCOME PORTFOLIO           * 81721E107     20825     3500          X                      N.A.     N.A.       N.A.
SENIOR HIGH INCOME PORTFOLIO           * 81721E107      2678      450                 X               N.A.     N.A.       N.A.
SMALLCAP FUND                          * 831680103      9360     1000          X                      N.A.     N.A.       N.A.
SOURCE CAPITAL INC FD                  * 836144105     10360      200          X                      N.A.     N.A.       N.A.
SOURCE CAPITAL INC FD                  * 836144105    172649     3333                 X               N.A.     N.A.       N.A.
SPAIN FUND INC (THE)                   * 846330108       880      100                 X               N.A.     N.A.       N.A.
STRATEGIC GLOBAL INCOME FD INC         * 862719101     81492     5555          X                      N.A.     N.A.       N.A.
STRATEGIC GLOBAL INCOME FD INC         * 862719101     96265     6562                 X               N.A.     N.A.       N.A.
SWISS HELVETIA FD INC                  * 870875101      6793      650          X                      N.A.     N.A.       N.A.
SWISS HELVETIA FD INC                  * 870875101     12895     1234                 X               N.A.     N.A.       N.A.
TCW / DW TERM TR 2003                  * 87234U108    922389    87100          X                      N.A.     N.A.       N.A.
TCW CONV SECURITIES FD INC             * 872340104     61312    12935          X                      N.A.     N.A.       N.A.
TCW CONV SECURITIES FD INC             * 872340104     24648     5200                 X               N.A.     N.A.       N.A.
TELECOM HOLDRS TR                      * 87927P200      5466      200          X                      N.A.     N.A.       N.A.
TEMPLETON CHINA WORLD FD INC           * 88018X102      7178      550          X                      N.A.     N.A.       N.A.
TEMPLETON CHINA WORLD FD INC           * 88018X102      7830      600                 X               N.A.     N.A.       N.A.
TEMPLETON DRAGON FD INC                * 88018T101    112000    10000          X                      N.A.     N.A.       N.A.
TEMPLETON EMERG MKTS INC FUND          * 880192109     12180     1000          X                      N.A.     N.A.       N.A.
TEMPLETON EMERG MKTS INC FUND          * 880192109     11571      950                 X               N.A.     N.A.       N.A.
TEMPLETON EMERGING MARKETS FUND INC    * 880191101     35884     3592          X                      N.A.     N.A.       N.A.
TEMPLETON EMERGING MARKETS FUND INC    * 880191101     29970     3000                 X               N.A.     N.A.       N.A.
TEMPLETON GLOBAL INCOME FD INC         * 880198106     23546     2875          X                      N.A.     N.A.       N.A.
TEMPLETON GLOBAL INCOME FD INC         * 880198106     25143     3070                 X               N.A.     N.A.       N.A.
TRI-CONTINENTAL CORPORATION FUND       * 895436103     22259     1506          X                      N.A.     N.A.       N.A.
TRI-CONTINENTAL CORPORATION FUND       * 895436103    199175    13476                 X               N.A.     N.A.       N.A.






    ITEM 1               ITEM 2           ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7          ITEM 8
NAME OF ISSUER       TITLE OF CLASS    CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        CLOSED-END INVESTMENTS
        ----------------------
                                                                                         
UTILITIES SELECT SECTOR SPDR FD        * 81369Y886     17696      800          X                      N.A.     N.A.       N.A.
VAN KAMP TR INV GRD PA MUNIS FD        * 920934106     17100     1000                 X               N.A.     N.A.       N.A.
VAN KAMPEN ADV MUNI INCOME II FD       * 92112K107     14630     1000          X                      N.A.     N.A.       N.A.
VAN KAMPEN ADVANTAGE MUNI INCOME TR    * 921124103    334282    20235          X                      N.A.     N.A.       N.A.
VAN KAMPEN ADVANTAGE MUNI INCOME TR    * 921124103     59472     3600                 X               N.A.     N.A.       N.A.
VAN KAMPEN AMER CAP TR INVT GRADE NJ   * 920933108     26685     1500          X                      N.A.     N.A.       N.A.
VAN KAMPEN AMERICAN CAPITAL MUNI TR    * 920919107     24080     1600          X                      N.A.     N.A.       N.A.
VAN KAMPEN BOND FUND INC COMMON        * 920955101     58162     2972          X                      N.A.     N.A.       N.A.
VAN KAMPEN HIGH INCOME TRUST SHARES    * 920911104      7056     1800                 X               N.A.     N.A.       N.A.
VAN KAMPEN MASSACHUSETTS VALUE MUNI    * 92112R102     60235     3500          X                      N.A.     N.A.       N.A.
VAN KAMPEN MASSACHUSETTS VALUE MUNI    * 92112R102     58514     3400                 X               N.A.     N.A.       N.A.
VAN KAMPEN MUNI OPPOR TR II            * 920944105     14760     1000          X                      N.A.     N.A.       N.A.
VAN KAMPEN MUNI OPPOR TR II            * 920944105     16546     1121                 X               N.A.     N.A.       N.A.
VAN KAMPEN MUNICIPAL INCOME TRUST CO   * 920909108     15456     1600          X                      N.A.     N.A.       N.A.
VAN KAMPEN MUNICIPAL INCOME TRUST CO   * 920909108     16721     1731                 X               N.A.     N.A.       N.A.
VAN KAMPEN MUNICIPAL OPPORTUNITY TR    * 920935103     80746     4700                 X               N.A.     N.A.       N.A.
VAN KAMPEN NY QUALITY MUNICIPAL TR     * 920922101     66000     4000                 X               N.A.     N.A.       N.A.
VAN KAMPEN NY VALUE MUN INCOME TR      * 92112Q104      9750      600          X                      N.A.     N.A.       N.A.
VAN KAMPEN PA QUALITY MUN TR           * 920924107     28917     1700          X                      N.A.     N.A.       N.A.
VAN KAMPEN SENIOR INCOME TRUST         * 920961109     10231     1300          X                      N.A.     N.A.       N.A.
VAN KAMPEN TR/INVT GRD FL MUNI FD      * 920932100     35000     2000          X                      N.A.     N.A.       N.A.
VAN KAMPEN TRUST INSURED MUNICIPAL     * 920928108     26745     1500                 X               N.A.     N.A.       N.A.
VAN KAMPEN TRUST INVESTMENT GRADE      * 920929106    546000    33600          X                      N.A.     N.A.       N.A.
VAN KAMPEN VALUE MUNICIPAL INCOME TR   * 921132106     51408     3400          X                      N.A.     N.A.       N.A.
ZWEIG FUND INC                         * 989834106     10702     1953          X                      N.A.     N.A.       N.A.
ZWEIG TOTAL RETURN FD INC              * 989837109     68068    11086          X                      N.A.     N.A.       N.A.
1838 BD DEB TRADING FD COM             * 282520105     19110      875          X                      N.A.     N.A.       N.A.
1838 BD DEB TRADING FD COM             * 282520105      8190      375                 X               N.A.     N.A.       N.A.






    ITEM 1                ITEM 2          ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7          ITEM 8
NAME OF ISSUER        TITLE OF CLASS   CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        WARRANTS & RIGHTS
        -----------------
                                                                                      
CHIQUITA BRANDS INTL WTS     3/15/09   * 170032114       337       95          X                      N.A.     N.A.       N.A.
CHIQUITA BRANDS INTL WTS     3/15/09   * 170032114       710      200                 X               N.A.     N.A.       N.A.
CITIGROUP INC LITIGTN WTS   12/31/50   * 172967127      2397     2350          X                      N.A.     N.A.       N.A.
DIME BANCORP WTS             1/01/59   * 25429Q110      2460    16400          X                      N.A.     N.A.       N.A.
DIME BANCORP WTS             1/01/59   * 25429Q110       514     3425                 X               N.A.     N.A.       N.A.
HARMONY GOLD MINING WTS      6/29/03   * 413216110       385       50                 X               N.A.     N.A.       N.A.
MAGNUM HUNTER RESOURCES WTS  3/21/05   * 55972F138       569     1580          X                      N.A.     N.A.       N.A.
MAGNUM HUNTER RESOURCES WTS  3/21/05   * 55972F138         3        8                 X               N.A.     N.A.       N.A.
MICROSTRATEGY INC WTS        6/24/07   * 594972119        50      226          X                      N.A.     N.A.       N.A.
MICROSTRATEGY INC WTS        6/24/07   * 594972119        22       98                 X               N.A.     N.A.       N.A.
NEW VALLEY CORP WTS          1/01/04   * 649080116     23920   217457          X                      N.A.     N.A.       N.A.
NEW VALLEY CORP WTS          1/01/04   * 649080116         0        1                 X               N.A.     N.A.       N.A.
ORBITAL SCIENCES CORP WTS    8/31/04   * 685564130       623      185          X                      N.A.     N.A.       N.A.
TOTAL S.A. ADR WTS                     * F9212D142     18328      632                 X               N.A.     N.A.       N.A.






    ITEM 1                ITEM 2          ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7          ITEM 8
NAME OF ISSUER        TITLE OF CLASS   CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        LIMITED PARTNERSHIPS
        --------------------
                                                                                         
ALLIANCE CAP MGMT HLDG L P UNIT LTD    * 01855A101    600608    16455          X                      N.A.     N.A.       N.A.
ALLIANCE CAP MGMT HLDG L P UNIT LTD    * 01855A101   2224967    60958                 X               N.A.     N.A.       N.A.
AMERICA FIRST TAX EXEMPT INVS L P      * 02364V107     14469     2018                 X               N.A.     N.A.       N.A.
AMERICAN INSURED MOTGAGE INV 86 L P    * 02686F103      3588     1250                 X               N.A.     N.A.       N.A.
AMERICAN REAL ESTATE PARTNERS L P      * 029169109      6150      500          X                      N.A.     N.A.       N.A.
AMERICAN REAL ESTATE PARTNERS L P      * 029169109     16261     1322                 X               N.A.     N.A.       N.A.
AMERIGAS PARTNERS L P                  * 030975106     23109      875          X                      N.A.     N.A.       N.A.
AMERIGAS PARTNERS L P                  * 030975106    152518     5775                 X               N.A.     N.A.       N.A.
BUCKEYE PARTNERS L P                   * 118230101    580852    14795          X                      N.A.     N.A.       N.A.
BUCKEYE PARTNERS L P                   * 118230101    914758    23300                 X               N.A.     N.A.       N.A.
CEDAR FAIR L P                         * 150185106    302400    10800          X                      N.A.     N.A.       N.A.
CEDAR FAIR L P                         * 150185106    156800     5600                 X               N.A.     N.A.       N.A.
ENBRIDGE ENERGY PARTNERS LP            * 29250R106    160226     3345          X                      N.A.     N.A.       N.A.
ENBRIDGE ENERGY PARTNERS LP            * 29250R106    491358    10258                 X               N.A.     N.A.       N.A.
ENTERPRISE PRODS PARTNERS L P          * 293792107     38301     1700          X                      N.A.     N.A.       N.A.
ENTERPRISE PRODS PARTNERS L P          * 293792107   1734810    77000                 X               N.A.     N.A.       N.A.
FERRELLGAS PARTNERS L P                * 315293100     44544     1964          X                      N.A.     N.A.       N.A.
GENESIS ENERGY L P                     * 371927104      3030      500          X                      N.A.     N.A.       N.A.
GULFTERRA ENERGY PARTNERS LP           * 40274U108    157630     4199          X                      N.A.     N.A.       N.A.
GULFTERRA ENERGY PARTNERS LP           * 40274U108    390416    10400                 X               N.A.     N.A.       N.A.
HALLWOOD REALTY PARTNERS L P           * 40636T203      1414       14          X                      N.A.     N.A.       N.A.
HERITAGE PROPANE PARTNERS L P          * 426918108     25560      800                 X               N.A.     N.A.       N.A.
INERGY LP                              * 456615103     77720     2000          X                      N.A.     N.A.       N.A.
KANEB PIPE LINE PARTNERS L P           * 484169107     66849     1535          X                      N.A.     N.A.       N.A.
KANEB PIPE LINE PARTNERS L P           * 484169107     87100     2000                 X               N.A.     N.A.       N.A.
KINDER MORGAN ENERGY PARTNERS L P      * 494550106    983574    24888          X                      N.A.     N.A.       N.A.
KINDER MORGAN ENERGY PARTNERS L P      * 494550106   2328597    58922                 X               N.A.     N.A.       N.A.
NEW ENGLAND RLTY ASSOC DEP RCPTS L P   * 644206104     22200      400          X                      N.A.     N.A.       N.A.
NEW ENGLAND RLTY ASSOC DEP RCPTS L P   * 644206104     52170      940                 X               N.A.     N.A.       N.A.
NEWHALL LD & FARMING CO CA L P         * 651426108    303710    10040                 X               N.A.     N.A.       N.A.
NORTHERN BORDER PARTNERS L P           * 664785102    169088     4050          X                      N.A.     N.A.       N.A.
NORTHERN BORDER PARTNERS L P           * 664785102   2317125    55500                 X               N.A.     N.A.       N.A.
PACIFIC ENERGY PARTNERS LP             * 69422R105    646250    25000                 X               N.A.     N.A.       N.A.
PHOSPHATE RESOURCE PARTNERS LTD        * 719217101      1008      800          X                      N.A.     N.A.       N.A.
PHOSPHATE RESOURCE PARTNERS LTD        * 719217101      2283     1812                 X               N.A.     N.A.       N.A.
PLAINS ALL AMERICAN PIPELINE L P       * 726503105     31480     1000          X                      N.A.     N.A.       N.A.
PLAINS ALL AMERICAN PIPELINE L P       * 726503105   1479560    47000                 X               N.A.     N.A.       N.A.
STAR GAS PARTNERS L P                  * 85512C105     55145     2510          X                      N.A.     N.A.       N.A.
SUBURBAN PROPANE PARTNERS L P          * 864482104    194046     6625          X                      N.A.     N.A.       N.A.
SUNOCO LOGISTICS PARTNERS L P          * 86764L108      7445      250          X                      N.A.     N.A.       N.A.
TC PIPELINE LP                         * 87233Q108     44220     1500          X                      N.A.     N.A.       N.A.
TC PIPELINE LP                         * 87233Q108    147400     5000                 X               N.A.     N.A.       N.A.
TEPPCO PARTNERS L P                    * 872384102    152988     4180          X                      N.A.     N.A.       N.A.
TEPPCO PARTNERS L P                    * 872384102   2466840    67400                 X               N.A.     N.A.       N.A.






    ITEM 1                ITEM 2          ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7          ITEM 8
NAME OF ISSUER        TITLE OF CLASS   CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        LIMITED PARTNERSHIPS
        --------------------
                                                                                         
VALERO LP                              * 91913W104      13038     300          X                      N.A.     N.A.       N.A.






    ITEM 1                ITEM 2          ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7          ITEM 8
NAME OF ISSUER        TITLE OF CLASS   CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        GRANTOR TRUST INTEREST
        ----------------------
                                                                                         
CITY INVESTING LIQUIDATING TR          * 177900107      1490      780           X                     N.A.     N.A.       N.A.
GREAT NORTHERN IRON ORE PPTYS COM      * 391064102     39125      500           X                     N.A.     N.A.       N.A.
GREAT NORTHERN IRON ORE PPTYS COM      * 391064102     15650      200                 X               N.A.     N.A.       N.A.
LL & E ROYALTY TR UNITS BEN INT        * 502003106       640      207           X                     N.A.     N.A.       N.A.
LL & E ROYALTY TR UNITS BEN INT        * 502003106       773      250                 X               N.A.     N.A.       N.A.
SABINE RTY TR UNIT BEN INT             * 785688102      5336      200           X                     N.A.     N.A.       N.A.
SAN JUAN BASIN ROYALTY TR              * 798241105    283072    15770                 X               N.A.     N.A.       N.A.
TEXAS PACIFIC LAND TRUST               * 882610108    186800     4000           X                     N.A.     N.A.       N.A.
TEXAS PACIFIC LAND TRUST               * 882610108     70050     1500                 X               N.A.     N.A.       N.A.






    ITEM 1                ITEM 2          ITEM 3      ITEM 4   ITEM 5         ITEM 6       ITEM 7          ITEM 8
NAME OF ISSUER        TITLE OF CLASS   CUSIP/TICKER   MARKET   SH/PV       INVEST AUTH      MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        UNIT INVESTMENT TRUSTS-EQUITY
        -----------------------------
                                                                                         
DIAMONDS TR UIT SER I                  * 252787106    1160558   12908          X                      N.A.     N.A.       N.A.
DIAMONDS TR UIT SER I                  * 252787106     252467    2808                 X               N.A.     N.A.       N.A.
EQUITY INC FD EXCH SER 1/AT&T MO       * 294700703     275643    3403          X                      N.A.     N.A.       N.A.
EQUITY INC FD EXCH SER 1/AT&T MO       * 294700703     567243    7003                 X               N.A.     N.A.       N.A.
NASDAQ-100 SHARES                      * 631100104    4219266  140877          X                      N.A.     N.A.       N.A.
NASDAQ-100 SHARES                      * 631100104     404774   13515                 X               N.A.     N.A.       N.A.
S & P 500 DEPOSITORY RECEIP 11/11/11   * 78462F103   67645386  692875          X                      N.A.     N.A.       N.A.
S & P 500 DEPOSITORY RECEIP 11/11/11   * 78462F103    4320420   44253                 X               N.A.     N.A.       N.A.






    ITEM 1                ITEM 2          ITEM 3      ITEM 4   ITEM 5     ITEM 6           ITEM 7          ITEM 8
NAME OF ISSUER        TITLE OF CLASS   CUSIP/TICKER   MARKET   SH/PV     INVEST AUTH        MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        REAL ESTATE INVESTMENT TRUSTS
        -----------------------------
                                                                                         
ALEXANDRIA REAL ESTATE EQUITIES        * 015271109   1901250    42250          X                      N.A.     N.A.       N.A.
AMB PROPERTY CORP REIT                 * 00163T109     28170     1000          X                      N.A.     N.A.       N.A.
AMB PROPERTY CORP REIT                 * 00163T109     84510     3000                 X               N.A.     N.A.       N.A.
AMLI RESIDENTIAL PPTYS TR              * 001735109    129525     5500          X                      N.A.     N.A.       N.A.
ANNALY MORTGAGE MANAGEMENT REIT        * 035710409   2198243   110409          X                      N.A.     N.A.       N.A.
ANNALY MORTGAGE MANAGEMENT REIT        * 035710409    473460    23780                 X               N.A.     N.A.       N.A.
APARTMENT INVT & MGMT CO CL A REIT     * 03748R101   1527071    44135          X                      N.A.     N.A.       N.A.
APARTMENT INVT & MGMT CO CL A REIT     * 03748R101    133556     3860                 X               N.A.     N.A.       N.A.
ARCHSTONE-SMITH TR COM                 * 039583109    992400    41350          X                      N.A.     N.A.       N.A.
ARCHSTONE-SMITH TR COM                 * 039583109    122760     5115                 X               N.A.     N.A.       N.A.
ARDEN REALTY GROUP INC COM             * 039793104     79667     3070          X                      N.A.     N.A.       N.A.
ARDEN REALTY GROUP INC COM             * 039793104     51900     2000                 X               N.A.     N.A.       N.A.
ASSOCIATED ESTATES RLTY CORP COM       * 045604105      1971      300          X                      N.A.     N.A.       N.A.
ASSOCIATED ESTATES RLTY CORP COM       * 045604105      6570     1000                 X               N.A.     N.A.       N.A.
AVALONBAY CMNTYS INC                   * 053484101   1545316    36241          X                      N.A.     N.A.       N.A.
AVALONBAY CMNTYS INC                   * 053484101     59483     1395                 X               N.A.     N.A.       N.A.
BEDFORD PPTY INVS INC COM              * 076446301     39760     1400                 X               N.A.     N.A.       N.A.
BOSTON PROPERTIES INC REIT             * 101121101   1804560    41200          X                      N.A.     N.A.       N.A.
BOSTON PROPERTIES INC REIT             * 101121101    624150    14250                 X               N.A.     N.A.       N.A.
BRANDYWINE REALTY TRUST COM            * 105368203     12310      500          X                      N.A.     N.A.       N.A.
BRE PPTYS INC CL A                     * 05564E106     78518     2365          X                      N.A.     N.A.       N.A.
BRE PPTYS INC CL A                     * 05564E106    109560     3300                 X               N.A.     N.A.       N.A.
CAMDEN PROPERTY TRUST                  * 133131102    157275     4500          X                      N.A.     N.A.       N.A.
CAMDEN PROPERTY TRUST                  * 133131102    606977    17367                 X               N.A.     N.A.       N.A.
CAPITAL AUTOMOTIVE REIT                * 139733109    844598    30175          X                      N.A.     N.A.       N.A.
CAPITAL AUTOMOTIVE REIT                * 139733109    128754     4600                 X               N.A.     N.A.       N.A.
CARRAMERICA RLTY CORP REIT             * 144418100    489456    17600          X                      N.A.     N.A.       N.A.
CARRAMERICA RLTY CORP REIT             * 144418100     70526     2536                 X               N.A.     N.A.       N.A.
CBL & ASSOCIATES PROPERTIES            * 124830100     60200     1400                 X               N.A.     N.A.       N.A.
CENTERPOINT PROPERTIES TRUST           * 151895109   1010625    16500          X                      N.A.     N.A.       N.A.
CHATEAU CMNTYS INC REIT                * 161726104      7398      250          X                      N.A.     N.A.       N.A.
CHELSEA PPTY GROUP INC COM             * 163421100   1086355    26950          X                      N.A.     N.A.       N.A.
CHELSEA PPTY GROUP INC COM             * 163421100    238031     5905                 X               N.A.     N.A.       N.A.
COLONIAL PPTYS TR COM SBI              * 195872106    591192    16800          X                      N.A.     N.A.       N.A.
CORNERSTONE RLTY INCOME TR REIT        * 21922V102      8041     1100                 X               N.A.     N.A.       N.A.
CORPORATE OFFICE PROPERTIES TR REIT    * 22002T108   4366247   257900          X                      N.A.     N.A.       N.A.
CORPORATE OFFICE PROPERTIES TR REIT    * 22002T108    208239    12300                 X               N.A.     N.A.       N.A.
CORRECTIONAL PROPERTIES TRST REIT      * 22025E104     14000      500          X                      N.A.     N.A.       N.A.
CORRECTIONAL PROPERTIES TRST REIT      * 22025E104     30800     1100                 X               N.A.     N.A.       N.A.
CRESCENT REAL ESTATE EQUITIES CO       * 225756105    141102     8495          X                      N.A.     N.A.       N.A.
CRESCENT REAL ESTATE EQUITIES CO       * 225756105     81389     4900                 X               N.A.     N.A.       N.A.
CROWN AMERN RLTY TR                    * 228186102     42960     4000                 X               N.A.     N.A.       N.A.
DEVELOPERS DIVERSIFIED RLTY CORP       * 251591103    255050     8968          X                      N.A.     N.A.       N.A.
DEVELOPERS DIVERSIFIED RLTY CORP       * 251591103    170924     6010                 X               N.A.     N.A.       N.A.






    ITEM 1                ITEM 2          ITEM 3      ITEM 4   ITEM 5     ITEM 6           ITEM 7          ITEM 8
NAME OF ISSUER        TITLE OF CLASS   CUSIP/TICKER   MARKET   SH/PV     INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-          SOLE      SHARED       NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        REAL ESTATE INVESTMENT TRUSTS
        -----------------------------
                                                                                        
DUKE REALTY CORP                       * 264411505    1513377   54932          X                      N.A.     N.A.       N.A.
DUKE REALTY CORP                       * 264411505     898075   32598                 X               N.A.     N.A.       N.A.
EASTGROUP PPTYS REIT                   * 277276101     109080    4040          X                      N.A.     N.A.       N.A.
EASTGROUP PPTYS REIT                   * 277276101      73872    2736                 X               N.A.     N.A.       N.A.
ENTERTAINMENT PROPERTIES TRUST REIT    * 29380T105     282469    9825          X                      N.A.     N.A.       N.A.
ENTERTAINMENT PROPERTIES TRUST REIT    * 29380T105      20125     700                 X               N.A.     N.A.       N.A.
EQUITY INNS INC COM                    * 294703103       6010     871          X                      N.A.     N.A.       N.A.
EQUITY INNS INC COM                    * 294703103      34500    5000                 X               N.A.     N.A.       N.A.
EQUITY OFFICE PPTYS TR REIT            * 294741103   15729219  582348          X                      N.A.     N.A.       N.A.
EQUITY OFFICE PPTYS TR REIT            * 294741103    5505475  203831                 X               N.A.     N.A.       N.A.
EQUITY ONE REIT                        * 294752100      57154    3485          X                      N.A.     N.A.       N.A.
EQUITY RESIDENTIAL TRUST               * 29476L107    3231164  124515          X                      N.A.     N.A.       N.A.
EQUITY RESIDENTIAL TRUST               * 29476L107     386396   14890                 X               N.A.     N.A.       N.A.
ESSEX PPTY TR INCCOM                   * 297178105     801500   14000          X                      N.A.     N.A.       N.A.
FEDERAL REALTY INVESTMENT TRUST        * 313747206      77376    2418          X                      N.A.     N.A.       N.A.
FEDERAL REALTY INVESTMENT TRUST        * 313747206      36800    1150                 X               N.A.     N.A.       N.A.
GABLES RESIDENTIAL TR                  * 362418105     483680   16000          X                      N.A.     N.A.       N.A.
GENERAL GROWTH PPTYS INC               * 370021107    2953037   47294          X                      N.A.     N.A.       N.A.
GENERAL GROWTH PPTYS INC               * 370021107     885087   14175                 X               N.A.     N.A.       N.A.
GLIMCHER RLTY TR REIT                  * 379302102      51520    2300          X                      N.A.     N.A.       N.A.
GREAT LAKES REIT INC COM               * 390752103      16000    1000                 X               N.A.     N.A.       N.A.
HANOVER CAPITAL MORTGAGE HOLDINGS      * 410761100      77836    6100                 X               N.A.     N.A.       N.A.
HEALTH CARE PPTY INVS INC              * 421915109    2260008   53365          X                      N.A.     N.A.       N.A.
HEALTH CARE PPTY INVS INC              * 421915109     157330    3715                 X               N.A.     N.A.       N.A.
HEALTH CARE REIT INC                   * 42217K106     134200    4400          X                      N.A.     N.A.       N.A.
HEALTHCARE RLTY TR REIT                * 421946104    6781718  232649          X                      N.A.     N.A.       N.A.
HEALTHCARE RLTY TR REIT                * 421946104     329687   11310                 X               N.A.     N.A.       N.A.
HIGHWOODS PPTYS INC REIT               * 431284108    2029478   91008          X                      N.A.     N.A.       N.A.
HIGHWOODS PPTYS INC REIT               * 431284108    1868406   83785                 X               N.A.     N.A.       N.A.
HOME PPTYS NY INC COM                  * 437306103     511191   14506          X                      N.A.     N.A.       N.A.
HOME PPTYS NY INC COM                  * 437306103     884524   25100                 X               N.A.     N.A.       N.A.
HOSPITALITY PPTYS TR                   * 44106M102     219063    7010          X                      N.A.     N.A.       N.A.
HOSPITALITY PPTYS TR                   * 44106M102     318750   10200                 X               N.A.     N.A.       N.A.
HRPT PPTYS TR COM SH BEN INT REIT      * 40426W101      10120    1100          X                      N.A.     N.A.       N.A.
HRPT PPTYS TR COM SH BEN INT REIT      * 40426W101     115920   12600                 X               N.A.     N.A.       N.A.
INDYMAC BANCORP INC                    * 456607100     137268    5400          X                      N.A.     N.A.       N.A.
INDYMAC BANCORP INC                    * 456607100      18811     740                 X               N.A.     N.A.       N.A.
INNKEEPERS USA TRUST                   * 4576J0104    3125280  459600          X                      N.A.     N.A.       N.A.
ISTAR FINL INC REIT                    * 45031U101    3063810   83940          X                      N.A.     N.A.       N.A.
ISTAR FINL INC REIT                    * 45031U101     269918    7395                 X               N.A.     N.A.       N.A.
JAMESON INNS INC COM                   * 470457102      11200    4000                 X               N.A.     N.A.       N.A.
KILROY REALTY CORP REIT                * 49427F108    4581500  166600          X                      N.A.     N.A.       N.A.
KILROY REALTY CORP REIT                * 49427F108      55000    2000                 X               N.A.     N.A.       N.A.






    ITEM 1                ITEM 2          ITEM 3      ITEM 4   ITEM 5     ITEM 6           ITEM 7          ITEM 8
NAME OF ISSUER        TITLE OF CLASS   CUSIP/TICKER   MARKET   SH/PV     INVEST AUTH        MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        REAL ESTATE INVESTMENT TRUSTS
        -----------------------------
                                                                                         
KIMCO REALTY CORP                      * 49446R109   1901329    50167          X                      N.A.     N.A.       N.A.
KIMCO REALTY CORP                      * 49446R109    227400     6000                 X               N.A.     N.A.       N.A.
KOGER EQUITY INC                       * 500228101     55136     3200          X                      N.A.     N.A.       N.A.
KOGER EQUITY INC                       * 500228101      7030      408                 X               N.A.     N.A.       N.A.
LA QUINTA CORP PAIRED REIT             * 50419U202      2586      600                 X               N.A.     N.A.       N.A.
LASALLE HOTEL PPTYS REIT               * 517942108     44340     3000                 X               N.A.     N.A.       N.A.
LEXINGTON CORPORATE PPTYS TR COM       * 529043101     54870     3100          X                      N.A.     N.A.       N.A.
LIBERTY PROPERTY TRUST                 * 531172104   1107892    32020          X                      N.A.     N.A.       N.A.
LIBERTY PROPERTY TRUST                 * 531172104    292370     8450                 X               N.A.     N.A.       N.A.
MACERICH CO REIT                       * 554382101   2214947    63050          X                      N.A.     N.A.       N.A.
MACERICH CO REIT                       * 554382101   2031041    57815                 X               N.A.     N.A.       N.A.
MACK CALI REALTY CORP REIT             * 554489104    145520     4000          X                      N.A.     N.A.       N.A.
MACK CALI REALTY CORP REIT             * 554489104    213914     5880                 X               N.A.     N.A.       N.A.
MANUFACTURED HOME CMNTYS INC           * 564682102    407276    11600          X                      N.A.     N.A.       N.A.
MID-AMER APT CMNTYS INC COM            * 59522J103     54020     2000          X                      N.A.     N.A.       N.A.
MID-AMER APT CMNTYS INC COM            * 59522J103      1783       66                 X               N.A.     N.A.       N.A.
MID-ATLANTIC RLTY TR                   * 595232109    132613     6333          X                      N.A.     N.A.       N.A.
NATIONWIDE HEALTH PPTYS INC COM        * 638620104     86819     5450          X                      N.A.     N.A.       N.A.
NATIONWIDE HEALTH PPTYS INC COM        * 638620104     15930     1000                 X               N.A.     N.A.       N.A.
NEW PLAN EXCEL RLTY TR INC REIT        * 648053106    117681     5512          X                      N.A.     N.A.       N.A.
NEW PLAN EXCEL RLTY TR INC REIT        * 648053106    108885     5100                 X               N.A.     N.A.       N.A.
PAN PAC RETAIL PPTYS INC REIT          * 69806L104    865700    22000          X                      N.A.     N.A.       N.A.
PAN PAC RETAIL PPTYS INC REIT          * 69806L104      6847      174                 X               N.A.     N.A.       N.A.
PENNSYLVANIA REAL ESTATE INVT TR SH    * 709102107      2246       75          X                      N.A.     N.A.       N.A.
PITTSBURGH & W VA RR                   * 724819107      8800     1000                 X               N.A.     N.A.       N.A.
PLUM CREEK TIMBER CO INC COM           * 729251108   2826085   108905          X                      N.A.     N.A.       N.A.
PLUM CREEK TIMBER CO INC COM           * 729251108   3801026   146475                 X               N.A.     N.A.       N.A.
POST PROPERTIES INC REIT               * 737464107    111300     4200          X                      N.A.     N.A.       N.A.
PRENTISS PROPERTIES TRUST REIT         * 740706106    383872    12800          X                      N.A.     N.A.       N.A.
PRENTISS PROPERTIES TRUST REIT         * 740706106     41986     1400                 X               N.A.     N.A.       N.A.
PROLOGIS SHS BEN INT REIT              * 743410102   2823093   103410          X                      N.A.     N.A.       N.A.
PROLOGIS SHS BEN INT REIT              * 743410102    117390     4300                 X               N.A.     N.A.       N.A.
PS BUSINESS PKS INC CALIF REIT         * 69360J107     72012     2040          X                      N.A.     N.A.       N.A.
PUBLIC STORAGE INC REIT                * 74460D109   1362556    40229          X                      N.A.     N.A.       N.A.
PUBLIC STORAGE INC REIT                * 74460D109     34209     1010                 X               N.A.     N.A.       N.A.
RAMCO-GERSHENSON PPTYS TR REIT         * 751452202     16566      711                 X               N.A.     N.A.       N.A.
REALTY INCOME CORP COM                 * 756109104      8873      233          X                      N.A.     N.A.       N.A.
RECKSON ASSOCS RLTY CORP CL B          * 75621K304      9585      450                 X               N.A.     N.A.       N.A.
RECKSON ASSOCS RLTY CORP REIT          * 75621K106    331674    15900          X                      N.A.     N.A.       N.A.
REDWOOD TR INC REIT                    * 758075402     31928      800                 X               N.A.     N.A.       N.A.
REGENCY CTRS CORP COM                  * 758849103   1742004    49800          X                      N.A.     N.A.       N.A.
REGENCY CTRS CORP COM                  * 758849103     34980     1000                 X               N.A.     N.A.       N.A.
RFS HOTEL INVS INC REIT                * 74955J108    101455     8235          X                      N.A.     N.A.       N.A.
RFS HOTEL INVS INC REIT                * 74955J108     12320     1000                 X               N.A.     N.A.       N.A.






    ITEM 1                ITEM 2          ITEM 3      ITEM 4   ITEM 5     ITEM 6           ITEM 7          ITEM 8
NAME OF ISSUER        TITLE OF CLASS   CUSIP/TICKER   MARKET   SH/PV     INVEST AUTH        MNGR   VOTING AUTH(SHARES)
                                                                       SOLE  SHRD-  SHRD-           SOLE      SHARED      NONE
C. OTHER                                                                     INSTR  OTHER
                                                                               V
        REAL ESTATE INVESTMENT TRUSTS
        -----------------------------
                                                                                         
SAUL CENTERS INC REIT                  * 804395101    102400     4000                 X               N.A.     N.A.       N.A.
SENIOR HSG PPTYS TR SH BEN INT         * 81721M109     12068      890                 X               N.A.     N.A.       N.A.
SHELBOURNE PROPERTIES II INC           * 821374105       244        8                 X               N.A.     N.A.       N.A.
SHURGARD STORAGE CTRS INC CL A COM     * 82567D104    777380    23500          X                      N.A.     N.A.       N.A.
SIMON PPTY GROUP INC NEW REIT          * 828806109   4228471   108339          X                      N.A.     N.A.       N.A.
SIMON PPTY GROUP INC NEW REIT          * 828806109    581352    14895                 X               N.A.     N.A.       N.A.
SL GREEN REALTY CORP REIT              * 78440X101   4767544   136645          X                      N.A.     N.A.       N.A.
SL GREEN REALTY CORP REIT              * 78440X101      2617       75                 X               N.A.     N.A.       N.A.
SOVRAN SELF STORAGE INC                * 84610H108     47250     1500          X                      N.A.     N.A.       N.A.
SOVRAN SELF STORAGE INC                * 84610H108      6300      200                 X               N.A.     N.A.       N.A.
STREETTRACKS DJ US S/C VALUE REIT      * 86330E406    101213      750                 X               N.A.     N.A.       N.A.
STREETTRACKS WILSHIRE REIT INDEX       * 86330E604    166140     1300                 X               N.A.     N.A.       N.A.
SUMMIT PPTYS INC                       * 866239106    104283     5050          X                      N.A.     N.A.       N.A.
SUN CMNTYS INC COM                     * 866674104      5895      150          X                      N.A.     N.A.       N.A.
TAUBMAN CTRS INC REIT                  * 876664103    510614    26650          X                      N.A.     N.A.       N.A.
TOWN & CTRY TR                         * 892081100     11625      500          X                      N.A.     N.A.       N.A.
TOWN & CTRY TR                         * 892081100     11625      500                 X               N.A.     N.A.       N.A.
TRANSCONTINENTAL RLTY INVS             * 893617209      2749      187          X                      N.A.     N.A.       N.A.
TRIZEC PROPERTIES INC REIT             * 89687P107     52302     4600          X                      N.A.     N.A.       N.A.
TRIZEC PROPERTIES INC REIT             * 89687P107     30153     2652                 X               N.A.     N.A.       N.A.
U S RESTAURANT PPTYS INC COM           * 902971100     67149     4277          X                      N.A.     N.A.       N.A.
U S RESTAURANT PPTYS INC COM           * 902971100     33049     2105                 X               N.A.     N.A.       N.A.
UNITED DOMINION RLTY TR INC            * 910197102    571652    33197          X                      N.A.     N.A.       N.A.
UNITED DOMINION RLTY TR INC            * 910197102    335790    19500                 X               N.A.     N.A.       N.A.
UNITED MOBILE HOMES INC                * 911024107    466701    30785          X                      N.A.     N.A.       N.A.
UNIVERSAL HEALTH RLTY INCOME TR SBI    * 91359E105   1905039    70557          X                      N.A.     N.A.       N.A.
UNIVERSAL HEALTH RLTY INCOME TR SBI    * 91359E105     74034     2742                 X               N.A.     N.A.       N.A.
URSTADT BIDDLE PPTYS INC CL A REIT     * 917286205     32664     2540          X                      N.A.     N.A.       N.A.
URSTADT BIDDLE PPTYS INC REIT          * 917286106     10640      800                 X               N.A.     N.A.       N.A.
VORNADO RLTY TR                        * 929042109   1454278    33355          X                      N.A.     N.A.       N.A.
VORNADO RLTY TR                        * 929042109    422746     9696                 X               N.A.     N.A.       N.A.
WASHINGTON REAL ESTATE INV TRUST       * 939653101    294984    10845          X                      N.A.     N.A.       N.A.
WASHINGTON REAL ESTATE INV TRUST       * 939653101    396168    14565                 X               N.A.     N.A.       N.A.
WEINGARTEN RLTY INVS SBI               * 948741103    139527     3330          X                      N.A.     N.A.       N.A.
WEINGARTEN RLTY INVS SBI               * 948741103    539253    12870                 X               N.A.     N.A.       N.A.






    ITEM 1               ITEM 2         ITEM 3       ITEM 4       ITEM 5        ITEM 6         ITEM 7         ITEM 8
NAME OF ISSUER       TITLE OF CLASS  CUSIP/TICKER    MARKET       SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED     NONE
C. OTHER                                                                         INSTR  OTHER
                                                                                   V
        ZERO COUPON BONDS
        -----------------
                                                                                          
AMERICA ONLINE     Z/CPN 12/06/19    * 02364JAC8        285525     470000                 X               N.A.      N.A.      N.A.
MOTOROLA INC       Z/CPN  9/07/09    * 620076AE9         36000      50000          X                      N.A.      N.A.      N.A.




    ITEM 1            ITEM 2         ITEM 3      ITEM 4        ITEM 5        ITEM 6            ITEM 7       ITEM 8
NAME OF ISSUER    TITLE OF CLASS  CUSIP/TICKER   MARKET        SH/PV       INVEST AUTH          MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
Active IQ
  Technologies     Common Stock   00505Q102      37,313       49,751       X                    01       49,751       0      0
Chubb Corp         Common Stock   171232101     353,880        5,898       X                    01        5,898       0      0
ICN
  Pharmaceuticals  Common Stock   448924100      45,939        2,741       X                    01        2,741       0      0
Protein Design
  Labs Inc.        Common Stock   74369L103     401,746       28,292       X                    01       28,292       0      0
S1 Corporation     Common Stock   78463B101   2,928,300      732,075       X                    01      732,075       0      0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
3COM CORPORATION           Common Stock  885535104     134,784     28,800          X                        28,800     0          0
3M CO                      Common Stock  88579Y101   6,954,860     53,922          X                        53,922     0          0
3COM CORP                  COMMON        885535104   4,822,000  1,032,515          X                     1,032,515     0          0
3M CO                      COMMON        88579Y101  61,730,000    478,605          X                       444,305     0     34,300
4 KIDS ENTMT INC           COMMON        350865101     316,000     17,000          X                        17,000     0          0
ABBOTT LABS                Common Stock  002824100  13,494,928    308,385          X                       308,385     0          0
ACCENTURE LTD.             Common Stock  G1150G111       3,075        170          X                           170     0          0
ACCREDO HAELTH INC         Common Stock  00437V104     389,130     17,850          X                        17,850     0          0
ACE LTD                    Common Stock  G0070K103      35,422      1,033          X                         1,033     0          0
ACTIVISION INC             Common Stock  004930202     624,036     48,300          X                        48,300     0          0
ACXIOM CORP                Common Stock  005125109   2,073,985    137,441          X                       137,441     0          0
ADC TELECOMMUNICATIONS
 INC                       Common Stock  000886101       7,133      3,064          X                         3,064     0          0
ADELPHIA BUSINESS
  SOLUT.CL B               Common Stock  006847206         413     19,695          X                        19,695     0          0
ADOBE SYSTEMS INC          Common Stock  00724F101   7,340,599    228,893          X                       228,893     0          0
ADOLOR CORP                Common Stock  00724X102     143,559     11,700          X                        11,700     0          0
ADVANCE AUTO PARTS         Common Stock  00751Y106   1,218,000     20,000          X                        20,000     0          0
ADVANCED FIBRE
  COMMUNICATION            Common Stock  00754A105   2,368,912    145,600          X                       145,600     0          0
ADVANCED MICRO DEVICES
  INC                      Common Stock  007903107       8,570      1,337          X                         1,337     0          0
AES CORP                   Common Stock  00130H105     455,460     71,726          X                        71,726     0          0
AETNA INC                  Common Stock  00817Y108  65,034,421  1,080,306          X                     1,080,306     0          0
AFFILIATED COMPUTER SVCS
  INC-A                    Common Stock  008190100  22,083,017    482,900          X                       482,900     0          0
AFLAC INC                  Common Stock  001055102   5,040,479    163,918          X                       163,918     0          0
AGCO CORP                  Common Stock  001084102     570,472     33,400          X                        33,400     0          0
AGERE SYSTEMS INC A        Common Stock  00845V100     297,310    127,601          X                       127,601     0          0
AGILENT TECHNOLOGIES INC   Common Stock  00846U101      36,617      1,873          X                         1,873     0          0
AIR PRODUCTS &
  CHEMICALS INC            Common Stock  009158106  38,200,947    918,292          X                       918,292     0          0
ALAMO GROUP INC            Common Stock  011311107     801,632     65,600          X                        65,600     0          0
ALBERTO CULVER CO
  CL B CONV                Common Stock  013068101   2,921,336     57,169          X                        57,169     0          0
ALBERTSONS INC             Common Stock  013104104      26,362      1,373          X                         1,373     0          0
ALCOA INC                  Common Stock  013817101      83,334      3,268          X                         3,268     0          0
ALCON INC                  Common Stock  H01301102   2,024,510     44,300          X                        44,300     0          0
ALEXANDRIA R E EQUITIES
  INC                      Common Stock  015271109     300,375      6,675          X                         6,675     0          0
ALLEGHENY ENERGY IN COM    Common Stock  017361106   1,393,126    164,867          X                       164,867     0          0
ALLEGHENY TECHNOLOGY INC   Common Stock  01741R102       1,861        282          X                           282     0          0
ALLEN TELECOM INC          Common Stock  018091108   2,065,000    125,000          X                       125,000     0          0
ALLERGAN INC               Common Stock  018490102      39,167        508          X                           508     0          0
ALLETE INC                 Common Stock  018522102   8,211,915    309,300          X                       309,300     0          0
ALLIANCE ATLANTIS
  COMMUNICATIO             Common Stock  01853E207   3,854,693    265,292          X                       265,292     0          0
ALLIANT TECHSYSTEMS INC    Common Stock  018804104   7,584,051    146,100          X                       146,100     0          0
ALLIED WASTE INDUSTRIES
  INC                      Common Stock  019589308       9,316        927          X                           927     0          0
ALLSTATE CORP              Common Stock  020002101      96,790      2,715          X                         2,715     0          0
ALLTEL CORP                Common Stock  020039103   1,988,737     41,243          X                        41,243     0          0
ALPHARMA INC               Common Stock  020813101   2,095,200     97,000          X                        97,000     0          0
ALTERA CORP                Common Stock  021441100     172,479     10,517          X                        10,517     0          0
ALTRIA GROUP INC           Common Stock  02209S103  29,776,196    655,286          X                       655,286     0          0
AMBAC FINANCIAL GROUP INC  Common Stock  023139108  63,721,900    961,840          X                       961,840     0          0
AMCOL INTERNATIONAL CORP   Common Stock  02341W103     767,200     95,900          X                        95,900     0          0
AMDOCS                     Common Stock  G02602103     595,200     24,800          X                        24,800     0          0
AMER INTERNATIONAL GROUP
  INC                      Common Stock  026874107 133,288,725  2,415,526          X                     2,415,526     0          0
AMERADA HESS CORP          Common Stock  023551104  16,595,398    337,442          X                       337,442     0          0
AMEREN CORP                Common Stock  023608102   8,312,982    188,503          X                       188,503     0          0
AMERICAN ELECTRIC
  POWER CO INC             Common Stock  025537101  48,374,744  1,621,681          X                     1,621,681     0          0
AMERICAN EXPRESS CO        Common Stock  025816109   4,864,384    116,345          X                       116,345     0          0
AMERICAN FINANCIAL
  REALTY TRUST             Common Stock  02607P305   1,789,200    120,000          X                       120,000     0          0
AMERICAN GREETINGS CL A    Common Stock  026375105   2,552,355    129,957          X                       129,957     0          0
AMERICAN HEALTHWAYS INC    Common Stock  02649V104     281,736      7,800          X                         7,800     0          0
AMERICAN ITALIAN PASTA
  CO A                     Common Stock  027070101     641,410     15,400          X                        15,400     0          0
AMERICAN MANAGEMENT
  SYSTEMS                  Common Stock  027352103   3,529,473    247,162          X                       247,162     0          0
AMERICAN MEDICAL SYSTEMS   Common Stock  02744M108     637,686     37,800          X                        37,800     0          0
AMERICAN POWER CONVERSION  Common Stock  029066107     177,617     11,393          X                        11,393     0          0
AMERICAN STANDARD COS INC  Common Stock  029712106      21,588        292          X                           292     0          0
AMERISOURCEBERGEN CORP     Common Stock  03073E108     937,057     13,512          X                        13,512     0          0
AMERUS GROUP CO            Common Stock  03072M108   1,319,292     46,800          X                        46,800     0          0
AMETEK INC                 Common Stock  031100100   5,955,625    162,500          X                       162,500     0          0
AMGEN INC                  Common Stock  031162100  57,231,017    861,394          X                       861,394     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
AMKOR TECHNOLOGY INC       Common Stock  031652100     107,748      8,200          X                         8,200     0          0
AMPHENOL CORP CL A         Common Stock  032095101  17,042,480    364,000          X                       364,000     0          0
AMR CORP                   Common Stock  001765106   8,378,700    761,700          X                       761,700     0          0
AMSOUTH BANCORP            Common Stock  032165102      28,283      1,295          X                         1,295     0          0
ANADARKO PETROLEUM         Common Stock  032511107   2,427,573     54,589          X                        54,589     0          0
ANALOG DEVICES             Common Stock  032654105  27,742,313    796,735          X                       796,735     0          0
ANALOGIC CORP              Common Stock  032657207   1,887,012     38,700          X                        38,700     0          0
ANDREW CORP                Common Stock  034425108  11,875,820  1,290,850          X                     1,290,850     0          0
ANDRX GROUP                Common Stock  034553107     427,850     21,500          X                        21,500     0          0
ANHEUSER BUSCH INC         Common Stock  035229103   1,733,811     33,963          X                        33,963     0          0
ANIXTER INTERNATIONAL INC  Common Stock  035290105   1,756,079     74,950          X                        74,950     0          0
ANTHEM INC                 Common Stock  03674B104  11,789,060    152,807          X                       152,807     0          0
AOL TIME WARNER            Common Stock  00184A105  31,083,708  1,931,865          X                     1,931,865     0          0
AON CORP                   Common Stock  037389103      29,642      1,231          X                         1,231     0          0
APACHE CORP                Common Stock  037411105   9,236,828    141,974          X                       141,974     0          0
APARTMENT INVT & MGMT
  CO-A                     Common Stock  03748R101     171,270      4,950          X                         4,950     0          0
APOLLO GROUP INC CL A      Common Stock  037604105   4,161,080     67,375          X                        67,375     0          0
APPLE COMPUTER INC         Common Stock  037833100      25,544      1,336          X                         1,336     0          0
APPLEBEES INTERNATIONAL
  INC                      Common Stock  037899101   1,049,762     33,400          X                        33,400     0          0
APPLERA CORP-APPLIED
  BIOSYS                   Common Stock  038020103      15,300        804          X                           804     0          0
APPLIED FILMS CORP         Common Stock  038197109     879,920     34,000          X                        34,000     0          0
APPLIED MATLS              Common Stock  038222105     110,528      6,969          X                         6,969     0          0
APPLIED MICRO CIRCUITS
  CORP                     Common Stock  03822W109     994,644    164,404          X                       164,404     0          0
APTARGROUP INC             Common Stock  038336103   2,246,400     62,400          X                        62,400     0          0
ARBITRON INC               Common Stock  03875Q108     774,690     21,700          X                        21,700     0          0
ARCHER DANIELS MIDLAND CO  Common Stock  039483102      31,158      2,421          X                         2,421     0          0
ARCHSTONE-SMITH TRUST      Common Stock  039583109     155,400      6,475          X                         6,475     0          0
ARMOR HOLDINGS INC         Common Stock  042260109   1,949,700    145,500          X                       145,500     0          0
ARROW ELECTRONICS INC      Common Stock  042735100   7,103,364    466,100          X                       466,100     0          0
ARTISAN COMPONENTS         Common Stock  042923102     474,810     21,000          X                        21,000     0          0
ASHLAND INC                Common Stock  044204105       8,468        276          X                           276     0          0
ASML HOLDING N.V.          Common Stock  N07059111     839,368     87,800          X                        87,800     0          0
ASTA FUNDING               Common Stock  046220109     196,800      8,200          X                         8,200     0          0
ASTRAZENECA PLC- SPONS
  ADR                      Common Stock  046353108   7,012,440    172,000          X                       172,000     0          0
AT & T WIRELESS SERVICES   Common Stock  00209A106     991,579    120,777          X                       120,777     0          0
AT&T CORP                  Common Stock  001957505   3,042,347    158,044          X                       158,044     0          0
ATLANTIC COAST AIRLINES
  HLDG                     Common Stock  048396105   2,545,644    188,706          X                       188,706     0          0
ATRIX LABORATIORIES INC    Common Stock  04962L101     431,004     19,600          X                        19,600     0          0
AU OPTRONICS CPRP-ADR      Common Stock  002255107     175,076     25,300          X                        25,300     0          0
AUTODESK INC               Common Stock  052769106       6,464        400          X                           400     0          0
AUTOMATIC DATA PROCESSING
  INC                      Common Stock  053015103      78,555      2,320          X                         2,320     0          0
AUTONATION INC             Common Stock  05329W102      15,783      1,004          X                         1,004     0          0
AUTOZONE INC               Common Stock  053332102      29,476        388          X                           388     0          0
AVALON BAY COMMUNITIES
  INC                      Common Stock  053484101   4,161,664     97,600          X                        97,600     0          0
AVAYA INC                  Common Stock  053499109       9,677      1,498          X                         1,498     0          0
AVERY DENNISON CORP        Common Stock  053611109   4,923,666     98,081          X                        98,081     0          0
AVOCENT CORPORATION        Common Stock  053893103     362,153     12,100          X                        12,100     0          0
AVON PRODUCTS INC          Common Stock  054303102  20,451,609    328,804          X                       328,804     0          0
AVX CORP                   Common Stock  002444107   7,192,955    654,500          X                       654,500     0          0
AFLAC INC                  US Common
                           Stock         001055102     190,650      6,200    X                                   0     0      6,200
ALCOA INC                  US Common
                           Stock         013817101     214,200      8,400    X                                   0     0      8,400
AMERICA MOVIL              US Common
                           Stock         02364W105      58,125      3,100    X                               3,100     0          0
AMERICAN INTERN            US Common
                           Stock         026874107     110,360      2,000    X                                   0     0      2,000
AMGEN INC                  US Common
                           Stock         031162100     164,850      2,500    X                                   0     0      2,500
ANALOG DEVICES             US Common
                           Stock         032654105     139,280      4,000    X                                   0     0      4,000
ARM HLDNGS-ADR             US Common
                           Stock         042068106      33,900     10,000    X                              10,000     0          0
AGCO CORP                  Common Stock  001084102     117,852      6,900          X                         6,900     0          0
AOL TIME WARNER            Common Stock  00184A105   1,721,630    107,000          X                       107,000     0          0
AT&T CORP                  Common Stock  001957505      19,250      1,000          X                         1,000     0          0
A T & T  WIRELESS
  SERVICES                 Common Stock  00209A106      13,210      1,609          X                         1,609     0          0
ABBOTT LAB                 Common Stock  002824100     862,072     19,700          X                        19,700     0          0
ACCREDO HEALTH INC         Common Stock  00437V104      80,105      3,700          X                         3,700     0          0
ACTIVISION COM NEW         Common Stock  004930202     125,970      9,750          X                         9,750     0          0
ADOLOR CORP                Common Stock  00724X102      29,448      2,400          X                         2,400     0          0
ADVANCE AUTO PARTS         Common Stock  00751Y106     249,690      4,100          X                         4,100     0          0
AGILENT TECH INC           Common Stock  00846U101      97,750      5,000          X                         5,000     0          0
ALCOA INC                  Common Stock  013817101   2,733,600    107,200          X                       107,200     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER           TITLE OF CLASS  CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
AMERICAN FINANCIAL REALTY
  TR                       Common Stock  02607P305     181,902     12,200          X                        12,200     0          0
AMERICAN INTL GROUP        Common Stock  026874107   4,682,685     84,862          X                        84,862     0          0
AMERICAN ITALIAN PAS       Common Stock  027070101     133,280      3,200          X                         3,200     0          0
AMERICAN MEDICAL SYS
  HLDGS                    Common Stock  02744M108     129,899      7,700          X                         7,700     0          0
AMGEN INC                  Common Stock  031162100   1,516,620     23,000          X                        23,000     0          0
ANALOG DEVICES             Common Stock  032654105   1,949,920     56,000          X                        56,000     0          0
ANIXTER INTL INC           Common Stock  035290105      82,005      3,500          X                         3,500     0          0
APPLEBEE'S INTL INC        Common Stock  037899101     213,724      6,800          X                         6,800     0          0
APPLIED FILMS CORP         Common Stock  038197109     178,572      6,900          X                         6,900     0          0
APPLIED MATERIALS          Common Stock  038222105     317,200     20,000          X                        20,000     0          0
ARBITRON INC               Common Stock  03875Q108     160,650      4,500          X                         4,500     0          0
ARTISAN COMPONENTS INC     Common Stock  042923102      97,223      4,300          X                         4,300     0          0
ASTA FUNDING INC           Common Stock  046220109     129,600      5,400          X                         5,400     0          0
ATRIX LABORATORIES         Common Stock 004962L101      87,960      4,000          X                         4,000     0          0
AVOCENT                    Common Stock  053893103      74,825      2,500          X                         2,500     0          0
A D C TELECOMMUNICATIONS   COMMON        000886101     133,000     58,000          X                        58,000     0          0
AMB PROPERTY CORP          COMMON        00163T109     282,000     10,000          X                        10,000     0          0
AOL TIME WARNER INC        COMMON        00184A105  64,181,000  3,988,876          X                     3,631,414     0    357,462
AT&T CORP                  COM NEW       001957505   6,184,000    321,240          X                       321,240     0          0
AT&T WIRELESS SVCS INC     COMMON        00209A106   6,228,000    758,600          X                       758,600     0          0
AU OPTRONICS CORP ADR      DEPOSITORY
                           RECEI         002255107   5,622,000    853,065          X                       853,065     0          0
ABBOTT LABS                COMMON        002824100  65,493,000  1,496,635          X                     1,393,135     0    103,500
ABGENIX INC                COMMON        00339B107   3,145,000    301,000          X                       301,000     0          0
ABITIBI-CONSOLIDATED INC   COMMON        003924107     449,000     70,000          X                        70,000     0          0
ACTIVISION INC NEW         COM NEW       004930202  17,700,000  1,375,275          X                     1,310,025     0     65,250
ADOBE SYS INC              COMMON        00724F101   9,887,000    308,300          X                       308,300     0          0
ADVANCED AUTO PARTS INC    COMMON        00751Y106  15,419,000    253,190          X                       241,490     0     11,700
ADVANCED DIGITAL INFORMA   COMMON        007525108   6,085,000    613,450          X                       585,050     0     28,400
ADVANTEST CORP-ADR         DEPOSITORY
                           RECEI         00762U101   1,848,000    165,000          X                       165,000     0          0
AETNA INC NEW              COMMON        00817Y108  11,537,000    191,645          X                       151,645     0     40,000
AGERE SYS INC              CL A          00845V100  10,752,000  4,614,675          X                     4,614,675     0          0
AGILENT TECHNOLOGIES INC   COMMON        00846U101     587,000     30,000          X                        30,000     0          0
AGILE SOFTWARE CORP DEL    COMMON        00846X105     104,000     10,800          X                        10,800     0          0
ALASKA AIR GROUP INC       COMMON        011659109     215,000     10,000          X                        10,000     0          0
ALBANY INTL CORP           CL A          012348108  17,902,000    653,354          X                       623,354     0     30,000
ALBERTO CULVER CO          CL B CONV     013068101  25,867,000    506,210          X                       506,210     0          0
ALCON INC                  COM SHS       H01301102   9,231,000    202,000          X                       202,000     0          0
ALEXANDER & BALDWIN INC    COMMON        014482103   1,044,000     40,000          X                        40,000     0          0
ALEXANDRIA REAL ESTATE E   COMMON        015271109  32,144,000    714,300          X                       714,300     0          0
ALLIANT ENERGY CORP        COMMON        018802108     518,000     27,240          X                        27,240     0          0
ALLSTATE CORP              COMMON        020002101   3,030,000     85,000          X                        85,000     0          0
ALTERA CORP                COMMON        021441100   5,932,000    361,055          X                       361,055     0          0
ALTRIA GROUP INC           COMMON        02209S103  49,598,000  1,091,505          X                     1,089,105     0      2,400
AMBAC FINL GROUP INC       COMMON        023139108  20,459,000    308,820          X                       308,820     0          0
AMDOCS LTD                 ORD           G02602103  45,688,000  1,903,670          X                     1,855,770     0     47,900
AMEREN CORP                COMMON        023608102  10,073,000    228,405          X                       168,205     0     60,200
AMERICAN ELEC PWR INC      COMMON        025537101     280,000      9,400          X                         9,400     0          0
AMERICAN EXPRESS CO        COMMON        025816109  74,797,000  1,788,970          X                     1,548,620     0    240,350
AMERICAN FINL RLTY TR      COMMON        02607P305   9,035,000    606,000          X                       606,000     0          0
AMERICAN INTL GROUP INC    COMMON        026874107  80,473,000  1,458,364          X                     1,344,039     0    114,325
AMERICAN PWR CONVERSION    COMMON        029066107   5,678,000    363,765          X                       363,765     0          0
AMERICAN SHARED HOSPITAL   COMMON        029595105     128,000     25,545          X                        25,545     0          0
AMERICAN STS WTR CO        COMMON        029899101   2,962,000    108,500          X                       108,500     0          0
AMERISTAR CASINOS INC      COMMON        03070Q101  14,604,000    684,400          X                       651,200     0     33,200
AMERISOURCEBERGEN CORP     COMMON        03073E105  27,361,000    394,535          X                       394,535     0          0
AMGEN INC                  COMMON        031162100  90,335,000  1,369,963          X                     1,297,832     0     72,131
AMKOR TECHNOLOGY INC       COMMON        031652100   6,351,000    482,625          X                       482,625     0          0
AMPHENOL CORP NEW          CL A          032095101  63,382,000  1,353,748          X                     1,299,972     0     53,776
ANADARKO PETE CORP         COMMON        032511107  14,815,000    333,153          X                       333,153     0          0
ANALOG DEVICES INC         COMMON        032654105  15,627,000    448,800          X                       448,800     0          0
ANDREW CORP                COMMON        034425108     280,000     30,000          X                        30,000     0          0
ANDRX CORP DEL             ANDRX GROUP   034553107  37,359,000  1,872,648          X                     1,814,848     0     57,800
ANHEUSER BUSCH COS INC     COMMON        035229103   7,089,000    138,870          X                       138,870     0          0
ANTHEM INC                 COMMON        03674B104  25,657,000    332,562          X                       332,562     0          0
AON CORP                   COMMON        037389103  13,508,000    560,970          X                       483,400     0     77,570
APACHE CORP                COMMON        037411105  56,503,000    868,469          X                       799,093     0     69,376
APARTMENT INVT & MGMT CO   CL A          03748R101  17,859,000    516,150          X                       516,150     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
APHTON CORP                COMMON        03759P101     165,000     20,000          X                        20,000     0          0
APPLERA CORP               COM AP
                           BIO GRP       038020103  14,783,000    776,825          X                       658,025     0    118,800
APPLIED MATLS INC          COMMON        038222105   4,204,000    265,400          X                       265,400     0          0
APPLIED MICRO CIRCUITS C   COMMON        03822W109   4,450,000    736,700          X                       736,700     0          0
AQUILA INC                 COMMON        03840P102     258,000    100,000          X                       100,000     0          0
ARCHER DANIELS MIDLAND C   COMMON        039483102   6,358,000    494,000          X                       494,000     0          0
ARCHSTONE SMITH TR         COMMON        039583109  16,976,000    707,346          X                       707,346     0          0
ART TECHNOLOGY GROUP INC   COMMON        04289L107     176,000    110,000          X                       110,000     0          0
ASML HLDG NV               DEPOSITORY
                           RECEI         N07059111   3,874,000    404,800          X                       404,800     0          0
ATHEROGENICS INC           COMMON        047439104  10,329,000    691,834          X                       658,634     0     33,200
ATLANTIC COAST AIRLINES    COMMON        048396105   8,427,000    633,100          X                       602,600     0     30,500
ATMEL CORP                 COMMON        049513104   1,156,000    455,000          X                       455,000     0          0
AUTODESK INC               COMMON        052769106  19,231,000  1,189,300          X                     1,148,600     0     40,700
AUTOLIV INC                COMMON        052800109  19,230,000    710,101          X                       678,271     0     31,830
AUTOMATIC DATA PROCESSIN   COMMON        053015103   4,791,000    141,500          X                       141,500     0          0
AVALONBAY CMNTYS INC       COMMON        053484101  21,878,000    513,075          X                       513,075     0          0
AVERY DENNISON CORP        COMMON        053611109   3,012,000     60,000          X                        60,000     0          0
AVNET INC                  COMMON        053807103   3,277,000    258,475          X                       258,475     0          0
AXCELIS TECHNOLOGIES INC   COMMON        054540109   1,130,000    185,000          X                       185,000     0          0
BAKER HUGHES INC           Common Stock  057224107  39,366,263  1,172,662          X                     1,172,662     0          0
BALL CORP                  Common Stock  058498106       8,647        190          X                           190     0          0
BALLY TOTAL FITNESS
  HLDG CORP                Common Stock  05873K108   2,246,664    248,800          X                       248,800     0          0
BANCFIRST CORPORATION      Common Stock  05945F103     847,911     16,350          X                        16,350     0          0
BANCORPSOUTH               Common Stock  059692103   2,514,510    120,600          X                       120,600     0          0
BANK NEW YORK INC          Common Stock  064057102  37,710,311  1,311,663          X                     1,311,663     0          0
BANK OF AMERICA CORP       Common Stock  060505104  85,234,961  1,078,514          X                     1,078,514     0          0
BANK OF GRANITE
  CORPORATION              Common Stock  062401104   1,964,041    115,193          X                       115,193     0          0
BANK ONE                   Common Stock  06423A103  45,373,505  1,220,374          X                     1,220,374     0          0
BANKNORTH GROUP INC        Common Stock  06646R107  14,046,208    550,400          X                       550,400     0          0
BANTA CORPORATION          Common Stock  066821109   2,278,848     70,400          X                        70,400     0          0
BARD (CR) INC              Common Stock  067383109      15,189        213          X                           213     0          0
BARR LABORATORIES INC      Common Stock  068306109     753,250     11,500          X                        11,500     0          0
BARRICK GOLD CORP          Common Stock  067901108  31,128,100  1,739,000          X                     1,739,000     0          0
BASSETT FURNITURE
  INDUSTRIES               Common Stock  070203104   1,914,166    144,139          X                       144,139     0          0
BAUSCH & LOMB INC          Common Stock  071707103       6,713        179          X                           179     0          0
BAXTER INTERNATIONAL INC   Common Stock  071813109      59,982      2,307          X                         2,307     0          0
BAYCORP HOLDINGS LTD       Common Stock  072728108          42          3          X                             3     0          0
BB&T CORP                  Common Stock  054937107      62,735      1,829          X                         1,829     0          0
BEAR STEARNS COMPANIES
  INC                      Common Stock  073902108  12,680,163    175,092          X                       175,092     0          0
BEAZER HOMES USA INC       Common Stock  07556Q105   5,369,050     64,300          X                        64,300     0          0
BECKMAN COULTER INC        Common Stock  075811109   3,421,888     84,200          X                        84,200     0          0
BECTON DICKINSON & CO      Common Stock  075887109   9,067,551    233,399          X                       233,399     0          0
BED BATH & BEYOND INC      Common Stock  075896100   4,904,691    126,377          X                       126,377     0          0
BELLSOUTH CORP             Common Stock  079860102  84,474,328  3,172,149          X                     3,172,149     0          0
BEMIS CO INC               Common Stock  081437105       9,266        198          X                           198     0          0
BENCHMARK ELECTRONICS      Common Stock  08160H101   5,822,868    189,300          X                       189,300     0          0
BERKSHIRE HATHAWAY IN
  CL A                     Common Stock  084670108  49,517,500        683          X                           683     0          0
BEST BUY CO INC            Common Stock  086516101      55,383      1,261          X                         1,261     0          0
BIG LOTS INC               Common Stock  089302103       6,031        401          X                           401     0          0
BIO-RAD LABORATORIES CL A  Common Stock  090572207     763,830     13,800          X                        13,800     0          0
BIOGEN INC                 Common Stock  090597105      78,774      2,073          X                         2,073     0          0
BIOMARIN PHARMACEUTICAL
  INC                      Common Stock  09061G101     345,504     35,400          X                        35,400     0          0
BIOMET INC                 Common Stock  090613100  15,812,209    551,717          X                       551,717     0          0
BIOVAIL CORP               Common Stock  09067J109   4,263,636     90,600          X                        90,600     0          0
BJ SERVICES CO             Common Stock  055482103  13,998,082    374,681          X                       374,681     0          0
BLACK & DECKER CORP        Common Stock  091797100      12,079        278          X                           278     0          0
BLACK BOX CORPORATION      Common Stock  091826107   2,063,400     57,000          X                        57,000     0          0
BLUE RHINO                 Common Stock  095811105     580,316     48,400          X                        48,400     0          0
BMC SOFTWARE INC           Common Stock  055921100     262,292     16,062          X                        16,062     0          0
BOEING CO                  Common Stock  097023105     111,197      3,240          X                         3,240     0          0
BOISE CASCADE CORP         Common Stock  097383103   4,566,095    191,050          X                       191,050     0          0
BORDERS GROUP INC          Common Stock  099709107  10,786,125    612,500          X                       612,500     0          0
BORG WARNER AUTO           Common Stock  099724106   2,472,960     38,400          X                        38,400     0          0
BORLAND SOFTWARE CORP      Common Stock  099849101     854,875     87,500          X                        87,500     0          0
BOSTON PRIVATE
  FINANCIAL HOLD           Common Stock  101119105     385,764     18,300          X                        18,300     0          0
BOSTON PROPERTIES INC      Common Stock  101121101   4,695,360    107,200          X                       107,200     0          0
BOSTON SCIENTIFIC CORP     Common Stock  101137107  42,536,415    696,177          X                       696,177     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
BOWATER INC                Common Stock  102183100  21,157,378    564,950          X                       564,950     0          0
BOYKIN LODGING             Common Stock  103430104   1,394,640    178,800          X                       178,800     0          0
BP P.L.C.                  Common Stock  055622104  60,543,130  1,440,817          X                     1,440,817     0          0
BRADLEY PHARMACEUTICALS    Common Stock  104576103   4,702,500    285,000          X                       285,000     0          0
BRIGGS & STRATTON CORP     Common Stock  109043109   5,145,950    101,900          X                       101,900     0          0
BRINK'S CO/THE             Common Stock  109696104  11,832,297    812,100          X                       812,100     0          0
BRINKER INTERNATIONAL INC  Common Stock  109641100  21,966,797    609,850          X                       609,850     0          0
BRISTOL-MYERS SQUIBB CO    Common Stock  110122108  33,612,867  1,238,043          X                     1,238,043     0          0
BROADCOM CORP CL A         Common Stock  111320107   2,377,435     95,441          X                        95,441     0          0
BROCADE COMMUNICATIONS
  SYT                      Common Stock  111621108     846,982    143,800          X                       143,800     0          0
BROOKS AUTOMATION INC      Common Stock  114340102     810,810     71,500          X                        71,500     0          0
BROWN FORMAN CORP CL B     Common Stock  115637209      18,161        231          X                           231     0          0
BRUNSWICK CORP             Common Stock  117043109       9,783        391          X                           391     0          0
BRYN MAWR BANK CORP        Common Stock  117665109   2,637,716     71,155          X                        71,155     0          0
BUILDING MATERIAL
  HOLDING CORP             Common Stock  120113105   1,149,893     77,643          X                        77,643     0          0
BURLINGTON NORTHERN
  SANTA FE                 Common Stock  12189T104      39,901      1,403          X                         1,403     0          0
BURLINGTON RESOURCES INC   Common Stock  122014103      44,932        831          X                           831     0          0
BP AMOCO PLC-SPONS         Common Stock  055622104      55,550      1,322          X                         1,322     0          0
BAXTER INTL INC            Common Stock  071813109   2,899,000    111,500          X                       111,500     0          0
BEAZER HOMES USA INC       Common Stock  07556Q105     150,300      1,800          X                         1,800     0          0
BIO-RAD LABORATORIES-CL A  Common Stock  090572207     160,515      2,900          X                         2,900     0          0
BIOMARIN PHARM INC         Common Stock  09061G101      68,320      7,000          X                         7,000     0          0
BLUE RHINO CORP            Common Stock  095811105     119,900     10,000          X                        10,000     0          0
BORLAND SOFTWARE CORP      Common Stock  099849101     178,791     18,300          X                        18,300     0          0
BOSTON PRIVATE FINL HLDGS  Common Stock  101119105     101,184      4,800          X                         4,800     0          0
BOSTON SCIENTIFIC CO       Common Stock  101137107   2,444,000     40,000          X                        40,000     0          0
BRISTOL MYERS SQUIBB       Common Stock  110122108     678,750     25,000          X                        25,000     0          0
BROOKS AUTOMATION INC      Common Stock  114340102     196,182     17,300          X                        17,300     0          0
BANCO SANT-ADR             US Common
                           Stock         05964H105     190,512     21,600    X                              21,600     0          0
BANCO SANTA ADR            US Common
                           Stock         05965X109      71,435      3,500    X                               3,500     0          0
BAXTER INTERNAT            US Common
                           Stock         071813109     165,100      6,350    X                                   0     0      6,350
BIOMET INC                 US Common
                           Stock         090613100     157,850      5,500    X                                   0     0      5,500
BP AMOCO ADR               US Common
                           Stock         055622104     169,845      4,042    X                              70,343     0          0
BISYS GROUP INC            COMMON        055472104  30,675,000  1,669,819          X                     1,621,919     0     47,900
BJ SVCS CO                 COMMON        055482103  46,071,000  1,233,165          X                     1,175,365     0     57,800
BP PLC                     DEPOSITORY
                           RECEI         055622104  16,241,000    386,500          X                       386,500     0          0
BMC SOFTWARE INC           COMMON        055921100  10,560,000    646,645          X                       646,645     0          0
BANCO BRADESCO S A         DEPOSITORY
                           RECEI         059460204     374,000     20,000          X                        20,000     0          0
BANCO ITAU HLDG FINANCIE   DEPOSITORY
                           RECEI         059602201     678,000     20,000          X                        20,000     0          0
BANK OF AMERICA CORP       COMMON        060505104  59,295,000    750,285          X                       622,285     0    128,000
BANK NEW YORK INC          COMMON        064057102   6,256,000    217,600          X                       217,600     0          0
BANK ONE CORP              COMMON        06423A103  35,329,000    950,219          X                       837,369     0    112,850
BANNER CORP                COMMON        06652V109     410,000     20,000          X                        20,000     0          0
BARRICK GOLD CORP          COMMON        067901108   6,671,000    372,700          X                       372,700     0          0
BARR LABS INC              COMMON        068306109  27,181,000    414,972          X                       414,972     0          0
BAUSCH & LOMB INC          COMMON        071707103   3,158,000     84,200          X                        84,200     0          0
BAXTER INTL INC            COMMON        071813109     538,000     20,700          X                        20,700     0          0
BEA SYS INC                COMMON        073325102  15,625,000  1,434,835          X                     1,290,135     0    144,700
BEAR STEARNS COS INC       COMMON        073902108   5,821,000     80,375          X                        16,875     0     63,500
BECTON DICKINSON & CO      COMMON        075887109  48,281,000  1,242,760          X                     1,121,060     0    121,700
BED BATH & BEYOND INC      COMMON        075896100  32,004,000    824,420          X                       824,420     0          0
BELLSOUTH CORP             COMMON        079860102  31,427,000  1,180,125          X                       987,425     0    192,700
BELO CORP                  COM SER A     080555105   3,041,000    136,000          X                       136,000     0          0
BENCHMARK ELECTRS INC      COMMON        08160H101  22,141,000    719,800          X                       685,000     0     34,800
BERKSHIRE HATHAWAY INC D   CL B          084670207  18,565,000      7,640          X                         7,640     0          0
BIOGEN INC                 COMMON        090597105  17,259,000    454,545          X                       413,145     0     41,400
BIOJECT MED TECH INC       COM NEW       09059T206     330,000     82,408          X                        82,408     0          0
BIOVAIL CORP               COMMON        09067J109  36,018,000    765,365          X                       765,365     0          0
BORDERS GROUP INC          COMMON        099709107   5,028,000    285,500          X                       285,500     0          0
BOSTON PROPERTIES INC      COMMON        101121101  22,289,000    508,875          X                       508,875     0          0
BOSTON SCIENTIFIC CORP     COMMON        101137107  40,934,000    669,956          X                       669,956     0          0
BOWATER INC                COMMON        102183100  32,917,000    878,950          X                       878,950     0          0
BOYD GAMING CORP           COMMON        103304101   9,992,000    578,900          X                       550,900     0     28,000
BRINKER INTL INC           COMMON        109641100  17,180,000    476,955          X                       476,955     0          0
BRISTOL MYERS SQUIBB CO    COMMON        110122108  42,734,000  1,573,995          X                     1,381,245     0    192,750
BROADCOM CORP              CL A          111320107  20,741,000    832,650          X                       744,250     0     88,400
BROCADE COMMUNICATIONS S   COMMON        111621108   3,871,000    655,000          X                       655,000     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
BURLINGTON RES INC         COMMON        122014103   1,292,000     23,900          X                        23,900     0          0
CABLE DESIGN
  TECHNOLOGIES CORP        Common Stock  126924109   1,273,415    178,100          X                       178,100     0          0
CABLE SATISFACTION -WTS    +Warrant 1.0  126934116         155     15,480          X                        15,480     0          0
CABOT MICROELECTRONICS
  CORP                     Common Stock  12709P103   4,209,198     83,400          X                        83,400     0          0
CALIFORNIA PIZZA KITCHEN   Common Stock  13054D109     662,200     30,800          X                        30,800     0          0
CALPINE CORPORATION        Common Stock  131347106      10,072      1,526          X                         1,526     0          0
CAMPBELL SOUP CO           Common Stock  134429109      39,641      1,618          X                         1,618     0          0
CAPITAL ONE FINANCIAL
  CORP.                    Common Stock  14040H105      42,639        867          X                           867     0          0
CAPITOL BANCORP LTD.       Common Stock  14056D105   1,403,211     51,779          X                        51,779     0          0
CARDINAL HEALTH INC        Common Stock  14149Y108     112,139      1,744          X                         1,744     0          0
CAREMARK RX INC            Common Stock  141705103   3,398,748    132,350          X                       132,350     0          0
CARLISLE COS INC           Common Stock  142339100  18,554,616    440,100          X                       440,100     0          0
CARNIVAL CORP              Common Stock  143658300  26,421,852    812,730          X                       812,730     0          0
CARPENTER TECHNOLOGY CORP  Common Stock  144285103   2,258,880    144,800          X                       144,800     0          0
CARRAMERICA REALTY CORP    Common Stock  144418100      75,087      2,700          X                         2,700     0          0
CARRIER 1 INTL-WTS         +Warrant 1.0  144500113          64      6,351          X                         6,351     0          0
CASCADE NATURAL GAS CORP   Common Stock  147339105   1,266,330     66,300          X                        66,300     0          0
CASELLA WASTE SYSTEMS      Common Stock  147448104   2,985,562    330,627          X                       330,627     0          0
CASH AMERICA INTERNATIONAL
  INC                      Common Stock  14754D100   4,019,409    304,040          X                       304,040     0          0
CATELLUS DEVELOPMENT CORP  Common Stock  149111106      80,300      3,650          X                         3,650     0          0
CATERPILLAR INC            Common Stock  149123101  39,871,150    716,334          X                       716,334     0          0
CBRL GROUP INC             Common Stock  12489V106   3,019,422     77,700          X                        77,700     0          0
CDW CORP                   Common Stock  12512N105     336,630      7,350          X                         7,350     0          0
CEDAR FAIR LP              Common Stock  150185106   6,070,400    216,800          X                       216,800     0          0
CELESTICA INC              Common Stock  15101Q108  22,710,160  1,441,000          X                     1,441,000     0          0
CENDANT CORP               Common Stock  151313103  22,077,359  1,205,096          X                     1,205,096     0          0
CENTERPOINT ENERGY INC     Common Stock  15189T107   1,497,913    183,793          X                       183,793     0          0
CENTERPOINT PROPERTIES
  CORP                     Common Stock  151895109     157,719      2,575          X                         2,575     0          0
CENTEX CONSTRUCTION
  PRODUCTS                 Common Stock  15231R109   2,694,048     67,200          X                        67,200     0          0
CENTEX CORP                Common Stock  152312104      19,448        250          X                           250     0          0
CENTRAL GARDEN & PET CO    Common Stock  153527106   2,253,587     94,490          X                        94,490     0          0
CENTRAL VERMONT PUBLIC
  SERV CO                  Common Stock  155771108   3,000,925    153,500          X                       153,500     0          0
CENTURY BUSINESS SERVICES  Common Stock  156490104   1,184,157    364,356          X                       364,356     0          0
CENTURYTEL INC             Common Stock  156700106   5,812,562    166,788          X                       166,788     0          0
CH ENERGY GROUP INC        Common Stock  12541M102   4,639,500    103,100          X                       103,100     0          0
CHARLES RIVER
  LABORATORIES             Common Stock  159864107     778,756     24,200          X                        24,200     0          0
CHARLES SCHWAB CORP        Common Stock  808513105      52,771      5,230          X                         5,230     0          0
CHARTER ONE FIN INC        Common Stock  160903100  15,064,180    483,136          X                       483,136     0          0
CHECK POINT  SOFTWARE
  TECH                     Common Stock  M22465104     160,310      8,200          X                         8,200     0          0
CHECKPOINT SYSTEMS INC     Common Stock  162825103   1,631,495    115,300          X                       115,300     0          0
CHELSEA PROPERTY GROUP
  INC                      Common Stock  163421100     148,139      3,675          X                         3,675     0          0
CHEMICAL FINANCIAL CORP    Common Stock  163731102   3,406,200    114,302          X                       114,302     0          0
CHEVRONTEXACO CORP         Common Stock  166764100     299,702      4,151          X                         4,151     0          0
CHICAGO BRIDGE &
  IRON COMPANY - NY SHR    Common Stock  167250109   2,622,262    115,620          X                       115,620     0          0
CHICO'S FAS INC            Common Stock  168615102  12,175,320    578,400          X                       578,400     0          0
CHIRON CORP                Common Stock  170040109      32,353        740          X                           740     0          0
CHITTENDEN CORP            Common Stock  170228100   3,599,260    131,600          X                       131,600     0          0
CHOICEPOINT INC            Common Stock  170388102     253,722      7,350          X                         7,350     0          0
CHUBB CORP                 Common Stock  171232101   9,648,780    160,813          X                       160,813     0          0
CIENA CORP                 Common Stock  171779101      10,479      2,019          X                         2,019     0          0
CIGNA CORP                 Common Stock  125509109      26,521        565          X                           565     0          0
CINCINNATI FINANCIAL CORP  Common Stock  172062101   5,937,849    160,093          X                       160,093     0          0
CINERGY CORP               Common Stock  172474108   7,906,097    214,898          X                       214,898     0          0
CINTAS CORP                Common Stock  172908105      24,170        682          X                           682     0          0
CIPHERGEN BIOSYSTEMS INC   Common Stock  17252Y104     403,850     39,400          X                        39,400     0          0
CIRCUIT CITY STORES
  CIRCUIT                  Common Stock  172737108       5,914        672          X                           672     0          0
CISCO SYSTEMS INC          Common Stock  17275R102  67,919,838  4,069,493          X                     4,069,493     0          0
CITIGROUP INC              Common Stock  172967101 240,379,780  5,616,350          X                     5,616,350     0          0
CITIZENS COMMUNICATIONS
 CO                        Common Stock  17453B101      13,908      1,079          X                         1,079     0          0
CITIZENS UTILITIES 5%
  CONV PRF                 Preferred
                           Stock         177351202   5,250,000    100,000          X                       100,000     0          0
CITRIX SYSTEMS INC         Common Stock  177376100      13,458        661          X                           661     0          0
CITY NATIONAL CORP         Common Stock  178566105  16,456,008    369,300          X                       369,300     0          0
CLEAR CHANNEL
  COMMUNICATIONS           Common Stock  184502102  31,956,380    753,866          X                       753,866     0          0
CLEVELAND ELEC ILL
  ARP SER L                Preferred
                           Stock         186108502   6,597,500     65,000          X                        65,000     0          0
CLOROX CO                  Common Stock  189054109      35,229        826          X                           826     0          0
CMS ENERGY CORP            Common Stock  125896100   1,544,670    190,700          X                       190,700     0          0
CNF INC                    Common Stock  12612W104   6,964,272    274,400          X                       274,400     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
COACH INC                  Common Stock  189754104  16,911,600    340,000          X                       340,000     0          0
COBALT CORP                Common Stock  19074W100     606,225     29,500          X                        29,500     0          0
COCA COLA CO               Common Stock  191216100  60,804,618  1,310,162          X                     1,310,162     0          0
COCA COLA ENTERPRISES INC  Common Stock  191219104      32,761      1,805          X                         1,805     0          0
COGNIZANT TECH SOLUTIONS
  CRP                      Common Stock  192446102     623,616     25,600          X                        25,600     0          0
COHO ENERGY INC            Common Stock  192481208           0        750          X                           750     0          0
COLGATE-PALMOLIVE CO       Common Stock  194162103     120,188      2,074          X                         2,074     0          0
COMCAST CORP - CL A        Common Stock  20030N101     261,359      8,660          X                         8,660     0          0
COMCAST CORP - SPECIAL
  CL A                     Common Stock  20030N200   9,562,911    331,700          X                       331,700     0          0
COMERICA INC               Common Stock  200340107      31,992        688          X                           688     0          0
COMFORT SYSTEMS USA INC    Common Stock  199908104     819,903    311,750          X                       311,750     0          0
COMMERCE GRP INC           Common Stock  200641108   2,121,320     58,600          X                        58,600     0          0
COMMERCIAL CAPITAL
  BANCORP                  Common Stock  20162L105     219,505     14,300          X                        14,300     0          0
COMMUNITY FIRST
  BANKSHARES               Common Stock  203902101   2,477,475     90,750          X                        90,750     0          0
COMMUNITY HEALTH
  SYSTEMS INC              Common Stock  203668108     254,628     13,200          X                        13,200     0          0
COMMUNITY TRUST BANCORP    Common Stock  204149108   1,669,196     63,856          X                        63,856     0          0
COMPUCREDIT CO             Common Stock  20478N100     812,106     66,840          X                        66,840     0          0
COMPUTER ASSOCIATES        Common Stock  204912109      49,885      2,239          X                         2,239     0          0
COMPUTER HORIZONS CORP     Common Stock  205908106     738,027    162,561          X                       162,561     0          0
COMPUTER SCIENCES CORP     Common Stock  205363104   2,769,075     72,641          X                        72,641     0          0
COMPUWARE CORP             Common Stock  205638109       8,863      1,536          X                         1,536     0          0
COMSTOCK RESOURCES INC     Common Stock  205768203     440,496     32,200          X                        32,200     0          0
COMVERSE TECHNOLOGY INC    Common Stock  205862402   3,376,279    224,636          X                       224,636     0          0
CONAGRA FOODS INC          Common Stock  205887102  68,690,302  2,910,606          X                     2,910,606     0          0
CONCORD EFS INC            Common Stock  206197105   3,955,617    268,724          X                       268,724     0          0
CONOCOPHILLIPS             Common Stock  20825C104  74,033,320  1,350,973          X                     1,350,973     0          0
CONSOLIDATED EDISON INC    Common Stock  209115104  62,914,405  1,453,660          X                     1,453,660     0          0
CONSOLIDATED GRAPHICS INC  Common Stock  209341106   3,140,280    137,250          X                       137,250     0          0
CONSTELLATION ENERGY
  GROUP                    Common Stock  210371100   7,337,044    213,908          X                       213,908     0          0
CONVERGYS CORP             Common Stock  212485106      10,880        680          X                           680     0          0
COOPER INDUSTRIES LTD      Common Stock  G24182100      16,479        399          X                           399     0          0
COOPER TIRE & RUBBER CO    Common Stock  216831107       5,277        300          X                           300     0          0
COORS (ADOLPH) CL B        Common Stock  217016104       6,318        129          X                           129     0          0
CORN PRODUCTS INTL INC     Common Stock  219023108   3,849,846    128,200          X                       128,200     0          0
CORNING INC                Common Stock  219350105      36,019      4,874          X                         4,874     0          0
CORPORATE EXECUTIVE BOARD  Common Stock  21988R102   1,053,156     25,800          X                        25,800     0          0
CORUS BANKSHARES INC       Common Stock  220873103   2,949,387     60,900          X                        60,900     0          0
COST PLUS INC/CALIFORNIA   Common Stock  221485105     624,050     17,500          X                        17,500     0          0
COSTCO COS INC             Common Stock  22160K105      64,819      1,771          X                         1,771     0          0
COUNTRYWIDE FINANCIAL
  CORP                     Common Stock  222372104      34,576        497          X                           497     0          0
COUSINS PROPERTIES INC     Common Stock  222795106     435,240     15,600          X                        15,600     0          0
COVENANT TRANSPORT         Common Stock  22284P105   1,794,350    105,550          X                       105,550     0          0
COX RADIO INC-CL A         Common Stock  224051102     391,715     16,950          X                        16,950     0          0
CRANE CO                   Common Stock  224399105       5,658        250          X                           250     0          0
CRAY INC                   Common Stock  225223106     734,700     93,000          X                        93,000     0          0
CROSS COUNTRY INC          Common Stock  227483104   1,841,324    139,600          X                       139,600     0          0
CROSSROADS SYSTEMS INC     Common Stock  22765D100     281,229    166,506          X                       166,506     0          0
CROWN HOLDINGS INC         Common Stock  228368106     346,290     48,500          X                        48,500     0          0
CSC HOLDING PIK PFD
  11.75%                   Preferred
                           Stock         126304609   9,603,720     93,240          X                        93,240     0          0
CSC HOLDINGS PIK PFD
  11.125%                  Preferred
                           Stock         126304401   4,793,929     46,543          X                        46,543     0          0
CSX CORP                   Common Stock  126408103      25,968        863          X                           863     0          0
CULLEN/FROST BANKERS INC   Common Stock  229899109   6,031,590    187,900          X                       187,900     0          0
CUMMINS INC                Common Stock  231021106       6,460        180          X                           180     0          0
CUNO INCORPORATED          Common Stock  126583103     649,257     17,975          X                        17,975     0          0
CVS CORP                   Common Stock  126650100      41,877      1,494          X                         1,494     0          0
CYMER INC                  Common Stock  232572107     476,949     14,900          X                        14,900     0          0
CYTEC INDUSTRIES INC       Common Stock  232820100   4,701,580    139,100          X                       139,100     0          0
CUNO INC                   Common Stock  126583103     119,196      3,300          X                         3,300     0          0
CALIF PIZZA KITCHEN        Common Stock  13054D109     139,750      6,500          X                         6,500     0          0
CARDINAL HEALTH            Common Stock  14149Y108      77,160      1,200          X                         1,200     0          0
CARNIVAL CORP              Common Stock  143658300   1,836,250     56,500          X                        56,500     0          0
CATERPILLAR INC            Common Stock  149123101   4,052,048     72,800          X                        72,800     0          0
CHARLES RIVER
  LABORATORIES             Common Stock  159864107     170,554      5,300          X                         5,300     0          0
CHICAGO BRIDGE & IRON-NY
  SHR                      Common Stock  167250109     113,400      5,000          X                         5,000     0          0
CHICOS FAS INC             Common Stock  168615102     210,500     10,000          X                        10,000     0          0
CIPHERGEN                  Common Stock  17252Y104      82,000      8,000          X                         8,000     0          0
CISCO SYSTEMS INC          Common Stock  17275R102   5,919,943    354,700          X                       354,700     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
CITIGROUP INC              Common Stock  172967101   8,217,643    192,001          X                       192,001     0          0
CLEAR CHANNEL COMMUN       Common Stock  184502102     847,800     20,000          X                        20,000     0          0
COACH INC                  Common Stock  189754104     248,700      5,000          X                         5,000     0          0
COBALT CORP                Common Stock  19074W100     123,300      6,000          X                         6,000     0          0
COCA-COLA                  Common Stock  191216100     159,138      3,429          X                         3,429     0          0
COGNIZANT TECH SOL         Common Stock  192446102     126,672      5,200          X                         5,200     0          0
COLGATE PALMOLIVE          Common Stock  194162103     156,465      2,700          X                         2,700     0          0
COLUMBIA SPECIAL FD        Mutual Fund   198513103     110,210      6,521          X                         6,521     0          0
COMCAST CORP-CL A          Common Stock  20030N101      48,801      1,617          X                         1,617     0          0
COMMERCIAL CAPITAL
  BANCORP                  Common Stock  20162L105      42,980      2,800          X                         2,800     0          0
COMSTOCK RESOURCES         Common Stock  205768203      82,080      6,000          X                         6,000     0          0
CONCORD EFS INC            Common Stock  206197105   1,523,520    103,500          X                       103,500     0          0
CORNING INC                Common Stock  219350105      88,680     12,000          X                        12,000     0          0
CORPORATE EXECUTIVE        Common Stock  21988R102     126,542      3,100          X                         3,100     0          0
COST PLUS                  Common Stock  221485105     128,376      3,600          X                         3,600     0          0
CRAY INC                   Common Stock  225223106     154,050     19,500          X                        19,500     0          0
CROWN HOLDINGS INC         Common Stock  228368106      69,258      9,700          X                         9,700     0          0
CYMER INC                  Common Stock  232572107      99,231      3,100          X                         3,100     0          0
CANON INC ADR              US Common
                           Stock         138006309     164,340      3,600    X                               3,600     0          0
CARNIVAL CORP              US Common
                           Stock         143658300     130,040      4,000    X                                   0     0      4,000
CATERPILLAR INC            US Common
                           Stock         149123101     111,320      2,000    X                                   0     0      2,000
CHECK POINT SOF            US Common
                           Stock         M22465104      78,000      4,000    X                              17,200     0          0
CIA VALE DO ADR            US Common
                           Stock         204412100      61,050      2,200    X                               2,200     0          0
CISCO SYSTEMS I            US Common
                           Stock         17275R102     152,789      9,100    X                                   0     0      9,100
CITIGROUP INC              US Common
                           Stock         172967101     321,000      7,500    X                                   0     0      7,500
CO DE BEB -ADR             US Common
                           Stock         20441W203      40,700      2,000    X                               2,000     0          0
COMCAST CORP-SP            US Common
                           Stock         20030N200     115,960      4,000    X                                   0     0      4,000
CORNING INC                US Common
                           Stock         219350105      93,853     12,700    X                                   0     0     12,700
C D W CORP                 COMMON        12512N105  11,588,000    252,965          X                       252,965     0          0
CMG STRATEGIC EQUITY FD    COMMON        125747766 277,315,000 23,763,033          X                    23,518,521     0    244,511
CMG SMALL/MID CAP FUND     MUTUAL FUND   125747774  69,881,000  8,670,151          X                     8,652,909     0     17,241
CMG SMALL CAP FUND         COMMON        125747816 271,255,000 60,819,448          X                    60,718,074     0    101,374
CMG INTERNATIONAL STK FD   COMMON        125747881  18,539,000  1,844,654          X                     1,816,221     0     28,433
CTC DOMESTIC COMMON STK    COMMON        125994103  20,425,000  1,031,012          X                     1,031,012     0          0
CABOT MICROELECTRONICS C   COMMON        12709P103  19,539,000    387,450          X                       387,450     0          0
CACI INTL INC              CL A          127190304  13,545,000    394,900          X                       375,800     0     19,100
CAL DIVE INTL INC          COMMON        127914109  15,628,000    717,537          X                       682,937     0     34,600
CALGON CARBON CORP         COMMON        129603106     532,000     92,500          X                        92,500     0          0
CALIFORNIA PIZZA KITCHEN   COMMON        13054D109   4,102,000    190,000          X                       190,000     0          0
CALIFORNIA WTR SVC GROUP   COMMON        130788102   3,082,000    109,600          X                       109,600     0          0
CALPINE CORP               COMMON        131347106  11,220,000  1,699,950          X                     1,622,650     0     77,300
CAMPBELL SOUP CO           COMMON        134429109   1,632,000     66,600          X                        66,600     0          0
CANADIAN NATL RY CO        COMMON        136375102     965,000     20,000          X                        20,000     0          0
CANON INC                  DEPOSITORY
                           RECEI         138006309   3,743,000     82,000          X                        82,000     0          0
CAPITAL ONE FINL CORP      COMMON        14040H105   1,064,000     21,635          X                        21,635     0          0
CARDINAL HEALTH INC        COMMON        14149Y108   1,254,000     19,500          X                        19,500     0          0
CAREER EDUCATION CORP      COMMON        141665109   4,472,000     65,483          X                        63,231     0      2,252
CAREMARK RX INC            COMMON        141705103 113,842,000  4,433,103          X                     4,238,303     0    194,800
CARMAX INC                 COMMON        143130102  13,295,000    440,977          X                       440,977     0          0
CARNIVAL CORP              PAIRED CTF    143658300  22,465,000    691,030          X                       611,330     0     79,700
CARRAMERICA RLTY CORP      COMMON        144418100   8,251,000    296,675          X                       296,675     0          0
CATELLUS DEV CORP          COMMON        149111106   9,143,000    415,600          X                       415,600     0          0
CATERPILLAR INC DEL        COMMON        149123101  20,940,000    376,216          X                       376,216     0          0
CELESTICA INC              SUB VTG SHS   15101Q108   8,392,000    532,500          X                       532,500     0          0
CENDANT CORP               COMMON        151313103  24,721,000  1,349,425          X                     1,349,425     0          0
CENTERPOINT PPTYS TR       COMMON        151895109  16,952,000    276,775          X                       276,775     0          0
CENTRAL PKG CORP           COMMON        154785109     494,000     40,000          X                        40,000     0          0
CENTRAL VALLEY CMNTY BAN   COMMON        155685100     429,000     25,261          X                        25,261     0          0
CERNER CORP                COMMON        156782104  10,046,000    440,600          X                       419,300     0     21,300
CHEESECAKE FACTORY INC     COMMON        163072101   1,742,000     48,600          X                        48,600     0          0
CHECK POINT SOFTWARE TEC   ORD           M22465104   5,740,000    294,350          X                       294,350     0          0
CHELSEA PPTY GROUP INC     COMMON        163421100  16,169,000    401,125          X                       401,125     0          0
CHESAPEAKE ENERGY CORP     COMMON        165167107  15,856,000  1,569,900          X                     1,499,100     0     70,800
CHEVRONTEXACO CORP         COMMON        166764100     289,000      4,000          X                         4,000     0          0
CHICAGO BRIDGE & IRON CO   DEPOSITORY
                           RECEI         167250109  19,821,000    873,952          X                       839,652     0     34,300
CHICOS FAS INC             COMMON        168615102  20,314,000    965,015          X                       965,015     0          0
CHINA PETE & CHEM CORP     DEPOSITORY
                           RECEI         16941R108   2,415,000    100,000          X                       100,000     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
CHOICEPOINT INC            COMMON        170388102  12,896,000    373,579          X                       373,579     0          0
CHUBB CORP                 COMMON        171232101  36,679,000    611,310          X                       514,210     0     97,100
CIMA LABS INC              COMMON        171796105  13,547,000    503,800          X                       479,500     0     24,300
CIMAREX ENERGY CO          COMMON        171798101   4,506,000    189,740          X                       189,740     0          0
CINERGY CORP               COMMON        172474108     257,000      6,975          X                         6,975     0          0
CIRCUIT CITY STORE INC     COMMON        172737108   1,100,000    125,000          X                       125,000     0          0
CISCO SYS INC              COMMON        17275R102  91,888,000  5,472,759          X                     5,227,769     0    244,990
CINTAS CORP                COMMON        172908105   5,784,000    163,250          X                       163,250     0          0
CITIGROUP INC              COMMON        172967101 191,700,000  4,478,969          X                     4,019,952     0    459,017
CITIGROUP INC              *W EXP
                           99/99/999     172967101   7,417,000    173,300          X                       173,300     0          0
CITRIX SYS INC             COMMON        177376100  10,819,000    531,400          X                       506,700     0     24,700
CLEAR CHANNEL COMMUNICAT   COMMON        184502102  43,486,000  1,025,864          X                       972,339     0     53,525
COBALT CORP                COMMON        19074W100  11,253,000    547,600          X                       521,100     0     26,500
COCA COLA CO               COMMON        191216100  37,532,000    808,715          X                       808,715     0          0
COCA COLA ENTERPRISES IN   COMMON        191219104   1,452,000     80,000          X                        80,000     0          0
COCA-COLA FEMSA S A DE C   DEPOSITORY
                           RECEI         191241108   2,795,000    130,000          X                       130,000     0          0
COCA COLA HELLENIC BTLG    GREECE        G44207234   1,406,000     85,000          X                        85,000     0          0
COGNIZANT TECHNOLOGY SOL   CL A          192446102  25,230,000  1,034,450          X                       986,150     0     48,300
COLUMBIA BKG SYS INC       COMMON        197236102   2,299,000    128,000          X                       128,000     0          0
COLUMBIA COMMON STOCK FD   COMMON        197384100     429,000     26,123          X                        26,123     0          0
COLUMBIA GROWTH FUND       COMMON        197666100   1,050,000     44,617          X                        44,617     0          0
COLUMBIA INT'L STOCK FD    COMMON        197755101   2,502,000    230,998          X                       230,998     0          0
COLUMBIA REAL ESTATE FD    COMMON        198297103     926,000     47,092          X                        47,092     0          0
COLUMBIA SMALL CAP FUND    COMMON        198430100   2,991,000    151,454          X                       151,454     0          0
COLUMBIA SPECIAL FUND      COMMON        198513103   2,516,000    148,864          X                       148,864     0          0
COLUMBIA STRATEGIC VALUE   FUND          198526105     718,000     48,019          X                        48,019     0          0
COLUMBIA TECHNOLOGY FUND   COMMON        198545105     112,000     22,295          X                        22,295     0          0
COMCAST CORP NEW           CL A          20030N101  24,029,000    796,175          X                       715,672     0     80,503
COMCAST CORP NEW           CL A SPL      20030N200     580,000     20,000          X                        20,000     0          0
COMERICA INC               COMMON        200340107   2,627,000     56,500          X                        56,500     0          0
COMMUNITY HEALTH SYS INC   COMMON        203668108  25,262,000  1,309,580          X                     1,268,980     0     40,600
COMPANHIA DE BEBIDAS DAS   DEPOSITORY
                           RECEI         20441W203   3,460,000    170,000          X                       170,000     0          0
COMPANIA DE MINAS BUENAV   DEPOSITORY
                           RECEI         204448104     978,000     32,500          X                        32,500     0          0
COMPUTER ASSOC INTL INC    COMMON        204912109  10,350,000    464,540          X                       377,440     0     87,100
COMPUTER SCIENCES CORP     COMMON        205363104   2,419,000     63,450          X                        63,450     0          0
COMVERSE TECHNOLOGY INC    COM PAR $0.10 205862402  12,136,000    808,500          X                       808,500     0          0
CONAGRA FOODS INC          COMMON        205887102     465,000     19,700          X                        19,700     0          0
CONCORD EFS INC            COMMON        206197105  19,204,000  1,304,600          X                     1,304,600     0          0
CONCUR TECHNOLOGIES INC    COMMON        206708109     253,000     25,000          X                        25,000     0          0
CONNETICS CORP             COMMON        208192104  21,789,000  1,452,600          X                     1,382,900     0     69,700
CONOCOPHILLIPS             COMMON        20825C104  35,070,000    639,961          X                       564,634     0     75,327
CONSOL ENERGY INC          COMMON        20854P109   3,834,000    168,600          X                       168,600     0          0
CONSOLIDATED EDISON INC    COMMON        209115104  18,082,000    417,800          X                       312,900     0    104,900
CONVERGYS CORP             COMMON        212485106   2,881,000    180,050          X                       180,050     0          0
COOPER CAMERON CORP        COMMON        216640102     504,000     10,000          X                        10,000     0          0
COOPER INDS LTD            CL A          G24182100  12,497,000    302,600          X                       302,600     0          0
COPART INC                 COMMON        217204106   2,041,000    216,000          X                       216,000     0          0
CORE LABORATORIES N V      COMMON        N22717107   1,728,000    160,000          X                       160,000     0          0
CORINTHIAN COLLEGES INC    COMMON        218868107  21,173,000    438,277          X                       417,277     0     21,000
CORN PRODS INTL INC        COMMON        219023108   2,027,000     67,500          X                        67,500     0          0
CORNING INC                COMMON        219350105   2,494,000    337,500          X                       337,500     0          0
CORPORATE EXECUTIVE BRD    COMMON        21988R102  30,683,000    751,663          X                       725,043     0     26,620
CORVIS CORP                COMMON        221009103   5,616,000  3,873,100          X                     3,693,100     0    180,000
COST PLUS INC CALIF        COMMON        221485105  10,822,000    303,406          X                       288,806     0     14,600
COUSINS PPTYS INC          COMMON        222795106  52,371,000  1,877,100          X                     1,877,100     0          0
COVENTRY HEALTH CARE INC   COMMON        222862104  25,410,000    550,475          X                       524,575     0     25,900
COX RADIO INC              CL A          224051102  12,436,000    538,115          X                       538,115     0          0
CREDENCE SYS CORP          COMMON        225302108  15,965,000  1,858,500          X                     1,769,100     0     89,400
CRESCENT REAL ESTATE EQU   COMMON        225756105   2,762,000    166,300          X                       166,300     0          0
CTI MOLECULAR IMAGING IN   COMMON        22943D105  10,765,000    577,202          X                       549,502     0     27,700
CUMMINS INC                COMMON        231021106   2,602,000     72,500          X                        72,500     0          0
CURAGEN CORP               COMMON        23126R101     267,000     50,300          X                        50,300     0          0
DANA CORP                  Common Stock  235811106       5,468        473          X                           473     0          0
DANAHER CORP               Common Stock  235851102      40,626        597          X                           597     0          0
DARDEN RESTURANTS INC      Common Stock  237194105   6,762,024    356,271          X                       356,271     0          0
DATACRAFT ASIA LTD         Common Stock  624683SDL     368,000    368,000          X                       368,000     0          0
DAVITA INC                 Common Stock  23918K108     334,750     12,500          X                        12,500     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
DEAN FOODS                 Common Stock  242370104  35,749,350  1,134,900          X                     1,134,900     0          0
DEERE & CO                 Common Stock  244199105   5,259,933    115,097          X                       115,097     0          0
DELL COMPUTER CORPORATION  Common Stock  247025109  46,168,713  1,444,578          X                     1,444,578     0          0
DELPHI CORP                Common Stock  247126105  42,718,509  4,950,001          X                     4,950,001     0          0
DELPHI FINANCIAL GROUP
  CLASS A                  Common Stock  247131105   3,809,146     81,392          X                        81,392     0          0
DELTA AIR LINES INC        Common Stock  247361108       5,872        400          X                           400     0          0
DELTA APPAREL INC          Common Stock  247368103     865,313     53,250          X                        53,250     0          0
DELUXE CORP                Common Stock  248019101      10,618        237          X                           237     0          0
DENBURY RESOURCES INC      Common Stock  247916208   2,419,415    180,150          X                       180,150     0          0
DEVON ENERGY CORPORATION   Common Stock  25179M103   6,533,116    122,343          X                       122,343     0          0
DIGITAL RIVER INC          Common Stock  25388B104     714,100     37,000          X                        37,000     0          0
DILLARDS INC CL A          Common Stock  254067101       4,337        322          X                           322     0          0
DIME COMMUNITY BANCSHARES  Common Stock  253922108   1,023,090     40,200          X                        40,200     0          0
DOBSON COMM PIK PFD
  12.25%                   Preferred
                           Stock         256072307   5,505,390      5,561          X                         5,561     0          0
DOCTOR REDDY'S LAB- ADR    Common Stock  256135203   1,438,227     61,700          X                        61,700     0          0
DOLLAR GENERAL CORP        Common Stock  256669102      22,095      1,210          X                         1,210     0          0
DOLLAR THRIFTY
  AUTOMOTIVE GP            Common Stock  256743105     448,910     24,200          X                        24,200     0          0
DOLLAR TREE STORES INC     Common Stock  256747106      95,190      3,000          X                         3,000     0          0
DOMINION RESOURCES INC     Common Stock  25746U109  17,491,081    272,150          X                       272,150     0          0
DONNELLEY (RR) & SONS CO   Common Stock  257867101      12,573        481          X                           481     0          0
DOVER CORP                 Common Stock  260003108  28,779,276    960,590          X                       960,590     0          0
DOW CHEMICAL CO            Common Stock  260543103     108,793      3,514          X                         3,514     0          0
DOW JONES & CO INC         Common Stock  260561105      12,264        285          X                           285     0          0
DRESS BARN                 Common Stock  261570105   1,571,346    124,021          X                       124,021     0          0
DRS TECHNOLOGIES           Common Stock  23330X100     834,808     29,900          X                        29,900     0          0
DSP GROUP INC              Common Stock  23332B106     434,906     20,200          X                        20,200     0          0
DST SYSTEMS INC            Common Stock  233326107   6,327,000    166,500          X                       166,500     0          0
DTE ENERGY CO              Common Stock  233331107   9,591,569    248,229          X                       248,229     0          0
DUKE ENERGY                Common Stock  264399106  57,483,152  2,881,361          X                     2,881,361     0          0
DUKE REALTY CORPORATION    Common Stock  264411505     191,473      6,950          X                         6,950     0          0
DUPONT PHOTOMASKS INC      Common Stock  26613X101   1,933,163    102,664          X                       102,664     0          0
DYNEGY INC                 Common Stock  26816Q101     204,540     48,700          X                        48,700     0          0
DPL INC                    Common Stock  233293109      23,910      1,500          X                         1,500     0          0
DRS TECHNOLOGIES-INC       Common Stock  23330X100     173,104      6,200          X                         6,200     0          0
DSP GROUP INC              Common Stock  23332B106      86,120      4,000          X                         4,000     0          0
DELL COMPUTER              Common Stock  247025109   2,917,948     91,300          X                        91,300     0          0
DIGITAL RIVER INC          Common Stock  25388B104     150,540      7,800          X                         7,800     0          0
DIME COMMUNITY BANCSHARES  Common Stock  253922108     239,230      9,400          X                         9,400     0          0
DOLLAR THRIFTY
  AUTOMOTIVE GP            Common Stock  256743105      98,315      5,300          X                         5,300     0          0
DELL COMPUTER C            US Common
                           Stock         247025109      76,416      2,400    X                                   0     0      2,400
DIAGEO PLC-ADR             US Common
                           Stock         25243Q205     231,928      5,300    X                               5,300     0          0
DR. REDDY -ADR             US Common
                           Stock         256135203     272,727     11,700    X                           1,119,780     0    207,500
DPL INC                    COMMON        233293109     564,000     35,400          X                        35,400     0          0
D R HORTON INC             COMMON        23331A109     629,000     22,370          X                        22,370     0          0
DTE ENERGY CO              COMMON        233331107  25,743,000    666,220          X                       532,620     0    133,600
DANAHER CORP DEL           COMMON        235851102     407,000      5,980          X                         5,980     0          0
DARDEN RESTAURANTS INC     COMMON        237194105  14,319,000    754,420          X                       754,420     0          0
DAVITA INC                 COMMON        23918K108  45,402,000  1,695,381          X                     1,637,318     0     58,063
DEAN FOODS CO NEW          COMMON        242370104  12,252,000    388,940          X                       388,940     0          0
DEERE & CO                 COMMON        244199105  32,575,000    712,795          X                       610,195     0    102,600
DEL MONTE FOODS CO         COMMON        24522P103     995,000    112,522          X                       112,522     0          0
DELL COMPUTER CORP         COMMON        247025109  43,834,000  1,376,695          X                     1,376,695     0          0
DELTA & PINE LD CO         COMMON        247357106   1,583,000     72,000          X                        72,000     0          0
DEVON ENERGY CORP NEW      COMMON        25179M103  13,393,000    250,805          X                       206,805     0     44,000
DILLARDS INC               CL A          254067101   4,028,000    299,000          X                       299,000     0          0
DOBSON COMMUNICATIONS CO   CL A          256069105   6,555,000  1,243,900          X                     1,184,800     0     59,100
DOCUMENTUM INC             COMMON        256159104  21,088,000  1,076,443          X                     1,024,253     0     52,190
DOLLAR GEN CORP            COMMON        256669102  25,367,000  1,389,190          X                     1,193,290     0    195,900
DOLLAR TREE STORES INC     COMMON        256747106   6,649,000    209,300          X                       209,300     0          0
DONNELLEY R R & SONS CO    COMMON        257867101     366,000     14,000          X                        14,000     0          0
DOT HILL SYS CORP          COMMON        25848T109     314,000     24,000          X                        24,000     0          0
DOW CHEM CO                COMMON        260543103  13,856,000    447,560          X                       447,560     0          0
DU PONT E I DE NEMOURS &   COMMON        263534109   1,041,000     25,000          X                        25,000     0          0
DUKE ENERGY CORP           COMMON        264399106   5,017,000    251,500          X                       251,500     0          0
DUKE REALTY CORP           COM NEW       264411505  20,879,000    757,850          X                       757,850     0          0
DUPONT PHOTOMASKS INC      COMMON        26613X101   4,538,000    241,400          X                       229,800     0     11,600
EAST WEST BANC-CORP        Common Stock  27579R104     766,168     21,200          X                        21,200     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
EASTGROUP PROPERTIES INC   Common Stock  277276101   2,344,950     86,850          X                        86,850     0          0
EASTMAN CHEMICAL           Common Stock  277432100  10,285,371    324,767          X                       324,767     0          0
EASTMAN KODAK CO           Common Stock  277461109      31,398      1,148          X                         1,148     0          0
EATON CORP                 Common Stock  278058102   5,211,686     66,298          X                        66,298     0          0
EBAY INC                   Common Stock  278642103   6,096,822     58,522          X                        58,522     0          0
ECHOSTAR COMMUNICATIONS
  CL A                     Common Stock  278762109   1,731,000     50,000          X                        50,000     0          0
ECOLAB INC                 Common Stock  278865100   4,915,712    192,020          X                       192,020     0          0
EDISON INTERNATIONAL       Common Stock  281020107  13,471,056    819,906          X                       819,906     0          0
EDUCATION MANAGEMENT CORP  Common Stock  28139T101     271,218      5,100          X                         5,100     0          0
EGL INC                    Common Stock  268484102     287,280     18,900          X                        18,900     0          0
EI DUPONT DE NEMOURS
  & CO INC                 Common Stock  263534109   5,639,055    135,424          X                       135,424     0          0
EL PASO CORPORATION        Common Stock  28336L109   3,149,883    389,837          X                       389,837     0          0
EL PASO ELECTRIC CO        Common Stock  283677854   2,141,721    173,700          X                       173,700     0          0
ELECTRO RENT CORPORATION   Common Stock  285218103     708,580     65,731          X                        65,731     0          0
ELECTRONIC ARTS INC        Common Stock  285512109   2,665,712     36,028          X                        36,028     0          0
ELECTRONIC DATA
  SYSTEMS CORP             Common Stock  285661104  29,765,972  1,387,691          X                     1,387,691     0          0
ELECTRONICS FOR IMAGING    Common Stock  286082102   1,957,985     96,500          X                        96,500     0          0
EMC CORP                   Common Stock  268648102   1,397,735    133,499          X                       133,499     0          0
EMCOR GROUP INC            Common Stock  29084Q100   4,402,912     89,200          X                        89,200     0          0
EMERSON ELECTRIC CO        Common Stock  291011104   7,543,740    147,627          X                       147,627     0          0
ENERGY EAST CORPORATION    Common Stock  29266M109  14,666,940    706,500          X                       706,500     0          0
ENGELHARD CORPORATION      Common Stock  292845104   9,476,606    382,584          X                       382,584     0          0
ENTEGRIS INC               Common Stock  29362U104   1,162,560     86,500          X                        86,500     0          0
ENTERGY ARKANSAS
  INC 7.8% PREF            Preferred
                           Stock         29364D803     960,000     10,000          X                        10,000     0          0
ENTERGY ARKANSAS INC
  7.88% PRF                Preferred
                           Stock         29364D852     868,952      8,900          X                         8,900     0          0
ENTERGY CORP               Common Stock  29364G103  17,320,760    328,169          X                       328,169     0          0
ENTERGY GULF ST ULIT
  ARP SER A                Preferred
                           Stock         29364L839   1,166,175     12,773          X                        12,773     0          0
ENTERGY GULF STATES INC    Preferred
                           Stock         29364L847   1,688,834     18,328          X                        18,328     0          0
ENTERGY LOUISIANA
  INC 8.00% PF             Preferred
                           Stock         29364M803     705,000     30,000          X                        30,000     0          0
ENVIROSOURCE INC           Common Stock  29409K804      17,803     77,404          X                        77,404     0          0
ENVIROSOURCE INC
  PREFERRED                Preferred
                           Stock         29409K705     415,926      8,984          X                         8,984     0          0
EOG RESOURCES INC          Common Stock  26875P101   4,202,619    100,445          X                       100,445     0          0
EQUIFAX INC                Common Stock  294429105      12,896        496          X                           496     0          0
EQUITY OFFICE
  PROPERTIES TR            Common Stock  294741103     282,579     10,462          X                        10,462     0          0
EQUITY ONE INC             Common Stock  294752100   2,273,040    138,600          X                       138,600     0          0
EQUITY RESIDENTIAL         Common Stock  29476L107     186,996      7,206          X                         7,206     0          0
ESTERLINE TECHNOLOGIES
  CORP                     Common Stock  297425100   2,352,091    135,100          X                       135,100     0          0
EXAR CORP                  Common Stock  300645108   1,527,595     96,500          X                        96,500     0          0
EXELON CORPORATION         Common Stock  30161N101  35,483,897    593,277          X                       593,277     0          0
EXPEDIA INC                Common Stock  302125109   4,147,434     54,300          X                        54,300     0          0
EXPRESS SCRIPTS
  INC-CLASS A              Common Stock  302182100  10,541,776    154,300          X                       154,300     0          0
EXXON MOBIL CORPORATION    Common Stock  30231G102  90,182,004  2,511,334          X                     2,511,334     0          0
EGL INC                    Common Stock  268484102      63,840      4,200          X                         4,200     0          0
EMC CORP                   Common Stock  268648102   1,423,920    136,000          X                       136,000     0          0
EAST WEST BANCORP          Common Stock  27579R104     155,402      4,300          X                         4,300     0          0
EMERSON ELECTRIC           Common Stock  291011104      81,760      1,600          X                         1,600     0          0
ENTEGRIS INC               Common Stock  29362U104     232,512     17,300          X                        17,300     0          0
ERICSSON TEL-SP ADR        Common Stock  294821608     367,798     34,600          X                        34,600     0          0
EXXON MOBIL CORP           Common Stock  30231G102   1,156,302     32,200          X                        32,200     0          0
EBAY INC                   US Common
                           Stock         278642103      93,600        900    X                                   0     0        900
EDISON INTERNAT            US Common
                           Stock         281020107     943,082     57,400    X                              57,400     0          0
EMBRAER AIRCRAF            US Common
                           Stock         29081M102      88,376      4,627    X                               4,627     0          0
EXELON CORPORAT            US Common
                           Stock         30161N101     783,511     13,100    X                              13,100     0          0
EXXON MOBIL COR            US Common
                           Stock         30231G102     179,550      5,000    X                                   0     0      5,000
E M C CORP MASS            COMMON        268648102  13,070,000  1,248,345          X                     1,109,945     0    138,400
ENSCO INTL INC             COMMON        26874Q100  12,755,000    474,155          X                       385,555     0     88,600
EOG RES INC                COMMON        26875P101   9,979,000    238,500          X                       197,420     0     41,080
EASTMAN CHEM CO            COMMON        277432100   7,553,000    238,500          X                       238,500     0          0
EATON CORP                 COMMON        278058102  18,296,000    232,740          X                       232,740     0          0
EBAY INC                   COMMON        278642103  39,863,000    383,300          X                       371,000     0     12,300
EDUCATION MGMT CORP        COMMON        28139T101  53,554,000  1,009,693          X                       971,023     0     38,670
EKORNES ASA                NORWAY        N52112617   2,675,000    200,000          X                       200,000     0          0
EL PASO CORP               COMMON        28336L109   2,411,000    298,375          X                       298,375     0          0
ELAN PLC                   DEPOSITORY
                           RECEI         284131208     564,000    100,000          X                       100,000     0          0
ELECTRONIC ARTS INC        COMMON        285512109  32,164,000    435,235          X                       435,235     0          0
ELECTRONICS BOUTIQUE HLD   COMMON        286045109   7,740,000    337,400          X                       321,400     0     16,000
ELECTRONICS FOR IMAGING    COMMON        286082102  26,888,000  1,331,087          X                     1,271,169     0     59,918





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
EMERSON ELEC CO            COMMON        291011104   7,358,000    144,000          X                       144,000     0          0
EMULEX CORP                COM NEW       292475209  15,907,000    698,590          X                       567,190     0    131,400
ENCANA CORP                COMMON        292505104   1,727,000     45,000          X                        45,000     0          0
ENERGIZER HLDGS INC        COMMON        29266R108   6,066,000    193,179          X                       193,179     0          0
ENTERCOM COMMUNICATIONS    CL A          293639100  34,295,000    699,760          X                       667,801     0     31,959
ENTRAVISION COMMUNICATIO   CL A          29382R107  18,733,000  1,650,480          X                     1,588,980     0     61,500
EQUITABLE RES INC          COMMON        294549100   9,137,000    224,275          X                       178,175     0     46,100
EQUITY OFFICE PROPERTIES   COMMON        294741103  28,912,000  1,070,435          X                     1,070,435     0          0
EQUITY RESIDENTIAL         SH BEN INT    29476L107  17,051,000    657,081          X                       657,081     0          0
ERICSSON L M TEL CO        DEPOSITORY
                           RECEI         294821608   1,568,000    147,500          X                       147,500     0          0
EXXON MOBIL CORP           COMMON        30231G102  35,428,000    986,571          X                       833,859     0    152,712
F5 NETWORKS INC            Common Stock  315616102     552,680     32,800          X                        32,800     0          0
FAIRCHILD SEMICON
  INTL -CL A               Common Stock  303726103     199,524     15,600          X                        15,600     0          0
FAIRLANE MGMT CORP         Common Stock  305059107           0     77,404          X                        77,404     0          0
FAMILY DOLLAR STORES       Common Stock  307000109     274,413      7,193          X                         7,193     0          0
FANNIE MAE                 Common Stock  313586109  13,443,490    199,340          X                       199,340     0          0
FASTENAL CO                Common Stock  311900104     305,460      9,000          X                         9,000     0          0
FEDERATED DEPT
  STORES INC NEW           Common Stock  31410H101  26,433,389    717,324          X                       717,324     0          0
FEDERATED INVESTOR
  INC-CL B                 Common Stock  314211103   2,408,244     87,828          X                        87,828     0          0
FEDEX CORPORATION          Common Stock  31428X106   3,030,600     48,857          X                        48,857     0          0
FIDELITY NATIONAL
  INFO SOLU IN             Common Stock  31620P109     675,472     25,900          X                        25,900     0          0
FIFTH THIRD BANCORP        Common Stock  316773100  14,846,760    258,925          X                       258,925     0          0
FIRST CITIZEN
  BANCSHARES INC           Common Stock  31946M103   1,885,708     18,700          X                        18,700     0          0
FIRST DATA CORP            Common Stock  319963104  29,523,804    712,447          X                       712,447     0          0
FIRST HEALTH GROUP CORP    Common Stock  320960107  22,662,360    821,100          X                       821,100     0          0
FIRST INDUSTRIAL
  REALTY TR                Common Stock  32054K103      85,320      2,700          X                         2,700     0          0
FIRST NATIONAL
  BANKSHARES INC           Common Stock  32020R109   1,957,410     58,500          X                        58,500     0          0
FIRST TENNESSEE
  NATIONAL CORP            Common Stock  337162101      20,506        467          X                           467     0          0
FIRSTENERGY CORP           Common Stock  337932107  17,511,284    455,430          X                       455,430     0          0
FISERV INC                 Common Stock  337738108      27,206        764          X                           764     0          0
FLEETBOSTON FINANCIAL
  CORP                     Common Stock  339030108     120,147      4,044          X                         4,044     0          0
FLUOR CORP                 Common Stock  343412102      10,395        309          X                           309     0          0
FORD MOTOR COMPANY -W/I    Common Stock  345370860      78,293      7,124          X                         7,124     0          0
FOREST LABORATORIES INC    Common Stock  345838106      76,979      1,406          X                         1,406     0          0
FOREST OIL CORP            Common Stock  346091705   1,932,105     76,915          X                        76,915     0          0
FORTUNE BRANDS INC         Common Stock  349631101      30,955        593          X                           593     0          0
FOX ENTERTAINMENT
  GROUP CL A               Common Stock  35138T107   5,612,100    195,000          X                       195,000     0          0
FPL GROUP INC              Common Stock  302571104  14,066,978    210,426          X                       210,426     0          0
FRANKLIN RESOURCES INC     Common Stock  354613101      37,781        967          X                           967     0          0
FREDDIE MAC                Common Stock  313400301  40,750,388    802,647          X                       802,647     0          0
FREEPORT MCMORAN CL B      Common Stock  35671D857      14,210        580          X                           580     0          0
FRIEDMANS INC  -CL A       Common Stock  358438109   1,524,421    134,074          X                       134,074     0          0
FRONTIER OIL CORP          Common Stock  35914P105     756,960     49,800          X                        49,800     0          0
FTI CONSULTING INC         Common Stock  302941109     666,699     26,700          X                        26,700     0          0
FULLER (H.B.) CO           Common Stock  359694106   1,790,226     81,300          X                        81,300     0          0
FTI CONSULTING INC         Common Stock  302941109     146,075      5,850          X                         5,850     0          0
F5 NETWORKS INC            Common Stock  315616102     114,580      6,800          X                         6,800     0          0
FIDELITY NATL INFO
  SOLUTIONS                Common Stock  31620P109     146,048      5,600          X                         5,600     0          0
FID GRWTH & INCM FD        Mutual Fund   316389204      53,252      1,637          X                         1,637     0          0
FIFTH THIRD BANCORP        Common Stock  316773100     290,255      5,062          X                         5,062     0          0
FIRST DATA CORP            Common Stock  319963104     953,120     23,000          X                        23,000     0          0
FORD MOTOR COMPANY         Common Stock  345370860      13,724      1,249          X                         1,249     0          0
FRONTIER OIL CORP          Common Stock  35914P105     153,520     10,100          X                        10,100     0          0
FIRSTENERGY COR            US Common
                           Stock         337932107     472,935     12,300    X                              12,300     0          0
FPL GROUP INC              US Common
                           Stock         302571104     534,800      8,000    X                               8,000     0          0
FEI CO                     COMMON        30241L109   8,189,000    436,300          X                       424,200     0     12,100
FMC TECHNOLOGIES INC       COMMON        30249U101   2,631,000    125,000          X                       125,000     0          0
FAIR ISAAC CORP            COMMON        303250104  21,996,000    427,525          X                       408,125     0     19,400
FAIRCHILD SEMICONDUCTOR    COMMON        303726103   5,961,000    466,100          X                       466,100     0          0
FAIRMONT HOTELS RESORTS    COMMON        305204109   2,852,000    121,900          X                       121,900     0          0
FAMILY DLR STORES INC      COMMON        307000109   7,882,000    206,605          X                       206,605     0          0
FASTENAL CO                COMMON        311900104  11,557,000    339,110          X                       339,110     0          0
FEDERAL HOME LN MTG CORP   COMMON        313400301     762,000     15,000          X                        15,000     0          0
FEDERAL NATL MTG ASSN      COMMON        313586109  37,540,000    556,640          X                       556,640     0          0
FEDEX CORP                 COMMON        31428X106  31,998,000    515,850          X                       478,150     0     37,700
F5 NETWORKS INC            COMMON        315616102  13,776,000    828,905          X                       789,105     0     39,800
FIFTH THIRD BANCORP        COMMON        316773100  35,745,000    622,517          X                       581,465     0     41,052





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
FILENET CORP               COMMON        316869106  11,210,000    622,800          X                       592,000     0     30,800
FINANCIAL FED CORP         COMMON        317492106   2,440,000    100,000          X                       100,000     0          0
FIRST DATA CORP            COMMON        319963104  34,117,000    823,295          X                       770,245     0     53,050
FIRST INDUSTRIAL REALTY    COMMON        32054K103   9,133,000    289,025          X                       289,025     0          0
FIRST HEALTH GROUP CORP    COMMON        320960107  45,905,000  1,662,014          X                     1,596,114     0     65,900
FLEXTRONICS INTL LTD       ORD           Y2573F102   5,017,000    481,000          X                       481,000     0          0
FLUOR CORP NEW             COMMON        343412102   3,044,000     90,500          X                        90,500     0          0
FLOWSERVE CORP             COMMON        34354P105   9,462,000    481,030          X                       463,230     0     17,800
FOMENTO ECONOMICO MEXICA   DEPOSITORY
                           RECEI         344419106   1,236,000     30,000          X                        30,000     0          0
FORTUNE BRANDS INC         COMMON        349631101   1,176,000     22,525          X                        22,525     0          0
FOUNDRY NETWORKS INC       COMMON        35063R100  15,610,000  1,094,660          X                     1,042,960     0     51,700
FRIEDMANS INC              CL A          358438109   2,899,000    255,000          X                       255,000     0          0
FULLER H B CO              COMMON        359694106   1,722,000     78,200          X                        78,200     0          0
GALLAGHER (ARTHUR J.)
  & CO.                    Common Stock  363576109     330,480     12,150          X                        12,150     0          0
GANNETT COMPANY INC        Common Stock  364730101   5,440,836     70,835          X                        70,835     0          0
GAP INC                    Common Stock  364760108      64,459      3,436          X                         3,436     0          0
GARMIN LTD COM             Common Stock  G37260109   1,287,801     32,300          X                        32,300     0          0
GATEWAY INC                Common Stock  367626108       3,084        845          X                           845     0          0
GENERAL DYNAMICS CORP      Common Stock  369550108  30,888,553    426,049          X                       426,049     0          0
GENERAL ELECTRIC CO        Common Stock  369604103  76,488,183  2,666,952          X                     2,666,952     0          0
GENERAL GROWTH PROPERTIES  Common Stock  370021107     394,621      6,320          X                         6,320     0          0
GENERAL MILLS INC          Common Stock  370334104      67,844      1,431          X                         1,431     0          0
GENERAL MOTORS CORP        Common Stock  370442105      78,120      2,170          X                         2,170     0          0
GENESEE & WYOMING          Common Stock  371559105     719,950     35,000          X                        35,000     0          0
GENESIS HEALTH VENTURES    Common Stock  37183F107   2,571,605    145,700          X                       145,700     0          0
GENLYTE GROUP INC          Common Stock  372302109   1,805,081     51,618          X                        51,618     0          0
GENTEX CORP                Common Stock  371901109  14,336,194    468,350          X                       468,350     0          0
GENUINE PARTS CO           Common Stock  372460105      20,646        645          X                           645     0          0
GENZYME CORP               Common Stock  372917104      35,196        842          X                           842     0          0
GEORGIA PACIFIC CORP       Common Stock  373298108  11,889,401    627,409          X                       627,409     0          0
GETTY IMAGES INC           Common Stock  374276103   2,494,520     60,400          X                        60,400     0          0
GETTY REALTY CORPORATION   Common Stock  374297109   2,054,556     92,050          X                        92,050     0          0
GILEAD SCIENCES INC        Common Stock  375558103     264,005      4,750          X                         4,750     0          0
GILLETTE CO                Common Stock  375766102  30,527,328    958,171          X                       958,171     0          0
GLATFELTER (P.H.) CO       Common Stock  377316104   1,134,275     76,900          X                        76,900     0          0
GLOBAL IMAGING SYSTEMS     Common Stock  37934A100     768,912     33,200          X                        33,200     0          0
GOLDEN WEST FINANCIAL
  CORP                     Common Stock  381317106  34,308,608    428,804          X                       428,804     0          0
GOLDMAN SACHS GROUP INC    Common Stock  38141G104   3,464,319     41,365          X                        41,365     0          0
GOODRICH CORP              Common Stock  382388106       8,085        385          X                           385     0          0
GOODYEAR TIRE & RUBBER CO  Common Stock  382550101       2,788        531          X                           531     0          0
GOODYS FAMILY CLOTHING
  INC                      Common Stock  382588101   1,964,251    227,081          X                       227,081     0          0
GRAY TELEVISION INC COM    Common Stock  389375106     370,760     29,900          X                        29,900     0          0
GREAT LAKES CHEMICAL CORP  Common Stock  390568103       3,162        155          X                           155     0          0
GREENPOINT FINANCIAL CORP  Common Stock  395384100  22,118,148    434,200          X                       434,200     0          0
GREIF INC-CL A             Common Stock  397624107   1,850,350     80,450          X                        80,450     0          0
GRUPO TELEVISA SA-SPONS
  GDR                      Common Stock  40049J206     779,700     22,600          X                        22,600     0          0
GTSI CORP                  Common Stock  36238K103     626,835     72,050          X                        72,050     0          0
GUIDANT CORP               Common Stock  401698105      54,422      1,226          X                         1,226     0          0
GENERAL ELECTRIC           Common Stock  369604103   5,417,652    188,900          X                       188,900     0          0
GENESEE & WYOMING INC
  CL-A                     Common Stock  371559105     148,104      7,200          X                         7,200     0          0
GILLETTE                   Common Stock  375766102   4,125,870    129,500          X                       129,500     0          0
GLBL IMAGING SYS INC       Common Stock  37934A100     162,120      7,000          X                         7,000     0          0
GRAY TELEVISION            Common Stock  389375106      71,920      5,800          X                         5,800     0          0
GENERAL ELECTRI            US Common
                           Stock         369604103     286,800     10,000    X                                   0     0      1,000
GENTEX CORP                US Common
                           Stock         371901109     193,095      6,300    X                                   0     0      6,300
GILLETTE COMPAN            US Common
                           Stock         375766102     159,300      5,000    X                                   0     0      5,000
GLAXOSMITHKLINE            US Common
                           Stock         37733W105     121,620      3,000    X                              16,839     0          0
G & K SVCS INC             CL A          361268105   2,650,000     90,000          X                        90,000     0          0
GATX CORP                  COMMON        361448103   1,104,000     67,500          X                        67,500     0          0
GALLAGHER ARTHUR J & CO    COMMON        363576109  11,930,000    438,610          X                       438,610     0          0
GAMESTOP CORP              CL A          36466R101   7,619,000    589,700          X                       561,300     0     28,400
GARDENBURGER INC           COMMON        365476100      67,000    166,731          X                       166,731     0          0
GARMIN LTD                 ORD           G37260109   5,921,000    148,400          X                       148,400     0          0
GEDEON RICHTER RT.         HUNGARY       H40423875   3,177,000     45,000          X                        45,000     0          0
GENENTECH INC              COM NEW       368710406   4,652,000     64,500          X                        64,500     0          0
GENERAL ELEC CO            COMMON        369604103 145,885,000  5,086,651          X                     4,638,901     0    447,750
GENERAL GROWTH PPTYS INC   COMMON        370021107  41,415,000    663,275          X                       663,275     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
GENERAL MTRS CL H          CL H NEW      370442832   6,510,000    508,200          X                       508,200     0          0
GENESIS MICROCHIP INC DE   COMMON        37184C103   4,853,000    358,400          X                       341,100     0     17,300
GENTEX CORP                COMMON        371901109  27,758,000    905,639          X                       875,439     0     30,200
GENUINE PARTS CO           COMMON        372460105     320,000     10,000          X                        10,000     0          0
GEORGIA PAC CORP           COMMON        373298108   4,285,000    226,100          X                       226,100     0          0
GILEAD SCIENCES INC        COMMON        375558103   9,582,000    172,500          X                       172,500     0          0
GILLETTE CO                COMMON        375766102  48,705,000  1,528,705          X                     1,475,705     0     53,000
GLOBAL PMTS INC            COMMON        37940X102  15,007,000    422,725          X                       404,289     0     18,436
GLOBALSANTAFE CORP         SHS           G3930E101   8,480,000    363,335          X                       347,910     0     15,425
GOLDMAN SACHS GROUP INC    COMMON        38141G104  32,297,000    385,640          X                       346,140     0     39,500
GRAINGER W W INC           COMMON        384802104  13,708,000    293,151          X                       293,151     0          0
GRANT PRIDECO INC          COMMON        38821G101   2,350,000    200,000          X                       200,000     0          0
GREY WOLF INC              COMMON        397888108   7,214,000  1,785,695          X                     1,706,495     0     79,200
GRUPO TELEVISA SA DE CV    DEPOSITORY
                           RECEI         40049J206   2,001,000     58,000          X                        58,000     0          0
H J HEINZ CO               Common Stock  423074103      43,336      1,314          X                         1,314     0          0
H&R BLOCK INC              Common Stock   93671105      28,978        670          X                           670     0          0
HALLIBURTON CO             Common Stock  406216101  44,109,653  1,917,811          X                     1,917,811     0          0
HANCOCK HOLDING COMPANY    Common Stock  410120109   1,265,632     26,894          X                        26,894     0          0
HANDLEMAN CO               Common Stock  410252100   2,818,400    176,150          X                       176,150     0          0
HARLEY DAVIDSON            Common Stock  412822108      52,057      1,306          X                         1,306     0          0
HARMAN INTERNATIONAL
  INC NEW                  Common Stock  413086109     490,668      6,200          X                         6,200     0          0
HARRAH'S ENTERTAINMENT
  INC                      Common Stock  413619107  10,764,965    267,519          X                       267,519     0          0
HARSCO CORP                Common Stock  415864107   3,763,620    104,400          X                       104,400     0          0
HARTFORD FINANCIAL
  SVCS GROUP               Common Stock  416515104   5,776,040    114,695          X                       114,695     0          0
HARVEST NATURAL RESOURCES  Common Stock  41754V103   2,884,018    452,750          X                       452,750     0          0
HASBRO INC                 Common Stock  418056107      11,753        672          X                           672     0          0
HCA INC                    Common Stock  404119109  10,041,144    313,394          X                       313,394     0          0
HEALTH MGMT ASSOC INC
  CL A                     Common Stock  421933102      17,085        926          X                           926     0          0
HEARTLAND EXPRESS INC      Common Stock  422347104     649,700     29,200          X                        29,200     0          0
HELIX TECHNOLOGY CORP      Common Stock  423319102     304,290     23,000          X                        23,000     0          0
HENRY JACK & ASSOCIATES    Common Stock  426281101     407,391     22,900          X                        22,900     0          0
HERCULES INC               Common Stock  427056106       3,792        383          X                           383     0          0
HERLEY INDUSTRIES INC      Common Stock  427398102   1,652,154     97,300          X                        97,300     0          0
HERSHEY FOODS CORP         Common Stock  427866108      37,268        535          X                           535     0          0
HEWLETT-PACKARD CO         Common Stock  428236103   6,408,510    300,869          X                       300,869     0          0
HILB ROGAL AND HAMILTON
  CO                       Common Stock  431294107     745,476     21,900          X                        21,900     0          0
HILLENBRAND INDUSTRIES     Common Stock  431573104     151,350      3,000          X                         3,000     0          0
HILTON HOTELS CORP         Common Stock  432848109     176,323     13,786          X                        13,786     0          0
HISPANIC BROADCASTING
  CORP                     Common Stock  43357B104     286,313     11,250          X                        11,250     0          0
HOME DEPOT INC             Common Stock  437076102  49,004,253  1,479,597          X                     1,479,597     0          0
HONEYWELL INTERNATIONAL
  INC                      Common Stock  438516106  56,888,625  2,118,757          X                     2,118,757     0          0
HOOPER HOLMES INC          Common Stock  439104100     122,360     19,000          X                        19,000     0          0
HORIZON PCS INC  WARRANTS  +Warrant 1.0  44043U118          10      9,825          X                         9,825     0          0
HORMEL FOODS CORP          Common Stock  440452100   7,131,330    300,900          X                       300,900     0          0
HOUSTON EXPLORATION CO     Common Stock  442120101   1,592,730     45,900          X                        45,900     0          0
HUGHES SUPPLY INC          Common Stock  444482103   1,943,200     56,000          X                        56,000     0          0
HUMANA INC                 Common Stock  444859102   2,895,425    191,750          X                       191,750     0          0
HUNT (JB) TRANSPRT SVCS
  INC                      Common Stock  445658107     483,200     12,800          X                        12,800     0          0
HUNTINGTON BANCSHARES INC  Common Stock  446150104      16,807        861          X                           861     0          0
HUTCHINSON TECHNOLOGY      Common Stock  448407106     771,534     23,458          X                        23,458     0          0
HARMAN INTERNATIONAL       Common Stock  413086109      94,968      1,200          X                         1,200     0          0
HEARTLAND EXPRESS          Common Stock  422347104     137,950      6,200          X                         6,200     0          0
HELIX TECHNOLOGY CORP      Common Stock  423319102      62,181      4,700          X                         4,700     0          0
HENRY JACK & ASSOC         Common Stock  426281101      85,392      4,800          X                         4,800     0          0
HEWLETT-PACKARD CO         Common Stock  428236103     136,320      6,400          X                         6,400     0          0
HILB ROGAL & HAMILTON CO   Common Stock  431294107     142,968      4,200          X                         4,200     0          0
HOME DEPOT                 Common Stock  437076102   5,241,240    158,250          X                       158,250     0          0
HONEYWELL INTL INC         Common Stock  438516106     402,750     15,000          X                        15,000     0          0
HUNT (JB) TRANSPRT SVCS
  INC                      Common Stock  445658107     132,125      3,500          X                         3,500     0          0
HDFC BANK ADR              US Common
                           Stock         40415F101   2,244,375    119,700    X                             134,000     0     38,500
HISPANIC BRODCA            US Common
                           Stock         43357B104     201,055      7,900    X                                   0     0      7,900
HOME DEPOT INC             US Common
                           Stock         437076102     132,480      4,000    X                                   0     0      4,000
HONDA MOTOR-ADR            US Common
                           Stock         438128308     112,395      5,900    X                               5,900     0          0
HSBC HLDGS PLC             DEPOSITORY
                           RECEI         404280406   4,847,000     82,000          X                        82,000     0          0
HAIN CELESTIAL GROUP INC   COMMON        405217100   1,525,000     95,500          X                        95,500     0          0
HALLIBURTON CO             COMMON        406216101   4,554,000    198,000          X                       198,000     0          0
HANCOCK JOHN FINL SVCS I   COMMON        41014S106   4,388,000    142,800          X                       142,800     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
HARBIN BREWERY GROUP LTD   HONG KONG     H65315378     333,000  1,000,000          X                     1,000,000     0          0
HARMAN INTL INDS INC       COMMON        413086109  34,918,000    441,221          X                       421,021     0     20,200
HARTFORD FINL SVCS GROUP   COMMON        416515104  32,840,000    652,100          X                       556,600     0     95,500
HASBRO INC                 COMMON        418056107   5,291,000    302,500          X                       302,500     0          0
HEINZ H J CO               COMMON        423074103   1,319,000     40,000          X                        40,000     0          0
HELMERICH & PAYNE INC      COMMON        423452101   3,679,000    126,000          X                       126,000     0          0
HERSHEY FOODS CORP         COMMON        427866108   8,083,000    116,035          X                        83,935     0     32,100
HEWLETT PACKARD CO         COMMON        428236103  11,604,000    544,810          X                       468,310     0     76,500
HILLENBRAND INDS INC       COMMON        431573104   5,477,000    108,570          X                       108,570     0          0
HILTON HOTELS CORP         COMMON        432848109  33,647,000  2,630,740          X                     2,445,540     0    185,200
HISPANIC BROADCASTING CO   CL A          43357B104  16,116,000    633,223          X                       633,223     0          0
HOLLYWOOD ENTMT CORP       COMMON        436141105  16,583,000    953,619          X                       907,419     0     46,200
HOME DEPOT INC             COMMON        437076102  79,431,000  2,398,290          X                     2,178,690     0    219,600
HONEYWELL INTL INC         COMMON        438516106   3,212,000    119,625          X                       119,625     0          0
HUBBELL INC                CL A          443510102     595,000     18,500          X                        18,500     0          0
HUBBELL INC                CL B          443510201   1,341,000     40,500          X                        40,500     0          0
IDEC PHARMACEUTICALS CORP  Common Stock  449370105  11,271,000    331,500          X                       331,500     0          0
ILLINOIS TOOL WORKS INC    Common Stock  452308109   6,597,512    100,190          X                       100,190     0          0
IMATION CORP               Common Stock  45245A107     975,756     25,800          X                        25,800     0          0
IMGGISTICS INTL INC        Common Stock  45247T104   3,917,730    151,850          X                       151,850     0          0
IMS HEALTH INC             Common Stock  449934108   3,386,923    188,267          X                       188,267     0          0
INFINEON TECHNOLOGIES-ADR  Common Stock  45662N103   2,613,275    272,500          X                       272,500     0          0
INFINITY PROPERTY AND
  CASUALTY                 Common Stock  45665Q103     286,044     12,100          X                        12,100     0          0
INGERSOLL RAND CO CL A     Common Stock  G4776G101  14,180,763    299,678          X                       299,678     0          0
INTEGRATED DEFENSE
  TECHNOLOGY               Common Stock  45819B101     286,935     18,500          X                        18,500     0          0
INTEGRATED DEVICES TECH
  INC                      Common Stock  458118106   2,142,595    193,900          X                       193,900     0          0
INTEL CORP                 Common Stock  458140100   7,365,912    354,403          X                       354,403     0          0
INTER PARFUMS INC          Common Stock  458334109     719,073     97,172          X                        97,172     0          0
INTERACTIVECORP            Common Stock  45840Q101   3,836,312     96,950          X                        96,950     0          0
INTERGRA LIFE SCIENCE
  HOLDINGS                 Common Stock  457985208   1,179,186     44,700          X                        44,700     0          0
INTERGRAPH CORP            Common Stock  458683109   2,042,543     95,002          X                        95,002     0          0
INTERGRATED CIRCUIT
  SYSTEMS                  Common Stock  45811K208     361,445     11,500          X                        11,500     0          0
INTERMUNE INC              Common Stock  45884X103     291,591     18,100          X                        18,100     0          0
INTERNATIONAL FLAVORS
  FRAG INC                 Common Stock  459506101  21,582,349    675,927          X                       675,927     0          0
INTERNATIONAL GAME TECH    Common Stock  459902102  11,432,205    111,719          X                       111,719     0          0
INTERNATIONAL PAPER CO     Common Stock  460146103   6,855,515    191,870          X                       191,870     0          0
INTERPUBLIC GROUP COS INC  Common Stock  460690100  35,230,503  2,633,072          X                     2,633,072     0          0
INTERSIL HOLDING CORP      Common Stock  46069S109   6,069,741    228,100          X                       228,100     0          0
INTL BUSINESS MACHINES
  CORP                     Common Stock  459200101   8,002,830     97,004          X                        97,004     0          0
INTRADO INC.               Common Stock  46117A100     284,220     18,000          X                        18,000     0          0
INTUIT INC                 Common Stock  461202103     296,703      6,663          X                         6,663     0          0
INVESTORS FINANCIAL SVCS
  CP                       Common Stock  461915100   1,166,202     40,200          X                        40,200     0          0
IOMEGA CORP                Common Stock  462030305   2,665,900    251,500          X                       251,500     0          0
IPCS INC WARRANTS          +Warrant 1.0  44980Y115          50      5,000          X                         5,000     0          0
ISTAR FINANCIAL INC        Common Stock  45031U101     408,800     11,200          X                        11,200     0          0
ITRON INC                  Common Stock  465741106     743,820     34,500          X                        34,500     0          0
ITT INDUSTRIES INC         Common Stock  450911102      22,256        340          X                           340     0          0
ILL TOOL WORKS             Common Stock  452308109     184,380      2,800          X                         2,800     0          0
INFINITY PROPERTY &
  CASUALTY                 Common Stock  45665Q103      96,924      4,100          X                         4,100     0          0
INTEGRA LIFESCIENCES
  HOLDING                  Common Stock  457985208     240,058      9,100          X                         9,100     0          0
INTEGRATED CIRCUIT
  SYSTEMS                  Common Stock  45811K208      75,432      2,400          X                         2,400     0          0
INTEL CORP                 Common Stock  458140100      51,534      2,480          X                         2,480     0          0
Integrated Defense
  Technolog                Common Stock  45819B101      51,183      3,300          X                         3,300     0          0
INTERMUNE INC              Common Stock  45884X103      54,774      3,400          X                         3,400     0          0
INTRADO INC                Common Stock  46117A100      53,686      3,400          X                         3,400     0          0
INVESTORS FINL SVCS CP     Common Stock  461915100     234,981      8,100          X                         8,100     0          0
ITRON INC                  Common Stock  465741106     150,920      7,000          X                         7,000     0          0
ING ADR                    US Common
                           Stock         456837103     124,463      7,100    X                               7,100     0          0
INTUIT INC                 US Common
                           Stock         461202103     151,640      3,400    X                                   0     0      3,400
ICOS CORP                  COMMON        449295104  18,713,000    507,530          X                       484,530     0     23,000
IDEC PHARMACEUTICALS COR   COMMON        449370105  11,947,000    351,800          X                       330,775     0     21,025
IDX SYS CORP               COMMON        449491109     934,000     60,000          X                        60,000     0          0
IMC GLOBAL INC             COMMON        449669100     825,000    123,000          X                       123,000     0          0
ISTAR FINL INC             COMMON        45031U101  44,836,000  1,228,375          X                     1,228,375     0          0
IDACORP INC                COMMON        451107106     525,000     20,000          X                        20,000     0          0
ILLINOIS TOOL WKS INC      COMMON        452308109   1,142,000     17,350          X                        17,350     0          0
IMPAC MED SYS INC          COMMON        45255A104  10,832,000    511,200          X                       486,500     0     24,700




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
INCO LTD                   COMMON        453258402   3,435,000    162,500          X                       162,500     0          0
INFINEON TECHNOLOGIES AG   DEPOSITORY
                           RECEI         45662N103  12,034,000  1,254,800          X                     1,254,800     0          0
INFORMATICA CORP           COMMON        45666Q102     138,000     20,000          X                        20,000     0          0
INFOSYS TECHNOLOGIES LTD   DEPOSITORY
                           RECEI         456788108     537,000     10,000          X                        10,000     0          0
INSITUFORM TECHNOLOGIES    CL A          457667103     705,000     40,000          X                        40,000     0          0
INTEGRATED DEVICE TECHNO   COMMON        458118106  14,346,000  1,300,600          X                     1,237,600     0     63,000
INTEL CORP                 COMMON        458140100  59,912,000  2,878,997          X                     2,750,097     0    128,900
INTER TEL INC              COMMON        458372109     385,000     18,000          X                        18,000     0          0
INTERACTIVECORP            COMMON        45840Q101  35,848,000    911,470          X                       911,470     0          0
INTERNATIONAL BUSINESS M   COMMON        459200101  14,778,000    179,125          X                       179,125     0          0
INTERNATIONAL FLAVORS&FR   COMMON        459506101   2,874,000     90,000          X                        90,000     0          0
INTL PAPER CO              COMMON        460146103  34,378,000    962,170          X                       962,170     0          0
INTERNET SEC SYS INC       COMMON        46060X107  17,055,000  1,196,000          X                     1,139,100     0     56,900
INTERPUBLIC GROUP COS IN   COMMON        460690100  14,506,000  1,084,125          X                       979,925     0    104,200
INTERSIL CORP              CL A          46069S109  45,445,000  1,707,800          X                     1,585,700     0    122,100
INTUIT                     COMMON        461202103  11,171,000    250,463          X                       250,463     0          0
IONICS INC                 COMMON        462218108   8,145,000    364,100          X                       364,100     0          0
IPAYMENT INC               COMMON        46262E105   3,721,000    156,100          X                       148,700     0      7,400
IPC HLDGS LTD              ORD           G4933P101  12,558,000    374,759          X                       358,222     0     16,537
J P MORGAN CHASE & CO      Common Stock  46625H100  62,823,558  1,838,021          X                     1,838,021     0          0
JABIL CIRCUIT INC          Common Stock  466313103     581,562     26,315          X                        26,315     0          0
JACUZZI BRANDS             Common Stock  469865109   2,049,875    387,500          X                       387,500     0          0
JAKKS PACIFIC INC          Common Stock  47012E118   2,225,251    167,438          X                       167,438     0          0
JANUS CAPITAL GROUP INC    Common Stock  47102X105  21,609,640  1,317,661          X                     1,317,661     0          0
JARDEN CORP                Common Stock  471109108   1,239,616     44,800          X                        44,800     0          0
JDS UNIPHASE CORP          Common Stock  46612J101      18,929      5,393          X                         5,393     0          0
JEFFERIES GROUP INC        Common Stock  472319102     692,081     13,900          X                        13,900     0          0
JEFFERSON PILOT CORP       Common Stock  475070108      22,596        545          X                           545     0          0
JOHN HANCOCK FINANCIAL
  SRVCS                    Common Stock  41014S106      32,943      1,072          X                         1,072     0          0
JOHNSON & JOHNSON          Common Stock  478160104  45,010,072    870,601          X                       870,601     0          0
JOHNSON CONTROLS INC       Common Stock  478366107  12,046,488    140,730          X                       140,730     0          0
JOHNSON OUTDOORS INC CL A  Common Stock  479167108   1,200,122     87,921          X                        87,921     0          0
JONES APPAREL GROUP INC    Common Stock  480074103      15,537        531          X                           531     0          0
JSC MMC NORILSK NICKEL     Common Stock  46626D108      93,960      2,700          X                         2,700     0          0
JUNIPER NETWORKS INC       Common Stock  48203R104     366,152     29,600          X                        29,600     0          0
JARDEN CORP                Common Stock  471109108     257,331      9,300          X                         9,300     0          0
JEFFERIES GROUP INC(NEW)   Common Stock  472319102     179,244      3,600          X                         3,600     0          0
JOHNSON & JOHNSON          Common Stock  478160104   2,691,741     52,065          X                        52,065     0          0
JOHNSON & JOHNS            US Common
                           Stock         478160104     279,180      5,400    X                                   0     0      5,400
J P MORGAN CHASE & CO      COMMON        46625H100  61,538,000  1,800,400          X                     1,560,575     0    239,825
JABIL CIRCUIT INC          COMMON        466313103  17,631,000    797,785          X                       797,785     0          0
JACOBS ENGR GROUP INC DE   COMMON        469814107  18,191,000    431,571          X                       412,011     0     19,560
JEFFERSON PILOT CORP       COMMON        475070108   3,379,000     81,500          X                        81,500     0          0
JOHNSON & JOHNSON          COMMON        478160104  93,501,000  1,808,536          X                     1,649,736     0    158,800
JOY GLOBAL INC             COMMON        481165108   2,239,000    151,500          X                       151,500     0          0
JUNIPER NETWORKS INC       COMMON        48203R104   1,784,000    143,100          X                       143,100     0          0
KADANT INC                 Common Stock  48282T104   2,548,125    135,900          X                       135,900     0          0
KANSAS CITY LIFE
  INSURANCE CO             Common Stock  484836101     612,612     14,300          X                        14,300     0          0
KANSAS CITY SOUTHN INDS    Common Stock  485170302   1,311,872    109,050          X                       109,050     0          0
KB HOME                    Common Stock  48666K109      11,776        190          X                           190     0          0
KELLOGG CO                 Common Stock  487836108      54,958      1,599          X                         1,599     0          0
KELLWOOD CO                Common Stock  488044108   5,446,686    172,200          X                       172,200     0          0
KERR MCGEE CORP            Common Stock  492386107      17,382        388          X                           388     0          0
KEY ENERGY SERVICES INC    Common Stock  492914106   1,259,600    117,500          X                       117,500     0          0
KEYCORP                    Common Stock  493267108      40,179      1,590          X                         1,590     0          0
KEYSPAN CORPORATION        Common Stock  49337W100   7,305,146    206,069          X                       206,069     0          0
KEYSTONE PROPERTY TRUST    Common Stock  493596100   1,724,207     93,150          X                        93,150     0          0
KIMBALL INTERNATIONAL
  CL B                     Common Stock  494274103   2,727,410    174,834          X                       174,834     0          0
KIMBERLY CLARK CORP        Common Stock  494368103  32,732,710    627,785          X                       627,785     0          0
KIMCO REALTY CORP          Common Stock  49446R109   4,612,430    121,700          X                       121,700     0          0
KINDER MORGAN INC          Common Stock  49455P101  11,189,369    204,746          X                       204,746     0          0
KINDRED HEALTHCARE INC     Common Stock  494580103   1,380,816     77,400          X                        77,400     0          0
KING PHARMACEUTICALS INC   Common Stock  495582108      12,605        854          X                           854     0          0
KLA TENCOR CORP            Common Stock  482480100      33,147        713          X                           713     0          0
KMC TELECOM HOLDINGS INC
  WNTS                     +Warrant 1.0  482562121          20      2,000          X                         2,000     0          0
KNIGHT RIDDER INC          Common Stock  499040103  10,367,899    150,412          X                       150,412     0          0
KOHLS CORP                 Common Stock  500255104  48,356,698    941,158          X                       941,158     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
KOREA ELECTRIC POWER ADR   Common Stock  500631106   3,892,779    436,900          X                       436,900     0          0
KRAFT FOODS                Common Stock  50075N104  35,957,985  1,104,700          X                     1,104,700     0          0
KROGER CO                  Common Stock  501044101      50,040      3,000          X                         3,000     0          0
KROLL INC                  Common Stock  501049100     248,952      9,200          X                         9,200     0          0
KUALA HEALTHCARE INC       Common Stock  501157101         177    176,666          X                       176,666     0          0
KYPHON INC                 Common Stock  501577100     554,904     36,700          X                        36,700     0          0
KEY ENERGY SERVICES INC    Common Stock  492914106     260,496     24,300          X                        24,300     0          0
KOHLS CORP                 Common Stock  500255104   2,317,238     45,100          X                        45,100     0          0
KROLL INC                  Common Stock  501049100      51,414      1,900          X                         1,900     0          0
KYPHON INC                 Common Stock  501577100     140,616      9,300          X                         9,300     0          0
KINDER MORGAN I            US Common
                           Stock         49455P101     163,950      3,000    X                                   0     0      3,000
KOHLS CORP                 US Common
                           Stock         500255104     128,450      2,500    X                                   0     0      2,500
KOOKMIN ADR                US Common
                           Stock         50049M109   1,638,733     54,173    X                             148,990     0          0
KT CORP-SP ADR             US Common
                           Stock         48268K101     108,405      5,500    X                             796,064     0          0
KANSAS CITY SOUTHERN       COM NEW       485170302   4,096,000    340,500          X                       340,500     0          0
KAYDON CORP                COMMON        486587108   1,514,000     72,800          X                        72,800     0          0
KELLOGG CO                 COMMON        487836108   4,781,000    139,100          X                       139,100     0          0
KEY ENERGY SVCS INC        COMMON        492914106  18,612,000  1,736,200          X                     1,652,900     0     83,300
KEYCORP NEW                COMMON        493267108   4,918,000    194,600          X                       194,600     0          0
KIMCO REALTY CORP          COMMON        49446R109  30,399,000    802,087          X                       802,087     0          0
KOHLS CORP                 COMMON        500255104  79,950,000  1,556,059          X                     1,408,809     0    147,250
KONINKLIJKE PHILIPS ELEC   DEPOSITORY
                           RECEI         500472303     289,000     15,100          X                        15,100     0          0
KYPHON INC                 COMMON        501577100  11,874,000    792,152          X                       757,752     0     34,400
LABORATORY CRP OF AMER
  HLDING                   Common Stock  50540R409     289,440      9,600          X                         9,600     0          0
LADISH CO.INC              Common Stock  505754200   1,375,557    207,788          X                       207,788     0          0
LANDRY'S SEAFOOD
  RESTAURANTS              Common Stock  51508L103   3,069,180    130,050          X                       130,050     0          0
LATTICE SEMICONDUCTOR
  CORP                     Common Stock  518415104     551,410     67,000          X                        67,000     0          0
LEAR CORP                  Common Stock  521865105  17,257,500    375,000          X                       375,000     0          0
LEE ENTERPRISES            Common Stock  523768109   2,409,426     64,200          X                        64,200     0          0
LEGG MASON INC             Common Stock  524901105     194,850      3,000          X                         3,000     0          0
LEGGETT & PLATT INC        Common Stock  524660107      14,678        716          X                           716     0          0
LEHMAN BROTHERS HLDG INC   Common Stock  524908100  18,703,550    281,341          X                       281,341     0          0
LEXMARK INTERNATIONAL INC  Common Stock  529771107  18,346,981    259,248          X                       259,248     0          0
LIBERTY CORP               Common Stock  530370105   3,132,250     73,700          X                        73,700     0          0
LIBERTY MEDIA CORP         Common Stock  530718105  41,419,480  3,583,000          X                     3,583,000     0          0
LIBERTY PROPERTY TRUST     Common Stock  531172104     137,535      3,975          X                         3,975     0          0
LIFEPOINT HOSPITALS INC    Common Stock  53219L109   1,549,560     74,000          X                        74,000     0          0
LILLY (ELI) & CO           Common Stock  532457108     314,917      4,566          X                         4,566     0          0
LIMITED BRANDS INC         Common Stock  532716107      32,178      2,076          X                         2,076     0          0
LIN TV CORP-CL A           Common Stock  532774106     701,790     29,800          X                        29,800     0          0
LINCARE HOLDINGS INC       Common Stock  532791100     334,006     10,600          X                        10,600     0          0
LINCOLN NATIONAL CORP IND  Common Stock  534187109  45,443,108  1,275,417          X                     1,275,417     0          0
LINEAR TECHNOLOGY CORP     Common Stock  535678106      40,069      1,244          X                         1,244     0          0
LITTLEFUSE INC             Common Stock  537008104  12,137,008    542,800          X                       542,800     0          0
LIZ CLAIBORNE INC          Common Stock  539320101      14,312        406          X                           406     0          0
LOCKHEED MARTIN CORP       Common Stock  539830109  29,981,658    630,264          X                       630,264     0          0
LOEWS CORP                 Common Stock  540424108   8,723,255    184,463          X                       184,463     0          0
LONE STAR STEAKHOUSE &
  SALOON                   Common Stock  542307103   3,780,513    173,657          X                       173,657     0          0
LORAL ORION NETWORK
  WARRANTS                 +Warrant 1.0  54387P120         120     12,000          X                        12,000     0          0
LOUISIANA PACIFIC CORP     Common Stock  546347105       4,011        370          X                           370     0          0
LOWES COMPANIES INC        Common Stock  548661107  16,965,551    395,007          X                       395,007     0          0
LSI LOGIC CORP             Common Stock  502161102      11,264      1,591          X                         1,591     0          0
LUBRIZOL CORP              Common Stock  549271104  13,257,522    427,800          X                       427,800     0          0
LUCENT TECHNOLOGIES INC    Common Stock  549463107      31,258     15,398          X                        15,398     0          0
LUFKIN INDUSTRIES INC      Common Stock  549764108   2,527,262    103,789          X                       103,789     0          0
LACLEDE GAS SR $1.25       Common Stock  505588301      30,120      1,506          X                         1,506     0          0
LATTICE SEMICONDUCTOR
  CORP                     Common Stock  518415104     130,857     15,900          X                        15,900     0          0
LEVEL 3 COMMUNICATION      Common Stock  52729N100      46,620      7,000          X                         7,000     0          0
LIBERTY SLCT VAL FD        Mutual Fund   53054M345     868,801     42,609          X                        42,609     0          0
LIBERTY MEDIA CORP NEW
  SER A                    Common Stock  530718105   5,352,280    463,000          X                       463,000     0          0
LIBERTY GROWTH STK FD      Mutual Fund   531273407   1,735,066     70,761          X                        70,761     0          0
LIFEPOINT HOSPITALS        Common Stock  53219L109     119,358      5,700          X                         5,700     0          0
LILLY (ELI)                Common Stock  532457108     434,680      6,302          X                         6,302     0          0
LIN TV CORP-CL A           Common Stock  532774106     141,300      6,000          X                         6,000     0          0
LOCKHEED MARTIN CORP       Common Stock  539830109   3,767,544     79,200          X                        79,200     0          0
LEAPFROG ENT               US Common
                           Stock         52186N106     104,973      3,300    X                                   0     0      3,300
LEVEL 3 COMMUNI            US Common
                           Stock         52729N100      67,000     10,000    X                                   0     0     10,000





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
LIBERTY MEDIA C            US Common
                           Stock         530718105     173,400     15,000    X                                   0     0     15,000
L-3 COMMUNICATIONS HLDGS   COMMON        502424104  25,469,000    585,635          X                       471,035     0    114,600
LABORATORY CORP AMER HLD   COM NEW       50540R409  11,739,000    389,350          X                       389,350     0          0
LAMAR ADVERTISING CO       CL A          512815101  20,664,000    582,074          X                       555,410     0     26,664
LATTICE SEMICONDUCTOR CO   COMMON        518415104   9,038,000  1,090,200          X                     1,035,600     0     54,600
LAUDER ESTEE COS INC       CL A          518439104  11,719,000    349,500          X                       349,500     0          0
LEGATO SYS INC             COMMON        524651106     114,000     13,500          X                        13,500     0          0
LEGG MASON INC             COMMON        524901105   6,773,000    104,275          X                       104,275     0          0
LEXMARK INTL NEW           CL A          529771107  31,666,000    447,445          X                       447,445     0          0
LIBERTY CORP S C           COMMON        530370105   3,149,000     74,100          X                        74,100     0          0
LIBERTY MEDIA GROUP        COM           530718105  57,360,000  4,961,916          X                     4,558,152     0    403,764
LIBERTY PPTY TR            SH BEN INT    531172104  14,529,000    419,900          X                       419,900     0          0
LILLY ELI & CO             COMMON        532457108  19,100,000    276,925          X                       276,925     0          0
LINCARE HLDGS INC          COMMON        532791100  12,078,000    382,085          X                       382,085     0          0
LINCOLN NATL CORP IND      COMMON        534187109   4,632,000    130,000          X                       130,000     0          0
LINEAR TECHNOLOGY CORP     COMMON        535678106  16,911,000    522,260          X                       426,360     0     95,900
LINENS N THINGS INC        COMMON        535679104  10,450,000    442,600          X                       421,200     0     21,400
LIZ CLAIBORNE INC          COMMON        539320101     705,000     20,000          X                        20,000     0          0
LOCKHEED MARTIN CORP       COMMON        539830109  43,980,000    924,530          X                       825,130     0     99,400
LOEWS CORP-CAROLINA GRP    CAROLNA GP
                           STK           540424207     853,000     31,610          X                        31,610     0          0
LONGS DRUG STORES CORP     COMMON        543162101   6,258,000    377,000          X                       377,000     0          0
LONGVIEW FIBRE CO          COMMON        543213102      82,000     10,000          X                        10,000     0          0
LOWES COS INC              COMMON        548661107  35,945,000    836,895          X                       787,195     0     49,700
LUCENT TECHNOLOGIES INC    COMMON        549463107     205,000    101,000          X                       101,000     0          0
MAGMA DESIGN AUTOMATION    Common Stock  559181102     416,745     24,300          X                        24,300     0          0
MAGNA ENTERTAINMENT
  CLASS A                  Common Stock  559211107         500        100          X                           100     0          0
MAINE PUBLIC SERVICE       Common Stock  560483109   1,079,332     33,200          X                        33,200     0          0
MAINSOURCE FINANCIAL
  GROUP INC                Common Stock  56062Y102   1,082,515     44,420          X                        44,420     0          0
MANAGEMENT NETWORK
  GROUP INC                Common Stock  561693102   1,274,875    653,782          X                       653,782     0          0
MANOR CARE INC             Common Stock  564055101       8,954        358          X                           358     0          0
MANPOWER                   Common Stock  56418H100  11,720,440    316,000          X                       316,000     0          0
MANUFACTURED HOME
  COMMUNITIE               Common Stock  564682102      63,198      1,800          X                         1,800     0          0
MARATHON OIL CORP          Common Stock  565849106  49,593,730  1,882,115          X                     1,882,115     0          0
MARRIOTT INTERNATIONAL
  INC                      Common Stock  571903202     117,219      3,051          X                         3,051     0          0
MARSH & MCLENNAN CO INC    Common Stock  571748102   1,791,127     35,072          X                        35,072     0          0
MARSHALL & ILSLEY CORP     Common Stock  571834100      25,381        830          X                           830     0          0
MARVEL ENTERPRISES         Common Stock  57383M108   2,186,950    114,500          X                       114,500     0          0
MARVELL TECHNOLOGY GROUP
  LTD                      Common Stock  G5876H105   3,629,472    105,600          X                       105,600     0          0
MASCO CORP                 Common Stock  574599106      43,860      1,839          X                         1,839     0          0
MASSBANK CORP              Common Stock  576152102   1,403,396     38,800          X                        38,800     0          0
MASTEC INC                 Common Stock  576323109   2,607,552    452,700          X                       452,700     0          0
MATRIX SERVICE             Common Stock  576853105     980,978     57,100          X                        57,100     0          0
MATTEL INC                 Common Stock  577081102   9,846,252    520,415          X                       520,415     0          0
MAVERICK TUBE CORP         Common Stock  577914104   1,185,385     61,900          X                        61,900     0          0
MAXIM INTEGRATED PRODUCTS
  INC                      Common Stock  57772K101  20,298,159    593,687          X                       593,687     0          0
MAXIMUS INC                Common Stock  577933104   1,287,558     46,600          X                        46,600     0          0
MAXWELL SHOE COMPANY INC   Common Stock  577766108   2,605,810    180,959          X                       180,959     0          0
MAY DEPARTMENT STORES CO   Common Stock  577778103      24,286      1,091          X                         1,091     0          0
MAYTAG CORP                Common Stock  578592107       6,129        251          X                           251     0          0
MBIA INC                   Common Stock  55262C100   5,793,743    118,846          X                       118,846     0          0
MBNA CORP                  Common Stock  55262L100     102,741      4,930          X                         4,930     0          0
MCCORMICK & CO             Common Stock  579780206      13,954        513          X                           513     0          0
MCDERMOTT INTERNATIONAL
  INC                      Common Stock  580037109         950        150          X                           150     0          0
MCDONALDS CORP             Common Stock  580135101  80,726,342  3,659,399          X                     3,659,399     0          0
MCGRAW HILL COS INC        Common Stock  580645109      47,182        761          X                           761     0          0
MCKESSON CORP              Common Stock  58155Q103  26,034,767    728,449          X                       728,449     0          0
MDU RESOURCES GROUP        Common Stock  552690109   1,393,184     41,600          X                        41,600     0          0
MEADWESTVACO CORPORATION   Common Stock  583334107  14,694,573    594,922          X                       594,922     0          0
MEDIA GENERAL INC - CL A   Common Stock  584404107   1,601,600     28,000          X                        28,000     0          0
MEDIACOM COMMUNICATIONS
  CORP                     Common Stock  58446K105   8,785,287    890,100          X                       890,100     0          0
MEDICAL ACTION INDUSTRIES
  INC                      Common Stock  58449L100   1,030,423     63,100          X                        63,100     0          0
MEDIMMUNE INC              Common Stock  584699102     131,150      3,606          X                         3,606     0          0
MEDTRONIC INC              Common Stock  585055106  68,069,142  1,418,994          X                     1,418,994     0          0
MELLON FINANCIAL CORP      Common Stock  58551A108      46,731      1,684          X                         1,684     0          0
MERCANTILE BANK            Common Stock  587376104     271,320      9,500          X                         9,500     0          0
MERCHANTS BANCSHARES INC   Common Stock  588448100   2,416,232     92,932          X                        92,932     0          0
MERCK & CO INC             Common Stock  589331107  91,866,460  1,517,200          X                     1,517,200     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
MERCURY COMPUTER SYSTEMS
  INC                      Common Stock  589378108     299,640     16,500          X                        16,500     0          0
MERCURY INTERACTIVE CORP   Common Stock  589405109     426,911     11,057          X                        11,057     0          0
MEREDITH CORP              Common Stock  589433101       6,908        157          X                           157     0          0
MERITAGE CORPORATION
  DESIGN                   Common Stock  59001A102     325,116      6,600          X                         6,600     0          0
MERRILL LYNCH & CO INC     Common Stock  590188108  26,169,975    560,625          X                       560,625     0          0
MESABA HOLDINGS INC        Common Stock  59066B102     700,135    113,474          X                       113,474     0          0
METHANEX CORP              Common Stock  59151K108      55,583      5,200          X                         5,200     0          0
METLIFE INC                Common Stock  59156R108      83,261      2,940          X                         2,940     0          0
METRIS COMPANIES INC       Common Stock  591598107   1,959,150    353,000          X                       353,000     0          0
METRO ONE
  TELECOMMUNINCATIONS      Common Stock  59163F105     623,184    120,772          X                       120,772     0          0
METROCORP BANCSHARES INC   Common Stock  591650106     230,505     19,050          X                        19,050     0          0
METRONET COMM WARRANTS     +Warrant 1.0  59169Y116           0      3,000          X                         3,000     0          0
MFC BANCORP LTD            Common Stock  55271X202   2,355,837    283,870          X                       283,870     0          0
MGE ENERGY INC             Common Stock  55277P104   1,905,309     60,486          X                        60,486     0          0
MGIC INV CORP              Common Stock  552848103  25,920,600    555,759          X                       555,759     0          0
MGM GRAND INC              Common Stock  552953101     263,186      7,700          X                         7,700     0          0
MICROCHIP TECHNOLOGY       Common Stock  595017104  10,969,833    445,385          X                       445,385     0          0
MICROMUSE INC              Common Stock  595094103     209,338     26,200          X                        26,200     0          0
MICRON TECHNOLOGY
  INCORPORATED             Common Stock  595112103      27,028      2,324          X                         2,324     0          0
MICROSOFT CORP             Common Stock  594918104  98,534,859  3,847,515          X                     3,847,515     0          0
MID-AMERICA APARTMENT
  COMM INC                 Common Stock  59522J103   2,486,271     92,050          X                        92,050     0          0
MID-STATE BANCSHARES       Common Stock  595440108   3,268,823    165,510          X                       165,510     0          0
MIDCAP SPDR TRUST
  SERIES 1                 Common Stock  595635103   2,043,876     23,300          X                        23,300     0          0
MILLIPORE                  Common Stock  601073109  17,002,628    383,201          X                       383,201     0          0
MINERALS TECHNOLOGIES INC  Common Stock  603158106   2,544,918     52,300          X                        52,300     0          0
MIRANT CORP                Common Stock  604675108     152,288     52,513          X                        52,513     0          0
MOBILE TELESYSTEMS-SP ADR  Common Stock  607409109   1,333,400     22,600          X                        22,600     0          0
MODINE MANUFACTURING CO    Common Stock  607828100   1,162,064     59,993          X                        59,993     0          0
MOLEX INC                  Common Stock  608554101      19,298        715          X                           715     0          0
MONACO COACH CORP          Common Stock  60886R103   1,140,552     74,400          X                        74,400     0          0
MONRO MUFFLER BRAKES INC   Common Stock  610236101   3,216,581    113,821          X                       113,821     0          0
MONSANTO CO                Common Stock  61166W101   5,664,378    261,755          X                       261,755     0          0
MONSTER WORLDWIDE INC      Common Stock  611742107       7,892        400          X                           400     0          0
MOODY'S CORPORATION        Common Stock  615369105   5,792,987    109,903          X                       109,903     0          0
MORGAN STANLEY             Common Stock  617446448     181,004      4,234          X                         4,234     0          0
MOTHERS WORK               Common Stock  619903107     366,749     13,700          X                        13,700     0          0
MOTOROLA INC               Common Stock  620076109   1,829,495    194,008          X                       194,008     0          0
MOVIE GALLERY              Common Stock  624581104   2,184,074    118,378          X                       118,378     0          0
MPS GROUP INC              Common Stock  553409103   3,538,728    514,350          X                       514,350     0          0
MTC TECHNOLOGIES INC       Common Stock  55377A106     462,162     19,700          X                        19,700     0          0
MTS SYSTEMS CORPORATION    Common Stock  553777103   2,288,120    155,232          X                       155,232     0          0
MUELLER INDUSTRIES INC     Common Stock  624756102   6,164,814    227,400          X                       227,400     0          0
MURPHY OIL CORP            Common Stock  626717102   1,599,040     30,400          X                        30,400     0          0
MYKROLIS CORPORATION       Common Stock  62852P103     453,705     44,700          X                        44,700     0          0
MTC TECHNOLOGIES INC       Common Stock  55377A106     121,992      5,200          X                         5,200     0          0
MAGMA DESIGN AUTOMATION    Common Stock  559181102      80,605      4,700          X                         4,700     0          0
MATRIX SERVICE CO          Common Stock  576853105     199,288     11,600          X                        11,600     0          0
MAVERICK TUBE CORP         Common Stock  577914104     245,120     12,800          X                        12,800     0          0
MEDICAL ACTION IND INC     Common Stock  58449L100     212,290     13,000          X                        13,000     0          0
MEDTRONIC                  Common Stock  585055106   5,171,166    107,800          X                       107,800     0          0
MERCANTILE BANK CORP       Common Stock  587376104      62,832      2,200          X                         2,200     0          0
MERCK                      Common Stock  589331107      76,899      1,270          X                         1,270     0          0
MERCURY COMPUTER SYSTEMS
  INC                      Common Stock  589378108      65,376      3,600          X                         3,600     0          0
MERITAGE CORP              Common Stock  59001A102      68,964      1,400          X                         1,400     0          0
MICROSOFT CORP             Common Stock  594918104   5,693,103    222,300          X                       222,300     0          0
MICROMUSE INC              Common Stock  595094103      43,146      5,400          X                         5,400     0          0
MOTHERS WORK INC           Common Stock  619903107      66,925      2,500          X                         2,500     0          0
MOTOROLA                   Common Stock  620076109      66,010      7,000          X                         7,000     0          0
MYKROLIS                   Common Stock  62852P103      95,410      9,400          X                         9,400     0          0
MATAV RT-SPONSO            US Common
                           Stock         559776109      68,800      4,000    X                               4,000     0          0
MATSU ELEC -ADR            US Common
                           Stock         576879209     176,880     17,600    X                              17,600     0          0
MATTEL INC                 US Common
                           Stock         577081102     189,200     10,000    X                                   0     0     10,000
MAXIM INTEGRATE            US Common
                           Stock         57772K101     136,400      4,000    X                                   0     0      4,000
MCDONALD'S CORP            US Common
                           Stock         580135101     211,776      9,600    X                                   0     0      9,600
MICROCHIP                  US Common
                           Stock         595017104      84,150      3,400    X                                   0     0      3,400
MICROSOFT CORP             US Common
                           Stock         594918104     379,472     14,800    X                                   0     0     14,800
MOBILE TELESYST            US Common
                           Stock         607409109      59,000      1,000    X                               1,000     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
MOODY'S CORPORA            US Common
                           Stock         615369105     200,298      3,800    X                                   0     0      3,800
MOTOROLA INC               US Common
                           Stock         620076109      47,150      5,000    X                                   0     0      5,000
MBNA CORP                  COMMON        55262L100     817,000     39,200          X                        39,200     0          0
MGIC INVT CORP WIS         COMMON        552848103     350,000      7,500          X                         7,500     0          0
MGM MIRAGE                 COMMON        552953101   9,975,000    291,850          X                       291,850     0          0
MACROMEDIA INC             COMMON        556100105  28,744,000  1,368,100          X                     1,302,200     0     65,900
MAKITA CORP                DEPOSITORY
                           RECEI         560877300     490,000     62,000          X                        62,000     0          0
MANOR CARE INC NEW         COMMON        564055101   2,013,000     80,500          X                        80,500     0          0
MANUFACTURED HOME CMNTYS   COMMON        564682102   7,162,000    203,975          X                       203,975     0          0
MARATHON OIL CORP          COMMON        565849106     395,000     15,000          X                        15,000     0          0
MARSH & MCLENNAN COS INC   COMMON        571748102  32,165,000    629,820          X                       515,470     0    114,350
MARRIOTT INTL INC NEW      CL A          571903202   8,851,000    230,375          X                       230,375     0          0
MARTEK BIOSCIENCES CORP    COMMON        572901106  13,725,000    319,700          X                       304,400     0     15,300
MARTHA STEWART LIVING OM   CL A          573083102     470,000     50,000          X                        50,000     0          0
MARTIN MARIETTA MATLS IN   COMMON        573284106   2,215,000     65,900          X                        65,900     0          0
MARVELL TECHNOLOGY GROUP   ORD           G5876H105  49,084,000  1,428,930          X                     1,317,230     0    111,700
MASCOTECH INC.   ESCROW    COMMON        574670998           0     71,100          X                        71,100     0          0
MASSEY ENERGY CORP         COMMON        576206106   1,381,000    105,000          X                       105,000     0          0
MATSUSHITA ELEC INDL       DEPOSITORY
                           RECEI         576879209     503,000     50,000          X                        50,000     0          0
MATTEL INC                 COMMON        577081102   4,703,000    248,590          X                       248,590     0          0
MAXIM INTEGRATED PRODS I   COMMON        57772K101   6,090,000    178,595          X                       158,495     0     20,100
MAVERICK TUBE CORP         COMMON        577914104  10,333,000    539,600          X                       527,700     0     11,900
MCDONALDS CORP             COMMON        580135101  56,793,000  2,574,475          X                     2,186,975     0    387,500
MCKESSON CORP              COMMON        58155Q103  34,301,000    959,725          X                       860,725     0     99,000
MEADWESTVACO CORP          COMMON        583334107  24,288,000    983,335          X                       983,335     0          0
MEDIA GEN INC              CL A          584404107  10,799,000    188,800          X                       188,800     0          0
MEDICIS PHARMACEUTICAL C   CL A NEW      584690309     241,000      4,256          X                         4,256     0          0
MEDIMMUNE INC              COMMON        584699102  12,282,000    337,702          X                       337,702     0          0
MEDTRONIC INC              COMMON        585055106  36,014,000    750,770          X                       750,770     0          0
MELLON FINL CORP           COMMON        58551A108   4,093,000    147,500          X                       147,500     0          0
MERCK & CO INC             COMMON        589331107  56,676,000    936,020          X                       818,620     0    117,400
MERCURY INTERACTIVE CORP   COMMON        589405109  48,037,000  1,239,354          X                     1,150,754     0     88,600
MERIDIAN GOLD INC          COMMON        589975101     115,000     10,000          X                        10,000     0          0
MERRILL LYNCH & CO INC     COMMON        590188108  27,493,000    588,975          X                       511,395     0     77,580
METHANEX CORP              COMMON        59151K108   1,992,000    186,500          X                       186,500     0          0
METHODE ELECTRS INC        CL A          591520200   2,294,000    213,400          X                       213,400     0          0
METRO GOLDWYN MAYER INC    COMMON        591610100   3,129,000    251,968          X                       251,968     0          0
MICHAELS STORES INC        COMMON        594087108  19,274,000    506,409          X                       483,271     0     23,138
MICROSOFT CORP             COMMON        594918104 216,105,000  8,428,433          X                     7,709,333     0    719,100
MICROSTRATEGY INC          CL A NEW      594972408  11,164,000    304,850          X                       290,350     0     14,500
MICROCHIP TECHNOLOGY INC   COMMON        595017104  27,481,000  1,110,345          X                     1,110,345     0          0
MICROMUSE INC              COMMON        595094103   4,827,000    605,600          X                       576,300     0     29,300
MICRON TECHNOLOGY INC      COMMON        595112103   6,668,000    573,325          X                       573,325     0          0
MICROSEMI CORP             COMMON        595137100  25,093,000  1,576,200          X                     1,500,000     0     76,200
MID ATLANTIC MED SVCS IN   COMMON        59523C107  35,232,000    673,645          X                       643,045     0     30,600
MILLENNIUM PHARMACEUTICA   COMMON        599902103     975,000     62,000          X                        62,000     0          0
MILLICOM INTL CELLULAR S   SHS NEW       L6388F110   3,120,000    119,000          X                       119,000     0          0
MILLIPORE CORP             COMMON        601073109  10,205,000    230,000          X                       230,000     0          0
MINERALS TECHNOLOGIES IN   COMMON        603158106  18,516,000    380,526          X                       363,726     0     16,800
MIPS TECHNOLOGIES INC      CL A          604567107      71,000     28,000          X                        28,000     0          0
MIPS TECHNOLOGIES INC      CL B          604567206     178,000     72,000          X                        72,000     0          0
MIRANT CORP                COMMON        604675108     145,000     50,000          X                        50,000     0          0
MOBILE TELESYSTEMS OJSC    DEPOSITORY
                           RECEI         607409109   9,986,000    169,260          X                       169,260     0          0
MODINE MFG CO              COMMON        607828100   6,343,000    333,850          X                       333,850     0          0
MOLEX INC                  CL A          608554200   2,839,000    122,625          X                       122,625     0          0
MOODYS CORP                COMMON        615369105   7,058,000    133,905          X                       133,905     0          0
MORGAN STANLEY             COM NEW       617446448  12,174,000    284,777          X                       250,527     0     34,250
MOTOROLA INC               COMMON        620076109  12,219,000  1,295,797          X                     1,295,797     0          0
MURPHY OIL CORP            COMMON        626717102  23,237,000    441,765          X                       441,765     0          0
MYKROLIS CORP              COMMON        62852P103   1,766,000    174,000          X                       174,000     0          0
MYLAN LABS INC             COMMON        628530107   6,537,000    188,000          X                       188,000     0          0
NABORS INDUSTRIES LTD      Common Stock  G6359F103  11,043,705    279,234          X                       279,234     0          0
NATIONAL CITY CORP         Common Stock  635405103      77,425      2,367          X                         2,367     0          0
NATIONAL SEMICONDUCTOR
  CORP                     Common Stock  637640103   4,854,965    246,195          X                       246,195     0          0
NATIONAL-OILWELL INC       Common Stock  637071101     319,000     14,500          X                        14,500     0          0
NATIONWIDE FINANCIAL
  SERV A                   Common Stock  638612101   7,364,500    226,600          X                       226,600     0          0
NATIONWIDE HEALTH
  PROPERTIES               Common Stock  638620104   2,430,122    152,550          X                       152,550     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
NAUTICA                    Common Stock  639089101   1,463,043    114,033          X                       114,033     0          0
NAVIGANT CONSULTING CO     Common Stock  63935N107     167,085     14,100          X                        14,100     0          0
NAVISTAR INTERNATIONAL     Common Stock  63934E116  20,546,165    629,671          X                       629,671     0          0
NCI BUILDING SYSTEMS INC   Common Stock  628852105   1,763,520    105,600          X                       105,600     0          0
NCO GROUP INC              Common Stock  628858102     501,480     28,000          X                        28,000     0          0
NCR CORP                   Common Stock  62886E112       9,736        380          X                           380     0          0
NEIMAN MARCUS GROUP INC    Common Stock  640204202   2,843,820     77,700          X                        77,700     0          0
NEKTAR THERPAPEUTICS       Common Stock  640268108     149,526     16,200          X                        16,200     0          0
NETWORK APPLIANCE INC      Common Stock  64120L104      22,435      1,384          X                         1,384     0          0
NEUROCRINE BISCIENCES INC  Common Stock  64125C109     464,442      9,300          X                         9,300     0          0
NEW YORK TIMES CO CLASS A  Common Stock  650111107  15,352,019    337,407          X                       337,407     0          0
NEWCASTLE INVT CORP NEW
  COM                      Common Stock  65105M108     135,102      6,900          X                         6,900     0          0
NEWELL RUBBERMAID INC      Common Stock  651229106  15,908,200    568,150          X                       568,150     0          0
NEWFIELD EXPLORATION
  COMPANY                  Common Stock  651290108   3,788,795    100,900          X                       100,900     0          0
NEWMONT MINING CORP
  HOLDING CO               Common Stock  651639106      51,579      1,589          X                         1,589     0          0
NEWS CORP LTD-SPONS
  ADR PRF                  Common Stock  652487802   2,095,433     83,650          X                        83,650     0          0
NEXTEL COMMUNICATIONS
  CL A                     Common Stock  65332V103   2,328,397    128,783          X                       128,783     0          0
NICOR INC                  Common Stock  654086107   3,293,327     88,745          X                        88,745     0          0
NIKE INC CL B              Common Stock  654106103      55,041      1,029          X                         1,029     0          0
NISOURCE INC               Common Stock  65473P105   4,322,671    227,509          X                       227,509     0          0
NOBLE CORP                 Common Stock  G65422100  14,741,008    429,767          X                       429,767     0          0
NOKIA CORP ADR             Common Stock  654902204  22,481,169  1,368,300          X                     1,368,300     0          0
NORDSTROM INC              Common Stock  655664100      10,150        520          X                           520     0          0
NORFOLK SOUTHERN CORP      Common Stock  655844108      29,990      1,562          X                         1,562     0          0
NORTH FORK BANCORPORATION  Common Stock  659424105  17,391,445    510,612          X                       510,612     0          0
NORTH PITTSBURGH SYSTEM    Common Stock  661562108   1,630,770    108,213          X                       108,213     0          0
NORTHEAST UTILITIES        Common Stock  664397106  11,232,540    671,000          X                       671,000     0          0
NORTHERN IND P.S.
  7.44% PFD                Preferred
                           Stock         665262606     873,000      9,000          X                         9,000     0          0
NORTHERN TRUST CORP        Common Stock  665859104      34,811        833          X                           833     0          0
NORTHRIM BANCORP INC       Common Stock  666762109   1,537,424     84,800          X                        84,800     0          0
NORTHROP GRUMMAN CORP      Common Stock  666807102   5,333,585     61,810          X                        61,810     0          0
NORTHWEST NATURAL GAS CO   Common Stock  667655104   1,340,700     49,200          X                        49,200     0          0
NOVELL INC                 Common Stock  670006105   1,424,903    462,631          X                       462,631     0          0
NOVELLUS SYSTEMS INC       Common Stock  670008101     451,976     12,342          X                        12,342     0          0
NOVEN PHARMACEUTICALS INC  Common Stock  670009109     417,792     40,800          X                        40,800     0          0
NTL EUROPE INC             1Preferred
                           -100          62940R202         150         75          X                            75     0          0
NTL INC                    Common Stock  62940M104   2,850,624     83,547          X                        83,547     0          0
NU HORIZONS ELEC CORP      Common Stock  669908105   1,419,642    236,607          X                       236,607     0          0
NUCOR CORP                 Common Stock  670346105      14,362        294          X                           294     0          0
NVIDIA CORP                Common Stock  67066G104   4,674,988    203,172          X                       203,172     0          0
NCO GROUP                  Common Stock  628858102     116,415      6,500          X                         6,500     0          0
NAVIGANT CONSULTING INC    Common Stock  63935N107      34,365      2,900          X                         2,900     0          0
NEKTAR THERAPEUTICS        Common Stock  640268108      42,458      4,600          X                         4,600     0          0
NEUROCRINE BIOSVIENC       Common Stock  64125C109      94,886      1,900          X                         1,900     0          0
NOBLE CORP CO              Common Stock  G65422100     257,250      7,500          X                         7,500     0          0
NOKIA CORP ADR             Common Stock  654902204   3,343,505    203,500          X                       203,500     0          0
NOVEN PHARMACUTCL IN       Common Stock  670009109     126,976     12,400          X                        12,400     0          0
NETWORK APPLIAN            US Common
                           Stock         64120L104     110,952      6,900    X                                   0     0      6,900
NOKIA CORP -SPO            US Common
                           Stock         654902204     119,939      7,300    X                             390,050     0          0
NORTEL NETWORKS            US Common
                           Stock         656568102      54,000     20,000    X                              20,000     0          0
NORTHEAST UTILI            US Common
                           Stock         664397106     458,676     27,400    X                              27,400     0          0
NOVARTIS ADR               US Common
                           Stock         66987V109     159,240      4,000    X                               4,000     0          0
NTT DOCOMO ADR             US Common
                           Stock         62942M201     115,395      5,250    X                               5,250     0          0
NVR INC                    COMMON        62944T105     621,000      1,510          X                         1,510     0          0
NABORS INDUSTRIES LTD      SHS           G6359F103  30,912,000    781,989          X                       730,389     0     51,600
NATIONAL CITY CORP         COMMON        635405103     327,000     10,000          X                        10,000     0          0
NATIONAL INSTRS CORP       COMMON        636518102   9,805,000    258,363          X                       246,734     0     11,629
NATIONAL-OILWELL INC       COMMON        637071101  33,104,000  1,504,738          X                     1,463,738     0     41,000
NATIONAL SEMICONDUCTOR C   COMMON        637640103  20,121,000  1,020,315          X                       917,015     0    103,300
NAVISTAR INTL CORP NEW     COMMON        63934E108   5,120,000    156,900          X                       156,900     0          0
NEOWARE SYS INC            COMMON        64065P102     183,000     12,000          X                        12,000     0          0
NETWORK ASSOCS INC.        COMMON        640938106   4,107,000    323,910          X                       323,910     0          0
NETEASE COM INC            DEPOSITORY
                           RECEI         64110W102     274,000      7,500          X                         7,500     0          0
NETSCREEN TECHNOLOGIES I   COMMON        64117V107  24,635,000  1,104,700          X                     1,051,200     0     53,500
NEUROCRINE BIOSCIENCES I   COMMON        64125C109  15,106,000    302,430          X                       287,940     0     14,490
NETWORK SPECIALISTS INC.   SER A CONV
                           PFD R         641999768       4,000    394,218          X                       394,218     0          0
NEWCASTLE INVT CORP        COMMON        65105M108  13,134,000    670,775          X                       670,775     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
NEWELL RUBBERMAID INC      COMMON        651229106   6,478,000    231,355          X                       231,355     0          0
NEWMONT MINING CORP HLDG   COMMON        651639106   3,408,000    105,000          X                       105,000     0          0
NEWPARK RES INC            COM PAR
                           $.01NEW       651718504     603,000    110,000          X                       110,000     0          0
NEWS CORP LTD              DEPOSITORY
                           RECEI         652487703   3,299,000    109,000          X                       109,000     0          0
NEWS CORP LTD              DEPOSITORY
                           RECEI         652487802  35,221,000  1,406,010          X                     1,305,260     0    100,750
NICOR INC                  COMMON        654086107     631,000     17,000          X                        17,000     0          0
NIKE INC                   CL B          654106103   1,070,000     20,000          X                        20,000     0          0
NISOURCE INC               COMMON        65473P105   1,634,000     85,991          X                        85,991     0          0
NOKIA CORP                 DEPOSITORY
                           RECEI         654902204     246,000     15,000          X                        15,000     0          0
NOKIAN RENKAAT OYI         FINLAND       F46432740   5,153,000    100,000          X                       100,000     0          0
NOBLE ENERGY INC           COMMON        655044105   1,526,000     40,375          X                        40,375     0          0
NOBLE CORPORATION          SHS           G65422100  29,202,000    851,374          X                       791,574     0     59,800
NORDSTROM INC              COMMON        655664100   1,302,000     66,700          X                        66,700     0          0
NORFOLK SOUTHERN CORP      COMMON        655844108     576,000     30,000          X                        30,000     0          0
NORTEL NETWORKS CORP NEW   COMMON        656568102     459,000    170,000          X                       170,000     0          0
NORTHROP GRUMMAN CORP      COMMON        666807102  27,017,000    313,100          X                       258,100     0     55,000
NOVARTIS A G               DEPOSITORY
                           RECEI         66987V109  16,473,000    413,800          X                       413,800     0          0
NOVELL INC                 COMMON        670006105      72,000     23,000          X                        23,000     0          0
NOVELLUS SYS INC           COMMON        670008101  14,594,000    398,195          X                       398,195     0          0
NVIDIA CORP                COMMON        67066G104  31,248,000  1,363,935          X                     1,282,535     0     81,400
OCCIDENTAL PETROLEUM       Common Stock  674599105   7,292,931    217,375          X                       217,375     0          0
ODYSSEY HEALTHCARE INC     Common Stock  67611V101     728,900     19,700          X                        19,700     0          0
OFFICE DEPOT INC           Common Stock  676220106  64,963,824  4,477,176          X                     4,477,176     0          0
OFFICEMAX INC              Common Stock  67622M108   1,270,700    194,000          X                       194,000     0          0
OLD DOMINION FREIGHT LINE  Common Stock  679580100     301,599     13,950          X                        13,950     0          0
OM GROUP INC               Common Stock  670872100   5,756,484    390,800          X                       390,800     0          0
OMEGA FINANCIAL CORP       Common Stock  682092101     709,205     20,737          X                        20,737     0          0
OMNICOM GROUP              Common Stock  681919106   7,408,976    103,333          X                       103,333     0          0
ONO FINANCE PLC            +Warrant 1.0  682735170          38      3,765          X                         3,765     0          0
ONO FINANCE PLC-WARRANTS   +Warrant 1.0  682735113          15     15,000          X                        15,000     0          0
OPTICAL COMMUNICATIONS
  PROD                     Common Stock  68382T101     886,262    492,368          X                       492,368     0          0
ORACLE CORP                Common Stock  68389X105  24,466,229  2,035,460          X                     2,035,460     0          0
ORION REFING CORP          Common Stock  686287913           0         20          X                            20     0          0
OSHKOSH TRUCK CORP         Common Stock  688239201   2,627,876     44,300          X                        44,300     0          0
OUTBACK STEAKHOUSE INC     Common Stock  689899102      95,550      2,450          X                         2,450     0          0
OLD DOMINION               Common Stock  679580100      64,860      3,000          X                         3,000     0          0
OMNICOM GROUP              Common Stock  681919106           0          0          X                             0     0          0
ORACLE CORP                Common Stock  68389X105   3,482,194    289,700          X                       289,700     0          0
ORACLE CORPORAT            US Common
                           Stock         68389X105     120,100     10,000    X                                   0     0     10,000
O CHARLEYS INC             COMMON        670823103  11,623,000    539,610          X                       513,530     0     26,080
OM GROUP INC               COMMON        670872100  15,053,000  1,021,900          X                       972,600     0     49,300
OAKMARK INTERNATIONAL MF   COMMON        413838202   1,243,000     85,404          X                        85,404     0          0
OCCIDENTAL PETE CORP DEL   COMMON        674599105     839,000     25,000          X                        25,000     0          0
OCEANEERING INTL INC       COMMON        675232102   9,789,000    383,122          X                       364,522     0     18,600
OLD REP INTL CORP          COMMON        680223104     888,000     25,900          X                        25,900     0          0
OLIN CORP                  COM PAR $1    680665205   1,881,000    110,000          X                       110,000     0          0
OMNICARE INC               COMMON        681904108   2,703,000     80,000          X                        80,000     0          0
ONEOK INC NEW              COMMON        682680103     196,000     10,000          X                        10,000     0          0
OPEN JT STK CO-VIMPEL CO   DEPOSITORY
                           RECEI         68370R109   3,971,000     85,500          X                        85,500     0          0
ORACLE CORP                COMMON        68389X105  32,262,000  2,686,245          X                     2,509,745     0    176,500
ORTHOFIX INTL N V          COMMON        N6748L102  12,207,000    372,845          X                       353,678     0     19,167
OPTION CARE INC            COMMON        683948103     863,000     75,000          X                        75,000     0          0
O REILLY AUTOMOTIVE INC    COMMON        686091109  10,765,000    321,645          X                       305,845     0     15,800
OUTBACK STEAKHOUSE INC     COMMON        689899102  22,345,000    572,961          X                       554,841     0     18,120
P G & E CORP               Common Stock  69331C108  38,165,640  1,804,522          X                     1,804,522     0          0
P P & L RESOURCES INC      Common Stock  69351T106  15,787,751    367,157          X                       367,157     0          0
PACCAR INC                 Common Stock  693718108   3,190,994     47,232          X                        47,232     0          0
PACIFICARE HEALTH
  SYSTEMS - A              Common Stock  695112102   3,511,408     71,182          X                        71,182     0          0
PACKAGING CORP OF AMERICA  Common Stock  695156109   6,846,745    371,500          X                       371,500     0          0
PACTIV CORP                Common Stock  695257105      13,245        672          X                           672     0          0
PALL CORP                  Common Stock  696429307      11,250        500          X                           500     0          0
PAN PACIFIC RETAIL
  PPTYS INC                Common Stock  69806L104     115,099      2,925          X                         2,925     0          0
PARAMETRIC TECHNOLOGY
  CORP                     Common Stock  699173100       2,108        691          X                           691     0          0
PARKER HANNIFIN CORP       Common Stock  701094104   8,471,734    201,756          X                       201,756     0          0
PARKWAY PROPERTIES INC     Common Stock  70159Q104      36,584        870          X                           870     0          0
PARTY CITY CORPORATION     Common Stock  702145103     238,264     23,200          X                        23,200     0          0
PATHMARK STORES INC-WTS    +Warrant 1.0  70322A119     124,993     98,420          X                        98,420     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
PATINA OIL & GAS CORP      Common Stock  703224105     717,749     22,325          X                        22,325     0          0
PATTERSON-UTI ENERGY INC   Common Stock  703481101   2,306,880     71,200          X                        71,200     0          0
PAYCHEX INC                Common Stock  704326107  23,813,554    812,472          X                       812,472     0          0
PEABODY ENERGY CORP        Common Stock  704549104   6,917,861    205,950          X                       205,950     0          0
PEC SOLUTIONS INC          Common Stock  705107100     648,830     40,300          X                        40,300     0          0
PEDIATRIX MEDICAL GROUP
  INC                      Common Stock  705324101   2,392,115     67,100          X                        67,100     0          0
PENN POWER 7.75% PFD       Preferred
                           Stock         709068886   1,464,855     15,000          X                        15,000     0          0
PENNEY (JC) CO INC         Common Stock  708160106      16,446        976          X                           976     0          0
PEOPLES ENERGY CORP        Common Stock  711030106   2,009,482     46,852          X                        46,852     0          0
PEOPLESOFT INC             Common Stock  712713106      22,533      1,281          X                         1,281     0          0
PEPSI BOTTLING GROUP       Common Stock  713409100  11,452,081    572,032          X                       572,032     0          0
PEPSICO INC                Common Stock  713448108  47,101,114  1,058,452          X                     1,058,452     0          0
PERFORMANCE FOOD GROUP CO  Common Stock  713755106     839,900     22,700          X                        22,700     0          0
PERICOM SEMICONDUCTOR
  CORP                     Common Stock  713831105   1,322,879    142,245          X                       142,245     0          0
PERKINELMER INC            Common Stock  714046109       7,416        537          X                           537     0          0
PERVASIVE SOFTWARE INC     Common Stock  715710109   1,280,325    239,313          X                       239,313     0          0
PETCO ANIMAL SUPPLIES      Common Stock  716016209   1,076,130     49,500          X                        49,500     0          0
PFIZER INC                 Common Stock  717081103 128,142,035  3,752,329          X                     3,752,329     0          0
PHELPS DODGE CORP          Common Stock  717265102   5,398,809    140,814          X                       140,814     0          0
PHILADELPHIA CONSOLIDATED
  HLDG                     Common Stock  717528103     678,720     16,800          X                        16,800     0          0
PHILLIPS VAN HEUSEN CORP   Common Stock  718592108     324,394     23,800          X                        23,800     0          0
PINNACLE WEST CAPITAL
  CORP                     Common Stock  723484101   6,108,544    163,112          X                       163,112     0          0
PIONEER STANDARD
  ELECTRONICS              Common Stock  723877106   1,942,166    229,029          X                       229,029     0          0
PITNEY BOWES INC           Common Stock  724479100   4,672,653    121,652          X                       121,652     0          0
PLANAR SYSTEMS INC         Common Stock  726900103     383,376     19,600          X                        19,600     0          0
PLATO LEARNING INC         Common Stock  72764Y100   1,993,801    346,748          X                       346,748     0          0
PLEXUS CORP                Common Stock  729132100   2,384,404    206,800          X                       206,800     0          0
PLUM CREEK TIMBER CO
  INC REIT                 Common Stock  729251108      17,698        682          X                           682     0          0
PMC SIERRA INC             Common Stock  69344F106   4,188,760    357,098          X                       357,098     0          0
PMI GROUP INC              Common Stock  69344M101  19,880,388    740,700          X                       740,700     0          0
PNC FINANCIAL SERVICES
  GROUP                    Common Stock  693475105      53,984      1,106          X                         1,106     0          0
PNM RESOURCES              Common Stock  69349H107   4,304,075    160,900          X                       160,900     0          0
POWER ONE INC              Common Stock  739308104       1,194        167          X                           167     0          0
PPG INDUSTRIES INC         Common Stock  693506107  16,311,337    321,469          X                       321,469     0          0
PRAXAIR INC                Common Stock  74005P104  15,260,953    253,926          X                       253,926     0          0
PRECISION CASTPARTS CORP   Common Stock  740189105   2,491,110     80,100          X                        80,100     0          0
PREMCOR INC                Common Stock  74045Q104     230,585     10,700          X                        10,700     0          0
PRENTISS PROPERTIES TRUST  Common Stock  740706106      56,231      1,875          X                         1,875     0          0
PRICE COMMUNICATIONS CORP  Common Stock  741437305          13          1          X                             1     0          0
PRIME  HOSPITALITY CORP.   Common Stock  741917108   1,430,035    213,120          X                       213,120     0          0
PRINCIPAL FINANCIAL '
  GROUP INC                Common Stock  74251V102      40,635      1,260          X                         1,260     0          0
PRIORITY HEALTHCARE
  CORP-B                   Common Stock  74264T102     328,335     17,700          X                        17,700     0          0
PROCTER & GAMBLE CO        Common Stock  742718109  54,526,882    611,425          X                       611,425     0          0
PROGRESS ENERGY INC        Common Stock  743263105  22,094,563    503,293          X                       503,293     0          0
PROGRESSIVE CORP           Common Stock  743315103      61,916        847          X                           847     0          0
PROLOGIS                   Common Stock  743410102     371,963     13,625          X                        13,625     0          0
PROSOFTTRAINING.COM        Common Stock  743477101     413,533    961,704          X                       961,704     0          0
PROSPERITY BANCSHARES INC  Common Stock  743606105     621,775     32,300          X                        32,300     0          0
PROTEIN DESIGN LABS INC    Common Stock  74369L103     472,524     33,800          X                        33,800     0          0
PROVIDIAN FINANCIAL CORP   Common Stock  74406A102     179,144     19,346          X                        19,346     0          0
PROVINCE HEALTHCARE INC    Common Stock  743977100   1,029,510     93,000          X                        93,000     0          0
PRUDENTIAL FINANCIAL INC   Common Stock  744320102      73,828      2,194          X                         2,194     0          0
PS BUSINESS PARKS INC CA.
  REIT                     Common Stock  69360J107   3,455,870     97,900          X                        97,900     0          0
PUBLIC SERVICE ENTER
  GROUP INC                Common Stock  744573106  13,980,525    330,900          X                       330,900     0          0
PUBLIC STORAGE INC         Common Stock  74460D109     205,760      6,075          X                         6,075     0          0
PULTE HOMES INC            Common Stock  745867101      13,750        223          X                           223     0          0
PARTHUSCEVA INC            Common Stock  70212E106           8          1          X                             1     0          0
PARTY CITY CORP            Common Stock  702145103      48,269      4,700          X                         4,700     0          0
PATINA OIL & GAS CORP      Common Stock  703224105     148,694      4,625          X                         4,625     0          0
PAYCHEX                    Common Stock  704326107   1,861,185     63,500          X                        63,500     0          0
PEC SOLUTIONS              Common Stock  705107100     133,630      8,300          X                         8,300     0          0
PEPSICO                    Common Stock  713448108   4,378,800     98,400          X                        98,400     0          0
PERFORMANCE FOOD GRP       Common Stock  713755106     170,200      4,600          X                         4,600     0          0
PETCO ANIMAL SUPPLIES INC  Common Stock  716016209     219,574     10,100          X                        10,100     0          0
PFIZER                     Common Stock  717081103   6,332,878    185,443          X                       185,443     0          0
PHILADELP CONS HLDG        Common Stock  717528103     153,520      3,800          X                         3,800     0          0
PLANAR SYSTEMS INC         Common Stock  726900103      78,240      4,000          X                         4,000     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
PLEXUS CORP                Common Stock  729132100     155,655     13,500          X                        13,500     0          0
PREMCOR INC                Common Stock  74045Q104      49,565      2,300          X                         2,300     0          0
PRIORITY HEALTHCARE        Common Stock  74264T102      66,780      3,600          X                         3,600     0          0
PROCTER&GAMBLE             Common Stock  742718109   1,828,190     20,500          X                        20,500     0          0
PROSPERITY BANCSHARES INC  Common Stock  743606105     128,975      6,700          X                         6,700     0          0
PROTEIN DESIGN LABS        Common Stock  74369L103      97,860      7,000          X                         7,000     0          0
P G & E CORPORA            US Common
                           Stock         69331C108     642,960     30,400    X                              30,400     0          0
PAYCHEX INC                US Common
                           Stock         704326107     188,096      6,400    X                                   0     0      6,400
PEARSON PLC-ADR            US Common
                           Stock         705015105     191,040     19,900    X                              19,900     0          0
PEPCO HOLDINGS             US Common
                           Stock         713291102     542,228     28,300    X                              28,300     0          0
PEPSICO INC                US Common
                           Stock         713448108     222,500      5,000    X                                   0     0      5,000
PFIZER INC                 US Common
                           Stock         717081103     307,350      9,000    X                                   0     0      9,000
PHILIPS ELC-ADR            US Common
                           Stock         500472303     143,325      7,500    X                               7,500     0          0
PINNACLE WEST C            US Common
                           Stock         723484101     730,275     19,500    X                              19,500     0          0
PNM RESOURCES              US Common
                           Stock         69349H107     588,500     22,000    X                              22,000     0          0
PROVIDIAN FINAN            US Common
                           Stock         74406A102     142,604     15,400    X                                   0     0     15,400
PUBLIC SERVICE             US Common
                           Stock         744573106     380,250      9,000    X                               9,000     0          0
P F CHANGS CHINA BISTRO    COMMON        69333Y108  18,966,000    385,417          X                       368,417     0     17,000
PMC-SIERRA INC             COMMON        69344F106  26,021,000  2,212,700          X                     2,186,600     0     26,100
PNC FINL SVCS GROUP INC    COMMON        693475105   8,683,000    177,900          X                       177,900     0          0
PACCAR INC                 COMMON        693718108   1,863,000     27,500          X                        27,500     0          0
PACIFICARE HEALTH SYS DE   COMMON        695112102  11,911,000    241,450          X                       230,450     0     11,000
PAIN THERAPEUTICS INC      COMMON        69562K100      97,000     15,000          X                        15,000     0          0
PALL CORP                  COMMON        696429307   3,821,000    169,800          X                       169,800     0          0
PAN PACIFIC RETAIL PPTYS   COMMON        69806L104  12,229,000    310,775          X                       310,775     0          0
PANERA BREAD CO            CL A          69840W108  20,923,000    523,076          X                       497,976     0     25,100
PARKER HANNIFIN CORP       COMMON        701094104   1,092,000     26,000          X                        26,000     0          0
PARKWAY PPTYS INC          COMMON        70159Q104   4,209,000    100,095          X                       100,095     0          0
PATINA OIL & GAS CORP      COMMON        703224105  12,625,000    392,675          X                       374,588     0     18,087
PATTERSON UTI ENERGY INC   COMMON        703481101  36,438,000  1,125,662          X                     1,102,462     0     23,200
PEABODY ENERGY CORP        COMMON        704549104     514,000     15,300          X                        15,300     0          0
PEMSTAR INC                COMMON        706552106     130,000     31,000          X                        31,000     0          0
PEOPLES FOOD HLDGS LTD     CHINA         C63363342     273,000    500,000          X                       500,000     0          0
PEPCO HOLDINGS INC         COMMON        713291102   2,874,000    150,000          X                       150,000     0          0
PEPSI BOTTLING GROUP INC   COMMON        713409100   2,499,000    124,850          X                       124,850     0          0
PEPSICO INC                COMMON        713448108  58,199,000  1,307,850          X                     1,306,600     0      1,250
P T TELEKOMUNIKASI INDON   DEPOSITORY
                           RECEI         715684106   3,136,000    280,000          X                       280,000     0          0
PETCO ANIMAL SUPPLIES      COM NEW       716016209   5,621,000    258,100          X                       245,600     0     12,500
PETROLEO BRASILEIRO SA P   DEPOSITORY
                           RECEI         71654V408   2,223,000    112,500          X                       112,500     0          0
PETSMART INC               COMMON        716768106  12,100,000    724,100          X                       689,100     0     35,000
PFIZER INC                 COMMON        717081103 258,913,000  7,581,638          X                     7,008,218     0    573,420
PHILADELPHIA CONS HLDG C   COMMON        717528103     529,000     13,200          X                        12,500     0        700
PHOTRONICS INC             COMMON        719405102  17,010,000    989,545          X                       941,867     0     47,678
PINNACLE WEST CAP CORP     COMMON        723484101   6,160,000    164,475          X                       134,675     0     29,800
PIONEER CORP JAPAN         DEPOSITORY
                           RECEI         723646105   2,614,000    114,800          X                       114,800     0          0
PIONEER NAT RES CO         COMMON        723787107   8,153,000    312,385          X                       265,985     0     46,400
PIXAR                      COMMON        725811103   6,646,000    109,700          X                       109,700     0          0
PIXELWORKS INC             COMMON        72581M107   4,683,000    785,800          X                       747,800     0     38,000
PLACER DOME INC            COMMON        725906101     920,000     75,000          X                        75,000     0          0
POLYCOM INC                COMMON        73172K104  22,310,000  1,609,700          X                     1,571,400     0     38,300
POST PPTYS INC             COMMON        737464107   4,889,000    184,500          X                       184,500     0          0
POTASH CORP SASK INC       COMMON        73755L107  14,989,000    234,200          X                       234,200     0          0
POTLATCH CORP              COMMON        737628107     773,000     30,000          X                        30,000     0          0
POWER INTEGRATIONS INC     COMMON        739276103   2,066,000     85,000          X                        81,000     0      4,000
PRAXAIR INC                COMMON        74005P104  12,945,000    215,385          X                       175,235     0     40,150
PRECISION CASTPARTS CORP   COMMON        740189105     933,000     30,000          X                        30,000     0          0
PRECISION DRILLING CORP    COMMON        74022D100  27,030,000    715,842          X                       682,342     0     33,500
PREMCOR INC                COMMON        74045Q104  23,716,000  1,100,520          X                     1,051,520     0     49,000
PRENTISS PPTYS TR          SH BEN INT    740706106   6,580,000    219,400          X                       219,400     0          0
PRIDE INTL INC DEL         COMMON        74153Q102     376,000     20,000          X                        20,000     0          0
PRINCIPAL FINANCIAL GROU   COMMON        74251V102  12,455,000    386,200          X                       313,800     0     72,400
PROASSURANCE CORP          COMMON        74267C106   7,015,000    259,900          X                       244,800     0     15,100
PROCTER & GAMBLE CO        COMMON        742718109  26,753,000    299,985          X                       273,385     0     26,600
PROGRESS ENERGY INC        COMMON        743263105     885,000     20,160          X                        20,160     0          0
PROGRESSIVE CORP OHIO      COMMON        743315103     951,000     13,005          X                        13,005     0          0
PROLOGIS                   SH BEN INT    743410102  40,587,000  1,486,715          X                     1,486,715     0          0
PROVIDIAN FINL CORP        COMMON        74406A102   6,076,000    656,170          X                       656,170     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
PRUDENTIAL FINL INC        COMMON        744320102  12,859,000    382,150          X                       310,750     0     71,400
PUBLIC STORAGE INC         COMMON        74460D109  22,482,000    663,775          X                       663,775     0          0
PULITZER INC               COMMON        745769109   2,496,000     50,500          X                        50,500     0          0
QDI LLC  WARRANTS          +Warrant 1.0  74756Q111           0     25,618          X                        25,618     0          0
QLOGIC CORP                Common Stock  747277101   5,894,085    121,955          X                       121,955     0          0
QUALCOMM INC               Common Stock  747525103     112,434      3,145          X                         3,145     0          0
QUEST DIAGNOSTICS          Common Stock  74834L100      26,860        421          X                           421     0          0
QUESTAR CORP               Common Stock  748356102   2,493,515     74,500          X                        74,500     0          0
QUINTILES TRANSNATIONAL
  CORP                     Common Stock  748767100       5,619        396          X                           396     0          0
QWEST COMMUNICATIONS INTL  Common Stock  749121109      31,820      6,657          X                         6,657     0          0
QMED INC                   Common Stock  747914109      14,500      2,000          X                         2,000     0          0
QUEST DIAGNOSTICS          Common Stock  74834L100      95,700      1,500          X                         1,500     0          0
QUALCOMM INC               COMMON        747525103  22,745,000    632,865          X                       516,265     0    116,600
QUICKLOGIC CORP            COMMON        74837P108      32,000     10,000          X                        10,000     0          0
RADIAN GROUP INC           Common Stock  750236101  20,307,765    554,100          X                       554,100     0          0
RADION ONE INC-CL D W/I    Common Stock  75040P405     758,779     42,700          X                        42,700     0          0
RADIOSHACK CORP            Common Stock  750438103      15,918        605          X                           605     0          0
RALCORP HOLDINGS, INC.     Common Stock  751028101   3,453,216    138,350          X                       138,350     0          0
RANBAXY LABORATORIES LTD   Common Stock  Y7187Y116     918,710     48,100          X                        48,100     0          0
RAYONIER INC               Common Stock  754907103   2,079,000     63,000          X                        63,000     0          0
RAYOVAC CORP               Common Stock  755081106     458,430     35,400          X                        35,400     0          0
RAYTHEON CO                Common Stock  755111507  31,184,339    949,584          X                       949,584     0          0
RECKSON ASSOC REALTY CORP  Common Stock  75621K106      47,978      2,300          X                         2,300     0          0
RED ROBIN GOURMET BURGERS  Common Stock  75689M101     216,144     11,400          X                        11,400     0          0
REEBOK INTERNATIONAL LTD   Common Stock  758110100       9,585        285          X                           285     0          0
REGENCY CENTERS CORP       Common Stock  758849103     290,334      8,300          X                         8,300     0          0
REGIONS FINANCIAL CORP     Common Stock  758940100      29,524        874          X                           874     0          0
REMINGTON OIL & GAS CORP   Common Stock  759594302     360,248     19,600          X                        19,600     0          0
RENAISSANCERE HOLDINGS
  LTD                      Common Stock  G7496G103   9,840,514    216,180          X                       216,180     0          0
RENT-WAY INC               Common Stock  76009U104   1,731,195    372,300          X                       372,300     0          0
REPUBLIC SERVICES INC      Common Stock  760759100     324,181     14,300          X                        14,300     0          0
RESMED INC                 Common Stock  761152107     196,000      5,000          X                         5,000     0          0
RESPIRONICS INC            Common Stock  761230101     472,752     12,600          X                        12,600     0          0
REYNOLDS & REYNOLDS CO     Common Stock  761695105  15,799,392    553,200          X                       553,200     0          0
RFS HOTEL INVESTORS INC    Common Stock  74955J108     305,536     24,800          X                        24,800     0          0
RIGGS NATL CORP WASH DC    Common Stock  766570105   2,790,983    183,376          X                       183,376     0          0
RJ REYNOLDS TOBACCO
  HOLDINGS                 Common Stock  76182K105      11,163        300          X                           300     0          0
RLI CORP                   Common Stock  749607107   2,977,450     90,500          X                        90,500     0          0
ROBERT HALF INTL INC       Common Stock  770323103     289,782     15,300          X                        15,300     0          0
ROCKWELL AUTOMATION INC    Common Stock  773903109      16,640        698          X                           698     0          0
ROCKWELL COLLINS           Common Stock  774341101      16,576        673          X                           673     0          0
ROHM & HAAS CO             Common Stock  775371107      27,337        881          X                           881     0          0
ROSS STORES                Common Stock  778296103   9,590,856    224,400          X                       224,400     0          0
ROUSE COMPANY              Common Stock  779273101     290,513      7,625          X                         7,625     0          0
ROWAN COS INC              Common Stock  779382100       7,616        340          X                           340     0          0
ROYAL DUTCH PETRO-NY
  SHARES                   Common Stock  780257804  41,291,334    885,700          X                       885,700     0          0
RTI INTERNATIONAL METALS   Common Stock  74973W107   1,992,179    183,950          X                       183,950     0          0
RUSS BERRIE & CO INC       Common Stock  782233100     978,468     26,800          X                        26,800     0          0
RUSSEL CORP                Common Stock  782352108   2,386,400    125,600          X                       125,600     0          0
RYANAIR HOLDINGS PLC-SP
  ADR                      Common Stock  783513104     816,058     18,175          X                        18,175     0          0
RYDER SYSTEM INC           Common Stock  783549108   2,463,722     96,164          X                        96,164     0          0
RLI CORP                   Common Stock  749607107      29,610        900          X                           900     0          0
RADIO ONE INC CL D         Common Stock  75040P405     151,045      8,500          X                         8,500     0          0
RAYOVAC CORP               Common Stock  755081106     107,485      8,300          X                         8,300     0          0
RED ROBIN GOURMET BURGERS  Common Stock  75689M101      45,504      2,400          X                         2,400     0          0
REMINGTON OIL & GAS CORP   Common Stock  759594302      71,682      3,900          X                         3,900     0          0
RESPIRONICS INC            Common Stock  761230101      93,800      2,500          X                         2,500     0          0
RESMED INC                 US Common
                           Stock         761152107      66,640      1,700    X                             187,700     0          0
RF MICRODEVICES INC        COMMON        749941100  15,646,000  2,651,900          X                     2,524,600     0    127,300
RADIO ONE INC              CL D NON VTG  75040P405  21,133,000  1,191,946          X                     1,134,136     0     57,810
RAYTHEON CO                COM NEW       755111507  21,312,000    648,965          X                       648,965     0          0
RECKSON ASSOCS RLTY CORP   COMMON        75621K106   5,585,000    267,725          X                       267,725     0          0
REGENCY CTRS CORP          COMMON        758849103  31,265,000    893,800          X                       893,800     0          0
REPUBLIC SVCS INC          COMMON        760759100  10,886,000    480,210          X                       480,210     0          0
RESOURCES CONNECTION INC   COMMON        76122Q105  19,449,000    814,800          X                       778,000     0     36,800
REYNOLDS R J TOB HLDGS I   COMMON        76182K105     409,000     10,990          X                        10,990     0          0
ROBERT HALF INTL INC       COMMON        770323103  10,027,000    529,433          X                       529,433     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
ROCKWELL AUTOMATION INC    COMMON        773903109   1,073,000     45,000          X                        45,000     0          0
ROHM & HAAS CO             COMMON        775371107   5,467,000    176,200          X                       176,200     0          0
ROUSE CO                   COMMON        779273101  31,976,000    839,275          X                       839,275     0          0
ROWAN COS INC              COMMON        779382100   3,930,000    175,450          X                       175,450     0          0
ROYAL CARIBBEAN CRUISES    COMMON        V7780T103  30,414,000  1,313,210          X                     1,073,910     0    239,300
RUBY TUESDAY INC           COMMON        781182100  11,260,000    455,300          X                       433,400     0     21,900
RYDER SYS INC              COMMON        783549108   3,474,000    135,600          X                       135,600     0          0
RYLAND GROUP INC           COMMON        783764103     727,000     10,470          X                        10,470     0          0
S & P 500 DEPOSITARY
  RECEIPT                  Common Stock  78462F103  11,715,600    120,000          X                       120,000     0          0
SABRE HOLDINGS CORP        Common Stock  785905100      13,705        556          X                           556     0          0
SAFECO CORP                Common Stock  786429100      19,580        555          X                           555     0          0
SAFEWAY INC                Common Stock  786514208      35,580      1,739          X                         1,739     0          0
SALIX PHARMACEUTICALS LTD  Common Stock  795435106     313,651     29,900          X                        29,900     0          0
SAMSUNG ELECTRONIC GDR
  REP1/                    Common Stock    4942818   2,180,675     14,660          X                        14,660     0          0
SANMINA CORP               Common Stock  800907107      12,639      2,003          X                         2,003     0          0
SAP AG SPONSORED ADR       Common Stock  803054204  22,778,451    779,550          X                       779,550     0          0
SARA LEE CORP              Common Stock  803111103      57,295      3,046          X                         3,046     0          0
SBC COMMUNICATIONS INC     Common Stock  78387G103 109,268,280  4,276,645          X                     4,276,645     0          0
SCHERING PLOUGH CORP       Common Stock  806605101     105,220      5,657          X                         5,657     0          0
SCHLUMBERGER LTD           Common Stock  806857108  31,973,985    672,146          X                       672,146     0          0
SCHULMAN (A) INC           Common Stock  808194104   1,703,870    106,094          X                       106,094     0          0
SCHWEITZER-MAUDUIT INTL
  INC                      Common Stock  808541106     941,460     39,000          X                        39,000     0          0
SCIENTIFIC ATLANTA INC     Common Stock  808655104     302,887     12,705          X                        12,705     0          0
SCIENTIFIC GAMES
  CORPORATION              Common Stock  80874P109     739,780     78,700          X                        78,700     0          0
SCP POOL CORP              Common Stock  784028102     550,400     16,000          X                        16,000     0          0
SCRIPPS CO (E.W.) CL A     Common Stock  811054204   5,828,904     65,700          X                        65,700     0          0
SEAGATE TECHNOLOGY ESCROW
  POS                      Common Stock  811804988       1,058    105,800          X                       105,800     0          0
SEALED AIR CORP            Common Stock  81211K100      13,821        290          X                           290     0          0
SEARS ROEBUCK & CO         Common Stock  812387108      41,680      1,239          X                         1,239     0          0
SECURE COMPUTING CORP      Common Stock  813705100         768         88          X                            88     0          0
SEMPRA ENERGY              Common Stock  816851109   6,384,443    223,780          X                       223,780     0          0
SEROLOGICALS CORPORATION   Common Stock  817523103   1,004,531     73,700          X                        73,700     0          0
SFBC INTERNATIONAL         Common Stock  784121105     278,740     15,400          X                        15,400     0          0
SHAW GROUP INC             Common Stock  820280105   1,837,023    152,450          X                       152,450     0          0
SHERWIN WILLIAMS CO        Common Stock  824348106      13,924        518          X                           518     0          0
SHOPKO STORES INC          Common Stock  824911101   1,515,150    116,550          X                       116,550     0          0
SICOR INC                  Common Stock  825846108     748,512     36,800          X                        36,800     0          0
SIEBEL SYSTEMS INC         Common Stock  826170102     224,429     23,525          X                        23,525     0          0
SIERRA PACIFIC RESOURCES   Common Stock  826428104   4,158,000    700,000          X                       700,000     0          0
SIGMA-ALDRICH              Common Stock  826552101   3,210,328     59,253          X                        59,253     0          0
SIMMONS FIRST NATIONAL
  CORP - CL                Common Stock  828730200   1,706,293     85,272          X                        85,272     0          0
SIMON PROPERTY GROUP INC   Common Stock  828806109     442,991     11,350          X                        11,350     0          0
SINCLAIR BROADCAST GP
  -CL A                    Common Stock  829226109     470,205     40,500          X                        40,500     0          0
SINCLAIR CAPITAL           1Preferred
                           -100          829230408   5,624,938     53,750          X                        53,750     0          0
SIX FLAGS                  Common Stock  83001P109   9,982,872  1,472,400          X                     1,472,400     0          0
SKYWEST INC                Common Stock  830879102   2,777,042    145,700          X                       145,700     0          0
SKYWORKS SOLUTIONS INC     Common Stock  83088M102     255,906     37,800          X                        37,800     0          0
SL GREEN REALTY CORP       Common Stock  78440X101      85,481      2,450          X                         2,450     0          0
SLM CORPORATION            Common Stock  78442P106   2,525,877     64,485          X                        64,485     0          0
SMITH INTERNATIONAL INC    Common Stock  832110100  19,957,168    543,200          X                       543,200     0          0
SNAP ON INC                Common Stock  833034101       6,909        238          X                           238     0          0
SOLA INTERNATIONAL INC     Common Stock  834092108   2,237,640    128,600          X                       128,600     0          0
SOLECTRON CORP             Common Stock  834182107      11,168      2,986          X                         2,986     0          0
SOMERA COMMUNICATIONS INC  Common Stock  834458101     555,285    380,332          X                       380,332     0          0
SONG NETWORKS HLDG AKTIR
  ADR                      Common Stock  83544Q101       1,265     63,244          X                        63,244     0          0
SONICWALL INC              Common Stock  835470105   2,263,555    471,574          X                       471,574     0          0
SONOSITE  INC              Common Stock  83568G104     654,360     32,800          X                        32,800     0          0
SOURCECORP                 Common Stock  836167106   2,144,880     99,300          X                        99,300     0          0
SOUTHERN CO                Common Stock  842587107  21,686,114    695,960          X                       695,960     0          0
SOUTHTRUST CORP            Common Stock  844730101      35,278      1,297          X                         1,297     0          0
SOUTHWEST AIRLINES CO      Common Stock  844741108      52,271      3,039          X                         3,039     0          0
SOVEREIGN BANCORP INC      Common Stock  845905108  17,689,195  1,130,300          X                     1,130,300     0          0
SPHERION CORPORATION       Common Stock  848420105   3,507,665    504,700          X                       504,700     0          0
SPINNAKER EXPLORATION CO   Common Stock  84855W109     733,600     28,000          X                        28,000     0          0
SPLITROCK SERVICE
  WARRANTS                 +Warrant 1.0  848636114      24,500      2,000          X                         2,000     0          0
SPRINT CORP FON GROUP      Common Stock  852061100      50,285      3,492          X                         3,492     0          0
SPRINT CORP PCS GROUP      Common Stock  852061506   7,526,440  1,308,946          X                     1,308,946     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
SRA INTL INC CL A          Common Stock  78464R105     550,400     17,200          X                        17,200     0          0
ST JUDE MEDICAL INC        Common Stock  790849103  14,337,395    249,346          X                       249,346     0          0
ST MARY LAND &
  EXPLORATION CO           Common Stock  792228108     535,626     19,620          X                        19,620     0          0
ST PAUL COMPANIES INC      Common Stock  792860108   8,722,202    238,899          X                       238,899     0          0
STANCORP FINANCIAL GROUP   Common Stock  852891100     485,646      9,300          X                         9,300     0          0
STANDARD MOTOR PRODUCTS    Common Stock  853666105   1,488,510    134,100          X                       134,100     0          0
STANLEY WORKS              Common Stock  854616109      10,516        381          X                           381     0          0
STAPLES INC                Common Stock  855030102     651,627     35,511          X                        35,511     0          0
STARBUCKS CORP             Common Stock  855244109      36,878      1,504          X                         1,504     0          0
STARWOOD HOTELS & RESORTS
  WOR                      Common Stock  85590A203     537,292     18,793          X                        18,793     0          0
STATE AUTO FINANCIAL CORP  Common Stock  855707105   1,966,912     87,613          X                        87,613     0          0
STATE STREET CORP          Common Stock  857477103  13,904,890    352,916          X                       352,916     0          0
STATION CASINOS INC        Common Stock  857689103   1,194,325     47,300          X                        47,300     0          0
STELLENT INC               Common Stock  85856W105   1,310,580    242,700          X                       242,700     0          0
STEWART ENTERPRISES INC
  CL A                     Common Stock  860370105   1,709,663    397,596          X                       397,596     0          0
STONE ENERGY CORP          Common Stock  861642106   3,542,240     84,500          X                        84,500     0          0
STRIDE RITE CORP           Common Stock  863314100   1,037,832    104,200          X                       104,200     0          0
STRYKER CORP               Common Stock  863667101      53,831        776          X                           776     0          0
SUN MICROSYSTEMS INC       Common Stock  866810104      57,072     12,407          X                        12,407     0          0
SUNGARD DATA SYSTEMS INC   Common Stock  867363103      29,097      1,123          X                         1,123     0          0
SUNOCO INC                 Common Stock  86764P109      12,794        339          X                           339     0          0
SUNRISE SENIOR LIVING INC  Common Stock  86768K106   1,911,252     85,400          X                        85,400     0          0
SUNTRUST BANKS INC         Common Stock  867914103      65,037      1,096          X                         1,096     0          0
SUPERIOR ENERGY            Common Stock  868157108     531,828     56,100          X                        56,100     0          0
SUPERIOR INDUSTRIES INTL   Common Stock  868168105  13,398,210    321,300          X                       321,300     0          0
SUPERVALU INC              Common Stock  868536103      11,278        529          X                           529     0          0
SYBASE INC                 Common Stock  871130100   2,296,541    165,100          X                       165,100     0          0
SYLVAN LEARNING SYSTEMS
  INC                      Common Stock  871399101     808,536     35,400          X                        35,400     0          0
SYMANTEC CORP              Common Stock  871503108     436,275      9,947          X                         9,947     0          0
SYMBOL TECHNOLOGIES INC    Common Stock  871508107     230,849     17,744          X                        17,744     0          0
SYNOVUS FINANCIAL CORP     Common Stock  87161C105      26,144      1,216          X                         1,216     0          0
SYSCO CORP                 Common Stock  871829107   2,872,755     95,631          X                        95,631     0          0
SCP POOL CORP              Common Stock  784028102     113,520      3,300          X                         3,300     0          0
SFBC INTL INC              Common Stock  784121105      72,400      4,000          X                         4,000     0          0
SRA INTERNATIONAL
  INC-CL A                 Common Stock  78464R105     166,400      5,200          X                         5,200     0          0
ST JUDE MED INC            Common Stock  790849103     632,500     11,000          X                        11,000     0          0
ST MARY LAND &
  EXPLORATION              Common Stock  792228108     131,040      4,800          X                         4,800     0          0
SALIX PHARMACEUTICALS LTD  Common Stock  795435106      63,989      6,100          X                         6,100     0          0
SCHERING PLOUGH            Common Stock  806605101     186,000     10,000          X                        10,000     0          0
SCHLUMBERGER LTD           Common Stock  806857108     599,382     12,600          X                        12,600     0          0
SCIENTIFIC GAMES COR       Common Stock  80874P109     153,220     16,300          X                        16,300     0          0
SEROLOGICALS CORP          Common Stock  817523103     208,539     15,300          X                        15,300     0          0
SHARPER IMAGE CORP         Common Stock  820013100     158,166      5,800          X                         5,800     0          0
SICOR INC                  Common Stock  825846108     158,652      7,800          X                         7,800     0          0
Sinclair Broadcast Group
  - A                      Common Stock  829226109      97,524      8,400          X                         8,400     0          0
SKYWORKS SOLUTIONS INC     Common Stock  83088M102      52,129      7,700          X                         7,700     0          0
SMITH INTL INC             Common Stock  832110100   1,278,552     34,800          X                        34,800     0          0
SONOSITE INC               Common Stock  83568G104     135,660      6,800          X                         6,800     0          0
SPINNAKER EXPLO CO         Common Stock  84855W109     133,620      5,100          X                         5,100     0          0
STATION CASINOS            Common Stock  857689103     249,975      9,900          X                         9,900     0          0
STRATTEC SECURITY CORP     Common Stock  863111100     242,060      4,550          X                         4,550     0          0
SUN HEALTHCARE GROUP-WT05  Common Stock  866933112         613      6,125          X                         6,125     0          0
SUNTRUST BANKS INC         Common Stock  867914103     148,350      2,500          X                         2,500     0          0
SUPERIOR ENERGY SERVICES
  INC                      Common Stock  868157108     109,968     11,600          X                        11,600     0          0
SYLVAN LEARNING            Common Stock  871399101     166,732      7,300          X                         7,300     0          0
SAFEWAY INC                US Common
                           Stock         786514208     102,300      5,000    X                                   0     0      5,000
SBC COMMUNICATI            US Common
                           Stock         78387G103     908,021     35,539    X                              35,539     0          0
SEVEN-ELEV ADR             US Common
                           Stock         817828205     106,050      4,200    X                               4,200     0          0
SIGMA-ALDRICH              US Common
                           Stock         826552101     135,800      2,500    X                                   0     0      2,500
SMITH INTERNATI            US Common
                           Stock         832110100     146,960      4,000    X                                   0     0      4,000
SOUTHWEST AIRLI            US Common
                           Stock         844741108     146,200      8,500    X                                   0     0      8,500
STORA ENSO -ADR            US Common
                           Stock         86210M106      59,837      5,300    X                                   0     0      5,300
SBC COMMUNICATIONS INC     COMMON        78387G103  42,602,000  1,667,393          X                     1,476,443     0    190,950
SBA COMMUNICATIONS CORP    COMMON        78388J106      60,000     19,800          X                        19,800     0          0
SL GREEN RLTY CORP         COMMON        78440X101   9,010,000    258,250          X                       258,250     0          0
SLM CORP                   COMMON        78442P106   9,929,000    253,485          X                       253,485     0          0
SAFECO CORP                COMMON        786429100     706,000     20,000          X                        20,000     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
ST JOE CO                  COMMON        790148100  27,765,000    889,900          X                       889,900     0          0
ST JUDE MED INC            COMMON        790849103  19,264,000    335,020          X                       335,020     0          0
ST PAUL COS INC            COMMON        792860108   6,225,000    170,500          X                       170,500     0          0
SAMSUNG ELECTRS LTD        DEPOSITORY
                           RECEI         796050888   3,347,000     22,500          X                        22,500     0          0
SANDISK CORP               COMMON        80004C101  14,849,000    366,000          X                       366,000     0          0
SANGSTAT MED CORP          COMMON        801003104   8,426,000    642,700          X                       611,100     0     31,600
SAP AKTIENGESELLSCHAFT     DEPOSITORY
                           RECEI         803054204  25,040,000    856,945          X                       856,945     0          0
SAPIENT CORP               COMMON        803062108     138,000     50,000          X                        50,000     0          0
SAPPI LTD                  DEPOSITORY
                           RECEI         803069202     741,000     60,000          X                        60,000     0          0
SARA LEE CORP              COMMON        803111103   3,160,000    168,000          X                       168,000     0          0
SCANA CORP NEW             COMMON        80589M102   1,885,000     55,000          X                        55,000     0          0
SCHEIN HENRY INC           COMMON        806407102  30,128,000    573,758          X                       546,898     0     26,860
SCHERING A G               DEPOSITORY
                           RECEI         806585204   1,454,000     30,000          X                        30,000     0          0
SCHERING PLOUGH CORP       COMMON        806605101   6,375,000    342,750          X                       342,750     0          0
SCHLUMBERGER LTD           COMMON        806857108  48,227,000  1,013,805          X                       948,305     0     65,500
SCHULMAN A INC             COMMON        808194104   3,859,000    240,000          X                       240,000     0          0
SCHWAB CHARLES CORP NEW    COMMON        808513105   4,076,000    404,000          X                       404,000     0          0
SCIENTIFIC ATLANTA INC     COMMON        808655104  10,450,000    438,330          X                       438,330     0          0
SCOTTISH ANNUITY & LIFE    ORD           G7885T104  19,483,000    964,042          X                       918,442     0     45,600
SEALED AIR CORP NEW        COMMON        81211K100   2,264,000     47,500          X                        47,500     0          0
SEPRACOR INC               COMMON        817315104   1,793,000    100,000          X                       100,000     0          0
SERVICE CORP INTL          COMMON        817565104     581,000    150,000          X                       150,000     0          0
SHERWIN WILLIAMS CO        COMMON        824348106   2,433,000     90,500          X                        90,500     0          0
SHIRE PHARMACEUTICALS GR   DEPOSITORY
                           RECEI         82481R106  10,045,000    508,590          X                       419,890     0     88,700
SIEBEL SYS INC             COMMON        826170102  10,024,000  1,057,085          X                     1,057,085     0          0
SIEMENS A G                DEPOSITORY
                           RECEI         826197501   2,076,000     42,500          X                        42,500     0          0
SIFY LTD                   DEPOSITORY
                           RECEI         82655M107      71,000     11,600          X                        11,600     0          0
SILICON LABORATORIES INC   COMMON        826919102  14,422,000    541,765          X                       441,265     0    100,500
SILICON STORAGE TECHNOLO   COMMON        827057100     168,000     40,000          X                        40,000     0          0
SILICONWARE PRECISION IN   DEPOSITORY
                           RECEI         827084864     372,000    115,400          X                       115,400     0          0
SIMON PPTY GROUP INC NEW   COMMON        828806109  43,518,000  1,114,981          X                     1,114,981     0          0
SINCLAIR BROADCAST GROUP   CL A          829226109     581,000     50,000          X                        50,000     0          0
SKYWEST INC                COMMON        830879102   6,523,000    341,900          X                       325,400     0     16,500
SMITH INTL INC             COMMON        832110100   8,516,000    231,800          X                       231,800     0          0
SMURFIT-STONE CONTAINER    COMMON        832727101   4,658,000    358,000          X                       358,000     0          0
SOHU COM INC               COMMON        83408W103     340,000     10,000          X                        10,000     0          0
SOLECTRON CORP             COMMON        834182107   2,110,000    564,300          X                       564,300     0          0
SONY CORP                  DEPOSITORY
                           RECEI         835699307     560,000     20,000          X                        20,000     0          0
SPRINT CORP                PCS COM SER 1 852061506   3,694,000    642,500          X                       642,500     0          0
STANCORP FINL GROUP INC    COMMON        852891100  14,514,000    277,945          X                       277,945     0          0
STANLEY WKS                COMMON        854616109   2,567,000     93,000          X                        93,000     0          0
STAPLES INC                COMMON        855030102   2,273,000    123,850          X                       123,850     0          0
STARWOOD HOTELS&RESORTS    PAIRED CTF    85590A203  43,068,000  1,506,390          X                     1,506,390     0          0
STELMAR SHIPPING LTD       COMMON        V8726M103   1,445,000     86,500          X                        86,500     0          0
STERICYCLE INC             COMMON        858912108  15,782,000    411,429          X                       332,525     0     78,904
STERLING FINL CORP WASH    COMMON        859319105     633,000     26,000          X                        26,000     0          0
STEWART W P & CO LTD       COMMON        G84922106   3,460,000    154,450          X                       154,450     0          0
STOCKMANN OYI ABP B SH     FINLAND       F54623933   2,480,000    140,000          X                       140,000     0          0
SUN MICROSYSTEMS INC       COMMON        866810104   4,029,000    866,500          X                       866,500     0          0
SYMANTEC CORP              COMMON        871503108  23,589,000    537,210          X                       475,510     0     61,700
SYMBOL TECHNOLOGIES INC    COMMON        871508107  11,329,000    870,830          X                       870,830     0          0
SYNAPTICS INC              COMMON        87157D109     800,000     60,000          X                        60,000     0          0
SYNGENTA AG                DEPOSITORY
                           RECEI         87160A100   1,020,000    100,622          X                       100,622     0          0
SYSCO CORP                 COMMON        871829107  12,832,000    427,165          X                       427,165     0          0
T ROWE PRICE GROUP INC     Common Stock  74144T108      17,441        462          X                           462     0          0
TAIWAN SEMICONDUCTOR ADR   Common Stock  874039100   2,178,086    216,080          X                       216,080     0          0
TAKE-TWO INTERACTIVE
  SOFT.INC                 Common Stock  874054109     357,084     12,600          X                        12,600     0          0
TARGET CORP                Common Stock  87612E106   7,513,132    198,550          X                       198,550     0          0
TARO PHARMACEUTICAL INDUS  Common Stock  M8737E108     900,032     16,400          X                        16,400     0          0
TAUBMAN CENTERS INC        Common Stock  876664103      81,430      4,250          X                         4,250     0          0
TBC CORP                   Common Stock  872180104   3,016,968    158,371          X                       158,371     0          0
TECH DATA CORP             Common Stock  878237106   2,331,783     87,300          X                        87,300     0          0
TECO ENERGY INC            Common Stock  872375100     525,162     43,800          X                        43,800     0          0
TECUMSEH PRODS CO          Common Stock  878895200   2,410,159     62,912          X                        62,912     0          0
TEKTRONIX INC              Common Stock  879131100       6,199        287          X                           287     0          0
TELEPHONE & DATA           Common Stock  879433100  18,871,090    379,700          X                       379,700     0          0
TELETECH HOLDINGS INC      Common Stock  879939106     816,813    193,100          X                       193,100     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
TELIK INC                  Common Stock  87959M109     509,419     31,700          X                        31,700     0          0
TELLABS INC                Common Stock  879664100       9,323      1,419          X                         1,419     0          0
TELUS CORP -NON VTG SHS    Common Stock  87971M202          33          2          X                             2     0          0
TEMPLE INLAND INC          Common Stock  879868107       9,140        213          X                           213     0          0
TENET HEALTHCARE CORP      Common Stock  88033G100      21,902      1,880          X                         1,880     0          0
TERADYNE INC               Common Stock  880770102     174,416     10,076          X                        10,076     0          0
TEVA PHARMACEUTICALS ADR   Common Stock  881624209  33,856,271    594,700          X                       594,700     0          0
TEXAS GENCO HOLDINGS INC   Common Stock  882443104   1,258,639     54,135          X                        54,135     0          0
TEXAS INSTRUMENTS INC      Common Stock  882508104  31,109,549  1,767,588          X                     1,767,588     0          0
TEXAS REGIONAL
  BANCSHARES-A             Common Stock  882673106  11,839,640    341,200          X                       341,200     0          0
TEXTRON INC                Common Stock  883203101  59,925,550  1,535,765          X                     1,535,765     0          0
THE BISYS GROUP INC        Common Stock   55472104     331,579     18,050          X                        18,050     0          0
THE NAVIGATORS GROUP INC   Common Stock  638904102   1,064,574     35,700          X                        35,700     0          0
THE PHOENIX COMPANIES INC  Common Stock  71902E113   2,670,623    295,750          X                       295,750     0          0
THE SHARPER IMAGE          Common Stock  820013100     779,922     28,600          X                        28,600     0          0
THE ST. JOE COMPANY        Common Stock  790148100     258,960      8,300          X                         8,300     0          0
THERMO ELECTRON CORP       Common Stock  883556102      14,231        677          X                           677     0          0
THOMAS & BETTS CORP        Common Stock  884315102       2,168        150          X                           150     0          0
TIFFANY & CO               Common Stock  886547108      19,249        589          X                           589     0          0
TJX COMPANIES, INC         Common Stock  872540109  19,669,073  1,044,006          X                     1,044,006     0          0
TOLEDO EDISON ARP SER A    Preferred
                           Stock         889175782   1,034,000     40,000          X                        40,000     0          0
TOLLGRADE COMMUNICATIONS
  INC                      Common Stock  889542106   2,151,464    115,360          X                       115,360     0          0
TOM BROWN INC              Common Stock  115660201     425,187     15,300          X                        15,300     0          0
TOO INC                    Common Stock  890333107     741,150     36,600          X                        36,600     0          0
TORCHMARK CORP             Common Stock  891027104      18,141        487          X                           487     0          0
TORO CO                    Common Stock  891092108   2,309,475     58,100          X                        58,100     0          0
TOYS R US INC              Common Stock  892335100      10,254        846          X                           846     0          0
TRANSOCEAN INC             Common Stock  G90078109  30,583,053  1,392,037          X                     1,392,037     0          0
TRAVELERS PROPERTY
  CASUALT-A                Common Stock  89420G109          16          1          X                             1     0          0
TRAVELERS PROPERTY
  CASUALTY B               Common Stock  89420G406      58,387      3,909          X                         3,909     0          0
TRAVIS BOATS & MOTORS INC  Common Stock  894363100     150,831    186,211          X                       186,211     0          0
TRIBUNE CO                 Common Stock  896047107      57,622      1,193          X                         1,193     0          0
TRICO BANCSHARES           Common Stock  896095106   2,993,492    117,715          X                       117,715     0          0
TRIMERIS INC               Common Stock  896263100     705,756     15,450          X                        15,450     0          0
TRIZETTO GROUP INC         Common Stock  896882107     662,588    109,700          X                       109,700     0          0
TUPPERWARE CORP            Common Stock  899896104       2,154        150          X                           150     0          0
TXU CORP                   Common Stock  873168108  39,018,100  1,738,000          X                     1,738,000     0          0
TYCO INT'L LTD             Common Stock  902124106   4,607,091    242,734          X                       242,734     0          0
TAK-TWO INTERACTIVE
  SOFTWRE                  Common Stock  874054109      73,684      2,600          X                         2,600     0          0
TARO PHARMACEUTICAL        Common Stock  M8737E108     170,128      3,100          X                         3,100     0          0
TELIK INC                  Common Stock  87959M109     106,062      6,600          X                         6,600     0          0
TEXAS INSTRUMENTS          Common Stock  882508104   2,235,200    127,000          X                       127,000     0          0
THERMO ELECTRON            Common Stock  883556AH5   5,255,000    250,000          X                       250,000     0          0
TOM BROWN INC              Common Stock  115660201      86,149      3,100          X                         3,100     0          0
TOO INC                    Common Stock  890333107     151,875      7,500          X                         7,500     0          0
TRANSOCEAN INC             Common Stock  G90078109   3,693,355    168,109          X                       168,109     0          0
TRIAD HOSPITALS INC        Common Stock  89579K109     769,420     31,000          X                        31,000     0          0
TRIMERIS INC               Common Stock  896263100     146,176      3,200          X                         3,200     0          0
TAIWAN SEMICOND            US Common
                           Stock         874039100     445,536     44,200    X                           1,968,330     0    174,900
TARO PHARMA-ADR            US Common
                           Stock         M8737E108     587,216     10,700    X                               5,700     0          0
TELEFONICA SA -            US Common
                           Stock         879382208     287,726      8,323    X                               8,323     0          0
TELEFONOS DE ME            US Common
                           Stock         879403780      97,402      3,100    X                               3,100     0          0
TEVA PHARMACEUT            US Common
                           Stock         881624209     899,020     15,800    X                             358,300     0          0
TIFFANY & CO               US Common
                           Stock         886547108     101,308      3,100    X                                   0     0      3,100
TOTAL SA -ADR              US Common
                           Stock         89151E109      60,640        800    X                               1,100     0          0
TRANSOCEAN INC             US Common
                           Stock         G90078109     109,850      5,000    X                                   0     0      5,000
TECO ENERGY INC            COMMON        872375100   2,938,000    245,000          X                       245,000     0          0
TAIWAN SEMICONDUCTOR MFG   DEPOSITORY
                           RECEI         874039100  29,424,000  3,152,570          X                     2,840,270     0    312,300
TALBOTS INC                COMMON        874161102   2,332,000     79,200          X                        79,200     0          0
TARGET CORP                COMMON        87612E106  83,122,000  2,196,680          X                     2,000,080     0    196,600
TARO PHARMACEUTICAL INDS   ORD           M8737E108     275,000      5,000          X                         5,000     0          0
TAUBMAN CTRS INC           COMMON        876664103   8,530,000    445,175          X                       445,175     0          0
TELLABS INC                COMMON        879664100   2,575,000    392,500          X                       392,500     0          0
TEMPLE INLAND INC          COMMON        879868107  11,908,000    277,500          X                       277,500     0          0
TENARIS S A                DEPOSITORY
                           RECEI         88031M109     383,000     15,000          X                        15,000     0          0
TENET HEALTHCARE CORP      COMMON        88033G100     233,000     20,000          X                        20,000     0          0
TERADYNE INC               COMMON        880770102   9,207,000    531,890          X                       531,890     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
TEVA PHARMACEUTICAL INDS   DEPOSITORY
                           RECEI         881624209  28,075,000    493,410          X                       493,410     0          0
TETRA TECHNOLOGIES INC D   COMMON        88162F105   7,273,000    245,300          X                       233,700     0     11,600
TEXAS INSTRS INC           COMMON        882508104  31,706,000  1,801,450          X                     1,652,950     0    148,500
TEXTRON INC                COMMON        883203101  10,516,000    269,500          X                       269,500     0          0
THERMO ELECTRON CORP       COMMON        883556102     846,000     40,250          X                        40,250     0          0
TIME WARNER TELECOM INC    CL A          887319101      86,000     14,000          X                        14,000     0          0
TIMKEN CO                  COMMON        887389104   4,656,000    265,900          X                       265,900     0          0
TOOTSIE ROLL INDS INC      COMMON        890516107     991,000     32,500          X                        32,500     0          0
TRANSOCEAN INC             ORD           G90078109  10,106,000    460,000          X                       460,000     0          0
TRAVELERS PPTY CAS CORP    CL A          89420G109   3,522,000    221,500          X                       221,500     0          0
TRAVELERS PPTY CAS CORP    CL B          89420G406     191,000     12,100          X                        12,100     0          0
TRIBUNE CO NEW             COMMON        896047107   1,691,000     35,000          X                        35,000     0          0
TRIMERIS INC               COMMON        896263100  20,697,000    453,685          X                       431,885     0     21,800
TRINITY INDS INC           COMMON        896522109   1,481,000     80,000          X                        80,000     0          0
TYCO INTL LTD NEW          COMMON        902124106  26,467,000  1,394,471          X                     1,394,471     0          0
TYSON FOODS INC            CL A          902494103   2,682,000    252,500          X                       252,500     0          0
U.S. BANCORP               Common Stock  902973304  43,947,537  1,793,777          X                     1,793,777     0          0
UBIQUITEL OPERAT UPCS
  WARRANTS                 +Warrant 1.0  903474112         105     10,450          X                        10,450     0          0
UCBH HOLDINGS INC          Common Stock  90262T308     685,452     23,900          X                        23,900     0          0
ULTIMATE ELECTRONICS INC   Common Stock  903849107     212,812     16,600          X                        16,600     0          0
UNION PACIFIC CORP         Common Stock  907818108      57,266        987          X                           987     0          0
UNION PLANTERS CORP        Common Stock  908068109      24,886        802          X                           802     0          0
UNIONBANCAL CORPORATION    Common Stock  908906100   2,320,857     56,100          X                        56,100     0          0
UNISYS CORP                Common Stock  909214108      13,962      1,137          X                         1,137     0          0
UNIT CORP                  Common Stock  909218109   1,005,771     48,100          X                        48,100     0          0
UNITED DOMINION REALTY
  TRUST                    Common Stock  910197102      81,795      4,750          X                         4,750     0          0
UNITED HEALTHCARE CORP     Common Stock  91324P102  30,028,496    597,582          X                       597,582     0          0
UNITED PARCEL
  SERVICE-CL B             Common Stock  911312106   2,438,054     38,274          X                        38,274     0          0
UNITED RENTALS             Common Stock  911363109   1,748,751    125,900          X                       125,900     0          0
UNITED STATES STEEL CORP   Common Stock  912909108       6,695        409          X                           409     0          0
UNITED STATIONERS INC      Common Stock  913004107     383,402     10,600          X                        10,600     0          0
UNITED TECHNOLOGIES CORP   Common Stock  913017109   7,041,352     99,412          X                        99,412     0          0
UNIVERSAL AMERICAN
  FINANC.HOLD              Common Stock  913377107     768,821    120,694          X                       120,694     0          0
UNIVERSAL COMPRESSION
  HLDGS                    Common Stock  913431102   1,903,475     91,250          X                        91,250     0          0
UNIVERSAL CORP HOLDING CO  Common Stock  913456109   2,681,820     63,400          X                        63,400     0          0
UNIVERSAL HEALTH REALTY
  INC TS                   Common Stock  91359E109   1,660,500     61,500          X                        61,500     0          0
UNIVISION COMMUNICATIONS
  CL A                     Common Stock  914906102   8,266,520    271,925          X                       271,925     0          0
UNOCAL CORP                Common Stock  915289102      29,092      1,014          X                         1,014     0          0
UNUMPROVIDENT CORP         Common Stock  91529Y106      14,939      1,114          X                         1,114     0          0
URSTADT BIDDLE PROP
  CLASS A                  Common Stock  917286205   1,732,242    134,700          X                       134,700     0          0
US ONCOLOGY INC            Common Stock  90338W103   3,356,302    454,168          X                       454,168     0          0
US XPRESS ENTERPRISES A    Common Stock  90338N103     674,597     63,283          X                        63,283     0          0
UST INC                    Common Stock  902911106      21,859        624          X                           624     0          0
UTI WORLDWIDE INC          Common Stock  G87210103     455,374     14,600          X                        14,600     0          0
UTSTARCOM INC              Common Stock  918076100   4,574,302    128,600          X                       128,600     0          0
UCBH HOLDINGS              Common Stock  90262T308     160,608      5,600          X                         5,600     0          0
ULTIMATE ELECTRONICS INC   Common Stock  903849107      43,588      3,400          X                         3,400     0          0
UNIT CORP                  Common Stock  909218109     207,009      9,900          X                         9,900     0          0
UNITED STATIONERS INC      Common Stock  913004107      79,574      2,200          X                         2,200     0          0
UNOCAL CORP                Common Stock  915289102      28,690      1,000          X                         1,000     0          0
UTI WORLDWIDE INC          Common Stock  G87210103      90,451      2,900          X                         2,900     0          0
UNILEVER ADR               US Common
                            Stock        904767704      93,090      2,900    X                               2,900     0          0
UPM-KYMM ADR               US Common
                            Stock        915436109      26,190      1,800    X                               1,800     0          0
UTSTARCOM INC              US Common
                            Stock        918076100     676,400     19,000    X                             163,200     0          0
US BANCORP DEL             COM NEW       902973304  39,356,000  1,606,350          X                     1,408,350     0    198,000
URS CORP NEW               COMMON        903236107   7,942,000    408,135          X                       387,935     0     20,200
US ONCOLOGY INC            COMMON        90338W103     370,000     50,000          X                        50,000     0          0
ULTRATECH INC              COMMON        904034105  17,533,000    947,200          X                       901,900     0     45,300
UNITED DOMINION REALTY T   COMMON        910197102   9,409,000    546,375          X                       546,375     0          0
UNITED NAT FOODS INC       COMMON        911163103   3,398,000    119,800          X                       119,800     0          0
UNITED PARCEL SERVICE IN   CL B          911312106   9,956,000    156,300          X                       156,300     0          0
UNITEDHEALTH GROUP INC     COMMON        91324P102  80,873,000  1,609,410          X                     1,465,010     0    144,400
UNIVERSAL COMPRESSION HL   COMMON        913431102   7,028,000    336,900          X                       336,900     0          0
UNIVISION COMMUNICATIONS   CL A          914906102   9,189,000    302,283          X                       302,283     0          0
UNOCAL CORP                COMMON        915289102   6,203,000    216,200          X                       216,200     0          0
UTSTARCOM INC              COMMON        918076100  33,737,000    946,610          X                       946,610     0          0
VALERO ENERGY CORP         Common Stock  91913Y100     392,364     10,800          X                        10,800     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
VALUE CLICK INC            Common Stock  92046N102   1,376,745    228,316          X                       228,316     0          0
VARIAN INC                 Common Stock  922206107   9,017,667    260,100          X                       260,100     0          0
VARIAN MEDICAL SYSTEMS
  INC                      Common Stock  92220P105     324,695      5,640          X                         5,640     0          0
VERITAS SOFTWRE            Common Stock  923436109  17,875,802    623,502          X                       623,502     0          0
VERIZON COMMUNICATIONS     Common Stock  92343V104 117,733,633  2,984,376          X                     2,984,376     0          0
VF CORP                    Common Stock  918204108      15,388        453          X                           453     0          0
VIACOM INC CL B            Common Stock  925524308  19,310,600    442,295          X                       442,295     0          0
VINTAGE PETROLEUM INC      Common Stock  927460105   2,893,320    256,500          X                       256,500     0          0
VISHAY INTERTECHNOLOGY     Common Stock  928298108   7,388,040    559,700          X                       559,700     0          0
VISTEON CORP               Common Stock  92839U107       2,384        347          X                           347     0          0
VODAFONE GROUP PLC- ADR    Common Stock  92857W100     284,925     14,500          X                        14,500     0          0
VORNADO REALTY TRUST       Common Stock  929042109     231,080      5,300          X                         5,300     0          0
VULCAN MATERIALS CO        Common Stock  929160109   2,480,799     66,922          X                        66,922     0          0
VERITAS SOFTWRE CORP       Common Stock  923436109     286,700     10,000          X                        10,000     0          0
VERIZON COMMUNICATIONS     Common Stock  92343V104   1,439,925     36,500          X                        36,500     0          0
VISTEON CORP               Common Stock  92839U107         639         93          X                            93     0          0
VERIZON COMMUNI            US Common     92343V104   1,021,755     25,900    X                              25,900     0          0
                           Stock
VIACOM INC-CL A            US Common     925524100     113,620      2,600    X                                   0     0      2,600
                           Stock
VODAFONE GROUP             US Common     92857W100     391,821     19,940    X                              19,940     0          0
                           Stock
VALERO ENERGY CORP NEW     COMMON        91913Y100  13,376,000    368,170          X                       368,170     0          0
VARCO INTL INC DEL         COMMON        922122106  19,782,000  1,009,272          X                       963,172     0     46,100
VARIAN MED SYS INC         COMMON        92220P105  11,541,000    200,475          X                       200,475     0          0
VERITAS SOFTWARE CO        COMMON        923436109  45,203,000  1,568,470          X                     1,465,570     0    102,900
VERITY INC                 COMMON        92343C106   2,150,000    169,300          X                       161,200     0      8,100
VERIZON COMMUNICATIONS     COMMON        92343V104  45,359,000  1,149,775          X                       904,175     0    245,600
VIACOM INC                 CL B          925524308  39,436,000    903,255          X                       852,805     0     50,450
VISTACARE INC              CL A          92839Y109     367,000     15,000          X                        15,000     0          0
VITESSE SEMICONDUCTOR CO   COMMON        928497106   5,539,000  1,132,650          X                       919,250     0    213,400
VODAFONE GROUP PLC NEW     DEPOSITORY    92857W100  18,874,000    960,495          X                       828,595     0    131,900
                           RECEI
VORNADO RLTY TR            SH BEN INT    929042109  25,265,000    579,475          X                       579,475     0          0
VOTORANTIM CELULOSE E PA   DEPOSITORY    92906P106   3,245,000    167,800          X                       167,800     0          0
                           RECEI
VULCAN MATLS CO            COMMON        929160109     741,000     20,000          X                        20,000     0          0
W HOLDING COMPANY INC      Common Stock  929251106     243,648     14,400          X                        14,400     0          0
W W GRAINGER INC           Common Stock  384802104     438,375      9,375          X                         9,375     0          0
WACHOVIA CORP              Common Stock  929903102     208,671      5,222          X                         5,222     0          0
WAL-MART STORES INC        Common Stock  931142103  32,289,267    601,626          X                       601,626     0          0
WALGREEN CO                Common Stock  931422109   7,387,985    245,448          X                       245,448     0          0
WALT DISNEY PRODUCTIONS    Common Stock  254687106     155,077      7,852          X                         7,852     0          0
WASHINGTON MUTUAL INC      Common Stock  939322103     150,415      3,642          X                         3,642     0          0
WASTE CONNECTIONS INC      Common Stock  941053100     606,365     17,300          X                        17,300     0          0
WASTE MANAGEMENT INC       Common Stock  94106L109  47,635,446  1,977,395          X                     1,977,395     0          0
WATERS CORP                Common Stock  941848103      13,138        451          X                           451     0          0
WATSCO INC                 Common Stock  942622200   2,671,956    161,350          X                       161,350     0          0
WATSON PHARMACEUTICALS     Common Stock  942683103  31,910,951    790,462          X                       790,462     0          0
WEATHERFORD INTERNATIONAL  Common Stock  G95089101   7,127,190    170,100          X                       170,100     0          0
WEBMD CORPORATION          Common Stock  94769M105     346,560     32,000          X                        32,000     0          0
WEBMETHODS INC             Common Stock  94768C108     500,808     61,600          X                        61,600     0          0
WEBSTER FINANCIAL CORP     Common Stock  947890109  10,927,980    289,100          X                       289,100     0          0
WEIGHT WATCHERS INTERNAT.
  INC                      Common Stock  948626106     438,979      9,650          X                         9,650     0          0
WELL CHOICE INC            Common Stock  949475107     831,552     28,400          X                        28,400     0          0
WELLPOINT HEALTH NETWORKS  Common Stock  94973H108  16,377,888    194,281          X                       194,281     0          0
WELLS FARGO & CO           Common Stock  949746101   6,153,034    122,084          X                       122,084     0          0
WENDYS INTERNATIONAL INC   Common Stock  950590109   1,932,009     66,690          X                        66,690     0          0
WESTAR ENERGY INC          Common Stock  95709T100   8,403,894    517,800          X                       517,800     0          0
WESTPORT RESOURCES CORP    Common Stock  961418100   4,960,638    218,050          X                       218,050     0          0
WESTWOOD ONE INC           Common Stock  961815107   3,377,732     99,550          X                        99,550     0          0
WEYERHAEUSER CO            Common Stock  962166104  13,292,478    246,157          X                       246,157     0          0
WGL HOLDINGS INC           Common Stock  92924F106   1,423,110     53,300          X                        53,300     0          0
WHIRLPOOL CORP             Common Stock  963320106      16,116        253          X                           253     0          0
WHITNEY HOLDING CORP       Common Stock  966612103   1,291,588     40,400          X                        40,400     0          0
WHOLE FOODS MARKET INC     Common Stock  966837106   1,154,979     24,300          X                        24,300     0          0
WILLBROS GROUP INC         Common Stock  969199108   2,897,148    278,840          X                       278,840     0          0
WILLIAMS COMPANIES INC     Common Stock  969457100     536,078     67,858          X                        67,858     0          0
WILLIAMS SONOMA INC        Common Stock  969904101     670,140     22,950          X                        22,950     0          0
WINN DIXIE STORES INC      Common Stock  974280109       5,638        458          X                           458     0          0
WOLVERINE WORLD WIDE INC   Common Stock  978097103   6,269,130    325,500          X                       325,500     0          0
WORTHINGTON INDUSTRIES     Common Stock  981811102       4,033        301          X                           301     0          0




    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
WRIGHT MEDICAL GROUP       Common Stock  98235T107     518,700     27,300          X                        27,300     0          0
WRIGLEY (WM) JR CO         Common Stock  982526105   1,686,000     29,984          X                        29,984     0          0
WYETH                      Common Stock  983024100   5,207,003    114,314          X                       114,314     0          0
WAL-MART STORES            Common Stock  931142103      80,505      1,500          X                         1,500     0          0
WALGREEN                   Common Stock  931422109     480,095     15,950          X                        15,950     0          0
WALT DISNEY CO             Common Stock  254687106     167,875      8,500          X                         8,500     0          0
WASTE CONNECTIONS IN       Common Stock  941053100     126,180      3,600          X                         3,600     0          0
WATSON PHARMACEUTICA       Common Stock  942683103   2,422,200     60,000          X                        60,000     0          0
WEBMETHODS INC             Common Stock  94768C108      99,186     12,200          X                        12,200     0          0
WELL CHOICE INC            Common Stock  949475107     120,048      4,100          X                         4,100     0          0
WRIGHT MEDICAL GROUP INC   Common Stock  98235T107     104,500      5,500          X                         5,500     0          0
WALGREEN CO                US Common
                           Stock         931422109     150,500      5,000    X                                   0     0      5,000
WATSON PHARMA              US Common
                           Stock         942683103     201,850      5,000    X                                   0     0      5,000
WELLS FARGO & C            US Common
                           Stock         949746101     236,880      4,700    X                                   0     0      4,700
WIMM-BILL-DANN             US Common
                           Stock         97263M109      71,050      3,500    X                               3,500     0          0
WACHOVIA CORP 2ND NEW      COMMON        929903102  17,027,000    426,100          X                       426,100     0          0
WAL MART STORES INC        COMMON        931142103  76,124,000  1,418,370          X                     1,336,220     0     82,150
WALGREEN CO                COMMON        931422109   9,165,000    304,500          X                       304,500     0          0
DISNEY WALT CO             COM DISNEY    254687106   6,894,000    349,080          X                       349,080     0          0
WASTE CONNECTIONS INC      COMMON        941053100  20,031,000    571,500          X                       543,900     0     27,600
WASTE MGMT INC DEL         COMMON        94106L109  45,592,000  1,892,570          X                     1,639,970     0    252,600
WATERS CORP                COMMON        941848103   3,131,000    107,500          X                       107,500     0          0
WEATHERFORD INTERNATIONA   COMMON        G95089101   2,686,000     64,100          X                        64,100     0          0
WEBSENSE INC               COMMON        947684106   7,030,000    448,600          X                       427,200     0     21,400
WEBMETHODS INC             COMMON        94768C108  13,481,000  1,662,250          X                     1,581,750     0     80,500
WEBMD CORP                 COMMON        94769M105  12,692,000  1,167,600          X                     1,167,600     0          0
WEIGHT WATCHERS INTL INC   COMMON        948626106  14,373,000    315,950          X                       315,950     0          0
WELLCHOICE INC             COMMON        949475107   5,974,000    204,045          X                       204,045     0          0
WELLPOINT HEALTH NETWORK   COMMON        94973H108  55,818,000    662,131          X                       624,831     0     37,300
WELLS FARGO & CO NEW       COMMON        949746101     426,000      8,460          X                         8,460     0          0
WENDYS INTL INC            COMMON        950590109   9,591,000    331,070          X                       331,070     0          0
WESCO FINL CORP            COMMON        950817106   1,248,000      4,000          X                         4,000     0          0
WESTAR ENERGY INC          COMMON        95709T100   1,633,000    100,600          X                       100,600     0          0
WESTWOOD ONE INC           COMMON        961815107   5,788,000    170,586          X                       170,586     0          0
WHITE ELECTR DESIGNS COR   COMMON        963801105     190,000     18,000          X                        18,000     0          0
WHOLE FOODS MKT INC        COMMON        966837106   9,776,000    205,671          X                       205,671     0          0
WILLBROS GROUP INC         COMMON        969199108     520,000     50,000          X                        50,000     0          0
WILLIAMS COS INC DEL       COMMON        969457100   1,762,000    223,055          X                       223,055     0          0
WILLIAMS SONOMA INC        COMMON        969904101  22,721,000    778,105          X                       778,105     0          0
WILSON GREATBATCH TECHNO   COMMON        972232102  17,135,000    474,645          X                       451,495     0     23,150
WIMM BILL DANN FOODS OJS   DEPOSITORY
                           RECEI         97263M109   1,102,000     54,300          X                        54,300     0          0
WRIGLEY WM JR CO           COMMON        982526105   7,338,000    130,500          X                       130,500     0          0
WYETH                      COMMON        983024100  57,837,000  1,269,755          X                     1,167,355     0    102,400
XCEL ENERGY INC            Common Stock  98389B100   3,905,392    259,667          X                       259,667     0          0
XEROX CORP                 Common Stock  984121103  38,998,829  3,682,609          X                     3,682,609     0          0
XILINX INC                 Common Stock  983919101   4,918,391    194,326          X                       194,326     0          0
XL CAPITAL LTD-CLASS A     Common Stock  G98255105   8,942,752    107,744          X                       107,744     0          0
XM SATELLITE RADIO HLDS
  - WT09                   +Warrant 1.0  983759119   3,991,650      5,785          X                         5,785     0          0
XM SATELLITE RADIO
  HOLD-CL A                Common Stock  983759101   1,668,550    151,000          X                       151,000     0          0
XM SATELLITE RADIO INC
  UNIT SE                  +Warrant 1.0  98375Y114      29,068      5,285          X                         5,285     0          0
XTO ENERGY INC             Common Stock  98385X106  33,461,130  1,663,905          X                     1,663,905     0          0
XM SATELLITE RADIO HLDGS   CL A          983759101   7,782,000    708,100          X                       708,100     0          0
XTO ENERGY INC             COMMON        98385X106  32,363,000  1,609,311          X                     1,557,045     0     52,266
XCEL ENERGY INC            COMMON        98389B100   3,338,000    221,930          X                       221,930     0          0
XILINX INC                 COMMON        983919101  10,080,000    398,420          X                       332,020     0     66,400
YAHOO INC                  Common Stock  984332106      75,184      2,295          X                         2,295     0          0
YUM BRANDS INC             Common Stock  988498101   1,813,831     61,361          X                        61,361     0          0
YAHOO INC                  COMMON        984332106  27,055,000    827,385          X                       702,785     0    124,600
YELLOW CORP                COMMON        985509108  11,939,000    512,640          X                       486,280     0     26,360
YUM BRANDS INC             COMMON        988498101  36,012,000  1,218,280          X                     1,050,880     0    167,400
YUKOS CORP                 DEPOSITORY
                           RECEI         98849W108   2,415,000     43,125          X                        43,125     0          0
ZALE CORP                  Common Stock  988858106   2,894,000     72,350          X                        72,350     0          0
ZEBRA TECHNOLOGIES
  CORP-CL A                Common Stock  989207105  15,128,228    201,200          X                       201,200     0          0
ZIMMER HOLDINGS INC        Common Stock  98956P102      34,643        769          X                           769     0          0
ZIONS BANCORP              Common Stock  989701107      17,207        340          X                           340     0          0
ZOLL MEDICAL CORP          Common Stock  989922109     409,432     12,200          X                        12,200     0          0
ZORAN CORP                 Common Stock  98975F101   2,107,337    109,700          X                       109,700     0          0





    ITEM 1                    ITEM 2        ITEM 3      ITEM 4    ITEM 5        ITEM 6         ITEM 7       ITEM 8
NAME OF ISSUER            TITLE OF CLASS CUSIP/TICKER   MARKET    SH/PV       INVEST AUTH       MNGR   VOTING AUTH(SHARES)
                                                                           SOLE  SHRD-  SHRD-           SOLE      SHARED    NONE
                                                                                 INSTR  OTHER
                                                                                   V
                                                                                           
ZIMMER HOLDINGS            Common Stock  98956P102      76,585      1,700          X                         1,700     0          0
ZORAN CORP                 Common Stock  98975F101     107,576      5,600          X                         5,600     0          0
ZOLL MEDICAL CORP          Common Stock  989922109      77,188      2,300          X                         2,300     0          0