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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:                         6/30/2004
                                                    ----------------------------

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

Institutional Investment Manager Filing this
Report:
Name:                                               M&T Bank Corporation
                                                    ----------------------------
Address:                                            One M&T Plaza
                                                    ----------------------------
                                                    Buffalo, NY   14240
                                                    ----------------------------

Form 13-F File Number:                              028-00267
                                                    ----------------------------


This 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 requiredd items, statements,
schedules, lists, and tables, are considered integral part of this form.


Person Signing this Report on Behalf of Reporting Manager

Name:                                               Mark Czarnecki
Title:                                              Executive Vice President
Phone:                                              (716) 842-5291


Signature, Place & Date of Signing:


Mark Czarnecki,
Executive Vice-President         Buffalo, New York               8/6/2004
------------------------    ---------------------------    ---------------------
      [Signature]                  [City, State]                  [Date]


Report Type (Check only one.):

[X]  13F HOLDINGS REPORT. (Check here if all holdings of this reporting managers
     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).)

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



SEC USE
        ------------------------------------------------------------------------



                    COLUMN 1                         COLUMN 2      COLUMN 3    COLUMN 4                   COLUMN 5
                  NAME OF ISSUER                  TITLE OF CLASS     CUSIP       VALUE    ---------------------------------------
-----------------------------------------------  ---------------  ----------  ----------     SHARES OR     SHARES OR
                                                                              (X $1,000)  PRINCIAL AMOUNT  PRINCIPAL  PUT OR CALL
                                                                              ----------  ---------------  ---------  -----------
                                                                                                    
A. COMMON STOCK

DOMESTIC COMMON STOCKS

3 COM CORP COM                                   COMMON STOCK     885535104            9             1400  SHARES
3 COM CORP COM                                   COMMON STOCK     885535104            4              650  SHARES
3M CO                                            COMMON STOCK     88579Y101        16371           181881  SHARES
3M CO                                            COMMON STOCK     88579Y101        10027           111395  SHARES
3M CO                                            COMMON STOCK     88579Y101          707             7850  SHARES
3M CO                                            COMMON STOCK     88579Y101           90             1000  SHARES
3M COMPANY                                       COMMON STOCK     88579Y101          412             4575  SHARES
7-ELEVEN, INC.                                   COMMON STOCK     817826209          939            52600  SHARES
ABBOTT LABORATORIES                              COMMON STOCK     002824100         5282           129583  SHARES
ABBOTT LABORATORIES                              COMMON STOCK     002824100        10655           261419  SHARES
ABBOTT LABORATORIES                              COMMON STOCK     002824100         2714            66575  SHARES
ABBOTT LABORATORIES                              COMMON STOCK     002824100           63             1550  SHARES
ABBOTT LABORATORIES                              COMMON STOCK     002824100         1323            32465  SHARES
ABERCROMBIE & FITCH CO CL A                      COMMON STOCK     002896207           19              500  SHARES
ABM INDUSTRIES INCORPORATED                      COMMON STOCK     000957100            8              400  SHARES
ACTION PERFORMANCE COS., INC.                    COMMON STOCK     004933107          205            13600  SHARES
ACTIVE POWER, INC.                               COMMON STOCK     00504W100           86            26900  SHARES
ADC TELECOMMUNICATIONS INC COM                   COMMON STOCK     000886101           34            12000  SHARES
ADC TELECOMMUNICATIONS INC COM                   COMMON STOCK     000886101            2              675  SHARES
ADE CORPORATION                                  COMMON STOCK     00089C107           73             3400  SHARES
ADE CORPORATION                                  COMMON STOCK     00089C107           91             4200  SHARES
ADOBE SYS INC COM                                COMMON STOCK     00724F101           18              390  SHARES
ADOBE SYS INC COM                                COMMON STOCK     00724F101          356             7650  SHARES
ADOBE SYSTEMS INCORPORATED                       COMMON STOCK     00724F101          695            14950  SHARES
ADOBE SYSTEMS, INC.                              COMMON STOCK     00724F101         2311            49700  SHARES
ADVANCE AUTO PARTS                               COMMON STOCK     00751Y106           71             1600  SHARES
ADVANCE AUTO PARTS, INC.                         COMMON STOCK     00751Y106          459            10400  SHARES
ADVANCED MEDICAL OPTICS                          COMMON STOCK     00763M108            6              140  SHARES
ADVANCED MEDICAL OPTICS                          COMMON STOCK     00763M108           72             1700  SHARES
ADVANCED MEDICAL OPTICS                          COMMON STOCK     00763M108           89             2100  SHARES
ADVANCED MICRO DEVICES INC COM                   COMMON STOCK     007903107            3              200  SHARES
ADVANCED MICRO DEVICES INC COM                   COMMON STOCK     007903107           28             1750  SHARES
ADVANTA CORP., CLASS B                           COMMON STOCK     007942204         1011            44100  SHARES
ADVENT SOFTWARE, INC.                            COMMON STOCK     007974108          163             9000  SHARES
AES CORP COM                                     COMMON STOCK     00130H105           16             1633  SHARES
AES CORP COM                                     COMMON STOCK     00130H105           50             5000  SHARES
AES CORP COM                                     COMMON STOCK     00130H105         4096           412475  SHARES
AETNA INC NEW COM                                COMMON STOCK     00817Y108           26              300  SHARES
AETNA INC NEW COM                                COMMON STOCK     00817Y108          368             4331  SHARES
AETNA INC NEW COM                                COMMON STOCK     00817Y108           27              320  SHARES
AETNA, INC.                                      COMMON STOCK     00817Y108         1275            15000  SHARES
AFFILIATED COMPUTER SVCS INC CL A                COMMON STOCK     008190100          215             4070  SHARES
AFLAC INCORPORATED                               COMMON STOCK     001055102          114             2804  SHARES
AFLAC INCORPORATED                               COMMON STOCK     001055102         2253            55205  SHARES
AGCO CORP COM                                    COMMON STOCK     001084102           80             3943  SHARES
AGERE SYS INC CL A                               COMMON STOCK     00845V100            1              363  SHARES
AGERE SYS INC CL A                               COMMON STOCK     00845V100            4             1852  SHARES
AGERE SYS INC CL B                               COMMON STOCK     00845V209           21             9659  SHARES
AGERE SYS INC CL B                               COMMON STOCK     00845V209           10             4566  SHARES
AGILENT TECHNOLOGIES INC COM                     COMMON STOCK     00846U101          384            13126  SHARES
AGILENT TECHNOLOGIES INC COM                     COMMON STOCK     00846U101          552            18852  SHARES
AGILENT TECHNOLOGIES INC COM                     COMMON STOCK     00846U101           45             1525  SHARES
AGILENT TECHNOLOGIES INC COM                     COMMON STOCK     00846U101            3              100  SHARES
AGL RESOURCES INC COM                            COMMON STOCK     001204106          336            11565  SHARES
AGL RESOURCES INC COM                            COMMON STOCK     001204106          139             4775  SHARES
AIR PRODUCTS & CHEMICALS INC                     COMMON STOCK     009158106          977            18625  SHARES
AIR PRODUCTS & CHEMICALS INC                     COMMON STOCK     009158106         1163            22166  SHARES
AIRTRAN HLDGS INC                                COMMON STOCK     00949P108            3              200  SHARES
AK STEEL HOLDING CORP COM                        COMMON STOCK     001547108            0               66  SHARES
ALBANY INTERNATIONAL CORP., CLASS A              COMMON STOCK     012348108         1097            32700  SHARES
ALBEMARLE CORP COM                               COMMON STOCK     012653101          753            23800  SHARES
ALBEMARLE CORP COM                               COMMON STOCK     012653101          127             4000  SHARES
ALBEMARLE CORP.                                  COMMON STOCK     012653101          760            24000  SHARES
ALBERTSON'S INC                                  COMMON STOCK     013104104           53             2000  SHARES


                    COLUMN 1                             COLUMN 6                             COLUMN 8
                  NAME OF ISSUER                   INVESTMENT AUTHORITY    COLUMN 7       VOTING AUTHORITY
-------------------------------------------------------------------------    OTHER   --------------------------
                                                       SHARED -  SHARED -  MANAGERS    SOLE    SHARED    OTHER
                                                 SOLE  DEFINED    OTHER    --------  --------  ------  --------
                                                 ----  --------  --------
                                                                                     
A. COMMON STOCK

DOMESTIC COMMON STOCKS

3 COM CORP COM                                                       X         1         1100       0       300
3 COM CORP COM                                             X                   1          650       0         0
3M CO                                                                X         1       152841       0     29040
3M CO                                                      X                   1       110995       0       400
3M CO                                                                X         3         7850       0         0
3M CO                                                      X                   3            0       0      1000
3M COMPANY                                                 X                   2         4575       0         0
7-ELEVEN, INC.                                             X                   3        52600       0         0
ABBOTT LABORATORIES                                                  X         1       112983       0     16600
ABBOTT LABORATORIES                                        X                   1       261304       0       115
ABBOTT LABORATORIES                                        X                   2        66575       0         0
ABBOTT LABORATORIES                                                  X         3          550       0      1000
ABBOTT LABORATORIES                                        X                   3        24140       0      8325
ABERCROMBIE & FITCH CO CL A                                          X         1          500       0         0
ABM INDUSTRIES INCORPORATED                                X                   1          400       0         0
ACTION PERFORMANCE COS., INC.                              X                   3        13600       0         0
ACTIVE POWER, INC.                                         X                   3        26900       0         0
ADC TELECOMMUNICATIONS INC COM                                       X         1        12000       0         0
ADC TELECOMMUNICATIONS INC COM                             X                   1          675       0         0
ADE CORPORATION                                            X                   1         3400       0         0
ADE CORPORATION                                            X                   3         4200       0         0
ADOBE SYS INC COM                                                    X         1          390       0         0
ADOBE SYS INC COM                                          X                   1         7650       0         0
ADOBE SYSTEMS INCORPORATED                                 X                   2        14950       0         0
ADOBE SYSTEMS, INC.                                        X                   3        49700       0         0
ADVANCE AUTO PARTS                                         X                   1         1600       0         0
ADVANCE AUTO PARTS, INC.                                   X                   3        10400       0         0
ADVANCED MEDICAL OPTICS                                              X         1          140       0         0
ADVANCED MEDICAL OPTICS                                    X                   1         1700       0         0
ADVANCED MEDICAL OPTICS                                    X                   3         2100       0         0
ADVANCED MICRO DEVICES INC COM                                       X         1          200       0         0
ADVANCED MICRO DEVICES INC COM                             X                   1         1750       0         0
ADVANTA CORP., CLASS B                                     X                   3        44100       0         0
ADVENT SOFTWARE, INC.                                      X                   3         9000       0         0
AES CORP COM                                                         X         1         1633       0         0
AES CORP COM                                               X                   1         5000       0         0
AES CORP COM                                               X                   2       412475       0         0
AETNA INC NEW COM                                                    X         1          300       0         0
AETNA INC NEW COM                                          X                   1         4331       0         0
AETNA INC NEW COM                                                    X         3          320       0         0
AETNA, INC.                                                X                   3        15000       0         0
AFFILIATED COMPUTER SVCS INC CL A                                    X         1         4070       0         0
AFLAC INCORPORATED                                                   X         1         1804       0      1000
AFLAC INCORPORATED                                         X                   1        55205       0         0
AGCO CORP COM                                                        X         3         3943       0         0
AGERE SYS INC CL A                                                   X         1          341       0        22
AGERE SYS INC CL A                                         X                   1         1852       0         0
AGERE SYS INC CL B                                                   X         1         9068       0       591
AGERE SYS INC CL B                                         X                   1         4566       0         0
AGILENT TECHNOLOGIES INC COM                                         X         1        12440       0       686
AGILENT TECHNOLOGIES INC COM                               X                   1        18852       0         0
AGILENT TECHNOLOGIES INC COM                                         X         3         1525       0         0
AGILENT TECHNOLOGIES INC COM                               X                   3          100       0         0
AGL RESOURCES INC COM                                                X         1        11565       0         0
AGL RESOURCES INC COM                                      X                   1         4775       0         0
AIR PRODUCTS & CHEMICALS INC                                         X         1        16375       0      2250
AIR PRODUCTS & CHEMICALS INC                               X                   1        22166       0         0
AIRTRAN HLDGS INC                                          X                   1          200       0         0
AK STEEL HOLDING CORP COM                                  X                   1           66       0         0
ALBANY INTERNATIONAL CORP., CLASS A                        X                   3        32700       0         0
ALBEMARLE CORP COM                                                   X         1        23800       0         0
ALBEMARLE CORP COM                                         X                   1         4000       0         0
ALBEMARLE CORP.                                            X                   3        24000       0         0
ALBERTSON'S INC                                                      X         1            0       0      2000


                                     1 of 41




                                                                                                    
ALBERTSON'S INC                                  COMMON STOCK     013104104           35             1307  SHARES
ALCOA INC COM                                    COMMON STOCK     013817101         2303            69714  SHARES
ALCOA INC COM                                    COMMON STOCK     013817101        13828           418637  SHARES
ALCOA INC COM                                    COMMON STOCK     013817101         1398            42334  SHARES
ALCOA, INC.                                      COMMON STOCK     013817101        10077           305028  SHARES
ALDILA INCORPORATED NEW                          COMMON STOCK     014384200            1               66  SHARES
ALEXION PHARMACEUTICALS INC COM                  COMMON STOCK     015351109            6              300  SHARES
ALIGN TECHNOLOGY, INC.                           COMMON STOCK     016255101          133             7000  SHARES
ALKERMES, INC.                                   COMMON STOCK     01642T108          405            29800  SHARES
ALLEGHENY ENERGY INC                             COMMON STOCK     017361106           82             5297  SHARES
ALLEGHENY ENERGY INC                             COMMON STOCK     017361106           11              729  SHARES
ALLEGHENY TECHNOLOGIES INC COM                   COMMON STOCK     01741R102           17              962  SHARES
ALLERGAN INC                                     COMMON STOCK     018490102           92             1032  SHARES
ALLERGAN INC                                     COMMON STOCK     018490102            9              100  SHARES
ALLETE INC COM                                   COMMON STOCK     018522102          196             5900  SHARES
ALLETE INC COM                                   COMMON STOCK     018522102           33             1000  SHARES
ALLIANCE CAP MGMT HLDG L P                       COMMON STOCK     01855A101           68             2000  SHARES
ALLIANCE CAP MGMT HLDG L P                       COMMON STOCK     01855A101           79             2325  SHARES
ALLIANCE GAMING CORP                             COMMON STOCK     01859P609           76             4400  SHARES
ALLIANCE GAMING CORP                             COMMON STOCK     01859P609           94             5500  SHARES
ALLIANCE IMAGING, INC.                           COMMON STOCK     018606202          167            36600  SHARES
ALLIANT ENERGY CORP                              COMMON STOCK     018802108           11              411  SHARES
ALLIANT ENERGY CORP                              COMMON STOCK     018802108           21              805  SHARES
ALLIANT TECHSYSTEMS INC                          COMMON STOCK     018804104           26              405  SHARES
ALLIANT TECHSYSTEMS INC                          COMMON STOCK     018804104            8              127  SHARES
ALLIED CAP CORP NEW COM                          COMMON STOCK     01903Q108           94             3845  SHARES
ALLIED CAP CORP NEW COM                          COMMON STOCK     01903Q108           26             1050  SHARES
ALLIED CAPITAL CORPORATION                       COMMON STOCK     01903Q108          860            35197  SHARES
ALLSTATE CORP                                    COMMON STOCK     020002101         1598            34320  SHARES
ALLSTATE CORP                                    COMMON STOCK     020002101         7821           168020  SHARES
ALLSTATE CORP                                    COMMON STOCK     020002101         1451            31173  SHARES
ALLSTATE CORP                                    COMMON STOCK     020002101         7740           166282  SHARES
ALLTEL CORP                                      COMMON STOCK     020039103         1451            28667  SHARES
ALLTEL CORP                                      COMMON STOCK     020039103          912            18011  SHARES
ALLTEL CORPORATION                               COMMON STOCK     020039103          202             4000  SHARES
ALPHARMA, INC., CLASS A                          COMMON STOCK     020813101          827            40400  SHARES
ALTERA CORP COM                                  COMMON STOCK     021441100           55             2500  SHARES
ALTERA CORP COM                                  COMMON STOCK     021441100          370            16700  SHARES
ALTERA CORP.                                     COMMON STOCK     021441100         1444            65000  SHARES
ALTRIA GROUP INC                                 COMMON STOCK     02209S103         9235           184514  SHARES
ALTRIA GROUP INC                                 COMMON STOCK     02209S103         9807           195951  SHARES
ALTRIA GROUP INC                                 COMMON STOCK     02209S103          628            12550  SHARES
ALTRIA GROUP INC                                 COMMON STOCK     02209S103          231             4618  SHARES
ALTRIA GROUP INC                                 COMMON STOCK     02209S103          792            15819  SHARES
AMAZON.COM  INC COM                              COMMON STOCK     023135106            5              100  SHARES
AMAZON.COM  INC COM                              COMMON STOCK     023135106            9              171  SHARES
AMBAC FINL GROUP INC COM                         COMMON STOCK     023139108          220             3000  SHARES
AMEREN CORP                                      COMMON STOCK     023608102           59             1365  SHARES
AMEREN CORP                                      COMMON STOCK     023608102           48             1117  SHARES
AMERICAN AXLE & MANUFACTURING HOLDINGS, INC.     COMMON STOCK     024061103          884            24300  SHARES
AMERICAN BILTRITE INCORPORATED                   COMMON STOCK     024591109          388            42600  SHARES
AMERICAN CAPITAL STRATEGIES LTD                  COMMON STOCK     024937104           36             1300  SHARES
AMERICAN CAPITAL STRATEGIES LTD                  COMMON STOCK     024937104           28             1000  SHARES
AMERICAN CAPITAL STRATEGIES LTD                  COMMON STOCK     024937104         1776            63400  SHARES
AMERICAN ELECTRIC POWER CO INC                   COMMON STOCK     025537101          532            16611  SHARES
AMERICAN ELECTRIC POWER CO INC                   COMMON STOCK     025537101          321            10019  SHARES
AMERICAN ELECTRIC POWER CO INC                   COMMON STOCK     025537101           23              720  SHARES
AMERICAN ELECTRIC POWER INCORPORATED             COMMON STOCK     025537101          208             6500  SHARES
AMERICAN EQUITY INVESTMENT LIFE HLDG             COMMON STOCK     025676206          100            10000  SHARES
AMERICAN EXPRESS CO COM                          COMMON STOCK     025816109         1211            23577  SHARES
AMERICAN EXPRESS CO COM                          COMMON STOCK     025816109         2722            52974  SHARES
AMERICAN EXPRESS CO COM                          COMMON STOCK     025816109          986            19200  SHARES
AMERICAN EXPRESS CO COM                          COMMON STOCK     025816109          463             9006  SHARES
AMERICAN FINANCIAL REALTY                        COMMON STOCK     02607P305         1072            75000  SHARES
AMERICAN FINL GROUP INC COM                      COMMON STOCK     025932104           12              400  SHARES
AMERICAN FINL GROUP INC COM                      COMMON STOCK     025932104            4              117  SHARES
AMERICAN GREETINGS CORP., CLASS A                COMMON STOCK     026375105          512            22100  SHARES
AMERICAN INTERNATIONAL GROUP INC COM             COMMON STOCK     026874107        10823           151831  SHARES
AMERICAN INTERNATIONAL GROUP INC COM             COMMON STOCK     026874107        24323           341235  SHARES
AMERICAN INTERNATIONAL GROUP INC COM             COMMON STOCK     026874107         4806            67422  SHARES
AMERICAN INTERNATIONAL GROUP INC COM             COMMON STOCK     026874107         1864            26162  SHARES
AMERICAN INTERNATIONAL GROUP, INC.               COMMON STOCK     026874107        12980           182105  SHARES
AMERICAN LOCKER GROUP INC COM                    COMMON STOCK     027284108           10              800  SHARES
AMERICAN POWER CONVERSION CORP.                  COMMON STOCK     029066107         1607            81800  SHARES
AMERICAN PWR CONVERSION                          COMMON STOCK     029066107          240            12200  SHARES


                                                                                     
ALBERTSON'S INC                                            X                   1         1307       0         0
ALCOA INC COM                                                        X         1        64699       0      5015
ALCOA INC COM                                              X                   1       414300       0      4337
ALCOA INC COM                                              X                   3        37235       0      5099
ALCOA, INC.                                                X                   3       305028       0         0
ALDILA INCORPORATED NEW                                    X                   1           66       0         0
ALEXION PHARMACEUTICALS INC COM                                      X         1            0       0       300
ALIGN TECHNOLOGY, INC.                                     X                   3         7000       0         0
ALKERMES, INC.                                             X                   3        29800       0         0
ALLEGHENY ENERGY INC                                                 X         1         4997       0       300
ALLEGHENY ENERGY INC                                       X                   1          729       0         0
ALLEGHENY TECHNOLOGIES INC COM                             X                   1          962       0         0
ALLERGAN INC                                                         X         1         1032       0         0
ALLERGAN INC                                               X                   1          100       0         0
ALLETE INC COM                                                       X         1         5900       0         0
ALLETE INC COM                                             X                   1         1000       0         0
ALLIANCE CAP MGMT HLDG L P                                           X         1         2000       0         0
ALLIANCE CAP MGMT HLDG L P                                 X                   1         2325       0         0
ALLIANCE GAMING CORP                                       X                   1         4400       0         0
ALLIANCE GAMING CORP                                       X                   3         5500       0         0
ALLIANCE IMAGING, INC.                                     X                   3        36600       0         0
ALLIANT ENERGY CORP                                                  X         1          411       0         0
ALLIANT ENERGY CORP                                        X                   1          805       0         0
ALLIANT TECHSYSTEMS INC                                              X         1          405       0         0
ALLIANT TECHSYSTEMS INC                                    X                   1          127       0         0
ALLIED CAP CORP NEW COM                                              X         1         3845       0         0
ALLIED CAP CORP NEW COM                                    X                   1         1050       0         0
ALLIED CAPITAL CORPORATION                                 X                   2        35197       0         0
ALLSTATE CORP                                                        X         1        34120       0       200
ALLSTATE CORP                                              X                   1       166225       0      1795
ALLSTATE CORP                                              X                   2        31173       0         0
ALLSTATE CORP                                              X                   3       166282       0         0
ALLTEL CORP                                                          X         1        24667       0      4000
ALLTEL CORP                                                X                   1        18011       0         0
ALLTEL CORPORATION                                         X                   2         4000       0         0
ALPHARMA, INC., CLASS A                                    X                   3        40400       0         0
ALTERA CORP COM                                                      X         1         2500       0         0
ALTERA CORP COM                                            X                   1        16700       0         0
ALTERA CORP.                                               X                   3        65000       0         0
ALTRIA GROUP INC                                                     X         1       175164       0      9350
ALTRIA GROUP INC                                           X                   1       195751       0       200
ALTRIA GROUP INC                                           X                   2        12550       0         0
ALTRIA GROUP INC                                                     X         3          785       0      3833
ALTRIA GROUP INC                                           X                   3        15319       0       500
AMAZON.COM  INC COM                                                  X         1            0       0       100
AMAZON.COM  INC COM                                        X                   1          171       0         0
AMBAC FINL GROUP INC COM                                             X         1         3000       0         0
AMEREN CORP                                                          X         1         1365       0         0
AMEREN CORP                                                X                   1         1117       0         0
AMERICAN AXLE & MANUFACTURING HOLDINGS, INC.               X                   3        24300       0         0
AMERICAN BILTRITE INCORPORATED                                       X         1        42600       0         0
AMERICAN CAPITAL STRATEGIES LTD                                      X         1         1300       0         0
AMERICAN CAPITAL STRATEGIES LTD                            X                   1         1000       0         0
AMERICAN CAPITAL STRATEGIES LTD                            X                   2        63400       0         0
AMERICAN ELECTRIC POWER CO INC                                       X         1        12981       0      3630
AMERICAN ELECTRIC POWER CO INC                             X                   1        10019       0         0
AMERICAN ELECTRIC POWER CO INC                                       X         3          720       0         0
AMERICAN ELECTRIC POWER INCORPORATED                       X                   2         6500       0         0
AMERICAN EQUITY INVESTMENT LIFE HLDG                                 X         1        10000       0         0
AMERICAN EXPRESS CO COM                                              X         1        19821       0      3756
AMERICAN EXPRESS CO COM                                    X                   1        52374       0       600
AMERICAN EXPRESS CO COM                                    X                   2        19200       0         0
AMERICAN EXPRESS CO COM                                              X         3         9006       0         0
AMERICAN FINANCIAL REALTY                                  X                   2        75000       0         0
AMERICAN FINL GROUP INC COM                                          X         1            0       0       400
AMERICAN FINL GROUP INC COM                                X                   3          117       0         0
AMERICAN GREETINGS CORP., CLASS A                          X                   3        22100       0         0
AMERICAN INTERNATIONAL GROUP INC COM                                 X         1       129460       0     22371
AMERICAN INTERNATIONAL GROUP INC COM                       X                   1       338409       0      2826
AMERICAN INTERNATIONAL GROUP INC COM                       X                   2        67422       0         0
AMERICAN INTERNATIONAL GROUP INC COM                       X                   3        23133       0      3029
AMERICAN INTERNATIONAL GROUP, INC.                         X                   3       182105       0         0
AMERICAN LOCKER GROUP INC COM                                        X         1          800       0         0
AMERICAN POWER CONVERSION CORP.                            X                   3        81800       0         0
AMERICAN PWR CONVERSION                                    X                   1        12200       0         0


                                     2 of 41




                                                                                                    
AMERICAN SELECT PORTFOLIO                        COMMON STOCK     029570108           50             4000  SHARES
AMERICAN STANDARD COS INC DEL COM                COMMON STOCK     029712106           97             2412  SHARES
AMERICAN STANDARD COS.                           COMMON STOCK     029712106          605            15000  SHARES
AMERICAN SUPERCONDUCTOR CORP COM                 COMMON STOCK     030111108            5              400  SHARES
AMERICAN TECHNOLOGY CORP                         COMMON STOCK     030145205           35             6000  SHARES
AMERICAN TOWER CORP CL A                         COMMON STOCK     029912201            5              300  SHARES
AMERIGAS PARTNERS LP                             COMMON STOCK     030975106           42             1600  SHARES
AMERISOURCE BERGEN CORP COM                      COMMON STOCK     03073E105            6              100  SHARES
AMERISOURCE BERGEN CORP COM                      COMMON STOCK     03073E105           84             1400  SHARES
AMERITRADE HOLDING CORP                          COMMON STOCK     03074K100            6              515  SHARES
AMERON, INC.                                     COMMON STOCK     030710107          526            15400  SHARES
AMERUS GROUP CO.                                 COMMON STOCK     03072M108         1093            26400  SHARES
AMETEK AEROSPACE PRODS INC COM                   COMMON STOCK     031100100           58             1884  SHARES
AMGEN INC COM                                    COMMON STOCK     031162100         3360            61564  SHARES
AMGEN INC COM                                    COMMON STOCK     031162100        16188           296649  SHARES
AMGEN INC COM                                    COMMON STOCK     031162100          306             5600  SHARES
AMGEN INC COM                                    COMMON STOCK     031162100        11171           204716  SHARES
AMLI RESIDENTIAL PROPERTIES TRUST                COMMON STOCK     001735109         1374            46814  SHARES
AMSOUTH BANCORPORATION                           COMMON STOCK     032165102           31             1200  SHARES
AMYLIN PHARMACEUTICALS INC                       COMMON STOCK     032346108           21              900  SHARES
ANADARKO PETROLEUM CORP                          COMMON STOCK     032511107          238             4056  SHARES
ANADARKO PETROLEUM CORP                          COMMON STOCK     032511107          787            13429  SHARES
ANADARKO PETROLEUM CORP                          COMMON STOCK     032511107          180             3064  SHARES
ANADARKO PETROLEUM CORPORATION                   COMMON STOCK     032511107          316             5400  SHARES
ANALOG DEVICES INC                               COMMON STOCK     032654105           49             1050  SHARES
ANALOG DEVICES INC                               COMMON STOCK     032654105          351             7460  SHARES
ANALOG DEVICES, INC.                             COMMON STOCK     032654105         1554            33000  SHARES
ANHEUSER BUSCH COMPANIES INC                     COMMON STOCK     035229103          566            10482  SHARES
ANHEUSER BUSCH COS INC COM                       COMMON STOCK     035229103         1631            30197  SHARES
ANHEUSER BUSCH COS INC COM                       COMMON STOCK     035229103         1687            31235  SHARES
ANHEUSER BUSCH COS INC COM                       COMMON STOCK     035229103          140             2600  SHARES
ANHEUSER BUSCH COS INC COM                       COMMON STOCK     035229103           38              700  SHARES
ANNALY MTGE MANAGEMENT INC (REIT)                COMMON STOCK     035710409           41             2425  SHARES
ANNAPOLIS BANCORP INCORPORATED                   COMMON STOCK     035848100           10             1000  SHARES
ANNTAYLOR STORES CORP                            COMMON STOCK     036115103            7              225  SHARES
ANTEON INTERNATIONAL CORP                        COMMON STOCK     03674E108          104             3200  SHARES
ANTHEM, INC.                                     COMMON STOCK     03674B104         1630            18200  SHARES
ANTHEM, INC                                      COMMON STOCK     03674B104          269             3000  SHARES
ANWORTH MORTGAGE ASSET CORP (REIT)               COMMON STOCK     037347101           31             2600  SHARES
AON CORP COM                                     COMMON STOCK     037389103           43             1500  SHARES
AON CORP COM                                     COMMON STOCK     037389103          293            10275  SHARES
APACHE CORP COM                                  COMMON STOCK     037411105          456            10482  SHARES
APACHE CORP COM                                  COMMON STOCK     037411105         1320            30304  SHARES
APOLLO GROUP INC CL A                            COMMON STOCK     037604105           22              250  SHARES
APOLLO GROUP INC CL A                            COMMON STOCK     037604105          135             1526  SHARES
APOLLO GROUP INC COM                             COMMON STOCK     037604204           53              600  SHARES
APOLLO INVESTMENT CORP.                          COMMON STOCK     03761U106           99             7200  SHARES
APPLE COMPUTER INC COM                           COMMON STOCK     037833100           55             1700  SHARES
APPLE COMPUTER INC COM                           COMMON STOCK     037833100           16              500  SHARES
APPLEBEE INTERNATIONAL INC COM                   COMMON STOCK     037899101           50             2175  SHARES
APPLED MICRO CIRCUITS CORP COM                   COMMON STOCK     03822W109          110            20700  SHARES
APPLERA CORP-APPLIED BIOSYSTEMS GRP              COMMON STOCK     038020103           87             3987  SHARES
APPLERA CORP-CELERA GENOMICS GR                  COMMON STOCK     038020202            7              600  SHARES
APPLIED MATERIALS INC COM                        COMMON STOCK     038222105          301            15354  SHARES
APPLIED MATERIALS INC COM                        COMMON STOCK     038222105         1875            95575  SHARES
APPLIED MATERIALS INCORPORATED                   COMMON STOCK     038222105          770            39250  SHARES
APPLIED MATERIALS, INC.                          COMMON STOCK     038222105          835            42600  SHARES
APPLIED MICRO CIRCUITS CORP.                     COMMON STOCK     03822W109          742           139400  SHARES
AQUA AMERICA INC                                 COMMON STOCK     03836W103           86             4313  SHARES
AQUANTIVE, INC.                                  COMMON STOCK     03839G105          802            81200  SHARES
ARAMARK CORP                                     COMMON STOCK     038521100            1               50  SHARES
ARCHER DANIELS MIDLAND CO COM                    COMMON STOCK     039483102          165             9814  SHARES
ARCHER DANIELS MIDLAND CO COM                    COMMON STOCK     039483102          191            11366  SHARES
ARCHER-DANIELS-MIDLAND CO.                       COMMON STOCK     039483102          757            45100  SHARES
ARCHSTONE-SMITH TRUST                            COMMON STOCK     039583109         1823            62167  SHARES
ARCHSTONE-SMITH TRUST (REIT)                     COMMON STOCK     039583109          237             8080  SHARES
ARCHSTONE-SMITH TRUST (REIT)                     COMMON STOCK     039583109         1371            46732  SHARES
ARGONAUT GROUP                                   COMMON STOCK     040157109           13              732  SHARES
ARIBA INC                                        COMMON STOCK     04033V104            0               34  SHARES
ARQULE, INC.                                     COMMON STOCK     04269E107           53            10100  SHARES
ARROW INTERNATIONAL INC                          COMMON STOCK     042764100            6              200  SHARES
ARROW INTERNATIONAL INC                          COMMON STOCK     042764100           48             1600  SHARES
ARTESIAN RESOURCES CORPORATION CL A              COMMON STOCK     043113208           20              750  SHARES
ARTESYN TECHNOLOGIES, INC.                       COMMON STOCK     043127109           63             7000  SHARES
ARVINMERITOR INC COM                             COMMON STOCK     043353101            4              202  SHARES


                                                                                      
AMERICAN SELECT PORTFOLIO                                  X                   1         4000       0         0
AMERICAN STANDARD COS INC DEL COM                          X                   1         2412       0         0
AMERICAN STANDARD COS.                                     X                   3        15000       0         0
AMERICAN SUPERCONDUCTOR CORP COM                           X                   1          400       0         0
AMERICAN TECHNOLOGY CORP                                             X         1         6000       0         0
AMERICAN TOWER CORP CL A                                   X                   1          300       0         0
AMERIGAS PARTNERS LP                                                 X         1         1600       0         0
AMERISOURCE BERGEN CORP COM                                          X         1          100       0         0
AMERISOURCE BERGEN CORP COM                                X                   1         1400       0         0
AMERITRADE HOLDING CORP                                    X                   1          515       0         0
AMERON, INC.                                               X                   3        15400       0         0
AMERUS GROUP CO.                                           X                   3        26400       0         0
AMETEK AEROSPACE PRODS INC COM                                       X         1         1884       0         0
AMGEN INC COM                                                        X         1        54394       0      7170
AMGEN INC COM                                              X                   1       293152       0      3497
AMGEN INC COM                                                        X         3         5600       0         0
AMGEN INC COM                                              X                   3       196866       0      7850
AMLI RESIDENTIAL PROPERTIES TRUST                          X                   2        46814       0         0
AMSOUTH BANCORPORATION                                     X                   1         1200       0         0
AMYLIN PHARMACEUTICALS INC                                           X         1            0       0       900
ANADARKO PETROLEUM CORP                                              X         1         4056       0         0
ANADARKO PETROLEUM CORP                                    X                   1        13429       0         0
ANADARKO PETROLEUM CORP                                              X         3         3064       0         0
ANADARKO PETROLEUM CORPORATION                             X                   2         5400       0         0
ANALOG DEVICES INC                                                   X         1          250       0       800
ANALOG DEVICES INC                                         X                   1         7460       0         0
ANALOG DEVICES, INC.                                       X                   3        33000       0         0
ANHEUSER BUSCH COMPANIES INC                               X                   2        10482       0         0
ANHEUSER BUSCH COS INC COM                                           X         1        29967       0       230
ANHEUSER BUSCH COS INC COM                                 X                   1        31175       0        60
ANHEUSER BUSCH COS INC COM                                           X         3          200       0      2400
ANHEUSER BUSCH COS INC COM                                 X                   3            0       0       700
ANNALY MTGE MANAGEMENT INC (REIT)                                    X         1         2425       0         0
ANNAPOLIS BANCORP INCORPORATED                                       X         1         1000       0         0
ANNTAYLOR STORES CORP                                                X         1          225       0         0
ANTEON INTERNATIONAL CORP                                  X                   3         3200       0         0
ANTHEM, INC.                                               X                   3        18200       0         0
ANTHEM, INC                                                X                   1         3000       0         0
ANWORTH MORTGAGE ASSET CORP (REIT)                                   X         1         2600       0         0
AON CORP COM                                                         X         1         1500       0         0
AON CORP COM                                               X                   1        10275       0         0
APACHE CORP COM                                                      X         1        10272       0       210
APACHE CORP COM                                            X                   1        30304       0         0
APOLLO GROUP INC CL A                                                X         1          250       0         0
APOLLO GROUP INC CL A                                      X                   1         1526       0         0
APOLLO GROUP INC COM                                       X                   1          600       0         0
APOLLO INVESTMENT CORP.                                    X                   3         7200       0         0
APPLE COMPUTER INC COM                                               X         1          300       0      1400
APPLE COMPUTER INC COM                                     X                   1          500       0         0
APPLEBEE INTERNATIONAL INC COM                                       X         1         2175       0         0
APPLED MICRO CIRCUITS CORP COM                             X                   1        20700       0         0
APPLERA CORP-APPLIED BIOSYSTEMS GRP                        X                   1         3887       0       100
APPLERA CORP-CELERA GENOMICS GR                            X                   1          600       0         0
APPLIED MATERIALS INC COM                                            X         1        13054       0      2300
APPLIED MATERIALS INC COM                                  X                   1        94175       0      1400
APPLIED MATERIALS INCORPORATED                             X                   2        39250       0         0
APPLIED MATERIALS, INC.                                    X                   3        42600       0         0
APPLIED MICRO CIRCUITS CORP.                               X                   3       139400       0         0
AQUA AMERICA INC                                           X                   1         4313       0         0
AQUANTIVE, INC.                                            X                   3        81200       0         0
ARAMARK CORP                                               X                   1           50       0         0
ARCHER DANIELS MIDLAND CO COM                                        X         1         3314       0      6500
ARCHER DANIELS MIDLAND CO COM                              X                   1        11366       0         0
ARCHER-DANIELS-MIDLAND CO.                                 X                   3        45100       0         0
ARCHSTONE-SMITH TRUST                                      X                   2        62167       0         0
ARCHSTONE-SMITH TRUST (REIT)                                         X         1         8080       0         0
ARCHSTONE-SMITH TRUST (REIT)                               X                   1        46732       0         0
ARGONAUT GROUP                                                       X         1          732       0         0
ARIBA INC                                                  X                   1           34       0         0
ARQULE, INC.                                               X                   3        10100       0         0
ARROW INTERNATIONAL INC                                              X         1            0       0       200
ARROW INTERNATIONAL INC                                    X                   1         1600       0         0
ARTESIAN RESOURCES CORPORATION CL A                        X                   1            0       0       750
ARTESYN TECHNOLOGIES, INC.                                 X                   3         7000       0         0
ARVINMERITOR INC COM                                       X                   1          202       0         0


                                     3 of 41




                                                                                                    
ARVINMERITOR, INC.                               COMMON STOCK     043353101          568            29000  SHARES
ASHLAND INC COM                                  COMMON STOCK     044204105           65             1224  SHARES
ASK JEEVES INC                                   COMMON STOCK     045174109           51             1300  SHARES
ASK JEEVES INC                                   COMMON STOCK     045174109          808            20700  SHARES
ASML HOLDING NV COM                              COMMON STOCK     N07059111            6              350  SHARES
ASPECT COMMUNICATIONS CORP.                      COMMON STOCK     04523Q102          446            31400  SHARES
ASPEN TECHNOLOGY, INC.                           COMMON STOCK     045327103          537            73900  SHARES
ASTORIA FINANCIAL CORP COM                       COMMON STOCK     046265104           16              450  SHARES
AT&T CORP                                        COMMON STOCK     001957505          265            18120  SHARES
AT&T CORP                                        COMMON STOCK     001957505          362            24756  SHARES
AT&T CORP                                        COMMON STOCK     001957505            4              263  SHARES
AT&T WIRELESS SERVICES                           COMMON STOCK     00209A106          269            18794  SHARES
AT&T WIRELESS SERVICES                           COMMON STOCK     00209A106          536            37404  SHARES
AT&T WIRELESS SERVICES                           COMMON STOCK     00209A106          118             8267  SHARES
AT&T WIRELESS SERVICES                           COMMON STOCK     00209A106            9              623  SHARES
ATLAS PIPELINE PARTNERS LP                       COMMON STOCK     049392103            7              200  SHARES
ATMEL CORP                                       COMMON STOCK     049513104           23             3910  SHARES
ATMOS ENERGY CORP                                COMMON STOCK     049560105            4              150  SHARES
AUGUST TECHNOLOGY CORP.                          COMMON STOCK     05106U105          376            30000  SHARES
AUTOMATIC DATA PROCESSING INC                    COMMON STOCK     053015103         2178            51994  SHARES
AUTOMATIC DATA PROCESSING INC                    COMMON STOCK     053015103         3470            82856  SHARES
AUTOMATIC DATA PROCESSING INC                    COMMON STOCK     053015103         2157            51498  SHARES
AVAYA INC COM                                    COMMON STOCK     053499109           31             1972  SHARES
AVAYA INC COM                                    COMMON STOCK     053499109           13              835  SHARES
AVERY DENNISON CORP COM                          COMMON STOCK     053611109          166             2600  SHARES
AVERY DENNISON CORP COM                          COMMON STOCK     053611109           38              600  SHARES
AVI BIOPHARMA, INC.                              COMMON STOCK     002346104           15             6300  SHARES
AVISTA CORP.                                     COMMON STOCK     05379B107          468            25400  SHARES
AVNET INC COM                                    COMMON STOCK     053807103           24             1060  SHARES
AVNET INC COM                                    COMMON STOCK     053807103           70             3100  SHARES
AVON PRODUCTS INC                                COMMON STOCK     054303102          348             7544  SHARES
AVON PRODUCTS INC                                COMMON STOCK     054303102          527            11428  SHARES
AVON PRODUCTS, INC.                              COMMON STOCK     054303102          424             9200  SHARES
AVX CORPORATION COM                              COMMON STOCK     002444107           14             1000  SHARES
AXCELIS TECHNOLOGIES INC COM                     COMMON STOCK     054540109           33             2652  SHARES
AXCELIS TECHNOLOGIES INC COM                     COMMON STOCK     054540109          116             9300  SHARES
AXCELIS TECHNOLOGIES INC COM                     COMMON STOCK     054540109          144            11600  SHARES
AZTAR CORP.                                      COMMON STOCK     054802103         1176            42000  SHARES
BAKER HUGHES INC COM                             COMMON STOCK     057224107           62             1650  SHARES
BAKER HUGHES INC COM                             COMMON STOCK     057224107          323             8570  SHARES
BALDWIN & LYONS INC CL A                         COMMON STOCK     057755100           33             1250  SHARES
BALL CORP                                        COMMON STOCK     058498106          865            12000  SHARES
BANK NEW YORK INCORPORATED                       COMMON STOCK     064057102         2332            79112  SHARES
BANK OF AMERICA CORP.                            COMMON STOCK     060505104        12821           151499  SHARES
BANK OF AMERICA CORPORATION                      COMMON STOCK     060505104         7416            87635  SHARES
BANK OF AMERICA CORPORATION                      COMMON STOCK     060505104        15966           188675  SHARES
BANK OF AMERICA CORPORATION                      COMMON STOCK     060505104         8023            94817  SHARES
BANK OF AMERICA CORPORATION                      COMMON STOCK     060505104           34              400  SHARES
BANK OF HAWAII CORP                              COMMON STOCK     062540109           14              300  SHARES
BANK OF HAWAII CORP                              COMMON STOCK     062540109           14              300  SHARES
BANK OF NEW YORK CO., INC.                       COMMON STOCK     064057102         7110           241168  SHARES
BANK OF NEW YORK INC COM                         COMMON STOCK     064057102         1220            41396  SHARES
BANK OF NEW YORK INC COM                         COMMON STOCK     064057102         7065           239644  SHARES
BANK OF NEW YORK INC COM                         COMMON STOCK     064057102           85             2900  SHARES
BANK ONE CORP COM                                COMMON STOCK     06423A103         1551            30407  SHARES
BANK ONE CORP COM                                COMMON STOCK     06423A103         1782            34933  SHARES
BANK ONE CORP COM                                COMMON STOCK     06423A103           30              586  SHARES
BANK ONE CORPORATION                             COMMON STOCK     06423A103         1026            18822  SHARES
BANKATLANTIC BANCORP INC CL A                    COMMON STOCK     065908501           50             2700  SHARES
BANKATLANTIC BANCORP INC CL A                    COMMON STOCK     065908501           65             3500  SHARES
BANKATLANTIC BANCORP INCORPORATED                COMMON STOCK     065908501           45            11025  SHARES
BANKNORTH GROUP INC                              COMMON STOCK     06646R107          239             7355  SHARES
BANKNORTH GROUP INC                              COMMON STOCK     06646R107           47             1442  SHARES
BANTA CORP.                                      COMMON STOCK     066821109         1057            23800  SHARES
BARD C R INC COM                                 COMMON STOCK     067383109          306             5400  SHARES
BARD C R INC COM                                 COMMON STOCK     067383109          447             7892  SHARES
BARNES & NOBLE, INC.                             COMMON STOCK     067774109          500            14700  SHARES
BARR LABORATORIES, INC.                          COMMON STOCK     068306109          900            26700  SHARES
BARR PHARMACEUTICALS INC                         COMMON STOCK     068306109          144             4272  SHARES
BAUSCH & LOMB INC COM                            COMMON STOCK     071707103            7              100  SHARES
BAXTER INTL INC                                  COMMON STOCK     071813109          597            17286  SHARES
BAXTER INTL INC                                  COMMON STOCK     071813109          400            11602  SHARES
BAXTER INTL INC                                  COMMON STOCK     071813109           41             1200  SHARES
BB & T CORPORATION                               COMMON STOCK     054937107         2024            54740  SHARES
BB&T CORP COM                                    COMMON STOCK     054937107         1132            30629  SHARES


                                                                                      
ARVINMERITOR, INC.                                         X                    3       29000       0         0
ASHLAND INC COM                                            X                    1        1224       0         0
ASK JEEVES INC                                             X                    1        1300       0         0
ASK JEEVES INC                                             X                    3       20700       0         0
ASML HOLDING NV COM                                        X                    1         350       0         0
ASPECT COMMUNICATIONS CORP.                                X                    3       31400       0         0
ASPEN TECHNOLOGY, INC.                                     X                    3       73900       0         0
ASTORIA FINANCIAL CORP COM                                 X                    1         450       0         0
AT&T CORP                                                            X          1       16963       0      1157
AT&T CORP                                                  X                    1       24716       0        40
AT&T CORP                                                  X                    3         143       0       120
AT&T WIRELESS SERVICES                                               X          1       17902       0       892
AT&T WIRELESS SERVICES                                     X                    1       37217       0       187
AT&T WIRELESS SERVICES                                               X          3        8267       0         0
AT&T WIRELESS SERVICES                                     X                    3         230       0       393
ATLAS PIPELINE PARTNERS LP                                 X                    1         200       0         0
ATMEL CORP                                                 X                    1        3910       0         0
ATMOS ENERGY CORP                                                    X          1         150       0         0
AUGUST TECHNOLOGY CORP.                                    X                    3       30000       0         0
AUTOMATIC DATA PROCESSING INC                                        X          1       47094       0      4900
AUTOMATIC DATA PROCESSING INC                              X                    1       82056       0       800
AUTOMATIC DATA PROCESSING INC                              X                    2       51498       0         0
AVAYA INC COM                                                        X          1        1798       0       174
AVAYA INC COM                                              X                    1         835       0         0
AVERY DENNISON CORP COM                                              X          1        2600       0         0
AVERY DENNISON CORP COM                                    X                    1         600       0         0
AVI BIOPHARMA, INC.                                        X                    3        6300       0         0
AVISTA CORP.                                               X                    3       25400       0         0
AVNET INC COM                                                        X          1        1060       0         0
AVNET INC COM                                              X                    1        3100       0         0
AVON PRODUCTS INC                                                    X          1        7544       0         0
AVON PRODUCTS INC                                          X                    1       11428       0         0
AVON PRODUCTS, INC.                                        X                    3        9200       0         0
AVX CORPORATION COM                                        X                    1        1000       0         0
AXCELIS TECHNOLOGIES INC COM                                         X          1        2652       0         0
AXCELIS TECHNOLOGIES INC COM                               X                    1        9300       0         0
AXCELIS TECHNOLOGIES INC COM                               X                    3       11600       0         0
AZTAR CORP.                                                X                    3       42000       0         0
BAKER HUGHES INC COM                                                 X          1        1650       0         0
BAKER HUGHES INC COM                                       X                    1        8570       0         0
BALDWIN & LYONS INC CL A                                   X                    1           0       0      1250
BALL CORP                                                  X                    1       12000       0         0
BANK NEW YORK INCORPORATED                                 X                    2       79112       0         0
BANK OF AMERICA CORP.                                      X                    3      151499       0         0
BANK OF AMERICA CORPORATION                                          X          1       80982       0      6653
BANK OF AMERICA CORPORATION                                X                    1      187185       0      1490
BANK OF AMERICA CORPORATION                                X                    2       94817       0         0
BANK OF AMERICA CORPORATION                                          X          3         400       0         0
BANK OF HAWAII CORP                                                  X          1         300       0         0
BANK OF HAWAII CORP                                        X                    1         300       0         0
BANK OF NEW YORK CO., INC.                                 X                    3      234958       0      6210
BANK OF NEW YORK INC COM                                             X          1       37446       0      3950
BANK OF NEW YORK INC COM                                   X                    1      238001       0      1643
BANK OF NEW YORK INC COM                                             X          3        2900       0         0
BANK ONE CORP COM                                                    X          1       28507       0      1900
BANK ONE CORP COM                                          X                    1       34933       0         0
BANK ONE CORP COM                                                    X          3           0       0       586
BANK ONE CORPORATION                                       X                    2       18822       0         0
BANKATLANTIC BANCORP INC CL A                              X                    1        2700       0         0
BANKATLANTIC BANCORP INC CL A                              X                    3        3500       0         0
BANKATLANTIC BANCORP INCORPORATED                          X                    2       11025       0         0
BANKNORTH GROUP INC                                                  X          1        7355       0         0
BANKNORTH GROUP INC                                        X                    1        1442       0         0
BANTA CORP.                                                X                    3       23800       0         0
BARD C R INC COM                                                     X          1        5400       0         0
BARD C R INC COM                                           X                    1        7892       0         0
BARNES & NOBLE, INC.                                       X                    3       14700       0         0
BARR LABORATORIES, INC.                                    X                    3       26700       0         0
BARR PHARMACEUTICALS INC                                   X                    1        4272       0         0
BAUSCH & LOMB INC COM                                                X          1         100       0         0
BAXTER INTL INC                                                      X          1       15008       0      2278
BAXTER INTL INC                                            X                    1       10902       0       700
BAXTER INTL INC                                                      X          3        1200       0         0
BB & T CORPORATION                                         X                    2       54740       0         0
BB&T CORP COM                                                        X          1       29063       0      1566


                                     4 of 41




                                                                                                    
BB&T CORP COM                                    COMMON STOCK     054937107          256             6915  SHARES
BB&T CORP COM                                    COMMON STOCK     054937107           80             2167  SHARES
BEA SYSTEMS INC                                  COMMON STOCK     073325102           76             9200  SHARES
BEA SYSTEMS INC                                  COMMON STOCK     073325102           12             1400  SHARES
BEAR STEARNS COS INC                             COMMON STOCK     073902108          102             1206  SHARES
BEAR STEARNS COS INC                             COMMON STOCK     073902108           44              525  SHARES
BEARINGPOINT INC                                 COMMON STOCK     074002106           18             2000  SHARES
BECKMAN COULTER INC                              COMMON STOCK     075811109           70             1148  SHARES
BECTON DICKINSON & CO COM                        COMMON STOCK     075887109          824            15900  SHARES
BECTON DICKINSON & CO COM                        COMMON STOCK     075887109          186             3589  SHARES
BED BATH & BEYOND INC COM                        COMMON STOCK     075896100           49             1280  SHARES
BED BATH & BEYOND INC COM                        COMMON STOCK     075896100          253             6591  SHARES
BEDFORD PROPERTY INVESTORS, INC.                 COMMON STOCK     076446301          240             8200  SHARES
BELLSOUTH CORP                                   COMMON STOCK     079860102         7489           285606  SHARES
BELLSOUTH CORP                                   COMMON STOCK     079860102         9363           357093  SHARES
BELLSOUTH CORP                                   COMMON STOCK     079860102           29             1124  SHARES
BELLSOUTH CORP                                   COMMON STOCK     079860102          793            30261  SHARES
BERKSHIRE HATHAWAY INC CLASS A                   COMMON STOCK     084670108          267                3  SHARES
BERKSHIRE HATHAWAY INC CLASS A                   COMMON STOCK     084670108           89                1  SHARES
BERKSHIRE HATHAWAY INCCLASS B                    COMMON STOCK     084670207          467              158  SHARES
BERKSHIRE HATHAWAY INCCLASS B                    COMMON STOCK     084670207          529              179  SHARES
BEST BUY INC COM                                 COMMON STOCK     086516101           94             1850  SHARES
BEST BUY INC COM                                 COMMON STOCK     086516101          202             3975  SHARES
BIOANALYTICAL SYSTEMS INCORPORATED               COMMON STOCK     09058M103            0               16  SHARES
BIOGEN IDEC INC                                  COMMON STOCK     09062X103           31              485  SHARES
BIOGEN IDEC INC                                  COMMON STOCK     09062X103          713            11267  SHARES
BIOGEN IDEC INC                                  COMMON STOCK     09062X103         2236            35355  SHARES
BIOJECT MEDICAL TECHNOLOGIES, INC.               COMMON STOCK     09059T206           56            29300  SHARES
BIOMET COM                                       COMMON STOCK     090613100           50             1125  SHARES
BIOVERIS CORPORATION                             COMMON STOCK     090676107            4              500  SHARES
BJ'S WHOLESALE CLUB INC COM                      COMMON STOCK     05548J106           18              700  SHARES
BJ'S WHOLESALE CLUB INC COM                      COMMON STOCK     05548J106          200             7980  SHARES
BJ'S WHOLESALE CLUB, INC.                        COMMON STOCK     05548J106         1548            61900  SHARES
BLACK & DECKER CORP COM                          COMMON STOCK     091797100         1154            18576  SHARES
BLACK & DECKER CORP COM                          COMMON STOCK     091797100          278             4468  SHARES
BLACK BOX CORP.                                  COMMON STOCK     091826107          525            11100  SHARES
BLACK HILLS CORP                                 COMMON STOCK     092113109            7              225  SHARES
BLOCK H & R INC                                  COMMON STOCK     093671105          105             2200  SHARES
BLOCK H & R INC                                  COMMON STOCK     093671105           10              220  SHARES
BMC SOFTWARE INC COM                             COMMON STOCK     055921100            4              200  SHARES
BOEING CO COM                                    COMMON STOCK     097023105         1055            20641  SHARES
BOEING CO COM                                    COMMON STOCK     097023105          944            18471  SHARES
BOK FINANCIAL CORPORATION                        COMMON STOCK     05561Q201            0               12  SHARES
BON-TON STORES INCORPORATED                      COMMON STOCK     09776J101          806            55000  SHARES
BORDERS GROUP INC COM                            COMMON STOCK     099709107            9              400  SHARES
BORG WARNER INC COM                              COMMON STOCK     099724106          384             8770  SHARES
BORGWARNER, INC.                                 COMMON STOCK     099724106         3641            83200  SHARES
BOSTON BEER INCORPORATED CLASS A                 COMMON STOCK     100557107            2              100  SHARES
BOSTON BEER INCORPORATED CLASS A                 COMMON STOCK     100557107            1               50  SHARES
BOSTON PRIVATE BANCORP INC COM                   COMMON STOCK     101119105           84             3638  SHARES
BOSTON PRIVATE FINANCIAL HOLDINGS                COMMON STOCK     101119105          662            28600  SHARES
BOSTON PROPERTIES INC (REIT)                     COMMON STOCK     101121101          252             5038  SHARES
BOSTON PROPERTIES INC (REIT)                     COMMON STOCK     101121101          629            12553  SHARES
BOSTON PROPERTIES INCORPORATED                   COMMON STOCK     101121101          210             4200  SHARES
BOSTON SCIENTIFIC CORP COM                       COMMON STOCK     101137107          864            20181  SHARES
BOSTON SCIENTIFIC CORP COM                       COMMON STOCK     101137107         1563            36491  SHARES
BOSTON SCIENTIFIC CORPORATION                    COMMON STOCK     101137107         2841            46500  SHARES
BOWATER INC COM                                  COMMON STOCK     102183100           96             2300  SHARES
BOWATER, INC.                                    COMMON STOCK     102183100          620            14900  SHARES
BOYKIN LODGING CO.                               COMMON STOCK     103430104          421            55000  SHARES
BRADLEY PHARMACEUTICALS                          COMMON STOCK     104576103          148             5300  SHARES
BRADLEY PHARMACEUTICALS                          COMMON STOCK     104576103           95             3400  SHARES
BRANDYWINE REALTY TRUST (REIT)                   COMMON STOCK     105368203           27             1000  SHARES
BRANDYWINE REALTY TRUST (REIT)                   COMMON STOCK     105368203           63             2300  SHARES
BRIGGS & STRATTON CORP.                          COMMON STOCK     109043109         1202            13600  SHARES
BRIGHT HORIZONS FAMILY SOLUTIONS INC             COMMON STOCK     109195107           54             1000  SHARES
BRIGHTPOINT, INC.                                COMMON STOCK     109473405          303            22000  SHARES
BRINKER INTERNATIONAL, INC.                      COMMON STOCK     109641100         1075            31500  SHARES
BRINKER INTL INC COM                             COMMON STOCK     109641100          945            27697  SHARES
BRINKER INTL INC COM                             COMMON STOCK     109641100         1952            57200  SHARES
BRISTOL MYERS SQUIBB CO                          COMMON STOCK     110122108         9906           404325  SHARES
BRISTOL MYERS SQUIBB CO                          COMMON STOCK     110122108        10249           418324  SHARES
BRISTOL MYERS SQUIBB CO                          COMMON STOCK     110122108          317            12920  SHARES
BRISTOL MYERS SQUIBB CO                          COMMON STOCK     110122108           21              860  SHARES
BRISTOL MYERS SQUIBB COMPANY                     COMMON STOCK     110122108         1519            62009  SHARES


                                                                                     
BB&T CORP COM                                              X                    1        6515       0       400
BB&T CORP COM                                                        X          3         892       0      1275
BEA SYSTEMS INC                                                      X          1        9200       0         0
BEA SYSTEMS INC                                            X                    1        1400       0         0
BEAR STEARNS COS INC                                                 X          1        1206       0         0
BEAR STEARNS COS INC                                       X                    1         525       0         0
BEARINGPOINT INC                                           X                    1        2000       0         0
BECKMAN COULTER INC                                                  X          1         600       0       548
BECTON DICKINSON & CO COM                                            X          1       15900       0         0
BECTON DICKINSON & CO COM                                  X                    1        3589       0         0
BED BATH & BEYOND INC COM                                            X          1        1280       0         0
BED BATH & BEYOND INC COM                                  X                    1        6591       0         0
BEDFORD PROPERTY INVESTORS, INC.                           X                    3        8200       0         0
BELLSOUTH CORP                                                       X          1      233581       0     52025
BELLSOUTH CORP                                             X                    1      356093       0      1000
BELLSOUTH CORP                                                       X          3        1124       0         0
BELLSOUTH CORP                                             X                    3       30261       0         0
BERKSHIRE HATHAWAY INC CLASS A                                       X          1           3       0         0
BERKSHIRE HATHAWAY INC CLASS A                             X                    1           1       0         0
BERKSHIRE HATHAWAY INCCLASS B                                        X          1         148       0        10
BERKSHIRE HATHAWAY INCCLASS B                              X                    1         179       0         0
BEST BUY INC COM                                                     X          1        1850       0         0
BEST BUY INC COM                                           X                    1        3975       0         0
BIOANALYTICAL SYSTEMS INCORPORATED                         X                    1          16       0         0
BIOGEN IDEC INC                                                      X          1         485       0         0
BIOGEN IDEC INC                                            X                    1       11267       0         0
BIOGEN IDEC INC                                            X                    3       33923       0      1432
BIOJECT MEDICAL TECHNOLOGIES, INC.                         X                    3       29300       0         0
BIOMET COM                                                           X          1        1125       0         0
BIOVERIS CORPORATION                                                 X          1           0       0       500
BJ'S WHOLESALE CLUB INC COM                                          X          1         400       0       300
BJ'S WHOLESALE CLUB INC COM                                X                    1        7980       0         0
BJ'S WHOLESALE CLUB, INC.                                  X                    3       61900       0         0
BLACK & DECKER CORP COM                                              X          1       18576       0         0
BLACK & DECKER CORP COM                                    X                    1        4468       0         0
BLACK BOX CORP.                                            X                    3       11100       0         0
BLACK HILLS CORP                                                     X          1         225       0         0
BLOCK H & R INC                                                      X          1        2200       0         0
BLOCK H & R INC                                            X                    1         220       0         0
BMC SOFTWARE INC COM                                       X                    1         200       0         0
BOEING CO COM                                                        X          1       19441       0      1200
BOEING CO COM                                              X                    1       18271       0       200
BOK FINANCIAL CORPORATION                                  X                    1          12       0         0
BON-TON STORES INCORPORATED                                X                    1       55000       0         0
BORDERS GROUP INC COM                                      X                    1         400       0         0
BORG WARNER INC COM                                        X                    1        8770       0         0
BORGWARNER, INC.                                           X                    3       83200       0         0
BOSTON BEER INCORPORATED CLASS A                                     X          1         100       0         0
BOSTON BEER INCORPORATED CLASS A                           X                    1          50       0         0
BOSTON PRIVATE BANCORP INC COM                             X                    1        3638       0         0
BOSTON PRIVATE FINANCIAL HOLDINGS                          X                    3       28600       0         0
BOSTON PROPERTIES INC (REIT)                                         X          1        5038       0         0
BOSTON PROPERTIES INC (REIT)                               X                    1       12553       0         0
BOSTON PROPERTIES INCORPORATED                             X                    2        4200       0         0
BOSTON SCIENTIFIC CORP COM                                 X                    1       20181       0         0
BOSTON SCIENTIFIC CORP COM                                 X                    3       31346       0      5145
BOSTON SCIENTIFIC CORPORATION                              X                    2       46500       0         0
BOWATER INC COM                                            X                    1        2300       0         0
BOWATER, INC.                                              X                    3       14900       0         0
BOYKIN LODGING CO.                                         X                    3       55000       0         0
BRADLEY PHARMACEUTICALS                                    X                    1        3300       0      2000
BRADLEY PHARMACEUTICALS                                    X                    3        3400       0         0
BRANDYWINE REALTY TRUST (REIT)                                       X          1        1000       0         0
BRANDYWINE REALTY TRUST (REIT)                             X                    1        2300       0         0
BRIGGS & STRATTON CORP.                                    X                    3       13600       0         0
BRIGHT HORIZONS FAMILY SOLUTIONS INC                                 X          1           0       0      1000
BRIGHTPOINT, INC.                                          X                    3       22000       0         0
BRINKER INTERNATIONAL, INC.                                X                    3       31500       0         0
BRINKER INTL INC COM                                                 X          1       27697       0         0
BRINKER INTL INC COM                                       X                    1       56975       0       225
BRISTOL MYERS SQUIBB CO                                              X          1      345510       0     58815
BRISTOL MYERS SQUIBB CO                                    X                    1      416049       0      2275
BRISTOL MYERS SQUIBB CO                                              X          3        8800       0      4120
BRISTOL MYERS SQUIBB CO                                    X                    3         160       0       700
BRISTOL MYERS SQUIBB COMPANY                               X                    2       62009       0         0


                                     5 of 41




                                                                                                    
BROADCOM CORP CL A                               COMMON STOCK     111320107            9              200  SHARES
BROADVISION, INC.                                COMMON STOCK     111412607          193            45900  SHARES
BROOKFIELD HOMES CORPORATION                     COMMON STOCK     112723101           61             2333  SHARES
BROOKFIELD HOMES CORPORATION                     COMMON STOCK     112723101           75             2867  SHARES
BROOKS AUTOMATION, INC.                          COMMON STOCK     114340102         1342            66600  SHARES
BRYN MAWR BANK CORPORATION                       COMMON STOCK     117665109          258            11392  SHARES
BSB BANCORP INC                                  COMMON STOCK     055652101           24              688  SHARES
BSB BANCORP INC                                  COMMON STOCK     055652101           24              667  SHARES
BUCKEYE PARTNERS LP UNIT LTD PARTNER             COMMON STOCK     118230101           36              900  SHARES
BURLINGTON NORTHN SANTA FE CORP COM              COMMON STOCK     12189T104          502            14320  SHARES
BURLINGTON NORTHN SANTA FE CORP COM              COMMON STOCK     12189T104          346             9875  SHARES
BURLINGTON NORTHN SANTA FE CORP COM              COMMON STOCK     12189T104           11              300  SHARES
BURLINGTON RES INC                               COMMON STOCK     122014103         1417            39170  SHARES
BURLINGTON RES INC                               COMMON STOCK     122014103         5252           145163  SHARES
BURLINGTON RES INC                               COMMON STOCK     122014103           19              530  SHARES
BURLINGTON RESOURCES, INC.                       COMMON STOCK     122014103         1374            37976  SHARES
C H ROBINSON WORLDWIDE INC                       COMMON STOCK     12541W100          160             3500  SHARES
C.H. ROBINSON WORLDWIDE, INC.                    COMMON STOCK     12541W100         1146            25000  SHARES
CABOT MICROELECTRONICS CORP COM                  COMMON STOCK     12709P103          104             3400  SHARES
CABOT MICROELECTRONICS CORP COM                  COMMON STOCK     12709P103          374            12200  SHARES
CADENCE DESIGN SYS INC                           COMMON STOCK     127387108           31             2100  SHARES
CADENCE DESIGN SYS INC                           COMMON STOCK     127387108          140             9575  SHARES
CAESARS ENTERTAINMENT INC                        COMMON STOCK     127687101           25             1687  SHARES
CALLAWAY GOLF CO COM                             COMMON STOCK     131193104            0               23  SHARES
CALPINE CORP COM                                 COMMON STOCK     131347106            5             1250  SHARES
CALPINE CORP COM                                 COMMON STOCK     131347106            1              300  SHARES
CAMDEN PROPERTY TRUST (REIT)                     COMMON STOCK     133131102           46             1000  SHARES
CAMPBELL SOUP CO COM                             COMMON STOCK     134429109          442            16426  SHARES
CAMPBELL SOUP CO COM                             COMMON STOCK     134429109           76             2816  SHARES
CAMPBELL SOUP CO COM                             COMMON STOCK     134429109           22              800  SHARES
CAPITAL ONE FINANCIAL CORP                       COMMON STOCK     14040H105         1737            25408  SHARES
CAPITAL ONE FINANCIAL CORP                       COMMON STOCK     14040H105         7658           111985  SHARES
CAPITAL ONE FINANCIAL CORP                       COMMON STOCK     14040H105        14113           206399  SHARES
CAPITAL ONE FINANCIAL CORPORATION                COMMON STOCK     14040H105         5734            83850  SHARES
CAPSTONE TURBINE CORP                            COMMON STOCK     14067D102            0              100  SHARES
CARBO CERAMICS INC COMMON                        COMMON STOCK     140781105           58              850  SHARES
CARBO CERAMICS INC COMMON                        COMMON STOCK     140781105           72             1050  SHARES
CARDINAL HEALTH INCORPORATED                     COMMON STOCK     14149Y108          462             6600  SHARES
CARDINAL HLTH INC                                COMMON STOCK     14149Y108          399             5698  SHARES
CARDINAL HLTH INC                                COMMON STOCK     14149Y108         3792            54129  SHARES
CARDINAL HLTH INC                                COMMON STOCK     14149Y108         5019            71639  SHARES
CAREER EDUCATION CORP COM                        COMMON STOCK     141665109          100             2200  SHARES
CAREER EDUCATION CORP.                           COMMON STOCK     141665109          688            15100  SHARES
CAREMARK RX INC COM                              COMMON STOCK     141705103          882            26761  SHARES
CAREMARK RX INC COM                              COMMON STOCK     141705103         7926           240612  SHARES
CAREMARK RX INC COM                              COMMON STOCK     141705103         9525           289140  SHARES
CAREMARK RX INC COM                              COMMON STOCK     141705103           51             1560  SHARES
CARLISLE COMPANIES INC                           COMMON STOCK     142339100         1435            23058  SHARES
CARLISLE COMPANIES INC                           COMMON STOCK     142339100           56              900  SHARES
CARMAX INC                                       COMMON STOCK     143130102          362            16570  SHARES
CARMAX INC                                       COMMON STOCK     143130102         5014           229262  SHARES
CARMAX INC                                       COMMON STOCK     143130102         8273           378262  SHARES
CARMAX INC                                       COMMON STOCK     143130102           28             1290  SHARES
CARNIVAL CORPORATION                             COMMON STOCK     143658300          643            13688  SHARES
CARNIVAL CORPORATION                             COMMON STOCK     143658300         5276           112252  SHARES
CARNIVAL CORPORATION                             COMMON STOCK     143658300         4106            87367  SHARES
CARNIVAL CORPORATION                             COMMON STOCK     143658300           19              400  SHARES
CARPENTER TECHNOLOGY CORP COM                    COMMON STOCK     144285103          121             3564  SHARES
CARPENTER TECHNOLOGY CORP COM                    COMMON STOCK     144285103          110             3222  SHARES
CASCADE BANCORP                                  COMMON STOCK     147154108          286            15500  SHARES
CATERPILLAR INC                                  COMMON STOCK     149123101          333             4196  SHARES
CATERPILLAR INC                                  COMMON STOCK     149123101         1183            14892  SHARES
CAVCO INDUSTRIES, INC.                           COMMON STOCK     149568107            2               51  SHARES
CAVCO INDUSTRIES, INC.                           COMMON STOCK     149568107            2               44  SHARES
CBRL GROUP INC                                   COMMON STOCK     12489V106            6              200  SHARES
C-COR NET CORP COM                               COMMON STOCK     125010108          875            85000  SHARES
C-COR NET CORP COM                               COMMON STOCK     125010108           62             6000  SHARES
CDI CORPORATION                                  COMMON STOCK     125071100          201             5800  SHARES
CDW CORP.                                        COMMON STOCK     12512N105         3220            50500  SHARES
CDW CORPORATION                                  COMMON STOCK     12512N105          495             7766  SHARES
CEDAR FAIR LTD PTR                               COMMON STOCK     150185106           22              700  SHARES
CELESTICA INC COM                                COMMON STOCK     15101Q108           10              505  SHARES
CELGENE CORP COM                                 COMMON STOCK     151020104           34              600  SHARES
CELL GENESYS, INC.                               COMMON STOCK     150921104         1004            96629  SHARES
CELL THERAPEUTICS INC COM                        COMMON STOCK     150934107            7             1000  SHARES


                                                                                      
BROADCOM CORP CL A                                         X                    1         200       0         0
BROADVISION, INC.                                          X                    3       45900       0         0
BROOKFIELD HOMES CORPORATION                               X                    1        2333       0         0
BROOKFIELD HOMES CORPORATION                               X                    3        2867       0         0
BROOKS AUTOMATION, INC.                                    X                    3       66600       0         0
BRYN MAWR BANK CORPORATION                                 X                    1       11392       0         0
BSB BANCORP INC                                                      X          1         351       0       337
BSB BANCORP INC                                            X                    1         667       0         0
BUCKEYE PARTNERS LP UNIT LTD PARTNER                       X                    1         900       0         0
BURLINGTON NORTHN SANTA FE CORP COM                                  X          1       13120       0      1200
BURLINGTON NORTHN SANTA FE CORP COM                        X                    1        9875       0         0
BURLINGTON NORTHN SANTA FE CORP COM                        X                    3         300       0         0
BURLINGTON RES INC                                                   X          1       35020       0      4150
BURLINGTON RES INC                                         X                    1      143713       0      1450
BURLINGTON RES INC                                         X                    3         530       0         0
BURLINGTON RESOURCES, INC.                                 X                    3       37976       0         0
C H ROBINSON WORLDWIDE INC                                 X                    1        3500       0         0
C.H. ROBINSON WORLDWIDE, INC.                              X                    3       25000       0         0
CABOT MICROELECTRONICS CORP COM                            X                    1        3400       0         0
CABOT MICROELECTRONICS CORP COM                            X                    3       12200       0         0
CADENCE DESIGN SYS INC                                               X          1        2100       0         0
CADENCE DESIGN SYS INC                                     X                    1        9575       0         0
CAESARS ENTERTAINMENT INC                                  X                    1        1687       0         0
CALLAWAY GOLF CO COM                                       X                    1          23       0         0
CALPINE CORP COM                                                     X          1        1250       0         0
CALPINE CORP COM                                           X                    1         300       0         0
CAMDEN PROPERTY TRUST (REIT)                               X                    1        1000       0         0
CAMPBELL SOUP CO COM                                                 X          1       16426       0         0
CAMPBELL SOUP CO COM                                       X                    1        2816       0         0
CAMPBELL SOUP CO COM                                       X                    3         800       0         0
CAPITAL ONE FINANCIAL CORP                                           X          1       20058       0      5350
CAPITAL ONE FINANCIAL CORP                                 X                    1      110740       0      1245
CAPITAL ONE FINANCIAL CORP                                 X                    3      203054       0      3345
CAPITAL ONE FINANCIAL CORPORATION                          X                    2       83850       0         0
CAPSTONE TURBINE CORP                                                X          1         100       0         0
CARBO CERAMICS INC COMMON                                  X                    1         850       0         0
CARBO CERAMICS INC COMMON                                  X                    3        1050       0         0
CARDINAL HEALTH INCORPORATED                               X                    2        6600       0         0
CARDINAL HLTH INC                                                    X          1        5429       0       269
CARDINAL HLTH INC                                          X                    1       54024       0       105
CARDINAL HLTH INC                                          X                    3       68439       0      3200
CAREER EDUCATION CORP COM                                  X                    1        2200       0         0
CAREER EDUCATION CORP.                                     X                    3       15100       0         0
CAREMARK RX INC COM                                                  X          1       25511       0      1250
CAREMARK RX INC COM                                        X                    1      237724       0      2888
CAREMARK RX INC COM                                        X                    3      289140       0         0
CAREMARK RX INC COM                                        X                    3        1560       0         0
CARLISLE COMPANIES INC                                               X          1       22400       0       658
CARLISLE COMPANIES INC                                     X                    1         500       0       400
CARMAX INC                                                           X          1       14275       0      2295
CARMAX INC                                                 X                    1      224012       0      5250
CARMAX INC                                                 X                    3      378262       0         0
CARMAX INC                                                 X                    3        1290       0         0
CARNIVAL CORPORATION                                                 X          1       12338       0      1350
CARNIVAL CORPORATION                                       X                    1      111524       0       728
CARNIVAL CORPORATION                                       X                    3       87367       0         0
CARNIVAL CORPORATION                                       X                    3         400       0         0
CARPENTER TECHNOLOGY CORP COM                                        X          1        1964       0      1600
CARPENTER TECHNOLOGY CORP COM                              X                    1        3222       0         0
CASCADE BANCORP                                            X                    3       15500       0         0
CATERPILLAR INC                                                      X          1        3146       0      1050
CATERPILLAR INC                                            X                    1       14892       0         0
CAVCO INDUSTRIES, INC.                                               X          1          51       0         0
CAVCO INDUSTRIES, INC.                                     X                    1          44       0         0
CBRL GROUP INC                                             X                    1         200       0         0
C-COR NET CORP COM                                                   X          1       85000       0         0
C-COR NET CORP COM                                         X                    1        6000       0         0
CDI CORPORATION                                                      X          1        5800       0         0
CDW CORP.                                                  X                    3       50500       0         0
CDW CORPORATION                                            X                    1        7766       0         0
CEDAR FAIR LTD PTR                                         X                    1         700       0         0
CELESTICA INC COM                                          X                    3         505       0         0
CELGENE CORP COM                                                     X          1         400       0       200
CELL GENESYS, INC.                                         X                    3       96629       0         0
CELL THERAPEUTICS INC COM                                  X                    1        1000       0         0


                                     6 of 41




                                                                                                    
CENDANT CORP COM                                 COMMON STOCK     151313103          850            34710  SHARES
CENDANT CORP COM                                 COMMON STOCK     151313103        10395           424644  SHARES
CENDANT CORP COM                                 COMMON STOCK     151313103        13234           540577  SHARES
CENDANT CORP COM                                 COMMON STOCK     151313103           72             2945  SHARES
CENTERPOINT ENERGY INC                           COMMON STOCK     15189T107           37             3200  SHARES
CENTERPOINT ENERGY INC                           COMMON STOCK     15189T107           10              898  SHARES
CENTERPOINT ENERGY INC                           COMMON STOCK     15189T107           35             3000  SHARES
CENTEX CORP                                      COMMON STOCK     152312104          678            14820  SHARES
CENTEX CORP                                      COMMON STOCK     152312104         1161            25370  SHARES
CENTURY ALUMINUM COMPANY                         COMMON STOCK     156431108          112             4500  SHARES
CENTURY ALUMINUM COMPANY                         COMMON STOCK     156431108          136             5500  SHARES
CENTURY BUSINESS SERVICES INC                    COMMON STOCK     156490104            4             1000  SHARES
CERES GROUP, INC.                                COMMON STOCK     156772105          530            86300  SHARES
CERIDIAN CORP                                    COMMON STOCK     156779100            7              300  SHARES
CERNER CORP                                      COMMON STOCK     156782104           38              855  SHARES
CERNER CORP                                      COMMON STOCK     156782104         3312            74292  SHARES
CERNER CORP                                      COMMON STOCK     156782104         6002           134645  SHARES
CERNER CORP                                      COMMON STOCK     156782104           31              700  SHARES
CERTEGY INC COM                                  COMMON STOCK     156880106           19              500  SHARES
CEVA INC                                         COMMON STOCK     157210105           67             8500  SHARES
CEVA INC                                         COMMON STOCK     157210105           83            10500  SHARES
CH ENERGY GROUP INC COM                          COMMON STOCK     12541M102          174             3740  SHARES
CHARLES RIVER LABS INTL INC COM                  COMMON STOCK     159864107           22              450  SHARES
CHARTER COMMUNICATIONS INC CL A                  COMMON STOCK     16117M107            4             1000  SHARES
CHARTER ONE FINL INC COM                         COMMON STOCK     160903100           67             1524  SHARES
CHARTERMAC                                       COMMON STOCK     160908109          190             9674  SHARES
CHECK POINT SOFTWARE TECH COM                    COMMON STOCK     M22465104          119             4400  SHARES
CHECK POINT SOFTWARE TECHNOLOGIES LTD.           COMMON STOCK     M22465104          818            30300  SHARES
CHECKPOINT SYSTEMS, INC.                         COMMON STOCK     162825103          640            35700  SHARES
CHESAPEAKE UTILITIES CORPORATION                 COMMON STOCK     165303108           17              750  SHARES
CHEVRONTEXACO CORP                               COMMON STOCK     166764100        13930           148013  SHARES
CHEVRONTEXACO CORP                               COMMON STOCK     166764100        22326           237231  SHARES
CHEVRONTEXACO CORP                               COMMON STOCK     166764100          188             2000  SHARES
CHEVRONTEXACO CORP                               COMMON STOCK     166764100         9604           102043  SHARES
CHEVRONTEXACO CORP                               COMMON STOCK     166764100           49              520  SHARES
CHEVRONTEXACO CORPORATION                        COMMON STOCK     166764100          532             5655  SHARES
CHICAGO PIZZA & BREWERY, INC.                    COMMON STOCK     167889104          179            11800  SHARES
CHICOS FAS INC                                   COMMON STOCK     168615102            5              100  SHARES
CHIPPAC, INC.                                    COMMON STOCK     169657103          381            60800  SHARES
CHOICEPOINT INC COM                              COMMON STOCK     170388102           18              400  SHARES
CHOICEPOINT INC COM                              COMMON STOCK     170388102           24              533  SHARES
CHRISTOPHER & BANKS CORP                         COMMON STOCK     171046105           53             3000  SHARES
CHRISTOPHER & BANKS CORP.                        COMMON STOCK     171046105          612            34550  SHARES
CHUBB CORP                                       COMMON STOCK     171232101          495             7264  SHARES
CHUBB CORP                                       COMMON STOCK     171232101          811            11898  SHARES
CHUBB CORP.                                      COMMON STOCK     171232101         1357            19900  SHARES
CIENA CORP                                       COMMON STOCK     171779101           10             2800  SHARES
CIENA CORP                                       COMMON STOCK     171779101           26             7018  SHARES
CIGNA CORP                                       COMMON STOCK     125509109          278             4034  SHARES
CIGNA CORP                                       COMMON STOCK     125509109          466             6770  SHARES
CINCINNATI BELL INC                              COMMON STOCK     171871106            4             1000  SHARES
CINCINNATI FINL CORP COM                         COMMON STOCK     172062101           27              630  SHARES
CINERGY CORP                                     COMMON STOCK     172474108           34              905  SHARES
CINERGY CORP                                     COMMON STOCK     172474108          200             5268  SHARES
CINTAS CORP COM                                  COMMON STOCK     172908105           43              900  SHARES
CIRCUIT STORES COM                               COMMON STOCK     172737108           60             4600  SHARES
CIRCUIT STORES COM                               COMMON STOCK     172737108          186            14395  SHARES
CISCO SYS INC                                    COMMON STOCK     17275R102         5889           248490  SHARES
CISCO SYS INC                                    COMMON STOCK     17275R102        25087          1058515  SHARES
CISCO SYS INC                                    COMMON STOCK     17275R102         2934           123774  SHARES
CISCO SYS INC                                    COMMON STOCK     17275R102           62             2600  SHARES
CISCO SYS INC                                    COMMON STOCK     17275R102        19087           805337  SHARES
CIT GROUP INC                                    COMMON STOCK     125581108          143             3738  SHARES
CIT GROUP INC                                    COMMON STOCK     125581108         3762            98262  SHARES
CIT GROUP INC                                    COMMON STOCK     125581108         6613           172692  SHARES
CIT GROUP INC                                    COMMON STOCK     125581108           31              800  SHARES
CITIGROUP INC COM                                COMMON STOCK     172967101         9061           194859  SHARES
CITIGROUP INC COM                                COMMON STOCK     172967101        26533           570593  SHARES
CITIGROUP INC COM                                COMMON STOCK     172967101         5626           120987  SHARES
CITIGROUP INC COM                                COMMON STOCK     172967101           17              375  SHARES
CITIGROUP INC COM                                COMMON STOCK     172967101        22743           489095  SHARES
CITIGROUP INC COM                                COMMON STOCK     172967101          113             2433  SHARES
CITIZENS COMMUNICATIONS CO COM                   COMMON STOCK     17453B101            6              483  SHARES
CITRIX SYSTEMS INC COM                           COMMON STOCK     177376100            6              300  SHARES
CITRIX SYSTEMS INC COM                           COMMON STOCK     177376100          164             8050  SHARES


                                                                                     
CENDANT CORP COM                                                     X         1        32085       0      2625
CENDANT CORP COM                                           X                   1       417685       0      6959
CENDANT CORP COM                                           X                   3       540577       0         0
CENDANT CORP COM                                           X                   3         2945       0         0
CENTERPOINT ENERGY INC                                               X         1         3200       0         0
CENTERPOINT ENERGY INC                                     X                   1          898       0         0
CENTERPOINT ENERGY INC                                               X         3         3000       0         0
CENTEX CORP                                                          X         1        14820       0         0
CENTEX CORP                                                X                   1        25370       0         0
CENTURY ALUMINUM COMPANY                                   X                   1         4500       0         0
CENTURY ALUMINUM COMPANY                                   X                   3         5500       0         0
CENTURY BUSINESS SERVICES INC                              X                   1         1000       0         0
CERES GROUP, INC.                                          X                   3        86300       0         0
CERIDIAN CORP                                                        X         1          300       0         0
CERNER CORP                                                          X         1          855       0         0
CERNER CORP                                                X                   1        73067       0      1225
CERNER CORP                                                X                   3       134645       0         0
CERNER CORP                                                X                   3          700       0         0
CERTEGY INC COM                                                      X         1          500       0         0
CEVA INC                                                   X                   1         8500       0         0
CEVA INC                                                   X                   3        10500       0         0
CH ENERGY GROUP INC COM                                    X                   1         3740       0         0
CHARLES RIVER LABS INTL INC COM                                      X         1            0       0       450
CHARTER COMMUNICATIONS INC CL A                            X                   1         1000       0         0
CHARTER ONE FINL INC COM                                   X                   1         1524       0         0
CHARTERMAC                                                 X                   1         9674       0         0
CHECK POINT SOFTWARE TECH COM                              X                   1         4400       0         0
CHECK POINT SOFTWARE TECHNOLOGIES LTD.                     X                   3        30300       0         0
CHECKPOINT SYSTEMS, INC.                                   X                   3        35700       0         0
CHESAPEAKE UTILITIES CORPORATION                                     X         1          750       0         0
CHEVRONTEXACO CORP                                                   X         1       116230       0     31783
CHEVRONTEXACO CORP                                         X                   1       235466       0      1765
CHEVRONTEXACO CORP                                                   X         3         2000       0         0
CHEVRONTEXACO CORP                                         X                   3       101196       0       847
CHEVRONTEXACO CORP                                         X                   3          520       0         0
CHEVRONTEXACO CORPORATION                                  X                   2         5655       0         0
CHICAGO PIZZA & BREWERY, INC.                              X                   3        11800       0         0
CHICOS FAS INC                                                       X         1          100       0         0
CHIPPAC, INC.                                              X                   3        60800       0         0
CHOICEPOINT INC COM                                                  X         1          400       0         0
CHOICEPOINT INC COM                                        X                   1          533       0         0
CHRISTOPHER & BANKS CORP                                   X                   1         3000       0         0
CHRISTOPHER & BANKS CORP.                                  X                   3        34550       0         0
CHUBB CORP                                                           X         1         7264       0         0
CHUBB CORP                                                 X                   1        11898       0         0
CHUBB CORP.                                                X                   3        19900       0         0
CIENA CORP                                                           X         1         2800       0         0
CIENA CORP                                                 X                   1         7018       0         0
CIGNA CORP                                                           X         1         4034       0         0
CIGNA CORP                                                 X                   1         6770       0         0
CINCINNATI BELL INC                                        X                   1         1000       0         0
CINCINNATI FINL CORP COM                                   X                   1          630       0         0
CINERGY CORP                                                         X         1          905       0         0
CINERGY CORP                                               X                   1         5268       0         0
CINTAS CORP COM                                                      X         1          900       0         0
CIRCUIT STORES COM                                                   X         1         4600       0         0
CIRCUIT STORES COM                                         X                   1        14395       0         0
CISCO SYS INC                                                        X         1       231590       0     16900
CISCO SYS INC                                              X                   1      1045505       0     13010
CISCO SYS INC                                              X                   2       123774       0         0
CISCO SYS INC                                                        X         3         2600       0         0
CISCO SYS INC                                              X                   3       783310       0     22027
CIT GROUP INC                                                        X         1         2155       0      1583
CIT GROUP INC                                              X                   1        96017       0      2245
CIT GROUP INC                                              X                   3       172692       0         0
CIT GROUP INC                                              X                   3          800       0         0
CITIGROUP INC COM                                                    X         1       179580       0     15279
CITIGROUP INC COM                                          X                   1       564128       0      6465
CITIGROUP INC COM                                          X                   2       120987       0         0
CITIGROUP INC COM                                                    X         3          375       0         0
CITIGROUP INC COM                                          X                   3       488145       0       950
CITIGROUP INC COM                                          X                   3         2433       0         0
CITIZENS COMMUNICATIONS CO COM                                       X         1          483       0         0
CITRIX SYSTEMS INC COM                                               X         1            0       0       300
CITRIX SYSTEMS INC COM                                     X                   1         7650       0       400


                                     7 of 41




                                                                                                    
CLAIRES STORES INCORPORATED                      COMMON STOCK     179584107            4              200  SHARES
CLEAR CHANNEL COMMUNICATIONS INC                 COMMON STOCK     184502102          278             7520  SHARES
CLEAR CHANNEL COMMUNICATIONS INC COM             COMMON STOCK     184502102          443            11997  SHARES
CLEAR CHANNEL COMMUNICATIONS INC COM             COMMON STOCK     184502102         5149           139342  SHARES
CLEAR CHANNEL COMMUNICATIONS INC COM             COMMON STOCK     184502102         6743           182504  SHARES
CLEAR CHANNEL COMMUNICATIONS INC COM             COMMON STOCK     184502102           28              750  SHARES
CLECO CORP                                       COMMON STOCK     12561W105           14              800  SHARES
CLOROX CO COM                                    COMMON STOCK     189054109          211             3915  SHARES
CLOROX CO COM                                    COMMON STOCK     189054109          450             8375  SHARES
CMGI INC COM                                     COMMON STOCK     125750109            1              440  SHARES
CMS ENERGY CORP COM                              COMMON STOCK     125896100           13             1400  SHARES
CNF INC COM                                      COMMON STOCK     12612W104           29              700  SHARES
CNF INC COM                                      COMMON STOCK     12612W104           31              750  SHARES
COACH INC                                        COMMON STOCK     189754104          189             4177  SHARES
COACH INC                                        COMMON STOCK     189754104          804            17796  SHARES
COACH, INC.                                      COMMON STOCK     189754104         1785            39500  SHARES
COAST FINANCIAL HOLDINGS INC                     COMMON STOCK     190354100           22             1500  SHARES
COCA COLA CO COM                                 COMMON STOCK     191216100         7092           140493  SHARES
COCA COLA CO COM                                 COMMON STOCK     191216100         9622           190611  SHARES
COCA COLA CO COM                                 COMMON STOCK     191216100          389             7700  SHARES
COCA COLA CO COM                                 COMMON STOCK     191216100          306             6054  SHARES
COCA COLA CO COM                                 COMMON STOCK     191216100           25              500  SHARES
CODORUS VALLEY BANCORP INC                       COMMON STOCK     192025104           31             1668  SHARES
CODORUS VALLEY BANCORP INC                       COMMON STOCK     192025104          920            49655  SHARES
COGNEX CORP.                                     COMMON STOCK     192422103          693            18000  SHARES
COGNIZANT TECH SOL CORP                          COMMON STOCK     192446102           84             3300  SHARES
COGNIZANT TECH SOL CORP                          COMMON STOCK     192446102          104             4100  SHARES
COLGATE PALMOLIVE CO COM                         COMMON STOCK     194162103         3276            56041  SHARES
COLGATE PALMOLIVE CO COM                         COMMON STOCK     194162103         9560           163559  SHARES
COLGATE PALMOLIVE CO COM                         COMMON STOCK     194162103          152             2600  SHARES
COLGATE PALMOLIVE CO COM                         COMMON STOCK     194162103         7471           127809  SHARES
COLGATE PALMOLIVE CO COM                         COMMON STOCK     194162103           35              600  SHARES
COLGATE PALMOLIVE COMPANY                        COMMON STOCK     194162103         3943            67457  SHARES
COLONIAL BANCGROUP INC                           COMMON STOCK     195493309           18             1000  SHARES
COLONIAL BANCGROUP, INC.                         COMMON STOCK     195493309          952            52400  SHARES
COLUMBIA BANCORP                                 COMMON STOCK     197227101          263             8992  SHARES
COLUMBIA BANCORP                                 COMMON STOCK     197227101          102             3500  SHARES
COLUMBIA LABORATORIES, INC.                      COMMON STOCK     197779101           89            25700  SHARES
COMCAST CORP NEW A                               COMMON STOCK     20030N101         1808            64347  SHARES
COMCAST CORP NEW A                               COMMON STOCK     20030N101        11100           395031  SHARES
COMCAST CORP NEW A                               COMMON STOCK     20030N101           10              355  SHARES
COMCAST CORP NEW A                               COMMON STOCK     20030N101        13573           484096  SHARES
COMCAST CORPORATION CLASS A NEW                  COMMON STOCK     20030N101          343            12214  SHARES
COMCAST CORPORATION SPECIAL CLASS A              COMMON STOCK     20030N200          828            30000  SHARES
COMCAST CORP-SPECIAL CL A                        COMMON STOCK     20030N200          337            12223  SHARES
COMCAST CORP-SPECIAL CL A                        COMMON STOCK     20030N200          788            28549  SHARES
COMERICA INC                                     COMMON STOCK     200340107           71             1300  SHARES
COMERICA, INC.                                   COMMON STOCK     200340107          280             5100  SHARES
COMMERCE BANCORP INC N J                         COMMON STOCK     200519106           46              842  SHARES
COMMERCE GROUP, INC.                             COMMON STOCK     200641108         1106            22400  SHARES
COMMERCIAL CAP BANCORP INC                       COMMON STOCK     20162L105          112             6433  SHARES
COMMERCIAL CAP BANCORP INC                       COMMON STOCK     20162L105         1119            64466  SHARES
COMMERCIAL FEDERAL CORP.                         COMMON STOCK     201647104          775            28600  SHARES
COMMERCIAL NET LEASE REALTY (REIT)               COMMON STOCK     202218103           12              700  SHARES
COMMONWEALTH TEL ENTERPRISES INC COM             COMMON STOCK     203349105          106             2363  SHARES
COMMUNITY BANKS INC COM                          COMMON STOCK     203628102         1608            54583  SHARES
COMMUNITY BANKS INC COM                          COMMON STOCK     203628102          830            28175  SHARES
COMMUNITY BK SYS INC COM                         COMMON STOCK     203607106          587            25762  SHARES
COMMUNITY HEALTH SYSTEMS, INC.                   COMMON STOCK     203668108         1355            50600  SHARES
COMMUNITY HLTH SYS INC NEW COM                   COMMON STOCK     203668108          190             7100  SHARES
COMPASS BANCSHARES INC                           COMMON STOCK     20449H109           19              450  SHARES
COMPUTER ASSOC INTL INC                          COMMON STOCK     204912109           28             1012  SHARES
COMPUTER ASSOC INTL INC                          COMMON STOCK     204912109           46             1622  SHARES
COMPUTER SCIENCES CORP COM                       COMMON STOCK     205363104           10              225  SHARES
COMPUTER SCIENCES CORP COM                       COMMON STOCK     205363104          129             2785  SHARES
COMPUTER TASK GROUP COM                          COMMON STOCK     205477102          232            58750  SHARES
COMPUWARE CORP                                   COMMON STOCK     205638109            3              450  SHARES
COMVERSE TECHNOLOGY INC COM                      COMMON STOCK     205862402           68             3400  SHARES
COMVERSE TECHNOLOGY INC COM                      COMMON STOCK     205862402           59             2950  SHARES
CONAGRA FOODS INC                                COMMON STOCK     205887102          147             5416  SHARES
CONAGRA FOODS INC                                COMMON STOCK     205887102          167             6170  SHARES
CONEXANT SYS INC COM                             COMMON STOCK     207142100            3              600  SHARES
CONEXANT SYS INC COM                             COMMON STOCK     207142100            9             2161  SHARES
CONOCOPHILLIPS                                   COMMON STOCK     20825C104         2266            29699  SHARES
CONOCOPHILLIPS                                   COMMON STOCK     20825C104         4635            60750  SHARES


                                                                                     
CLAIRES STORES INCORPORATED                                X                   1          200       0         0
CLEAR CHANNEL COMMUNICATIONS INC                           X                   2         7520       0         0
CLEAR CHANNEL COMMUNICATIONS INC COM                                 X         1        11067       0       930
CLEAR CHANNEL COMMUNICATIONS INC COM                       X                   1       137146       0      2196
CLEAR CHANNEL COMMUNICATIONS INC COM                       X                   3       182504       0         0
CLEAR CHANNEL COMMUNICATIONS INC COM                       X                   3          750       0         0
CLECO CORP                                                           X         1          800       0         0
CLOROX CO COM                                                        X         1         3915       0         0
CLOROX CO COM                                              X                   1         8375       0         0
CMGI INC COM                                               X                   1          440       0         0
CMS ENERGY CORP COM                                        X                   1         1400       0         0
CNF INC COM                                                          X         1          700       0         0
CNF INC COM                                                X                   1          750       0         0
COACH INC                                                            X         1         4177       0         0
COACH INC                                                  X                   1        17796       0         0
COACH, INC.                                                X                   3        39500       0         0
COAST FINANCIAL HOLDINGS INC                               X                   1         1500       0         0
COCA COLA CO COM                                                     X         1       122033       0     18460
COCA COLA CO COM                                           X                   1       190396       0       215
COCA COLA CO COM                                           X                   2         7700       0         0
COCA COLA CO COM                                                     X         3         1504       0      4550
COCA COLA CO COM                                           X                   3            0       0       500
CODORUS VALLEY BANCORP INC                                           X         1         1668       0         0
CODORUS VALLEY BANCORP INC                                 X                   1        49655       0         0
COGNEX CORP.                                               X                   3        18000       0         0
COGNIZANT TECH SOL CORP                                    X                   1         3300       0         0
COGNIZANT TECH SOL CORP                                    X                   3         4100       0         0
COLGATE PALMOLIVE CO COM                                             X         1        46741       0      9300
COLGATE PALMOLIVE CO COM                                   X                   1       162554       0      1005
COLGATE PALMOLIVE CO COM                                             X         3         1200       0      1400
COLGATE PALMOLIVE CO COM                                   X                   3       125188       0      2621
COLGATE PALMOLIVE CO COM                                   X                   3          600       0         0
COLGATE PALMOLIVE COMPANY                                  X                   2        67457       0         0
COLONIAL BANCGROUP INC                                     X                   1         1000       0         0
COLONIAL BANCGROUP, INC.                                   X                   3        52400       0         0
COLUMBIA BANCORP                                           X                   1         8992       0         0
COLUMBIA BANCORP                                           X                   3         3500       0         0
COLUMBIA LABORATORIES, INC.                                X                   3        25700       0         0
COMCAST CORP NEW A                                                   X         1        60740       0      3607
COMCAST CORP NEW A                                         X                   1       388832       0      6199
COMCAST CORP NEW A                                                   X         3          355       0         0
COMCAST CORP NEW A                                         X                   3       477696       0      6400
COMCAST CORPORATION CLASS A NEW                            X                   2        12214       0         0
COMCAST CORPORATION SPECIAL CLASS A                        X                   2        30000       0         0
COMCAST CORP-SPECIAL CL A                                            X         1        12023       0       200
COMCAST CORP-SPECIAL CL A                                  X                   1        28549       0         0
COMERICA INC                                               X                   1         1300       0         0
COMERICA, INC.                                             X                   3         5100       0         0
COMMERCE BANCORP INC N J                                   X                   1          842       0         0
COMMERCE GROUP, INC.                                       X                   3        22400       0         0
COMMERCIAL CAP BANCORP INC                                 X                   1         6433       0         0
COMMERCIAL CAP BANCORP INC                                 X                   3        64466       0         0
COMMERCIAL FEDERAL CORP.                                   X                   3        28600       0         0
COMMERCIAL NET LEASE REALTY (REIT)                                   X         1          700       0         0
COMMONWEALTH TEL ENTERPRISES INC COM                       X                   1         2363       0         0
COMMUNITY BANKS INC COM                                              X         1        54583       0         0
COMMUNITY BANKS INC COM                                    X                   1        28175       0         0
COMMUNITY BK SYS INC COM                                   X                   1        25762       0         0
COMMUNITY HEALTH SYSTEMS, INC.                             X                   3        50600       0         0
COMMUNITY HLTH SYS INC NEW COM                             X                   1         7100       0         0
COMPASS BANCSHARES INC                                     X                   1          450       0         0
COMPUTER ASSOC INTL INC                                              X         1         1012       0         0
COMPUTER ASSOC INTL INC                                    X                   1         1622       0         0
COMPUTER SCIENCES CORP COM                                           X         1          225       0         0
COMPUTER SCIENCES CORP COM                                 X                   1         2785       0         0
COMPUTER TASK GROUP COM                                    X                   1            0       0     58750
COMPUWARE CORP                                             X                   1          450       0         0
COMVERSE TECHNOLOGY INC COM                                          X         1         3400       0         0
COMVERSE TECHNOLOGY INC COM                                X                   1         2950       0         0
CONAGRA FOODS INC                                                    X         1         5416       0         0
CONAGRA FOODS INC                                          X                   1         5870       0       300
CONEXANT SYS INC COM                                                 X         1          600       0         0
CONEXANT SYS INC COM                                       X                   1         2161       0         0
CONOCOPHILLIPS                                                       X         1        26745       0      2954
CONOCOPHILLIPS                                             X                   1        60022       0       728


                                     8 of 41




                                                                                                    
CONOCOPHILLIPS                                   COMMON STOCK     20825C104         1153            15127  SHARES
CONSECO INC                                      COMMON STOCK     208464883           19              967  SHARES
CONSOLIDATED EDISON INC COM                      COMMON STOCK     209115104          288             7247  SHARES
CONSOLIDATED EDISON INC COM                      COMMON STOCK     209115104          122             3080  SHARES
CONSTELLATION BRANDS INC CL A                    COMMON STOCK     21036P108           15              400  SHARES
CONSTELLATION BRANDS INC CL A                    COMMON STOCK     21036P108           68             1824  SHARES
CONSTELLATION ENERGY GROUP INC COM               COMMON STOCK     210371100         3435            90645  SHARES
CONSTELLATION ENERGY GROUP INC COM               COMMON STOCK     210371100         3165            83517  SHARES
CONSTELLATION ENERGY GROUP INC COM               COMMON STOCK     210371100           49             1300  SHARES
CONSTELLATION ENERGY GROUP INC COM               COMMON STOCK     210371100         2266            59800  SHARES
CONSUMER PORTFOLIO SERVICES                      COMMON STOCK     210502100           11             2500  SHARES
CONVERGYS CORP                                   COMMON STOCK     212485106           17             1090  SHARES
CONVERGYS CORP                                   COMMON STOCK     212485106            6              400  SHARES
COOPER CAMERON CORP COM                          COMMON STOCK     216640102           28              566  SHARES
COOPER TIRE & RUBBER CO.                         COMMON STOCK     216831107         1028            44700  SHARES
COOPER TIRE & RUBR CO COM                        COMMON STOCK     216831107           16              700  SHARES
COORS, ADOLPH CO CL B                            COMMON STOCK     217016104          178             2465  SHARES
COORS, ADOLPH CO CL B                            COMMON STOCK     217016104            7              100  SHARES
CORILLIAN CORP.                                  COMMON STOCK     218725109          741           146990  SHARES
CORIXA, CORP.                                    COMMON STOCK     21887F100          414            88600  SHARES
CORN PRODS INTL INC COM                          COMMON STOCK     219023108          124             2669  SHARES
CORN PRODS INTL INC COM                          COMMON STOCK     219023108           61             1320  SHARES
CORN PRODS INTL INC COM                          COMMON STOCK     219023108           47             1000  SHARES
CORN PRODUCTS INTERNATIONAL, INC.                COMMON STOCK     219023108          368             7900  SHARES
CORNING INC                                      COMMON STOCK     219350105          562            43040  SHARES
CORNING INC                                      COMMON STOCK     219350105         3122           239067  SHARES
CORNING INC                                      COMMON STOCK     219350105         2424           185650  SHARES
CORP OFFICE PROPERTIES TR (REIT)                 COMMON STOCK     22002T108           25             1000  SHARES
CORTEX PHARMACEUTICALS INC                       COMMON STOCK     220524300            4             1390  SHARES
CORUS BANKSHARES, INC.                           COMMON STOCK     220873103          411            10000  SHARES
COST PLUS, INC.                                  COMMON STOCK     221485105          561            17300  SHARES
COSTCO WHOLESALE CORP COM                        COMMON STOCK     22160K105          211             5125  SHARES
COSTCO WHOLESALE CORP COM                        COMMON STOCK     22160K105          524            12725  SHARES
COUNTRYWIDE FINANCIAL CORP                       COMMON STOCK     222372104           77             1102  SHARES
COUNTRYWIDE FINANCIAL CORP.                      COMMON STOCK     222372104         1803            25669  SHARES
COVANCE INC COM                                  COMMON STOCK     222816100           49             1283  SHARES
COVANCE INC COM                                  COMMON STOCK     222816100           96             2500  SHARES
COVANCE INC COM                                  COMMON STOCK     222816100          116             3000  SHARES
COVENTRY HEALTH CARE INC                         COMMON STOCK     222862104           73             1500  SHARES
COVENTRY HEALTH CARE INC                         COMMON STOCK     222862104         1447            29600  SHARES
COX COMMUNICATIONS INC CL A                      COMMON STOCK     224044107          207             7456  SHARES
COX COMMUNICATIONS INC CL A                      COMMON STOCK     224044107          557            20058  SHARES
COX COMMUNICATIONS INC CL A                      COMMON STOCK     224044107            3              125  SHARES
COX COMMUNICATIONS, INC., CLASS A                COMMON STOCK     224044107           24              860  SHARES
CPAC INC                                         COMMON STOCK     126145101            1              178  SHARES
CRANE CO                                         COMMON STOCK     224399105          322            10246  SHARES
CRANE CO                                         COMMON STOCK     224399105          141             4500  SHARES
CRAY INC                                         COMMON STOCK     225223106            2              300  SHARES
CREDENCE SYSTEMS CORP                            COMMON STOCK     225302108          101             7300  SHARES
CREDENCE SYSTEMS CORP                            COMMON STOCK     225302108         1352            97920  SHARES
CREE RESEARCH INC COM                            COMMON STOCK     225447101           23             1000  SHARES
CRESCENT REAL ESTATE EQUITIES (REIT)             COMMON STOCK     225756105           16             1000  SHARES
CROMPTON CORP COM                                COMMON STOCK     227116100            4              600  SHARES
CROWN HOLDINGS INC                               COMMON STOCK     228368106           30             3000  SHARES
CSG SYSTEMS INTERNATIONAL, INC.                  COMMON STOCK     126349109          234            11300  SHARES
CSX CORP COM                                     COMMON STOCK     126408103         1015            30980  SHARES
CSX CORP COM                                     COMMON STOCK     126408103         1884            57486  SHARES
CSX CORP COM                                     COMMON STOCK     126408103         1503            45870  SHARES
CSX CORP COM                                     COMMON STOCK     126408103            4              125  SHARES
CTI MOLECULAR IMAGING INC                        COMMON STOCK     22943D105           35             2500  SHARES
CTI MOLECULAR IMAGING INC                        COMMON STOCK     22943D105           52             3700  SHARES
CUBIC CORP                                       COMMON STOCK     229669106          202             9650  SHARES
CUBIST PHARMACEUTICALS, INC.                     COMMON STOCK     229678107         1051            94700  SHARES
CUMMINS INC COM                                  COMMON STOCK     231021106            6              100  SHARES
CUMMINS INC COM                                  COMMON STOCK     231021106           23              375  SHARES
CUNO INC                                         COMMON STOCK     126583103          143             2677  SHARES
CUNO INC                                         COMMON STOCK     126583103          112             2100  SHARES
CURTIS WRIGHT CORPORATION                        COMMON STOCK     231561101           66             1168  SHARES
CURTISS WRIGHT CORP                              COMMON STOCK     231561408           17              316  SHARES
CURTISS WRIGHT CORP                              COMMON STOCK     231561408           10              180  SHARES
CVS CORP COM                                     COMMON STOCK     126650100          324             7705  SHARES
CVS CORP COM                                     COMMON STOCK     126650100          401             9550  SHARES
CYMER, INC.                                      COMMON STOCK     232572107          610            16300  SHARES
CYTYC CORP                                       COMMON STOCK     232946103           48             1900  SHARES
D & E COMMUNICATIONS INCORPORATIONS              COMMON STOCK     232860106          355            26464  SHARES


                                                                                     
CONOCOPHILLIPS                                             X                   3        15127       0         0
CONSECO INC                                                X                   1          967       0         0
CONSOLIDATED EDISON INC COM                                          X         1         7247       0         0
CONSOLIDATED EDISON INC COM                                X                   1         3080       0         0
CONSTELLATION BRANDS INC CL A                                        X         1          400       0         0
CONSTELLATION BRANDS INC CL A                              X                   1         1824       0         0
CONSTELLATION ENERGY GROUP INC COM                                   X         1        84245       0      6400
CONSTELLATION ENERGY GROUP INC COM                         X                   1        83517       0         0
CONSTELLATION ENERGY GROUP INC COM                                   X         3         1300       0         0
CONSTELLATION ENERGY GROUP INC COM                         X                   3        59800       0         0
CONSUMER PORTFOLIO SERVICES                                          X         1         2500       0         0
CONVERGYS CORP                                                       X         1          840       0       250
CONVERGYS CORP                                             X                   1          400       0         0
COOPER CAMERON CORP COM                                    X                   1          566       0         0
COOPER TIRE & RUBBER CO.                                   X                   3        44700       0         0
COOPER TIRE & RUBR CO COM                                  X                   1          700       0         0
COORS, ADOLPH CO CL B                                                X         1         2465       0         0
COORS, ADOLPH CO CL B                                      X                   1          100       0         0
CORILLIAN CORP.                                            X                   3       146990       0         0
CORIXA, CORP.                                              X                   3        88600       0         0
CORN PRODS INTL INC COM                                              X         1         2669       0         0
CORN PRODS INTL INC COM                                    X                   1         1320       0         0
CORN PRODS INTL INC COM                                              X         3         1000       0         0
CORN PRODUCTS INTERNATIONAL, INC.                          X                   3         7900       0         0
CORNING INC                                                          X         1        41290       0      1750
CORNING INC                                                X                   1       234067       0      5000
CORNING INC                                                X                   3       159600       0     26050
CORP OFFICE PROPERTIES TR (REIT)                           X                   1         1000       0         0
CORTEX PHARMACEUTICALS INC                                           X         1         1390       0         0
CORUS BANKSHARES, INC.                                     X                   3        10000       0         0
COST PLUS, INC.                                            X                   3        17300       0         0
COSTCO WHOLESALE CORP COM                                            X         1         5125       0         0
COSTCO WHOLESALE CORP COM                                  X                   1        12300       0       425
COUNTRYWIDE FINANCIAL CORP                                 X                   1         1102       0         0
COUNTRYWIDE FINANCIAL CORP.                                X                   3        25669       0         0
COVANCE INC COM                                                      X         1         1283       0         0
COVANCE INC COM                                            X                   1         2500       0         0
COVANCE INC COM                                            X                   3         3000       0         0
COVENTRY HEALTH CARE INC                                   X                   1          375       0      1125
COVENTRY HEALTH CARE INC                                   X                   2        29600       0         0
COX COMMUNICATIONS INC CL A                                          X         1         7156       0       300
COX COMMUNICATIONS INC CL A                                X                   1        20058       0         0
COX COMMUNICATIONS INC CL A                                X                   3          125       0         0
COX COMMUNICATIONS, INC., CLASS A                          X                   3          860       0         0
CPAC INC                                                             X         1          178       0         0
CRANE CO                                                             X         1        10246       0         0
CRANE CO                                                             X         3         4500       0         0
CRAY INC                                                   X                   1          300       0         0
CREDENCE SYSTEMS CORP                                      X                   1         7300       0         0
CREDENCE SYSTEMS CORP                                      X                   3        97920       0         0
CREE RESEARCH INC COM                                                X         1            0       0      1000
CRESCENT REAL ESTATE EQUITIES (REIT)                                 X         1            0       0      1000
CROMPTON CORP COM                                          X                   1          600       0         0
CROWN HOLDINGS INC                                         X                   1         3000       0         0
CSG SYSTEMS INTERNATIONAL, INC.                            X                   3        11300       0         0
CSX CORP COM                                                         X         1        26280       0      4700
CSX CORP COM                                               X                   1        57486       0         0
CSX CORP COM                                               X                   3        45870       0         0
CSX CORP COM                                               X                   3          125       0         0
CTI MOLECULAR IMAGING INC                                  X                   1         2500       0         0
CTI MOLECULAR IMAGING INC                                  X                   3         3700       0         0
CUBIC CORP                                                           X         1         9350       0       300
CUBIST PHARMACEUTICALS, INC.                               X                   3        94700       0         0
CUMMINS INC COM                                                      X         1          100       0         0
CUMMINS INC COM                                            X                   1          375       0         0
CUNO INC                                                             X         1         2677       0         0
CUNO INC                                                   X                   1         2100       0         0
CURTIS WRIGHT CORPORATION                                            X         1         1168       0         0
CURTISS WRIGHT CORP                                                  X         1          316       0         0
CURTISS WRIGHT CORP                                        X                   1          180       0         0
CVS CORP COM                                                         X         1         7705       0         0
CVS CORP COM                                               X                   1         9550       0         0
CYMER, INC.                                                X                   3        16300       0         0
CYTYC CORP                                                           X         1            0       0      1900
D & E COMMUNICATIONS INCORPORATIONS                        X                   3        26464       0         0


                                     9 of 41




                                                                                                    
D R HORTON INC                                   COMMON STOCK     23331A109          170             6001  SHARES
D R HORTON INC                                   COMMON STOCK     23331A109          387            13624  SHARES
DANA CORP                                        COMMON STOCK     235811106           12              600  SHARES
DANAHER CORP COM                                 COMMON STOCK     235851102           96             1850  SHARES
DANAHER CORP COM                                 COMMON STOCK     235851102          819            15800  SHARES
DANAHER CORP COM                                 COMMON STOCK     235851102          249             4800  SHARES
DANAHER CORP.                                    COMMON STOCK     235851102          871            16800  SHARES
DARDEN RESTAURANTS INC COM                       COMMON STOCK     237194105          327            15905  SHARES
DARDEN RESTAURANTS INC COM                       COMMON STOCK     237194105         1041            50665  SHARES
DARDEN RESTAURANTS, INC.                         COMMON STOCK     237194105           33             1630  SHARES
DAVITA INC WITH ATTACHED RIGHTS                  COMMON STOCK     23918K108           20              637  SHARES
DAVITA INC WITH ATTACHED RIGHTS                  COMMON STOCK     23918K108          185             6000  SHARES
DAVITA, INC.                                     COMMON STOCK     23918K108         1336            43350  SHARES
DEAN FOODS CO NEW                                COMMON STOCK     242370104          198             5300  SHARES
DEAN FOODS CO.                                   COMMON STOCK     242370104         1313            35200  SHARES
DECODE GENETICS INC                              COMMON STOCK     243586104            2              200  SHARES
DEERE & CO                                       COMMON STOCK     244199105          500             7130  SHARES
DEERE & CO                                       COMMON STOCK     244199105         1163            16586  SHARES
DEERE & CO                                       COMMON STOCK     244199105          168             2400  SHARES
DEL MONTE FOODS CO                               COMMON STOCK     24522P103           49             4787  SHARES
DEL MONTE FOODS CO                               COMMON STOCK     24522P103           44             4350  SHARES
DEL MONTE FOODS CO                               COMMON STOCK     24522P103            5              446  SHARES
DELL INC                                         COMMON STOCK     24702R101         1963            54801  SHARES
DELL INC                                         COMMON STOCK     24702R101        11487           320682  SHARES
DELL INC                                         COMMON STOCK     24702R101        11361           317174  SHARES
DELPHI CORP COM                                  COMMON STOCK     247126105           47             4429  SHARES
DELPHI CORP COM                                  COMMON STOCK     247126105           56             5266  SHARES
DELPHI CORP COM                                  COMMON STOCK     247126105            5              445  SHARES
DELTA AIRLINES INC DEL                           COMMON STOCK     247361108            1              200  SHARES
DENDREON CORP.                                   COMMON STOCK     24823Q107          929            75800  SHARES
DENTSPLY INTERNATIONAL INC COM                   COMMON STOCK     249030107          249             4775  SHARES
DENTSPLY INTERNATIONAL INC COM                   COMMON STOCK     249030107          213             4085  SHARES
DEVELOPERS DVRSFD REALTY CORP (REIT)             COMMON STOCK     251591103           38             1066  SHARES
DEVON ENERGY CORP NEW COM                        COMMON STOCK     25179M103           94             1421  SHARES
DEVON ENERGY CORP NEW COM                        COMMON STOCK     25179M103          473             7160  SHARES
DEVON ENERGY CORP.                               COMMON STOCK     25179M103         1604            24300  SHARES
DEVRY INC DEL COM                                COMMON STOCK     251893103           14              500  SHARES
DIAMONDS TR UNIT SER 1                           COMMON STOCK     252787106          241             2300  SHARES
DICKS SPORTING GOODS INC                         COMMON STOCK     253393102           13              400  SHARES
DIEBOLD INC                                      COMMON STOCK     253651103           27              503  SHARES
DIGI INTERNATIONAL, INC.                         COMMON STOCK     253798102          430            40128  SHARES
DIGIMARC CORP.                                   COMMON STOCK     253807101         1452           108800  SHARES
DIGITAL INSIGHT CORP.                            COMMON STOCK     25385P106          921            44450  SHARES
DOCUMENT SECURITIES SYSTEMS INC                  COMMON STOCK     25614T101            0                1  SHARES
DOLLAR THRIFTY AUTOMOTIVE GROUP                  COMMON STOCK     256743105          760            27700  SHARES
DOMINION RESOURCES INC COM NEW                   COMMON STOCK     25746U109         3093            49039  SHARES
DOMINION RESOURCES INC COM NEW                   COMMON STOCK     25746U109         2087            33081  SHARES
DONALDSON INC COM                                COMMON STOCK     257651109           18              600  SHARES
DONEGAL GROUP INC CL B                           COMMON STOCK     257701300           40             2000  SHARES
DONNELLY R R & SONS CO                           COMMON STOCK     257867101          145             4400  SHARES
DONNELLY R R & SONS CO                           COMMON STOCK     257867101           13              400  SHARES
DOUBLECLICK, INC.                                COMMON STOCK     258609304         1370           176300  SHARES
DOVER CORP                                       COMMON STOCK     260003108         1841            43733  SHARES
DOVER CORP                                       COMMON STOCK     260003108         1276            30303  SHARES
DOW CHEMICAL CO COM                              COMMON STOCK     260543103         3556            87371  SHARES
DOW CHEMICAL CO COM                              COMMON STOCK     260543103         5569           136824  SHARES
DOW CHEMICAL CO COM                              COMMON STOCK     260543103          354             8706  SHARES
DOW CHEMICAL COMPANY                             COMMON STOCK     260543103         1779            43700  SHARES
DOW JONES & CO INC COM                           COMMON STOCK     260561105           19              432  SHARES
DPL INC                                          COMMON STOCK     233293109          128             6567  SHARES
DPL INC                                          COMMON STOCK     233293109            4              200  SHARES
DRS TECHNOLOGIES INCORPORATED                    COMMON STOCK     23330X100           24              750  SHARES
DST SYSTEMS INC COM                              COMMON STOCK     233326107           91             1900  SHARES
DST SYSTEMS, INC.                                COMMON STOCK     233326107          601            12500  SHARES
DTE ENERGY CO                                    COMMON STOCK     233331107         1998            49277  SHARES
DTE ENERGY CO                                    COMMON STOCK     233331107         7757           191330  SHARES
DTE ENERGY CO                                    COMMON STOCK     233331107           12              300  SHARES
DTE ENERGY CO                                    COMMON STOCK     233331107         8333           205558  SHARES
DTE ENERGY CO                                    COMMON STOCK     233331107           39              950  SHARES
DU PONT E I DE NEMOURS & COMPANY                 COMMON STOCK     263534109          605            13612  SHARES
DUKE ENERGY CORP                                 COMMON STOCK     264399106          468            23086  SHARES
DUKE ENERGY CORP                                 COMMON STOCK     264399106          636            31367  SHARES
DUKE ENERGY CORP                                 COMMON STOCK     264399106           73             3584  SHARES
DUKE ENERGY CORP                                 COMMON STOCK     264399106           32             1600  SHARES
DUKE ENERGY CORP                                 COMMON STOCK     264399106            3              125  SHARES


                                                                                      
D R HORTON INC                                                       X            1      6001       0         0
D R HORTON INC                                             X                      1     13624       0         0
DANA CORP                                                            X            1         0       0       600
DANAHER CORP COM                                                     X            1      1550       0       300
DANAHER CORP COM                                           X                      1     15800       0         0
DANAHER CORP COM                                                     X            3      4800       0         0
DANAHER CORP.                                              X                      3     16800       0         0
DARDEN RESTAURANTS INC COM                                           X            1     15605       0       300
DARDEN RESTAURANTS INC COM                                 X                      1     50455       0       210
DARDEN RESTAURANTS, INC.                                   X                      3      1630       0         0
DAVITA INC WITH ATTACHED RIGHTS                                      X            1       637       0         0
DAVITA INC WITH ATTACHED RIGHTS                            X                      1      6000       0         0
DAVITA, INC.                                               X                      3     43350       0         0
DEAN FOODS CO NEW                                          X                      1      5300       0         0
DEAN FOODS CO.                                             X                      3     35200       0         0
DECODE GENETICS INC                                        X                      1       200       0         0
DEERE & CO                                                           X            1      6037       0      1093
DEERE & CO                                                 X                      1     16286       0       300
DEERE & CO                                                           X            3      1200       0      1200
DEL MONTE FOODS CO                                                   X            1      4787       0         0
DEL MONTE FOODS CO                                         X                      1      4350       0         0
DEL MONTE FOODS CO                                         X                      3       446       0         0
DELL INC                                                             X            1     49401       0      5400
DELL INC                                                   X                      1    316914       0      3768
DELL INC                                                   X                      3    311241       0      5933
DELPHI CORP COM                                                      X            1      3182       0      1247
DELPHI CORP COM                                            X                      1      5266       0         0
DELPHI CORP COM                                            X                      3       445       0         0
DELTA AIRLINES INC DEL                                     X                      1       200       0         0
DENDREON CORP.                                             X                      3     75800       0         0
DENTSPLY INTERNATIONAL INC COM                                       X            1      4775       0         0
DENTSPLY INTERNATIONAL INC COM                             X                      1      4085       0         0
DEVELOPERS DVRSFD REALTY CORP (REIT)                       X                      1      1066       0         0
DEVON ENERGY CORP NEW COM                                            X            1      1421       0         0
DEVON ENERGY CORP NEW COM                                  X                      1      7160       0         0
DEVON ENERGY CORP.                                         X                      3     24300       0         0
DEVRY INC DEL COM                                          X                      1       500       0         0
DIAMONDS TR UNIT SER 1                                     X                      1      2300       0         0
DICKS SPORTING GOODS INC                                   X                      1       400       0         0
DIEBOLD INC                                                X                      1       503       0         0
DIGI INTERNATIONAL, INC.                                   X                      3     40128       0         0
DIGIMARC CORP.                                             X                      3    108800       0         0
DIGITAL INSIGHT CORP.                                      X                      3     44450       0         0
DOCUMENT SECURITIES SYSTEMS INC                            X                      1         1       0         0
DOLLAR THRIFTY AUTOMOTIVE GROUP                            X                      3     27700       0         0
DOMINION RESOURCES INC COM NEW                                       X            1     49039       0         0
DOMINION RESOURCES INC COM NEW                             X                      1     32597       0       484
DONALDSON INC COM                                                    X            1         0       0       600
DONEGAL GROUP INC CL B                                     X                      1         0       0      2000
DONNELLY R R & SONS CO                                               X            1      4400       0         0
DONNELLY R R & SONS CO                                     X                      1       400       0         0
DOUBLECLICK, INC.                                          X                      3    176300       0         0
DOVER CORP                                                           X            1     35833       0      7900
DOVER CORP                                                 X                      1     30303       0         0
DOW CHEMICAL CO COM                                                  X            1     82872       0      4499
DOW CHEMICAL CO COM                                        X                      1    136599       0       225
DOW CHEMICAL CO COM                                                  X            3      7506       0      1200
DOW CHEMICAL COMPANY                                       X                      2     43700       0         0
DOW JONES & CO INC COM                                               X            1         0       0       432
DPL INC                                                              X            1      6567       0         0
DPL INC                                                    X                      1       200       0         0
DRS TECHNOLOGIES INCORPORATED                              X                      1       750       0         0
DST SYSTEMS INC COM                                        X                      1      1900       0         0
DST SYSTEMS, INC.                                          X                      3     12500       0         0
DTE ENERGY CO                                                        X            1     41495       0      7782
DTE ENERGY CO                                              X                      1    189140       0      2190
DTE ENERGY CO                                                        X            3         0       0       300
DTE ENERGY CO                                              X                      3    205558       0         0
DTE ENERGY CO                                              X                      3       950       0         0
DU PONT E I DE NEMOURS & COMPANY                           X                      2     13612       0         0
DUKE ENERGY CORP                                                     X            1     22086       0      1000
DUKE ENERGY CORP                                           X                      1     31367       0         0
DUKE ENERGY CORP                                                     X            3      2284       0      1300
DUKE ENERGY CORP                                           X                      3      1000       0       600
DUKE ENERGY CORP                                           X                      3       125       0         0


                                    10 of 41




                                                                                                    
DUN & BRADSTREET CORP COM                        COMMON STOCK     26483E100          104             1924  SHARES
DUN & BRADSTREET CORP COM                        COMMON STOCK     26483E100           90             1675  SHARES
DUPONT EI DE NEMOURS & CO COM                    COMMON STOCK     263534109        10246           230661  SHARES
DUPONT EI DE NEMOURS & CO COM                    COMMON STOCK     263534109        10936           246197  SHARES
DUPONT EI DE NEMOURS & CO COM                    COMMON STOCK     263534109           71             1600  SHARES
DUPONT EI DE NEMOURS & CO COM                    COMMON STOCK     263534109         1130            25440  SHARES
DUPONT EI DE NEMOURS & CO COM                    COMMON STOCK     263534109            7              150  SHARES
DUPONT PHOTOMASKS, INC.                          COMMON STOCK     26613X101          348            17100  SHARES
DUQUESNE LIGHT HOLDINGS INC                      COMMON STOCK     266233105           12              600  SHARES
DUQUESNE LIGHT HOLDINGS INC                      COMMON STOCK     266233105           51             2655  SHARES
DUQUESNE LIGHT HOLDINGS, INC.                    COMMON STOCK     266233105          937            48500  SHARES
E M C CORPORATION MASSACHUSETTS                  COMMON STOCK     268648102         2041           179055  SHARES
E*TRADE FINANCIAL CORPORATION                    COMMON STOCK     269246104          272            24380  SHARES
E*TRADE GROUP, INC.                              COMMON STOCK     269246104         3751           336400  SHARES
E.W. SCRIPPS CO., CLASS A                        COMMON STOCK     811054204         1271            12100  SHARES
EAGLE MATERIALS INC CL B                         COMMON STOCK     26969P207           26              382  SHARES
EAGLE MATERIALS INC CL B                         COMMON STOCK     26969P207           41              599  SHARES
EAGLE MATERIALS INC COM W RIGHTS                 COMMON STOCK     26969P108            6               82  SHARES
EAGLE MATERIALS INC COM W RIGHTS                 COMMON STOCK     26969P108           12              171  SHARES
EARTHLINK INC COM                                COMMON STOCK     270321102            8              807  SHARES
EAST WEST BANCORP, INC.                          COMMON STOCK     27579R104          196             6400  SHARES
EASTGROUP PROPERTIES INCORPORATED                COMMON STOCK     277276101          566            16800  SHARES
EASTMAN CHEMICAL COMPANY COM                     COMMON STOCK     277432100          173             3737  SHARES
EASTMAN CHEMICAL COMPANY COM                     COMMON STOCK     277432100           68             1463  SHARES
EASTMAN KODAK CO COM                             COMMON STOCK     277461109          356            13182  SHARES
EASTMAN KODAK CO COM                             COMMON STOCK     277461109          244             9043  SHARES
EATON CORP COM                                   COMMON STOCK     278058102          616             9516  SHARES
EATON CORP COM                                   COMMON STOCK     278058102          309             4775  SHARES
EATON CORP.                                      COMMON STOCK     278058102         2492            38500  SHARES
EATON VANCE CORP                                 COMMON STOCK     278265103           47             1220  SHARES
EBAY INC COM                                     COMMON STOCK     278642103           42              460  SHARES
ECHOSTAR COMMUNICATIONS CORP CL A                COMMON STOCK     278762109            9              300  SHARES
ECLIPSYS CORP COM                                COMMON STOCK     278856109           24             1600  SHARES
ECOLAB INC COM                                   COMMON STOCK     278865100          149             4700  SHARES
ECOLAB INC COM                                   COMMON STOCK     278865100         1127            35550  SHARES
EDISON INTERNATIONAL                             COMMON STOCK     281020107          841            32900  SHARES
EDISON INTERNATIONAL COM                         COMMON STOCK     281020107          128             5000  SHARES
EDISON INTERNATIONAL COM                         COMMON STOCK     281020107          136             5300  SHARES
EDWARDS AG INC COM                               COMMON STOCK     281760108          157             4600  SHARES
EDWARDS LIFESCIENCES CORP COM                    COMMON STOCK     28176E108           14              415  SHARES
EDWARDS LIFESCIENCES CORP COM                    COMMON STOCK     28176E108         2651            76068  SHARES
EDWARDS LIFESCIENCES CORP COM                    COMMON STOCK     28176E108         6232           178832  SHARES
EDWARDS(AG), INC.                                COMMON STOCK     281760108         1062            31200  SHARES
EFUNDS CORP COM                                  COMMON STOCK     28224R101          149             8500  SHARES
EFUNDS CORP.                                     COMMON STOCK     28224R101          954            54500  SHARES
EL PASO CORP COM                                 COMMON STOCK     28336L109          189            24006  SHARES
EL PASO CORP COM                                 COMMON STOCK     28336L109           64             8132  SHARES
EL PASO CORP COM                                 COMMON STOCK     28336L109            3              343  SHARES
ELECTRIC CITY CORP                               COMMON STOCK     284868106           55            29100  SHARES
ELECTRIC CITY CORP                               COMMON STOCK     284868106           51            27000  SHARES
ELECTROGLAS, INC.                                COMMON STOCK     285324109           91            17100  SHARES
ELECTRONIC DATA SYSTEM CORPORATION               COMMON STOCK     285661104          145             7594  SHARES
ELECTRONIC DATA SYSTEM CORPORATION               COMMON STOCK     285661104          142             7414  SHARES
ELECTRONIC DATA SYSTEM CORPORATION               COMMON STOCK     285661104           15              800  SHARES
ELECTRONIC DATA SYSTEM CORPORATION               COMMON STOCK     285661104            4              200  SHARES
ELECTRONICS ARTS COM                             COMMON STOCK     285512109          114             2095  SHARES
ELECTRONICS ARTS COM                             COMMON STOCK     285512109         3729            68355  SHARES
ELECTRONICS ARTS COM                             COMMON STOCK     285512109          218             4000  SHARES
ELECTRONICS ARTS COM                             COMMON STOCK     285512109         8725           159939  SHARES
ELECTRONICS BOUTIQUE HOLDINGS CORP.              COMMON STOCK     286045109          759            28800  SHARES
ELECTRONICS FOR IMAGING INC COM                  COMMON STOCK     286082102          689            24370  SHARES
ELECTRONICS FOR IMAGING, INC.                    COMMON STOCK     286082102         1064            37650  SHARES
EMC CORP MASS COM                                COMMON STOCK     268648102         1163           102044  SHARES
EMC CORP MASS COM                                COMMON STOCK     268648102         4391           385202  SHARES
EMC CORP MASS COM                                COMMON STOCK     268648102           62             5400  SHARES
EMC CORP MASS COM                                COMMON STOCK     268648102         1775           155710  SHARES
EMERSON ELEC CO                                  COMMON STOCK     291011104         4428            69679  SHARES
EMERSON ELEC CO                                  COMMON STOCK     291011104         5732            90198  SHARES
EMERSON ELECTRIC COMPANY                         COMMON STOCK     291011104         1077            16950  SHARES
EMERSON RADIO CORP                               COMMON STOCK     291087203           48            15200  SHARES
EMERSON RADIO CORP                               COMMON STOCK     291087203           44            14100  SHARES
EMULEX CORP COM NEW                              COMMON STOCK     292475209           20             1400  SHARES
ENBRIDGE ENERGY PARTNERS LP                      COMMON STOCK     29250R106          543            11727  SHARES
ENBRIDGE ENERGY PARTNERS LP                      COMMON STOCK     29250R106            5              100  SHARES
ENCORE CAPITAL GROUP, INC.                       COMMON STOCK     292554102          291            22000  SHARES


                                                                                     
DUN & BRADSTREET CORP COM                                            X            1      1924       0         0
DUN & BRADSTREET CORP COM                                  X                      1      1675       0         0
DUPONT EI DE NEMOURS & CO COM                                        X            1    196962       0     33699
DUPONT EI DE NEMOURS & CO COM                              X                      1    245806       0       391
DUPONT EI DE NEMOURS & CO COM                                        X            3      1000       0       600
DUPONT EI DE NEMOURS & CO COM                              X                      3     24940       0       500
DUPONT EI DE NEMOURS & CO COM                              X                      3       150       0         0
DUPONT PHOTOMASKS, INC.                                    X                      3     17100       0         0
DUQUESNE LIGHT HOLDINGS INC                                          X            1       600       0         0
DUQUESNE LIGHT HOLDINGS INC                                X                      1      2655       0         0
DUQUESNE LIGHT HOLDINGS, INC.                              X                      3     48500       0         0
E M C CORPORATION MASSACHUSETTS                            X                      2    179055       0         0
E*TRADE FINANCIAL CORPORATION                              X                      1     24380       0         0
E*TRADE GROUP, INC.                                        X                      3    336400       0         0
E.W. SCRIPPS CO., CLASS A                                  X                      3     12100       0         0
EAGLE MATERIALS INC CL B                                             X            1       382       0         0
EAGLE MATERIALS INC CL B                                   X                      1       599       0         0
EAGLE MATERIALS INC COM W RIGHTS                                     X            1        82       0         0
EAGLE MATERIALS INC COM W RIGHTS                           X                      1       171       0         0
EARTHLINK INC COM                                          X                      1       807       0         0
EAST WEST BANCORP, INC.                                    X                      3      6400       0         0
EASTGROUP PROPERTIES INCORPORATED                          X                      2     16800       0         0
EASTMAN CHEMICAL COMPANY COM                                         X            1      2975       0       762
EASTMAN CHEMICAL COMPANY COM                               X                      1      1463       0         0
EASTMAN KODAK CO COM                                                 X            1     13182       0         0
EASTMAN KODAK CO COM                                       X                      1      9043       0         0
EATON CORP COM                                                       X            1      9516       0         0
EATON CORP COM                                             X                      1      4775       0         0
EATON CORP.                                                X                      3     38500       0         0
EATON VANCE CORP                                           X                      1      1220       0         0
EBAY INC COM                                               X                      1       460       0         0
ECHOSTAR COMMUNICATIONS CORP CL A                          X                      1       300       0         0
ECLIPSYS CORP COM                                                    X            1      1600       0         0
ECOLAB INC COM                                                       X            1      2700       0      2000
ECOLAB INC COM                                             X                      1     35550       0         0
EDISON INTERNATIONAL                                       X                      3     32900       0         0
EDISON INTERNATIONAL COM                                             X            1      5000       0         0
EDISON INTERNATIONAL COM                                   X                      1      5300       0         0
EDWARDS AG INC COM                                         X                      1      4600       0         0
EDWARDS LIFESCIENCES CORP COM                                        X            1       415       0         0
EDWARDS LIFESCIENCES CORP COM                              X                      1     75678       0       390
EDWARDS LIFESCIENCES CORP COM                              X                      3    175415       0      3417
EDWARDS(AG), INC.                                          X                      3     31200       0         0
EFUNDS CORP COM                                            X                      1      8500       0         0
EFUNDS CORP.                                               X                      3     54500       0         0
EL PASO CORP COM                                                     X            1     24006       0         0
EL PASO CORP COM                                           X                      1      8132       0         0
EL PASO CORP COM                                           X                      3       343       0         0
ELECTRIC CITY CORP                                         X                      1     29100       0         0
ELECTRIC CITY CORP                                         X                      3     27000       0         0
ELECTROGLAS, INC.                                          X                      3     17100       0         0
ELECTRONIC DATA SYSTEM CORPORATION                                   X            1      7194       0       400
ELECTRONIC DATA SYSTEM CORPORATION                         X                      1      7364       0        50
ELECTRONIC DATA SYSTEM CORPORATION                                   X            3       800       0         0
ELECTRONIC DATA SYSTEM CORPORATION                         X                      3       200       0         0
ELECTRONICS ARTS COM                                                 X            1      1845       0       250
ELECTRONICS ARTS COM                                       X                      1     68075       0       280
ELECTRONICS ARTS COM                                                 X            3      4000       0         0
ELECTRONICS ARTS COM                                       X                      3    157560       0      2379
ELECTRONICS BOUTIQUE HOLDINGS CORP.                        X                      3     28800       0         0
ELECTRONICS FOR IMAGING INC COM                            X                      1     24370       0         0
ELECTRONICS FOR IMAGING, INC.                              X                      3     37650       0         0
EMC CORP MASS COM                                                    X            1     98544       0      3500
EMC CORP MASS COM                                          X                      1    383202       0      2000
EMC CORP MASS COM                                                    X            3         0       0      5400
EMC CORP MASS COM                                          X                      3    133246       0     22464
EMERSON ELEC CO                                                      X            1     62229       0      7450
EMERSON ELEC CO                                            X                      1     89598       0       600
EMERSON ELECTRIC COMPANY                                   X                      2     16950       0         0
EMERSON RADIO CORP                                         X                      1     15200       0         0
EMERSON RADIO CORP                                         X                      3     14100       0         0
EMULEX CORP COM NEW                                        X                      1      1400       0         0
ENBRIDGE ENERGY PARTNERS LP                                          X            1     10727       0      1000
ENBRIDGE ENERGY PARTNERS LP                                X                      1       100       0         0
ENCORE CAPITAL GROUP, INC.                                 X                      3     22000       0         0


                                    11 of 41




                                                                                                    
ENCORE MEDICAL CORPORATION                       COMMON STOCK     29256E109            6             1000  SHARES
ENERGIZER HLDGS INC COM                          COMMON STOCK     29266R108            5              100  SHARES
ENERGIZER HLDGS INC COM                          COMMON STOCK     29266R108           64             1412  SHARES
ENERGY EAST CORP COM                             COMMON STOCK     29266M109          438            18050  SHARES
ENERGY EAST CORP COM                             COMMON STOCK     29266M109          149             6136  SHARES
ENERGY TRANSFER PARTNERS LP                      COMMON STOCK     29273R109           20              500  SHARES
ENGELHARD CORPORATION COM                        COMMON STOCK     292845104           10              300  SHARES
ENPRO INDUSTRIES                                 COMMON STOCK     29355X107           26             1120  SHARES
ENTERGY CORP COM NEW                             COMMON STOCK     29364G103          196             3496  SHARES
ENTERGY CORP COM NEW                             COMMON STOCK     29364G103          225             4010  SHARES
ENTERGY CORP.                                    COMMON STOCK     29364G103         1059            18900  SHARES
ENTREMED INC COM                                 COMMON STOCK     29382F103            1              500  SHARES
ENZO BIOCHEM INCORPORATED                        COMMON STOCK     294100102            2              165  SHARES
EOG RESOURCES INC COM                            COMMON STOCK     26875P101           29              485  SHARES
EON LABS INC                                     COMMON STOCK     29412E100           78             1900  SHARES
EON LABS INC                                     COMMON STOCK     29412E100           94             2300  SHARES
EP MEDSYSTEMS INC COM                            COMMON STOCK     26881P103           12             4000  SHARES
EPICOR SOFTWARE CORPORATION                      COMMON STOCK     29426L108            7              500  SHARES
EQUIFAX INC COM                                  COMMON STOCK     294429105           32             1300  SHARES
EQUITABLE RESOURCES INC COM                      COMMON STOCK     294549100          176             3400  SHARES
EQUITABLE RESOURCES INC COM                      COMMON STOCK     294549100          714            13800  SHARES
EQUITY OFFICE PROPERTIES TR (REIT)               COMMON STOCK     294741103          842            30972  SHARES
EQUITY OFFICE PROPERTIES TR (REIT)               COMMON STOCK     294741103         1275            46874  SHARES
EQUITY OFFICE PROPERTIES TRUST                   COMMON STOCK     294741103         1075            39494  SHARES
EQUITY OIL CO                                    COMMON STOCK     294749106            1              315  SHARES
EQUITY RESIDENTIAL (REIT)                        COMMON STOCK     29476L107           91             3066  SHARES
EQUITY RESIDENTIAL (REIT)                        COMMON STOCK     29476L107          125             4200  SHARES
ERESEARCH TECHNOLOGY INC                         COMMON STOCK     29481V108           76             2700  SHARES
ERESEARCH TECHNOLOGY INC                         COMMON STOCK     29481V108           95             3400  SHARES
ERIE INDEMNITY CO CL A                           COMMON STOCK     29530P102         8392           179400  SHARES
EURONET WORLDWIDE, INC.                          COMMON STOCK     298736109          162             7000  SHARES
EVERGREEN RES INC                                COMMON STOCK     299900308           81             2000  SHARES
EXACT SCIENCES CORP.                             COMMON STOCK     30063P105           84            13700  SHARES
EXELON CORP COM                                  COMMON STOCK     30161N101          929            27904  SHARES
EXELON CORP COM                                  COMMON STOCK     30161N101         2077            62390  SHARES
EXPEDITORS INTL WASH INC COM                     COMMON STOCK     302130109           49             1000  SHARES
EXPRESS SCRIPTS INC                              COMMON STOCK     302182100         1223            15435  SHARES
EXPRESS SCRIPTS INC                              COMMON STOCK     302182100         9394           118565  SHARES
EXPRESS SCRIPTS INC                              COMMON STOCK     302182100         9806           123774  SHARES
EXPRESS SCRIPTS INC                              COMMON STOCK     302182100           44              560  SHARES
EXTREME NETWORKS INC COM                         COMMON STOCK     30226D106            1              100  SHARES
EXXON MOBIL CORP                                 COMMON STOCK     30231G102        60868          1370583  SHARES
EXXON MOBIL CORP                                 COMMON STOCK     30231G102        63069          1420164  SHARES
EXXON MOBIL CORP                                 COMMON STOCK     30231G102         1219            27455  SHARES
EXXON MOBIL CORP                                 COMMON STOCK     30231G102          554            12466  SHARES
EXXON MOBIL CORP                                 COMMON STOCK     30231G102        14360           323363  SHARES
F N B CORP PA COM                                COMMON STOCK     302520101           62             3058  SHARES
F N B CORP PA COM                                COMMON STOCK     302520101           50             2474  SHARES
F S I INTL CORP COM                              COMMON STOCK     302633102           90            11600  SHARES
F S I INTL CORP COM                              COMMON STOCK     302633102          112            14400  SHARES
F5 NETWORKS INC                                  COMMON STOCK     315616102          164             6200  SHARES
F5 NETWORKS INC                                  COMMON STOCK     315616102          204             7700  SHARES
FACTSET RESEARCH SYSTEMS INC                     COMMON STOCK     303075105           28              600  SHARES
FAIRCHILD SEMICONDUCTOR INTL INC                 COMMON STOCK     303726103            5              300  SHARES
FAMILY DLR STORES COM                            COMMON STOCK     307000109           12              400  SHARES
FANNIE MAE                                       COMMON STOCK     313586109         5628            78873  SHARES
FANNIE MAE                                       COMMON STOCK     313586109        19598           274633  SHARES
FANNIE MAE                                       COMMON STOCK     313586109           16              230  SHARES
FANNIE MAE                                       COMMON STOCK     313586109        10717           150192  SHARES
FANNIE MAE                                       COMMON STOCK     313586109           46              650  SHARES
FASTENAL CO                                      COMMON STOCK     311900104          114             2000  SHARES
FASTENAL CO                                      COMMON STOCK     311900104           11              200  SHARES
FEATHERLITE INCORPORATED                         COMMON STOCK     313054108          535            65281  SHARES
FEDERAL REALTY INVESTMENT TRUST                  COMMON STOCK     313747206          300             7210  SHARES
FEDERAL REALTY INVT TRUST (REIT)                 COMMON STOCK     313747206           83             2000  SHARES
FEDERAL SIGNAL CORP                              COMMON STOCK     313855108           39             2100  SHARES
FEDERAL SIGNAL CORPORATION                       COMMON STOCK     313855108          424            22800  SHARES
FEDERATED DEPARTMENT STORES DELAWARE             COMMON STOCK     31410H101          426            10021  SHARES
FEDERATED DEPARTMENT STORES, INC.                COMMON STOCK     31410H101         1777            36200  SHARES
FEDERATED DEPT STORES INC                        COMMON STOCK     31410H101           17              344  SHARES
FEDERATED DEPT STORES INC                        COMMON STOCK     31410H101          307             6260  SHARES
FEDERATED INVESTORS COM                          COMMON STOCK     314211103           34             1125  SHARES
FEDEX CORP COM                                   COMMON STOCK     31428X106          246             3010  SHARES
FEDEX CORP COM                                   COMMON STOCK     31428X106          455             5572  SHARES
FEDEX CORPORATION                                COMMON STOCK     31428X106          752            10000  SHARES


                                                                                    
ENCORE MEDICAL CORPORATION                                 X                      1      1000       0         0
ENERGIZER HLDGS INC COM                                              X            1       100       0         0
ENERGIZER HLDGS INC COM                                    X                      1      1412       0         0
ENERGY EAST CORP COM                                                 X            1     17350       0       700
ENERGY EAST CORP COM                                       X                      1      6136       0         0
ENERGY TRANSFER PARTNERS LP                                X                      1       500       0         0
ENGELHARD CORPORATION COM                                            X            1       300       0         0
ENPRO INDUSTRIES                                                     X            1       800       0       320
ENTERGY CORP COM NEW                                                 X            1      2496       0      1000
ENTERGY CORP COM NEW                                       X                      1      4010       0         0
ENTERGY CORP.                                              X                      3     18900       0         0
ENTREMED INC COM                                           X                      1       500       0         0
ENZO BIOCHEM INCORPORATED                                  X                      1       165       0         0
EOG RESOURCES INC COM                                                X            1       485       0         0
EON LABS INC                                               X                      1      1900       0         0
EON LABS INC                                               X                      3      2300       0         0
EP MEDSYSTEMS INC COM                                                X            1      4000       0         0
EPICOR SOFTWARE CORPORATION                                X                      1       500       0         0
EQUIFAX INC COM                                                      X            1      1300       0         0
EQUITABLE RESOURCES INC COM                                          X            1      3400       0         0
EQUITABLE RESOURCES INC COM                                X                      1     13800       0         0
EQUITY OFFICE PROPERTIES TR (REIT)                                   X            1     30572       0       400
EQUITY OFFICE PROPERTIES TR (REIT)                         X                      1     46724       0       150
EQUITY OFFICE PROPERTIES TRUST                             X                      3     39494       0         0
EQUITY OIL CO                                              X                      1       315       0         0
EQUITY RESIDENTIAL (REIT)                                            X            1      3066       0         0
EQUITY RESIDENTIAL (REIT)                                  X                      1      4200       0         0
ERESEARCH TECHNOLOGY INC                                   X                      1      2700       0         0
ERESEARCH TECHNOLOGY INC                                   X                      3      3400       0         0
ERIE INDEMNITY CO CL A                                     X                      1    179400       0         0
EURONET WORLDWIDE, INC.                                    X                      3      7000       0         0
EVERGREEN RES INC                                                    X            1      2000       0         0
EXACT SCIENCES CORP.                                       X                      3     13700       0         0
EXELON CORP COM                                                      X            1     25854       0      2050
EXELON CORP COM                                            X                      1     61890       0       500
EXPEDITORS INTL WASH INC COM                               X                      1      1000       0         0
EXPRESS SCRIPTS INC                                                  X            1     14350       0      1085
EXPRESS SCRIPTS INC                                        X                      1    116671       0      1894
EXPRESS SCRIPTS INC                                        X                      3    121065       0      2709
EXPRESS SCRIPTS INC                                        X                      3       560       0         0
EXTREME NETWORKS INC COM                                   X                      1       100       0         0
EXXON MOBIL CORP                                                     X            1   1073040       0    297543
EXXON MOBIL CORP                                           X                      1   1410631       0      9533
EXXON MOBIL CORP                                           X                      2     27455       0         0
EXXON MOBIL CORP                                                     X            3      9138       0      3328
EXXON MOBIL CORP                                           X                      3    319635       0      3728
F N B CORP PA COM                                                    X            1      3058       0         0
F N B CORP PA COM                                          X                      1      2474       0         0
F S I INTL CORP COM                                        X                      1     11600       0         0
F S I INTL CORP COM                                        X                      3     14400       0         0
F5 NETWORKS INC                                            X                      1      6200       0         0
F5 NETWORKS INC                                            X                      3      7700       0         0
FACTSET RESEARCH SYSTEMS INC                                         X            1       600       0         0
FAIRCHILD SEMICONDUCTOR INTL INC                                     X            1       300       0         0
FAMILY DLR STORES COM                                                X            1       400       0         0
FANNIE MAE                                                           X            1     72193       0      6680
FANNIE MAE                                                 X                      1    271399       0      3234
FANNIE MAE                                                           X            3       230       0         0
FANNIE MAE                                                 X                      3    148505       0      1687
FANNIE MAE                                                 X                      3       650       0         0
FASTENAL CO                                                          X            1      2000       0         0
FASTENAL CO                                                X                      1       200       0         0
FEATHERLITE INCORPORATED                                             X            1     65281       0         0
FEDERAL REALTY INVESTMENT TRUST                            X                      2      7210       0         0
FEDERAL REALTY INVT TRUST (REIT)                           X                      1      2000       0         0
FEDERAL SIGNAL CORP                                        X                      1      2100       0         0
FEDERAL SIGNAL CORPORATION                                 X                      2     22800       0         0
FEDERATED DEPARTMENT STORES DELAWARE                       X                      2     10021       0         0
FEDERATED DEPARTMENT STORES, INC.                          X                      3     36200       0         0
FEDERATED DEPT STORES INC                                            X            1       344       0         0
FEDERATED DEPT STORES INC                                  X                      1      6260       0         0
FEDERATED INVESTORS COM                                    X                      1      1125       0         0
FEDEX CORP COM                                                       X            1      3010       0         0
FEDEX CORP COM                                             X                      1      5572       0         0
FEDEX CORPORATION                                          X                      2     10000       0         0


                                    12 of 41




                                                                                                    
FEI CO.                                          COMMON STOCK     30241L109         1406            58800  SHARES
FIDELITY NATL FINL INC COM                       COMMON STOCK     316326107            4              110  SHARES
FIFTH THIRD BANCORP COM                          COMMON STOCK     316773100           99             1846  SHARES
FIFTH THIRD BANCORP COM                          COMMON STOCK     316773100         1005            18690  SHARES
FIRST CHARTER CORP.                              COMMON STOCK     319439105          562            25800  SHARES
FIRST COMMONWEALTH FINANCIAL CORP                COMMON STOCK     319829107            0               20  SHARES
FIRST COMMUNITY BANCORP                          COMMON STOCK     31983B101          634            16500  SHARES
FIRST COMMUNITY BANCORP CA                       COMMON STOCK     31983B101          103             2673  SHARES
FIRST DATA CORP COM                              COMMON STOCK     319963104         1985            44576  SHARES
FIRST DATA CORP COM                              COMMON STOCK     319963104        10868           244104  SHARES
FIRST DATA CORP COM                              COMMON STOCK     319963104         1570            35266  SHARES
FIRST DATA CORP COM                              COMMON STOCK     319963104        11861           266403  SHARES
FIRST DATA CORP COM                              COMMON STOCK     319963104           56             1250  SHARES
FIRST HEALTH GROUP CORP COM                      COMMON STOCK     320960107          299            19155  SHARES
FIRST HORIZON NATIONAL CORP                      COMMON STOCK     320517105          109             2400  SHARES
FIRST HORIZON NATIONAL CORP.                     COMMON STOCK     320517105          718            15800  SHARES
FIRST INDUSTRIAL REALTY TR (REIT)                COMMON STOCK     32054K103           74             2000  SHARES
FIRST MARINER BANCORP INCORPORATED               COMMON STOCK     320795107           60             3500  SHARES
FIRST NATIONAL BANKSHARES OF FLORIDA             COMMON STOCK     321100109           60             3150  SHARES
FIRST NATIONAL BANKSHARES OF FLORIDA             COMMON STOCK     321100109           42             2239  SHARES
FIRST NIAGARA FINANCIAL GROUP                    COMMON STOCK     33582V108            4              292  SHARES
FIRST SENTINEL BANCORP INC COM                   COMMON STOCK     33640T103           82             4000  SHARES
FIRST UNITED CORP COM                            COMMON STOCK     33741H107           93             4805  SHARES
FIRST UNITED CORP COM                            COMMON STOCK     33741H107          297            15265  SHARES
FIRSTENERGY CORP COM                             COMMON STOCK     337932107          318             8489  SHARES
FIRSTENERGY CORP COM                             COMMON STOCK     337932107          158             4220  SHARES
FISERV INC                                       COMMON STOCK     337738108            8              200  SHARES
FISERV INCORPORATED                              COMMON STOCK     337738108         1514            38925  SHARES
FISHER SCIENTIFIC INTERNATIONAL INC              COMMON STOCK     338032204           52              900  SHARES
FIVE STAR QUALITY CARE INC                       COMMON STOCK     33832D106            0               10  SHARES
FIVE STAR QUALITY CARE INC                       COMMON STOCK     33832D106            0               77  SHARES
FLAGSTAR BANCORP, INC.                           COMMON STOCK     337930101          664            33400  SHARES
FLIR SYSTEMS INC                                 COMMON STOCK     302445101            8              150  SHARES
FLORIDA EAST COAST INDS INC                      COMMON STOCK     340632108            0                8  SHARES
FLOWERS FOODS INC COM                            COMMON STOCK     343498101            1               22  SHARES
FLUOR CORP NEW COM                               COMMON STOCK     343412102          145             3050  SHARES
FLUOR CORP NEW COM                               COMMON STOCK     343412102          181             3800  SHARES
FLUOR CORP NEW COM                               COMMON STOCK     343412102           19              400  SHARES
FONAR CORP COM                                   COMMON STOCK     344437108            0               18  SHARES
FOOT LOCKER INC                                  COMMON STOCK     344849104           71             2900  SHARES
FOOT LOCKER, INC.                                COMMON STOCK     344849104          484            19900  SHARES
FORD MOTOR CO                                    COMMON STOCK     345370860          697            44523  SHARES
FORD MOTOR CO                                    COMMON STOCK     345370860          603            38550  SHARES
FOREST LABS INC COM                              COMMON STOCK     345838106           28              500  SHARES
FOREST LABS INC COM                              COMMON STOCK     345838106           96             1700  SHARES
FOREST OIL CORP                                  COMMON STOCK     346091705          115             4200  SHARES
FOREST OIL CORP.                                 COMMON STOCK     346091705          863            31600  SHARES
FORTUNE BRANDS INC                               COMMON STOCK     349631101          661             8764  SHARES
FORTUNE BRANDS INC                               COMMON STOCK     349631101          723             9582  SHARES
FOUNDRY NETWORKS INC                             COMMON STOCK     35063R100            1              100  SHARES
FOX ENTERTAINMENT GROUP INC COM                  COMMON STOCK     35138T107           17              625  SHARES
FPL GROUP INC COM                                COMMON STOCK     302571104         1598            24981  SHARES
FPL GROUP INC COM                                COMMON STOCK     302571104         4294            67154  SHARES
FPL GROUP INC COM                                COMMON STOCK     302571104          883            13795  SHARES
FPL GROUP INC COM                                COMMON STOCK     302571104            6              100  SHARES
FRANKLIN RESOURCES INC                           COMMON STOCK     354613101           15              300  SHARES
FRANKLIN RESOURCES INC                           COMMON STOCK     354613101           95             1900  SHARES
FREDDIE MAC                                      COMMON STOCK     313400301          554             8745  SHARES
FREDDIE MAC                                      COMMON STOCK     313400301          812            12824  SHARES
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE         COMMON STOCK     313400301         5553            87732  SHARES
FREEPORT MCMORAN CPR & GLD INC CL B              COMMON STOCK     35671D857           26              785  SHARES
FREEPORT MCMORAN CPR & GLD INC CL B              COMMON STOCK     35671D857           56             1701  SHARES
FRIEDMAN BILLINGS RAMSEY GRP INC-A               COMMON STOCK     358434108           36             1825  SHARES
FRIEDMAN, BILLINGS, RAMSEY GROUP, INC., CLASS A  COMMON STOCK     358434108          879            44400  SHARES
FROZEN FOOD EXPRESS INDUSTRIES INC               COMMON STOCK     359360104            7             1000  SHARES
FULLER (H.B.) CO.                                COMMON STOCK     359694106          420            14800  SHARES
FULTON FIN CORP COM                              COMMON STOCK     360271100         2768           137375  SHARES
FULTON FIN CORP COM                              COMMON STOCK     360271100         2714           134688  SHARES
FULTON FINANCIAL CORP.                           COMMON STOCK     360271100         4370           216877  SHARES
GANNETT CO INC                                   COMMON STOCK     364730101         2601            30650  SHARES
GANNETT CO INC                                   COMMON STOCK     364730101         1086            12797  SHARES
GANNETT CO INC                                   COMMON STOCK     364730101           93             1100  SHARES
GANNETT INCORPORATED                             COMMON STOCK     364730101         1739            20500  SHARES
GAP INC COM                                      COMMON STOCK     364760108          597            24625  SHARES
GAP INC COM                                      COMMON STOCK     364760108         1682            69367  SHARES


                                                                                     
FEI CO.                                                    X                      3     58800       0         0
FIDELITY NATL FINL INC COM                                 X                      1       110       0         0
FIFTH THIRD BANCORP COM                                              X            1      1546       0       300
FIFTH THIRD BANCORP COM                                    X                      1     18690       0         0
FIRST CHARTER CORP.                                        X                      3     25800       0         0
FIRST COMMONWEALTH FINANCIAL CORP                          X                      1        20       0         0
FIRST COMMUNITY BANCORP                                    X                      3     16500       0         0
FIRST COMMUNITY BANCORP CA                                 X                      1      2673       0         0
FIRST DATA CORP COM                                                  X            1     41981       0      2595
FIRST DATA CORP COM                                        X                      1    240850       0      3254
FIRST DATA CORP COM                                        X                      2     35266       0         0
FIRST DATA CORP COM                                        X                      3    266403       0         0
FIRST DATA CORP COM                                        X                      3      1250       0         0
FIRST HEALTH GROUP CORP COM                                          X            1     19155       0         0
FIRST HORIZON NATIONAL CORP                                X                      1      2400       0         0
FIRST HORIZON NATIONAL CORP.                               X                      3     15800       0         0
FIRST INDUSTRIAL REALTY TR (REIT)                          X                      1      2000       0         0
FIRST MARINER BANCORP INCORPORATED                                   X            1      3500       0         0
FIRST NATIONAL BANKSHARES OF FLORIDA                                 X            1      3150       0         0
FIRST NATIONAL BANKSHARES OF FLORIDA                       X                      1      2239       0         0
FIRST NIAGARA FINANCIAL GROUP                              X                      1       292       0         0
FIRST SENTINEL BANCORP INC COM                             X                      1      4000       0         0
FIRST UNITED CORP COM                                                X            1       628       0      4177
FIRST UNITED CORP COM                                      X                      1     15265       0         0
FIRSTENERGY CORP COM                                                 X            1      8489       0         0
FIRSTENERGY CORP COM                                       X                      1      4220       0         0
FISERV INC                                                           X            1         0       0       200
FISERV INCORPORATED                                        X                      2     38925       0         0
FISHER SCIENTIFIC INTERNATIONAL INC                                  X            1       900       0         0
FIVE STAR QUALITY CARE INC                                           X            1         0       0        10
FIVE STAR QUALITY CARE INC                                 X                      1        77       0         0
FLAGSTAR BANCORP, INC.                                     X                      3     33400       0         0
FLIR SYSTEMS INC                                                     X            1         0       0       150
FLORIDA EAST COAST INDS INC                                          X            1         8       0         0
FLOWERS FOODS INC COM                                                X            1        22       0         0
FLUOR CORP NEW COM                                                   X            1      2050       0      1000
FLUOR CORP NEW COM                                         X                      1      3800       0         0
FLUOR CORP NEW COM                                                   X            3       400       0         0
FONAR CORP COM                                             X                      1        18       0         0
FOOT LOCKER INC                                            X                      1      2900       0         0
FOOT LOCKER, INC.                                          X                      3     19900       0         0
FORD MOTOR CO                                                        X            1     39215       0      5308
FORD MOTOR CO                                              X                      1     38500       0        50
FOREST LABS INC COM                                                  X            1       500       0         0
FOREST LABS INC COM                                        X                      1      1700       0         0
FOREST OIL CORP                                            X                      1      4200       0         0
FOREST OIL CORP.                                           X                      3     31600       0         0
FORTUNE BRANDS INC                                                   X            1      6357       0      2407
FORTUNE BRANDS INC                                         X                      1      9582       0         0
FOUNDRY NETWORKS INC                                                 X            1       100       0         0
FOX ENTERTAINMENT GROUP INC COM                                      X            1       625       0         0
FPL GROUP INC COM                                                    X            1     20260       0      4721
FPL GROUP INC COM                                          X                      1     67154       0         0
FPL GROUP INC COM                                          X                      3     13595       0       200
FPL GROUP INC COM                                          X                      3       100       0         0
FRANKLIN RESOURCES INC                                               X            1       150       0       150
FRANKLIN RESOURCES INC                                     X                      1      1900       0         0
FREDDIE MAC                                                          X            1      8745       0         0
FREDDIE MAC                                                X                      1     12824       0         0
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE                   X                      2     87732       0         0
FREEPORT MCMORAN CPR & GLD INC CL B                                  X            1       785       0         0
FREEPORT MCMORAN CPR & GLD INC CL B                        X                      1      1701       0         0
FRIEDMAN BILLINGS RAMSEY GRP INC-A                                   X            1      1825       0         0
FRIEDMAN, BILLINGS, RAMSEY GROUP, INC., CLASS A            X                      3     44400       0         0
FROZEN FOOD EXPRESS INDUSTRIES INC                                   X            1      1000       0         0
FULLER (H.B.) CO.                                          X                      3     14800       0         0
FULTON FIN CORP COM                                                  X            1    100594       0     36781
FULTON FIN CORP COM                                        X                      1    133586       0      1102
FULTON FINANCIAL CORP.                             X                                   216877       0         0
GANNETT CO INC                                                       X            1     30450       0       200
GANNETT CO INC                                             X                      1     12797       0         0
GANNETT CO INC                                                       X            3       100       0      1000
GANNETT INCORPORATED                                       X                      2     20500       0         0
GAP INC COM                                                          X            1     24225       0       400
GAP INC COM                                                X                      1     69367       0         0


                                    13 of 41




                                                                                                    
GATEWAY INC                                      COMMON STOCK     367626108            0               33  SHARES
GATEWAY INC                                      COMMON STOCK     367626108            1              200  SHARES
GATX CORP                                        COMMON STOCK     361448103           10              350  SHARES
GATX CORP.                                       COMMON STOCK     361448103          990            36400  SHARES
GEAC COMPUTER CORPORATION LIMITED                COMMON STOCK     368289104            5              715  SHARES
GEMSTAR TV GUIDE INTL INC COM                    COMMON STOCK     36866W106            1              120  SHARES
GENELABS TECHNOLOGIES INC                        COMMON STOCK     368706107            8             3300  SHARES
GENENTECH INC COM NEW                            COMMON STOCK     368710406          315             5600  SHARES
GENENTECH INC COM NEW                            COMMON STOCK     368710406         1456            25900  SHARES
GENERAL DYNAMICS CORP COM                        COMMON STOCK     369550108          913             9190  SHARES
GENERAL DYNAMICS CORP COM                        COMMON STOCK     369550108         2742            27613  SHARES
GENERAL DYNAMICS CORP COM                        COMMON STOCK     369550108           98              989  SHARES
GENERAL ELECTRIC COMPANY                         COMMON STOCK     369604103        80377          2480782  SHARES
GENERAL ELECTRIC COMPANY                         COMMON STOCK     369604103        77379          2388253  SHARES
GENERAL ELECTRIC COMPANY                         COMMON STOCK     369604103         6444           198871  SHARES
GENERAL ELECTRIC COMPANY                         COMMON STOCK     369604103          732            22593  SHARES
GENERAL ELECTRIC COMPANY                         COMMON STOCK     369604103        25228           778671  SHARES
GENERAL ELECTRIC COMPANY                         COMMON STOCK     369604103          113             3500  SHARES
GENERAL MILLS INC                                COMMON STOCK     370334104         1247            26237  SHARES
GENERAL MILLS INC                                COMMON STOCK     370334104         7241           152356  SHARES
GENERAL MILLS INC                                COMMON STOCK     370334104           38              800  SHARES
GENERAL MILLS INC                                COMMON STOCK     370334104          342             7200  SHARES
GENERAL MILLS INC                                COMMON STOCK     370334104         6963           146498  SHARES
GENERAL MILLS INC                                COMMON STOCK     370334104           29              600  SHARES
GENERAL MOTORS CORP COM                          COMMON STOCK     370442105          932            20004  SHARES
GENERAL MOTORS CORP COM                          COMMON STOCK     370442105         1087            23336  SHARES
GENERAL MOTORS CORP COM                          COMMON STOCK     370442105           30              636  SHARES
GENERAL MOTORS CORP COM                          COMMON STOCK     370442105           30              636  SHARES
GENESEE & WYOMING                                COMMON STOCK     371559105           86             3618  SHARES
GENESEE & WYOMING, INC., CLASS A                 COMMON STOCK     371559105          533            22500  SHARES
GENESIS MICROCHIP INC                            COMMON STOCK     37184C103            7              500  SHARES
GENESIS MICROCHIP, INC.                          COMMON STOCK     37184C103          997            72400  SHARES
GENLYTE GROUP, INC.                              COMMON STOCK     372302109          497             7900  SHARES
GENTA, INC.                                      COMMON STOCK     37245M207          279           111700  SHARES
GENTIVA HLTH SVCS INC COM                        COMMON STOCK     37247A102            1               62  SHARES
GENUINE PARTS COMPANY                            COMMON STOCK     372460105          440            11100  SHARES
GENUINE PARTS INC                                COMMON STOCK     372460105           89             2250  SHARES
GENUINE PARTS INC                                COMMON STOCK     372460105          274             6917  SHARES
GENVEC INC COM                                   COMMON STOCK     37246C109            1              400  SHARES
GENZYME CORP COM                                 COMMON STOCK     372917104          166             3500  SHARES
GEORGIA GULF CORP.                               COMMON STOCK     373200203          760            21200  SHARES
GEORGIA GULF CORPORATION                         COMMON STOCK     373200203          121             3366  SHARES
GEORGIA PAC CORP COM                             COMMON STOCK     373298108           96             2587  SHARES
GEORGIA PAC CORP COM                             COMMON STOCK     373298108          281             7600  SHARES
GEORGIA-PACIFIC CORP.                            COMMON STOCK     373298108         1512            40900  SHARES
GERBER SCIENTIFIC, INC.                          COMMON STOCK     373730100          351            49700  SHARES
GERON CORP                                       COMMON STOCK     374163103            4              500  SHARES
GETTY IMAGES INC COM                             COMMON STOCK     374276103           30              500  SHARES
GETTY REALTY CORPORATION                         COMMON STOCK     374297109            8              300  SHARES
GEVITY HR INCORPORATED                           COMMON STOCK     374393106          113             4300  SHARES
GEVITY HR INCORPORATED                           COMMON STOCK     374393106          134             5100  SHARES
GILEAD SCIENCES INC COM                          COMMON STOCK     375558103            2               25  SHARES
GILEAD SCIENCES INC COM                          COMMON STOCK     375558103         1103            16463  SHARES
GILEAD SCIENCES INC COM                          COMMON STOCK     375558103         3123            46614  SHARES
GILLETTE CO                                      COMMON STOCK     375766102         5513           130035  SHARES
GILLETTE CO                                      COMMON STOCK     375766102         8874           209294  SHARES
GILLETTE CO                                      COMMON STOCK     375766102          102             2400  SHARES
GILLETTE CO                                      COMMON STOCK     375766102         7480           176435  SHARES
GILLETTE CO                                      COMMON STOCK     375766102           32              760  SHARES
GILLETTE COMPANY                                 COMMON STOCK     375766102         1346            31750  SHARES
GLADSTONE CAPITAL CORP                           COMMON STOCK     376535100         1886            93596  SHARES
GLATFELTER                                       COMMON STOCK     377316104          213            15120  SHARES
GLATFELTER                                       COMMON STOCK     377316104          425            30212  SHARES
GLATFELTER                                       COMMON STOCK     377316104           17             1200  SHARES
GLIMCHER RLTY TR SH BEN INT (ATTCHD              COMMON STOCK     379302102           20              900  SHARES
GLOBALSANTAFE CORP                               COMMON STOCK     G3930E101            7              250  SHARES
GLOBALSANTAFE CORP                               COMMON STOCK     G3930E101            5              200  SHARES
GOLDEN WEST FINANCIAL CORP.                      COMMON STOCK     381317106         2074            19500  SHARES
GOLDEN WEST FINL CORP COM                        COMMON STOCK     381317106          287             2697  SHARES
GOLDMAN SACHS GROUP INC COM                      COMMON STOCK     38141G104          200             2120  SHARES
GOODRICH CORP                                    COMMON STOCK     382388106          181             5600  SHARES
GOODYEAR TIRE & RUBR CO                          COMMON STOCK     382550101           20             2155  SHARES
GOODYEAR TIRE & RUBR CO                          COMMON STOCK     382550101           10             1147  SHARES
GRAINGER (W.W.), INC.                            COMMON STOCK     384802104          621            10800  SHARES
GRANT PRIDECO INC COM                            COMMON STOCK     38821G101          319            17300  SHARES


                                                                                   
GATEWAY INC                                                          X            1        33       0         0
GATEWAY INC                                                X                      1       200       0         0
GATX CORP                                                            X            1         0       0       350
GATX CORP.                                                 X                      3     36400       0         0
GEAC COMPUTER CORPORATION LIMITED                                    X            1       715       0         0
GEMSTAR TV GUIDE INTL INC COM                                        X            1       120       0         0
GENELABS TECHNOLOGIES INC                                  X                      1      3300       0         0
GENENTECH INC COM NEW                                                X            1      5600       0         0
GENENTECH INC COM NEW                                      X                      1     25900       0         0
GENERAL DYNAMICS CORP COM                                            X            1      9190       0         0
GENERAL DYNAMICS CORP COM                                  X                      1     27613       0         0
GENERAL DYNAMICS CORP COM                                            X            3       989       0         0
GENERAL ELECTRIC COMPANY                                             X            1   1773558       0    707224
GENERAL ELECTRIC COMPANY                                   X                      1   2355989       0     32264
GENERAL ELECTRIC COMPANY                                   X                      2    198871       0         0
GENERAL ELECTRIC COMPANY                                             X            3     13743       0      8850
GENERAL ELECTRIC COMPANY                                   X                      3    760820       0     17851
GENERAL ELECTRIC COMPANY                                   X                      3      3500       0         0
GENERAL MILLS INC                                                    X            1     25387       0       850
GENERAL MILLS INC                                          X                      1    151171       0      1185
GENERAL MILLS INC                                          X                      2       800       0         0
GENERAL MILLS INC                                                    X            3      6200       0      1000
GENERAL MILLS INC                                          X                      3    143023       0      3475
GENERAL MILLS INC                                          X                      3       600       0         0
GENERAL MOTORS CORP COM                                              X            1     15910       0      4094
GENERAL MOTORS CORP COM                                    X                      1     23336       0         0
GENERAL MOTORS CORP COM                                              X            3       636       0         0
GENERAL MOTORS CORP COM                                    X                      3       636       0         0
GENESEE & WYOMING                                          X                      1      3618       0         0
GENESEE & WYOMING, INC., CLASS A                           X                      3     22500       0         0
GENESIS MICROCHIP INC                                      X                      1       500       0         0
GENESIS MICROCHIP, INC.                                    X                      3     72400       0         0
GENLYTE GROUP, INC.                                        X                      3      7900       0         0
GENTA, INC.                                                X                      3    111700       0         0
GENTIVA HLTH SVCS INC COM                                  X                      1        62       0         0
GENUINE PARTS COMPANY                                      X                      2     11100       0         0
GENUINE PARTS INC                                                    X            1      2250       0         0
GENUINE PARTS INC                                          X                      1      6917       0         0
GENVEC INC COM                                                       X            1       400       0         0
GENZYME CORP COM                                           X                      1      3500       0         0
GEORGIA GULF CORP.                                         X                      3     21200       0         0
GEORGIA GULF CORPORATION                                   X                      1      3366       0         0
GEORGIA PAC CORP COM                                                 X            1       579       0      2008
GEORGIA PAC CORP COM                                       X                      1      7600       0         0
GEORGIA-PACIFIC CORP.                                      X                      3     40900       0         0
GERBER SCIENTIFIC, INC.                                    X                      3     49700       0         0
GERON CORP                                                           X            1         0       0       500
GETTY IMAGES INC COM                                                 X            1         0       0       500
GETTY REALTY CORPORATION                                   X                      1       300       0         0
GEVITY HR INCORPORATED                                     X                      1      4300       0         0
GEVITY HR INCORPORATED                                     X                      3      5100       0         0
GILEAD SCIENCES INC COM                                              X            1        25       0         0
GILEAD SCIENCES INC COM                                    X                      1     16463       0         0
GILEAD SCIENCES INC COM                                    X                      3     43665       0      2949
GILLETTE CO                                                          X            1    117652       0     12383
GILLETTE CO                                                X                      1    207784       0      1510
GILLETTE CO                                                          X            3         0       0      2400
GILLETTE CO                                                X                      3    170965       0      5470
GILLETTE CO                                                X                      3       760       0         0
GILLETTE COMPANY                                           X                      2     31750       0         0
GLADSTONE CAPITAL CORP                                     X                      2     93596       0         0
GLATFELTER                                                           X            1     15120       0         0
GLATFELTER                                                 X                      1     27212       0      3000
GLATFELTER                                                 X                      3       200       0      1000
GLIMCHER RLTY TR SH BEN INT (ATTCHD                        X                      1       900       0         0
GLOBALSANTAFE CORP                                                   X            1         0       0       250
GLOBALSANTAFE CORP                                         X                      1       200       0         0
GOLDEN WEST FINANCIAL CORP.                                X                      3     19500       0         0
GOLDEN WEST FINL CORP COM                                  X                      1      2697       0         0
GOLDMAN SACHS GROUP INC COM                                X                      1      2120       0         0
GOODRICH CORP                                                        X            1      4000       0      1600
GOODYEAR TIRE & RUBR CO                                              X            1      2155       0         0
GOODYEAR TIRE & RUBR CO                                    X                      1      1147       0         0
GRAINGER (W.W.), INC.                                      X                      3     10800       0         0
GRANT PRIDECO INC COM                                      X                      1     17300       0         0


                                    14 of 41




                                                                                                    
GRANT PRIDECO, INC.                              COMMON STOCK     38821G101          2280           123500  SHARES
GREAT AMERN FINL RES INC COM                     COMMON STOCK     389915109             2              100  SHARES
GREAT AMERN FINL RES INC COM                     COMMON STOCK     389915109             2              110  SHARES
GREAT PLAINS ENERGY INC                          COMMON STOCK     391164100            17              570  SHARES
GREATER BAY BANCORP                              COMMON STOCK     391648102            25              850  SHARES
GREATER BAY BANCORP                              COMMON STOCK     391648102          1000            34600  SHARES
GREEN MOUNTAIN POWER CORP                        COMMON STOCK     393154109            26             1000  SHARES
GREENHILL & CO., INC.                            COMMON STOCK     395259104           119             5700  SHARES
GREENPOINT FINANCIAL CORP COM                    COMMON STOCK     395384100            54             1350  SHARES
GRIFFON CORP.                                    COMMON STOCK     398433102           764            34300  SHARES
GUIDANT CORP COM                                 COMMON STOCK     401698105           284             5082  SHARES
GUIDANT CORP COM                                 COMMON STOCK     401698105          1422            25450  SHARES
GUIDANT CORP.                                    COMMON STOCK     401698105           916            16400  SHARES
GUILFORD PHARMACEUTICALS INC COM                 COMMON STOCK     401829106             5             1000  SHARES
GULFTERRA ENERGY PTNRS LP                        COMMON STOCK     40274U108            45             1150  SHARES
GULFTERRA ENERGY PTNRS LP                        COMMON STOCK     40274U108            20              510  SHARES
HALLIBURTON HLDG CO COM                          COMMON STOCK     406216101           254             8400  SHARES
HALLIBURTON HLDG CO COM                          COMMON STOCK     406216101           146             4835  SHARES
HALLIBURTON HLDG CO COM                          COMMON STOCK     406216101            61             2000  SHARES
HANSEN NATURAL CORPORATION                       COMMON STOCK     411310105            91             3600  SHARES
HANSEN NATURAL CORPORATION                       COMMON STOCK     411310105           114             4500  SHARES
HARLEY DAVIDSON INC                              COMMON STOCK     412822108           375             6054  SHARES
HARLEY DAVIDSON INC                              COMMON STOCK     412822108          1335            21554  SHARES
HARLEYSVILLE NATL CORP COM                       COMMON STOCK     412850109            31             1216  SHARES
HARMONIC LIGHTWAVES, INC.                        COMMON STOCK     413160102           229            26900  SHARES
HARRIS CORP                                      COMMON STOCK     413875105             5              100  SHARES
HARSCO CORP                                      COMMON STOCK     415864107          2777            59088  SHARES
HARSCO CORP                                      COMMON STOCK     415864107         10164           216260  SHARES
HARSCO CORP                                      COMMON STOCK     415864107          1448            30800  SHARES
HARTFORD FINANCIAL SVCS GRP INC COM              COMMON STOCK     416515104          1140            16578  SHARES
HARTFORD FINANCIAL SVCS GRP INC COM              COMMON STOCK     416515104          7080           103001  SHARES
HARTFORD FINANCIAL SVCS GRP INC COM              COMMON STOCK     416515104          9040           131511  SHARES
HARTFORD FINANCIAL SVCS GRP INC COM              COMMON STOCK     416515104            41              590  SHARES
HARTMARX CORPORATION                             COMMON STOCK     417119104             6             1000  SHARES
HASBRO INC                                       COMMON STOCK     418056107             3              170  SHARES
HCA INC COM                                      COMMON STOCK     404119109           178             4281  SHARES
HCA INC COM                                      COMMON STOCK     404119109          4008            96360  SHARES
HCA INC COM                                      COMMON STOCK     404119109            44             1056  SHARES
HCA INC COM                                      COMMON STOCK     404119109          6769           162744  SHARES
HCA INC COM                                      COMMON STOCK     404119109            33              800  SHARES
HEADWATERS, INC.                                 COMMON STOCK     42210P102           594            22900  SHARES
HEALTH CARE PPTY INVEST INC (REIT)               COMMON STOCK     421915109           151             6268  SHARES
HEALTH MGMT ASSOC INC CL A                       COMMON STOCK     421933102           606            27040  SHARES
HEALTH MGMT ASSOC INC CL A                       COMMON STOCK     421933102          6710           299275  SHARES
HEALTH MGMT ASSOC INC CL A                       COMMON STOCK     421933102          6546           291940  SHARES
HEALTH MGMT ASSOC INC CL A                       COMMON STOCK     421933102            40             1800  SHARES
HEALTH NET INC COM                               COMMON STOCK     42222G108            28             1064  SHARES
HEALTHCARE REALTY TRUST INC (REIT)               COMMON STOCK     421946104             7              200  SHARES
HEALTHCARE REALTY TRUST INC (REIT)               COMMON STOCK     421946104            84             2230  SHARES
HEINZ H J CO COM                                 COMMON STOCK     423074103          1338            34131  SHARES
HEINZ H J CO COM                                 COMMON STOCK     423074103          2605            66443  SHARES
HEINZ H J CO COM                                 COMMON STOCK     423074103            37              950  SHARES
HEINZ H J CO COM                                 COMMON STOCK     423074103            39             1000  SHARES
HENRY JACK & ASSOC INC COM                       COMMON STOCK     426281101           111             5500  SHARES
HENRY JACK & ASSOCIATES, INC.                    COMMON STOCK     426281101          1590            79100  SHARES
HERCULES INC                                     COMMON STOCK     427056106            62             5100  SHARES
HERCULES INC                                     COMMON STOCK     427056106            55             4500  SHARES
HERSHEY FOODS CORP                               COMMON STOCK     427866108          2487            53750  SHARES
HERSHEY FOODS CORP                               COMMON STOCK     427866108          3389            73238  SHARES
HEWLETT PACKARD CO COM                           COMMON STOCK     428236103          2543           120525  SHARES
HEWLETT PACKARD CO COM                           COMMON STOCK     428236103          3675           174165  SHARES
HEWLETT PACKARD CO COM                           COMMON STOCK     428236103           169             8000  SHARES
HEWLETT PACKARD CO COM                           COMMON STOCK     428236103           184             8720  SHARES
HEWLETT PACKARD COMPANY                          COMMON STOCK     428236103           980            46437  SHARES
HIGHWOODS PROPERTIES (REIT)                      COMMON STOCK     431284108            12              500  SHARES
HILTON HOTELS CORP                               COMMON STOCK     432848109           161             8643  SHARES
HILTON HOTELS CORP.                              COMMON STOCK     432848109          1043            55900  SHARES
HOLLY CORP.                                      COMMON STOCK     435758305           606            16200  SHARES
HOLOGIC INC COM                                  COMMON STOCK     436440101             9              400  SHARES
HOME DEPOT INC COM                               COMMON STOCK     437076102          4895           139054  SHARES
HOME DEPOT INC COM                               COMMON STOCK     437076102         16531           469636  SHARES
HOME DEPOT INC COM                               COMMON STOCK     437076102          4098           116395  SHARES
HOME DEPOT INC COM                               COMMON STOCK     437076102         11149           316750  SHARES
HOME DEPOT INC COM                               COMMON STOCK     437076102            46             1300  SHARES
HOME PROPERTIES INC (REIT)                       COMMON STOCK     437306103           300             7700  SHARES


                                                                                    
GRANT PRIDECO, INC.                                        X                      3    123500       0         0
GREAT AMERN FINL RES INC COM                                         X            1         0       0       100
GREAT AMERN FINL RES INC COM                               X                      3       110       0         0
GREAT PLAINS ENERGY INC                                    X                      1       570       0         0
GREATER BAY BANCORP                                        X                      1       850       0         0
GREATER BAY BANCORP                                        X                      3     34600       0         0
GREEN MOUNTAIN POWER CORP                                  X                      1      1000       0         0
GREENHILL & CO., INC.                                      X                      3      5700       0         0
GREENPOINT FINANCIAL CORP COM                              X                      1      1350       0         0
GRIFFON CORP.                                              X                      3     34300       0         0
GUIDANT CORP COM                                                     X            1      5082       0         0
GUIDANT CORP COM                                           X                      1     25450       0         0
GUIDANT CORP.                                              X                      3     16400       0         0
GUILFORD PHARMACEUTICALS INC COM                           X                      1      1000       0         0
GULFTERRA ENERGY PTNRS LP                                            X            1      1000       0       150
GULFTERRA ENERGY PTNRS LP                                  X                      1       510       0         0
HALLIBURTON HLDG CO COM                                              X            1      4100       0      4300
HALLIBURTON HLDG CO COM                                    X                      1      4835       0         0
HALLIBURTON HLDG CO COM                                              X            3      2000       0         0
HANSEN NATURAL CORPORATION                                 X                      1      3600       0         0
HANSEN NATURAL CORPORATION                                 X                      3      4500       0         0
HARLEY DAVIDSON INC                                                  X            1      2854       0      3200
HARLEY DAVIDSON INC                                        X                      1     21454       0       100
HARLEYSVILLE NATL CORP COM                                 X                      1      1216       0         0
HARMONIC LIGHTWAVES, INC.                                  X                      3     26900       0         0
HARRIS CORP                                                X                      1       100       0         0
HARSCO CORP                                                          X            1     59088       0         0
HARSCO CORP                                                X                      1    183538       0     32722
HARSCO CORP                                                X                      3     30800       0         0
HARTFORD FINANCIAL SVCS GRP INC COM                                  X            1     13528       0      3050
HARTFORD FINANCIAL SVCS GRP INC COM                        X                      1    101740       0      1261
HARTFORD FINANCIAL SVCS GRP INC COM                        X                      3    131511       0         0
HARTFORD FINANCIAL SVCS GRP INC COM                        X                      3       590       0         0
HARTMARX CORPORATION                                       X                      1      1000       0         0
HASBRO INC                                                           X            1       170       0         0
HCA INC COM                                                          X            1      3531       0       750
HCA INC COM                                                X                      1     95020       0      1340
HCA INC COM                                                          X            3      1056       0         0
HCA INC COM                                                X                      3    162744       0         0
HCA INC COM                                                X                      3       800       0         0
HEADWATERS, INC.                                           X                      3     22900       0         0
HEALTH CARE PPTY INVEST INC (REIT)                         X                      1      6268       0         0
HEALTH MGMT ASSOC INC CL A                                           X            1     24015       0      3025
HEALTH MGMT ASSOC INC CL A                                 X                      1    295256       0      4019
HEALTH MGMT ASSOC INC CL A                                 X                      3    291940       0         0
HEALTH MGMT ASSOC INC CL A                                 X                      3      1800       0         0
HEALTH NET INC COM                                                   X            1      1064       0         0
HEALTHCARE REALTY TRUST INC (REIT)                                   X            1       200       0         0
HEALTHCARE REALTY TRUST INC (REIT)                         X                      1      2230       0         0
HEINZ H J CO COM                                                     X            1     27381       0      6750
HEINZ H J CO COM                                           X                      1     64893       0      1550
HEINZ H J CO COM                                                     X            3       950       0         0
HEINZ H J CO COM                                           X                      3      1000       0         0
HENRY JACK & ASSOC INC COM                                 X                      1      5500       0         0
HENRY JACK & ASSOCIATES, INC.                              X                      3     79100       0         0
HERCULES INC                                                         X            1      5100       0         0
HERCULES INC                                               X                      1      4500       0         0
HERSHEY FOODS CORP                                                   X            1     40350       0     13400
HERSHEY FOODS CORP                                         X                      1     72838       0       400
HEWLETT PACKARD CO COM                                               X            1    111125       0      9400
HEWLETT PACKARD CO COM                                     X                      1    173849       0       316
HEWLETT PACKARD CO COM                                               X            3      8000       0         0
HEWLETT PACKARD CO COM                                     X                      3      8720       0         0
HEWLETT PACKARD COMPANY                                    X                      2     46437       0         0
HIGHWOODS PROPERTIES (REIT)                                          X            1       500       0         0
HILTON HOTELS CORP                                         X                      1      8643       0         0
HILTON HOTELS CORP.                                        X                      3     55900       0         0
HOLLY CORP.                                                X                      3     16200       0         0
HOLOGIC INC COM                                                      X            1         0       0       400
HOME DEPOT INC COM                                                   X            1    126333       0     12721
HOME DEPOT INC COM                                         X                      1    466477       0      3159
HOME DEPOT INC COM                                         X                      2    116395       0         0
HOME DEPOT INC COM                                         X                      3    310712       0      6038
HOME DEPOT INC COM                                         X                      3      1300       0         0
HOME PROPERTIES INC (REIT)                                           X            1      6200       0      1500


                                    15 of 41




                                                                                                    
HOME PROPERTIES INC (REIT)                       COMMON STOCK     437306103           39             1000  SHARES
HOME PROPERTIES OF NEW YORK INC                  COMMON STOCK     437306103         2296            58900  SHARES
HOMESTORE.COM, INC.                              COMMON STOCK     437852106          743           186200  SHARES
HONEYWELL INTERNATIONAL INCORPORATED             COMMON STOCK     438516106          634            17312  SHARES
HONEYWELL INTERNATIONAL, INC.                    COMMON STOCK     438516106         1495            40810  SHARES
HONEYWELL INTL INC COM                           COMMON STOCK     438516106         2906            79341  SHARES
HONEYWELL INTL INC COM                           COMMON STOCK     438516106         3396            92709  SHARES
HONEYWELL INTL INC COM                           COMMON STOCK     438516106            5              150  SHARES
HOSPIRA INC                                      COMMON STOCK     441060100          331            12007  SHARES
HOSPIRA INC                                      COMMON STOCK     441060100          582            21097  SHARES
HOSPIRA INC                                      COMMON STOCK     441060100            4              155  SHARES
HOSPIRA INC                                      COMMON STOCK     441060100            1               20  SHARES
HOSPITALITY PROPERTIES TRUST (REIT)              COMMON STOCK     44106M102           42             1000  SHARES
HOST MARRIOTT CORP NEW COM                       COMMON STOCK     44107P104            3              217  SHARES
HOT TOPIC, INC.                                  COMMON STOCK     441339108         1213            59200  SHARES
HRPT PROPERTIES TRUST                            COMMON STOCK     40426W101          768            76700  SHARES
HRPT PROPERTIES TRUST (REIT)                     COMMON STOCK     40426W101           12             1200  SHARES
HRPT PROPERTIES TRUST (REIT)                     COMMON STOCK     40426W101           55             5500  SHARES
HUBBELL INC CL B                                 COMMON STOCK     443510201           23              500  SHARES
HUDSON RIVER BANCORP, INC.                       COMMON STOCK     444128102           32             1900  SHARES
HUDSON TECHNOLOGIES INC                          COMMON STOCK     444144109           11            12824  SHARES
HUGHES ELECTRONICS CORPORATION                   COMMON STOCK     444418107          487            29424  SHARES
HUMAN GENOME SCIENCES INC                        COMMON STOCK     444903108           72             6200  SHARES
HUMMINGBIRD LTD                                  COMMON STOCK     44544R101           11              500  SHARES
HUNTINGTON BANCSHARES INC COM                    COMMON STOCK     446150104            4              161  SHARES
HUNTINGTON BANCSHARES INC COM                    COMMON STOCK     446150104           11              500  SHARES
HUTCHINSON TECHNOLOGY INC                        COMMON STOCK     448407106           13              535  SHARES
HUTTIG BLDG PRODS INC                            COMMON STOCK     448451104           17             2277  SHARES
HUTTIG BLDG PRODS INC                            COMMON STOCK     448451104            4              585  SHARES
ICU MEDICAL INC                                  COMMON STOCK     44930G107           23              700  SHARES
IDACORP INC                                      COMMON STOCK     451107106           42             1542  SHARES
IDENTIX, INC.                                    COMMON STOCK     451906101          343            45899  SHARES
IDEXX CORP                                       COMMON STOCK     45168D104           19              300  SHARES
I-FLOW CORPORATION                               COMMON STOCK     449520303            6              500  SHARES
IKON OFFICE SOLUTIONS, INC.                      COMMON STOCK     451713101          727            63400  SHARES
ILLINOIS TOOL WKS INC COM                        COMMON STOCK     452308109          667             6958  SHARES
ILLINOIS TOOL WKS INC COM                        COMMON STOCK     452308109         2010            20960  SHARES
ILLINOIS TOOL WKS INC COM                        COMMON STOCK     452308109          125             1308  SHARES
IMAGISTICS INTL INC                              COMMON STOCK     45247T104           29              832  SHARES
IMAGISTICS INTL INC                              COMMON STOCK     45247T104           16              460  SHARES
IMATION CORPORATION COM                          COMMON STOCK     45245A107            0                1  SHARES
IMCLONE SYS INC COM                              COMMON STOCK     45245W109           45              525  SHARES
IMMERSION CORP.                                  COMMON STOCK     452521107          601           125900  SHARES
IMPAC MORTGAGE HOLDINGS INC(REIT)                COMMON STOCK     45254P102           27             1200  SHARES
IMS HEALTH INC COM                               COMMON STOCK     449934108          256            10937  SHARES
IMS HEALTH INC COM                               COMMON STOCK     449934108          381            16260  SHARES
INDEPENDENCE COMMUNITY BANK                      COMMON STOCK     453414104          925            25400  SHARES
INDEPENDENT BANK CORP.- MICHIGAN                 COMMON STOCK     453838104          653            25700  SHARES
INDYMAC BANCORP, INC.                            COMMON STOCK     456607100          992            31400  SHARES
INERGY LP                                        COMMON STOCK     456615103           24             1000  SHARES
INFINITY PPTY & CAS CORP                         COMMON STOCK     45665Q103          135             4100  SHARES
INFINITY PPTY & CAS CORP                         COMMON STOCK     45665Q103          168             5100  SHARES
INFORMATICA CORP COM                             COMMON STOCK     45666Q102           20             2600  SHARES
INFORTE CORPORATION                              COMMON STOCK     45677R107           65             6500  SHARES
INFORTE CORPORATION                              COMMON STOCK     45677R107           78             7800  SHARES
INFOSPACE INC                                    COMMON STOCK     45678T201            0               10  SHARES
INGRAM MICRO INC CL A                            COMMON STOCK     457153104            3              200  SHARES
INTEGRA LIFESCIENCES HOLDING                     COMMON STOCK     457985208           14              400  SHARES
INTEGRATED CIRCUIT SYSTEM, INC.                  COMMON STOCK     45811K208          209             7700  SHARES
INTEGRATED ELECTRICAL SERVICES                   COMMON STOCK     45811E103          628            78000  SHARES
INTEL CORP COM                                   COMMON STOCK     458140100         9203           333435  SHARES
INTEL CORP COM                                   COMMON STOCK     458140100        25680           930435  SHARES
INTEL CORP COM                                   COMMON STOCK     458140100         2917           105693  SHARES
INTEL CORP COM                                   COMMON STOCK     458140100           22              800  SHARES
INTEL CORP COM                                   COMMON STOCK     458140100        13436           486821  SHARES
INTEL CORP COM                                   COMMON STOCK     458140100           50             1795  SHARES
INTERACTIVECORP                                  COMMON STOCK     45840Q101          217             7200  SHARES
INTERACTIVECORP                                  COMMON STOCK     45840Q101          308            10226  SHARES
INTERACTIVECORP                                  COMMON STOCK     45840Q101         1896            62900  SHARES
INTERGRATED DEVICE TECH INC                      COMMON STOCK     458118106            7              500  SHARES
INTERNAP DELAWARE INC                            COMMON STOCK     45885A102           31            25700  SHARES
INTERNAP DELAWARE INC                            COMMON STOCK     45885A102           39            32000  SHARES
INTERNATIONAL BUSINESS MACHINES                  COMMON STOCK     459200101         4659            52852  SHARES
INTERNATIONAL BUSINESS MACHINES CORP             COMMON STOCK     459200101        16535           187577  SHARES
INTERNATIONAL BUSINESS MACHINES CORP             COMMON STOCK     459200101        37504           425453  SHARES


                                                                                     
HOME PROPERTIES INC (REIT)                                 X                   1         1000       0         0
HOME PROPERTIES OF NEW YORK INC                            X                   2        58900       0         0
HOMESTORE.COM, INC.                                        X                   3       186200       0         0
HONEYWELL INTERNATIONAL INCORPORATED                       X                   2        17312       0         0
HONEYWELL INTERNATIONAL, INC.                              X                   3        40810       0         0
HONEYWELL INTL INC COM                                               X         1        78654       0       687
HONEYWELL INTL INC COM                                     X                   1        92709       0         0
HONEYWELL INTL INC COM                                     X                   3          150       0         0
HOSPIRA INC                                                          X         1        10357       0      1650
HOSPIRA INC                                                X                   1        21086       0        11
HOSPIRA INC                                                          X         3           55       0       100
HOSPIRA INC                                                X                   3            0       0        20
HOSPITALITY PROPERTIES TRUST (REIT)                        X                   1         1000       0         0
HOST MARRIOTT CORP NEW COM                                 X                   1          217       0         0
HOT TOPIC, INC.                                            X                   3        59200       0         0
HRPT PROPERTIES TRUST                                      X                   3        76700       0         0
HRPT PROPERTIES TRUST (REIT)                                         X         1         1200       0         0
HRPT PROPERTIES TRUST (REIT)                               X                   1         5500       0         0
HUBBELL INC CL B                                                     X         1            0       0       500
HUDSON RIVER BANCORP, INC.                                 X                   3         1900       0         0
HUDSON TECHNOLOGIES INC                                              X         1            0       0     12824
HUGHES ELECTRONICS CORPORATION                             X                   2        29424       0         0
HUMAN GENOME SCIENCES INC                                            X         1         6200       0         0
HUMMINGBIRD LTD                                                      X         1            0       0       500
HUNTINGTON BANCSHARES INC COM                                        X         1          161       0         0
HUNTINGTON BANCSHARES INC COM                              X                   1          500       0         0
HUTCHINSON TECHNOLOGY INC                                  X                   1          535       0         0
HUTTIG BLDG PRODS INC                                                X         1         2277       0         0
HUTTIG BLDG PRODS INC                                      X                   1          585       0         0
ICU MEDICAL INC                                                      X         1            0       0       700
IDACORP INC                                                          X         1          300       0      1242
IDENTIX, INC.                                              X                   3        45899       0         0
IDEXX CORP                                                           X         1            0       0       300
I-FLOW CORPORATION                                                   X         1          500       0         0
IKON OFFICE SOLUTIONS, INC.                                X                   3        63400       0         0
ILLINOIS TOOL WKS INC COM                                            X         1         6958       0         0
ILLINOIS TOOL WKS INC COM                                  X                   1        20960       0         0
ILLINOIS TOOL WKS INC COM                                  X                   3          258       0      1050
IMAGISTICS INTL INC                                                  X         1            0       0       832
IMAGISTICS INTL INC                                        X                   1          460       0         0
IMATION CORPORATION COM                                    X                   1            1       0         0
IMCLONE SYS INC COM                                                  X         1          525       0         0
IMMERSION CORP.                                            X                   3       125900       0         0
IMPAC MORTGAGE HOLDINGS INC(REIT)                                    X         1         1200       0         0
IMS HEALTH INC COM                                                   X         1         6537       0      4400
IMS HEALTH INC COM                                         X                   1        16260       0         0
INDEPENDENCE COMMUNITY BANK                                X                   3        25400       0         0
INDEPENDENT BANK CORP.- MICHIGAN                           X                   3        25700       0         0
INDYMAC BANCORP, INC.                                      X                   3        31400       0         0
INERGY LP                                                            X         1         1000       0         0
INFINITY PPTY & CAS CORP                                   X                   1         4100       0         0
INFINITY PPTY & CAS CORP                                   X                   3         5100       0         0
INFORMATICA CORP COM                                       X                   1         2600       0         0
INFORTE CORPORATION                                        X                   1         6500       0         0
INFORTE CORPORATION                                        X                   3         7800       0         0
INFOSPACE INC                                              X                   1           10       0         0
INGRAM MICRO INC CL A                                                X         1          200       0         0
INTEGRA LIFESCIENCES HOLDING                               X                   1          400       0         0
INTEGRATED CIRCUIT SYSTEM, INC.                            X                   3         7700       0         0
INTEGRATED ELECTRICAL SERVICES                             X                   3        78000       0         0
INTEL CORP COM                                                       X         1       293850       0     39585
INTEL CORP COM                                             X                   1       922252       0      8183
INTEL CORP COM                                             X                   2       105693       0         0
INTEL CORP COM                                                       X         3          800       0         0
INTEL CORP COM                                             X                   3       469061       0     17760
INTEL CORP COM                                             X                   3         1795       0         0
INTERACTIVECORP                                                      X         1         7200       0         0
INTERACTIVECORP                                            X                   1        10226       0         0
INTERACTIVECORP                                            X                   3        62900       0         0
INTERGRATED DEVICE TECH INC                                X                   1          500       0         0
INTERNAP DELAWARE INC                                      X                   1        25700       0         0
INTERNAP DELAWARE INC                                      X                   3        32000       0         0
INTERNATIONAL BUSINESS MACHINES                            X                   2        52852       0         0
INTERNATIONAL BUSINESS MACHINES CORP                                 X         1       166773       0     20804
INTERNATIONAL BUSINESS MACHINES CORP                       X                   1       420970       0      4483


                                    16 of 41




                                                                                                    
INTERNATIONAL BUSINESS MACHINES CORP             COMMON STOCK     459200101          599             6792  SHARES
INTERNATIONAL BUSINESS MACHINES CORP             COMMON STOCK     459200101        14411           163488  SHARES
INTERNATIONAL BUSINESS MACHINES CORP             COMMON STOCK     459200101           69              780  SHARES
INTERNATIONAL GAME TECH COM                      COMMON STOCK     459902102           19              500  SHARES
INTERNATIONAL GAME TECH COM                      COMMON STOCK     459902102          120             3100  SHARES
INTERNATIONAL GAME TECHNOLOGY                    COMMON STOCK     459902102          374             9700  SHARES
INTERNATIONAL PAPER CO COM                       COMMON STOCK     460146103          779            17426  SHARES
INTERNATIONAL PAPER CO COM                       COMMON STOCK     460146103         1622            36288  SHARES
INTERNATIONAL RECTIFIER CORP                     COMMON STOCK     460254105          775            18721  SHARES
INTERNATIONAL RECTIFIER CORP                     COMMON STOCK     460254105         7709           186115  SHARES
INTERNATIONAL RECTIFIER CORP                     COMMON STOCK     460254105        10015           241775  SHARES
INTERNATIONAL RECTIFIER CORP                     COMMON STOCK     460254105           35              850  SHARES
INTERNATIONAL SPEEDWAY CORP CL A                 COMMON STOCK     460335201            6              120  SHARES
INTERNATIONAL SPEEDWAY CORP CL A                 COMMON STOCK     460335201          180             3700  SHARES
INTERNATIONAL SPEEDWAY CORP., CLASS A            COMMON STOCK     460335201         1167            24000  SHARES
INTERNET CAPITAL GROUP INC                       COMMON STOCK     46059C205            0                3  SHARES
INTERPUBLIC GROUP COS INC COM                    COMMON STOCK     460690100            3              200  SHARES
INTERPUBLIC GROUP COS INC COM                    COMMON STOCK     460690100          101             7374  SHARES
INTERPUBLIC GROUP COS INC COM                    COMMON STOCK     460690100          667            48615  SHARES
INTERSIL CORP CL A                               COMMON STOCK     46069S109           67             3075  SHARES
INTERSTATE BAKERIES CORP.                        COMMON STOCK     46072H108          346            31900  SHARES
INTERVEST BANCSHARES CORPORATION                 COMMON STOCK     460927106            3              200  SHARES
INTL FLAVORS & FRAGRANCES INC COM                COMMON STOCK     459506101           26              700  SHARES
INTUIT INC COM                                   COMMON STOCK     461202103            6              150  SHARES
INTUIT INC COM                                   COMMON STOCK     461202103          166             4300  SHARES
INTUIT, INC.                                     COMMON STOCK     461202103         1100            28500  SHARES
INVACARE CORP COM                                COMMON STOCK     461203101           18              400  SHARES
INVESTORS FINANCIAL SERVICES CORP                COMMON STOCK     461915100           37              848  SHARES
INVESTORS REAL ESTATE TRUST                      COMMON STOCK     461730103           19             1870  SHARES
INVITROGEN CORP COM                              COMMON STOCK     46185R100           29              400  SHARES
INVITROGEN CORP COM                              COMMON STOCK     46185R100           45              620  SHARES
ISHARES LEHMAN 7-10 YRS TREAS                    COMMON STOCK     464287440           12              150  SHARES
ISHARES MSCI JAPAN INDEX FD                      COMMON STOCK     464286848           27             2500  SHARES
ISHARES MSCI MALAYSIA INDEX FD                   COMMON STOCK     464286830           19             2900  SHARES
ISHARES RUSSELL 2000 VALUE                       COMMON STOCK     464287630           17              100  SHARES
ISHARES S&P 500 BARRA VALUE INDEX FD             COMMON STOCK     464287408           86             1500  SHARES
ISHARES TRUST DOW JONES                          COMMON STOCK     464287721          977            20267  SHARES
ISIS PHARMACEUTICALS COM                         COMMON STOCK     464330109            4              650  SHARES
ISIS PHARMACEUTICALS, INC.                       COMMON STOCK     464330109          606           105500  SHARES
ISTAR                                            COMMON STOCK     45031U101         1456            36395  SHARES
ITLA CAPITAL CORP.                               COMMON STOCK     450565106          312             7700  SHARES
ITT INDUSTRIES INC                               COMMON STOCK     450911102          180             2164  SHARES
ITT INDUSTRIES INC                               COMMON STOCK     450911102          269             3246  SHARES
ITT INDUSTRIES, INC.                             COMMON STOCK     450911102         1021            12300  SHARES
IXIA                                             COMMON STOCK     45071R109          106            10800  SHARES
IXIA                                             COMMON STOCK     45071R109          123            12500  SHARES
J P MORGAN CHASE & CO                            COMMON STOCK     46625H100         6109           157570  SHARES
J P MORGAN CHASE & CO                            COMMON STOCK     46625H100         8694           224251  SHARES
J P MORGAN CHASE & CO                            COMMON STOCK     46625H100          113             2913  SHARES
J P MORGAN CHASE & CO                            COMMON STOCK     46625H100           67             1720  SHARES
JABIL CIRCUIT INC                                COMMON STOCK     466313103          379            15050  SHARES
JABIL CIRCUIT INC                                COMMON STOCK     466313103         1868            74203  SHARES
JABIL CIRCUIT INC                                COMMON STOCK     466313103         1818            72209  SHARES
JACOBS ENGINEERING GROUP INC COM                 COMMON STOCK     469814107           14              350  SHARES
JACOBS ENGINEERING GROUP INC COM                 COMMON STOCK     469814107          130             3300  SHARES
JACOBS ENGINEERING GROUP, INC.                   COMMON STOCK     469814107          874            22200  SHARES
JANUS CAPITAL GROUP INC                          COMMON STOCK     47102X105          706            42800  SHARES
JDS UNIPHASE CORP COM                            COMMON STOCK     46612J101            1              300  SHARES
JDS UNIPHASE CORP COM                            COMMON STOCK     46612J101            6             1661  SHARES
JDS UNIPHASE CORPORATION                         COMMON STOCK     46612J101           38            10150  SHARES
JEFFERSON PILOT CORP COM                         COMMON STOCK     475070108          851            16743  SHARES
JEFFERSON PILOT CORP COM                         COMMON STOCK     475070108          850            16730  SHARES
JM SMUCKER CO                                    COMMON STOCK     832696405          551            11992  SHARES
JM SMUCKER CO                                    COMMON STOCK     832696405          448             9749  SHARES
JOHNSON & JOHNSON COM                            COMMON STOCK     478160104        29199           524223  SHARES
JOHNSON & JOHNSON COM                            COMMON STOCK     478160104        26332           472742  SHARES
JOHNSON & JOHNSON COM                            COMMON STOCK     478160104         1912            34341  SHARES
JOHNSON & JOHNSON COM                            COMMON STOCK     478160104           39              700  SHARES
JOHNSON & JOHNSON COM                            COMMON STOCK     478160104        10708           192230  SHARES
JOHNSON & JOHNSON COM                            COMMON STOCK     478160104           45              800  SHARES
JOHNSON CONTROLS INC COM                         COMMON STOCK     478366107          189             3540  SHARES
JOHNSON CONTROLS INC COM                         COMMON STOCK     478366107          512             9590  SHARES
JONES APPAREL GROUP INC COM                      COMMON STOCK     480074103          509            12900  SHARES
JOS A BANK CLOTHIERS INC                         COMMON STOCK     480838101           18              560  SHARES
JP MORGAN CHASE & COMPANY                        COMMON STOCK     46625H100         3173            81844  SHARES


                                                                                     
INTERNATIONAL BUSINESS MACHINES CORP                                 X         3         4392       0      2400
INTERNATIONAL BUSINESS MACHINES CORP                       X                   3       159588       0      3900
INTERNATIONAL BUSINESS MACHINES CORP                       X                   3          780       0         0
INTERNATIONAL GAME TECH COM                                          X         1            0       0       500
INTERNATIONAL GAME TECH COM                                X                   1         1600       0      1500
INTERNATIONAL GAME TECHNOLOGY                              X                   3         9700       0         0
INTERNATIONAL PAPER CO COM                                           X         1        15015       0      2411
INTERNATIONAL PAPER CO COM                                 X                   1        35688       0       600
INTERNATIONAL RECTIFIER CORP                                         X         1        17366       0      1355
INTERNATIONAL RECTIFIER CORP                               X                   1       183432       0      2683
INTERNATIONAL RECTIFIER CORP                               X                   3       241775       0         0
INTERNATIONAL RECTIFIER CORP                               X                   3          850       0         0
INTERNATIONAL SPEEDWAY CORP CL A                                     X         1          120       0         0
INTERNATIONAL SPEEDWAY CORP CL A                           X                   1         3700       0         0
INTERNATIONAL SPEEDWAY CORP., CLASS A                      X                   3        24000       0         0
INTERNET CAPITAL GROUP INC                                 X                   1            3       0         0
INTERPUBLIC GROUP COS INC COM                                        X         1          200       0         0
INTERPUBLIC GROUP COS INC COM                              X                   1         7374       0         0
INTERPUBLIC GROUP COS INC COM                              X                   3        48615       0         0
INTERSIL CORP CL A                                         X                   1         3075       0         0
INTERSTATE BAKERIES CORP.                                  X                   3        31900       0         0
INTERVEST BANCSHARES CORPORATION                           X                   1          200       0         0
INTL FLAVORS & FRAGRANCES INC COM                          X                   1          700       0         0
INTUIT INC COM                                                       X         1            0       0       150
INTUIT INC COM                                             X                   1         4300       0         0
INTUIT, INC.                                               X                   3        28500       0         0
INVACARE CORP COM                                                    X         1          400       0         0
INVESTORS FINANCIAL SERVICES CORP                          X                   1          848       0         0
INVESTORS REAL ESTATE TRUST                                X                   1         1870       0         0
INVITROGEN CORP COM                                                  X         1            0       0       400
INVITROGEN CORP COM                                        X                   1          620       0         0
ISHARES LEHMAN 7-10 YRS TREAS                                        X         1            0       0       150
ISHARES MSCI JAPAN INDEX FD                                X                   1         2500       0         0
ISHARES MSCI MALAYSIA INDEX FD                                       X         1            0       0      2900
ISHARES RUSSELL 2000 VALUE                                 X                   1          100       0         0
ISHARES S&P 500 BARRA VALUE INDEX FD                       X                   1         1500       0         0
ISHARES TRUST DOW JONES                                    X                   2        20267       0         0
ISIS PHARMACEUTICALS COM                                   X                   1          650       0         0
ISIS PHARMACEUTICALS, INC.                                 X                   3       105500       0         0
ISTAR                                                      X                   2        36395       0         0
ITLA CAPITAL CORP.                                         X                   3         7700       0         0
ITT INDUSTRIES INC                                                   X         1         1364       0       800
ITT INDUSTRIES INC                                         X                   1         3166       0        80
ITT INDUSTRIES, INC.                                       X                   3        12300       0         0
IXIA                                                       X                   1        10800       0         0
IXIA                                                       X                   3        12500       0         0
J P MORGAN CHASE & CO                                                X         1       128720       0     28850
J P MORGAN CHASE & CO                                      X                   1       222751       0      1500
J P MORGAN CHASE & CO                                                X         3         2913       0         0
J P MORGAN CHASE & CO                                      X                   3          200       0      1520
JABIL CIRCUIT INC                                                    X         1        15050       0         0
JABIL CIRCUIT INC                                          X                   1        74203       0         0
JABIL CIRCUIT INC                                          X                   3        62258       0      9951
JACOBS ENGINEERING GROUP INC COM                                     X         1          350       0         0
JACOBS ENGINEERING GROUP INC COM                           X                   1         3300       0         0
JACOBS ENGINEERING GROUP, INC.                             X                   3        22200       0         0
JANUS CAPITAL GROUP INC                                              X         1        42800       0         0
JDS UNIPHASE CORP COM                                                X         1          300       0         0
JDS UNIPHASE CORP COM                                      X                   1         1661       0         0
JDS UNIPHASE CORPORATION                                   X                   2        10150       0         0
JEFFERSON PILOT CORP COM                                             X         1        14493       0      2250
JEFFERSON PILOT CORP COM                                   X                   1        13882       0      2848
JM SMUCKER CO                                                        X         1        10814       0      1178
JM SMUCKER CO                                              X                   1         9749       0         0
JOHNSON & JOHNSON COM                                                X         1       507646       0     16577
JOHNSON & JOHNSON COM                                      X                   1       469037       0      3705
JOHNSON & JOHNSON COM                                      X                   2        34341       0         0
JOHNSON & JOHNSON COM                                                X         3          700       0         0
JOHNSON & JOHNSON COM                                      X                   3       191330       0       900
JOHNSON & JOHNSON COM                                      X                   3          800       0         0
JOHNSON CONTROLS INC COM                                             X         1         2740       0       800
JOHNSON CONTROLS INC COM                                   X                   1         9590       0         0
JONES APPAREL GROUP INC COM                                          X         1        12700       0       200
JOS A BANK CLOTHIERS INC                                   X                   1          560       0         0
JP MORGAN CHASE & COMPANY                                  X                   2        81844       0         0


                                    17 of 41




                                                                                                    
JUNIPER NETWORKS INC COM                         COMMON STOCK     48203R104          103             4200  SHARES
JUNIPER NETWORKS, INC.                           COMMON STOCK     48203R104          722            29400  SHARES
JUPITERMEDIA CORP.                               COMMON STOCK     48207D101          143            10100  SHARES
KANSAS LIFE INS CO COM                           COMMON STOCK     484836101          168             4000  SHARES
KB HOME COM                                      COMMON STOCK     48666K109           54              781  SHARES
KCS ENERGY INC                                   COMMON STOCK     482434206           93             7000  SHARES
KELLOGG CO COM                                   COMMON STOCK     487836108          826            19747  SHARES
KELLOGG CO COM                                   COMMON STOCK     487836108         1446            34546  SHARES
KENNETH COLE PRODUCTIONS, INC., CLASS A          COMMON STOCK     193294105          785            22900  SHARES
KERR MCGEE CORP                                  COMMON STOCK     492386107           27              500  SHARES
KERR MCGEE CORP                                  COMMON STOCK     492386107           69             1283  SHARES
KERR MCGEE CORP                                  COMMON STOCK     492386107            6              117  SHARES
KEYCORP NEW COM                                  COMMON STOCK     493267108          295             9867  SHARES
KEYCORP NEW COM                                  COMMON STOCK     493267108         1019            34076  SHARES
KEYCORP NEW COM                                  COMMON STOCK     493267108         1097            36700  SHARES
KEYCORP-NEW                                      COMMON STOCK     493267108          347            11600  SHARES
KEYSPAN CORP COM                                 COMMON STOCK     49337W100          170             4627  SHARES
KEYSPAN CORP COM                                 COMMON STOCK     49337W100           99             2709  SHARES
KFX INCORPORATED                                 COMMON STOCK     48245L107           14            10000  SHARES
KIMBERLY CLARK CORP                              COMMON STOCK     494368103         5075            77035  SHARES
KIMBERLY CLARK CORP                              COMMON STOCK     494368103         6062            92019  SHARES
KIMBERLY CLARK CORP                              COMMON STOCK     494368103            7              110  SHARES
KIMBERLY CLARK CORPORATION                       COMMON STOCK     494368103          461             7000  SHARES
KIMBERLY-CLARK CORP.                             COMMON STOCK     494368103         1091            16565  SHARES
KIMCO REALTY CORP (REIT)                         COMMON STOCK     49446R109           20              450  SHARES
KINDER MORGAN ENERGY PARTNERS LP                 COMMON STOCK     494550106           81             2000  SHARES
KINDER MORGAN ENERGY PARTNERS LP                 COMMON STOCK     494550106          154             3780  SHARES
KINDER MORGAN INC COM                            COMMON STOCK     49455P101           83             1400  SHARES
KINDER MORGAN INC COM                            COMMON STOCK     49455P101           71             1200  SHARES
KINDER MORGAN INC COM                            COMMON STOCK     49455P101            6              100  SHARES
KING PHARMACEUTICALS INC COM                     COMMON STOCK     495582108           14             1200  SHARES
KNIGHT RIDDER INC                                COMMON STOCK     499040103           29              400  SHARES
KNIGHT TRADING GROUP, INC.                       COMMON STOCK     499063105          373            37200  SHARES
KOHLS CORP COM                                   COMMON STOCK     500255104          103             2440  SHARES
KOHLS CORP COM                                   COMMON STOCK     500255104          281             6650  SHARES
KOSAN BIOSCIENCES, INC.                          COMMON STOCK     50064W107          146            18500  SHARES
KRAFT FOODS INC CL A                             COMMON STOCK     50075N104          465            14675  SHARES
KRAFT FOODS INC CL A                             COMMON STOCK     50075N104         2356            74364  SHARES
KRAFT FOODS INC CL A                             COMMON STOCK     50075N104           73             2300  SHARES
KRAMONT REALTY TRUST (REIT)                      COMMON STOCK     50075Q107          112             7000  SHARES
KRISPY KREME DOUGHNUTS INC COM                   COMMON STOCK     501014104            2              100  SHARES
KROGER CO                                        COMMON STOCK     501044101           99             5450  SHARES
KROGER CO                                        COMMON STOCK     501044101          826            45392  SHARES
KROGER CO                                        COMMON STOCK     501044101            5              250  SHARES
KRONOS INCORPORATED                              COMMON STOCK     501052104           12              300  SHARES
KULICKE & SOFFA INDUSTRIES INC                   COMMON STOCK     501242101           87             7900  SHARES
KULICKE & SOFFA INDUSTRIES INC                   COMMON STOCK     501242101          600            54800  SHARES
LA JOLLA PHARMACEUTICAL CO.                      COMMON STOCK     503459109          261           107600  SHARES
LABOR READY, INC.                                COMMON STOCK     505401208          391            25200  SHARES
LABORATORY CORPORATION OF AMER HLDGS             COMMON STOCK     50540R409         1919            48340  SHARES
LABORATORY CRP OF AMER HLDGS COM NEW             COMMON STOCK     50540R409          181             4570  SHARES
LABORATORY CRP OF AMER HLDGS COM NEW             COMMON STOCK     50540R409            4              100  SHARES
LAMAR ADVERTISING CO COM                         COMMON STOCK     512815101            9              200  SHARES
LANDAMERICA FINANCIAL GROUP, INC.                COMMON STOCK     514936103          642            16500  SHARES
LANDRYS SEAFOOD RESTAURANTS, INC.                COMMON STOCK     51508L103          804            26900  SHARES
LARGE SCALE BIOLOGY CORP COM                     COMMON STOCK     517053104            3             2000  SHARES
LATTICE SEMICONDUCTOR CORP.                      COMMON STOCK     518415104         2169           309400  SHARES
LAUDER ESTEE CO CL A                             COMMON STOCK     518439104          279             5725  SHARES
LAUDER ESTEE CO CL A                             COMMON STOCK     518439104         6810           139605  SHARES
LAUDER ESTEE CO CL A                             COMMON STOCK     518439104        11071           226968  SHARES
LAUDER ESTEE CO CL A                             COMMON STOCK     518439104           52             1075  SHARES
LAUREATE EDUCATION INC                           COMMON STOCK     518613104           61             1600  SHARES
LAUREATE EDUCATION INC                           COMMON STOCK     518613104           69             1800  SHARES
LEAR CORP                                        COMMON STOCK     521865105         1346            22812  SHARES
LEAR CORP                                        COMMON STOCK     521865105         6908           117104  SHARES
LEAR CORP                                        COMMON STOCK     521865105           65             1100  SHARES
LEAR CORP                                        COMMON STOCK     521865105         6501           110208  SHARES
LEAR CORP                                        COMMON STOCK     521865105           18              300  SHARES
LEESPORT FINANCIAL CORP                          COMMON STOCK     524477106           62             2696  SHARES
LEGG MASON INC                                   COMMON STOCK     524901105           59              650  SHARES
LEGG MASON INC                                   COMMON STOCK     524901105          115             1265  SHARES
LEGGETT & PLATT INC                              COMMON STOCK     524660107           72             2700  SHARES
LEGGETT AND PLATT, INC.                          COMMON STOCK     524660107          489            18300  SHARES
LEHMAN BROTHERS HLDGS INC COM                    COMMON STOCK     524908100          163             2160  SHARES
LEHMAN BROTHERS HLDGS INC COM                    COMMON STOCK     524908100          555             7379  SHARES


                                                                                     
JUNIPER NETWORKS INC COM                                   X                   1         4200       0         0
JUNIPER NETWORKS, INC.                                     X                   3        29400       0         0
JUPITERMEDIA CORP.                                         X                   3        10100       0         0
KANSAS LIFE INS CO COM                                               X         1         4000       0         0
KB HOME COM                                                X                   1          781       0         0
KCS ENERGY INC                                             X                   1            0       0      7000
KELLOGG CO COM                                                       X         1        17350       0      2397
KELLOGG CO COM                                             X                   1        34546       0         0
KENNETH COLE PRODUCTIONS, INC., CLASS A                    X                   3        22900       0         0
KERR MCGEE CORP                                                      X         1          500       0         0
KERR MCGEE CORP                                            X                   1          483       0       800
KERR MCGEE CORP                                            X                   3          117       0         0
KEYCORP NEW COM                                                      X         1         9317       0       550
KEYCORP NEW COM                                            X                   1        34076       0         0
KEYCORP NEW COM                                                      X         3        35700       0      1000
KEYCORP-NEW                                                X                   2        11600       0         0
KEYSPAN CORP COM                                                     X         1         4027       0       600
KEYSPAN CORP COM                                           X                   1         2609       0       100
KFX INCORPORATED                                           X                   2        10000       0         0
KIMBERLY CLARK CORP                                                  X         1        52710       0     24325
KIMBERLY CLARK CORP                                        X                   1        91629       0       390
KIMBERLY CLARK CORP                                        X                   3          110       0         0
KIMBERLY CLARK CORPORATION                                 X                   2         7000       0         0
KIMBERLY-CLARK CORP.                                       X                   3        16565       0         0
KIMCO REALTY CORP (REIT)                                             X         1          450       0         0
KINDER MORGAN ENERGY PARTNERS LP                                     X         1            0       0      2000
KINDER MORGAN ENERGY PARTNERS LP                           X                   1         3780       0         0
KINDER MORGAN INC COM                                                X         1         1400       0         0
KINDER MORGAN INC COM                                      X                   1          200       0      1000
KINDER MORGAN INC COM                                      X                   3          100       0         0
KING PHARMACEUTICALS INC COM                               X                   1         1200       0         0
KNIGHT RIDDER INC                                          X                   1          400       0         0
KNIGHT TRADING GROUP, INC.                                 X                   3        37200       0         0
KOHLS CORP COM                                                       X         1         2440       0         0
KOHLS CORP COM                                             X                   1         6650       0         0
KOSAN BIOSCIENCES, INC.                                    X                   3        18500       0         0
KRAFT FOODS INC CL A                                                 X         1        13975       0       700
KRAFT FOODS INC CL A                                       X                   1        74104       0       260
KRAFT FOODS INC CL A                                                 X         3         2300       0         0
KRAMONT REALTY TRUST (REIT)                                          X         1         7000       0         0
KRISPY KREME DOUGHNUTS INC COM                             X                   1          100       0         0
KROGER CO                                                            X         1         4950       0       500
KROGER CO                                                  X                   1        45392       0         0
KROGER CO                                                  X                   3          250       0         0
KRONOS INCORPORATED                                        X                   1          300       0         0
KULICKE & SOFFA INDUSTRIES INC                             X                   1         7900       0         0
KULICKE & SOFFA INDUSTRIES INC                             X                   3        54800       0         0
LA JOLLA PHARMACEUTICAL CO.                                X                   3       107600       0         0
LABOR READY, INC.                                          X                   3        25200       0         0
LABORATORY CORPORATION OF AMER HLDGS                       X                   2        48340       0         0
LABORATORY CRP OF AMER HLDGS COM NEW                                 X         1         4470       0       100
LABORATORY CRP OF AMER HLDGS COM NEW                       X                   1          100       0         0
LAMAR ADVERTISING CO COM                                             X         1          200       0         0
LANDAMERICA FINANCIAL GROUP, INC.                          X                   3        16500       0         0
LANDRYS SEAFOOD RESTAURANTS, INC.                          X                   3        26900       0         0
LARGE SCALE BIOLOGY CORP COM                               X                   1         2000       0         0
LATTICE SEMICONDUCTOR CORP.                                X                   3       309400       0         0
LAUDER ESTEE CO CL A                                                 X         1         4425       0      1300
LAUDER ESTEE CO CL A                                       X                   1       136860       0      2745
LAUDER ESTEE CO CL A                                       X                   3       226968       0         0
LAUDER ESTEE CO CL A                                       X                   3         1075       0         0
LAUREATE EDUCATION INC                                     X                   1         1600       0         0
LAUREATE EDUCATION INC                                     X                   3         1800       0         0
LEAR CORP                                                            X         1        22262       0       550
LEAR CORP                                                  X                   1       116139       0       965
LEAR CORP                                                            X         3         1100       0         0
LEAR CORP                                                  X                   3       106173       0      4035
LEAR CORP                                                  X                   3          300       0         0
LEESPORT FINANCIAL CORP                                    X                   1         2696       0         0
LEGG MASON INC                                                       X         1          650       0         0
LEGG MASON INC                                             X                   1         1265       0         0
LEGGETT & PLATT INC                                        X                   1         2700       0         0
LEGGETT AND PLATT, INC.                                    X                   3        18300       0         0
LEHMAN BROTHERS HLDGS INC COM                                        X         1         2160       0         0
LEHMAN BROTHERS HLDGS INC COM                              X                   1         7379       0         0


                                    18 of 41




                                                                                                    
LEHMAN BROTHERS HLDGS INC COM                    COMMON STOCK     524908100           90             1200  SHARES
LEUCADIA NATL CORP COM                           COMMON STOCK     527288104            5               93  SHARES
LEVEL 3 COMMUNICATIONS INCORPORATED              COMMON STOCK     52729N100           88            25000  SHARES
LEVITT CORP.                                     COMMON STOCK     52742P108          346            13425  SHARES
LEXINGTON CORP PROPERTIES TR (REIT)              COMMON STOCK     529043101           30             1482  SHARES
LEXINGTON CORP PROPERTIES TR (REIT)              COMMON STOCK     529043101           14              700  SHARES
LEXMARK INTL INC CL A                            COMMON STOCK     529771107           10              100  SHARES
LEXMARK INTL INC CL A                            COMMON STOCK     529771107           33              340  SHARES
LIBERTY MEDIA CORP                               COMMON STOCK     530719202           53             1300  SHARES
LIBERTY MEDIA CORP -B                            COMMON STOCK     530718204          260            26000  SHARES
LIBERTY MEDIA CORP CL A                          COMMON STOCK     530718105         1063           118225  SHARES
LIBERTY MEDIA CORP CL A                          COMMON STOCK     530718105         4911           546327  SHARES
LIBERTY MEDIA CORP CL A                          COMMON STOCK     530718105         7815           869292  SHARES
LIBERTY MEDIA CORP CL A                          COMMON STOCK     530718105           36             4000  SHARES
LIBERTY MEDIA INTL INC-A                         COMMON STOCK     530719103          212             5701  SHARES
LIBERTY MEDIA INTL INC-A                         COMMON STOCK     530719103          438            11795  SHARES
LIBERTY MEDIA INTL INC-A                         COMMON STOCK     530719103            1               15  SHARES
LIBERTY MEDIA INTL INC-A                         COMMON STOCK     530719103            7              200  SHARES
LIFEPOINT HOSPITALS, INC.                        COMMON STOCK     53219L109          186             5000  SHARES
LILLY ELI & CO                                   COMMON STOCK     532457108         8603           123061  SHARES
LILLY ELI & CO                                   COMMON STOCK     532457108         8291           118592  SHARES
LILLY ELI & CO                                   COMMON STOCK     532457108         1489            21298  SHARES
LILLY ELI & CO                                   COMMON STOCK     532457108            7              100  SHARES
LINCARE HOLDINGS INC COM                         COMMON STOCK     532791100            3              100  SHARES
LINCOLN NATL CORP IND                            COMMON STOCK     534187109          854            18070  SHARES
LINCOLN NATL CORP IND                            COMMON STOCK     534187109         5509           116601  SHARES
LINCOLN NATL CORP IND                            COMMON STOCK     534187109        10241           216748  SHARES
LINCOLN NATL CORP IND                            COMMON STOCK     534187109           44              925  SHARES
LINEAR TECHNOLOGY CORP COM                       COMMON STOCK     535678106           13              323  SHARES
LIONBRIDGE TECHNOLOGIES, INC.                    COMMON STOCK     536252109          316            41300  SHARES
LIVEPERSON, INC.                                 COMMON STOCK     538146101          124            41300  SHARES
LIZ CLAIBORNE INC                                COMMON STOCK     539320101           57             1594  SHARES
LIZ CLAIBORNE INC                                COMMON STOCK     539320101          133             3686  SHARES
LIZ CLAIBORNE INC                                COMMON STOCK     539320101           72             2000  SHARES
LIZ CLAIBORNE, INC.                              COMMON STOCK     539320101          590            16400  SHARES
LJ INTERNATIONAL INC                             COMMON STOCK     G55312105           37            10000  SHARES
LJ INTERNATIONAL INC                             COMMON STOCK     G55312105           46            12500  SHARES
LOCKHEED MARTIN CORPORATION                      COMMON STOCK     539830109          771            14800  SHARES
LOCKHEED MARTIN CORPORATION COM                  COMMON STOCK     539830109          854            16407  SHARES
LOCKHEED MARTIN CORPORATION COM                  COMMON STOCK     539830109         8092           155375  SHARES
LOCKHEED MARTIN CORPORATION COM                  COMMON STOCK     539830109         7785           149482  SHARES
LOCKHEED MARTIN CORPORATION COM                  COMMON STOCK     539830109           34              650  SHARES
LOEWS CORP COM                                   COMMON STOCK     540424108           24              400  SHARES
LOEWS CORP-CAROLINA GROUP                        COMMON STOCK     540424207           74             3000  SHARES
LONE STAR STEAKHOUSE & SALOON                    COMMON STOCK     542307103          954            35100  SHARES
LOUISIANA PAC CORP                               COMMON STOCK     546347105           47             2004  SHARES
LOWES COS INC COM                                COMMON STOCK     548661107          631            12015  SHARES
LOWES COS INC COM                                COMMON STOCK     548661107         2189            41663  SHARES
LOWES COS INC COM                                COMMON STOCK     548661107           37              700  SHARES
LSI LOGIC CORP COM                               COMMON STOCK     502161102            2              200  SHARES
LSI LOGIC CORP COM                               COMMON STOCK     502161102            2              237  SHARES
LUBRIZOL CORP                                    COMMON STOCK     549271104          731            19965  SHARES
LUBRIZOL CORP                                    COMMON STOCK     549271104          121             3300  SHARES
LUBRIZOL CORP                                    COMMON STOCK     549271104           73             2000  SHARES
LUBRIZOL CORP.                                   COMMON STOCK     549271104          703            19200  SHARES
LUCENT TECHNOLOGIES INC COM                      COMMON STOCK     549463107          288            76140  SHARES
LUCENT TECHNOLOGIES INC COM                      COMMON STOCK     549463107          778           205951  SHARES
LUCENT TECHNOLOGIES INC COM                      COMMON STOCK     549463107           12             3144  SHARES
LUCENT TECHNOLOGIES INC COM                      COMMON STOCK     549463107         1134           300330  SHARES
LUCENT TECHNOLOGIES INCORPORATED                 COMMON STOCK     549463107          192            50758  SHARES
LYONDELL CHEMICAL COMPANY COM                    COMMON STOCK     552078107            4              250  SHARES
M & T BANK CORP COM                              COMMON STOCK     55261F104        17213           197169  SHARES
M & T BANK CORP COM                              COMMON STOCK     55261F104        56321           645141  SHARES
M.D.C. HOLDINGS, INC.                            COMMON STOCK     552676108          509             8000  SHARES
M/I SCHOTTENSTEIN HOMES, INC.                    COMMON STOCK     55305B101          950            23400  SHARES
MACROVISION CORP.                                COMMON STOCK     555904101          939            37500  SHARES
MAF BANCORP INC COM                              COMMON STOCK     55261R108           78             1821  SHARES
MAGELAN MIDSTREAM PARTNERS LP                    COMMON STOCK     559080106          320             6300  SHARES
MAGNA INTERNATIONAL, INC., CLASS A               COMMON STOCK     559222401         1942            22800  SHARES
MAGNUM HUNTER RESOURCES INCORPORATED             COMMON STOCK     55972F203           31             3000  SHARES
MANOR CARE INC COM                               COMMON STOCK     564055101          163             5000  SHARES
MARATHON OIL CORP                                COMMON STOCK     565849106          339             8955  SHARES
MARATHON OIL CORP                                COMMON STOCK     565849106         1515            40035  SHARES
MARATHON OIL CORP                                COMMON STOCK     565849106           12              310  SHARES
MARKEL CORP COM                                  COMMON STOCK     570535104           28              100  SHARES


                                                                                    
LEHMAN BROTHERS HLDGS INC COM                                        X            3      1200       0         0
LEUCADIA NATL CORP COM                                     X                      1        93       0         0
LEVEL 3 COMMUNICATIONS INCORPORATED                        X                      2     25000       0         0
LEVITT CORP.                                               X                      3     13425       0         0
LEXINGTON CORP PROPERTIES TR (REIT)                                  X            1      1482       0         0
LEXINGTON CORP PROPERTIES TR (REIT)                        X                      1       700       0         0
LEXMARK INTL INC CL A                                                X            1       100       0         0
LEXMARK INTL INC CL A                                      X                      1       340       0         0
LIBERTY MEDIA CORP                                                   X            1      1300       0         0
LIBERTY MEDIA CORP -B                                                X            1     26000       0         0
LIBERTY MEDIA CORP CL A                                              X            1    116825       0      1400
LIBERTY MEDIA CORP CL A                                    X                      1    545607       0       720
LIBERTY MEDIA CORP CL A                                    X                      3    869292       0         0
LIBERTY MEDIA CORP CL A                                    X                      3      4000       0         0
LIBERTY MEDIA INTL INC-A                                             X            1      5631       0        70
LIBERTY MEDIA INTL INC-A                                   X                      1     11795       0         0
LIBERTY MEDIA INTL INC-A                                   X                      3        15       0         0
LIBERTY MEDIA INTL INC-A                                   X                      3       200       0         0
LIFEPOINT HOSPITALS, INC.                                  X                      3      5000       0         0
LILLY ELI & CO                                                       X            1    119761       0      3300
LILLY ELI & CO                                             X                      1    118342       0       250
LILLY ELI & CO                                             X                      3     15967       0      5331
LILLY ELI & CO                                             X                      3       100       0         0
LINCARE HOLDINGS INC COM                                             X            1       100       0         0
LINCOLN NATL CORP IND                                                X            1     17505       0       565
LINCOLN NATL CORP IND                                      X                      1    115146       0      1455
LINCOLN NATL CORP IND                                      X                      3    216748       0         0
LINCOLN NATL CORP IND                                      X                      3       925       0         0
LINEAR TECHNOLOGY CORP COM                                 X                      1       323       0         0
LIONBRIDGE TECHNOLOGIES, INC.                              X                      3     41300       0         0
LIVEPERSON, INC.                                           X                      3     41300       0         0
LIZ CLAIBORNE INC                                                    X            1      1594       0         0
LIZ CLAIBORNE INC                                          X                      1      3686       0         0
LIZ CLAIBORNE INC                                                    X            3      2000       0         0
LIZ CLAIBORNE, INC.                                        X                      3     16400       0         0
LJ INTERNATIONAL INC                                       X                      1     10000       0         0
LJ INTERNATIONAL INC                                       X                      3     12500       0         0
LOCKHEED MARTIN CORPORATION                                X                      2     14800       0         0
LOCKHEED MARTIN CORPORATION COM                                      X            1     16182       0       225
LOCKHEED MARTIN CORPORATION COM                            X                      1    153450       0      1925
LOCKHEED MARTIN CORPORATION COM                            X                      3    149482       0         0
LOCKHEED MARTIN CORPORATION COM                            X                      3       650       0         0
LOEWS CORP COM                                                       X            1       400       0         0
LOEWS CORP-CAROLINA GROUP                                  X                      1      3000       0         0
LONE STAR STEAKHOUSE & SALOON                              X                      3     35100       0         0
LOUISIANA PAC CORP                                                   X            1         0       0      2004
LOWES COS INC COM                                                    X            1     11715       0       300
LOWES COS INC COM                                          X                      1     41663       0         0
LOWES COS INC COM                                          X                      3         0       0       700
LSI LOGIC CORP COM                                                   X            1       200       0         0
LSI LOGIC CORP COM                                         X                      1       237       0         0
LUBRIZOL CORP                                                        X            1     19965       0         0
LUBRIZOL CORP                                              X                      1      3300       0         0
LUBRIZOL CORP                                                        X            3      2000       0         0
LUBRIZOL CORP.                                             X                      3     19200       0         0
LUCENT TECHNOLOGIES INC COM                                          X            1     72428       0      3712
LUCENT TECHNOLOGIES INC COM                                X                      1    205423       0       528
LUCENT TECHNOLOGIES INC COM                                          X            3      3144       0         0
LUCENT TECHNOLOGIES INC COM                                X                      3    298794       0      1536
LUCENT TECHNOLOGIES INCORPORATED                           X                      2     50758       0         0
LYONDELL CHEMICAL COMPANY COM                              X                      1       250       0         0
M & T BANK CORP COM                                                  X            1     40456       0    156713
M & T BANK CORP COM                                        X                      1    644891       0       250
M.D.C. HOLDINGS, INC.                                      X                      3      8000       0         0
M/I SCHOTTENSTEIN HOMES, INC.                              X                      3     23400       0         0
MACROVISION CORP.                                          X                      3     37500       0         0
MAF BANCORP INC COM                                        X                      1      1821       0         0
MAGELAN MIDSTREAM PARTNERS LP                              X                      2      6300       0         0
MAGNA INTERNATIONAL, INC., CLASS A                         X                      3     22800       0         0
MAGNUM HUNTER RESOURCES INCORPORATED                                 X            1         0       0      3000
MANOR CARE INC COM                                                   X            1      5000       0         0
MARATHON OIL CORP                                                    X            1      7655       0      1300
MARATHON OIL CORP                                          X                      1     40035       0         0
MARATHON OIL CORP                                          X                      3       310       0         0
MARKEL CORP COM                                            X                      1       100       0         0


                                    19 of 41




                                                                                                    
MARRIOTT INTL INC CL A                           COMMON STOCK     571903202           10              200  SHARES
MARRIOTT INTL INC CL A                           COMMON STOCK     571903202           37              750  SHARES
MARSH & MCLENNAN COS INC COM                     COMMON STOCK     571748102         1865            41094  SHARES
MARSH & MCLENNAN COS INC COM                     COMMON STOCK     571748102         1663            36656  SHARES
MARSH & MCLENNAN COS INC COM                     COMMON STOCK     571748102         1305            28750  SHARES
MARSHALL & ILSLEY CO COM                         COMMON STOCK     571834100          297             7600  SHARES
MARSHALL & ILSLEY CO COM                         COMMON STOCK     571834100          367             9400  SHARES
MARSHALL & ILSLEY CO COM                         COMMON STOCK     571834100          141             3600  SHARES
MARTHA STEWART LIVING-CL A                       COMMON STOCK     573083102            0                1  SHARES
MARTIN MARIETTA MATERIALS INC                    COMMON STOCK     573284106           24              550  SHARES
MARVEL ENTERPRISES, INC.                         COMMON STOCK     57383M108          492            25200  SHARES
MASCO CORP                                       COMMON STOCK     574599106          466            14950  SHARES
MASCO CORP                                       COMMON STOCK     574599106          451            14450  SHARES
MASCO CORP                                       COMMON STOCK     574599106           81             2600  SHARES
MASSEY ENERGY CO COM                             COMMON STOCK     576206106           51             1800  SHARES
MASSEY ENERGY CO COM                             COMMON STOCK     576206106          138             4900  SHARES
MASSEY ENERGY CO COM                             COMMON STOCK     576206106           93             3300  SHARES
MASTEC, INC.                                     COMMON STOCK     576323109          465            85600  SHARES
MATTEL INC                                       COMMON STOCK     577081102         1003            54978  SHARES
MATTEL INC                                       COMMON STOCK     577081102         5152           282301  SHARES
MATTEL INC                                       COMMON STOCK     577081102         6820           373679  SHARES
MATTEL INC                                       COMMON STOCK     577081102           33             1815  SHARES
MAXIM INTEGRATED PRODS INC COM                   COMMON STOCK     57772K101           17              331  SHARES
MAXTOR CORP.                                     COMMON STOCK     577729205          725           109300  SHARES
MAY DEPT STORES & CO COM                         COMMON STOCK     577778103          135             4929  SHARES
MAY DEPT STORES & CO COM                         COMMON STOCK     577778103          424            15422  SHARES
MAYTAG CORP.                                     COMMON STOCK     578592107         1598            65200  SHARES
MAYTAG CORPORATION                               COMMON STOCK     578592107           28             1150  SHARES
MAYTAG CORPORATION                               COMMON STOCK     578592107          326            13282  SHARES
MBNA CORP COM                                    COMMON STOCK     55262L100          846            32805  SHARES
MBNA CORP COM                                    COMMON STOCK     55262L100          947            36735  SHARES
MC GRAW HILL COMPANIES INC                       COMMON STOCK     580645109         1198            15640  SHARES
MC GRAW HILL COMPANIES INC                       COMMON STOCK     580645109          676             8830  SHARES
MCCORMICK & CO INC                               COMMON STOCK     579780107            9              262  SHARES
MCCORMICK & CO-NON VTG SHS                       COMMON STOCK     579780206          143             4200  SHARES
MCCORMICK & CO-NON VTG SHS                       COMMON STOCK     579780206          895            26324  SHARES
MCDATA CORP                                      COMMON STOCK     580031201            4              729  SHARES
MCDATA CORP                                      COMMON STOCK     580031201            8             1512  SHARES
MCDONALDS CORP COM                               COMMON STOCK     580135101         1202            46224  SHARES
MCDONALDS CORP COM                               COMMON STOCK     580135101         1424            54758  SHARES
MCDONALDS CORP COM                               COMMON STOCK     580135101           62             2400  SHARES
MCG CAPITAL CORPORATION                          COMMON STOCK     58047P107           15             1000  SHARES
MCGRAW-HILL COS., INC.                           COMMON STOCK     580645109         1501            19600  SHARES
MCKESSON CORPORATION COM                         COMMON STOCK     58155Q103          218             6360  SHARES
MCKESSON CORPORATION COM                         COMMON STOCK     58155Q103          113             3300  SHARES
MCMORAN EXPLORATION CO                           COMMON STOCK     582411104            2              125  SHARES
MCMORAN EXPLORATION CO                           COMMON STOCK     582411104            2              125  SHARES
MEADWESTVACO CORP                                COMMON STOCK     583334107          114             3865  SHARES
MECHANICAL TECHNOLOGY INC COM                    COMMON STOCK     583538103            5              800  SHARES
MEDAREX INC                                      COMMON STOCK     583916101           73            10000  SHARES
MEDAREX INC                                      COMMON STOCK     583916101          869           119200  SHARES
MEDCO HEALTH SOLUTIONS INC                       COMMON STOCK     58405U102         1308            34876  SHARES
MEDCO HEALTH SOLUTIONS INC                       COMMON STOCK     58405U102          565            15067  SHARES
MEDCO HEALTH SOLUTIONS INC                       COMMON STOCK     58405U102           34              909  SHARES
MEDICINES CO.                                    COMMON STOCK     584688105          708            23200  SHARES
MEDIMMUNE INC COM                                COMMON STOCK     584699102           11              475  SHARES
MEDTRONIC INC                                    COMMON STOCK     585055106         2511            51534  SHARES
MEDTRONIC INC                                    COMMON STOCK     585055106        12125           248881  SHARES
MEDTRONIC INC                                    COMMON STOCK     585055106         9014           185028  SHARES
MEDTRONIC INC                                    COMMON STOCK     585055106        11115           228132  SHARES
MEDTRONIC INC                                    COMMON STOCK     585055106           56             1155  SHARES
MELLON FINANCIAL CORP                            COMMON STOCK     58551A108          172             5872  SHARES
MELLON FINANCIAL CORP                            COMMON STOCK     58551A108         1957            66717  SHARES
MEMBERWORKS, INC.                                COMMON STOCK     586002107          743            25100  SHARES
MENTOR CORP MINN COM                             COMMON STOCK     587188103           14              400  SHARES
MENTOR GRAPHICS CORP.                            COMMON STOCK     587200106          190            12300  SHARES
MERCANTILE BANKSHARES CORP                       COMMON STOCK     587405101         3581            76491  SHARES
MERCANTILE BANKSHARES CORP                       COMMON STOCK     587405101          355             7588  SHARES
MERCANTILE BANKSHARES CORP                       COMMON STOCK     587405101          112             2400  SHARES
MERCK & CO INC COM                               COMMON STOCK     589331107        18710           393899  SHARES
MERCK & CO INC COM                               COMMON STOCK     589331107        19596           412547  SHARES
MERCK & CO INC COM                               COMMON STOCK     589331107          358             7545  SHARES
MERCK & CO INC COM                               COMMON STOCK     589331107         8532           179596  SHARES
MERCK & CO INC COM                               COMMON STOCK     589331107           33              700  SHARES
MERCK & COMPANY INCORPORATED                     COMMON STOCK     589331107          590            12423  SHARES


                                                                                     
MARRIOTT INTL INC CL A                                               X            1       200       0         0
MARRIOTT INTL INC CL A                                     X                      1       750       0         0
MARSH & MCLENNAN COS INC COM                                         X            1     41094       0         0
MARSH & MCLENNAN COS INC COM                               X                      1     36656       0         0
MARSH & MCLENNAN COS INC COM                               X                      2     28750       0         0
MARSHALL & ILSLEY CO COM                                             X            1      7600       0         0
MARSHALL & ILSLEY CO COM                                   X                      1      9400       0         0
MARSHALL & ILSLEY CO COM                                             X            3         0       0      3600
MARTHA STEWART LIVING-CL A                                 X                      1         1       0         0
MARTIN MARIETTA MATERIALS INC                              X                      1       550       0         0
MARVEL ENTERPRISES, INC.                                   X                      3     25200       0         0
MASCO CORP                                                           X            1     14950       0         0
MASCO CORP                                                 X                      1     14450       0         0
MASCO CORP                                                           X            3      2600       0         0
MASSEY ENERGY CO COM                                                 X            1      1800       0         0
MASSEY ENERGY CO COM                                       X                      1      4900       0         0
MASSEY ENERGY CO COM                                       X                      3      3300       0         0
MASTEC, INC.                                               X                      3     85600       0         0
MATTEL INC                                                           X            1     52486       0      2492
MATTEL INC                                                 X                      1    277807       0      4494
MATTEL INC                                                 X                      3    373679       0         0
MATTEL INC                                                 X                      3      1815       0         0
MAXIM INTEGRATED PRODS INC COM                             X                      1       331       0         0
MAXTOR CORP.                                               X                      3    109300       0         0
MAY DEPT STORES & CO COM                                             X            1      4179       0       750
MAY DEPT STORES & CO COM                                   X                      1     15422       0         0
MAYTAG CORP.                                               X                      3     65200       0         0
MAYTAG CORPORATION                                                   X            1      1150       0         0
MAYTAG CORPORATION                                         X                      1     13282       0         0
MBNA CORP COM                                                        X            1     32805       0         0
MBNA CORP COM                                              X                      1     36735       0         0
MC GRAW HILL COMPANIES INC                                           X            1     11840       0      3800
MC GRAW HILL COMPANIES INC                                 X                      1      8830       0         0
MCCORMICK & CO INC                                         X                      1       262       0         0
MCCORMICK & CO-NON VTG SHS                                           X            1      4200       0         0
MCCORMICK & CO-NON VTG SHS                                 X                      1     26324       0         0
MCDATA CORP                                                          X            1       729       0         0
MCDATA CORP                                                X                      1      1512       0         0
MCDONALDS CORP COM                                                   X            1     38916       0      7308
MCDONALDS CORP COM                                         X                      1     54758       0         0
MCDONALDS CORP COM                                         X                      2      2400       0         0
MCG CAPITAL CORPORATION                                              X            1      1000       0         0
MCGRAW-HILL COS., INC.                                     X                      3     19600       0         0
MCKESSON CORPORATION COM                                             X            1      6360       0         0
MCKESSON CORPORATION COM                                   X                      1      3300       0         0
MCMORAN EXPLORATION CO                                               X            1       125       0         0
MCMORAN EXPLORATION CO                                     X                      1       125       0         0
MEADWESTVACO CORP                                          X                      1      3865       0         0
MECHANICAL TECHNOLOGY INC COM                              X                      1       800       0         0
MEDAREX INC                                                X                      1     10000       0         0
MEDAREX INC                                                X                      3    119200       0         0
MEDCO HEALTH SOLUTIONS INC                                           X            1     29685       0      5191
MEDCO HEALTH SOLUTIONS INC                                 X                      1     15067       0         0
MEDCO HEALTH SOLUTIONS INC                                           X            3       789       0       120
MEDICINES CO.                                              X                      3     23200       0         0
MEDIMMUNE INC COM                                          X                      1       475       0         0
MEDTRONIC INC                                                        X            1     40246       0     11288
MEDTRONIC INC                                              X                      1    245237       0      3644
MEDTRONIC INC                                              X                      2    185028       0         0
MEDTRONIC INC                                              X                      3    224416       0      3716
MEDTRONIC INC                                              X                      3      1155       0         0
MELLON FINANCIAL CORP                                                X            1      5872       0         0
MELLON FINANCIAL CORP                                      X                      1     66677       0        40
MEMBERWORKS, INC.                                          X                      3     25100       0         0
MENTOR CORP MINN COM                                       X                      1       400       0         0
MENTOR GRAPHICS CORP.                                      X                      3     12300       0         0
MERCANTILE BANKSHARES CORP                                           X            1     70257       0      6234
MERCANTILE BANKSHARES CORP                                 X                      1      7588       0         0
MERCANTILE BANKSHARES CORP                                           X            3         0       0      2400
MERCK & CO INC COM                                                   X            1    350439       0     43460
MERCK & CO INC COM                                         X                      1    410081       0      2466
MERCK & CO INC COM                                                   X            3      6545       0      1000
MERCK & CO INC COM                                         X                      3    171096       0      8500
MERCK & CO INC COM                                         X                      3       700       0         0
MERCK & COMPANY INCORPORATED                               X                      2     12423       0         0


                                    20 of 41




                                                                                                    
MEREDITH CORP COM                                COMMON STOCK     589433101          132             2400  SHARES
MEREDITH CORP.                                   COMMON STOCK     589433101          951            17300  SHARES
MERIDIAN GOLD INCORPORATED                       COMMON STOCK     589975101            3              250  SHARES
MERITAGE CORP.                                   COMMON STOCK     59001A102          605             8800  SHARES
MERRILL LYNCH & CO INC                           COMMON STOCK     590188108         1286            23819  SHARES
MERRILL LYNCH & CO INC                           COMMON STOCK     590188108         2520            46693  SHARES
MERRILL LYNCH & CO INC                           COMMON STOCK     590188108            3               50  SHARES
MERRILL LYNCH & COMPANY INCORPORATED             COMMON STOCK     590188108          507             9400  SHARES
METHODE ELECTRONICS, INC., CLASS A               COMMON STOCK     591520200          781            60200  SHARES
METLIFE INC COM                                  COMMON STOCK     59156R108           33              913  SHARES
METLIFE INC COM                                  COMMON STOCK     59156R108           18              500  SHARES
MFA MORTGAGE INVESTMENTS INC                     COMMON STOCK     55272X102            9             1000  SHARES
MGE ENERGY INC                                   COMMON STOCK     55277P104            2               52  SHARES
MGI PHARMA INC COM                               COMMON STOCK     552880106           24              900  SHARES
MGI PHARMA INC COM                               COMMON STOCK     552880106           30             1100  SHARES
MICREL INC COM                                   COMMON STOCK     594793101          108             8900  SHARES
MICREL INC COM                                   COMMON STOCK     594793101          134            11000  SHARES
MICRON TECHNOLOGY INC COM                        COMMON STOCK     595112103           70             4600  SHARES
MICROSOFT CORP                                   COMMON STOCK     594918104         9839           344517  SHARES
MICROSOFT CORP                                   COMMON STOCK     594918104        27546           964504  SHARES
MICROSOFT CORP                                   COMMON STOCK     594918104         2948           103240  SHARES
MICROSOFT CORP                                   COMMON STOCK     594918104          174             6100  SHARES
MICROSOFT CORP                                   COMMON STOCK     594918104        19994           700047  SHARES
MICROSOFT CORP                                   COMMON STOCK     594918104           93             3250  SHARES
MICROTEK MEDICAL HOLDINGS, INC.                  COMMON STOCK     59515B109           70            13600  SHARES
MICROTEK MEDICAL HOLDINGS, INC.                  COMMON STOCK     59515B109           87            16900  SHARES
MIDCAP SPDR TRUST SERIES 1 S&P 400               COMMON STOCK     595635103          462             4154  SHARES
MIDCAP SPDR TRUST SERIES 1 S&P 400               COMMON STOCK     595635103         2921            26292  SHARES
MIDCAP SPDR TRUST SERIES 1 S&P 400               COMMON STOCK     595635103            5               48  SHARES
MIDLAND CO                                       COMMON STOCK     597486109          181             6100  SHARES
MILACRON INC                                     COMMON STOCK     598709103            7             1767  SHARES
MILLENNIUM PHARMACEUTICALS COM                   COMMON STOCK     599902103            7              500  SHARES
MILLS CORP COM                                   COMMON STOCK     601148109          270             5775  SHARES
MILLS CORP COM                                   COMMON STOCK     601148109          719            15400  SHARES
MILLS CORP.                                      COMMON STOCK     601148109         1116            23900  SHARES
MILLS CORPORATION                                COMMON STOCK     601148109          701            15000  SHARES
MINDSPEED TECHNOLOGIES INC                       COMMON STOCK     602682106            1              266  SHARES
MINDSPEED TECHNOLOGIES INC                       COMMON STOCK     602682106            4              719  SHARES
MISSION WEST PROPERTIES, INC.                    COMMON STOCK     605203108          392            32400  SHARES
MODEM MEDIA INC                                  COMMON STOCK     607533106           67            12800  SHARES
MODEM MEDIA INC                                  COMMON STOCK     607533106           83            15900  SHARES
MOLEX INC CL A                                   COMMON STOCK     608554200            8              303  SHARES
MOLEX INC COM                                    COMMON STOCK     608554101          298             9295  SHARES
MONSANTO CO.                                     COMMON STOCK     61166W101          316             8200  SHARES
MONSANTO COMPANY                                 COMMON STOCK     61166W101          380             9871  SHARES
MONSANTO COMPANY                                 COMMON STOCK     61166W101          177             4593  SHARES
MONY GROUP INC COM                               COMMON STOCK     615337102            0               11  SHARES
MOODYS CORP                                      COMMON STOCK     615369105          275             4249  SHARES
MOODYS CORP                                      COMMON STOCK     615369105          136             2100  SHARES
MORGAN STANLEY                                   COMMON STOCK     617446448         2014            38167  SHARES
MORGAN STANLEY                                   COMMON STOCK     617446448        12281           232732  SHARES
MORGAN STANLEY                                   COMMON STOCK     617446448           22              424  SHARES
MORGAN STANLEY                                   COMMON STOCK     617446448        13218           250487  SHARES
MORGAN STANLEY                                   COMMON STOCK     617446448           52              990  SHARES
MOTOROLA INC                                     COMMON STOCK     620076109         1403            76889  SHARES
MOTOROLA INC                                     COMMON STOCK     620076109         3147           172419  SHARES
MOTOROLA INC                                     COMMON STOCK     620076109          256            14018  SHARES
MOTOROLA INC                                     COMMON STOCK     620076109         1008            55200  SHARES
MOTOROLA INCORPORATED                            COMMON STOCK     620076109          560            30700  SHARES
MTC TECHNOLOGIES INC                             COMMON STOCK     55377A106           85             3300  SHARES
MTC TECHNOLOGIES INC                             COMMON STOCK     55377A106          103             4000  SHARES
MUELLER INDS INC COM                             COMMON STOCK     624756102            2               50  SHARES
MUNICIPAL MTG & EQ LLC                           COMMON STOCK     62624B101           29             1250  SHARES
MURPHY OIL CORP                                  COMMON STOCK     626717102           74             1000  SHARES
MURPHY OIL CORP                                  COMMON STOCK     626717102          398             5401  SHARES
MURPHY OIL CORP.                                 COMMON STOCK     626717102         2661            36100  SHARES
MYKROLIS CORP.                                   COMMON STOCK     62852P103          808            46400  SHARES
MYLAN LABORATORIES INC                           COMMON STOCK     628530107           75             3719  SHARES
MYLAN LABORATORIES INC                           COMMON STOCK     628530107           60             2977  SHARES
MYRIAD GENETICS INC COM                          COMMON STOCK     62855J104            2              150  SHARES
N Y TIMES CL A                                   COMMON STOCK     650111107           25              550  SHARES
N Y TIMES CL A                                   COMMON STOCK     650111107           89             1995  SHARES
NABI BIOPHARMACEUTICALS                          COMMON STOCK     629519109          512            36000  SHARES
NANOMETRICS INC                                  COMMON STOCK     630077105           53             4640  SHARES
NANOMETRICS INC                                  COMMON STOCK     630077105           66             5760  SHARES


                                                                                     
MEREDITH CORP COM                                          X                      1      2400       0         0
MEREDITH CORP.                                             X                      3     17300       0         0
MERIDIAN GOLD INCORPORATED                                 X                      1       250       0         0
MERITAGE CORP.                                             X                      3      8800       0         0
MERRILL LYNCH & CO INC                                               X            1     22324       0      1495
MERRILL LYNCH & CO INC                                     X                      1     45543       0      1150
MERRILL LYNCH & CO INC                                     X                      3        50       0         0
MERRILL LYNCH & COMPANY INCORPORATED                       X                      2      9400       0         0
METHODE ELECTRONICS, INC., CLASS A                         X                      3     60200       0         0
METLIFE INC COM                                                      X            1       913       0         0
METLIFE INC COM                                            X                      1       500       0         0
MFA MORTGAGE INVESTMENTS INC                               X                      1      1000       0         0
MGE ENERGY INC                                             X                      1        52       0         0
MGI PHARMA INC COM                                         X                      1       900       0         0
MGI PHARMA INC COM                                         X                      3      1100       0         0
MICREL INC COM                                             X                      1      8900       0         0
MICREL INC COM                                             X                      3     11000       0         0
MICRON TECHNOLOGY INC COM                                            X            1      4600       0         0
MICROSOFT CORP                                                       X            1    303776       0     40741
MICROSOFT CORP                                             X                      1    955574       0      8930
MICROSOFT CORP                                             X                      2    103240       0         0
MICROSOFT CORP                                                       X            3      3600       0      2500
MICROSOFT CORP                                             X                      3    678513       0     21534
MICROSOFT CORP                                             X                      3      3250       0         0
MICROTEK MEDICAL HOLDINGS, INC.                            X                      1     13600       0         0
MICROTEK MEDICAL HOLDINGS, INC.                            X                      3     16900       0         0
MIDCAP SPDR TRUST SERIES 1 S&P 400                                   X            1      4154       0         0
MIDCAP SPDR TRUST SERIES 1 S&P 400                         X                      1     26292       0         0
MIDCAP SPDR TRUST SERIES 1 S&P 400                                   X            3        48       0         0
MIDLAND CO                                                           X            1      6100       0         0
MILACRON INC                                               X                      1      1767       0         0
MILLENNIUM PHARMACEUTICALS COM                             X                      1       500       0         0
MILLS CORP COM                                                       X            1      5775       0         0
MILLS CORP COM                                             X                      1     15400       0         0
MILLS CORP.                                                X                      3     23900       0         0
MILLS CORPORATION                                          X                      2     15000       0         0
MINDSPEED TECHNOLOGIES INC                                           X            1       266       0         0
MINDSPEED TECHNOLOGIES INC                                 X                      1       719       0         0
MISSION WEST PROPERTIES, INC.                              X                      3     32400       0         0
MODEM MEDIA INC                                            X                      1     12800       0         0
MODEM MEDIA INC                                            X                      3     15900       0         0
MOLEX INC CL A                                             X                      1       303       0         0
MOLEX INC COM                                                        X            1      9295       0         0
MONSANTO CO.                                               X                      3      8200       0         0
MONSANTO COMPANY                                                     X            1      8763       0      1108
MONSANTO COMPANY                                           X                      1      4593       0         0
MONY GROUP INC COM                                         X                      1        11       0         0
MOODYS CORP                                                          X            1      2849       0      1400
MOODYS CORP                                                X                      1      2100       0         0
MORGAN STANLEY                                                       X            1     36980       0      1187
MORGAN STANLEY                                             X                      1    231983       0       749
MORGAN STANLEY                                                       X            3       424       0         0
MORGAN STANLEY                                             X                      3    244866       0      5621
MORGAN STANLEY                                             X                      3       990       0         0
MOTOROLA INC                                                         X            1     73739       0      3150
MOTOROLA INC                                               X                      1    172169       0       250
MOTOROLA INC                                                         X            3     14018       0         0
MOTOROLA INC                                               X                      3     52300       0      2900
MOTOROLA INCORPORATED                                      X                      2     30700       0         0
MTC TECHNOLOGIES INC                                       X                      1      3300       0         0
MTC TECHNOLOGIES INC                                       X                      3      4000       0         0
MUELLER INDS INC COM                                       X                      1        50       0         0
MUNICIPAL MTG & EQ LLC                                               X            1      1250       0         0
MURPHY OIL CORP                                                      X            1         0       0      1000
MURPHY OIL CORP                                            X                      1      5401       0         0
MURPHY OIL CORP.                                           X                      3     36100       0         0
MYKROLIS CORP.                                             X                      3     46400       0         0
MYLAN LABORATORIES INC                                               X            1      2394       0      1325
MYLAN LABORATORIES INC                                     X                      1      2977       0         0
MYRIAD GENETICS INC COM                                    X                      1       150       0         0
N Y TIMES CL A                                                       X            1       550       0         0
N Y TIMES CL A                                             X                      1      1995       0         0
NABI BIOPHARMACEUTICALS                                              X            1     36000       0         0
NANOMETRICS INC                                            X                      1      4640       0         0
NANOMETRICS INC                                            X                      3      5760       0         0


                                    21 of 41




                                                                                                    
NASDAQ-100 SHARES                                COMMON STOCK     631100104           75             2000  SHARES
NASDAQ-100 SHARES                                COMMON STOCK     631100104         1982            52507  SHARES
NATIONAL CITY CORP COM                           COMMON STOCK     635405103           40             1148  SHARES
NATIONAL CITY CORP COM                           COMMON STOCK     635405103         1140            32557  SHARES
NATIONAL OILWELL INC COM                         COMMON STOCK     637071101          150             4755  SHARES
NATIONAL OILWELL INC COM                         COMMON STOCK     637071101          176             5600  SHARES
NATIONAL PENN BANCSHARES INC                     COMMON STOCK     637138108          126             4248  SHARES
NATIONAL PENN BANCSHARES INC                     COMMON STOCK     637138108          126             4248  SHARES
NATIONAL SEMICONDUCTOR CORP COM                  COMMON STOCK     637640103           83             3790  SHARES
NATIONAL SEMICONDUCTOR CORP COM                  COMMON STOCK     637640103           37             1700  SHARES
NATIONAL-OILWELL, INC.                           COMMON STOCK     637071101         1178            37400  SHARES
NATIONWIDE FINL SVCS INC                         COMMON STOCK     638612101           99             2624  SHARES
NATL FUEL GAS CO                                 COMMON STOCK     636180101           78             3113  SHARES
NAVARRE CORPORATION                              COMMON STOCK     639208107          122             8500  SHARES
NAVARRE CORPORATION                              COMMON STOCK     639208107          151            10500  SHARES
NAVIGANT CONSULTING, INC.                        COMMON STOCK     63935N107          277            12900  SHARES
NAVISTAR INTERNATIONAL CORP                      COMMON STOCK     63934E108            4              100  SHARES
NBT BANCORP, INC.                                COMMON STOCK     628778102          713            31900  SHARES
NCR CORP COM                                     COMMON STOCK     62886E108            8              170  SHARES
NCR CORP COM                                     COMMON STOCK     62886E108            4               71  SHARES
NEOGEN CORPORATION                               COMMON STOCK     640491106           19             1125  SHARES
NETSOLVE INC.                                    COMMON STOCK     64115J106           81             8224  SHARES
NETWORK APPLIANCE INCORPORATED                   COMMON STOCK     64120L104          332             4000  SHARES
NETWORK ENGINES INCORPORATED                     COMMON STOCK     64121A107           57            20700  SHARES
NETWORK ENGINES INCORPORATED                     COMMON STOCK     64121A107           71            25900  SHARES
NETWORKS ASSOCIATES INC                          COMMON STOCK     640938106            3              150  SHARES
NEUROCRINE BIOSCIENCES INC                       COMMON STOCK     64125C109           26              500  SHARES
NEVADA GOLD & CASINOS INC                        COMMON STOCK     64126Q206            3              200  SHARES
NEW CENTURY FINANCIAL CORPORATION                COMMON STOCK     64352D101          529            11300  SHARES
NEW MILFORD BANCORP                              COMMON STOCK     651633109          384            13000  SHARES
NEW PLAN EXCEL REALTY TR (REIT)                  COMMON STOCK     648053106          127             5430  SHARES
NEW PLAN EXCEL REALTY TR (REIT)                  COMMON STOCK     648053106          137             5870  SHARES
NEW PLAN EXCEL REALTY TRUST INC                  COMMON STOCK     648053106          682            29200  SHARES
NEWELL RUBBERMAID INC COM                        COMMON STOCK     651229106         1089            46361  SHARES
NEWELL RUBBERMAID INC COM                        COMMON STOCK     651229106         4932           209893  SHARES
NEWELL RUBBERMAID INC COM                        COMMON STOCK     651229106         4956           210892  SHARES
NEWELL RUBBERMAID INC COM                        COMMON STOCK     651229106           21              900  SHARES
NEWFIELD EXPLORATION CO                          COMMON STOCK     651290108          173             3100  SHARES
NEWFIELD EXPLORATION CO.                         COMMON STOCK     651290108         1132            20300  SHARES
NEWMONT MINING                                   COMMON STOCK     651639106           75             1946  SHARES
NEWMONT MINING                                   COMMON STOCK     651639106           56             1450  SHARES
NEXTEL COMMUNICATION INC COM                     COMMON STOCK     65332V103           81             3025  SHARES
NEXTEL COMMUNICATION INC COM                     COMMON STOCK     65332V103           97             3642  SHARES
NEXTEL COMMUNICATIONS INC CLASS A                COMMON STOCK     65332V103         1864            69900  SHARES
NIC, INC.                                        COMMON STOCK     62914B100           60             8400  SHARES
NICOR INC                                        COMMON STOCK     654086107           20              600  SHARES
NICOR INC                                        COMMON STOCK     654086107           20              600  SHARES
NICOR, INC.                                      COMMON STOCK     654086107          357            10500  SHARES
NIKE INC CL B                                    COMMON STOCK     654106103           30              400  SHARES
NIKE INC CL B                                    COMMON STOCK     654106103          464             6131  SHARES
NIKE, INC., CLASS B                              COMMON STOCK     654106103         2894            38200  SHARES
NISOURCE INC                                     COMMON STOCK     65473P105            4              200  SHARES
NISOURCE INC                                     COMMON STOCK     65473P105           24             1164  SHARES
NOBLE ENERGY INC                                 COMMON STOCK     655044105           99             1934  SHARES
NORDSTROM INC COM                                COMMON STOCK     655664100          124             2900  SHARES
NORDSTROM, INC.                                  COMMON STOCK     655664100          886            20800  SHARES
NORFOLK SOUTHN CORP                              COMMON STOCK     655844108         1166            43975  SHARES
NORFOLK SOUTHN CORP                              COMMON STOCK     655844108          667            25138  SHARES
NORFOLK SOUTHN CORP                              COMMON STOCK     655844108           12              450  SHARES
NORFOLK SOUTHN CORP                              COMMON STOCK     655844108          471            17750  SHARES
NORTEL NETWORKS CORP.                            COMMON STOCK     656568102         1245           249505  SHARES
NORTHEAST UTILITIES COM                          COMMON STOCK     664397106            2              101  SHARES
NORTHERN BORDER PARTNERS LP UNIT LTD             COMMON STOCK     664785102           28              700  SHARES
NORTHERN TR CORP COM                             COMMON STOCK     665859104           10              225  SHARES
NORTHERN TR CORP COM                             COMMON STOCK     665859104          112             2639  SHARES
NORTHERN TRUST CORP.                             COMMON STOCK     665859104          622            14700  SHARES
NORTHROP GRUMMAN CORP                            COMMON STOCK     666807102          313             5826  SHARES
NORTHROP GRUMMAN CORP                            COMMON STOCK     666807102         2450            45618  SHARES
NORTHROP GRUMMAN CORP                            COMMON STOCK     666807102          107             2000  SHARES
NORTHROP GRUMMAN CORP                            COMMON STOCK     666807102         1541            28700  SHARES
NORTHWEST AIRLINES CORP CL A                     COMMON STOCK     667280101           63             5700  SHARES
NORTHWEST AIRLINES CORP., CLASS A                COMMON STOCK     667280101          400            36000  SHARES
NORTHWEST NATURAL GAS COMPANY                    COMMON STOCK     667655104           48             1575  SHARES
NORTHWEST NATURAL GAS COMPANY                    COMMON STOCK     667655104           76             2500  SHARES
NOVASTAR FINANCIAL, INC.                         COMMON STOCK     669947400          892            23500  SHARES


                                                                                      
NASDAQ-100 SHARES                                                    X         1         2000       0         0
NASDAQ-100 SHARES                                          X                   1        52507       0         0
NATIONAL CITY CORP COM                                               X         1         1148       0         0
NATIONAL CITY CORP COM                                     X                   1        32557       0         0
NATIONAL OILWELL INC COM                                             X         1         4755       0         0
NATIONAL OILWELL INC COM                                   X                   1         5600       0         0
NATIONAL PENN BANCSHARES INC                                         X         1         4248       0         0
NATIONAL PENN BANCSHARES INC                               X                   1         4248       0         0
NATIONAL SEMICONDUCTOR CORP COM                                      X         1         3790       0         0
NATIONAL SEMICONDUCTOR CORP COM                            X                   1         1700       0         0
NATIONAL-OILWELL, INC.                                     X                   3        37400       0         0
NATIONWIDE FINL SVCS INC                                   X                   1         2624       0         0
NATL FUEL GAS CO                                                     X         1         3113       0         0
NAVARRE CORPORATION                                        X                   1         8500       0         0
NAVARRE CORPORATION                                        X                   3        10500       0         0
NAVIGANT CONSULTING, INC.                                  X                   3        12900       0         0
NAVISTAR INTERNATIONAL CORP                                X                   1          100       0         0
NBT BANCORP, INC.                                          X                   3        31900       0         0
NCR CORP COM                                                         X         1          146       0        24
NCR CORP COM                                               X                   1           71       0         0
NEOGEN CORPORATION                                                   X         1            0       0      1125
NETSOLVE INC.                                      X                                     8224       0         0
NETWORK APPLIANCE INCORPORATED                             X                   2         4000       0         0
NETWORK ENGINES INCORPORATED                               X                   1        20700       0         0
NETWORK ENGINES INCORPORATED                               X                   3        25900       0         0
NETWORKS ASSOCIATES INC                                    X                   1          150       0         0
NEUROCRINE BIOSCIENCES INC                                           X         1            0       0       500
NEVADA GOLD & CASINOS INC                                  X                   1          200       0         0
NEW CENTURY FINANCIAL CORPORATION                          X                   3        11300       0         0
NEW MILFORD BANCORP                                X                                    13000       0         0
NEW PLAN EXCEL REALTY TR (REIT)                                      X         1         5430       0         0
NEW PLAN EXCEL REALTY TR (REIT)                            X                   1         5870       0         0
NEW PLAN EXCEL REALTY TRUST INC                            X                   2        29200       0         0
NEWELL RUBBERMAID INC COM                                            X         1        44761       0      1600
NEWELL RUBBERMAID INC COM                                  X                   1       207938       0      1955
NEWELL RUBBERMAID INC COM                                  X                   3       210892       0         0
NEWELL RUBBERMAID INC COM                                  X                   3          900       0         0
NEWFIELD EXPLORATION CO                                    X                   1         3100       0         0
NEWFIELD EXPLORATION CO.                                   X                   3        20300       0         0
NEWMONT MINING                                                       X         1         1046       0       900
NEWMONT MINING                                             X                   1         1450       0         0
NEXTEL COMMUNICATION INC COM                                         X         1         2500       0       525
NEXTEL COMMUNICATION INC COM                               X                   1         3317       0       325
NEXTEL COMMUNICATIONS INC CLASS A                          X                   2        69900       0         0
NIC, INC.                                                  X                   3         8400       0         0
NICOR INC                                                            X         1            0       0       600
NICOR INC                                                  X                   1          600       0         0
NICOR, INC.                                                X                   3        10500       0         0
NIKE INC CL B                                                        X         1          400       0         0
NIKE INC CL B                                              X                   1         6131       0         0
NIKE, INC., CLASS B                                        X                   3        38200       0         0
NISOURCE INC                                                         X         1          200       0         0
NISOURCE INC                                               X                   1         1164       0         0
NOBLE ENERGY INC                                           X                   1         1934       0         0
NORDSTROM INC COM                                          X                   1         2900       0         0
NORDSTROM, INC.                                            X                   3        20800       0         0
NORFOLK SOUTHN CORP                                                  X         1        40075       0      3900
NORFOLK SOUTHN CORP                                        X                   1        25138       0         0
NORFOLK SOUTHN CORP                                                  X         3          450       0         0
NORFOLK SOUTHN CORP                                        X                   3        17750       0         0
NORTEL NETWORKS CORP.                                      X                   3       249505       0         0
NORTHEAST UTILITIES COM                                    X                   1          101       0         0
NORTHERN BORDER PARTNERS LP UNIT LTD                       X                   1          700       0         0
NORTHERN TR CORP COM                                                 X         1          225       0         0
NORTHERN TR CORP COM                                       X                   1         2639       0         0
NORTHERN TRUST CORP.                                       X                   3        14700       0         0
NORTHROP GRUMMAN CORP                                                X         1         5826       0         0
NORTHROP GRUMMAN CORP                                      X                   1        45618       0         0
NORTHROP GRUMMAN CORP                                                X         3         1400       0       600
NORTHROP GRUMMAN CORP                                      X                   3        28700       0         0
NORTHWEST AIRLINES CORP CL A                               X                   1         5700       0         0
NORTHWEST AIRLINES CORP., CLASS A                          X                   3        36000       0         0
NORTHWEST NATURAL GAS COMPANY                                        X         1         1575       0         0
NORTHWEST NATURAL GAS COMPANY                              X                   1         2500       0         0
NOVASTAR FINANCIAL, INC.                                   X                   3        23500       0         0


                                    22 of 41




                                                                                                    
NOVATEL WIRELESS INC                             COMMON STOCK     66987M604          167             6300  SHARES
NOVATEL WIRELESS INC                             COMMON STOCK     66987M604          209             7900  SHARES
NOVELL INC                                       COMMON STOCK     670006105          250            29800  SHARES
NOVELL INC                                       COMMON STOCK     670006105         5483           653545  SHARES
NOVELL INC                                       COMMON STOCK     670006105         8703          1037336  SHARES
NOVELL INC                                       COMMON STOCK     670006105           40             4750  SHARES
NOVELLUS SYS INC COM                             COMMON STOCK     670008101           28              900  SHARES
NOVELLUS SYS INC COM                             COMMON STOCK     670008101          311             9898  SHARES
NOVELLUS SYSTEMS, INC.                           COMMON STOCK     670008101         1962            62400  SHARES
NPS PHARMACEUTICALS INCORPORATED                 COMMON STOCK     62936P103           63             3000  SHARES
NPS PHARMACEUTICALS INCORPORATED                 COMMON STOCK     62936P103           78             3700  SHARES
NRG ENERGY INC                                   COMMON STOCK     629377508          496            20000  SHARES
NSTAR COM                                        COMMON STOCK     67019E107           15              321  SHARES
NUCOR CORP                                       COMMON STOCK     670346105           23              295  SHARES
NUCOR CORP                                       COMMON STOCK     670346105           84             1100  SHARES
NUCOR CORP.                                      COMMON STOCK     670346105          522             6800  SHARES
NUVELO INC                                       COMMON STOCK     67072M301           99            10300  SHARES
NUVELO INC                                       COMMON STOCK     67072M301          274            28501  SHARES
OCCIDENTAL PETE CORP COM                         COMMON STOCK     674599105          320             6600  SHARES
OCEANEERING INTL INC COM                         COMMON STOCK     675232102           14              400  SHARES
ODYSSEY HEALTHCARE, INC.                         COMMON STOCK     67611V101          124             6600  SHARES
ODYSSEY RE HLDGS CORP COM                        COMMON STOCK     67612W108           53             2200  SHARES
OFFICE DEPOT INC                                 COMMON STOCK     676220106            8              450  SHARES
OFFICE DEPOT INC                                 COMMON STOCK     676220106            9              500  SHARES
OFFSHORE LOGISTICS, INC.                         COMMON STOCK     676255102          382            13600  SHARES
OGE ENERGY CORP COM                              COMMON STOCK     670837103          114             4486  SHARES
OGE ENERGY CORP COM                              COMMON STOCK     670837103          121             4760  SHARES
OIL SERVICE HOLDERS TRUST                        COMMON STOCK     678002106            7              100  SHARES
OLD NATIONAL BANCORP COM                         COMMON STOCK     680033107          149             6006  SHARES
OLD REPUBLIC INTERNATIONAL CORP.                 COMMON STOCK     680223104         2017            85050  SHARES
OLD REPUBLIC INTL CORP COM                       COMMON STOCK     680223104          403            17008  SHARES
OM GROUP, INC.                                   COMMON STOCK     670872100          102             3100  SHARES
OMEGA FINANCIAL CORP                             COMMON STOCK     682092101          525            15334  SHARES
OMEGA FINANCIAL CORP                             COMMON STOCK     682092101           47             1376  SHARES
OMEGA HEALTHCARE INVESTORS                       COMMON STOCK     681936100          768            76500  SHARES
OMI CORP COM NEW                                 COMMON STOCK     Y6476W104          201            16900  SHARES
OMI CORP COM NEW                                 COMMON STOCK     Y6476W104          251            21100  SHARES
OMNI ENERGY SERVICES CORP                        COMMON STOCK     68210T208           10             2000  SHARES
OMNICARE INC COM                                 COMMON STOCK     681904108          210             4900  SHARES
OMNICOM GROUP INC COM                            COMMON STOCK     681919106          257             3380  SHARES
OMNICOM GROUP INC COM                            COMMON STOCK     681919106          706             9300  SHARES
OMNICOM GROUP, INC.                              COMMON STOCK     681919106         1374            18100  SHARES
OMNIVISION TECHNOLOGIES INC                      COMMON STOCK     682128103           81             5100  SHARES
OMNIVISION TECHNOLOGIES INC                      COMMON STOCK     682128103          100             6300  SHARES
ONEOK INC                                        COMMON STOCK     682680103           26             1200  SHARES
ONEOK INC                                        COMMON STOCK     682680103           46             2100  SHARES
ONEOK, INC.                                      COMMON STOCK     682680103          328            14900  SHARES
ONYX SOFTWARE CORP.                              COMMON STOCK     683402200          125            30050  SHARES
OPEN SOLUTIONS, INC.                             COMMON STOCK     68371P102          527            21100  SHARES
OPENTV CORPORATION CLASS A                       COMMON STOCK     G67543101            6             3000  SHARES
OPSWARE, INC.                                    COMMON STOCK     68383A101           40             5000  SHARES
OPSWARE, INC.                                    COMMON STOCK     68383A101          179            22600  SHARES
OPSWARE, INC.                                    COMMON STOCK     68383A101          127            16000  SHARES
ORACLE CORPORATION                               COMMON STOCK     68389X105          828            69366  SHARES
ORACLE CORPORATION COM                           COMMON STOCK     68389X105          360            30155  SHARES
ORACLE CORPORATION COM                           COMMON STOCK     68389X105         2073           173769  SHARES
ORASURE TECHNOLOGIES, INC.                       COMMON STOCK     68554V108          281            28900  SHARES
ORTHODONTIC CENTERS OF AMERICA, INC.             COMMON STOCK     68750P103          185            22600  SHARES
OSHKOSH TRUCK CORP                               COMMON STOCK     688239201            3               50  SHARES
OTTER TAIL CORPORATION                           COMMON STOCK     689648103            6              240  SHARES
OXFORD HEALTH PLANS INC                          COMMON STOCK     691471106            2               31  SHARES
P G & E CORP                                     COMMON STOCK     69331C108           61             2200  SHARES
P G & E CORP                                     COMMON STOCK     69331C108           64             2300  SHARES
P G & E CORP.                                    COMMON STOCK     69331C108          439            15700  SHARES
PACIFICARE HEALTH SYSTEMS, INC.                  COMMON STOCK     695112102          568            14700  SHARES
PACTIV CORP COM                                  COMMON STOCK     695257105           10              415  SHARES
PALL CORP COM                                    COMMON STOCK     696429307           52             2000  SHARES
PALL CORP COM                                    COMMON STOCK     696429307          369            14100  SHARES
PALL CORP.                                       COMMON STOCK     696429307         2611            99700  SHARES
PALMONE INC                                      COMMON STOCK     69713P107            4              101  SHARES
PALMONE INC                                      COMMON STOCK     69713P107            1               38  SHARES
PALMSOURCE INC                                   COMMON STOCK     697154102            1               30  SHARES
PALMSOURCE INC                                   COMMON STOCK     697154102            0               10  SHARES
PANERA BREAD CO.                                 COMMON STOCK     69840W108          545            15200  SHARES
PARADIGM GENETICS, INC.                          COMMON STOCK     69900R106          145           183200  SHARES


                                                                                     
NOVATEL WIRELESS INC                                       X                   1         6300       0         0
NOVATEL WIRELESS INC                                       X                   3         7900       0         0
NOVELL INC                                                           X         1        25075       0      4725
NOVELL INC                                                 X                   1       641155       0     12390
NOVELL INC                                                 X                   3      1020807       0     16529
NOVELL INC                                                 X                   3         4750       0         0
NOVELLUS SYS INC COM                                                 X         1          900       0         0
NOVELLUS SYS INC COM                                       X                   1         9898       0         0
NOVELLUS SYSTEMS, INC.                                     X                   3        62400       0         0
NPS PHARMACEUTICALS INCORPORATED                           X                   1         3000       0         0
NPS PHARMACEUTICALS INCORPORATED                           X                   3         3700       0         0
NRG ENERGY INC                                                       X         1        20000       0         0
NSTAR COM                                                  X                   1          321       0         0
NUCOR CORP                                                           X         1          295       0         0
NUCOR CORP                                                 X                   1         1100       0         0
NUCOR CORP.                                                X                   3         6800       0         0
NUVELO INC                                                 X                   1        10300       0         0
NUVELO INC                                                 X                   3        28501       0         0
OCCIDENTAL PETE CORP COM                                   X                   1         5100       0      1500
OCEANEERING INTL INC COM                                   X                   1          400       0         0
ODYSSEY HEALTHCARE, INC.                                   X                   3         6600       0         0
ODYSSEY RE HLDGS CORP COM                                  X                   1         2200       0         0
OFFICE DEPOT INC                                                     X         1            0       0       450
OFFICE DEPOT INC                                           X                   1          500       0         0
OFFSHORE LOGISTICS, INC.                                   X                   3        13600       0         0
OGE ENERGY CORP COM                                                  X         1         4486       0         0
OGE ENERGY CORP COM                                        X                   1         4760       0         0
OIL SERVICE HOLDERS TRUST                                  X                   1          100       0         0
OLD NATIONAL BANCORP COM                                   X                   1         6006       0         0
OLD REPUBLIC INTERNATIONAL CORP.                           X                   3        85050       0         0
OLD REPUBLIC INTL CORP COM                                 X                   1        17008       0         0
OM GROUP, INC.                                             X                   3         3100       0         0
OMEGA FINANCIAL CORP                                                 X         1        11000       0      4334
OMEGA FINANCIAL CORP                                       X                   1         1376       0         0
OMEGA HEALTHCARE INVESTORS                                 X                   3        76500       0         0
OMI CORP COM NEW                                           X                   1        16900       0         0
OMI CORP COM NEW                                           X                   3        21100       0         0
OMNI ENERGY SERVICES CORP                                  X                   1         2000       0         0
OMNICARE INC COM                                                     X         1         4900       0         0
OMNICOM GROUP INC COM                                                X         1         3380       0         0
OMNICOM GROUP INC COM                                      X                   1         9300       0         0
OMNICOM GROUP, INC.                                        X                   3        18100       0         0
OMNIVISION TECHNOLOGIES INC                                X                   1         5100       0         0
OMNIVISION TECHNOLOGIES INC                                X                   3         6300       0         0
ONEOK INC                                                            X         1         1200       0         0
ONEOK INC                                                  X                   1         2100       0         0
ONEOK, INC.                                                X                   3        14900       0         0
ONYX SOFTWARE CORP.                                        X                   3        30050       0         0
OPEN SOLUTIONS, INC.                                       X                   3        21100       0         0
OPENTV CORPORATION CLASS A                                 X                   1         3000       0         0
OPSWARE, INC.                                                        X         1            0       0      5000
OPSWARE, INC.                                              X                   1        22600       0         0
OPSWARE, INC.                                              X                   3        16000       0         0
ORACLE CORPORATION                                         X                   2        69366       0         0
ORACLE CORPORATION COM                                               X         1        30155       0         0
ORACLE CORPORATION COM                                     X                   1       173769       0         0
ORASURE TECHNOLOGIES, INC.                                 X                   3        28900       0         0
ORTHODONTIC CENTERS OF AMERICA, INC.                       X                   3        22600       0         0
OSHKOSH TRUCK CORP                                         X                   1           50       0         0
OTTER TAIL CORPORATION                                               X         1          240       0         0
OXFORD HEALTH PLANS INC                                    X                   1           31       0         0
P G & E CORP                                                         X         1          700       0      1500
P G & E CORP                                               X                   1         2300       0         0
P G & E CORP.                                              X                   3        15700       0         0
PACIFICARE HEALTH SYSTEMS, INC.                            X                   3        14700       0         0
PACTIV CORP COM                                            X                   1          415       0         0
PALL CORP COM                                                        X         1         2000       0         0
PALL CORP COM                                              X                   1        14100       0         0
PALL CORP.                                                 X                   3        99700       0         0
PALMONE INC                                                          X         1          101       0         0
PALMONE INC                                                X                   1           38       0         0
PALMSOURCE INC                                                       X         1           30       0         0
PALMSOURCE INC                                             X                   1           10       0         0
PANERA BREAD CO.                                           X                   3        15200       0         0
PARADIGM GENETICS, INC.                                    X                   3       183200       0         0


                                    23 of 41




                                                                                                    
PARAMETRIC TECHNOLOGY CORP COM                   COMMON STOCK     699173100          156            31175  SHARES
PARKER HANNIFIN CORP                             COMMON STOCK     701094104          160             2696  SHARES
PARKER HANNIFIN CORP                             COMMON STOCK     701094104          381             6400  SHARES
PARKVALE FINANCIAL CORP                          COMMON STOCK     701492100           40             1525  SHARES
PATTERSON DENTAL CO COM                          COMMON STOCK     703412106           42              550  SHARES
PATTERSON-UTI ENERGY INC                         COMMON STOCK     703481101           17              500  SHARES
PAYCHEX INC COM                                  COMMON STOCK     704326107           47             1374  SHARES
PAYCHEX INC COM                                  COMMON STOCK     704326107          414            12234  SHARES
PEETS COFFEE & TEA INC COM                       COMMON STOCK     705560100            5              200  SHARES
PENN NATL GAMING INC                             COMMON STOCK     707569109           86             2600  SHARES
PENNEY J C CO INC                                COMMON STOCK     708160106          117             3108  SHARES
PENNEY J C CO INC                                COMMON STOCK     708160106           78             2064  SHARES
PENNEY J C CO INC                                COMMON STOCK     708160106           76             2000  SHARES
PENNICHUCK CORPORATION NEW                       COMMON STOCK     708254206           17              667  SHARES
PENNROCK FINANCIAL SERVICES CORP.                COMMON STOCK     708352109          254             8400  SHARES
PENNS WOODS BANCORP INC.                         COMMON STOCK     708430103           13              300  SHARES
PENNSYLVANIA COMMERCE BANCORP INC                COMMON STOCK     708677109          416             8560  SHARES
PENTAIR INC COM                                  COMMON STOCK     709631105          262             7800  SHARES
PENTAIR INC COM                                  COMMON STOCK     709631105           27              800  SHARES
PEOPLES ENERGY CORP                              COMMON STOCK     711030106            4              100  SHARES
PEOPLESOFT INC COM                               COMMON STOCK     712713106           22             1200  SHARES
PEOPLESOFT INC COM                               COMMON STOCK     712713106            1               50  SHARES
PEPCO HOLDINGS INC                               COMMON STOCK     713291102          526            28765  SHARES
PEPCO HOLDINGS INC                               COMMON STOCK     713291102          764            41816  SHARES
PEPCO HOLDINGS INC                               COMMON STOCK     713291102          591            32309  SHARES
PEPSIAMERICAS INC COM                            COMMON STOCK     71343P200           13              600  SHARES
PEPSICO INC COM                                  COMMON STOCK     713448108        16973           315013  SHARES
PEPSICO INC COM                                  COMMON STOCK     713448108        23575           437543  SHARES
PEPSICO INC COM                                  COMMON STOCK     713448108         8529           158289  SHARES
PEPSICO INC COM                                  COMMON STOCK     713448108           32              600  SHARES
PEPSICO INCORPORATED                             COMMON STOCK     713448108          431             8005  SHARES
PERFORMANCE FOOD GROUP CO                        COMMON STOCK     713755106          180             6795  SHARES
PERFORMANCE FOOD GROUP CO                        COMMON STOCK     713755106         4839           182327  SHARES
PERFORMANCE FOOD GROUP CO                        COMMON STOCK     713755106          995            37483  SHARES
PERFORMANCE FOOD GROUP CO                        COMMON STOCK     713755106           41             1540  SHARES
PERFORMANCE FOOD GROUP CO.                       COMMON STOCK     713755106         7118           268200  SHARES
PERKINELMER INC COM                              COMMON STOCK     714046109           80             4000  SHARES
PERKINELMER, INC.                                COMMON STOCK     714046109         1022            51000  SHARES
PEROT SYS CORP CL A                              COMMON STOCK     714265105            1               50  SHARES
PETSMART INC                                     COMMON STOCK     716768106           32             1000  SHARES
PFIZER INC                                       COMMON STOCK     717081103        22969           670050  SHARES
PFIZER INC                                       COMMON STOCK     717081103        39373          1148558  SHARES
PFIZER INC                                       COMMON STOCK     717081103         6374           185927  SHARES
PFIZER INC                                       COMMON STOCK     717081103          826            24105  SHARES
PFIZER INC                                       COMMON STOCK     717081103        22467           655384  SHARES
PFIZER INC                                       COMMON STOCK     717081103          107             3125  SHARES
PHILLIPS VAN HEUSEN CORP.                        COMMON STOCK     718592108          656            34100  SHARES
PHOENIX COS INC COM                              COMMON STOCK     71902E109           15             1256  SHARES
PHOENIX COS INC COM                              COMMON STOCK     71902E109           16             1319  SHARES
PICO HOLDINGS INC COM                            COMMON STOCK     693366205          466            24704  SHARES
PIEDMONT NAT GAS INC                             COMMON STOCK     720186105           14              339  SHARES
PIER 1 INC COM                                   COMMON STOCK     720279108           23             1305  SHARES
PINNACLE SYSTEMS, INC.                           COMMON STOCK     723481107         1145           160200  SHARES
PIONEER NATURAL RESOURCES CO                     COMMON STOCK     723787107          278             7914  SHARES
PIONEER NATURAL RESOURCES, INC.                  COMMON STOCK     723787107         1828            52100  SHARES
PIONEER RAILCORP                                 COMMON STOCK     723839106            2             1000  SHARES
PIPER JAFFRAY COMPANIES INC                      COMMON STOCK     724078100            8              182  SHARES
PIPER JAFFRAY COMPANIES INC                      COMMON STOCK     724078100           47             1040  SHARES
PIPER JAFFRAY COMPANIES INC                      COMMON STOCK     724078100            1               21  SHARES
PIPER JAFFRAY COMPANIES INC                      COMMON STOCK     724078100          110             2416  SHARES
PITNEY BOWES INC COM                             COMMON STOCK     724479100         1540            34800  SHARES
PITNEY BOWES INC COM                             COMMON STOCK     724479100          468            10575  SHARES
PITNEY BOWES INC COM                             COMMON STOCK     724479100          126             2850  SHARES
PITNEY BOWES INC COM                             COMMON STOCK     724479100           13              300  SHARES
PIXELWORKS INC COM                               COMMON STOCK     72581M107           61             4000  SHARES
PIXELWORKS INC COM                               COMMON STOCK     72581M107         2295           149800  SHARES
PLAINS ALL AMERICAN PIPELINE L P                 COMMON STOCK     726503105          880            26350  SHARES
PLAINS EXPLORATION & PRODUCT COMPANY             COMMON STOCK     726505100           73             4000  SHARES
PLUG POWER INC COM                               COMMON STOCK     72919P103            1              100  SHARES
PLX TECHNOLOGY, INC.                             COMMON STOCK     693417107          539            31200  SHARES
PMC COMMERCIAL TRUST                             COMMON STOCK     693434102            4              244  SHARES
PMI GROUP, INC.                                  COMMON STOCK     69344M101          923            21200  SHARES
PNC FINL SVCS GROUP COM                          COMMON STOCK     693475105         3334            62807  SHARES
PNC FINL SVCS GROUP COM                          COMMON STOCK     693475105         8629           162568  SHARES
PNC FINL SVCS GROUP COM                          COMMON STOCK     693475105          170             3200  SHARES


                                                                                     
PARAMETRIC TECHNOLOGY CORP COM                                       X         1        31175       0         0
PARKER HANNIFIN CORP                                                 X         1         2696       0         0
PARKER HANNIFIN CORP                                       X                   1         6400       0         0
PARKVALE FINANCIAL CORP                                    X                   1         1525       0         0
PATTERSON DENTAL CO COM                                              X         1          550       0         0
PATTERSON-UTI ENERGY INC                                             X         1          500       0         0
PAYCHEX INC COM                                                      X         1         1224       0       150
PAYCHEX INC COM                                            X                   1        12234       0         0
PEETS COFFEE & TEA INC COM                                 X                   1          200       0         0
PENN NATL GAMING INC                                       X                   1          600       0      2000
PENNEY J C CO INC                                                    X         1         3108       0         0
PENNEY J C CO INC                                          X                   1         2064       0         0
PENNEY J C CO INC                                                    X         3         2000       0         0
PENNICHUCK CORPORATION NEW                                 X                   1          667       0         0
PENNROCK FINANCIAL SERVICES CORP.                  X                                     8400       0         0
PENNS WOODS BANCORP INC.                                   X                   1          300       0         0
PENNSYLVANIA COMMERCE BANCORP INC                          X                   1         8560       0         0
PENTAIR INC COM                                                      X         1         7800       0         0
PENTAIR INC COM                                            X                   1          800       0         0
PEOPLES ENERGY CORP                                        X                   1          100       0         0
PEOPLESOFT INC COM                                                   X         1            0       0      1200
PEOPLESOFT INC COM                                         X                   1           50       0         0
PEPCO HOLDINGS INC                                                   X         1        27915       0       850
PEPCO HOLDINGS INC                                         X                   1        40616       0      1200
PEPCO HOLDINGS INC                                         X                   3        32309       0         0
PEPSIAMERICAS INC COM                                                X         1          600       0         0
PEPSICO INC COM                                                      X         1       289505       0     25508
PEPSICO INC COM                                            X                   1       434328       0      3215
PEPSICO INC COM                                            X                   3       151456       0      6833
PEPSICO INC COM                                            X                   3          600       0         0
PEPSICO INCORPORATED                                       X                   2         8005       0         0
PERFORMANCE FOOD GROUP CO                                            X         1         4845       0      1950
PERFORMANCE FOOD GROUP CO                                  X                   1       178042       0      4285
PERFORMANCE FOOD GROUP CO                                  X                   3        37483       0         0
PERFORMANCE FOOD GROUP CO                                  X                   3         1540       0         0
PERFORMANCE FOOD GROUP CO.                                 X                   3       268200       0         0
PERKINELMER INC COM                                                  X         1         4000       0         0
PERKINELMER, INC.                                          X                   3        51000       0         0
PEROT SYS CORP CL A                                        X                   1           50       0         0
PETSMART INC                                                         X         1            0       0      1000
PFIZER INC                                                           X         1       619921       0     50129
PFIZER INC                                                 X                   1      1137533       0     11025
PFIZER INC                                                 X                   2       185927       0         0
PFIZER INC                                                           X         3        23125       0       980
PFIZER INC                                                 X                   3       655384       0         0
PFIZER INC                                                 X                   3         3125       0         0
PHILLIPS VAN HEUSEN CORP.                                  X                   3        34100       0         0
PHOENIX COS INC COM                                                  X         1         1256       0         0
PHOENIX COS INC COM                                        X                   1         1319       0         0
PICO HOLDINGS INC COM                                      X                   1            0       0     24704
PIEDMONT NAT GAS INC                                                 X         1          139       0       200
PIER 1 INC COM                                             X                   1         1305       0         0
PINNACLE SYSTEMS, INC.                                     X                   3       160200       0         0
PIONEER NATURAL RESOURCES CO                               X                   1         7914       0         0
PIONEER NATURAL RESOURCES, INC.                            X                   3        52100       0         0
PIONEER RAILCORP                                                     X         1            0       0      1000
PIPER JAFFRAY COMPANIES INC                                          X         1           97       0        85
PIPER JAFFRAY COMPANIES INC                                X                   1         1040       0         0
PIPER JAFFRAY COMPANIES INC                                          X         3           21       0         0
PIPER JAFFRAY COMPANIES INC                                X                   3         2416       0         0
PITNEY BOWES INC COM                                                 X         1        24400       0     10400
PITNEY BOWES INC COM                                       X                   1        10575       0         0
PITNEY BOWES INC COM                                                 X         3         2850       0         0
PITNEY BOWES INC COM                                       X                   3            0       0       300
PIXELWORKS INC COM                                         X                   1         4000       0         0
PIXELWORKS INC COM                                         X                   3       149800       0         0
PLAINS ALL AMERICAN PIPELINE L P                           X                   2        26350       0         0
PLAINS EXPLORATION & PRODUCT COMPANY                                 X         1         4000       0         0
PLUG POWER INC COM                                         X                   1          100       0         0
PLX TECHNOLOGY, INC.                                       X                   3        31200       0         0
PMC COMMERCIAL TRUST                                       X                   1          244       0         0
PMI GROUP, INC.                                            X                   3        21200       0         0
PNC FINL SVCS GROUP COM                                              X         1        59637       0      3170
PNC FINL SVCS GROUP COM                                    X                   1       161208       0      1360
PNC FINL SVCS GROUP COM                                              X         3         3200       0         0


                                    24 of 41




                                                                                                    
PNC FINL SVCS GROUP COM                          COMMON STOCK     693475105           21              400  SHARES
POGO PRODUCING CO                                COMMON STOCK     730448107            7              150  SHARES
POLARIS INDUSTRIES, INC.                         COMMON STOCK     731068102         1037            21600  SHARES
POLYCOM INC COM                                  COMMON STOCK     73172K104            3              150  SHARES
POLYCOM, INC.                                    COMMON STOCK     73172K104         2310           103100  SHARES
POST PROPERTIES INCORPORATED                     COMMON STOCK     737464107          335            11500  SHARES
PPG INDS INC                                     COMMON STOCK     693506107         2661            42586  SHARES
PPG INDS INC                                     COMMON STOCK     693506107          756            12101  SHARES
PPG INDS INC                                     COMMON STOCK     693506107           50              800  SHARES
PPL CORP COM                                     COMMON STOCK     69351T106         1777            38721  SHARES
PPL CORP COM                                     COMMON STOCK     69351T106         5310           115694  SHARES
PRAXAIR INC COM                                  COMMON STOCK     74005P104           92             2316  SHARES
PRAXAIR INC COM                                  COMMON STOCK     74005P104           10              256  SHARES
PRESIDENTIAL LIFE CORP.                          COMMON STOCK     740884101          198            11000  SHARES
PRICE T ROWE GROUP INC COM                       COMMON STOCK     74144T108          654            12975  SHARES
PRICE T ROWE GROUP INC COM                       COMMON STOCK     74144T108          685            13590  SHARES
PRINCETON REVIEW (THE), INC.                     COMMON STOCK     742352107          293            38700  SHARES
PRINCIPAL FINANCIAL GROUP                        COMMON STOCK     74251V102         1141            32800  SHARES
PRINCIPAL FINL GROUP INC                         COMMON STOCK     74251V102          295             8495  SHARES
PROCTER & GAMBLE CO COM                          COMMON STOCK     742718109        32968           605578  SHARES
PROCTER & GAMBLE CO COM                          COMMON STOCK     742718109        21607           396899  SHARES
PROCTER & GAMBLE CO COM                          COMMON STOCK     742718109          973            17868  SHARES
PROCTER & GAMBLE CO COM                          COMMON STOCK     742718109          381             7000  SHARES
PROCTER & GAMBLE CO COM                          COMMON STOCK     742718109         2358            43300  SHARES
PROGRESS ENERGY INC COM                          COMMON STOCK     743263105          523            11863  SHARES
PROGRESS ENERGY INC COM                          COMMON STOCK     743263105          491            11141  SHARES
PROGRESS ENERGY INC COM                          COMMON STOCK     743263105           18              400  SHARES
PROGRESSIVE CORP COM                             COMMON STOCK     743315103            4               49  SHARES
PROTECTIVE LIFE CORP COM                         COMMON STOCK     743674103          198             5111  SHARES
PROTECTIVE LIFE CORP.                            COMMON STOCK     743674103         1152            29800  SHARES
PROTEIN DESIGN LABS INC                          COMMON STOCK     74369L103            6              300  SHARES
PROTEIN DESIGN LABS INC                          COMMON STOCK     74369L103           69             3600  SHARES
PROTEIN DESIGN LABS INC                          COMMON STOCK     74369L103           86             4500  SHARES
PROVIDENT BANKSHARES CORP.                       COMMON STOCK     743859100          309            10700  SHARES
PROVIDENT BANKSHARES CORPORATION                 COMMON STOCK     743859100          293            10161  SHARES
PROVIDENT BANKSHARES CORPORATION                 COMMON STOCK     743859100           40             1402  SHARES
PROVIDENT FINANCIAL GROUP INC                    COMMON STOCK     743866105           39             1000  SHARES
PROVIDENT FINANCIAL GROUP, INC.                  COMMON STOCK     743866105          970            24572  SHARES
PROVIDIAN FINANCIAL CORP COM                     COMMON STOCK     74406A102          264            18000  SHARES
PROXYMED INCORPORATED NEW                        COMMON STOCK     744290305            9              500  SHARES
PRUDENTIAL FINANCIAL INC                         COMMON STOCK     744320102           22              468  SHARES
PRUDENTIAL FINANCIAL INC                         COMMON STOCK     744320102          152             3263  SHARES
PSS WORLD MEDICAL, INC.                          COMMON STOCK     69366A100           75             6700  SHARES
PSYCHIATRIC SOLUTIONS INC                        COMMON STOCK     74439H108           75             3000  SHARES
PSYCHIATRIC SOLUTIONS INC                        COMMON STOCK     74439H108           92             3700  SHARES
PUBLIC SVC ENTERPRISE GROUP INC                  COMMON STOCK     744573106          234             5835  SHARES
PUBLIC SVC ENTERPRISE GROUP INC                  COMMON STOCK     744573106          266             6638  SHARES
PUGET ENERGY INC COM                             COMMON STOCK     745310102           27             1211  SHARES
QLOGIC CORP COM                                  COMMON STOCK     747277101          110             4153  SHARES
QLOGIC CORP.                                     COMMON STOCK     747277101          760            28600  SHARES
QUALCOMM INC COM                                 COMMON STOCK     747525103           78             1075  SHARES
QUALCOMM INC COM                                 COMMON STOCK     747525103          150             2055  SHARES
QUANEX CORP.                                     COMMON STOCK     747620102          925            19000  SHARES
QUEST DIAGNOSTICS INC                            COMMON STOCK     74834L100          611             7194  SHARES
QUEST DIAGNOSTICS INC                            COMMON STOCK     74834L100         1164            13699  SHARES
QUESTAR CORP COM                                 COMMON STOCK     748356102           62             1600  SHARES
QUESTAR CORP COM                                 COMMON STOCK     748356102           46             1200  SHARES
QUIKSILVER, INC.                                 COMMON STOCK     74838C106         1086            45600  SHARES
QWEST COMMUNICATIONS INTL INC                    COMMON STOCK     749121109           14             3869  SHARES
QWEST COMMUNICATIONS INTL INC                    COMMON STOCK     749121109           21             5877  SHARES
R H DONNELLEY CORP                               COMMON STOCK     74955W307           14              311  SHARES
R.J. REYNOLDS TOBACCO HOLDINGS, INC.             COMMON STOCK     76182K105          804            11900  SHARES
RADIO ONE INC CL D                               COMMON STOCK     75040P405           61             3800  SHARES
RADIO ONE, INC. NON VOTING CL D                  COMMON STOCK     75040P405          402            25100  SHARES
RADIOSHACK CORP COM                              COMMON STOCK     750438103           57             2000  SHARES
RADISYS CORP.                                    COMMON STOCK     750459109          490            26400  SHARES
RAIT INVESTMENT TRUST                            COMMON STOCK     749227104          311            12600  SHARES
RANGE RESOURCES CORP.                            COMMON STOCK     75281A109           82             5600  SHARES
RAVEN INDUSTRIES INC                             COMMON STOCK     754212108            4              100  SHARES
RAYTHEON CO COM NEW                              COMMON STOCK     755111507         1037            28978  SHARES
RAYTHEON CO COM NEW                              COMMON STOCK     755111507         6019           168260  SHARES
RAYTHEON CO COM NEW                              COMMON STOCK     755111507         6733           188233  SHARES
RAYTHEON CO COM NEW                              COMMON STOCK     755111507           36             1010  SHARES
REALTY INCOME CORPORATION                        COMMON STOCK     756109104          209             5000  SHARES
RED HAT INC COM                                  COMMON STOCK     756577102            2              100  SHARES


                                                                                    
PNC FINL SVCS GROUP COM                                    X                      3         0       0       400
POGO PRODUCING CO                                          X                      1       150       0         0
POLARIS INDUSTRIES, INC.                                   X                      3     21600       0         0
POLYCOM INC COM                                            X                      1       150       0         0
POLYCOM, INC.                                              X                      3    103100       0         0
POST PROPERTIES INCORPORATED                               X                      2     11500       0         0
PPG INDS INC                                                         X            1     40561       0      2025
PPG INDS INC                                               X                      1     12101       0         0
PPG INDS INC                                               X                      2       800       0         0
PPL CORP COM                                                         X            1     33134       0      5587
PPL CORP COM                                               X                      1    114794       0       900
PRAXAIR INC COM                                                      X            1       516       0      1800
PRAXAIR INC COM                                            X                      1       256       0         0
PRESIDENTIAL LIFE CORP.                                    X                      3     11000       0         0
PRICE T ROWE GROUP INC COM                                           X            1     12975       0         0
PRICE T ROWE GROUP INC COM                                 X                      1     13590       0         0
PRINCETON REVIEW (THE), INC.                               X                      3     38700       0         0
PRINCIPAL FINANCIAL GROUP                                  X                      3     32800       0         0
PRINCIPAL FINL GROUP INC                                   X                      1      6995       0      1500
PROCTER & GAMBLE CO COM                                              X            1    474638       0    130940
PROCTER & GAMBLE CO COM                                    X                      1    394899       0      2000
PROCTER & GAMBLE CO COM                                    X                      2     17868       0         0
PROCTER & GAMBLE CO COM                                              X            3      1400       0      5600
PROCTER & GAMBLE CO COM                                    X                      3     36750       0      6550
PROGRESS ENERGY INC COM                                              X            1      9663       0      2200
PROGRESS ENERGY INC COM                                    X                      1     11141       0         0
PROGRESS ENERGY INC COM                                    X                      3         0       0       400
PROGRESSIVE CORP COM                                       X                      1        49       0         0
PROTECTIVE LIFE CORP COM                                   X                      1      5111       0         0
PROTECTIVE LIFE CORP.                                      X                      3     29800       0         0
PROTEIN DESIGN LABS INC                                              X            1       300       0         0
PROTEIN DESIGN LABS INC                                    X                      1      3600       0         0
PROTEIN DESIGN LABS INC                                    X                      3      4500       0         0
PROVIDENT BANKSHARES CORP.                                 X                      3     10700       0         0
PROVIDENT BANKSHARES CORPORATION                                     X            1     10161       0         0
PROVIDENT BANKSHARES CORPORATION                           X                      1      1402       0         0
PROVIDENT FINANCIAL GROUP INC                              X                      1      1000       0         0
PROVIDENT FINANCIAL GROUP, INC.                            X                      3     24572       0         0
PROVIDIAN FINANCIAL CORP COM                               X                      1     18000       0         0
PROXYMED INCORPORATED NEW                                            X            1       500       0         0
PRUDENTIAL FINANCIAL INC                                             X            1       468       0         0
PRUDENTIAL FINANCIAL INC                                   X                      1      3263       0         0
PSS WORLD MEDICAL, INC.                                    X                      3      6700       0         0
PSYCHIATRIC SOLUTIONS INC                                  X                      1      3000       0         0
PSYCHIATRIC SOLUTIONS INC                                  X                      3      3700       0         0
PUBLIC SVC ENTERPRISE GROUP INC                                      X            1      5835       0         0
PUBLIC SVC ENTERPRISE GROUP INC                            X                      1      6638       0         0
PUGET ENERGY INC COM                                       X                      1      1211       0         0
QLOGIC CORP COM                                            X                      1      4153       0         0
QLOGIC CORP.                                               X                      3     28600       0         0
QUALCOMM INC COM                                                     X            1       875       0       200
QUALCOMM INC COM                                           X                      1      2055       0         0
QUANEX CORP.                                               X                      3     19000       0         0
QUEST DIAGNOSTICS INC                                                X            1      7044       0       150
QUEST DIAGNOSTICS INC                                      X                      1     13699       0         0
QUESTAR CORP COM                                                     X            1      1600       0         0
QUESTAR CORP COM                                           X                      1      1200       0         0
QUIKSILVER, INC.                                           X                      3     45600       0         0
QWEST COMMUNICATIONS INTL INC                                        X            1      2950       0       919
QWEST COMMUNICATIONS INTL INC                              X                      1      5877       0         0
R H DONNELLEY CORP                                                   X            1       311       0         0
R.J. REYNOLDS TOBACCO HOLDINGS, INC.                       X                      3     11900       0         0
RADIO ONE INC CL D                                         X                      1      3800       0         0
RADIO ONE, INC. NON VOTING CL D                            X                      3     25100       0         0
RADIOSHACK CORP COM                                        X                      1      2000       0         0
RADISYS CORP.                                              X                      3     26400       0         0
RAIT INVESTMENT TRUST                                      X                      3     12600       0         0
RANGE RESOURCES CORP.                                      X                      3      5600       0         0
RAVEN INDUSTRIES INC                                       X                      1       100       0         0
RAYTHEON CO COM NEW                                                  X            1     25958       0      3020
RAYTHEON CO COM NEW                                        X                      1    165760       0      2500
RAYTHEON CO COM NEW                                        X                      3    188233       0         0
RAYTHEON CO COM NEW                                        X                      3      1010       0         0
REALTY INCOME CORPORATION                                  X                      2      5000       0         0
RED HAT INC COM                                                      X            1       100       0         0


                                    25 of 41




                                                                                                    
RED HAT INC COM                                  COMMON STOCK     756577102           46             2000  SHARES
RED ROBIN GOURMET BURGERS                        COMMON STOCK     75689M101          348            12700  SHARES
REDWOOD TRUST, INC.                              COMMON STOCK     758075402          301             5400  SHARES
REGIONS FINANCIAL CORP COM                       COMMON STOCK     758940100          183             5010  SHARES
REGIONS FINANCIAL CORP COM                       COMMON STOCK     758940100           32              880  SHARES
RELIANT ENERGY INC                               COMMON STOCK     75952B105           27             2523  SHARES
RELIANT ENERGY INC                               COMMON STOCK     75952B105           12             1115  SHARES
RELIANT ENERGY INC                               COMMON STOCK     75952B105           26             2365  SHARES
REMEC INC                                        COMMON STOCK     759543101           75            11800  SHARES
REMEC INC                                        COMMON STOCK     759543101           93            14700  SHARES
RENAL CARE GROUP INC COM                         COMMON STOCK     759930100           20              600  SHARES
REPUBLIC BANCORP, INC.                           COMMON STOCK     760282103          873            62823  SHARES
REPUBLIC FIRST BANCORP INCORPORATED              COMMON STOCK     760416107           23             1800  SHARES
REX STORES CORP.                                 COMMON STOCK     761624105          402            32800  SHARES
REYNOLDS R J TOB HLDGS INC                       COMMON STOCK     76182K105           30              450  SHARES
REYNOLDS R J TOB HLDGS INC                       COMMON STOCK     76182K105          185             2738  SHARES
RF MICRO DEVICES INC COM                         COMMON STOCK     749941100           86            11400  SHARES
RF MICRO DEVICES, INC.                           COMMON STOCK     749941100          639            85200  SHARES
RIGGS NATIONAL CORPORATION WASH DC               COMMON STOCK     766570105            1               52  SHARES
RITE AID CORP COM                                COMMON STOCK     767754104            9             1700  SHARES
RITE AID CORP COM                                COMMON STOCK     767754104           26             5000  SHARES
ROCKWELL AUTOMATION INC.                         COMMON STOCK     773903109          151             4017  SHARES
ROCKWELL AUTOMATION INC.                         COMMON STOCK     773903109          556            14831  SHARES
ROCKWELL AUTOMATION, INC.                        COMMON STOCK     773903109         1620            43200  SHARES
ROCKWELL COLLINS COM                             COMMON STOCK     774341101          126             3767  SHARES
ROCKWELL COLLINS COM                             COMMON STOCK     774341101          126             3781  SHARES
ROHM & HAAS CO                                   COMMON STOCK     775371107          503            12096  SHARES
ROHM & HAAS CO                                   COMMON STOCK     775371107          256             6153  SHARES
ROHM & HAAS CO.                                  COMMON STOCK     775371107         1231            29600  SHARES
ROSS STORES INC COM                              COMMON STOCK     778296103           59             2200  SHARES
ROUSE CORP COM                                   COMMON STOCK     779273101          799            16815  SHARES
ROUSE CORP COM                                   COMMON STOCK     779273101          114             2400  SHARES
ROWAN COS INC                                    COMMON STOCK     779382100           15              600  SHARES
ROWE COMPANIES                                   COMMON STOCK     779528108          152            35813  SHARES
ROXIO, INC.                                      COMMON STOCK     780008108           79            16100  SHARES
ROYCE VALUE TRUST (CE)                           COMMON STOCK     780910105          763            43305  SHARES
RPM INCORPORATED OHIO                            COMMON STOCK     749685103          278            18300  SHARES
RPM INTL INC                                     COMMON STOCK     749685103          181            11880  SHARES
RPM INTL INC                                     COMMON STOCK     749685103           14              933  SHARES
RUBY TUESDAY                                     COMMON STOCK     781182100           49             1800  SHARES
RUDDICK CORP.                                    COMMON STOCK     781258108          584            26000  SHARES
RUDOLPH TECHNOLOGIES, INC.                       COMMON STOCK     781270103          542            29800  SHARES
RYANS RESTAURANT GROUP, INC.                     COMMON STOCK     783520109          524            33150  SHARES
RYDER SYSTEMS, INC.                              COMMON STOCK     783549108         1006            25100  SHARES
RYLAND GROUP, INC.                               COMMON STOCK     783764103         1064            13600  SHARES
S & T BANCORP INC                                COMMON STOCK     783859101           13              400  SHARES
SABRE HOLDINGS CORPORATION COM                   COMMON STOCK     785905100           13              467  SHARES
SAFEWAY INC COM                                  COMMON STOCK     786514208          192             7565  SHARES
SAFEWAY INC COM                                  COMMON STOCK     786514208           52             2048  SHARES
SALISBURY BANCORP INC.                           COMMON STOCK     795226109          207             5700  SHARES
SAN JUAN BASIN ROYALTY TR                        COMMON STOCK     798241105           24             1000  SHARES
SANDISK CORP COM                                 COMMON STOCK     80004C101           35             1600  SHARES
SANDY SPRING BANCORP INC                         COMMON STOCK     800363103          184             5300  SHARES
SANDY SPRING BANCORP INC                         COMMON STOCK     800363103          396            11398  SHARES
SANMINA-SCI CORP                                 COMMON STOCK     800907107          291            32000  SHARES
SANMINA-SCI CORP.                                COMMON STOCK     800907107         2073           227800  SHARES
SAPIENT CORP COM                                 COMMON STOCK     803062108           82            13700  SHARES
SAPIENT CORP COM                                 COMMON STOCK     803062108          102            17000  SHARES
SARA LEE CORP                                    COMMON STOCK     803111103         2125            92413  SHARES
SARA LEE CORP                                    COMMON STOCK     803111103         1761            76597  SHARES
SARA LEE CORP                                    COMMON STOCK     803111103          161             7000  SHARES
SAVVIS COMMUNICATIONS CORP                       COMMON STOCK     805423100            0              100  SHARES
SAXON CAPITAL, INC.                              COMMON STOCK     80556P302          336            14700  SHARES
SBC COMMUNICATIONS INC COM                       COMMON STOCK     78387G103         5493           226522  SHARES
SBC COMMUNICATIONS INC COM                       COMMON STOCK     78387G103         7331           302302  SHARES
SBC COMMUNICATIONS INC COM                       COMMON STOCK     78387G103           44             1795  SHARES
SBC COMMUNICATIONS, INC.                         COMMON STOCK     78387G103          800            32980  SHARES
SCANA CORP NEW COM                               COMMON STOCK     80589M102          587            16132  SHARES
SCANA CORP NEW COM                               COMMON STOCK     80589M102          264             7272  SHARES
SCHERING PLOUGH CORP                             COMMON STOCK     806605101         1892           102361  SHARES
SCHERING PLOUGH CORP                             COMMON STOCK     806605101         3622           196008  SHARES
SCHERING PLOUGH CORP                             COMMON STOCK     806605101            9              480  SHARES
SCHOLASTIC CORP                                  COMMON STOCK     807066105           12              400  SHARES
SCHWAB CHARLES CORP NEW COM                      COMMON STOCK     808513105          147            15314  SHARES
SCIENTIFIC ATLANTA INC                           COMMON STOCK     808655104           55             1600  SHARES


                                                                                     
RED HAT INC COM                                            X                      1      2000       0         0
RED ROBIN GOURMET BURGERS                                  X                      3     12700       0         0
REDWOOD TRUST, INC.                                        X                      3      5400       0         0
REGIONS FINANCIAL CORP COM                                           X            1      5010       0         0
REGIONS FINANCIAL CORP COM                                 X                      1       880       0         0
RELIANT ENERGY INC                                                   X            1      2523       0         0
RELIANT ENERGY INC                                         X                      1      1115       0         0
RELIANT ENERGY INC                                                   X            3      2365       0         0
REMEC INC                                                  X                      1     11800       0         0
REMEC INC                                                  X                      3     14700       0         0
RENAL CARE GROUP INC COM                                             X            1         0       0       600
REPUBLIC BANCORP, INC.                                     X                      3     62823       0         0
REPUBLIC FIRST BANCORP INCORPORATED                        X                      1      1800       0         0
REX STORES CORP.                                           X                      3     32800       0         0
REYNOLDS R J TOB HLDGS INC                                           X            1       450       0         0
REYNOLDS R J TOB HLDGS INC                                 X                      1      2738       0         0
RF MICRO DEVICES INC COM                                   X                      1     11400       0         0
RF MICRO DEVICES, INC.                                     X                      3     85200       0         0
RIGGS NATIONAL CORPORATION WASH DC                                   X            1        52       0         0
RITE AID CORP COM                                          X                      1      1700       0         0
RITE AID CORP COM                                          X                      3      5000       0         0
ROCKWELL AUTOMATION INC.                                             X            1      4017       0         0
ROCKWELL AUTOMATION INC.                                   X                      1     14831       0         0
ROCKWELL AUTOMATION, INC.                                  X                      3     43200       0         0
ROCKWELL COLLINS COM                                                 X            1      3767       0         0
ROCKWELL COLLINS COM                                       X                      1      3781       0         0
ROHM & HAAS CO                                                       X            1     12096       0         0
ROHM & HAAS CO                                             X                      1      6153       0         0
ROHM & HAAS CO.                                            X                      3     29600       0         0
ROSS STORES INC COM                                                  X            1      2200       0         0
ROUSE CORP COM                                                       X            1     16815       0         0
ROUSE CORP COM                                             X                      1      2400       0         0
ROWAN COS INC                                                        X            3       600       0         0
ROWE COMPANIES                                             X                      2     35813       0         0
ROXIO, INC.                                                X                      3     16100       0         0
ROYCE VALUE TRUST (CE)                                               X            1     43305       0         0
RPM INCORPORATED OHIO                                      X                      2     18300       0         0
RPM INTL INC                                                         X            1     11880       0         0
RPM INTL INC                                               X                      1       933       0         0
RUBY TUESDAY                                               X                      1      1800       0         0
RUDDICK CORP.                                              X                      3     26000       0         0
RUDOLPH TECHNOLOGIES, INC.                                 X                      3     29800       0         0
RYANS RESTAURANT GROUP, INC.                               X                      3     33150       0         0
RYDER SYSTEMS, INC.                                        X                      3     25100       0         0
RYLAND GROUP, INC.                                         X                      3     13600       0         0
S & T BANCORP INC                                                    X            1       400       0         0
SABRE HOLDINGS CORPORATION COM                                       X            1       467       0         0
SAFEWAY INC COM                                                      X            1      6065       0      1500
SAFEWAY INC COM                                            X                      1      2048       0         0
SALISBURY BANCORP INC.                             X                                     5700       0         0
SAN JUAN BASIN ROYALTY TR                                  X                      1      1000       0         0
SANDISK CORP COM                                           X                      1      1600       0         0
SANDY SPRING BANCORP INC                                             X            1      5300       0         0
SANDY SPRING BANCORP INC                                   X                      1     11398       0         0
SANMINA-SCI CORP                                           X                      1     32000       0         0
SANMINA-SCI CORP.                                          X                      3    227800       0         0
SAPIENT CORP COM                                           X                      1     13700       0         0
SAPIENT CORP COM                                           X                      3     17000       0         0
SARA LEE CORP                                                        X            1     75413       0     17000
SARA LEE CORP                                              X                      1     75597       0      1000
SARA LEE CORP                                                        X            3      5000       0      2000
SAVVIS COMMUNICATIONS CORP                                 X                      1       100       0         0
SAXON CAPITAL, INC.                                        X                      3     14700       0         0
SBC COMMUNICATIONS INC COM                                           X            1    204840       0     21682
SBC COMMUNICATIONS INC COM                                 X                      1    302152       0       150
SBC COMMUNICATIONS INC COM                                 X                      3      1795       0         0
SBC COMMUNICATIONS, INC.                                   X                      3     32980       0         0
SCANA CORP NEW COM                                                   X            1     14655       0      1477
SCANA CORP NEW COM                                         X                      1      7272       0         0
SCHERING PLOUGH CORP                                                 X            1     79579       0     22782
SCHERING PLOUGH CORP                                       X                      1    196008       0         0
SCHERING PLOUGH CORP                                                 X            3       480       0         0
SCHOLASTIC CORP                                            X                      1       400       0         0
SCHWAB CHARLES CORP NEW COM                                X                      1     15314       0         0
SCIENTIFIC ATLANTA INC                                               X            1         0       0      1600


                                    26 of 41




                                                                                                    
SCIENTIFIC ATLANTA INC                           COMMON STOCK     808655104            3              100  SHARES
SCIENTIFIC GAMES CORP CL A                       COMMON STOCK     80874P109           90             4700  SHARES
SCIENTIFIC GAMES CORP CL A                       COMMON STOCK     80874P109          109             5700  SHARES
SCOTTS CO CL A                                   COMMON STOCK     810186106          447             7000  SHARES
SCRIPPS E W CO OHIO CL A                         COMMON STOCK     811054204          200             1900  SHARES
SCS TRANSPORTATION, INC.                         COMMON STOCK     81111T102          124             4700  SHARES
SEABOARD CORPORATION DELAWARE                    COMMON STOCK     811543107           50              100  SHARES
SEAGATE TECHNOLOGY                               COMMON STOCK     G7945J104          188            13060  SHARES
SEALED AIR CORP NEW COM                          COMMON STOCK     81211K100            3               50  SHARES
SEALED AIR CORP NEW COM                          COMMON STOCK     81211K100          128             2400  SHARES
SEARS ROEBUCK & CO                               COMMON STOCK     812387108          233             6164  SHARES
SEARS ROEBUCK & CO                               COMMON STOCK     812387108          290             7671  SHARES
SEARS ROEBUCK & CO                               COMMON STOCK     812387108            2               50  SHARES
SECURE COMPUTING CORP                            COMMON STOCK     813705100          106             9100  SHARES
SECURE COMPUTING CORP                            COMMON STOCK     813705100          479            41100  SHARES
SEI CORP COM                                     COMMON STOCK     784117103           11              390  SHARES
SEI CORP COM                                     COMMON STOCK     784117103            6              200  SHARES
SELECT MEDICAL CORP                              COMMON STOCK     816196109           43             3200  SHARES
SELECT SECTOR SPDR  UTILITIES                    COMMON STOCK     81369Y886            8              350  SHARES
SELECT SECTOR SPDRTECHNOLOGY                     COMMON STOCK     81369Y803           25             1200  SHARES
SELECT SECTOR SPDRTECHNOLOGY                     COMMON STOCK     81369Y803            4              200  SHARES
SELECTIVE INS GROUP INC                          COMMON STOCK     816300107           20              500  SHARES
SELECTIVE INS GROUP INC                          COMMON STOCK     816300107          160             4000  SHARES
SELECTIVE INSURANCE GROUP, INC.                  COMMON STOCK     816300107          199             5000  SHARES
SEMPRA ENERGY                                    COMMON STOCK     816851109         1546            44900  SHARES
SEMPRA ENERGY COM                                COMMON STOCK     816851109           18              532  SHARES
SEMPRA ENERGY COM                                COMMON STOCK     816851109          225             6541  SHARES
SENIOR HOUSING PROPERTIES TR (REIT)              COMMON STOCK     81721M109            2              100  SHARES
SEROLOGICALS CORP                                COMMON STOCK     817523103           86             4300  SHARES
SEROLOGICALS CORP                                COMMON STOCK     817523103          108             5400  SHARES
SERVICE CORP. INTERNATIONAL                      COMMON STOCK     817565104          585            79400  SHARES
SERVICEMASTER CO COM                             COMMON STOCK     81760N109          179            14500  SHARES
SEVERN BANCORP INC                               COMMON STOCK     81811M100            8              300  SHARES
SHERWIN WILLIAMS CO COM                          COMMON STOCK     824348106          208             5000  SHARES
SHOPKO STORES, INC.                              COMMON STOCK     824911101          600            42400  SHARES
SIEBEL SYSTEMS INC COM                           COMMON STOCK     826170102          137            12855  SHARES
SIERRA PAC RES                                   COMMON STOCK     826428104            6              761  SHARES
SIGMA DESIGNS INC                                COMMON STOCK     826565103           87            10900  SHARES
SIGMA DESIGNS INC                                COMMON STOCK     826565103          109            13600  SHARES
SILICON GRAPHICS INC COM                         COMMON STOCK     827056102            1              251  SHARES
SILICON IMAGE INC COM                            COMMON STOCK     82705T102           66             5000  SHARES
SILICON IMAGE INC COM                            COMMON STOCK     82705T102          132            10100  SHARES
SILICON VALLEY BANCSHARES                        COMMON STOCK     827064106          904            22800  SHARES
SILICONIX INC                                    COMMON STOCK     827079203            5              100  SHARES
SIMON PROPERTY GROUP INC (REIT)                  COMMON STOCK     828806109          853            16594  SHARES
SIMON PROPERTY GROUP INC (REIT)                  COMMON STOCK     828806109          908            17658  SHARES
SIMON PROPERTY GROUP INCORPORATED                COMMON STOCK     828806109          656            12750  SHARES
SIRENZA MICRODEVICES INCORPORATED                COMMON STOCK     82966T106            1              165  SHARES
SIRIUS SATELLITE RADIO INC COM                   COMMON STOCK     82966U103           30             9750  SHARES
SITEL CORP.                                      COMMON STOCK     82980K107          514           121800  SHARES
SKY FINANCIAL GROUP INC                          COMMON STOCK     83080P103           25             1000  SHARES
SKYWORKS SOLUTIONS, INC.                         COMMON STOCK     83088M102          644            73800  SHARES
SKYWORKS SOLUTIONSINC                            COMMON STOCK     83088M102            2              280  SHARES
SKYWORKS SOLUTIONSINC                            COMMON STOCK     83088M102            9             1057  SHARES
SLM CORP COM                                     COMMON STOCK     78442P106         5531           136729  SHARES
SMITH INTL INC                                   COMMON STOCK     832110100          240             4300  SHARES
SMITH INTL INC                                   COMMON STOCK     832110100         3028            54310  SHARES
SMITHFIELD FOODS INC                             COMMON STOCK     832248108           59             2000  SHARES
SMURFIT STONE CONTAINER CORP COM                 COMMON STOCK     832727101           40             2000  SHARES
SMURFIT STONE CONTAINER CORP COM                 COMMON STOCK     832727101          239            11993  SHARES
SMURFIT-STONE CONTAINER CORP.                    COMMON STOCK     832727101         2308           115700  SHARES
SNAP ON INC                                      COMMON STOCK     833034101          332             9900  SHARES
SNAP ON INC                                      COMMON STOCK     833034101          116             3465  SHARES
SOLECTRON CORP                                   COMMON STOCK     834182107          123            18987  SHARES
SOLECTRON CORP                                   COMMON STOCK     834182107         4228           653499  SHARES
SOLECTRON CORP                                   COMMON STOCK     834182107         6304           974513  SHARES
SOLECTRON CORP                                   COMMON STOCK     834182107           20             3100  SHARES
SOLECTRON CORPORATION                            COMMON STOCK     834182107          341            52700  SHARES
SONIC AUTOMOTIVE, INC.                           COMMON STOCK     83545G102          297            13400  SHARES
SONIC SOLUTIONS                                  COMMON STOCK     835460106           62             2900  SHARES
SONIC SOLUTIONS                                  COMMON STOCK     835460106           77             3600  SHARES
SONICWALL INC                                    COMMON STOCK     835470105           13             1500  SHARES
SONOCO PRODUCTS CO COM                           COMMON STOCK     835495102           31             1200  SHARES
SOURCECORP, INC.                                 COMMON STOCK     836167106          831            30200  SHARES
SOUTH JERSEY INDUSTRIES INC                      COMMON STOCK     838518108           21              483  SHARES


                                                                                     
SCIENTIFIC ATLANTA INC                                     X                      1       100       0         0
SCIENTIFIC GAMES CORP CL A                                 X                      1      4700       0         0
SCIENTIFIC GAMES CORP CL A                                 X                      3      5700       0         0
SCOTTS CO CL A                                             X                      1      7000       0         0
SCRIPPS E W CO OHIO CL A                                   X                      1      1900       0         0
SCS TRANSPORTATION, INC.                                   X                      3      4700       0         0
SEABOARD CORPORATION DELAWARE                              X                      1         0       0       100
SEAGATE TECHNOLOGY                                                   X            1     13060       0         0
SEALED AIR CORP NEW COM                                              X            1        50       0         0
SEALED AIR CORP NEW COM                                    X                      1      2400       0         0
SEARS ROEBUCK & CO                                                   X            1      6164       0         0
SEARS ROEBUCK & CO                                         X                      1      7671       0         0
SEARS ROEBUCK & CO                                         X                      3        50       0         0
SECURE COMPUTING CORP                                      X                      1      9100       0         0
SECURE COMPUTING CORP                                      X                      3     41100       0         0
SEI CORP COM                                                         X            1       390       0         0
SEI CORP COM                                               X                      1       200       0         0
SELECT MEDICAL CORP                                        X                      1      3200       0         0
SELECT SECTOR SPDR  UTILITIES                                        X            1         0       0       350
SELECT SECTOR SPDRTECHNOLOGY                                         X            1         0       0      1200
SELECT SECTOR SPDRTECHNOLOGY                               X                      1       200       0         0
SELECTIVE INS GROUP INC                                              X            1       500       0         0
SELECTIVE INS GROUP INC                                    X                      1      4000       0         0
SELECTIVE INSURANCE GROUP, INC.                            X                      3      5000       0         0
SEMPRA ENERGY                                              X                      3     44900       0         0
SEMPRA ENERGY COM                                                    X            1       532       0         0
SEMPRA ENERGY COM                                          X                      1      6541       0         0
SENIOR HOUSING PROPERTIES TR (REIT)                                  X            1         0       0       100
SEROLOGICALS CORP                                          X                      1      4300       0         0
SEROLOGICALS CORP                                          X                      3      5400       0         0
SERVICE CORP. INTERNATIONAL                                X                      3     79400       0         0
SERVICEMASTER CO COM                                                 X            1         0       0     14500
SEVERN BANCORP INC                                                   X            1       300       0         0
SHERWIN WILLIAMS CO COM                                              X            1         0       0      5000
SHOPKO STORES, INC.                                        X                      3     42400       0         0
SIEBEL SYSTEMS INC COM                                     X                      1     12355       0       500
SIERRA PAC RES                                             X                      1       761       0         0
SIGMA DESIGNS INC                                          X                      1     10900       0         0
SIGMA DESIGNS INC                                          X                      3     13600       0         0
SILICON GRAPHICS INC COM                                   X                      1       251       0         0
SILICON IMAGE INC COM                                      X                      1      5000       0         0
SILICON IMAGE INC COM                                      X                      3     10100       0         0
SILICON VALLEY BANCSHARES                                  X                      3     22800       0         0
SILICONIX INC                                              X                      1       100       0         0
SIMON PROPERTY GROUP INC (REIT)                                      X            1     16594       0         0
SIMON PROPERTY GROUP INC (REIT)                            X                      1     17558       0       100
SIMON PROPERTY GROUP INCORPORATED                          X                      2     12750       0         0
SIRENZA MICRODEVICES INCORPORATED                                    X            1       165       0         0
SIRIUS SATELLITE RADIO INC COM                             X                      1      9750       0         0
SITEL CORP.                                                X                      3    121800       0         0
SKY FINANCIAL GROUP INC                                    X                      1      1000       0         0
SKYWORKS SOLUTIONS, INC.                                   X                      3     73800       0         0
SKYWORKS SOLUTIONSINC                                                X            1       280       0         0
SKYWORKS SOLUTIONSINC                                      X                      1      1057       0         0
SLM CORP COM                                               X                      2    136729       0         0
SMITH INTL INC                                                       X            1      4300       0         0
SMITH INTL INC                                             X                      1     54310       0         0
SMITHFIELD FOODS INC                                                 X            1      2000       0         0
SMURFIT STONE CONTAINER CORP COM                                     X            1      2000       0         0
SMURFIT STONE CONTAINER CORP COM                           X                      1     11993       0         0
SMURFIT-STONE CONTAINER CORP.                              X                      3    115700       0         0
SNAP ON INC                                                          X            1      9900       0         0
SNAP ON INC                                                X                      1      3465       0         0
SOLECTRON CORP                                                       X            1     14412       0      4575
SOLECTRON CORP                                             X                      1    647453       0      6046
SOLECTRON CORP                                             X                      3    944010       0     30503
SOLECTRON CORP                                             X                      3      3100       0         0
SOLECTRON CORPORATION                                      X                      2     52700       0         0
SONIC AUTOMOTIVE, INC.                                     X                      3     13400       0         0
SONIC SOLUTIONS                                            X                      1      2900       0         0
SONIC SOLUTIONS                                            X                      3      3600       0         0
SONICWALL INC                                              X                      1      1500       0         0
SONOCO PRODUCTS CO COM                                               X            1      1200       0         0
SOURCECORP, INC.                                           X                      3     30200       0         0
SOUTH JERSEY INDUSTRIES INC                                X                      1       483       0         0


                                    27 of 41




                                                                                                    
SOUTH TRUST CORP COM                             COMMON STOCK     844730101           44             1130  SHARES
SOUTH TRUST CORP COM                             COMMON STOCK     844730101          287             7400  SHARES
SOUTHERN CO COM                                  COMMON STOCK     842587107          701            24056  SHARES
SOUTHERN CO COM                                  COMMON STOCK     842587107          726            24892  SHARES
SOUTHERN CO COM                                  COMMON STOCK     842587107           29             1000  SHARES
SOUTHERN UNION CO NEW COM                        COMMON STOCK     844030106           10              476  SHARES
SOUTHTRUST CORP.                                 COMMON STOCK     844730101         1770            45600  SHARES
SOUTHWEST AIRLINES CO COM                        COMMON STOCK     844741108          221            13155  SHARES
SOUTHWEST AIRLINES CO COM                        COMMON STOCK     844741108          549            32747  SHARES
SOUTHWEST AIRLINES CO COM                        COMMON STOCK     844741108          959            57203  SHARES
SOUTHWEST GAS CORP COM                           COMMON STOCK     844895102           24             1000  SHARES
SOVEREIGN BANCORP INC COM                        COMMON STOCK     845905108           39             1755  SHARES
SOVEREIGN BANCORP INC COM                        COMMON STOCK     845905108          694            31395  SHARES
SOVEREIGN BANCORP INCORPORATED                   COMMON STOCK     845905108          389            17600  SHARES
SPATIALIGHT INC                                  COMMON STOCK     847248101          182            30000  SHARES
SPATIALIGHT INC                                  COMMON STOCK     847248101          218            36000  SHARES
SPDR TRUST SERIES 1 S&P 500 INDEX FD             COMMON STOCK     78462F103          152             1325  SHARES
SPDR TRUST SERIES 1 S&P 500 INDEX FD             COMMON STOCK     78462F103        10155            88668  SHARES
SPDR TRUST SERIES 1 S&P 500 INDEX FD             COMMON STOCK     78462F103          441             3850  SHARES
SPEEDWAY MOTORSPORTS INCORPORATED                COMMON STOCK     847788106            3              100  SHARES
SPRINT CORP FON GROUP                            COMMON STOCK     852061100          219            12457  SHARES
SPRINT CORP FON GROUP                            COMMON STOCK     852061100          558            31688  SHARES
SPX CORP COM                                     COMMON STOCK     784635104           19              400  SHARES
SPX CORP COM                                     COMMON STOCK     784635104          497            10695  SHARES
SPX CORP COM                                     COMMON STOCK     784635104           65             1408  SHARES
SPX CORP COM                                     COMMON STOCK     784635104            5              100  SHARES
SPX CORPORATION                                  COMMON STOCK     784635104          418             9000  SHARES
ST JOE CO COM                                    COMMON STOCK     790148100          981            24698  SHARES
ST JOE CO COM                                    COMMON STOCK     790148100         4124           103884  SHARES
ST JOE CO COM                                    COMMON STOCK     790148100           91             2300  SHARES
ST JOE CO COM                                    COMMON STOCK     790148100         6737           169680  SHARES
ST JOE CO COM                                    COMMON STOCK     790148100           28              700  SHARES
ST JUDE MEDICAL INC COM                          COMMON STOCK     790849103          291             3850  SHARES
ST PAUL TRAVELERS COMPANIES INC                  COMMON STOCK     792860108          903            22269  SHARES
ST PAUL TRAVELERS COMPANIES INC                  COMMON STOCK     792860108         6149           151672  SHARES
ST PAUL TRAVELERS COMPANIES INC                  COMMON STOCK     792860108         7387           182243  SHARES
ST PAUL TRAVELERS COMPANIES INC                  COMMON STOCK     792860108           39              950  SHARES
ST. JUDE MEDICAL, INC.                           COMMON STOCK     790849103         1679            22200  SHARES
STAGE STORES, INC.                               COMMON STOCK     85254C305          795            21100  SHARES
STANCORP FINANCIAL GROUP, INC.                   COMMON STOCK     852891100          951            14200  SHARES
STANDARD COMMERCIAL CORP.                        COMMON STOCK     853258101          368            20400  SHARES
STANDARD PACIFIC CORP NEW                        COMMON STOCK     85375C101           42              850  SHARES
STANDEX INTERNATIONAL CORPORATION                COMMON STOCK     854231107           18              670  SHARES
STANLEY WORKS COM                                COMMON STOCK     854616109          579            12700  SHARES
STANLEY WORKS COM                                COMMON STOCK     854616109         1137            24950  SHARES
STAPLES INC COM                                  COMMON STOCK     855030102          644            21892  SHARES
STAPLES INC COM                                  COMMON STOCK     855030102         7716           262361  SHARES
STAPLES INC COM                                  COMMON STOCK     855030102         9193           313549  SHARES
STAPLES INC COM                                  COMMON STOCK     855030102           48             1625  SHARES
STAR GAS PARTNERS LP                             COMMON STOCK     85512C105           23             1000  SHARES
STAR GAS PARTNERS LP                             COMMON STOCK     85512C105           35             1500  SHARES
STARBUCKS CORP COM                               COMMON STOCK     855244109           61             1400  SHARES
STARBUCKS CORP COM                               COMMON STOCK     855244109          418             9620  SHARES
STARRETT L S COMPANY CLASS A                     COMMON STOCK     855668109            3              200  SHARES
STARWOOD HOTELS & RESORTS                        COMMON STOCK     85590A203           35              771  SHARES
STARWOOD HOTELS & RESORTS                        COMMON STOCK     85590A203            7              154  SHARES
STATE STREET CORP                                COMMON STOCK     857477103         4862            99150  SHARES
STATE STREET CORP                                COMMON STOCK     857477103         1300            26500  SHARES
STATE STREET CORP.                               COMMON STOCK     857477103         1491            30400  SHARES
STEEL DYNAMICS, INC.                             COMMON STOCK     858119100         1108            38700  SHARES
STEEL TECHNOLOGIES, INC.                         COMMON STOCK     858147101          656            29700  SHARES
STEELCASE INC CL A                               COMMON STOCK     858155203           14             1000  SHARES
STERICYCLE INC COM                               COMMON STOCK     858912108           93             1800  SHARES
STERICYCLE, INC.                                 COMMON STOCK     858912108          621            12000  SHARES
STERIS CORP                                      COMMON STOCK     859152100           11              500  SHARES
STERLING FINANCIAL CORP                          COMMON STOCK     859317109          206             7906  SHARES
STERLING FINANCIAL CORP                          COMMON STOCK     859317109          885            33983  SHARES
STERLING FINANCIAL CORP.                         COMMON STOCK     859319105          252             7895  SHARES
STONE ENERGY CORP.                               COMMON STOCK     861642106          886            19400  SHARES
STORAGE TECHNOLOGY CORP                          COMMON STOCK     862111200            3              100  SHARES
STORAGE TECHNOLOGY CORP.                         COMMON STOCK     862111200          632            21800  SHARES
STRAYER EDUCATION, INC.                          COMMON STOCK     863236105          814             7300  SHARES
STRYKER CORP COM                                 COMMON STOCK     863667101          330             6000  SHARES
STRYKER CORP COM                                 COMMON STOCK     863667101          657            11950  SHARES
STURM RUGER & CO INC COM                         COMMON STOCK     864159108           12             1000  SHARES


                                                                                      
SOUTH TRUST CORP COM                                                 X         1         1130       0         0
SOUTH TRUST CORP COM                                       X                   1         7400       0         0
SOUTHERN CO COM                                                      X         1        19241       0      4815
SOUTHERN CO COM                                            X                   1        23892       0      1000
SOUTHERN CO COM                                            X                   3            0       0      1000
SOUTHERN UNION CO NEW COM                                            X         1          476       0         0
SOUTHTRUST CORP.                                           X                   3        45600       0         0
SOUTHWEST AIRLINES CO COM                                            X         1        13155       0         0
SOUTHWEST AIRLINES CO COM                                  X                   1        32747       0         0
SOUTHWEST AIRLINES CO COM                                  X                   3        48846       0      8357
SOUTHWEST GAS CORP COM                                               X         1         1000       0         0
SOVEREIGN BANCORP INC COM                                            X         1         1355       0       400
SOVEREIGN BANCORP INC COM                                  X                   1        31395       0         0
SOVEREIGN BANCORP INCORPORATED                             X                   2        17600       0         0
SPATIALIGHT INC                                            X                   1        30000       0         0
SPATIALIGHT INC                                            X                   3        36000       0         0
SPDR TRUST SERIES 1 S&P 500 INDEX FD                                 X         1         1325       0         0
SPDR TRUST SERIES 1 S&P 500 INDEX FD                       X                   1        88668       0         0
SPDR TRUST SERIES 1 S&P 500 INDEX FD                       X                   3         3850       0         0
SPEEDWAY MOTORSPORTS INCORPORATED                                    X         1          100       0         0
SPRINT CORP FON GROUP                                                X         1        12457       0         0
SPRINT CORP FON GROUP                                      X                   1        31688       0         0
SPX CORP COM                                                         X         1          400       0         0
SPX CORP COM                                               X                   1        10695       0         0
SPX CORP COM                                               X                   3            0       0      1408
SPX CORP COM                                               X                   3          100       0         0
SPX CORPORATION                                            X                   2         9000       0         0
ST JOE CO COM                                                        X         1        24698       0         0
ST JOE CO COM                                              X                   1       102174       0      1710
ST JOE CO COM                                                        X         3         2300       0         0
ST JOE CO COM                                              X                   3       169680       0         0
ST JOE CO COM                                              X                   3          700       0         0
ST JUDE MEDICAL INC COM                                    X                   1         3850       0         0
ST PAUL TRAVELERS COMPANIES INC                                      X         1        20668       0      1601
ST PAUL TRAVELERS COMPANIES INC                            X                   1       150115       0      1557
ST PAUL TRAVELERS COMPANIES INC                            X                   3       182243       0         0
ST PAUL TRAVELERS COMPANIES INC                            X                   3          950       0         0
ST. JUDE MEDICAL, INC.                                     X                   3        22200       0         0
STAGE STORES, INC.                                         X                   3        21100       0         0
STANCORP FINANCIAL GROUP, INC.                             X                   3        14200       0         0
STANDARD COMMERCIAL CORP.                                  X                   3        20400       0         0
STANDARD PACIFIC CORP NEW                                            X         1          850       0         0
STANDEX INTERNATIONAL CORPORATION                          X                   1          670       0         0
STANLEY WORKS COM                                                    X         1         5900       0      6800
STANLEY WORKS COM                                          X                   1        24950       0         0
STAPLES INC COM                                                      X         1        21892       0         0
STAPLES INC COM                                            X                   1       261584       0       777
STAPLES INC COM                                            X                   3       313549       0         0
STAPLES INC COM                                            X                   3         1625       0         0
STAR GAS PARTNERS LP                                                 X         1         1000       0         0
STAR GAS PARTNERS LP                                       X                   1         1500       0         0
STARBUCKS CORP COM                                                   X         1         1400       0         0
STARBUCKS CORP COM                                         X                   1         9620       0         0
STARRETT L S COMPANY CLASS A                               X                   1          200       0         0
STARWOOD HOTELS & RESORTS                                            X         1            0       0       771
STARWOOD HOTELS & RESORTS                                  X                   1          154       0         0
STATE STREET CORP                                                    X         1        94150       0      5000
STATE STREET CORP                                          X                   1        26500       0         0
STATE STREET CORP.                                         X                   3        30400       0         0
STEEL DYNAMICS, INC.                                       X                   3        38700       0         0
STEEL TECHNOLOGIES, INC.                                   X                   3        29700       0         0
STEELCASE INC CL A                                                   X         1            0       0      1000
STERICYCLE INC COM                                         X                   1         1800       0         0
STERICYCLE, INC.                                           X                   3        12000       0         0
STERIS CORP                                                X                   1          500       0         0
STERLING FINANCIAL CORP                                              X         1         3906       0      4000
STERLING FINANCIAL CORP                                    X                   1        33983       0         0
STERLING FINANCIAL CORP.                                   X                   3         7895       0         0
STONE ENERGY CORP.                                         X                   3        19400       0         0
STORAGE TECHNOLOGY CORP                                    X                   1          100       0         0
STORAGE TECHNOLOGY CORP.                                   X                   3        21800       0         0
STRAYER EDUCATION, INC.                                    X                   3         7300       0         0
STRYKER CORP COM                                                     X         1         3000       0      3000
STRYKER CORP COM                                           X                   1        11950       0         0
STURM RUGER & CO INC COM                                             X         1         1000       0         0


                                    28 of 41




                                                                                                    
STURM RUGER & CO INC COM                         COMMON STOCK     864159108            6              500  SHARES
SUBURBAN PROPANE PARTNERS LP LIMITED             COMMON STOCK     864482104           16              500  SHARES
SUN BANCORP INC COM                              COMMON STOCK     866634108          429            19174  SHARES
SUN MICROSYSTEMS INC COM                         COMMON STOCK     866810104          148            34217  SHARES
SUN MICROSYSTEMS INC COM                         COMMON STOCK     866810104          213            49255  SHARES
SUN MICROSYSTEMS INCORPORATED                    COMMON STOCK     866810104           85            19600  SHARES
SUNGARD DATA SYS INC                             COMMON STOCK     867363103           90             3446  SHARES
SUNGARD DATA SYS INC                             COMMON STOCK     867363103           55             2100  SHARES
SUNOCO INC COM                                   COMMON STOCK     86764P109           68             1073  SHARES
SUNOCO LOGISTICS PARTNERS LP                     COMMON STOCK     86764L108            7              200  SHARES
SUNOCO LOGISTICS PARTNERS LP                     COMMON STOCK     86764L108           18              500  SHARES
SUNRISE SENIOR LIVING INC                        COMMON STOCK     86768K106           22              550  SHARES
SUNRISE SENIOR LIVING INC                        COMMON STOCK     86768K106            6              150  SHARES
SUNRISE SENIOR LIVING, INC.                      COMMON STOCK     86768K106          438            11200  SHARES
SUNTRUST BKS INC COM                             COMMON STOCK     867914103         3279            50448  SHARES
SUNTRUST BKS INC COM                             COMMON STOCK     867914103          369             5671  SHARES
SUNTRUST BKS INC COM                             COMMON STOCK     867914103          104             1603  SHARES
SUPREME INDUSTRIES INC CLASS A                   COMMON STOCK     868607102          296            45892  SHARES
SURMODICS INC                                    COMMON STOCK     868873100            7              300  SHARES
SUSQUEHANNA BANCSHARES INC PA COM                COMMON STOCK     869099101           55             2175  SHARES
SUSQUEHANNA BANCSHARES INC PA COM                COMMON STOCK     869099101         1879            74680  SHARES
SWIFT ENERGY CO.                                 COMMON STOCK     870738101          545            24700  SHARES
SYBASE, INC.                                     COMMON STOCK     871130100          722            40100  SHARES
SYMANTEC CORP COM                                COMMON STOCK     871503108          118             2700  SHARES
SYMANTEC CORP COM                                COMMON STOCK     871503108          205             4676  SHARES
SYMBOL TECHNOLOGIES INC                          COMMON STOCK     871508107          452            30680  SHARES
SYMBOL TECHNOLOGIES INC                          COMMON STOCK     871508107         6154           417504  SHARES
SYMBOL TECHNOLOGIES INC                          COMMON STOCK     871508107         7906           536359  SHARES
SYMBOL TECHNOLOGIES INC                          COMMON STOCK     871508107           43             2900  SHARES
SYMYX TECHNOLOGIES, INC.                         COMMON STOCK     87155S108          769            31900  SHARES
SYNOPSYS INC COM                                 COMMON STOCK     871607107           23              800  SHARES
SYNOVUS FINL CORP COM                            COMMON STOCK     87161C105           20              800  SHARES
SYSCO CORP                                       COMMON STOCK     871829107        13021           363010  SHARES
SYSCO CORP                                       COMMON STOCK     871829107         2533            70605  SHARES
SYSCO CORP                                       COMMON STOCK     871829107          279             7782  SHARES
SYSCO CORP.                                      COMMON STOCK     871829107          386            10750  SHARES
TALK AMERICA HOLDINGS, INC.                      COMMON STOCK     87426R202          511            66600  SHARES
TANGER FACTORY OUTLET CENTERS INC                COMMON STOCK     875465106            4              100  SHARES
TARGET CORP                                      COMMON STOCK     87612E106          527            12400  SHARES
TARGET CORP COM                                  COMMON STOCK     87612E106         1087            25589  SHARES
TARGET CORP COM                                  COMMON STOCK     87612E106         5638           132751  SHARES
TARGET CORP COM                                  COMMON STOCK     87612E106           51             1200  SHARES
TARGET CORP COM                                  COMMON STOCK     87612E106         2418            56964  SHARES
TARGETED GENETICS CORP                           COMMON STOCK     87612M108            2             1000  SHARES
TASTY BAKING CO WITH RIGHTS 07/29/13             COMMON STOCK     876553306            6              625  SHARES
TCF FINL CORP COM                                COMMON STOCK     872275102            7              125  SHARES
TECH DATA CORP COM                               COMMON STOCK     878237106           23              600  SHARES
TECHNOLOGY RESEARCH CORPORATION                  COMMON STOCK     878727304           36             2900  SHARES
TECHNOLOGY RESEARCH CORPORATION                  COMMON STOCK     878727304           44             3600  SHARES
TECO ENERGY INC                                  COMMON STOCK     872375100          474            39511  SHARES
TECO ENERGY INC                                  COMMON STOCK     872375100          382            31836  SHARES
TELEDYNE TECHNOLOGIES INC COM                    COMMON STOCK     879360105            6              275  SHARES
TELIK, INC.                                      COMMON STOCK     87959M109          590            24700  SHARES
TELULAR CORP                                     COMMON STOCK     87970T208           58             8000  SHARES
TELULAR CORP                                     COMMON STOCK     87970T208           72            10000  SHARES
TEMPLE INLAND INC                                COMMON STOCK     879868107            7              106  SHARES
TENET HEALTHCARE CORP                            COMMON STOCK     88033G100           36             2687  SHARES
TENNECO AUTOMOTIVE INC                           COMMON STOCK     880349105            1              100  SHARES
TEPPCO PARTNERS LIMITED PARTNERSHIP              COMMON STOCK     872384102          748            19650  SHARES
TEPPCO PARTNERS LTD PARTNERS                     COMMON STOCK     872384102          152             4000  SHARES
TEPPCO PARTNERS LTD PARTNERS                     COMMON STOCK     872384102          103             2700  SHARES
TERAYON COMMUNICATION SYS INC COM                COMMON STOCK     880775101            0               44  SHARES
TESORO PETROLEUM CORP.                           COMMON STOCK     881609101         1308            47400  SHARES
TEXAS GENCO HOLDINGS INC                         COMMON STOCK     882443104            7              160  SHARES
TEXAS GENCO HOLDINGS INC                         COMMON STOCK     882443104            1               20  SHARES
TEXAS GENCO HOLDINGS INC                         COMMON STOCK     882443104            7              150  SHARES
TEXAS INSTRUMENTS INC                            COMMON STOCK     882508104         2327            96239  SHARES
TEXAS INSTRUMENTS INC                            COMMON STOCK     882508104         4888           202168  SHARES
TEXAS INSTRUMENTS INC                            COMMON STOCK     882508104          788            32596  SHARES
TEXAS INSTRUMENTS INC                            COMMON STOCK     882508104            4              160  SHARES
TEXAS INSTRUMENTS INCORPORATED                   COMMON STOCK     882508104         2141            88550  SHARES
TEXTRON INC COM                                  COMMON STOCK     883203101           65             1100  SHARES
TEXTRON INC COM                                  COMMON STOCK     883203101          361             6088  SHARES
TF FINANCIAL CORP                                COMMON STOCK     872391107          150             5000  SHARES
THE BANCORP BANK                                 COMMON STOCK     05969F104           19             1100  SHARES


                                                                                      
STURM RUGER & CO INC COM                                   X                   1          500       0         0
SUBURBAN PROPANE PARTNERS LP LIMITED                                 X         1            0       0       500
SUN BANCORP INC COM                                                  X         1        19174       0         0
SUN MICROSYSTEMS INC COM                                             X         1        34217       0         0
SUN MICROSYSTEMS INC COM                                   X                   1        49255       0         0
SUN MICROSYSTEMS INCORPORATED                              X                   2        19600       0         0
SUNGARD DATA SYS INC                                                 X         1         3446       0         0
SUNGARD DATA SYS INC                                       X                   1         2100       0         0
SUNOCO INC COM                                             X                   1         1073       0         0
SUNOCO LOGISTICS PARTNERS LP                                         X         1          200       0         0
SUNOCO LOGISTICS PARTNERS LP                               X                   1          500       0         0
SUNRISE SENIOR LIVING INC                                            X         1          550       0         0
SUNRISE SENIOR LIVING INC                                  X                   1          150       0         0
SUNRISE SENIOR LIVING, INC.                                X                   3        11200       0         0
SUNTRUST BKS INC COM                                                 X         1        48748       0      1700
SUNTRUST BKS INC COM                                       X                   1         5671       0         0
SUNTRUST BKS INC COM                                                 X         3            0       0      1603
SUPREME INDUSTRIES INC CLASS A                                       X         1        45892       0         0
SURMODICS INC                                              X                   1          300       0         0
SUSQUEHANNA BANCSHARES INC PA COM                                    X         1         1500       0       675
SUSQUEHANNA BANCSHARES INC PA COM                          X                   1        74680       0         0
SWIFT ENERGY CO.                                           X                   3        24700       0         0
SYBASE, INC.                                               X                   3        40100       0         0
SYMANTEC CORP COM                                                    X         1         2700       0         0
SYMANTEC CORP COM                                          X                   1         4676       0         0
SYMBOL TECHNOLOGIES INC                                              X         1        25930       0      4750
SYMBOL TECHNOLOGIES INC                                    X                   1       411784       0      5720
SYMBOL TECHNOLOGIES INC                                    X                   3       536359       0         0
SYMBOL TECHNOLOGIES INC                                    X                   3         2900       0         0
SYMYX TECHNOLOGIES, INC.                                   X                   3        31900       0         0
SYNOPSYS INC COM                                           X                   1          800       0         0
SYNOVUS FINL CORP COM                                                X         1          800       0         0
SYSCO CORP                                                           X         1       363010       0         0
SYSCO CORP                                                 X                   1        70605       0         0
SYSCO CORP                                                 X                   3         5343       0      2439
SYSCO CORP.                                                X                   3        10750       0         0
TALK AMERICA HOLDINGS, INC.                                X                   3        66600       0         0
TANGER FACTORY OUTLET CENTERS INC                                    X         1          100       0         0
TARGET CORP                                                X                   2        12400       0         0
TARGET CORP COM                                                      X         1        25589       0         0
TARGET CORP COM                                            X                   1       132751       0         0
TARGET CORP COM                                                      X         3         1200       0         0
TARGET CORP COM                                            X                   3        52307       0      4657
TARGETED GENETICS CORP                                     X                   1         1000       0         0
TASTY BAKING CO WITH RIGHTS 07/29/13                                 X         1          625       0         0
TCF FINL CORP COM                                                    X         1          125       0         0
TECH DATA CORP COM                                                   X         1          600       0         0
TECHNOLOGY RESEARCH CORPORATION                            X                   1         2900       0         0
TECHNOLOGY RESEARCH CORPORATION                            X                   3         3600       0         0
TECO ENERGY INC                                                      X         1        38261       0      1250
TECO ENERGY INC                                            X                   1        31836       0         0
TELEDYNE TECHNOLOGIES INC COM                              X                   1          275       0         0
TELIK, INC.                                                X                   3        24700       0         0
TELULAR CORP                                               X                   1         8000       0         0
TELULAR CORP                                               X                   3        10000       0         0
TEMPLE INLAND INC                                          X                   1          106       0         0
TENET HEALTHCARE CORP                                      X                   1         2687       0         0
TENNECO AUTOMOTIVE INC                                     X                   1            0       0       100
TEPPCO PARTNERS LIMITED PARTNERSHIP                        X                   2        19650       0         0
TEPPCO PARTNERS LTD PARTNERS                                         X         1         4000       0         0
TEPPCO PARTNERS LTD PARTNERS                               X                   1         2700       0         0
TERAYON COMMUNICATION SYS INC COM                          X                   1           44       0         0
TESORO PETROLEUM CORP.                                     X                   3        47400       0         0
TEXAS GENCO HOLDINGS INC                                             X         1          160       0         0
TEXAS GENCO HOLDINGS INC                                   X                   1           20       0         0
TEXAS GENCO HOLDINGS INC                                             X         3          150       0         0
TEXAS INSTRUMENTS INC                                                X         1        90964       0      5275
TEXAS INSTRUMENTS INC                                      X                   1       201868       0       300
TEXAS INSTRUMENTS INC                                      X                   3        31596       0      1000
TEXAS INSTRUMENTS INC                                      X                   3          160       0         0
TEXAS INSTRUMENTS INCORPORATED                             X                   2        88550       0         0
TEXTRON INC COM                                                      X         1          100       0      1000
TEXTRON INC COM                                            X                   1         6088       0         0
TF FINANCIAL CORP                                          X                   1         5000       0         0
THE BANCORP BANK                                           X                   1         1100       0         0


                                    29 of 41




                                                                                                    
THE DIRECTV GROUP INC                            COMMON STOCK     25459L106           48             2828  SHARES
THE DIRECTV GROUP INC                            COMMON STOCK     25459L106           24             1376  SHARES
THE MACERICH COMPANY (REIT)                      COMMON STOCK     554382101           22              450  SHARES
THE MEDICINES COMPANY                            COMMON STOCK     584688105          110             3600  SHARES
THE PMI GROUP INC                                COMMON STOCK     69344M101          157             3600  SHARES
THERMO ELECTRON CORP COM                         COMMON STOCK     883556102           34             1100  SHARES
THERMO ELECTRON CORP COM                         COMMON STOCK     883556102            3              113  SHARES
THIRD WAVE TECHNOLOGIES, INC.                    COMMON STOCK     88428W108          533           118800  SHARES
THORNBURG MORTGAGE ASSET CO.                     COMMON STOCK     885218107           38             1400  SHARES
THORNBURG MTG INC (REIT)                         COMMON STOCK     885218107            9              350  SHARES
THORNBURG MTG INC (REIT)                         COMMON STOCK     885218107          175             6480  SHARES
TIBCO SOFTWARE INC COM                           COMMON STOCK     88632Q103           87            10300  SHARES
TIBCO SOFTWARE INC COM                           COMMON STOCK     88632Q103          105            12400  SHARES
TIFFANY & CO                                     COMMON STOCK     886547108           14              384  SHARES
TIME WARNER INC                                  COMMON STOCK     887317105         1192            67817  SHARES
TIME WARNER INC                                  COMMON STOCK     887317105         2878           163687  SHARES
TIME WARNER INC                                  COMMON STOCK     887317105          882            50191  SHARES
TIME WARNER INC                                  COMMON STOCK     887317105           20             1116  SHARES
TIME WARNER INC                                  COMMON STOCK     887317105         1453            82607  SHARES
TIME WARNER INC                                  COMMON STOCK     887317105            5              300  SHARES
TIMKEN CO COM                                    COMMON STOCK     887389104           30             1140  SHARES
TIMKEN CO.                                       COMMON STOCK     887389104          935            35300  SHARES
TIVO INC                                         COMMON STOCK     888706108            8             1100  SHARES
TOLL BROS INC                                    COMMON STOCK     889478103          970            22910  SHARES
TOLL BROS INC                                    COMMON STOCK     889478103         7504           177314  SHARES
TOLL BROS INC                                    COMMON STOCK     889478103        10094           238516  SHARES
TOLL BROS INC                                    COMMON STOCK     889478103           53             1260  SHARES
TOMPKINS TRUSTCO INC                             COMMON STOCK     890110109            5              110  SHARES
TOMPKINS TRUSTCO INC                             COMMON STOCK     890110109           57             1200  SHARES
TOOTSIE ROLL INDUSTRIES                          COMMON STOCK     890516107           41             1262  SHARES
TORO CO COM                                      COMMON STOCK     891092108           56              800  SHARES
TRADESTATION GROUP, INC.                         COMMON STOCK     89267P105          318            44200  SHARES
TRANSACT TECHNOLOGIES INC COM                    COMMON STOCK     892918103           48             1507  SHARES
TRANSACTION SYS ARCHITECTS INC CL A              COMMON STOCK     893416107           65             3022  SHARES
TRANSACTION SYS ARCHITECTS INC CL A              COMMON STOCK     893416107           79             3678  SHARES
TRANSGENOMIC, INC.                               COMMON STOCK     89365K206           66            48500  SHARES
TRANSOCEAN INC                                   COMMON STOCK     G90078109           79             2721  SHARES
TRANSOCEAN INC                                   COMMON STOCK     G90078109          895            30934  SHARES
TRANSOCEAN INC                                   COMMON STOCK     G90078109           69             2387  SHARES
TRANSOCEAN INC                                   COMMON STOCK     G90078109         1192            41180  SHARES
TREDEGAR CORP                                    COMMON STOCK     894650100           68             4212  SHARES
TRIAD HOSPITALS INC                              COMMON STOCK     89579K109           78             2100  SHARES
TRIAD HOSPITALS INC                              COMMON STOCK     89579K109          130             3485  SHARES
TRIAD HOSPITALS, INC.                            COMMON STOCK     89579K109          808            21700  SHARES
TRIBUNE CO NEW COM                               COMMON STOCK     896047107           59             1300  SHARES
TRIBUNE CO NEW COM                               COMMON STOCK     896047107         1411            30970  SHARES
TRIDENT MICROSYSTEMS, INC.                       COMMON STOCK     895919108           38             3400  SHARES
TRIMBLE NAV LTD COM                              COMMON STOCK     896239100           78             2800  SHARES
TRIMBLE NAVIGATION LTD.                          COMMON STOCK     896239100          639            23000  SHARES
TRINITY INDUSTRIES INC                           COMMON STOCK     896522109           83             2600  SHARES
TRINITY INDUSTRIES INC                           COMMON STOCK     896522109          114             3600  SHARES
TRIQUINT SEMICONDUCTOR, INC.                     COMMON STOCK     89674K103          670           122700  SHARES
TRIZEC PROPERTIES INC (REITS)                    COMMON STOCK     89687P107            5              300  SHARES
TRIZETTO GROUP, INC.                             COMMON STOCK     896882107          179            26700  SHARES
TRUSTCO BANK CORP NY COM                         COMMON STOCK     898349105          375            28643  SHARES
TRUSTCO BANK CORP NY COM                         COMMON STOCK     898349105           64             4884  SHARES
TUPPERWARE CORPORATION COM                       COMMON STOCK     899896104            5              250  SHARES
TXU CORP COM                                     COMMON STOCK     873168108            4              100  SHARES
TXU CORP COM                                     COMMON STOCK     873168108          110             2726  SHARES
TYCO INTERNATIONAL LTD                           COMMON STOCK     902124106         1179            35584  SHARES
TYCO INTERNATIONAL LTD                           COMMON STOCK     902124106         2492            75199  SHARES
TYCO INTERNATIONAL LTD                           COMMON STOCK     902124106         4963           149785  SHARES
TYCO INTERNATIONAL LTD                           COMMON STOCK     902124106           20              600  SHARES
TYCO INTERNATIONAL LTD                           COMMON STOCK     902124106           20              600  SHARES
TYSON FOODS INC COM                              COMMON STOCK     902494103           25             1200  SHARES
U S BANCORP DEL COM NEW                          COMMON STOCK     902973304         1039            37687  SHARES
U S BANCORP DEL COM NEW                          COMMON STOCK     902973304         3113           112961  SHARES
U S BANCORP DEL COM NEW                          COMMON STOCK     902973304           58             2100  SHARES
U S BANCORP DEL COM NEW                          COMMON STOCK     902973304          961            34872  SHARES
U S BANCORP DEL COM NEW                          COMMON STOCK     902973304            8              300  SHARES
UGI CORP                                         COMMON STOCK     902681105          217             6750  SHARES
UGI CORP                                         COMMON STOCK     902681105          220             6838  SHARES
UGI CORP.                                        COMMON STOCK     902681105          847            26400  SHARES
UIL HOLDINGS CORP.                               COMMON STOCK     902748102          458             9400  SHARES
UIL HOLDINGS CORPORATION                         COMMON STOCK     902748102           10              200  SHARES


                                                                                     
THE DIRECTV GROUP INC                                                X         1         1818       0      1010
THE DIRECTV GROUP INC                                      X                   1         1376       0         0
THE MACERICH COMPANY (REIT)                                X                   1          450       0         0
THE MEDICINES COMPANY                                      X                   1         3600       0         0
THE PMI GROUP INC                                          X                   1         3600       0         0
THERMO ELECTRON CORP COM                                             X         1         1100       0         0
THERMO ELECTRON CORP COM                                   X                   1          113       0         0
THIRD WAVE TECHNOLOGIES, INC.                              X                   3       118800       0         0
THORNBURG MORTGAGE ASSET CO.                               X                   3         1400       0         0
THORNBURG MTG INC (REIT)                                             X         1          350       0         0
THORNBURG MTG INC (REIT)                                   X                   1         6480       0         0
TIBCO SOFTWARE INC COM                                     X                   1        10300       0         0
TIBCO SOFTWARE INC COM                                     X                   3        12400       0         0
TIFFANY & CO                                               X                   1          384       0         0
TIME WARNER INC                                                      X         1        57042       0     10775
TIME WARNER INC                                            X                   1       163337       0       350
TIME WARNER INC                                            X                   2        50191       0         0
TIME WARNER INC                                                      X         3         1116       0         0
TIME WARNER INC                                            X                   3        82007       0       600
TIME WARNER INC                                            X                   3          300       0         0
TIMKEN CO COM                                                        X         1         1140       0         0
TIMKEN CO.                                                 X                   3        35300       0         0
TIVO INC                                                   X                   1         1100       0         0
TOLL BROS INC                                                        X         1        22260       0       650
TOLL BROS INC                                              X                   1       174854       0      2460
TOLL BROS INC                                              X                   3       238516       0         0
TOLL BROS INC                                              X                   3         1260       0         0
TOMPKINS TRUSTCO INC                                                 X         1          110       0         0
TOMPKINS TRUSTCO INC                                       X                   1         1200       0         0
TOOTSIE ROLL INDUSTRIES                                    X                   1         1262       0         0
TORO CO COM                                                X                   1          800       0         0
TRADESTATION GROUP, INC.                                   X                   3        44200       0         0
TRANSACT TECHNOLOGIES INC COM                              X                   1         1507       0         0
TRANSACTION SYS ARCHITECTS INC CL A                        X                   1         3022       0         0
TRANSACTION SYS ARCHITECTS INC CL A                        X                   3         3678       0         0
TRANSGENOMIC, INC.                                         X                   3        48500       0         0
TRANSOCEAN INC                                                       X         1         2721       0         0
TRANSOCEAN INC                                             X                   1        30934       0         0
TRANSOCEAN INC                                                       X         3         2387       0         0
TRANSOCEAN INC                                             X                   3        41180       0         0
TREDEGAR CORP                                              X                   1         4212       0         0
TRIAD HOSPITALS INC                                                  X         1            0       0      2100
TRIAD HOSPITALS INC                                        X                   1         3485       0         0
TRIAD HOSPITALS, INC.                                      X                   3        21700       0         0
TRIBUNE CO NEW COM                                                   X         1         1300       0         0
TRIBUNE CO NEW COM                                         X                   2        30970       0         0
TRIDENT MICROSYSTEMS, INC.                                 X                   3         3400       0         0
TRIMBLE NAV LTD COM                                        X                   1         2800       0         0
TRIMBLE NAVIGATION LTD.                                    X                   3        23000       0         0
TRINITY INDUSTRIES INC                                               X         1         2600       0         0
TRINITY INDUSTRIES INC                                     X                   1         3600       0         0
TRIQUINT SEMICONDUCTOR, INC.                               X                   3       122700       0         0
TRIZEC PROPERTIES INC (REITS)                                        X         1          300       0         0
TRIZETTO GROUP, INC.                                       X                   3        26700       0         0
TRUSTCO BANK CORP NY COM                                             X         1        28643       0         0
TRUSTCO BANK CORP NY COM                                   X                   1         4884       0         0
TUPPERWARE CORPORATION COM                                           X         1          250       0         0
TXU CORP COM                                                         X         1            0       0       100
TXU CORP COM                                               X                   1         2726       0         0
TYCO INTERNATIONAL LTD                                               X         1        30480       0      5104
TYCO INTERNATIONAL LTD                                     X                   1        66881       0      8318
TYCO INTERNATIONAL LTD                                     X                   2       149785       0         0
TYCO INTERNATIONAL LTD                                               X         3          600       0         0
TYCO INTERNATIONAL LTD                                     X                   3            0       0       600
TYSON FOODS INC COM                                                  X         1         1200       0         0
U S BANCORP DEL COM NEW                                              X         1        26690       0     10997
U S BANCORP DEL COM NEW                                    X                   1       112961       0         0
U S BANCORP DEL COM NEW                                              X         3         2100       0         0
U S BANCORP DEL COM NEW                                    X                   3        34872       0         0
U S BANCORP DEL COM NEW                                    X                   3          300       0         0
UGI CORP                                                             X         1         6750       0         0
UGI CORP                                                   X                   1         6838       0         0
UGI CORP.                                                  X                   3        26400       0         0
UIL HOLDINGS CORP.                                         X                   3         9400       0         0
UIL HOLDINGS CORPORATION                                   X                   1          200       0         0


                                    30 of 41




                                                                                                    
ULTRA CLEAN HOLDINGS, INC.                       COMMON STOCK     90385V107          305            41800  SHARES
ULTRA PETROLEUM CORP.                            COMMON STOCK     903914109          291             7800  SHARES
UNIFIRST CORP.                                   COMMON STOCK     904708104          378            13000  SHARES
UNION BANKSHARES CORPORATION                     COMMON STOCK     905399101            6              200  SHARES
UNION PACIFIC CORP COM                           COMMON STOCK     907818108          985            16563  SHARES
UNION PACIFIC CORP COM                           COMMON STOCK     907818108         1045            17582  SHARES
UNION PLANTERS CORP COM                          COMMON STOCK     908068109           13              450  SHARES
UNION PLANTERS CORP COM                          COMMON STOCK     908068109           48             1600  SHARES
UNISOURCE ENERGY CORP.                           COMMON STOCK     909205106         1056            42500  SHARES
UNITED DOMINION REALTY TRUST (REIT)              COMMON STOCK     910197102          206            10419  SHARES
UNITED DOMINION REALTY TRUST (REIT)              COMMON STOCK     910197102           71             3614  SHARES
UNITED NATURAL FOODS INC COM                     COMMON STOCK     911163103           58             2000  SHARES
UNITED NATURAL FOODS INC COM                     COMMON STOCK     911163103           72             2500  SHARES
UNITED PANAM FINANCIAL CORP.                     COMMON STOCK     911301109          356            20900  SHARES
UNITED PARCEL SERVICE CL B                       COMMON STOCK     911312106          216             2870  SHARES
UNITED PARCEL SERVICE CL B                       COMMON STOCK     911312106          878            11678  SHARES
UNITED PARCEL SERVICE CL B                       COMMON STOCK     911312106         1362            18115  SHARES
UNITED RENTALS, INC.                             COMMON STOCK     911363109          655            36600  SHARES
UNITED STATES STEEL CORP.                        COMMON STOCK     912909108         1816            51700  SHARES
UNITED STS STL CORP NEW                          COMMON STOCK     912909108            5              153  SHARES
UNITED STS STL CORP NEW                          COMMON STOCK     912909108          274             7800  SHARES
UNITED TECHNOLOGIES CORP COM                     COMMON STOCK     913017109         2373            25935  SHARES
UNITED TECHNOLOGIES CORP COM                     COMMON STOCK     913017109         4999            54650  SHARES
UNITED TECHNOLOGIES CORP COM                     COMMON STOCK     913017109          204             2232  SHARES
UNITED TECHNOLOGIES CORP COM                     COMMON STOCK     913017109          743             8125  SHARES
UNITED TECHNOLOGIES CORPORATION                  COMMON STOCK     913017109          274             3000  SHARES
UNITED THERAPEUTICS CORP                         COMMON STOCK     91307C102           72             2800  SHARES
UNITED THERAPEUTICS CORP                         COMMON STOCK     91307C102           87             3400  SHARES
UNITEDHEALTH GROUP INC                           COMMON STOCK     91324P102          106             1700  SHARES
UNITEDHEALTH GROUP INC                           COMMON STOCK     91324P102          496             7970  SHARES
UNITEDHEALTH GROUP INC                           COMMON STOCK     91324P102         2986            47960  SHARES
UNITRIN INC COM                                  COMMON STOCK     913275103           99             2315  SHARES
UNITRIN INC COM                                  COMMON STOCK     913275103           30              700  SHARES
UNIVERSAL CORP.                                  COMMON STOCK     913456109          637            12500  SHARES
UNIVERSAL DISPLAY CORP.                          COMMON STOCK     91347P105          105             9800  SHARES
UNIVERSAL FOREST PRODUCTS, INC.                  COMMON STOCK     913543104          800            24800  SHARES
UNIVEST CORP OF PA                               COMMON STOCK     915271100          332             6500  SHARES
UNIVISION COMMUNICATIONS INC COM                 COMMON STOCK     914906102            3              105  SHARES
UNOCAL CORP                                      COMMON STOCK     915289102          129             3400  SHARES
UNOCAL CORP                                      COMMON STOCK     915289102          383            10075  SHARES
UNOCAL CORP                                      COMMON STOCK     915289102           38             1000  SHARES
UNUMPROVIDENT CORPORATION                        COMMON STOCK     91529Y106         1059            66610  SHARES
UNVL HEALTH SERVICES INC CL B                    COMMON STOCK     913903100           17              360  SHARES
URSTADT BIDDLE PPTYS INC CL A (REIT)             COMMON STOCK     917286205           44             3000  SHARES
URSTADT BIDDLE PPTYS INC CL A (REIT)             COMMON STOCK     917286205           44             3000  SHARES
US BANCORP NEW                                   COMMON STOCK     902973304          400            14500  SHARES
US ONCOLOGY, INC.                                COMMON STOCK     90338W103         1013            68800  SHARES
USANA HEALTH SCIENCES INCORPORATED               COMMON STOCK     90328M107           68             2200  SHARES
USANA HEALTH SCIENCES INCORPORATED               COMMON STOCK     90328M107           84             2717  SHARES
UST INC COM                                      COMMON STOCK     902911106          403            11200  SHARES
UST INC COM                                      COMMON STOCK     902911106          522            14510  SHARES
UST INC COM                                      COMMON STOCK     902911106           18              500  SHARES
UTSTARCOM INC                                    COMMON STOCK     918076100            2               70  SHARES
V F CORP                                         COMMON STOCK     918204108          508            10440  SHARES
V F CORP                                         COMMON STOCK     918204108           49             1000  SHARES
VALEANT PHARMACEUTICALS INC                      COMMON STOCK     91911X104            4              180  SHARES
VALEANT PHARMACEUTICALS INC                      COMMON STOCK     91911X104            4              175  SHARES
VALERO ENERGY CORP COM                           COMMON STOCK     91913Y100           66              900  SHARES
VALERO ENERGY CORP COM                           COMMON STOCK     91913Y100          288             3900  SHARES
VALERO L P                                       COMMON STOCK     91913W104           16              335  SHARES
VAN KAMPEN MUNI OPP TRUST II                     COMMON STOCK     920944105           12              910  SHARES
VARIAN INC                                       COMMON STOCK     922206107            5              120  SHARES
VARIAN MEDICAL SYS INC COM                       COMMON STOCK     92220P105          119             1500  SHARES
VARIAN MEDICAL SYSTEMS, INC.                     COMMON STOCK     92220P105          801            10100  SHARES
VARIAN SEMICONDUCTOR EQUIP ASSOC COM             COMMON STOCK     922207105            5              120  SHARES
VASOGEN, INC.                                    COMMON STOCK     92232F103           55            11300  SHARES
VAXGEN INC                                       COMMON STOCK     922390208            5              345  SHARES
VENTIV HLTH INC COM                              COMMON STOCK     922793104            8              500  SHARES
VERISIGN INC COM                                 COMMON STOCK     92343E102           26             1300  SHARES
VERITAS SOFTWARE CORP                            COMMON STOCK     923436109          144             5175  SHARES
VERITAS SOFTWARE CORP                            COMMON STOCK     923436109         1682            60508  SHARES
VERITAS SOFTWARE CORP                            COMMON STOCK     923436109         2990           107854  SHARES
VERIZON COMMUNICATIONS COM                       COMMON STOCK     92343V104        12406           342798  SHARES
VERIZON COMMUNICATIONS COM                       COMMON STOCK     92343V104        21124           583705  SHARES
VERIZON COMMUNICATIONS COM                       COMMON STOCK     92343V104          206             5701  SHARES


                                                                                     
ULTRA CLEAN HOLDINGS, INC.                                 X                   3        41800       0         0
ULTRA PETROLEUM CORP.                                      X                   3         7800       0         0
UNIFIRST CORP.                                             X                   3        13000       0         0
UNION BANKSHARES CORPORATION                                         X         1          200       0         0
UNION PACIFIC CORP COM                                               X         1        13963       0      2600
UNION PACIFIC CORP COM                                     X                   1        17482       0       100
UNION PLANTERS CORP COM                                              X         1          450       0         0
UNION PLANTERS CORP COM                                    X                   1         1600       0         0
UNISOURCE ENERGY CORP.                                     X                   3        42500       0         0
UNITED DOMINION REALTY TRUST (REIT)                                  X         1         9419       0      1000
UNITED DOMINION REALTY TRUST (REIT)                        X                   1         3614       0         0
UNITED NATURAL FOODS INC COM                               X                   1         2000       0         0
UNITED NATURAL FOODS INC COM                               X                   3         2500       0         0
UNITED PANAM FINANCIAL CORP.                               X                   3        20900       0         0
UNITED PARCEL SERVICE CL B                                           X         1         2870       0         0
UNITED PARCEL SERVICE CL B                                 X                   1        11678       0         0
UNITED PARCEL SERVICE CL B                                 X                   3        15569       0      2546
UNITED RENTALS, INC.                                       X                   3        36600       0         0
UNITED STATES STEEL CORP.                                  X                   3        51700       0         0
UNITED STS STL CORP NEW                                              X         1          153       0         0
UNITED STS STL CORP NEW                                    X                   1         7800       0         0
UNITED TECHNOLOGIES CORP COM                                         X         1        25078       0       857
UNITED TECHNOLOGIES CORP COM                               X                   1        53725       0       925
UNITED TECHNOLOGIES CORP COM                                         X         3         2232       0         0
UNITED TECHNOLOGIES CORP COM                               X                   3         8125       0         0
UNITED TECHNOLOGIES CORPORATION                            X                   2         3000       0         0
UNITED THERAPEUTICS CORP                                   X                   1         2800       0         0
UNITED THERAPEUTICS CORP                                   X                   3         3400       0         0
UNITEDHEALTH GROUP INC                                               X         1          300       0      1400
UNITEDHEALTH GROUP INC                                     X                   1         7970       0         0
UNITEDHEALTH GROUP INC                                     X                   2        47960       0         0
UNITRIN INC COM                                                      X         1         2315       0         0
UNITRIN INC COM                                            X                   1          700       0         0
UNIVERSAL CORP.                                            X                   3        12500       0         0
UNIVERSAL DISPLAY CORP.                                    X                   3         9800       0         0
UNIVERSAL FOREST PRODUCTS, INC.                            X                   3        24800       0         0
UNIVEST CORP OF PA                                         X                   1         6500       0         0
UNIVISION COMMUNICATIONS INC COM                           X                   1          105       0         0
UNOCAL CORP                                                          X         1         3400       0         0
UNOCAL CORP                                                X                   1        10075       0         0
UNOCAL CORP                                                          X         3         1000       0         0
UNUMPROVIDENT CORPORATION                                  X                   2        66610       0         0
UNVL HEALTH SERVICES INC CL B                              X                   1          360       0         0
URSTADT BIDDLE PPTYS INC CL A (REIT)                                 X         1         3000       0         0
URSTADT BIDDLE PPTYS INC CL A (REIT)                       X                   1         3000       0         0
US BANCORP NEW                                             X                   2        14500       0         0
US ONCOLOGY, INC.                                          X                   3        68800       0         0
USANA HEALTH SCIENCES INCORPORATED                         X                   1         2200       0         0
USANA HEALTH SCIENCES INCORPORATED                         X                   3         2717       0         0
UST INC COM                                                          X         1         7600       0      3600
UST INC COM                                                X                   1        14350       0       160
UST INC COM                                                X                   3          500       0         0
UTSTARCOM INC                                                        X         1           70       0         0
V F CORP                                                             X         1        10440       0         0
V F CORP                                                   X                   1         1000       0         0
VALEANT PHARMACEUTICALS INC                                          X         1          180       0         0
VALEANT PHARMACEUTICALS INC                                X                   1          175       0         0
VALERO ENERGY CORP COM                                               X         1          900       0         0
VALERO ENERGY CORP COM                                     X                   1         3900       0         0
VALERO L P                                                 X                   1          335       0         0
VAN KAMPEN MUNI OPP TRUST II                               X                   1          910       0         0
VARIAN INC                                                 X                   1          120       0         0
VARIAN MEDICAL SYS INC COM                                 X                   1         1500       0         0
VARIAN MEDICAL SYSTEMS, INC.                               X                   3        10100       0         0
VARIAN SEMICONDUCTOR EQUIP ASSOC COM                       X                   1          120       0         0
VASOGEN, INC.                                              X                   3        11300       0         0
VAXGEN INC                                                 X                   1          345       0         0
VENTIV HLTH INC COM                                        X                   1          500       0         0
VERISIGN INC COM                                           X                   1         1300       0         0
VERITAS SOFTWARE CORP                                                X         1         4975       0       200
VERITAS SOFTWARE CORP                                      X                   1        60508       0         0
VERITAS SOFTWARE CORP                                      X                   3        98218       0      9636
VERIZON COMMUNICATIONS COM                                           X         1       320426       0     22372
VERIZON COMMUNICATIONS COM                                 X                   1       574595       0      9110
VERIZON COMMUNICATIONS COM                                           X         3         3901       0      1800


                                    31 of 41




                                                                                                    
VERIZON COMMUNICATIONS COM                       COMMON STOCK     92343V104         4403           121674  SHARES
VERSO TECHNOLOGIES INCORPORATED                  COMMON STOCK     925317109          111            64693  SHARES
VERSO TECHNOLOGIES INCORPORATED                  COMMON STOCK     925317109          137            80000  SHARES
VIACOM INC CL A                                  COMMON STOCK     925524100           16              450  SHARES
VIACOM INC CL A                                  COMMON STOCK     925524100           35              950  SHARES
VIACOM INC CL B                                  COMMON STOCK     925524308         1388            38849  SHARES
VIACOM INC CL B                                  COMMON STOCK     925524308         8081           226220  SHARES
VIACOM INC CL B                                  COMMON STOCK     925524308         9937           278205  SHARES
VIACOM INC CL B                                  COMMON STOCK     925524308           46             1280  SHARES
VIACOM INCORPORATED CLASS B                      COMMON STOCK     925524308          531            14870  SHARES
VICAL INCORPORATED                               COMMON STOCK     925602104            2              400  SHARES
VIROPHARMA, INC.                                 COMMON STOCK     928241108           42            23500  SHARES
VISHAY INTERTECHNOLOGY INC COM                   COMMON STOCK     928298108          307            16500  SHARES
VISHAY INTERTECHNOLOGY, INC.                     COMMON STOCK     928298108         1917           103200  SHARES
VISTEON CORP COM                                 COMMON STOCK     92839U107           52             4423  SHARES
VISTEON CORP COM                                 COMMON STOCK     92839U107            0                4  SHARES
VIVUS INC                                        COMMON STOCK     928551100            4             1000  SHARES
VORNADO REALTY TRUST                             COMMON STOCK     929042109          206             3600  SHARES
W HOLDING CO., INC.                              COMMON STOCK     929251106         1065            62000  SHARES
W R GRACE & CO                                   COMMON STOCK     38388F108            6             1000  SHARES
W W GRAINGER INC COM                             COMMON STOCK     384802104          351             6100  SHARES
W W GRAINGER INC COM                             COMMON STOCK     384802104          277             4820  SHARES
WACHOVIA CORP COM                                COMMON STOCK     929903102         5128           115229  SHARES
WACHOVIA CORP COM                                COMMON STOCK     929903102        15275           343251  SHARES
WACHOVIA CORP COM                                COMMON STOCK     929903102         6495           145962  SHARES
WACHOVIA CORP COM                                COMMON STOCK     929903102           28              625  SHARES
WACHOVIA CORPORATION NEW                         COMMON STOCK     929903102          285             6400  SHARES
WADDELL & REED FINL INC CL A                     COMMON STOCK     930059100          226            10200  SHARES
WADDELL & REED FINL INC CL A                     COMMON STOCK     930059100           81             3684  SHARES
WAL MART STORES INC COM                          COMMON STOCK     931142103         6733           127612  SHARES
WAL MART STORES INC COM                          COMMON STOCK     931142103        16779           318019  SHARES
WAL MART STORES INC COM                          COMMON STOCK     931142103           77             1454  SHARES
WAL MART STORES INC COM                          COMMON STOCK     931142103         7087           134329  SHARES
WAL MART STORES INC COM                          COMMON STOCK     931142103           33              625  SHARES
WAL MART STORES INCORPORATED                     COMMON STOCK     931142103          503             9532  SHARES
WALGREEN CO                                      COMMON STOCK     931422109          744            20550  SHARES
WALGREEN CO                                      COMMON STOCK     931422109          933            25773  SHARES
WALGREEN CO                                      COMMON STOCK     931422109          109             3000  SHARES
WALT DISNEY CO COM                               COMMON STOCK     254687106         3471           136159  SHARES
WALT DISNEY CO COM                               COMMON STOCK     254687106         6919           271452  SHARES
WALT DISNEY CO COM                               COMMON STOCK     254687106          241             9441  SHARES
WALT DISNEY CO COM                               COMMON STOCK     254687106          960            37633  SHARES
WALT DISNEY CO COM                               COMMON STOCK     254687106            8              300  SHARES
WALT DISNEY COMPANY                              COMMON STOCK     254687106          363            14246  SHARES
WALTER INDUSTRIES, INC.                          COMMON STOCK     93317Q105          602            44200  SHARES
WASHINGTON MUTUAL COM                            COMMON STOCK     939322103         1321            34190  SHARES
WASHINGTON MUTUAL COM                            COMMON STOCK     939322103         2262            58534  SHARES
WASHINGTON MUTUAL COM                            COMMON STOCK     939322103            8              200  SHARES
WASHINGTON MUTUAL INCORPORATED                   COMMON STOCK     939322103         3340            86430  SHARES
WASHINGTON REAL ESTATE INVT (REIT)               COMMON STOCK     939653101           18              600  SHARES
WASHINGTON REAL ESTATE INVT (REIT)               COMMON STOCK     939653101          188             6399  SHARES
WASTE CONNECTIONS INC                            COMMON STOCK     941053100           72             2412  SHARES
WASTE CONNECTIONS, INC.                          COMMON STOCK     941053100          445            15000  SHARES
WASTE MANAGEMENT INC COM                         COMMON STOCK     94106L109          158             5147  SHARES
WASTE MANAGEMENT INC COM                         COMMON STOCK     94106L109           64             2077  SHARES
WATER PIK TECHNOLOGIES INC COM                   COMMON STOCK     94113U100            2               96  SHARES
WATERS CORP COM                                  COMMON STOCK     941848103           29              600  SHARES
WATSON PHARMACEUTICALS INC COM                   COMMON STOCK     942683103           41             1526  SHARES
WATSON PHARMACEUTICALS INC COM                   COMMON STOCK     942683103          146             5433  SHARES
WATSON PHARMACEUTICALS, INC.                     COMMON STOCK     942683103          707            26300  SHARES
WAYPOINT FINL CORP COM                           COMMON STOCK     946756103           19              693  SHARES
WAYPOINT FINL CORP COM                           COMMON STOCK     946756103         4093           148338  SHARES
WCI COMMUNITIES, INC.                            COMMON STOCK     92923C104          355            15900  SHARES
WD 40 CO COM                                     COMMON STOCK     929236107           66             2200  SHARES
WEATHERFORD INTERNATIONAL, INC.                  COMMON STOCK     G95089101          967            21500  SHARES
WEBMETHODS INCORPORATED                          COMMON STOCK     94768C108           66             7706  SHARES
WEBMETHODS INCORPORATED                          COMMON STOCK     94768C108           82             9594  SHARES
WEBSENSE, INC.                                   COMMON STOCK     947684106          205             5500  SHARES
WEBSTER FINL CORP WATERBURY COM                  COMMON STOCK     947890109           28              600  SHARES
WEINGARTEN REALTY INVESTORS                      COMMON STOCK     948741103         1136            36325  SHARES
WEINGARTEN REALTY INVESTORS (REIT)               COMMON STOCK     948741103            9              299  SHARES
WEIS MARKETS INC                                 COMMON STOCK     948849104           53             1518  SHARES
WELLPOINT HEALTH NETWORKS COM                    COMMON STOCK     94973H108           29              260  SHARES
WELLS FARGO CO                                   COMMON STOCK     949746101         6105           106671  SHARES
WELLS FARGO CO                                   COMMON STOCK     949746101        11251           196593  SHARES


                                                                                     
VERIZON COMMUNICATIONS COM                                 X                   3       120370       0      1304
VERSO TECHNOLOGIES INCORPORATED                            X                   1        64693       0         0
VERSO TECHNOLOGIES INCORPORATED                            X                   3        80000       0         0
VIACOM INC CL A                                                      X         1          450       0         0
VIACOM INC CL A                                            X                   1          950       0         0
VIACOM INC CL B                                                      X         1        35198       0      3651
VIACOM INC CL B                                            X                   1       225150       0      1070
VIACOM INC CL B                                            X                   3       273750       0      4455
VIACOM INC CL B                                            X                   3         1280       0         0
VIACOM INCORPORATED CLASS B                                X                   2        14870       0         0
VICAL INCORPORATED                                         X                   1          400       0         0
VIROPHARMA, INC.                                           X                   3        23500       0         0
VISHAY INTERTECHNOLOGY INC COM                             X                   1        16500       0         0
VISHAY INTERTECHNOLOGY, INC.                               X                   3       103200       0         0
VISTEON CORP COM                                                     X         1         4293       0       130
VISTEON CORP COM                                           X                   1            4       0         0
VIVUS INC                                                  X                   1         1000       0         0
VORNADO REALTY TRUST                                       X                   2         3600       0         0
W HOLDING CO., INC.                                        X                   3        62000       0         0
W R GRACE & CO                                                       X         1         1000       0         0
W W GRAINGER INC COM                                                 X         1         6100       0         0
W W GRAINGER INC COM                                       X                   1         4820       0         0
WACHOVIA CORP COM                                                    X         1       103538       0     11691
WACHOVIA CORP COM                                          X                   1       341961       0      1290
WACHOVIA CORP COM                                          X                   3       145962       0         0
WACHOVIA CORP COM                                          X                   3          625       0         0
WACHOVIA CORPORATION NEW                                   X                   2         6400       0         0
WADDELL & REED FINL INC CL A                                         X         1        10200       0         0
WADDELL & REED FINL INC CL A                               X                   1         3684       0         0
WAL MART STORES INC COM                                              X         1       120362       0      7250
WAL MART STORES INC COM                                    X                   1       315025       0      2994
WAL MART STORES INC COM                                              X         3         1154       0       300
WAL MART STORES INC COM                                    X                   3       128417       0      5912
WAL MART STORES INC COM                                    X                   3          625       0         0
WAL MART STORES INCORPORATED                               X                   2         9532       0         0
WALGREEN CO                                                          X         1        13100       0      7450
WALGREEN CO                                                X                   1        25773       0         0
WALGREEN CO                                                X                   2         3000       0         0
WALT DISNEY CO COM                                                   X         1       127509       0      8650
WALT DISNEY CO COM                                         X                   1       270852       0       600
WALT DISNEY CO COM                                                   X         3         9441       0         0
WALT DISNEY CO COM                                         X                   3        36433       0      1200
WALT DISNEY CO COM                                         X                   3          300       0         0
WALT DISNEY COMPANY                                        X                   2        14246       0         0
WALTER INDUSTRIES, INC.                                    X                   3        44200       0         0
WASHINGTON MUTUAL COM                                                X         1        32790       0      1400
WASHINGTON MUTUAL COM                                      X                   1        58134       0       400
WASHINGTON MUTUAL COM                                      X                   3          200       0         0
WASHINGTON MUTUAL INCORPORATED                             X                   2        86430       0         0
WASHINGTON REAL ESTATE INVT (REIT)                                   X         1          100       0       500
WASHINGTON REAL ESTATE INVT (REIT)                         X                   1         6399       0         0
WASTE CONNECTIONS INC                                      X                   1         2412       0         0
WASTE CONNECTIONS, INC.                                    X                   3        15000       0         0
WASTE MANAGEMENT INC COM                                             X         1         3647       0      1500
WASTE MANAGEMENT INC COM                                   X                   1         2077       0         0
WATER PIK TECHNOLOGIES INC COM                             X                   1           96       0         0
WATERS CORP COM                                            X                   1          600       0         0
WATSON PHARMACEUTICALS INC COM                                       X         1         1526       0         0
WATSON PHARMACEUTICALS INC COM                             X                   1         5433       0         0
WATSON PHARMACEUTICALS, INC.                               X                   3        26300       0         0
WAYPOINT FINL CORP COM                                               X         1          693       0         0
WAYPOINT FINL CORP COM                                     X                   1        92445       0     55893
WCI COMMUNITIES, INC.                                      X                   3        15900       0         0
WD 40 CO COM                                                         X         1         2200       0         0
WEATHERFORD INTERNATIONAL, INC.                            X                   3        21500       0         0
WEBMETHODS INCORPORATED                                    X                   1         7706       0         0
WEBMETHODS INCORPORATED                                    X                   3         9594       0         0
WEBSENSE, INC.                                             X                   3         5500       0         0
WEBSTER FINL CORP WATERBURY COM                            X                   1          600       0         0
WEINGARTEN REALTY INVESTORS                                X                   2        36325       0         0
WEINGARTEN REALTY INVESTORS (REIT)                         X                   1          299       0         0
WEIS MARKETS INC                                                     X         1            0       0      1518
WELLPOINT HEALTH NETWORKS COM                              X                   1          260       0         0
WELLS FARGO CO                                                       X         1        99571       0      7100
WELLS FARGO CO                                             X                   1       195443       0      1150


                                    32 of 41




                                                                                                    
WELLS FARGO CO                                   COMMON STOCK     949746101         3694            64541  SHARES
WELLS FARGO CO                                   COMMON STOCK     949746101           23              400  SHARES
WELLS FARGO CO                                   COMMON STOCK     949746101         1382            24158  SHARES
WELLS FARGO CO                                   COMMON STOCK     949746101           10              180  SHARES
WENDYS INTL INC COM                              COMMON STOCK     950590109          111             3200  SHARES
WERNER ENTERPRISES INC                           COMMON STOCK     950755108           89             4210  SHARES
WERNER ENTERPRISES INC                           COMMON STOCK     950755108         4511           213793  SHARES
WERNER ENTERPRISES INC                           COMMON STOCK     950755108         7978           378105  SHARES
WERNER ENTERPRISES INC                           COMMON STOCK     950755108           40             1900  SHARES
WEST PHARMACEUTICAL SERVICES, INC.               COMMON STOCK     955306105          635            15000  SHARES
WESTAR ENERGY INC                                COMMON STOCK     95709T100           46             2300  SHARES
WESTAR ENERGY INC                                COMMON STOCK     95709T100            6              300  SHARES
WESTELL TECHNOLOGIES INC COM                     COMMON STOCK     957541105           56            10900  SHARES
WESTELL TECHNOLOGIES INC COM                     COMMON STOCK     957541105           69            13600  SHARES
WESTN DIGITAL CORP                               COMMON STOCK     958102105           66             7600  SHARES
WESTN DIGITAL CORP                               COMMON STOCK     958102105           82             9500  SHARES
WEYERHAEUSER CO COM                              COMMON STOCK     962166104          440             6971  SHARES
WEYERHAEUSER CO COM                              COMMON STOCK     962166104          267             4224  SHARES
WGL HLDGS INC COM                                COMMON STOCK     92924F106          104             3632  SHARES
WGL HLDGS INC COM                                COMMON STOCK     92924F106            3              100  SHARES
WGL HLDGS INC COM                                COMMON STOCK     92924F106           96             3328  SHARES
WHIRLPOOL CORP COM                               COMMON STOCK     963320106           51              742  SHARES
WHIRLPOOL CORP COM                               COMMON STOCK     963320106           89             1292  SHARES
WHOLE FOODS MARKET, INC.                         COMMON STOCK     966837106         1422            14900  SHARES
WHOLE FOODS MKT INC COM                          COMMON STOCK     966837106            5               50  SHARES
WHOLE FOODS MKT INC COM                          COMMON STOCK     966837106          248             2600  SHARES
WILLIAM SONOMA INC COM                           COMMON STOCK     969904101            7              200  SHARES
WILLIAMS COMPANIES INCORPORATED                  COMMON STOCK     969457100          115            11975  SHARES
WILLIAMS COS INC COM                             COMMON STOCK     969457100           30             2503  SHARES
WILLIAMS COS INC COM                             COMMON STOCK     969457100           85             7177  SHARES
WINN DIXIE STORES INC COM                        COMMON STOCK     974280109          480            66668  SHARES
WISCONSIN ENERGY CORP COM                        COMMON STOCK     976657106          174             5338  SHARES
WISCONSIN ENERGY CORP COM                        COMMON STOCK     976657106          217             6650  SHARES
WOODWARD GOVERNOR CO.                            COMMON STOCK     980745103          945            13100  SHARES
WORTHINGTON INDS INC COM                         COMMON STOCK     981811102          278            13543  SHARES
WPS RESOURCES CORP                               COMMON STOCK     92931B106           16              350  SHARES
WPS RESOURCES CORP                               COMMON STOCK     92931B106           37              800  SHARES
WRIGLEY WM JR CO                                 COMMON STOCK     982526105          405             6420  SHARES
WRIGLEY WM JR CO                                 COMMON STOCK     982526105          195             3100  SHARES
WRIGLEY WM JR CO                                 COMMON STOCK     982526105          189             3000  SHARES
WYETH                                            COMMON STOCK     983024100        13564           375120  SHARES
WYETH                                            COMMON STOCK     983024100        14836           410280  SHARES
WYETH                                            COMMON STOCK     983024100         1392            38508  SHARES
WYETH                                            COMMON STOCK     983024100          134             3700  SHARES
WYETH                                            COMMON STOCK     983024100         8474           234353  SHARES
WYETH                                            COMMON STOCK     983024100           36             1000  SHARES
WYNDHAM INTL INC CL A                            COMMON STOCK     983101106            1             1439  SHARES
WYNN RESORTS LIMITED                             COMMON STOCK     983134107            8              200  SHARES
XCEL ENERGY INC COM                              COMMON STOCK     98389B100          325            19477  SHARES
XCEL ENERGY INC COM                              COMMON STOCK     98389B100          158             9476  SHARES
XCEL ENERGY, INC.                                COMMON STOCK     98389B100          232            13050  SHARES
XEROX CORP                                       COMMON STOCK     984121103          144             9900  SHARES
XEROX CORP                                       COMMON STOCK     984121103          135             9286  SHARES
XEROX CORP                                       COMMON STOCK     984121103            3              200  SHARES
XM SATELLITE RADIO HLDGS INC                     COMMON STOCK     983759101           32             1175  SHARES
X-RITE INC COM                                   COMMON STOCK     983857103            4              250  SHARES
XTO ENERGY INC COM                               COMMON STOCK     98385X106           24              800  SHARES
XTO ENERGY INC COM                               COMMON STOCK     98385X106          358            12012  SHARES
XYBERNAUT CORP COM                               COMMON STOCK     984149104            0              100  SHARES
YAHOO INC COM                                    COMMON STOCK     984332106           18              500  SHARES
YAHOO INC COM                                    COMMON STOCK     984332106           34              936  SHARES
YELLOW ROADWAY CORPORATION                       COMMON STOCK     985577105           72             1800  SHARES
YELLOW ROADWAY CORPORATION                       COMMON STOCK     985577105           88             2200  SHARES
YORK INTERNATIONAL CORP.                         COMMON STOCK     986670107          768            18700  SHARES
YORK INTL CORP NEW COM                           COMMON STOCK     986670107            8              200  SHARES
YORK WATER COMPANY                               COMMON STOCK     987184108          907            49184  SHARES
YORK WATER COMPANY                               COMMON STOCK     987184108          835            45270  SHARES
YORK WATER COMPANY                               COMMON STOCK     987184108           21             1120  SHARES
YUM! BRANDS INC                                  COMMON STOCK     988498101          349             9370  SHARES
YUM! BRANDS INC                                  COMMON STOCK     988498101          570            15310  SHARES
ZALE CORP.                                       COMMON STOCK     988858106          938            34400  SHARES
ZIMMER HLDGS INC COM                             COMMON STOCK     98956P102          984            11159  SHARES
ZIMMER HLDGS INC COM                             COMMON STOCK     98956P102          764             8662  SHARES
ZIMMER HLDGS INC COM                             COMMON STOCK     98956P102           71              800  SHARES
ZIMMER HOLDINGS INCORPORATED                     COMMON STOCK     98956P102         1600            18140  SHARES


                                                                                    
WELLS FARGO CO                                             X                   2        64541       0         0
WELLS FARGO CO                                                       X         3          400       0         0
WELLS FARGO CO                                             X                   3        24158       0         0
WELLS FARGO CO                                             X                   3          180       0         0
WENDYS INTL INC COM                                        X                   1         3200       0         0
WERNER ENTERPRISES INC                                               X         1         4210       0         0
WERNER ENTERPRISES INC                                     X                   1       209888       0      3905
WERNER ENTERPRISES INC                                     X                   3       378105       0         0
WERNER ENTERPRISES INC                                     X                   3         1900       0         0
WEST PHARMACEUTICAL SERVICES, INC.                         X                   3        15000       0         0
WESTAR ENERGY INC                                                    X         1         1700       0       600
WESTAR ENERGY INC                                          X                   1          300       0         0
WESTELL TECHNOLOGIES INC COM                               X                   1        10900       0         0
WESTELL TECHNOLOGIES INC COM                               X                   3        13600       0         0
WESTN DIGITAL CORP                                         X                   1         7600       0         0
WESTN DIGITAL CORP                                         X                   3         9500       0         0
WEYERHAEUSER CO COM                                                  X         1         6173       0       798
WEYERHAEUSER CO COM                                        X                   1         4224       0         0
WGL HLDGS INC COM                                                    X         1         3632       0         0
WGL HLDGS INC COM                                          X                   1          100       0         0
WGL HLDGS INC COM                                          X                   3         3328       0         0
WHIRLPOOL CORP COM                                                   X         1          742       0         0
WHIRLPOOL CORP COM                                         X                   1         1292       0         0
WHOLE FOODS MARKET, INC.                                   X                   3        14900       0         0
WHOLE FOODS MKT INC COM                                              X         1           50       0         0
WHOLE FOODS MKT INC COM                                    X                   1         2600       0         0
WILLIAM SONOMA INC COM                                     X                   1          200       0         0
WILLIAMS COMPANIES INCORPORATED                            X                   2        11975       0         0
WILLIAMS COS INC COM                                                 X         1         1303       0      1200
WILLIAMS COS INC COM                                       X                   1         7177       0         0
WINN DIXIE STORES INC COM                                  X                   1        66668       0         0
WISCONSIN ENERGY CORP COM                                            X         1         5338       0         0
WISCONSIN ENERGY CORP COM                                  X                   1         6650       0         0
WOODWARD GOVERNOR CO.                                      X                   3        13100       0         0
WORTHINGTON INDS INC COM                                             X         1          468       0     13075
WPS RESOURCES CORP                                                   X         1          350       0         0
WPS RESOURCES CORP                                         X                   1          800       0         0
WRIGLEY WM JR CO                                                     X         1         5670       0       750
WRIGLEY WM JR CO                                           X                   1         3100       0         0
WRIGLEY WM JR CO                                                     X         3         2000       0      1000
WYETH                                                                X         1       248695       0    126425
WYETH                                                      X                   1       404455       0      5825
WYETH                                                      X                   2        38508       0         0
WYETH                                                                X         3         2500       0      1200
WYETH                                                      X                   3       233353       0      1000
WYETH                                                      X                   3         1000       0         0
WYNDHAM INTL INC CL A                                                X         1         1439       0         0
WYNN RESORTS LIMITED                                       X                   1          200       0         0
XCEL ENERGY INC COM                                                  X         1        19477       0         0
XCEL ENERGY INC COM                                        X                   1         9476       0         0
XCEL ENERGY, INC.                                          X                   2        13050       0         0
XEROX CORP                                                           X         1         6900       0      3000
XEROX CORP                                                 X                   1         9286       0         0
XEROX CORP                                                 X                   3            0       0       200
XM SATELLITE RADIO HLDGS INC                               X                   1         1175       0         0
X-RITE INC COM                                             X                   1          250       0         0
XTO ENERGY INC COM                                                   X         1          800       0         0
XTO ENERGY INC COM                                         X                   1        12012       0         0
XYBERNAUT CORP COM                                         X                   1          100       0         0
YAHOO INC COM                                                        X         1          500       0         0
YAHOO INC COM                                              X                   1          936       0         0
YELLOW ROADWAY CORPORATION                                 X                   1         1800       0         0
YELLOW ROADWAY CORPORATION                                 X                   3         2200       0         0
YORK INTERNATIONAL CORP.                                   X                   3        18700       0         0
YORK INTL CORP NEW COM                                     X                   1          200       0         0
YORK WATER COMPANY                                                   X         1        49184       0         0
YORK WATER COMPANY                                         X                   1        45270       0         0
YORK WATER COMPANY                                         X                   3         1120       0         0
YUM! BRANDS INC                                                      X         1         7450       0      1920
YUM! BRANDS INC                                            X                   1        15310       0         0
ZALE CORP.                                                 X                   3        34400       0         0
ZIMMER HLDGS INC COM                                                 X         1        10679       0       480
ZIMMER HLDGS INC COM                                       X                   1         8562       0       100
ZIMMER HLDGS INC COM                                                 X         3          800       0         0
ZIMMER HOLDINGS INCORPORATED                               X                   2        18140       0         0


                                    33 of 41




                                                                                                    
ZIMMER HOLDINGS, INC.                            COMMON STOCK     98956P102         1058            12000  SHARES
ZIONS BANCORPORATION COM                         COMMON STOCK     989701107           55              900  SHARES
ZOLL MED CORP                                    COMMON STOCK     989922109           49             1400  SHARES
ZOLL MED CORP                                    COMMON STOCK     989922109           60             1700  SHARES
ZORAN CORP                                       COMMON STOCK     98975F101            6              300  SHARES

SUBTOTALS FOR DOMESTIC COMMON STOCKS                                             3409289         99787579


                                                                                  
ZIMMER HOLDINGS, INC.                                      X                   3        12000       0        0
ZIONS BANCORPORATION COM                                   X                   1          900       0        0
ZOLL MED CORP                                              X                   1         1400       0        0
ZOLL MED CORP                                              X                   3         1700       0        0
ZORAN CORP                                                 X                   1          300       0        0

SUBTOTALS FOR DOMESTIC COMMON STOCKS                                                 96033344       0  3754235



                                                                                                    
A. COMMON STOCK

FOREIGN COMMON STOCK/ADR'S

ACCENTURE LTD.- BERMUDA                          COMMON STOCK     G1150G111         7050           256575  SHARES
ACCENTURE LTD-CL A                               COMMON STOCK     G1150G111          333            12130  SHARES
ACCENTURE LTD-CL A                               COMMON STOCK     G1150G111         4747           172729  SHARES
ACCENTURE LTD-CL A                               COMMON STOCK     G1150G111          725            26365  SHARES
ACE LTD                                          COMMON STOCK     G0070K103           25              585  SHARES
AEGON N V ORD AMER REG SHS                       COMMON STOCK     007924103           26             2184  SHARES
AEGON N V ORD AMER REG SHS                       COMMON STOCK     007924103          168            13832  SHARES
AGNICO EAGLE MINES LTD                           COMMON STOCK     008474108            3              250  SHARES
ALCAN INC                                        COMMON STOCK     013716105           70             1700  SHARES
ALCAN INC                                        COMMON STOCK     013716105            3               80  SHARES
ALCATEL SA-SPON ADR                              ADR              013904305            4              244  SHARES
ALCON INC                                        COMMON STOCK     H01301102           19              238  SHARES
ALLIED DOMECQ PLC-SPONS ADR                      ADR              019121201           10              300  SHARES
ALLIED IRISH BKS PLC-SPON ADR                    ADR              019228402        13106           422897  SHARES
ALLIED IRISH BKS PLC-SPON ADR                    ADR              019228402        45050          1453708  SHARES
AMERICA MOVIL - ADR SERIES A                     COMMON STOCK     02364W204           79             2198  SHARES
AMERICA MOVIL - ADR SERIES L                     COMMON STOCK     02364W105           87             2400  SHARES
AMERICA MOVIL - ADR SERIES L                     COMMON STOCK     02364W105          162             4466  SHARES
ANGLO AMERICAN PLC ADR                           ADR              03485P102           70             3331  SHARES
ANGLO AMERICAN PLC ADR                           ADR              03485P102            5              225  SHARES
ANGLOGOLD ASHANTI SPON ADR                       ADR              035128206            5              155  SHARES
AO VIMPELCOM ADR                                 ADR              68370R109           58              600  SHARES
ARACRUZ CELULOSE S A SPONSORED ADR               ADR              038496204           65             2000  SHARES
ASA LTD                                          COMMON STOCK     002050102           40             1100  SHARES
ASTRAZENECA GROUP PLC SPONSORED ADR              ADR              046353108           22              485  SHARES
ASTRAZENECA GROUP PLC SPONSORED ADR              ADR              046353108           27              600  SHARES
AVENTIS SPONSORED ADR                            ADR              053561106            8              100  SHARES
AXA SPONSORED ADR                                ADR              054536107            5              236  SHARES
BALLARD PWR SYS INC                              COMMON STOCK     05858H104            6              700  SHARES
BARRICK GOLD CORP                                COMMON STOCK     067901108           40             2000  SHARES
BARRICK GOLD CORP                                COMMON STOCK     067901108            4              200  SHARES
BAYER AG SPONSORED ADR                           ADR              072730302           29             1000  SHARES
BHP BILLITON LTD SPONSORED ADR                   ADR              088606108           18             1032  SHARES
BIOMIRA INC                                      COMMON STOCK     09161R106            3             2000  SHARES
BIOTECH HOLDRS TRUST                             COMMON STOCK     09067D201           29              200  SHARES
BIOTECH HOLDRS TRUST                             COMMON STOCK     09067D201          134              917  SHARES
BIOVAIL CORP                                     COMMON STOCK     09067J109            2              100  SHARES
BP PLC                                           COMMON STOCK     079805909         3478           393893  SHARES
BP PLC SPONSORED ADR                             ADR              055622104        15110           282060  SHARES
BP PLC SPONSORED ADR                             ADR              055622104        15128           282391  SHARES
BP PLC SPONSORED ADR                             ADR              055622104          418             7808  SHARES
BP PLC SPONSORED ADR                             ADR              055622104           26              492  SHARES
BUSINESS OBJECTS S A                             COMMON STOCK     12328X107           14              600  SHARES
CABLE & WIRELESS PLC SPONS ADR                   ADR              126830207           35             5000  SHARES
CANADIAN NATL RY CO                              COMMON STOCK     136375102           59             1350  SHARES
CANADIAN NATL RY CO                              COMMON STOCK     136375102          145             3325  SHARES
CEMEX S A SPONS ADR PART CER                     ADR              151290889          219             7523  SHARES
CHICAGO BRIDGE & IRON CO N V COM                 COMMON STOCK     167250109            6              200  SHARES
CHINA YUCHAI INTERNATIONAL LIMITED               COMMON STOCK     G21082105          117             6400  SHARES
CHINA YUCHAI INTERNATIONAL LIMITED               COMMON STOCK     G21082105          140             7700  SHARES
CNOOC LTD -ADR                                   ADR              126132109           13              300  SHARES
COOPER INDUSTRIES LTD CL A                       COMMON STOCK     G24182100          158             2660  SHARES
COOPER INDUSTRIES LTD CL A                       COMMON STOCK     G24182100         1191            20055  SHARES
COOPER INDUSTRIES LTD CL A                       COMMON STOCK     G24182100         1719            28940  SHARES
DAIMLER CHRYSLER AG                              COMMON STOCK     D1668R123           94             2002  SHARES
DAIMLER CHRYSLER AG                              COMMON STOCK     D1668R123           76             1622  SHARES
DANKA BUSINESS SYSTEMS-SPON ADR                  ADR              236277109           74            16300  SHARES
DANKA BUSINESS SYSTEMS-SPON ADR                  ADR              236277109           92            20300  SHARES
DIAGEO PLC SPONSORED ADR                         ADR              25243Q205           96             1745  SHARES
DIAGEO PLC SPONSORED ADR                         ADR              25243Q205           27              500  SHARES
DR REDDYS LABS LTD ADR                           ADR              256135203           17             1000  SHARES


                                                                                   
A. COMMON STOCK

FOREIGN COMMON STOCK/ADR'S

ACCENTURE LTD.- BERMUDA                                    X                   3       256575       0        0
ACCENTURE LTD-CL A                                                   X         1        12130       0        0
ACCENTURE LTD-CL A                                         X                   1       169792       0     2937
ACCENTURE LTD-CL A                                         X                   3        26365       0        0
ACE LTD                                                    X                   1          585       0        0
AEGON N V ORD AMER REG SHS                                           X         1         2184       0        0
AEGON N V ORD AMER REG SHS                                 X                   1        13832       0        0
AGNICO EAGLE MINES LTD                                     X                   1          250       0        0
ALCAN INC                                                            X         1         1700       0        0
ALCAN INC                                                  X                   1           80       0        0
ALCATEL SA-SPON ADR                                                  X         1          244       0        0
ALCON INC                                                  X                   1          238       0        0
ALLIED DOMECQ PLC-SPONS ADR                                          X         1          300       0        0
ALLIED IRISH BKS PLC-SPON ADR                                        X         1       251681       0   171216
ALLIED IRISH BKS PLC-SPON ADR                              X                   1      1047028   52763   353917
AMERICA MOVIL - ADR SERIES A                               X                   1         2198       0        0
AMERICA MOVIL - ADR SERIES L                                         X         1         1400       0     1000
AMERICA MOVIL - ADR SERIES L                               X                   1         4466       0        0
ANGLO AMERICAN PLC ADR                                               X         1         3331       0        0
ANGLO AMERICAN PLC ADR                                     X                   1          225       0        0
ANGLOGOLD ASHANTI SPON ADR                                 X                   1          155       0        0
AO VIMPELCOM ADR                                           X                   1            0       0      600
ARACRUZ CELULOSE S A SPONSORED ADR                         X                   1            0       0     2000
ASA LTD                                                    X                   1         1100       0        0
ASTRAZENECA GROUP PLC SPONSORED ADR                                  X         1          485       0        0
ASTRAZENECA GROUP PLC SPONSORED ADR                        X                   1          600       0        0
AVENTIS SPONSORED ADR                                      X                   1          100       0        0
AXA SPONSORED ADR                                                    X         1          236       0        0
BALLARD PWR SYS INC                                        X                   1          700       0        0
BARRICK GOLD CORP                                                    X         1         2000       0        0
BARRICK GOLD CORP                                          X                   1          200       0        0
BAYER AG SPONSORED ADR                                     X                   1         1000       0        0
BHP BILLITON LTD SPONSORED ADR                                       X         1            0       0     1032
BIOMIRA INC                                                X                   1         2000       0        0
BIOTECH HOLDRS TRUST                                                 X         1          200       0        0
BIOTECH HOLDRS TRUST                                       X                   1          917       0        0
BIOVAIL CORP                                               X                   1          100       0        0
BP PLC                                                     X                   3       393893       0        0
BP PLC SPONSORED ADR                                                 X         1       210544       0    71516
BP PLC SPONSORED ADR                                       X                   1       281491       0      900
BP PLC SPONSORED ADR                                                 X         3         5692       0     2116
BP PLC SPONSORED ADR                                       X                   3          492       0        0
BUSINESS OBJECTS S A                                                 X         1            0       0      600
CABLE & WIRELESS PLC SPONS ADR                             X                   1            0       0     5000
CANADIAN NATL RY CO                                                  X         1          600       0      750
CANADIAN NATL RY CO                                        X                   1         3325       0        0
CEMEX S A SPONS ADR PART CER                               X                   1         5423       0     2100
CHICAGO BRIDGE & IRON CO N V COM                           X                   1          200       0        0
CHINA YUCHAI INTERNATIONAL LIMITED                         X                   1         6400       0        0
CHINA YUCHAI INTERNATIONAL LIMITED                         X                   3         7700       0        0
CNOOC LTD -ADR                                                       X         1          300       0        0
COOPER INDUSTRIES LTD CL A                                           X         1         2660       0        0
COOPER INDUSTRIES LTD CL A                                 X                   1        20055       0        0
COOPER INDUSTRIES LTD CL A                                 X                   3        26865       0     2075
DAIMLER CHRYSLER AG                                                  X         1          581       0     1421
DAIMLER CHRYSLER AG                                        X                   1         1622       0        0
DANKA BUSINESS SYSTEMS-SPON ADR                            X                   1        16300       0        0
DANKA BUSINESS SYSTEMS-SPON ADR                            X                   3        20300       0        0
DIAGEO PLC SPONSORED ADR                                   X                   1         1745       0        0
DIAGEO PLC SPONSORED ADR                                   X                   3          500       0        0
DR REDDYS LABS LTD ADR                                     X                   1         1000       0        0


                                    34 of 41




                                                                                                    
DUSA PHARMACEUTICALS INCORPORATED                COMMON STOCK     266898105           40             4200  SHARES
ELAN CORP PLC SPONS ADR                          ADR              284131208           15              615  SHARES
ELAN CORP PLC SPONS ADR                          ADR              284131208            1               48  SHARES
ENCANA CORP                                      COMMON STOCK     292505104           40              925  SHARES
ENDESA S A SPONSORED ADR                         ADR              29258N107           30             1600  SHARES
ENDESA S A SPONSORED ADR                         ADR              29258N107          151             7968  SHARES
ENDESA S A SPONSORED ADR                         ADR              29258N107           30             1600  SHARES
ENTERRA ENERGY TRUST                             COMMON STOCK     29381P102           52             4000  SHARES
EVEREST RE GROUP LTD COM                         COMMON STOCK     G3223R108          378             4708  SHARES
EVEREST RE GROUP LTD.                            COMMON STOCK     G3223R108         2523            31400  SHARES
FLEXTRONICS INTL LTD                             COMMON STOCK     Y2573F102          208            13038  SHARES
FLEXTRONICS INTL LTD                             COMMON STOCK     Y2573F102          222            13912  SHARES
FRESENIUS MED CARE                               COMMON STOCK     358029106            1               41  SHARES
GALLAHER GROUP PLC SPON ADR                      ADR              363595109          154             3177  SHARES
GALLAHER GROUP PLC SPON ADR                      ADR              363595109          166             3438  SHARES
GARMIN LIMITED ORD                               COMMON STOCK     G37260109           11              300  SHARES
GARMIN LIMITED ORD                               COMMON STOCK     G37260109            4              116  SHARES
GIVEN IMAGING                                    COMMON STOCK     M52020100           95             2700  SHARES
GLAXOSMITHKLINE PLC ADR                          ADR              37733W105         1233            29749  SHARES
GLAXOSMITHKLINE PLC ADR                          ADR              37733W105          758            18277  SHARES
GOLD FIELDS LIMITED ADR                          ADR              38059T106           13             1250  SHARES
GOLDCORP INC                                     COMMON STOCK     380956409           29             2500  SHARES
GOLDCORP INC                                     COMMON STOCK     380956409           12             1000  SHARES
HARMONY GOLD MINING SPON ADR                     ADR              413216300            3              250  SHARES
HELLENIC TELECOMMUNICATIONS ORG ADR              ADR              423325307            1              100  SHARES
HONDA MTR LTD AMERN SHS                          COMMON STOCK     438128308            7              300  SHARES
HSBC HOLDINGS PLC SPONSORED ADR                  ADR              404280406           89             1190  SHARES
HSBC HOLDINGS PLC SPONSORED ADR                  ADR              404280406          211             2817  SHARES
HUANENG POWER INTL-SPONS ADR                     ADR              443304100           95             2620  SHARES
IMPERIAL OIL LTD                                 COMMON STOCK     453038408            2               49  SHARES
INFOSYS TECHNOLOGIES LTDSPON ADR                 ADR              456788108            9              100  SHARES
INGERSOLL-RAND COMPANY LTD-A                     COMMON STOCK     G4776G101          630             9218  SHARES
INGERSOLL-RAND COMPANY LTD-A                     COMMON STOCK     G4776G101          268             3925  SHARES
KINROSS GOLD CORPORATION                         COMMON STOCK     496902206            1              169  SHARES
KOMAG, INC.                                      COMMON STOCK     500453204          465            33300  SHARES
KONINKLIJKE PHILIPS ELEC N V NY SHR              COMMON STOCK     500472303           29             1051  SHARES
KONINKLIJKE PHILIPS ELEC N V NY SHR              COMMON STOCK     500472303          426            15662  SHARES
KOREA ELECTRIC POWER CORP SP ADR                 ADR              500631106           92            10000  SHARES
LIONS GATE ENTERTAINMENT CORP.                   COMMON STOCK     535919203           90            12900  SHARES
LIONS GATE ENTERTAINMENT CORP.                   COMMON STOCK     535919203          111            15900  SHARES
MAGNA INTL INC CL A                              COMMON STOCK     559222401          123             1450  SHARES
MAGNA INTL INC CL A                              COMMON STOCK     559222401          273             3200  SHARES
MANULIFE FINANCIAL CORP                          COMMON STOCK     56501R106           50             1238  SHARES
MANULIFE FINANCIAL CORP                          COMMON STOCK     56501R106          647            15964  SHARES
MARVEL TECHNOLOGY GROUP LTD                      COMMON STOCK     G5876H105            1               30  SHARES
MI DEVELOPMENTS INC                              COMMON STOCK     55304X104           16              600  SHARES
NABORS INDUSTRIES LTD                            COMMON STOCK     G6359F103          211             4670  SHARES
NABORS INDUSTRIES LTD                            COMMON STOCK     G6359F103         5917           130858  SHARES
NABORS INDUSTRIES LTD                            COMMON STOCK     G6359F103         8705           192529  SHARES
NAM TAI ELECTRONICS INCORPORATED                 COMMON STOCK     629865205           77             3600  SHARES
NAM TAI ELECTRONICS INCORPORATED                 COMMON STOCK     629865205           97             4500  SHARES
NATIONAL AUSTRALIA BK LTD                        COMMON STOCK     632525408          104             1000  SHARES
NISSAN MTR LTD SPONSORED ADR                     ADR              654744408            2               94  SHARES
NOKIA CORP SPONSORED ADR                         ADR              654902204          314            21616  SHARES
NOKIA CORP SPONSORED ADR                         ADR              654902204         1201            82600  SHARES
NOKIA CORP SPONSORED ADR                         ADR              654902204         1399            96200  SHARES
NORANDA INC LTD                                  COMMON STOCK     655422103           21             1200  SHARES
NORTEL NETWORKS CORP                             COMMON STOCK     656568102           52            10380  SHARES
NORTEL NETWORKS CORP                             COMMON STOCK     656568102          558           111800  SHARES
NOVARTIS AG ADR                                  ADR              66987V109           27              600  SHARES
NOVO-NORDISK A/S SPONS ADR                       ADR              670100205            5              100  SHARES
ON TRACK INNOVATIONS LTD                         COMMON STOCK     M8791A109          109            11800  SHARES
ON TRACK INNOVATIONS LTD                         COMMON STOCK     M8791A109          135            14600  SHARES
PARTNERRE LTD                                    COMMON STOCK     G6852T105          114             2010  SHARES
PARTNERRE LTD.                                   COMMON STOCK     G6852T105          709            12500  SHARES
PETRO-CANADA                                     COMMON STOCK     71644E102           13              300  SHARES
PLACER DOME INC                                  COMMON STOCK     725906101           20             1212  SHARES
PLACER DOME INC                                  COMMON STOCK     725906101            4              250  SHARES
POPULAR INC                                      COMMON STOCK     733174106           21              500  SHARES
POPULAR INC                                      COMMON STOCK     733174106           21              500  SHARES
RADVISION LTD                                    COMMON STOCK     M81869105           99             8000  SHARES
RADVISION LTD                                    COMMON STOCK     M81869105          124            10000  SHARES
RENAISSANCERE HOLDINGS LTD                       COMMON STOCK     G7496G103          297             5500  SHARES
REPSOL YPF SA SPON ADR                           ADR              76026T205           26             1200  SHARES
REPSOL YPF SA SPON ADR                           ADR              76026T205          131             6000  SHARES


                                                                                    
DUSA PHARMACEUTICALS INCORPORATED                                    X         1         4200       0        0
ELAN CORP PLC SPONS ADR                                              X         1            0       0      615
ELAN CORP PLC SPONS ADR                                    X                   1           48       0        0
ENCANA CORP                                                          X         1          125       0      800
ENDESA S A SPONSORED ADR                                             X         1         1600       0        0
ENDESA S A SPONSORED ADR                                   X                   1         7968       0        0
ENDESA S A SPONSORED ADR                                             X         3         1600       0        0
ENTERRA ENERGY TRUST                                                 X         1         4000       0        0
EVEREST RE GROUP LTD COM                                   X                   1         4708       0        0
EVEREST RE GROUP LTD.                                      X                   3        31400       0        0
FLEXTRONICS INTL LTD                                                 X         1        13038       0        0
FLEXTRONICS INTL LTD                                       X                   1        13912       0        0
FRESENIUS MED CARE                                         X                   1           41       0        0
GALLAHER GROUP PLC SPON ADR                                          X         1         3069       0      108
GALLAHER GROUP PLC SPON ADR                                X                   1         3438       0        0
GARMIN LIMITED ORD                                                   X         1          300       0        0
GARMIN LIMITED ORD                                         X                   1          116       0        0
GIVEN IMAGING                                                        X         1            0       0     2700
GLAXOSMITHKLINE PLC ADR                                              X         1        22594       0     7155
GLAXOSMITHKLINE PLC ADR                                    X                   1        18277       0        0
GOLD FIELDS LIMITED ADR                                    X                   1         1250       0        0
GOLDCORP INC                                                         X         1            0       0     2500
GOLDCORP INC                                               X                   1         1000       0        0
HARMONY GOLD MINING SPON ADR                               X                   1          250       0        0
HELLENIC TELECOMMUNICATIONS ORG ADR                        X                   1          100       0        0
HONDA MTR LTD AMERN SHS                                    X                   1          300       0        0
HSBC HOLDINGS PLC SPONSORED ADR                                      X         1         1190       0        0
HSBC HOLDINGS PLC SPONSORED ADR                            X                   1         2017       0      800
HUANENG POWER INTL-SPONS ADR                                         X         1         2620       0        0
IMPERIAL OIL LTD                                           X                   1           49       0        0
INFOSYS TECHNOLOGIES LTDSPON ADR                           X                   1          100       0        0
INGERSOLL-RAND COMPANY LTD-A                                         X         1         9218       0        0
INGERSOLL-RAND COMPANY LTD-A                               X                   1         3925       0        0
KINROSS GOLD CORPORATION                                   X                   1          169       0        0
KOMAG, INC.                                                X                   3        33300       0        0
KONINKLIJKE PHILIPS ELEC N V NY SHR                                  X         1         1051       0        0
KONINKLIJKE PHILIPS ELEC N V NY SHR                        X                   1        15662       0        0
KOREA ELECTRIC POWER CORP SP ADR                                     X         1        10000       0        0
LIONS GATE ENTERTAINMENT CORP.                             X                   1        12900       0        0
LIONS GATE ENTERTAINMENT CORP.                             X                   3        15900       0        0
MAGNA INTL INC CL A                                                  X         1         1450       0        0
MAGNA INTL INC CL A                                        X                   1         3200       0        0
MANULIFE FINANCIAL CORP                                              X         1         1238       0        0
MANULIFE FINANCIAL CORP                                    X                   1        15964       0        0
MARVEL TECHNOLOGY GROUP LTD                                X                   1           30       0        0
MI DEVELOPMENTS INC                                                  X         1          600       0        0
NABORS INDUSTRIES LTD                                                X         1         4545       0      125
NABORS INDUSTRIES LTD                                      X                   1       130258       0      600
NABORS INDUSTRIES LTD                                      X                   3       187434       0     5095
NAM TAI ELECTRONICS INCORPORATED                           X                   1         3600       0        0
NAM TAI ELECTRONICS INCORPORATED                           X                   3         4500       0        0
NATIONAL AUSTRALIA BK LTD                                            X         1         1000       0        0
NISSAN MTR LTD SPONSORED ADR                               X                   1           94       0        0
NOKIA CORP SPONSORED ADR                                             X         1        20116       0     1500
NOKIA CORP SPONSORED ADR                                   X                   1        82600       0        0
NOKIA CORP SPONSORED ADR                                   X                   3        96200       0        0
NORANDA INC LTD                                                      X         1         1200       0        0
NORTEL NETWORKS CORP                                                 X         1         9930       0      450
NORTEL NETWORKS CORP                                       X                   1        96800       0    15000
NOVARTIS AG ADR                                            X                   1          600       0        0
NOVO-NORDISK A/S SPONS ADR                                 X                   1          100       0        0
ON TRACK INNOVATIONS LTD                                   X                   1        11800       0        0
ON TRACK INNOVATIONS LTD                                   X                   3        14600       0        0
PARTNERRE LTD                                              X                   1         2010       0        0
PARTNERRE LTD.                                             X                   3        12500       0        0
PETRO-CANADA                                                         X         1          300       0        0
PLACER DOME INC                                                      X         1         1212       0        0
PLACER DOME INC                                            X                   1          250       0        0
POPULAR INC                                                          X         1          500       0        0
POPULAR INC                                                X                   1          500       0        0
RADVISION LTD                                              X                   1         8000       0        0
RADVISION LTD                                              X                   3        10000       0        0
RENAISSANCERE HOLDINGS LTD                                           X         1         5500       0        0
REPSOL YPF SA SPON ADR                                               X         1         1200       0        0
REPSOL YPF SA SPON ADR                                     X                   1         6000       0        0


                                    35 of 41




                                                                                                    
REPSOL YPF SA SPON ADR                           ADR              76026T205           66             3000  SHARES
REUTERS GROUP PLC SPONS ADR                      ADR              76132M102           29              719  SHARES
ROYAL DUTCH PETE CO N Y REGISTRY SH              COMMON STOCK     780257804         4675            90484  SHARES
ROYAL DUTCH PETE CO N Y REGISTRY SH              COMMON STOCK     780257804         4483            86754  SHARES
ROYAL DUTCH PETE CO N Y REGISTRY SH              COMMON STOCK     780257804           52             1000  SHARES
SAP AG SPONS ADR                                 ADR              803054204           10              250  SHARES
SAPPI LTD SPONSORED ADR                          ADR              803069202            8              500  SHARES
SCHLUMBERGER LTD                                 COMMON STOCK     806857108         3807            59946  SHARES
SCHLUMBERGER LTD                                 COMMON STOCK     806857108         7261           114329  SHARES
SCHLUMBERGER LTD                                 COMMON STOCK     806857108          145             2280  SHARES
SCHLUMBERGER LTD                                 COMMON STOCK     806857108            3               50  SHARES
SCHLUMBERGER LTD.                                COMMON STOCK     806857108         1608            25315  SHARES
SCOTTISH POWER PLC ADR                           ADR              81013T705           16              540  SHARES
SCOTTISH POWER PLC ADR                           ADR              81013T705           49             1656  SHARES
SONY CORP - SPONSORED ADR                        ADR              835699307           46             1200  SHARES
STMICROELECTRONICS N V                           COMMON STOCK     861012102            7              300  SHARES
STMICROELECTRONICS N V                           COMMON STOCK     861012102          521            23680  SHARES
STMICROELECTRONICS N V                           COMMON STOCK     861012102          339            15385  SHARES
STMICROELECTRONICS N.V. (NY REG SHS)             COMMON STOCK     861012102          475            21600  SHARES
STORA ENSO OYJ SPONSORED ADR                     ADR              86210M106           20             1500  SHARES
SUN LIFE FINL INC                                COMMON STOCK     866796105           81             2809  SHARES
TAIWAN SEMICONDUCTOR SPON ADR                    ADR              874039100          119            14302  SHARES
TAIWAN SEMICONDUCTOR SPON ADR                    ADR              874039100         1263           151985  SHARES
TAIWAN SEMICONDUCTOR SPON ADR                    ADR              874039100          890           106956  SHARES
TELECOM NEW ZEALAND SPON ADR                     ADR              879278208           60             2000  SHARES
TELEFONAKTIEBOLAGET LM ERICSSON ADR              ADR              294821608           44             1460  SHARES
TELEFONAKTIEBOLAGET LM ERICSSON ADR              ADR              294821608           43             1425  SHARES
TELEFONICA S A SPONSORED ADR                     ADR              879382208           32              713  SHARES
TELEFONICA S A SPONSORED ADR                     ADR              879382208          304             6802  SHARES
TELEFONICA S A SPONSORED ADR                     ADR              879382208          160             3580  SHARES
TELEFONOS DE MEXICO SP ADR A                     ADR              879403707           72             2198  SHARES
TELEFONOS DE MEXICO SP ADR L                     ADR              879403780           80             2400  SHARES
TELEFONOS DE MEXICO SP ADR L                     ADR              879403780          115             3446  SHARES
TELEFONOS DE MEXICO SP ADR L                     ADR              879403780           67             2000  SHARES
TEVA PHARMACEUTICAL SPONS ADR                    ADR              881624209           95             1410  SHARES
TEVA PHARMACEUTICAL SPONS ADR                    ADR              881624209          327             4864  SHARES
TOMMY HILFIGER CORP                              COMMON STOCK     G8915Z102           12              800  SHARES
TOTAL SA SPONSORED ADR                           ADR              89150E100           20              205  SHARES
TOYOTA MOTOR CORP SPON ADR                       ADR              892331307           24              300  SHARES
TOYOTA MOTOR CORP SPON ADR                       ADR              892331307           82             1000  SHARES
UBS AG                                           COMMON STOCK     H8920M855           46              648  SHARES
UBS AG                                           COMMON STOCK     H8920M855           79             1113  SHARES
ULTRA PETROLEUM CORP                             COMMON STOCK     903914109           41             1100  SHARES
ULTRA PETROLEUM CORP                             COMMON STOCK     903914109           49             1300  SHARES
UNILEVER NV NY SHARES                            COMMON STOCK     904784709          450             6570  SHARES
UNILEVER NV NY SHARES                            COMMON STOCK     904784709          281             4106  SHARES
UNILEVER NV NY SHARES                            COMMON STOCK     904784709           73             1071  SHARES
UNILEVER PLC SPONSORED ADR                       ADR              904767704           28              700  SHARES
UNILEVER PLC SPONSORED ADR                       ADR              904767704            4               89  SHARES
VERITAS DGC, INC.                                COMMON STOCK     92343P107          898            38800  SHARES
VODAFONE GROUP PLC SPONSORED ADR                 ADR              92857W100          888            40176  SHARES
VODAFONE GROUP PLC SPONSORED ADR                 ADR              92857W100         1080            48861  SHARES
VODAFONE GROUP PLC SPONSORED ADR                 ADR              92857W100           13              592  SHARES
VOLVO AB SPONS ADR B                             COMMON STOCK     928856400           21              600  SHARES
W HOLDING COMPANY INC                            COMMON STOCK     929251106          236            13718  SHARES
W HOLDING COMPANY INC                            COMMON STOCK     929251106          115             6700  SHARES
WEATHERFORD INTL LTD BERMUDA                     COMMON STOCK     G95089101           61             1350  SHARES
WEATHERFORD INTL LTD BERMUDA                     COMMON STOCK     G95089101         1391            30935  SHARES
WEATHERFORD INTL LTD BERMUDA                     COMMON STOCK     G95089101          723            16068  SHARES
WHITE MOUNTAINS INSURANCE GROUP LTD              COMMON STOCK     G9618E107           51              100  SHARES
WPP GROUP PLC SPONS ADR                          ADR              929309300            9              167  SHARES
WPP GROUP PLC SPONS ADR                          ADR              929309300          108             2100  SHARES
WPP GROUP PLC, ADR                               ADR              929309300          799            15600  SHARES

SUBTOTALS FOR FOREIGN COMMON STOCK/ADR'S                                          175961          5492349


                                                                                   
REPSOL YPF SA SPON ADR                                               X         3         3000       0        0
REUTERS GROUP PLC SPONS ADR                                X                   1          719       0        0
ROYAL DUTCH PETE CO N Y REGISTRY SH                                  X         1        77686       0    12798
ROYAL DUTCH PETE CO N Y REGISTRY SH                        X                   1        86754       0        0
ROYAL DUTCH PETE CO N Y REGISTRY SH                        X                   3            0       0     1000
SAP AG SPONS ADR                                           X                   1          250       0        0
SAPPI LTD SPONSORED ADR                                    X                   1          500       0        0
SCHLUMBERGER LTD                                                     X         1        53346       0     6600
SCHLUMBERGER LTD                                           X                   1       113429       0      900
SCHLUMBERGER LTD                                                     X         3         2280       0        0
SCHLUMBERGER LTD                                           X                   3           50       0        0
SCHLUMBERGER LTD.                                          X                   3        25315       0        0
SCOTTISH POWER PLC ADR                                               X         1          540       0        0
SCOTTISH POWER PLC ADR                                     X                   1         1656       0        0
SONY CORP - SPONSORED ADR                                            X         1         1200       0        0
STMICROELECTRONICS N V                                               X         1          300       0        0
STMICROELECTRONICS N V                                     X                   1        23680       0        0
STMICROELECTRONICS N V                                     X                   3         9960       0     5425
STMICROELECTRONICS N.V. (NY REG SHS)                       X                   3        21600       0        0
STORA ENSO OYJ SPONSORED ADR                                         X         1         1500       0        0
SUN LIFE FINL INC                                          X                   1         2809       0        0
TAIWAN SEMICONDUCTOR SPON ADR                                        X         1         9065       0     5237
TAIWAN SEMICONDUCTOR SPON ADR                              X                   1       147935       0     4050
TAIWAN SEMICONDUCTOR SPON ADR                              X                   3        92440       0    14516
TELECOM NEW ZEALAND SPON ADR                                         X         1         2000       0        0
TELEFONAKTIEBOLAGET LM ERICSSON ADR                                  X         1         1460       0        0
TELEFONAKTIEBOLAGET LM ERICSSON ADR                        X                   1         1425       0        0
TELEFONICA S A SPONSORED ADR                                         X         1          713       0        0
TELEFONICA S A SPONSORED ADR                               X                   1         6802       0        0
TELEFONICA S A SPONSORED ADR                                         X         3         3580       0        0
TELEFONOS DE MEXICO SP ADR A                               X                   1         2198       0        0
TELEFONOS DE MEXICO SP ADR L                                         X         1         1400       0     1000
TELEFONOS DE MEXICO SP ADR L                               X                   1         3446       0        0
TELEFONOS DE MEXICO SP ADR L                                         X         3         2000       0        0
TEVA PHARMACEUTICAL SPONS ADR                                        X         1         1410       0        0
TEVA PHARMACEUTICAL SPONS ADR                              X                   1         4864       0        0
TOMMY HILFIGER CORP                                        X                   1          800       0        0
TOTAL SA SPONSORED ADR                                     X                   1          205       0        0
TOYOTA MOTOR CORP SPON ADR                                           X         1          300       0        0
TOYOTA MOTOR CORP SPON ADR                                 X                   1            0       0     1000
UBS AG                                                               X         1          648       0        0
UBS AG                                                     X                   1         1113       0        0
ULTRA PETROLEUM CORP                                       X                   1         1100       0        0
ULTRA PETROLEUM CORP                                       X                   3         1300       0        0
UNILEVER NV NY SHARES                                                X         1         6570       0        0
UNILEVER NV NY SHARES                                      X                   1         4106       0        0
UNILEVER NV NY SHARES                                                X         3         1071       0        0
UNILEVER PLC SPONSORED ADR                                           X         1          700       0        0
UNILEVER PLC SPONSORED ADR                                 X                   1           89       0        0
VERITAS DGC, INC.                                          X                   3        38800       0        0
VODAFONE GROUP PLC SPONSORED ADR                                     X         1        37471       0     2705
VODAFONE GROUP PLC SPONSORED ADR                           X                   1        48861       0        0
VODAFONE GROUP PLC SPONSORED ADR                           X                   3          592       0        0
VOLVO AB SPONS ADR B                                                 X         1            0       0      600
W HOLDING COMPANY INC                                      X                   1        13718       0        0
W HOLDING COMPANY INC                                      X                   3         6700       0        0
WEATHERFORD INTL LTD BERMUDA                                         X         1         1350       0        0
WEATHERFORD INTL LTD BERMUDA                               X                   1        30935       0        0
WEATHERFORD INTL LTD BERMUDA                               X                   3        10393       0     5675
WHITE MOUNTAINS INSURANCE GROUP LTD                        X                   1          100       0        0
WPP GROUP PLC SPONS ADR                                              X         1          167       0        0
WPP GROUP PLC SPONS ADR                                    X                   1         2100       0        0
WPP GROUP PLC, ADR                                         X                   3        15600       0        0

SUBTOTALS FOR FOREIGN COMMON STOCK/ADR'S                                              4721452   52763   718134



                                                                                                    
A. COMMON STOCK

RIGHTS AND WARRANTS

DIME BANCORP INC WARRANT                                          25429Q110            1            12000  SHARES
MAGNUM HUNTER RES INC WTS  3/21/05                                55972F138            0              640  SHARES


                                                                                       
A. COMMON STOCK

RIGHTS AND WARRANTS

DIME BANCORP INC WARRANT                                             X         1        12000       0         0
MAGNUM HUNTER RES INC WTS  3/21/05                                   X         1            0       0       640


                                    36 of 41




                                                                                                    
SUBTOTALS FOR RIGHTS AND WARRANTS                                                      1            12640


                                                                                       
SUBTOTALS FOR RIGHTS AND WARRANTS                                                       12000       0       640



                                                                                                    
A. COMMON STOCK

REAL ESTATE INVESTMENT TRUSTS

AVALONBAY COMMUNITIES INC                        REIT             053484101          136             2414  SHARES
CAPITAL AUTOMOTIVE REIT                          REIT             139733109         1878            64014  SHARES
CROSS TIMBERS ROYALTY TRUST                      REIT             22757R109           11              403  SHARES
DOMINION RES BLACK WARRIOR                       REIT             25746Q108           61             2000  SHARES
DUKE REALTY CORPORATION                          REIT             264411505          181             5680  SHARES
DUKE REALTY CORPORATION                          REIT             264411505          118             3700  SHARES
EQUITY OFFICE PROPERTIES TR (REIT)               REIT             294741103            3              100  SHARES
EQUITY ONE INCORPORATED                          REIT             294752100           33             1819  SHARES
GENERAL GROWTH PPTYS INC                         REIT             370021107          254             8600  SHARES
GENERAL GROWTH PPTYS INC                         REIT             370021107           15              500  SHARES
HERSHA HOSPITALITY TRUST                         REIT             427825104           18             1800  SHARES
NOVASTAR FINANCIAL INCORPORATED                  REIT             669947400          125             3300  SHARES
PLUM CREEK TIMBER CO INC                         REIT             729251108          128             3925  SHARES
PLUM CREEK TIMBER CO INC                         REIT             729251108           51             1575  SHARES
PUBLIC STORAGE INC COM                           REIT             74460D109            7              145  SHARES
RECKSON ASSOCS RLTY CORP                         REIT             75621K106           18              650  SHARES
REDWOOD TRUST INCORPORATED                       REIT             758075402           72             1300  SHARES
REDWOOD TRUST INCORPORATED                       REIT             758075402           28              500  SHARES
REDWOOD TRUST INCORPORATED                       REIT             758075402        89088             1600  SHARES
SHURGARD STORAGE CENTERS INC CL A                REIT             82567D104           11              300  SHARES
TOWN & COUNTRY TRUST COM                         REIT             892081100           13              500  SHARES
W P CAREY & CO LLC                               REIT             92930Y107          192             6442  SHARES
W P CAREY & CO LLC                               REIT             92930Y107          149             5019  SHARES
WCI INDUSTRIES                                   REIT             92923C104          105             4700  SHARES
WCI INDUSTRIES                                   REIT             92923C104       116012             5200  SHARES
WINDROSE MEDICAL PROPERTIES TRUST                REIT             973491103           11             1000  SHARES

SUBTOTALS FOR REAL ESTATE INVESTMENT TRUSTS                                       208718           127186

*SUMMARY PAGE FOR A. COMMON STOCK *


                                                                                      
A. COMMON STOCK

REAL ESTATE INVESTMENT TRUSTS

AVALONBAY COMMUNITIES INC                                  X                   1         N.A.    N.A.      N.A.
CAPITAL AUTOMOTIVE REIT                                    X                   2        64014       0         0
CROSS TIMBERS ROYALTY TRUST                                X                   1         N.A.    N.A.      N.A.
DOMINION RES BLACK WARRIOR                                 X                   1         N.A.    N.A.      N.A.
DUKE REALTY CORPORATION                                    X                   1         N.A.    N.A.      N.A.
DUKE REALTY CORPORATION                                              X         1         N.A.    N.A.      N.A.
EQUITY OFFICE PROPERTIES TR (REIT)                         X                   3          100       0         0
EQUITY ONE INCORPORATED                                    X                   1         N.A.    N.A.      N.A.
GENERAL GROWTH PPTYS INC                                   X                   1         N.A.    N.A.      N.A.
GENERAL GROWTH PPTYS INC                                             X         1         N.A.    N.A.      N.A.
HERSHA HOSPITALITY TRUST                                   X                   1         N.A.    N.A.      N.A.
NOVASTAR FINANCIAL INCORPORATED                                      X         1         N.A.    N.A.      N.A.
PLUM CREEK TIMBER CO INC                                   X                   1         N.A.    N.A.      N.A.
PLUM CREEK TIMBER CO INC                                             X         1         N.A.    N.A.      N.A.
PUBLIC STORAGE INC COM                                               X         1         N.A.    N.A.      N.A.
RECKSON ASSOCS RLTY CORP                                   X                   1         N.A.    N.A.      N.A.
REDWOOD TRUST INCORPORATED                                 X                   1         N.A.    N.A.      N.A.
REDWOOD TRUST INCORPORATED                                           X         1         N.A.    N.A.      N.A.
REDWOOD TRUST INCORPORATED                                 X                   3         N.A.    N.A.      N.A.
SHURGARD STORAGE CENTERS INC CL A                          X                   1         N.A.    N.A.      N.A.
TOWN & COUNTRY TRUST COM                                             X         1         N.A.    N.A.      N.A.
W P CAREY & CO LLC                                         X                   1         N.A.    N.A.      N.A.
W P CAREY & CO LLC                                                   X         1         N.A.    N.A.      N.A.
WCI INDUSTRIES                                             X                   1         N.A.    N.A.      N.A.
WCI INDUSTRIES                                             X                   3         N.A.    N.A.      N.A.
WINDROSE MEDICAL PROPERTIES TRUST                                    X         1         N.A.    N.A.      N.A.

SUBTOTALS FOR REAL ESTATE INVESTMENT TRUSTS

*SUMMARY PAGE FOR A. COMMON STOCK *



                                                                                                    
MINOR ASSET TYPE

43 DOMESTIC COMMON STOCKS                                                        3409289         99787579
44 FOREIGN COMMON STOCK/ADR'S                                                     175961          5492349
46 RIGHTS AND WARRANTS                                                                 1            12640
47 REAL ESTATE INVESTMENT TRUSTS                                                  208718           127186

*SUBTOTALS*                                                                      3793969        105419754


                                                                                      
MINOR ASSET TYPE

43 DOMESTIC COMMON STOCKS
44 FOREIGN COMMON STOCK/ADR'S
46 RIGHTS AND WARRANTS
47 REAL ESTATE INVESTMENT TRUSTS

*SUBTOTALS*



                                                                                                    
B. PREFERRED STOCK

DOMESTIC PREFERRED STOCKS

NEWS CORP LTD SPONS ADR PRF                      PREFERRED STOCK  652487802          574            17465  SHARES

SUBTOTAL FOR DOMESTIC PREFERRED STOCKS                                               574            17465


                                                                                      
B. PREFERRED STOCK

DOMESTIC PREFERRED STOCKS

NEWS CORP LTD SPONS ADR PRF                                X                   2        17465       0         0

SUBTOTAL FOR DOMESTIC PREFERRED STOCKS



                                                                                                    
FOREIGN PREFERRED STOCKS

NEWS CORP LTD SPONS ADR PRF                      PREFERRED STOCK  652487802           12              352  SHARES
NEWS CORP LTD SPONS ADR PRF                      PREFERRED STOCK  652487802          768            23354  SHARES
ROYAL BANK SCOTLAND PLC ADR PFD E                PREFERRED STOCK  780097705           13              500  SHARES
ROYAL BK SCOTLAND 8.50% SER J PFD                PREFERRED STOCK  780097853           26             1000  SHARES

SUBTOTALS FOR FOREIGN PREFERRED STOCKS                                               819            25206


                                                                                      
FOREIGN PREFERRED STOCKS

NEWS CORP LTD SPONS ADR PRF                                X                   1         N.A.    N.A.      N.A.
NEWS CORP LTD SPONS ADR PRF                                          X         1         N.A.    N.A.      N.A.
ROYAL BANK SCOTLAND PLC ADR PFD E                                    X         1         N.A.    N.A.      N.A.
ROYAL BK SCOTLAND 8.50% SER J PFD                          X                   1         N.A.    N.A.      N.A.

SUBTOTALS FOR FOREIGN PREFERRED STOCKS


                                    37 of 41




                                                                                                    
B. PREFERRED STOCK

CONVERTIBLE PREFERRED STOCKS

AES TRUST III 6.75% CV PREFERRED                 CONV PFD STOCK   00808N202         1262            30000  SHARES
ALLTELL CORP 7.75% CON'V                         CONV PFD STOCK   020039822         3481            69400  SHARES
BAXTER INTL CONVPFD7.0%  02/16/06                CONV PFD STOCK   071813406          174             3050  SHARES
BAXTER INTL CONVPFD7.0%  02/16/06                CONV PFD STOCK   071813406          171             3000  SHARES
BAXTER INTL INC. CONV PFD                        CONV PFD STOCK   071813406         3096            54358  SHARES
CAPITAL ONE 6.25% 5/17/05 CV PFD                 CONV PFD STOCK   14040H204         2184            43300  SHARES
FORD MOTOR CAP TR II CONV PFD 6.50%              CONV PFD STOCK   345395206            8              150  SHARES
KRAMONT RLTY TR 9.75% SER B-1 CV PFD             CONV PFD STOCK   50075Q206            4              130  SHARES
TEXTRON INC $1.40 SER B CV PFD                   CONV PFD STOCK   883203309           35              200  SHARES

SUBTOTALS FOR CONVERTIBLE PREFERRED STOCKS                                         10415           203588


                                                                                      
B. PREFERRED STOCK

CONVERTIBLE PREFERRED STOCKS

AES TRUST III 6.75% CV PREFERRED                           X                   2        30000       0         0
ALLTELL CORP 7.75% CON'V                                   X                   2        69400       0         0
BAXTER INTL CONVPFD7.0%  02/16/06                          X                   1         N.A.    N.A.      N.A.
BAXTER INTL CONVPFD7.0%  02/16/06                                    X         1         N.A.    N.A.      N.A.
BAXTER INTL INC. CONV PFD                                  X                   2        54358       0         0
CAPITAL ONE 6.25% 5/17/05 CV PFD                           X                   2        43300       0         0
FORD MOTOR CAP TR II CONV PFD 6.50%                                  X         1         N.A.    N.A.      N.A.
KRAMONT RLTY TR 9.75% SER B-1 CV PFD                       X                   3         N.A.    N.A.      N.A.
TEXTRON INC $1.40 SER B CV PFD                             X                   1         N.A.    N.A.      N.A.

SUBTOTALS FOR CONVERTIBLE PREFERRED STOCKS



                                                                                                    
B. PREFERRED STOCK

GLOBAL EQUITY MUTUAL FUNDS

ISHARES MSCI EAFE INDEX FD                       UNITS            464287465          442             3091  SHARES
ISHARES MSCI EAFE INDEX FD                       UNITS            464287465           12               85  SHARES
TEMPLETON DRAGON FUND INC                        UNITS            88018T101           45             3100  SHARES

SUBTOTALS FOR GLOBAL EQUITY MUTUAL FUNDS                                             499             6276


                                                                                      
B. PREFERRED STOCK

GLOBAL EQUITY MUTUAL FUNDS

ISHARES MSCI EAFE INDEX FD                                 X                   1         N.A.    N.A.      N.A.
ISHARES MSCI EAFE INDEX FD                                           X         1         N.A.    N.A.      N.A.
TEMPLETON DRAGON FUND INC                                  X                   1         N.A.    N.A.      N.A.

SUBTOTALS FOR GLOBAL EQUITY MUTUAL FUNDS



                                                                                                    
B. PREFERRED STOCK

CLOSED END EQUITY MUTUAL FUNDS

BRAZIL FUND INCORPORATED                         UNITS            105759104            1               66  SHARES
CALAMOS STRATEGIC TOT RET FD                     UNITS            128125101            7              500  SHARES
COHEN & STEERS ADVANTAGE INC RLTY FD             UNITS            19247W102           17             1000  SHARES
DNP SELECT INCOME FUND INC                       UNITS            23325P104           64             6100  SHARES
DNP SELECT INCOME FUND INC                       UNITS            23325P104          125            11845  SHARES
GABELLI EQUITY TRUST                             UNITS            362397101           21             2627  SHARES
GABELLI UTILITY TRUST                            UNITS            36240A101            3              347  SHARES
GABELLI UTILITY TRUST                            UNITS            36240A101            3              310  SHARES
HANCOCK JOHN PATRIOT PFD DIVID FD                UNITS            41013J107           28             2300  SHARES
INDIA FUND                                       UNITS            454089103           21             1000  SHARES
ISHARES DJ SELECT DIVIDEND INDEX FD              UNITS            464287168           25              450  SHARES
ISHARES RUSSELL 2000 GRWTH FD                    UNITS            464287648           19              300  SHARES
ISHARES RUSSELL 2000 GRWTH FD                    UNITS            464287648           50              800  SHARES
ISHARES RUSSELL 2000 INDEX FD                    UNITS            464287655         2327            19724  SHARES
ISHARES RUSSELL 2000 INDEX FD                    UNITS            464287655            6               50  SHARES
ISHARES RUSSELL MID CAP GROWTH INDEX             UNITS            464287481           62              800  SHARES
ISHARES S&P 500 INDEX FD                         UNITS            464287200         1492            13020  SHARES
ISHARES S&P 500/BARRA GRWTH INDEX FD             UNITS            464287309          199             3500  SHARES
ISHARES S&P EUROPE 350 INDEX FD                  UNITS            464287861          299             4500  SHARES
ISHARES S&P EUROPE 350 INDEX FD                  UNITS            464287861          173             2600  SHARES
ISHARES S&P MIDCAP 400 BARRA GRWTH I             UNITS            464287606          300             2405  SHARES
ISHARES S&P MIDCAP 400 INDEX FD                  UNITS            464287507          508             4175  SHARES
ISHARES S&P MIDCAP 400/BARRA VAL IND             UNITS            464287705          198             1700  SHARES
ISHARES S&P SMALLCAP 600 BARRA GRWTH             UNITS            464287887          303             3100  SHARES
ISHARES S&P SMALLCAP 600 BARRA VAL I             UNITS            464287879          154             1400  SHARES
ISHARES S&P SMALLCAP 600 INDEX FD                UNITS            464287804          584             3970  SHARES
JOHN HANCOCK BANK & THRIFT OPP FD                UNITS            409735107            7              800  SHARES
PUTNAM MASTER INCOME TR                          UNITS            74683K104           74            12000  SHARES
SALOMON BROTHERS FUND                            UNITS            795477108           13             1100  SHARES
SOURCE CAPITAL INC                               UNITS            836144105           13              200  SHARES
TEMPLETON EMERGING MKTS FD                       UNITS            880191101           11              858  SHARES
TEMPLETON EMERGING MKTS INC FD-DE                UNITS            880192109           23             2000  SHARES
TRI-CONTINENTAL CORP                             UNITS            895436103           21             1267  SHARES
VANGUARD TOTAL STOCK MARKET VIPERS               UNITS            922908769           44              400  SHARES
ZWEIG FUND                                       UNITS            989834106           10             2000  SHARES

SUBTOTALS FOR CLOSED END EQUITY MUTUAL FUNDS                                        7205           109214


                                                                                      
B. PREFERRED STOCK

CLOSED END EQUITY MUTUAL FUNDS

BRAZIL FUND INCORPORATED                                   X                   1         N.A.    N.A.      N.A.
CALAMOS STRATEGIC TOT RET FD                                         X         1         N.A.    N.A.      N.A.
COHEN & STEERS ADVANTAGE INC RLTY FD                                 X         1         N.A.    N.A.      N.A.
DNP SELECT INCOME FUND INC                                           X         1         N.A.    N.A.      N.A.
DNP SELECT INCOME FUND INC                                           X         3         N.A.    N.A.      N.A.
GABELLI EQUITY TRUST                                       X                   1         N.A.    N.A.      N.A.
GABELLI UTILITY TRUST                                      X                   1         N.A.    N.A.      N.A.
GABELLI UTILITY TRUST                                                X         1         N.A.    N.A.      N.A.
HANCOCK JOHN PATRIOT PFD DIVID FD                                    X         3         N.A.    N.A.      N.A.
INDIA FUND                                                 X                   1         N.A.    N.A.      N.A.
ISHARES DJ SELECT DIVIDEND INDEX FD                                  X         1         N.A.    N.A.      N.A.
ISHARES RUSSELL 2000 GRWTH FD                              X                   1         N.A.    N.A.      N.A.
ISHARES RUSSELL 2000 GRWTH FD                                        X         1         N.A.    N.A.      N.A.
ISHARES RUSSELL 2000 INDEX FD                              X                   1         N.A.    N.A.      N.A.
ISHARES RUSSELL 2000 INDEX FD                                        X         1         N.A.    N.A.      N.A.
ISHARES RUSSELL MID CAP GROWTH INDEX                       X                   1         N.A.    N.A.      N.A.
ISHARES S&P 500 INDEX FD                                   X                   1         N.A.    N.A.      N.A.
ISHARES S&P 500/BARRA GRWTH INDEX FD                       X                   1         N.A.    N.A.      N.A.
ISHARES S&P EUROPE 350 INDEX FD                            X                   2         N.A.    N.A.      N.A.
ISHARES S&P EUROPE 350 INDEX FD                                      X         1         N.A.    N.A.      N.A.
ISHARES S&P MIDCAP 400 BARRA GRWTH I                       X                   1         N.A.    N.A.      N.A.
ISHARES S&P MIDCAP 400 INDEX FD                            X                   1         N.A.    N.A.      N.A.
ISHARES S&P MIDCAP 400/BARRA VAL IND                       X                   1         N.A.    N.A.      N.A.
ISHARES S&P SMALLCAP 600 BARRA GRWTH                       X                   1         N.A.    N.A.      N.A.
ISHARES S&P SMALLCAP 600 BARRA VAL I                       X                   1         N.A.    N.A.      N.A.
ISHARES S&P SMALLCAP 600 INDEX FD                          X                   1         N.A.    N.A.      N.A.
JOHN HANCOCK BANK & THRIFT OPP FD                          X                   1         N.A.    N.A.      N.A.
PUTNAM MASTER INCOME TR                                    X                   1         N.A.    N.A.      N.A.
SALOMON BROTHERS FUND                                      X                   1         N.A.    N.A.      N.A.
SOURCE CAPITAL INC                                         X                   1         N.A.    N.A.      N.A.
TEMPLETON EMERGING MKTS FD                                           X         1         N.A.    N.A.      N.A.
TEMPLETON EMERGING MKTS INC FD-DE                                    X         1         N.A.    N.A.      N.A.
TRI-CONTINENTAL CORP                                                 X         1         N.A.    N.A.      N.A.
VANGUARD TOTAL STOCK MARKET VIPERS                                   X         1         N.A.    N.A.      N.A.
ZWEIG FUND                                                 X                   1         N.A.    N.A.      N.A.

SUBTOTALS FOR CLOSED END EQUITY MUTUAL FUNDS


                                    38 of 41




                                                                                                    
B. PREFERRED STOCK

CLOSED-END NON-TAXABLE INCOME

APEX MUNICIPAL FUND                              UNITS            037580107            8             1000  SHARES
APEX MUNICIPAL FUND                              UNITS            037580107           17             2027  SHARES
BLACKROCK NY MUNI INC TR                         UNITS            09248L106           65             5000  SHARES
EATON VANCE PA MUNI INC TR                       UNITS            27826T101           91             6800  SHARES
MORGAN STANLEY MUNI INC OPP TR II                UNITS            61745P445           15             2000  SHARES
MUNIENHANCED FUND INC                            UNITS            626243109           19             1918  SHARES
MUNIENHANCED FUND INC                            UNITS            626243109           20             2032  SHARES
MUNIHOLDINGS NY INSURED FD                       UNITS            625931100          119             8850  SHARES
MUNIYIELD FUND                                   UNITS            626299101           13             1000  SHARES
MUNIYIELD FUND                                   UNITS            626299101           15             1156  SHARES
MUNIYIELD NEW YORK INSURED FD                    UNITS            626301105           20             1601  SHARES
MUNIYIELD PENNSYLVANIA INSURED FD                UNITS            62630V109           35             2467  SHARES
MUNIYIELD PENNSYLVANIA INSURED FD                UNITS            62630V109           22             1574  SHARES
NUVEEN INSD QUALITY MUN FD                       UNITS            67062N103           50             3424  SHARES
NUVEEN INVT QUALITY MUNI FD                      UNITS            67062E103           18             1300  SHARES
NUVEEN INVT QUALITY MUNI FD                      UNITS            67062E103            5              333  SHARES
NUVEEN MUNI MARKET OPPORTUNITY FD                UNITS            67062W103           34             2500  SHARES
NUVEEN MUNI MARKET OPPORTUNITY FD                UNITS            67062W103          202            15000  SHARES
NUVEEN MUNICIPAL ADVANTAGE FD                    UNITS            67062H106            9              650  SHARES
NUVEEN MUNICIPAL ADVANTAGE FD                    UNITS            67062H106          150            10643  SHARES
NUVEEN MUNICIPAL VALUE FD                        UNITS            670928100           88            10016  SHARES
NUVEEN MUNICIPAL VALUE FD                        UNITS            670928100           51             5779  SHARES
NUVEEN PA INVT QUALITY MUN FD                    UNITS            670972108          117             8614  SHARES
NUVEEN PA INVT QUALITY MUN FD                    UNITS            670972108          230            16923  SHARES
NUVEEN PA PREM INCOME MUN FD 2                   UNITS            67061F101           74             5316  SHARES
NUVEEN PA PREM INCOME MUN FD 2                   UNITS            67061F101           47             3392  SHARES
NUVEEN PERFORMANCE PLUS MUNI FD                  UNITS            67062P108           31             2290  SHARES
NUVEEN PREM INC MUN FD 4                         UNITS            6706K4105           19             1655  SHARES
NUVEEN PREM INC MUNI FD                          UNITS            67062T100            9              700  SHARES
PIMCO MUNICIPAL INCOME FUND III                  UNITS            72201A103           18             1335  SHARES
PUTNAM MANAGED MUNICIPAL INCOME TR               UNITS            746823103           67             9663  SHARES
SALOMON BROS MUNI PTR FD                         UNITS            794916106           18             1350  SHARES
SCUDDER MUNICIPAL INCOME TR COM                  UNITS            81118R604           16             1400  SHARES
SCUDDER STRATEGIC MUNI INCOME TRUST              UNITS            811234103           17             1500  SHARES
VAN KAMPEN ADVANTAGE PA MUNI INCOME              UNITS            920937109           24             1710  SHARES
VAN KAMPEN ADVANTAGE PA MUNI INCOME              UNITS            920937109          122             8600  SHARES
VAN KAMPEN MUNICIPAL INCOME TRUST                UNITS            920909108           89            10000  SHARES
VAN KAMPEN PENN VALUE MUNI INCOME TR             UNITS            92112T108           84             5858  SHARES

SUBTOTALS FOR CLOSED-END NON-TAXABLE INCOME                                         2048           167376


                                                                                      
B. PREFERRED STOCK

CLOSED-END NON-TAXABLE INCOME

APEX MUNICIPAL FUND                                        X                   1         N.A.    N.A.      N.A.
APEX MUNICIPAL FUND                                                  X         1         N.A.    N.A.      N.A.
BLACKROCK NY MUNI INC TR                                   X                   1         N.A.    N.A.      N.A.
EATON VANCE PA MUNI INC TR                                           X         1         N.A.    N.A.      N.A.
MORGAN STANLEY MUNI INC OPP TR II                                    X         1         N.A.    N.A.      N.A.
MUNIENHANCED FUND INC                                      X                   1         N.A.    N.A.      N.A.
MUNIENHANCED FUND INC                                                X         1         N.A.    N.A.      N.A.
MUNIHOLDINGS NY INSURED FD                                           X         1         N.A.    N.A.      N.A.
MUNIYIELD FUND                                             X                   1         N.A.    N.A.      N.A.
MUNIYIELD FUND                                                       X         1         N.A.    N.A.      N.A.
MUNIYIELD NEW YORK INSURED FD                                        X         1         N.A.    N.A.      N.A.
MUNIYIELD PENNSYLVANIA INSURED FD                          X                   1         N.A.    N.A.      N.A.
MUNIYIELD PENNSYLVANIA INSURED FD                                    X         1         N.A.    N.A.      N.A.
NUVEEN INSD QUALITY MUN FD                                 X                   1         N.A.    N.A.      N.A.
NUVEEN INVT QUALITY MUNI FD                                X                   1         N.A.    N.A.      N.A.
NUVEEN INVT QUALITY MUNI FD                                          X         1         N.A.    N.A.      N.A.
NUVEEN MUNI MARKET OPPORTUNITY FD                          X                   1         N.A.    N.A.      N.A.
NUVEEN MUNI MARKET OPPORTUNITY FD                                    X         1         N.A.    N.A.      N.A.
NUVEEN MUNICIPAL ADVANTAGE FD                              X                   1         N.A.    N.A.      N.A.
NUVEEN MUNICIPAL ADVANTAGE FD                                        X         1         N.A.    N.A.      N.A.
NUVEEN MUNICIPAL VALUE FD                                  X                   1         N.A.    N.A.      N.A.
NUVEEN MUNICIPAL VALUE FD                                            X         1         N.A.    N.A.      N.A.
NUVEEN PA INVT QUALITY MUN FD                              X                   1         N.A.    N.A.      N.A.
NUVEEN PA INVT QUALITY MUN FD                                        X         1         N.A.    N.A.      N.A.
NUVEEN PA PREM INCOME MUN FD 2                             X                   1         N.A.    N.A.      N.A.
NUVEEN PA PREM INCOME MUN FD 2                                       X         1         N.A.    N.A.      N.A.
NUVEEN PERFORMANCE PLUS MUNI FD                                      X         1         N.A.    N.A.      N.A.
NUVEEN PREM INC MUN FD 4                                             X         1         N.A.    N.A.      N.A.
NUVEEN PREM INC MUNI FD                                    X                   1         N.A.    N.A.      N.A.
PIMCO MUNICIPAL INCOME FUND III                            X                   1         N.A.    N.A.      N.A.
PUTNAM MANAGED MUNICIPAL INCOME TR                                   X         1         N.A.    N.A.      N.A.
SALOMON BROS MUNI PTR FD                                   X                   1         N.A.    N.A.      N.A.
SCUDDER MUNICIPAL INCOME TR COM                                      X         1         N.A.    N.A.      N.A.
SCUDDER STRATEGIC MUNI INCOME TRUST                        X                   1         N.A.    N.A.      N.A.
VAN KAMPEN ADVANTAGE PA MUNI INCOME                        X                   1         N.A.    N.A.      N.A.
VAN KAMPEN ADVANTAGE PA MUNI INCOME                                  X         1         N.A.    N.A.      N.A.
VAN KAMPEN MUNICIPAL INCOME TRUST                                    X         1         N.A.    N.A.      N.A.
VAN KAMPEN PENN VALUE MUNI INCOME TR                       X                   1         N.A.    N.A.      N.A.

SUBTOTALS FOR CLOSED-END NON-TAXABLE INCOME



                                                                                                    
B. PREFERRED STOCK

CLOSED-END FIXED INCOME

ABERDEEN ASIA PACIFIC INC FD                     UNITS            003009107           17             3000  SHARES
ACM INCOME FUND                                  UNITS            000912105            7              892  SHARES
ALLIANCE WORLD DLR GOVT FUND (CE)                UNITS            018796102           27             2500  SHARES
AMERICAN STRATEGIC INCOME III FD                 UNITS            03009T101           51             4300  SHARES
AMERICAN STRATEGIC INCOME PORT II                UNITS            030099105           56             4400  SHARES
BANCROFT CONVERTIBLE FUND INC                    UNITS            059695106            0               25  SHARES
CIGNA HIGH INCOME SHARE (CE)                     UNITS            12551D109            1              241  SHARES
CIM HIGH YIELD SECS SH BEN INT (CE)              UNITS            125527101            1              136  SHARES
CITICORP INVESTMENTS CORP LN FD                  UNITS            17307C107           38             2583  SHARES
DREYFUS HIGH YIELD STRATEGIES FD                 UNITS            26200S101            9             2000  SHARES
DUFF & PHELPS UTIL & CORP BOND FD                UNITS            26432K108           19             1500  SHARES
FLAHERTY & CRUMRINE/CLAYMORE PFD SEC             UNITS            338478100           24             1010  SHARES
FRANKLIN UNIVERSAL TRUST                         UNITS            355145103           23             4200  SHARES
GERMANY FUND                                     UNITS            374143105            4              503  SHARES
HIGH INCOME OPPORTUNITY FD INC                   UNITS            42967Q105           19             2881  SHARES
JOHN HANCOCK INVESTORS TRUST                     UNITS            410142103            6              300  SHARES
JOHN HANCOCK PFD INC FD II                       UNITS            41013X106           24             1050  SHARES
MFS CHARTER INCOME TRUST                         UNITS            552727109            1              166  SHARES
MFS INTERMEDIATE INCOME TRUST                    UNITS            55273C107           64            10000  SHARES
MFS SPECIAL VALUE TRUST                          UNITS            55274E102           23             2125  SHARES
MORGAN STANLEY HIGH YLD FD INC                   UNITS            61744M104           16             2750  SHARES
NEW AMERICAN HIGH INCOME FD INC CE               UNITS            641876107            7             3500  SHARES
NUVEEN PFD & CONV INCOME FD II                   UNITS            67073D102           24             1860  SHARES
NUVEEN QUALITY PFD INCOME FD 2                   UNITS            67072C105           57             4085  SHARES


                                                                                      
B. PREFERRED STOCK

CLOSED-END FIXED INCOME

ABERDEEN ASIA PACIFIC INC FD                               X                   1         N.A.    N.A.      N.A.
ACM INCOME FUND                                                      X         1         N.A.    N.A.      N.A.
ALLIANCE WORLD DLR GOVT FUND (CE)                          X                   1         N.A.    N.A.      N.A.
AMERICAN STRATEGIC INCOME III FD                           X                   1         N.A.    N.A.      N.A.
AMERICAN STRATEGIC INCOME PORT II                          X                   1         N.A.    N.A.      N.A.
BANCROFT CONVERTIBLE FUND INC                              X                   1         N.A.    N.A.      N.A.
CIGNA HIGH INCOME SHARE (CE)                                         X         1         N.A.    N.A.      N.A.
CIM HIGH YIELD SECS SH BEN INT (CE)                                  X         1         N.A.    N.A.      N.A.
CITICORP INVESTMENTS CORP LN FD                                      X         1         N.A.    N.A.      N.A.
DREYFUS HIGH YIELD STRATEGIES FD                                     X         1         N.A.    N.A.      N.A.
DUFF & PHELPS UTIL & CORP BOND FD                                    X         1         N.A.    N.A.      N.A.
FLAHERTY & CRUMRINE/CLAYMORE PFD SEC                       X                   1         N.A.    N.A.      N.A.
FRANKLIN UNIVERSAL TRUST                                             X         1         N.A.    N.A.      N.A.
GERMANY FUND                                               X                   1         N.A.    N.A.      N.A.
HIGH INCOME OPPORTUNITY FD INC                             X                   1         N.A.    N.A.      N.A.
JOHN HANCOCK INVESTORS TRUST                                         X         1         N.A.    N.A.      N.A.
JOHN HANCOCK PFD INC FD II                                 X                   1         N.A.    N.A.      N.A.
MFS CHARTER INCOME TRUST                                   X                   1         N.A.    N.A.      N.A.
MFS INTERMEDIATE INCOME TRUST                                        X         1         N.A.    N.A.      N.A.
MFS SPECIAL VALUE TRUST                                              X         1         N.A.    N.A.      N.A.
MORGAN STANLEY HIGH YLD FD INC                                       X         1         N.A.    N.A.      N.A.
NEW AMERICAN HIGH INCOME FD INC CE                                   X         1         N.A.    N.A.      N.A.
NUVEEN PFD & CONV INCOME FD II                             X                   1         N.A.    N.A.      N.A.
NUVEEN QUALITY PFD INCOME FD 2                             X                   1         N.A.    N.A.      N.A.


                                    39 of 41




                                                                                                    
NUVEEN QUALITY PFD INCOME FD 2                   UNITS            67072C105          193            13715  SHARES
PACIFIC AMERICAN INCOME SHS INC CE               UNITS            693796104           21             1500  SHARES
PIMCO CORPORATE INCOME FUND                      UNITS            72200U100           10              740  SHARES
PROSPECT STREET INCOME SHARES INC                UNITS            743590101            2              347  SHARES
PUTNAM MANAGED HIGH YIELD TRUST                  UNITS            746819101           21             2650  SHARES
PUTNAM PREMIER INCOME TRUST                      UNITS            746853100            2              300  SHARES
TEMPLETON GLOBAL INCOME FUND-DE                  UNITS            880198106           32             4043  SHARES

SUBTOTALS FOR CLOSED-END FIXED INCOME                                                799            79302


                                                                                      
NUVEEN QUALITY PFD INCOME FD 2                                       X         1         N.A.    N.A.      N.A.
PACIFIC AMERICAN INCOME SHS INC CE                                   X         1         N.A.    N.A.      N.A.
PIMCO CORPORATE INCOME FUND                                X                   1         N.A.    N.A.      N.A.
PROSPECT STREET INCOME SHARES INC                          X                   1         N.A.    N.A.      N.A.
PUTNAM MANAGED HIGH YIELD TRUST                                      X         1         N.A.    N.A.      N.A.
PUTNAM PREMIER INCOME TRUST                                          X         1         N.A.    N.A.      N.A.
TEMPLETON GLOBAL INCOME FUND-DE                            X                   1         N.A.    N.A.      N.A.

SUBTOTALS FOR CLOSED-END FIXED INCOME


*SUMMARY PAGE FOR B. PREFERRED STOCK                               *


                                                                                                    
MINOR ASSET TYPE

49 DOMESTIC PREFERRED STOCK                                                          574            17465
50 FOREIGN PREFERRED STOCKS                                                          819            25206
51 CONVERTIBLE PREFERRED STOCKS                                                    10415           203588
60 GLOBAL EQUITY MUTUAL FUNDS                                                        499             6276
63 CLOSED END EQUITY MUTUAL FUND                                                    7205           109214
65 CLOSED-END NON-TAXABLE INCOME                                                    2048           167376
68 CLOSED-END FIXED INCOME                                                           799            79302

*SUBTOTALS*                                                                        22359           608427


                                                                                      
MINOR ASSET TYPE

49 DOMESTIC PREFERRED STOCK
50 FOREIGN PREFERRED STOCKS
51 CONVERTIBLE PREFERRED STOCKS
60 GLOBAL EQUITY MUTUAL FUNDS
63 CLOSED END EQUITY MUTUAL FUND
65 CLOSED-END NON-TAXABLE INCOME
68 CLOSED-END FIXED INCOME

*SUBTOTALS*



                                                                                                    
C. OTHER

CONVERTIBLE CORPORATE BONDS

LEHMAN BROTHERS CONV 1.000%  9/16/10             PAR VALUE        52517PWR8           18            20000  PAR VALUE
NEXTEL COMMUNICA CSN 5.250%  1/15/10             PAR VALUE        65332VAY9           29            30000  PAR VALUE

SUBTOTALS FOR CONVERTIBLE CORPORATE BONDS                                             47            50000


                                                                                      
C. OTHER

CONVERTIBLE CORPORATE BONDS

LEHMAN BROTHERS CONV 1.000%  9/16/10                                 X         1         N.A.    N.A.      N.A.
NEXTEL COMMUNICA CSN 5.250%  1/15/10                                 X         1         N.A.    N.A.      N.A.

SUBTOTALS FOR CONVERTIBLE CORPORATE BONDS



                                                                                                    
C. OTHER

NON-TAXABLE FIXED INCOME FUND

DREYFUS MUNICIPAL INCOME FUND                    UNITS            26201R102           66             7200  SHARES
DREYFUS STRATEGIC MUN BD FD (CE)                 UNITS            26202F107          225            27602  SHARES
DREYFUS STRATEGIC MUN BD FD (CE)                 UNITS            26202F107          145            17864  SHARES
DREYFUS STRATEGIC MUNS INC (CE)                  UNITS            261932107           17             2109  SHARES
EATON VANCE MUNICIPAL INCOME TRUST               UNITS            27826U108           74             5000  SHARES
MORGAN STAN DEAN QUALITY MUN INC TR              UNITS            61745P734           19             1413  SHARES
MORGAN STANLEY INSD MUNI INCOME TR               UNITS            61745P791           38             2814  SHARES
MORGAN STANLEY QUALITY MUNI INVST                UNITS            61745P668           22             1708  SHARES
MUNICIPAL HIGH INCOME FD INC                     UNITS            626214100           26             3616  SHARES
MUNICIPAL HIGH INCOME FD INC                     UNITS            626214100           78            10930  SHARES
MUNIHOLDINGS NEW JERSEY INSD FD INC              UNITS            625936109           42             3050  SHARES
MUNIYIELD CALIF INSD FUND INC                    UNITS            62629L104           39             3050  SHARES
MUNIYIELD QUALITY FUND II                        UNITS            62630T104           80             6850  SHARES
NUVEEN DIVID ADVANTAGE MUN FD 2                  UNITS            67070F100           32             2251  SHARES
VAN KAMPEN ADVANTAGE MUNI INCOME TR              UNITS            921124103          106             7500  SHARES
VAN KAMPEN PA QUALITY MUNI TR (CE)               UNITS            920924107           35             2400  SHARES
VAN KAMPEN PA QUALITY MUNI TR (CE)               UNITS            920924107           91             6250  SHARES
VAN KAMPEN TRUST INSURED MUNICIPAL               UNITS            920928108            7              505  SHARES
VAN KAMPEN TRUST INVT GRADE PA MUNI              UNITS            920934106           49             3425  SHARES

SUBTOTALS FOR NON-TAXABLE FIXED INCOME FUNDS                                        1191           115537


                                                                                                    
C. OTHER

NON-TAXABLE FIXED INCOME FUND

DREYFUS MUNICIPAL INCOME FUND                                        X         1         N.A.    N.A.      N.A.
DREYFUS STRATEGIC MUN BD FD (CE)                           X                   1         N.A.    N.A.      N.A.
DREYFUS STRATEGIC MUN BD FD (CE)                                     X         1         N.A.    N.A.      N.A.
DREYFUS STRATEGIC MUNS INC (CE)                                      X         1         N.A.    N.A.      N.A.
EATON VANCE MUNICIPAL INCOME TRUST                                   X         1         N.A.    N.A.      N.A.
MORGAN STAN DEAN QUALITY MUN INC TR                                  X         1         N.A.    N.A.      N.A.
MORGAN STANLEY INSD MUNI INCOME TR                                   X         1         N.A.    N.A.      N.A.
MORGAN STANLEY QUALITY MUNI INVST                                    X         1         N.A.    N.A.      N.A.
MUNICIPAL HIGH INCOME FD INC                               X                   1         N.A.    N.A.      N.A.
MUNICIPAL HIGH INCOME FD INC                                         X         1         N.A.    N.A.      N.A.
MUNIHOLDINGS NEW JERSEY INSD FD INC                                  X         1         N.A.    N.A.      N.A.
MUNIYIELD CALIF INSD FUND INC                                        X         1         N.A.    N.A.      N.A.
MUNIYIELD QUALITY FUND II                                            X         1         N.A.    N.A.      N.A.
NUVEEN DIVID ADVANTAGE MUN FD 2                                      X         1         N.A.    N.A.      N.A.
VAN KAMPEN ADVANTAGE MUNI INCOME TR                                  X         1         N.A.    N.A.      N.A.
VAN KAMPEN PA QUALITY MUNI TR (CE)                         X                   1         N.A.    N.A.      N.A.
VAN KAMPEN PA QUALITY MUNI TR (CE)                                   X         1         N.A.    N.A.      N.A.
VAN KAMPEN TRUST INSURED MUNICIPAL                         X                   1         N.A.    N.A.      N.A.
VAN KAMPEN TRUST INVT GRADE PA MUNI                        X                   1         N.A.    N.A.      N.A.

SUBTOTALS FOR NON-TAXABLE FIXED INCOME FUNDS



                                                                                                    
C. OTHER

MUNICIPAL UITS

MFS MUN INCOME TR SH BEN INT                     UNITS            552738106           12             1700  SHARES

SUBTOTALS FOR MUNICIPAL UITS                                                          12             1700


                                                                                      
C. OTHER

MUNICIPAL UITS

MFS MUN INCOME TR SH BEN INT                               X                   1         N.A.    N.A.      N.A.

SUBTOTALS FOR MUNICIPAL UITS


                                    40 of 41




                                                                                                    
C. OTHER

PARTNERSHIPS

FERRELLGAS PARTNERS LP                           UNITS            315293100           21             1000  SHARES
FERRELLGAS PARTNERS LP                           UNITS            315293100          172             8000  SHARES
ML MACADAMIA ORCHARDS L P                        UNITS            55307U107            0              100  SHARES
PHOSPHATE RESOURCES LTD PARTNERS                 UNITS            719217101            5             2000  SHARES
PHOSPHATE RESOURCES LTD PARTNERS                 UNITS            719217101            5             2000  SHARES

SUBTOTALS FOR PARTNERSHIPS                                                           203            13100


                                                                                      
C. OTHER

PARTNERSHIPS

FERRELLGAS PARTNERS LP                                     X                   1         N.A.    N.A.      N.A.
FERRELLGAS PARTNERS LP                                              X          1         N.A.    N.A.      N.A.
ML MACADAMIA ORCHARDS L P                                           X          1         N.A.    N.A.      N.A.
PHOSPHATE RESOURCES LTD PARTNERS                           X                   1         N.A.    N.A.      N.A.
PHOSPHATE RESOURCES LTD PARTNERS                                    X          1         N.A.    N.A.      N.A.

SUBTOTALS FOR PARTNERSHIPS

*SUMMARY PAGE FOR C. OTHER *



                                                                                                    
MINOR ASSET TYPE

70 MUNICIPAL UITS                                                                     12             1700
32 CONVERTIBLE CORPORATE BONDS                                                        47            50000
88 PARTNERSHIPS                                                                      203            13100
67 NON-TAXABLE FIXED INCOME FUNDS                                                   1191           115537


                                                                                      
MINOR ASSET TYPE

70 MUNICIPAL UITS                                                                        N.A.    N.A.      N.A.
32 CONVERTIBLE CORPORATE BONDS                                                           N.A.    N.A.      N.A.
88 PARTNERSHIPS                                                                          N.A.    N.A.      N.A.
67 NON-TAXABLE FIXED INCOME FUNDS                                                        N.A.    N.A.      N.A.

*SUBTOTALS*


*THESE ASSETS ARE CODED 13(F) ELIGIBLE, HOWEVER, THE MINOR ASSET CODING IS NOT
INCLUDED IN THE MAPPING

**SUMMARY PAGE FOR: M & T BANK (SERVICE BUREAU) * *


                                                                                                    
CATEGORY

A. COMMON STOCK                                                                  3793969        105419754
B. PREFERRED STOCK                                                                 22359           608427
C. OTHER                                                                            1453           180337

**GRAND TOTALS**                                                                 3817781        106208518


                                                                                      
CATEGORY

A. COMMON STOCK
B. PREFERRED STOCK
C. OTHER

**GRAND TOTALS**


                                    41 of 41



                             FORM 13-F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                                             3
                                                               -----------------

Form 13-F Information Table Entry Total:                                   2,844
                                                               -----------------

Form 13-F Information Table Value Total:                               3,817,781
                                                               -----------------
                                                                    (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.


[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

     No.   Form 13F File Number           Name

      1    028-39800                      Manufacturers & Traders Trust Company
      2    028-10910                      Zirkin-Cutler Investments, Inc.
      3    028-10909                      MTB Investment Advisors, Inc.