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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2005

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 required 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   4/28/2005
               [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                COLUMN 6        COLUMN 7         COLUMN 8
      --------        --------   --------  --------         --------                --------        --------         --------
                                                      SHARES                  INVESTMENT AUTHORITY
                                                        OR              PUT  ----------------------              VOTING AUTHORITY
                      TITLE OF               VALUE   PRINCIAL SHARES OR  OR       SHARED - SHARED -   OTHER  -----------------------
   NAME OF ISSUER      CLASS      CUSIP   (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE  DEFINED   OTHER  MANAGERS   SOLE   SHARED  OTHER
------------------- ----------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- -------- ------ -------
                                                                                        
A. COMMON STOCK

DOMESTIC COMMON
   STOCKS

A.S.V. INC          COMMON      001963107         10      250 SHARES                  X                 1         250      0       0
AAMES INVESTMENT
   CORP             COMMON      00253G108         33     4000 SHARES                           X        1        4000      0       0
AAR CORP            COMMON      000361105         52     3800 SHARES                  X                 1        3800      0       0
ABBOTT LABORATORIES COMMON      002824100      13002   278889 SHARES                  X                 1      278634      0     255
ABBOTT LABORATORIES COMMON      002824100       6143   131758 SHARES                           X        1      116758      0   15000
ABERCROMBIE & FITCH
   CO CL A          COMMON      002896207         29      500 SHARES                           X        1         500      0       0
ABM INDUSTRIES
   INCORPORATED     COMMON      000957100          6      300 SHARES                  X                 1         300      0       0
ACTIVISION INC      COMMON      004930202          4      247 SHARES                  X                 1         247      0       0
ADC TELEMUNICATIONS
   INC              COMMON      000886101         32    16000 SHARES                           X        1       16000      0       0
ADE CORPORATION     COMMON      00089C107         24     1100 SHARES                  X                 1        1100      0       0
ADESA INC           COMMON      00686U104         19      800 SHARES                  X                 1         800      0       0
ADESA INC           COMMON      00686U104        124     5300 SHARES                           X        1        5300      0       0
ADOBE SYS INC       COMMON      00724F101          3       50 SHARES                  X                 1          50      0       0
ADOBE SYS INC       COMMON      00724F101          9      140 SHARES                           X        1         140      0       0
ADVANCED MEDICAL
   OPTICS           COMMON      00763M108          5      140 SHARES                           X        1         140      0       0
ADVANCED MICRO
   DEVICES INC      COMMON      007903107        101     6250 SHARES                  X                 1        6250      0       0
ADVANCED MICRO
   DEVICES INC      COMMON      007903107         19     1200 SHARES                           X        1         200      0    1000
AES CORP            COMMON      00130H105         54     3300 SHARES                  X                 1        3300      0       0
AES CORP            COMMON      00130H105         13      800 SHARES                           X        1         800      0       0
AETNA INC           COMMON      00817Y108        557     7428 SHARES                  X                 1        7428      0       0
AETNA INC           COMMON      00817Y108          8      110 SHARES                           X        1         110      0       0
AFFILIATED COMPUTER
   SVCS INC CL A    COMMON      008190100        150     2810 SHARES                  X                 1        2810      0       0
AFFILIATED COMPUTER
   SVCS INC CL A    COMMON      008190100        220     4125 SHARES                           X        1        3975      0     150
AFFILIATED MANAGERS
   GROUP            COMMON      008252108        290     4675 SHARES                  X                 1        4675      0       0
AFFILIATED MANAGERS
   GROUP            COMMON      008252108         12      200 SHARES                           X        1         200      0       0
AFFYMETRIX INC      COMMON      00826T108        288     6725 SHARES                  X                 1        6725      0       0
AFLAC INCORPORATED  COMMON      001055102       2131    57190 SHARES                  X                 1       57190      0       0
AFLAC INCORPORATED  COMMON      001055102        104     2804 SHARES                           X        1        1804      0    1000
AGERE SYS INC CL A  COMMON      00845V100          0      188 SHARES                  X                 1         188      0       0
AGERE SYS INC CL A  COMMON      00845V100          0      139 SHARES                           X        1         134      0       5
AGERE SYS INC CL B  COMMON      00845V209          4     2995 SHARES                  X                 1        2995      0       0
AGERE SYS INC CL B  COMMON      00845V209          5     3801 SHARES                           X        1        3633      0     168
AGILENT
   TECHNOLOGIES INC COMMON      00846U101        126     5694 SHARES                  X                 1        5694      0       0
AGILENT
   TECHNOLOGIES INC COMMON      00846U101        227    10247 SHARES                           X        1        9637      0     610
AGL RESOURCES INC   COMMON      001204106         98     2800 SHARES                  X                 1        2800      0       0
AGL RESOURCES INC   COMMON      001204106        404    11565 SHARES                           X        1       11565      0       0
AIR PRODUCTS &
   CHEMICALS INC    COMMON      009158106       1372    21685 SHARES                  X                 1       21685      0       0
AIR PRODUCTS &
   CHEMICALS INC    COMMON      009158106       1176    18575 SHARES                           X        1       16325      0    2250
AIRTRAN HLDGS INC   COMMON      00949P108         34     3800 SHARES                  X                 1        3800      0       0
AK STEEL HOLDING
   CORP             COMMON      001547108          1       66 SHARES                  X                 1          66      0       0
ALASKA
   COMMUNICATIONS
   SYSTEMS GROUP    COMMON      01167P101         85     8500 SHARES                  X                 1        8500      0       0
ALBEMARLE CORP      COMMON      012653101        145     4000 SHARES                  X                 1        4000      0       0
ALBEMARLE CORP      COMMON      012653101        865    23800 SHARES                           X        1       23800      0       0
ALBERTSON'S INC     COMMON      013104104         19      907 SHARES                  X                 1         907      0       0
ALBERTSON'S INC     COMMON      013104104         41     2000 SHARES                           X        1           0      0    2000
ALCOA INC           COMMON      013817101      11167   367452 SHARES                  X                 1      362330      0    5122
ALCOA INC           COMMON      013817101       2431    79987 SHARES                           X        1       71927      0    8060
ALDERWOODS GROUP
   INC              COMMON      014383103          6      500 SHARES                  X                 1         500      0       0
ALDILA INCORPORATED COMMON      014384200          1       66 SHARES                  X                 1          66      0       0
ALEXION
   PHARMACEUTICALS
   INC              COMMON      015351109          7      300 SHARES                           X        1           0      0     300
ALLEGHENY ENERGY
   INC              COMMON      017361106         25     1229 SHARES                  X                 1        1229      0       0
ALLEGHENY ENERGY
   INC              COMMON      017361106         74     3575 SHARES                           X        1        3275      0     300
ALLEGHENY
   TECHNOLOGIES
   INC              COMMON      01741R102         23      962 SHARES                  X                 1         962      0       0
ALLEGHENY
   TECHNOLOGIES
   INC              COMMON      01741R102         12      481 SHARES                           X        1           0      0     481
ALLERGAN INC        COMMON      018490102         56      800 SHARES                  X                 1         800      0       0
ALLERGAN INC        COMMON      018490102         65      932 SHARES                           X        1         932      0       0
ALLETE INC          COMMON      018522300         11      267 SHARES                  X                 1         267      0       0
ALLETE INC          COMMON      018522300         74     1766 SHARES                           X        1        1766      0       0
ALLIANCE CAP MGMT
   HLDG L P         COMMON      01855A101        110     2325 SHARES                  X                 1        2325      0       0
ALLIANCE CAP MGMT
   HLDG L P         COMMON      01855A101         94     2000 SHARES                           X        1        2000      0       0
ALLIANT ENERGY CORP COMMON      018802108         22      805 SHARES                  X                 1         805      0       0
ALLIANT ENERGY CORP COMMON      018802108          3      111 SHARES                           X        1         111      0       0
ALLIANT TECHSYSTEMS
   INC              COMMON      018804104          9      127 SHARES                  X                 1         127      0       0
ALLIANT TECHSYSTEMS
   INC              COMMON      018804104         29      405 SHARES                           X        1         405      0       0


                                     2 of 44




                                                                                        
ALLIED CAPITAL CORP COMMON      01903Q108         27     1050 SHARES                  X                 1        1050      0       0
ALLIED CAPITAL CORP COMMON      01903Q108         87     3320 SHARES                           X        1        3320      0       0
ALLIS-CHALMERS
   ENERGY INC       COMMON      019645506          0        3 SHARES                  X                 1           3      0       0
ALLSTATE CORP       COMMON      020002101       6505   120337 SHARES                  X                 1      119217      0    1120
ALLSTATE CORP       COMMON      020002101       2048    37886 SHARES                           X        1       35436      0    2450
ALLTEL CORP         COMMON      020039103        428     7805 SHARES                  X                 1        7805      0       0
ALLTEL CORP         COMMON      020039103       1586    28917 SHARES                           X        1       24717      0    4200
ALTERA CORP         COMMON      021441100        131     6600 SHARES                  X                 1        6600      0       0
ALTERA CORP         COMMON      021441100         13      650 SHARES                           X        1         650      0       0
ALTRIA GROUP INC    COMMON      02209S103      13659   208890 SHARES                  X                 1      208790      0     100
ALTRIA GROUP INC    COMMON      02209S103      11174   170878 SHARES                           X        1      160028      0   10850
AMAZON. INC         COMMON      023135106         41     1200 SHARES                  X                 1        1200      0       0
AMAZON. INC         COMMON      023135106          3      100 SHARES                           X        1           0      0     100
AMEREN CORP         COMMON      023608102        226     4615 SHARES                  X                 1        4615      0       0
AMEREN CORP         COMMON      023608102         87     1765 SHARES                           X        1        1765      0       0
AMERICAN CAPITAL
   STRATEGIES LTD   COMMON      024937104         31     1000 SHARES                  X                 1        1000      0       0
AMERICAN CAPITAL
   STRATEGIES LTD   COMMON      024937104         41     1300 SHARES                           X        1        1300      0       0
AMERICAN ELECTRIC
   POWER CO INC     COMMON      025537101        280     8211 SHARES                  X                 1        7811      0     400
AMERICAN ELECTRIC
   POWER CO INC     COMMON      025537101        440    12911 SHARES                           X        1        9681      0    3230
AMERICAN EXPRESS CO COMMON      025816109       2582    50266 SHARES                  X                 1       49666      0     600
AMERICAN EXPRESS CO COMMON      025816109       1099    21402 SHARES                           X        1       17946      0    3456
AMERICAN FINANCIAL
   REALTY TRUST     COMMON      02607P305         59     4000 SHARES                  X                 1        4000      0       0
AMERICAN FINL GROUP
   INC              COMMON      025932104         12      400 SHARES                           X        1           0      0     400
AMERICAN HEALTHWAYS
   INC              COMMON      02649V104          3      100 SHARES                  X                 1         100      0       0
AMERICAN
   INTERNATIONAL
   GROUP INC        COMMON      026874107      20745   374388 SHARES                  X                 1      370142      0    4246
AMERICAN
   INTERNATIONAL
   GROUP INC        COMMON      026874107       7960   143656 SHARES                           X        1      123285      0   20371
AMERICAN LOCKER
   GROUP INC        COMMON      027284108          4      800 SHARES                           X        1         800      0       0
AMERICAN SELECT
   PORTFOLIO        COMMON      029570108         36     3000 SHARES                  X                 1        3000      0       0
AMERICAN TECHNOLOGY
   CORP             COMMON      030145205         61     7500 SHARES                           X        1        7500      0       0
AMERIGAS PARTNERS
   LP               COMMON      030975106          9      300 SHARES                  X                 1         300      0       0
AMERIGAS PARTNERS
   LP               COMMON      030975106         47     1600 SHARES                           X        1        1600      0       0
AMERIGROUP
   CORPORATION      COMMON      03073T102        299     8170 SHARES                  X                 1        8170      0       0
AMERISOURCE BERGEN
   CORP             COMMON      03073E105         11      200 SHARES                  X                 1         200      0       0
AMERITRADE HOLDING
   CORP             COMMON      03074K100          5      515 SHARES                  X                 1         515      0       0
AMETEK AEROSPACE
   PRODS INC        COMMON      031100100         38      942 SHARES                  X                 1         942      0       0
AMETEK AEROSPACE
   PRODS INC        COMMON      031100100        193     4800 SHARES                           X        1        4800      0       0
AMGEN INC           COMMON      031162100      19790   339974 SHARES                  X                 1      335537      0    4437
AMGEN INC           COMMON      031162100       3749    64401 SHARES                           X        1       56231      0    8170
AMSOUTH
   BANCORPORATION   COMMON      032165102         37     1430 SHARES                  X                 1        1430      0       0
AMSURG CORP         COMMON      03232P405        484    19125 SHARES                  X                 1       19125      0       0
AMSURG CORP         COMMON      03232P405         20      800 SHARES                           X        1         800      0       0
ANADARKO PETROLEUM
   CORP             COMMON      032511107       1246    16377 SHARES                  X                 1       16377      0       0
ANADARKO PETROLEUM
   CORP             COMMON      032511107        419     5506 SHARES                           X        1        5506      0       0
ANALOG DEVICES INC  COMMON      032654105         99     2740 SHARES                  X                 1        2740      0       0
ANALOG DEVICES INC  COMMON      032654105         29      800 SHARES                           X        1           0      0     800
ANHEUSER BUSCH COS
   INC              COMMON      035229103       1439    30372 SHARES                  X                 1       30372      0       0
ANHEUSER BUSCH COS
   INC              COMMON      035229103       1359    28672 SHARES                           X        1       28542      0     130
ANNALY MTGE
   MANAGEMENT INC
   (REIT)           COMMON      035710409         19     1000 SHARES                  X                 1        1000      0       0
ANNALY MTGE
   MANAGEMENT INC
   (REIT)           COMMON      035710409          9      500 SHARES                           X        1         500      0       0
ANNAPOLIS BANCORP
   INCORPORATED     COMMON      035848100         12     1333 SHARES                           X        1        1333      0       0
ANNTAYLOR STORES
   CORP             COMMON      036115103          6      225 SHARES                           X        1         225      0       0
ANSYS INC           COMMON      03662Q105          7      200 SHARES                  X                 1         200      0       0
AON CORP            COMMON      037389103        205     8975 SHARES                  X                 1        8975      0       0
AON CORP            COMMON      037389103         34     1500 SHARES                           X        1        1500      0       0
APACHE CORP         COMMON      037411105       2052    33505 SHARES                  X                 1       33505      0       0
APACHE CORP         COMMON      037411105        678    11067 SHARES                           X        1       10857      0     210
APOLLO GROUP INC CL
   A                COMMON      037604105         15      206 SHARES                  X                 1         206      0       0
APOLLO GROUP INC CL
   A                COMMON      037604105          9      125 SHARES                           X        1         125      0       0
APPLE PUTER INC     COMMON      037833100         88     2100 SHARES                  X                 1        2100      0       0
APPLE PUTER INC     COMMON      037833100        125     3000 SHARES                           X        1        1000      0    2000
APPLEBEE
   INTERNATIONAL
   INC              COMMON      037899101         60     2175 SHARES                           X        1        2175      0       0
APPLED MICRO
   CIRCUITS CORP    COMMON      03822W109          2      500 SHARES                  X                 1         500      0       0
APPLERA
   CORP-APPLIED
   BIOSYSTEMS GRP   COMMON      038020103         59     2975 SHARES                  X                 1        2975      0       0
APPLERA CORP-CELERA
   GENOMICS GR      COMMON      038020202          6      600 SHARES                  X                 1         600      0       0
APPLICA INC         COMMON      03815A106         65    12800 SHARES                  X                 1       12800      0       0
APPLIED MATERIALS
   INC              COMMON      038222105       1365    84030 SHARES                  X                 1       82630      0    1400
APPLIED MATERIALS
   INC              COMMON      038222105        138     8504 SHARES                           X        1        6604      0    1900
APPLIED SIGNAL
   TECHNOLOGY INC   COMMON      038237103         76     3300 SHARES                  X                 1        3300      0       0
AQUA AMERICA INC    COMMON      03836W103        106     4338 SHARES                  X                 1        4338      0       0
ARAMARK CORP        COMMON      038521100          1       50 SHARES                  X                 1          50      0       0
ARCHER DANIELS
   MIDLAND CO       COMMON      039483102        391    15899 SHARES                  X                 1       15899      0       0
ARCHER DANIELS
   MIDLAND CO       COMMON      039483102        241     9814 SHARES                           X        1        3314      0    6500
ARCHSTONE-SMITH
   TRUST (REIT)     COMMON      039583109        298     8730 SHARES                  X                 1        8730      0       0
ARCHSTONE-SMITH
   TRUST (REIT)     COMMON      039583109        242     7082 SHARES                           X        1        7082      0       0


                                     3 of 44




                                                                                        
ARES CAPITAL CORP   COMMON      04010L103          3      212 SHARES                  X                 1         212      0       0
ARGONAUT GROUP      COMMON      040157109          8      366 SHARES                  X                 1         366      0       0
ARIBA INC           COMMON      04033V203          0        5 SHARES                  X                 1           5      0       0
ARRIS GROUP         COMMON      04269Q100         27     3900 SHARES                  X                 1        3900      0       0
ARROW INTERNATIONAL
   INC              COMMON      042764100         62     1800 SHARES                  X                 1        1800      0       0
ARROW INTERNATIONAL
   INC              COMMON      042764100          7      200 SHARES                           X        1           0      0     200
ARTESIAN RESOURCES
   CORPORATION CL A COMMON      043113208         82     3154 SHARES                  X                 1        2404      0     750
ARVINMERITOR INC    COMMON      043353101          2       99 SHARES                  X                 1          99      0       0
ASHLAND INC         COMMON      044204105         17      250 SHARES                  X                 1         250      0       0
ASHLAND INC         COMMON      044204105         34      498 SHARES                           X        1         498      0       0
ASPECT
   COMMUNICATIONS
   CORP             COMMON      04523Q102         54     5200 SHARES                  X                 1        5200      0       0
ASTORIA FINANCIAL
   CORP             COMMON      046265104          3      100 SHARES                  X                 1         100      0       0
AT&T CORP           COMMON      001957505        327    17431 SHARES                  X                 1       17431      0       0
AT&T CORP           COMMON      001957505        191    10198 SHARES                           X        1        9296      0     902
ATLAS PIPELINE
   PARTNERS LP      COMMON      049392103          9      200 SHARES                  X                 1         200      0       0
ATMEL CORP          COMMON      049513104          3     1000 SHARES                  X                 1        1000      0       0
ATMOS ENERGY CORP   COMMON      049560105          4      150 SHARES                           X        1         150      0       0
ATP OIL & GAS CORP  COMMON      00208J108         30     1400 SHARES                  X                 1        1400      0       0
AUTOMATIC DATA
   PROCESSING INC   COMMON      053015103       3667    81583 SHARES                  X                 1       80583      0    1000
AUTOMATIC DATA
   PROCESSING INC   COMMON      053015103       2303    51239 SHARES                           X        1       47989      0    3250
AVAYA INC           COMMON      053499109         12      993 SHARES                  X                 1         993      0       0
AVAYA INC           COMMON      053499109         16     1359 SHARES                           X        1        1185      0     174
AVERY DENNISON CORP COMMON      053611109         44      710 SHARES                  X                 1         710      0       0
AVERY DENNISON CORP COMMON      053611109        152     2450 SHARES                           X        1        2450      0       0
AVID TECHNOLOGY INC COMMON      05367P100          8      150 SHARES                  X                 1         150      0       0
AVNET INC           COMMON      053807103         20     1100 SHARES                  X                 1        1100      0       0
AVNET INC           COMMON      053807103         11      590 SHARES                           X        1         590      0       0
AVON PRODUCTS INC   COMMON      054303102        326     7603 SHARES                  X                 1        7603      0       0
AVON PRODUCTS INC   COMMON      054303102        384     8944 SHARES                           X        1        8944      0       0
AXCELIS
   TECHNOLOGIES
   INC              COMMON      054540109         19     2652 SHARES                           X        1        2652      0       0
BAKER HUGHES INC    COMMON      057224107        381     8570 SHARES                  X                 1        8570      0       0
BAKER HUGHES INC    COMMON      057224107         82     1850 SHARES                           X        1        1850      0       0
BALDWIN & LYONS INC
   CL A             COMMON      057755100         31     1250 SHARES                  X                 1           0      0    1250
BALL CORPORATION    COMMON      058498106        996    24000 SHARES                  X                 1       24000      0       0
BALLY TOTAL FITNESS
   HLDG CORP        COMMON      05873K108         41    11800 SHARES                  X                 1       11800      0       0
BANK OF AMERICA
   CORPORATION      COMMON      060505104      20491   464643 SHARES                  X                 1      461738      0    2905
BANK OF AMERICA
   CORPORATION      COMMON      060505104       8694   197142 SHARES                           X        1      182708      0   14434
BANK OF HAWAII CORP COMMON      062540109         14      300 SHARES                           X        1         300      0       0
BANK OF NEW YORK
   INC              COMMON      064057102       6601   227246 SHARES                  X                 1      224803      0    2443
BANK OF NEW YORK
   INC              COMMON      064057102       1183    40721 SHARES                           X        1       37271      0    3450
BARD C R INC        COMMON      067383109        422     6192 SHARES                  X                 1        6192      0       0
BARD C R INC        COMMON      067383109        368     5400 SHARES                           X        1        5400      0       0
BARR
   PHARMACEUTICALS
   INC              COMMON      068306109         34      700 SHARES                  X                 1         700      0       0
BAUSCH & LOMB INC   COMMON      071707103          9      125 SHARES                  X                 1         125      0       0
BAXTER INTL INC     COMMON      071813109        403    11854 SHARES                  X                 1       11854      0       0
BAXTER INTL INC     COMMON      071813109        361    10633 SHARES                           X        1       10633      0       0
BB&T CORP           COMMON      054937107        200     5115 SHARES                  X                 1        4715      0     400
BB&T CORP           COMMON      054937107       1210    30957 SHARES                           X        1       27863      0    3094
BEA SYSTEMS INC     COMMON      073325102         11     1400 SHARES                  X                 1        1400      0       0
BEA SYSTEMS INC     COMMON      073325102        119    14945 SHARES                           X        1       14945      0       0
BEAR STEARNS COS
   INC              COMMON      073902108        102     1020 SHARES                  X                 1        1020      0       0
BEAR STEARNS COS
   INC              COMMON      073902108        120     1206 SHARES                           X        1        1206      0       0
BEARINGPOINT INC    COMMON      074002106         13     1500 SHARES                  X                 1        1500      0       0
BECKMAN COULTER INC COMMON      075811109         76     1148 SHARES                           X        1         600      0     548
BECTON DICKINSON &
   CO               COMMON      075887109        198     3389 SHARES                  X                 1        3389      0       0
BECTON DICKINSON &
   CO               COMMON      075887109        844    14450 SHARES                           X        1       14450      0       0
BED BATH & BEYOND
   INC              COMMON      075896100        205     5600 SHARES                  X                 1        5600      0       0
BED BATH & BEYOND
   INC              COMMON      075896100         50     1380 SHARES                           X        1        1380      0       0
BELLSOUTH CORP      COMMON      079860102       7881   299755 SHARES                  X                 1      299155      0     600
BELLSOUTH CORP      COMMON      079860102       6430   244562 SHARES                           X        1      203666      0   40896
BEMIS INC           COMMON      081437105        111     3560 SHARES                  X                 1        3560      0       0
BENCHMARK
   ELECTRONICS INC  COMMON      08160H101          4      115 SHARES                  X                 1         115      0       0
BENIHANA
   INCORPORATED
   CLASS A          COMMON      082047200        111     7300 SHARES                  X                 1        7300      0       0
BERKSHIRE HATHAWAY
   INC CLASS A      COMMON      084670108        261        3 SHARES                           X        1           3      0       0
BERKSHIRE HATHAWAY
   INC CLASS B      COMMON      084670207        611      214 SHARES                  X                 1         214      0       0
BERKSHIRE HATHAWAY
   INC CLASS B      COMMON      084670207        351      123 SHARES                           X        1         113      0      10
BEST BUY INC        COMMON      086516101        235     4357 SHARES                  X                 1        4357      0       0
BEST BUY INC        COMMON      086516101        111     2050 SHARES                           X        1        2050      0       0
BIMINI MORTGAGE
   INVESTMENT INC   COMMON      09031E400          1      100 SHARES                  X                 1         100      0       0
BIOANALYTICAL
   SYSTEMS
   INCORPORATED     COMMON      09058M103          0       16 SHARES                  X                 1          16      0       0
BIOGEN IDEC INC     COMMON      09062X103        380    11025 SHARES                  X                 1       11025      0       0
BIOGEN IDEC INC     COMMON      09062X103         35     1025 SHARES                           X        1        1025      0       0
BIOMET              COMMON      090613100         52     1445 SHARES                           X        1        1445      0       0
BISYS GROUP INC     COMMON      055472104         47     3000 SHARES                           X        1        3000      0       0


                                     4 of 44




                                                                                        
BJ'S WHOLESALE CLUB
   INC              COMMON      05548J106         26      850 SHARES                  X                 1         850      0       0
BJ'S WHOLESALE CLUB
   INC              COMMON      05548J106         12      400 SHARES                           X        1         400      0       0
BLACK & DECKER CORP COMMON      091797100        487     6168 SHARES                  X                 1        6168      0       0
BLACK & DECKER CORP COMMON      091797100       1452    18376 SHARES                           X        1       18376      0       0
BLACK HILLS CORP    COMMON      092113109          7      225 SHARES                           X        1         225      0       0
BLOCK H & R INC     COMMON      093671105         96     1900 SHARES                  X                 1        1900      0       0
BLOCK H & R INC     COMMON      093671105         93     1835 SHARES                           X        1        1835      0       0
BMC SOFTWARE INC    COMMON      055921100          3      200 SHARES                  X                 1         200      0       0
BOEING CO           COMMON      097023105        876    14985 SHARES                  X                 1       14785      0     200
BOEING CO           COMMON      097023105        982    16802 SHARES                           X        1       15602      0    1200
BOK FINANCIAL
   CORPORATION      COMMON      05561Q201          0       12 SHARES                  X                 1          12      0       0
BON-TON STORES
   INCORPORATED     COMMON      09776J101       1182    65333 SHARES                  X                 1       65333      0       0
BORDERS GROUP INC   COMMON      099709107         36     1346 SHARES                  X                 1        1346      0       0
BOSTON BEER
   INCORPORATED
   CLASS A          COMMON      100557107          1       50 SHARES                  X                 1          50      0       0
BOSTON BEER
   INCORPORATED
   CLASS A          COMMON      100557107          2      100 SHARES                           X        1         100      0       0
BOSTON PROPERTIES
   INC (REIT)       COMMON      101121101        776    12879 SHARES                  X                 1       12879      0       0
BOSTON PROPERTIES
   INC (REIT)       COMMON      101121101        408     6767 SHARES                           X        1        6367      0     400
BOSTON SCIENTIFIC
   CORP             COMMON      101137107        841    28706 SHARES                  X                 1       28486      0     220
BOWATER INC         COMMON      102183100          6      160 SHARES                  X                 1         160      0       0
BOWATER INC         COMMON      102183100        130     3460 SHARES                           X        1        3460      0       0
BRANDYWINE REALTY
   TRUST (REIT)     COMMON      105368203         65     2300 SHARES                  X                 1        2300      0       0
BRANDYWINE REALTY
   TRUST (REIT)     COMMON      105368203         28     1000 SHARES                           X        1        1000      0       0
BRINKER INTL INC    COMMON      109641100       1352    37325 SHARES                  X                 1       36825      0     500
BRINKER INTL INC    COMMON      109641100        720    19872 SHARES                           X        1       19872      0       0
BRISTOL-MYERS
   SQUIBB CO        COMMON      110122108      10038   394248 SHARES                  X                 1      393648      0     600
BRISTOL-MYERS
   SQUIBB CO        COMMON      110122108       9579   376240 SHARES                           X        1      322600      0   53640
BROADCOM CORP CL A  COMMON      111320107          6      200 SHARES                  X                 1         200      0       0
BROCADE
   COMMUNICATIONS
   SYS INC          COMMON      111621108          4      650 SHARES                  X                 1         650      0       0
BROOKTROUT INC      COMMON      114580103         30     2700 SHARES                  X                 1        2700      0       0
BROWN-FORMAN CORP
   CL B             COMMON      115637209         16      300 SHARES                           X        1         300      0       0
BRUNSWICK CORP      COMMON      117043109          6      120 SHARES                  X                 1         120      0       0
BRYN MAWR BANK
   CORPORATION      COMMON      117665109        233    11392 SHARES                  X                 1       11392      0       0
BUCKEYE PARTNERS LP
   UNIT LTD PARTNER COMMON      118230101         41      900 SHARES                  X                 1         900      0       0
BURLINGTON NORTHN
   SANTA FE CORP    COMMON      12189T104        444     8225 SHARES                  X                 1        8225      0       0
BURLINGTON NORTHN
   SANTA FE CORP    COMMON      12189T104        615    11400 SHARES                           X        1        9954      0    1446
BURLINGTON RES INC  COMMON      122014103       5124   102345 SHARES                  X                 1      100495      0    1850
BURLINGTON RES INC  COMMON      122014103       1690    33745 SHARES                           X        1       29920      0    3825
B2B INTERNET HOLDRS
   TRUST            COMMON      056033103          0      100 SHARES                  X                 1         100      0       0
C H ROBINSON
   WORLDWIDE INC    COMMON      12541W100        152     2955 SHARES                  X                 1        2955      0       0
C-COR INC           COMMON      125010108         36     6000 SHARES                  X                 1        6000      0       0
C-COR INC           COMMON      125010108        517    85000 SHARES                           X        1       85000      0       0
CADENCE DESIGN SYS
   INC              COMMON      127387108        267    17875 SHARES                  X                 1       17875      0       0
CADENCE DESIGN SYS
   INC              COMMON      127387108         18     1200 SHARES                           X        1        1200      0       0
CAL DIVE
   INTERNATIONAL
   INC              COMMON      127914109         68     1500 SHARES                  X                 1        1500      0       0
CALLAWAY GOLF CO    COMMON      131193104          0       23 SHARES                  X                 1          23      0       0
CALPINE CORP        COMMON      131347106          8     2700 SHARES                  X                 1        2700      0       0
CALPINE CORP        COMMON      131347106         15     5250 SHARES                           X        1        5250      0       0
CALYPTE BIOMEDICAL
   CORP             COMMON      131722605         42   157000 SHARES                  X                 1      157000      0       0
CAMDEN PROPERTY
   TRUST (REIT)     COMMON      133131102         47     1000 SHARES                  X                 1        1000      0       0
CAMPBELL SOUP CO    COMMON      134429109         92     3156 SHARES                  X                 1        3156      0       0
CAMPBELL SOUP CO    COMMON      134429109        418    14400 SHARES                           X        1       14400      0       0
CANDELA CORP        COMMON      136907102          9     1000 SHARES                  X                 1        1000      0       0
CAPITAL ONE
   FINANCIAL CORP   COMMON      14040H105       8001   107010 SHARES                  X                 1      105610      0    1400
CAPITAL ONE
   FINANCIAL CORP   COMMON      14040H105       1725    23070 SHARES                           X        1       17720      0    5350
CAPITALSOURCE INC   COMMON      14055X102        298    12950 SHARES                  X                 1       12950      0       0
CAPSTONE TURBINE
   CORP             COMMON      14067D102          0      100 SHARES                           X        1         100      0       0
CARDINAL HEALTH INC COMMON      14149Y108        325     5826 SHARES                  X                 1        5826      0       0
CARDINAL HEALTH INC COMMON      14149Y108        135     2414 SHARES                           X        1        2265      0     149
CAREER EDUCATION
   CORP             COMMON      141665109        207     6050 SHARES                  X                 1        6050      0       0
CAREMARK RX INC     COMMON      141705103       9890   248607 SHARES                  X                 1      245779      0    2828
CAREMARK RX INC     COMMON      141705103       1223    30741 SHARES                           X        1       29691      0    1050
CARLISLE COMPANIES
   INC              COMMON      142339100         28      400 SHARES                  X                 1           0      0     400
CARLISLE COMPANIES
   INC              COMMON      142339100       1581    22658 SHARES                           X        1       22000      0     658
CARMAX INC          COMMON      143130102       8441   267976 SHARES                  X                 1      262141      0    5835
CARMAX INC          COMMON      143130102        550    17470 SHARES                           X        1       13675      0    3795
CARNIVAL
   CORPORATION      COMMON      143658300       4923    95023 SHARES                  X                 1       94360      0     663
CARNIVAL
   CORPORATION      COMMON      143658300        655    12650 SHARES                           X        1       11300      0    1350
CARPENTER
   TECHNOLOGY CORP  COMMON      144285103        199     3348 SHARES                  X                 1        3348      0       0
CARPENTER
   TECHNOLOGY CORP  COMMON      144285103        212     3564 SHARES                           X        1        1964      0    1600
CASELLA WASTE
   SYSTEMS INC      COMMON      147448104         60     4500 SHARES                  X                 1        4500      0       0
CATELLUS
   DEVELOPMENT CORP
   REIT             COMMON      149113102          4      147 SHARES                  X                 1         147      0       0
CATELLUS
   DEVELOPMENT CORP
   REIT             COMMON      149113102          1       54 SHARES                           X        1           0      0      54
CATERPILLAR INC     COMMON      149123101       2140    23405 SHARES                  X                 1       22895      0     510
CATERPILLAR INC     COMMON      149123101        314     3431 SHARES                           X        1        2831      0     600


                                     5 of 44




                                                                                        
CAVCO INDUSTRIES,
   INC.             COMMON      149568107          1       60 SHARES                  X                 1          60      0       0
CDI CORPORATION     COMMON      125071100        128     5800 SHARES                           X        1        5800      0       0
CDW CORPORATION     COMMON      12512N105        452     7975 SHARES                  X                 1        7975      0       0
CEDAR FAIR LTD PTR  COMMON      150185106         22      700 SHARES                  X                 1         700      0       0
CELGENE CORP        COMMON      151020104         27      800 SHARES                           X        1         800      0       0
CENDANT CORP        COMMON      151313103       2340   113900 SHARES                  X                 1      108700      0    5200
CENDANT CORP        COMMON      151313103        639    31131 SHARES                           X        1       28422      0    2709
CENTERPOINT ENERGY
   INC              COMMON      15189T107          4      332 SHARES                  X                 1         332      0       0
CENTERPOINT ENERGY
   INC              COMMON      15189T107         10      800 SHARES                           X        1         800      0       0
CENTEX CORP         COMMON      152312104        667    11645 SHARES                  X                 1       11645      0       0
CENTEX CORP         COMMON      152312104        411     7175 SHARES                           X        1        7175      0       0
CENTURY REALTY
   TRUST            COMMON      156671109          9      525 SHARES                  X                 1         525      0       0
CENTURYTEL INC      COMMON      156700106         66     2000 SHARES                  X                 1        2000      0       0
CERIDIAN CORP       COMMON      156779100          5      300 SHARES                           X        1         300      0       0
CERNER CORP         COMMON      156782104       5486   104466 SHARES                  X                 1      103246      0    1220
CERNER CORP         COMMON      156782104        307     5850 SHARES                           X        1        4650      0    1200
CERTEGY INC         COMMON      156880106         17      500 SHARES                           X        1         500      0       0
CH ENERGY GROUP INC COMMON      12541M102        165     3600 SHARES                  X                 1        3600      0       0
CHARTER
   COMMUNICATIONS
   INC CL A         COMMON      16117M107          2     1000 SHARES                  X                 1        1000      0       0
CHARTERMAC          COMMON      160908109        208     9674 SHARES                  X                 1        9674      0       0
CHARTERMAC          COMMON      160908109        116     5406 SHARES                           X        1        5406      0       0
CHESAPEAKE
   UTILITIES
   CORPORATION      COMMON      165303108         20      750 SHARES                           X        1         750      0       0
CHEVRONTEXACO CORP  COMMON      166764100      31522   540589 SHARES                  X                 1      536739      0    3850
CHEVRONTEXACO CORP  COMMON      166764100      16599   284670 SHARES                           X        1      259950      0   24720
CHICOS FAS INC      COMMON      168615102        274     9690 SHARES                  X                 1        9690      0       0
CHILDRENS PLACE
   RETAIL STORES
   INC              COMMON      168905107          9      180 SHARES                  X                 1         180      0       0
CHOICEPOINT INC     COMMON      170388102         21      533 SHARES                  X                 1         533      0       0
CHOICEPOINT INC     COMMON      170388102         16      400 SHARES                           X        1         400      0       0
CHRISTOPHER & BANKS
   CORP             COMMON      171046105         55     3100 SHARES                  X                 1        3100      0       0
CHUBB CORP          COMMON      171232101        699     8814 SHARES                  X                 1        8814      0       0
CHUBB CORP          COMMON      171232101        673     8485 SHARES                           X        1        8485      0       0
CIENA CORP          COMMON      171779101          2     1000 SHARES                  X                 1        1000      0       0
CIENA CORP          COMMON      171779101          1      700 SHARES                           X        1         700      0       0
CIGNA CORP          COMMON      125509109        475     5324 SHARES                  X                 1        5324      0       0
CIGNA CORP          COMMON      125509109        290     3250 SHARES                           X        1        3250      0       0
CINCINNATI BELL INC COMMON      171871106          2      500 SHARES                  X                 1         500      0       0
CINCINNATI FINL
   CORP             COMMON      172062101          9      200 SHARES                  X                 1         200      0       0
CINERGY CORP        COMMON      172474108         45     1116 SHARES                  X                 1        1116      0       0
CINERGY CORP        COMMON      172474108         37      905 SHARES                           X        1         905      0       0
CIRCUIT STORES      COMMON      172737108        116     7200 SHARES                  X                 1        7200      0       0
CIRCUIT STORES      COMMON      172737108         42     2600 SHARES                           X        1        2600      0       0
CISCO SYS INC       COMMON      17275R102      19957  1115541 SHARES                  X                 1     1100721      0   14820
CISCO SYS INC       COMMON      17275R102       3955   221055 SHARES                           X        1      197405      0   23650
CIT GROUP INC       COMMON      125581108       4912   129271 SHARES                  X                 1      127416      0    1855
CIT GROUP INC       COMMON      125581108        219     5755 SHARES                           X        1        2745      0    3010
CITIGROUP INC       COMMON      172967101      28526   634768 SHARES                  X                 1      625559      0    9209
CITIGROUP INC       COMMON      172967101       8823   196325 SHARES                           X        1      182680      0   13645
CITIZENS & NORTHERN
   CORP             COMMON      172922106        245     8608 SHARES                  X                 1        8608      0       0
CITIZENS
   COMMUNICATIONS
   CO               COMMON      17453B101        662    51145 SHARES                  X                 1       46145      0    5000
CITIZENS
   COMMUNICATIONS
   CO               COMMON      17453B101        234    18058 SHARES                           X        1        5883      0   12175
CITRIX SYSTEMS INC  COMMON      177376100        145     6100 SHARES                  X                 1        5700      0     400
CLAIRES STORES
   INCORPORATED     COMMON      179584107          5      200 SHARES                  X                 1         200      0       0
CLAIRES STORES
   INCORPORATED     COMMON      179584107          2      100 SHARES                           X        1         100      0       0
CLEAR CHANNEL
   MUNICATIONS INC  COMMON      184502102       3594   104271 SHARES                  X                 1      102735      0    1536
CLEAR CHANNEL
   MUNICATIONS INC  COMMON      184502102        459    13305 SHARES                           X        1       11655      0    1650
CLECO CORP          COMMON      12561W105         17      800 SHARES                           X        1         800      0       0
CLEVELAND CLIFFS
   INC              COMMON      185896107        256     3515 SHARES                  X                 1        3515      0       0
CLOROX CO           COMMON      189054109        499     7925 SHARES                  X                 1        7925      0       0
CLOROX CO           COMMON      189054109        247     3915 SHARES                           X        1        3915      0       0
CMGI INC            COMMON      125750109          1      640 SHARES                  X                 1         640      0       0
CMS ENERGY CORP     COMMON      125896100         16     1200 SHARES                           X        1        1200      0       0
CNF INC             COMMON      12612W104         14      300 SHARES                  X                 1         300      0       0
COACH INC           COMMON      189754104        739    13041 SHARES                  X                 1       13041      0       0
COACH INC           COMMON      189754104        166     2932 SHARES                           X        1        2932      0       0
COCA COLA CO        COMMON      191216100      12058   289364 SHARES                  X                 1      288524      0     840
COCA COLA CO        COMMON      191216100       6001   144024 SHARES                           X        1      126022      0   18002
CODORUS VALLEY
   BANCORP INC      COMMON      192025104       1019    52949 SHARES                  X                 1       41643      0   11306
CODORUS VALLEY
   BANCORP INC      COMMON      192025104         71     3713 SHARES                           X        1        1668      0    2045
COEUR D'ALENE MINES
   CORP             COMMON      192108108          4     1000 SHARES                  X                 1        1000      0       0
COGNIZANT TECH SOL
   CORP             COMMON      192446102          6      125 SHARES                  X                 1         125      0       0
COLGATE PALMOLIVE
   CO               COMMON      194162103       9741   186711 SHARES                  X                 1      185586      0    1125
COLGATE PALMOLIVE
   CO               COMMON      194162103       3230    61916 SHARES                           X        1       52616      0    9300
COLONIAL BANCGROUP
   INC              COMMON      195493309         21     1000 SHARES                  X                 1        1000      0       0
COLUMBIA BANCORP    COMMON      197227101         89     2800 SHARES                  X                 1        2800      0       0


                                     6 of 44




                                                                                        
COMCAST CORP        COMMON      20030N101      12419   367643 SHARES                  X                 1      363023      0    4620
COMCAST CORP        COMMON      20030N101       2226    65909 SHARES                           X        1       61768      0    4141
COMCAST CORP-
   SPECIAL CL A     COMMON      20030N200        857    25636 SHARES                  X                 1       25636      0       0
COMCAST CORP-
   SPECIAL CL A     COMMON      20030N200        257     7683 SHARES                           X        1        7483      0     200
COMERICA INC        COMMON      200340107         34      620 SHARES                  X                 1         620      0       0
COMMERCE BANCORP
   INC N J          COMMON      200519106          6      200 SHARES                  X                 1         200      0       0
COMMERCE BANCORP
   INC N J          COMMON      200519106         19      600 SHARES                           X        1           0      0     600
MERCE BANCSHARES
   INC              COMMON      200525103          7      145 SHARES                  X                 1         145      0       0
COMMERCIAL CAP
   BANCORP INC      COMMON      20162L105         75     3700 SHARES                  X                 1        3700      0       0
COMMERCIAL NET
   LEASE REALTY
   (REIT)           COMMON      202218103         13      700 SHARES                           X        1         700      0       0
MUNITY BANKS INC    COMMON      203628102        716    28669 SHARES                  X                 1       28669      0       0
MUNITY BANKS INC    COMMON      203628102       1218    48748 SHARES                           X        1       48748      0       0
MUNITY BK SYS INC   COMMON      203607106        590    25762 SHARES                  X                 1       25762      0       0
COMPASS BANCSHARES
   INC              COMMON      20449H109         20      450 SHARES                  X                 1         450      0       0
COMPUCREDIT
   CORPORATION      COMMON      20478N100          5      170 SHARES                  X                 1         170      0       0
COMPUTER ASSOC INTL
   INC              COMMON      204912109         87     3212 SHARES                  X                 1        3212      0       0
COMPUTER ASSOC INTL
   INC              COMMON      204912109         43     1574 SHARES                           X        1        1574      0       0
PUTER SCIENCES CORP COMMON      205363104        137     2981 SHARES                  X                 1        2981      0       0
PUTER SCIENCES CORP COMMON      205363104         10      225 SHARES                           X        1         225      0       0
PUTER TASK GROUP    COMMON      205477102        234    58750 SHARES                  X                 1           0      0   58750
COMPUWARE CORP      COMMON      205638109          3      450 SHARES                  X                 1         450      0       0
COMPUWARE CORP      COMMON      205638109         11     1500 SHARES                           X        1        1500      0       0
COMSTOCK
   HOMEBUILDING COS
   INC CL A         COMMON      205684103          9      400 SHARES                  X                 1         400      0       0
COMSTOCK RESOURCES
   INC              COMMON      205768203         60     2100 SHARES                  X                 1        2100      0       0
VERSE TECHNOLOGY
   INC              COMMON      205862402         15      600 SHARES                  X                 1         600      0       0
VERSE TECHNOLOGY
   INC              COMMON      205862402         56     2217 SHARES                           X        1        2217      0       0
CONAGRA FOODS INC   COMMON      205887102        102     3762 SHARES                  X                 1        3462      0     300
CONAGRA FOODS INC   COMMON      205887102        141     5216 SHARES                           X        1        5216      0       0
CONEXANT SYS INC    COMMON      207142100          1      600 SHARES                           X        1         600      0       0
CONOCOPHILLIPS      COMMON      20825C104       8789    81496 SHARES                  X                 1       80746      0     750
CONOCOPHILLIPS      COMMON      20825C104       3160    29307 SHARES                           X        1       26736      0    2571
CONSOLIDATED EDISON
   INC              COMMON      209115104        134     3180 SHARES                  X                 1        3180      0       0
CONSOLIDATED EDISON
   INC              COMMON      209115104        331     7847 SHARES                           X        1        7847      0       0
CONSTELLATION
   BRANDS INC CL A  COMMON      21036P108          7      125 SHARES                  X                 1         125      0       0
CONSTELLATION
   BRANDS INC CL A  COMMON      21036P108         88     1670 SHARES                           X        1        1670      0       0
CONSTELLATION
   ENERGY GROUP INC COMMON      210371100       4277    82729 SHARES                  X                 1       82629      0     100
CONSTELLATION
   ENERGY GROUP INC COMMON      210371100       5022    97144 SHARES                           X        1       90744      0    6400
CONSUMER PORTFOLIO
   SERVICES         COMMON      210502100         12     2500 SHARES                           X        1        2500      0       0
CONVERGYS CORP      COMMON      212485106          1      100 SHARES                  X                 1         100      0       0
CONVERGYS CORP      COMMON      212485106         15     1000 SHARES                           X        1        1000      0       0
COOPER CAMERON CORP COMMON      216640102         32      566 SHARES                  X                 1         566      0       0
COOPER TIRE & RUBR
   CO               COMMON      216831107         13      700 SHARES                  X                 1         700      0       0
CORN PRODS INTL INC COMMON      219023108         60     2290 SHARES                  X                 1        2290      0       0
CORN PRODS INTL INC COMMON      219023108        127     4888 SHARES                           X        1        4888      0       0
CORNING INC         COMMON      219350105       2324   208770 SHARES                  X                 1      207370      0    1400
CORNING INC         COMMON      219350105        530    47640 SHARES                           X        1       45890      0    1750
CORP OFFICE
   PROPERTIES TR
   (REIT)           COMMON      22002T108         26     1000 SHARES                  X                 1        1000      0       0
CORTEX
   PHARMACEUTICALS
   INC              COMMON      220524300          3     1390 SHARES                           X        1        1390      0       0
COSTCO WHOLESALE
   CORP             COMMON      22160K105        521    11800 SHARES                  X                 1       11575      0     225
COSTCO WHOLESALE
   CORP             COMMON      22160K105        255     5775 SHARES                           X        1        5775      0       0
COUNTRYWIDE
   FINANCIAL CORP   COMMON      222372104        214     6579 SHARES                  X                 1        6579      0       0
COUNTRYWIDE
   FINANCIAL CORP   COMMON      222372104         39     1200 SHARES                           X        1           0      0    1200
COVANCE INC         COMMON      222816100         42      872 SHARES                  X                 1         872      0       0
COVANCE INC         COMMON      222816100         61     1283 SHARES                           X        1        1283      0       0
COVENTRY HEALTH
   CARE INC         COMMON      222862104         26      375 SHARES                  X                 1         375      0       0
CPAC INC            COMMON      126145101          1      178 SHARES                           X        1         178      0       0
CRANE CO            COMMON      224399105        295    10246 SHARES                           X        1       10246      0       0
CRAY INC            COMMON      225223106          1      300 SHARES                  X                 1         300      0       0
CREE RESEARCH INC   COMMON      225447101         22     1000 SHARES                           X        1           0      0    1000
CRESCENT REAL
   ESTATE EQUITIES
   (REIT)           COMMON      225756105         16     1000 SHARES                           X        1           0      0    1000
CROMPTON CORP       COMMON      227116100          9      600 SHARES                  X                 1         600      0       0
CSX CORP            COMMON      126408103       1448    34762 SHARES                  X                 1       34762      0       0
CSX CORP            COMMON      126408103        883    21200 SHARES                           X        1       16200      0    5000
CULLEN FROST
   BANKERS INC      COMMON      229899109          3       65 SHARES                  X                 1          65      0       0
CUMMINS INC         COMMON      231021106          7      100 SHARES                  X                 1         100      0       0
CUMULUS MEDIA INC
   CL A             COMMON      231082108        250    17525 SHARES                  X                 1       17525      0       0
CUNO INC            COMMON      126583103        108     2100 SHARES                  X                 1        2100      0       0
CUNO INC            COMMON      126583103        138     2677 SHARES                           X        1        2677      0       0
CURTIS WRIGHT
   CORPORATION      COMMON      231561101         29      500 SHARES                           X        1         500      0       0
CURTISS WRIGHT CORP COMMON      231561408         19      338 SHARES                  X                 1         338      0       0
CVS CORP            COMMON      126650100        463     8800 SHARES                  X                 1        8800      0       0
CVS CORP            COMMON      126650100        305     5805 SHARES                           X        1        5505      0     300
CYTEC INDUSTRIES
   INC              COMMON      232820100          5      100 SHARES                  X                 1         100      0       0
CYTYC CORP          COMMON      232946103        333    14490 SHARES                  X                 1       14490      0       0


                                     7 of 44




                                                                                        
D R HORTON INC      COMMON      23331A109        580    19840 SHARES                  X                 1       19840      0       0
D R HORTON INC      COMMON      23331A109        170     5826 SHARES                           X        1        5826      0       0
DANA CORP           COMMON      235811106          8      600 SHARES                           X        1           0      0     600
DANAHER CORP        COMMON      235851102        676    12660 SHARES                  X                 1       12660      0       0
DANAHER CORP        COMMON      235851102        119     2236 SHARES                           X        1        1936      0     300
DARDEN RESTAURANTS
   INC              COMMON      237194105       1295    42200 SHARES                  X                 1       42200      0       0
DARDEN RESTAURANTS
   INC              COMMON      237194105        451    14695 SHARES                           X        1       14395      0     300
DAVITA INC WITH
   ATTACHED RIGHTS  COMMON      23918K108         64     1537 SHARES                           X        1        1237      0     300
DAWSON GEOPHYSICAL
   CO               COMMON      239359102         39     1600 SHARES                  X                 1        1600      0       0
DECODE GENETICS INC COMMON      243586104          1      200 SHARES                  X                 1         200      0       0
DEERE & CO          COMMON      244199105       1521    22656 SHARES                  X                 1       22356      0     300
DEERE & CO          COMMON      244199105        487     7255 SHARES                           X        1        6312      0     943
DEL MONTE FOODS CO  COMMON      24522P103         22     1999 SHARES                  X                 1        1999      0       0
DEL MONTE FOODS CO  COMMON      24522P103         21     1914 SHARES                           X        1        1914      0       0
DELL INC            COMMON      24702R101      13072   340243 SHARES                  X                 1      336225      0    4018
DELL INC            COMMON      24702R101       2345    61041 SHARES                           X        1       55041      0    6000
DELPHI CORP         COMMON      247126105         24     5297 SHARES                  X                 1        5297      0       0
DELPHI CORP         COMMON      247126105         15     3377 SHARES                           X        1        2352      0    1025
DENBURY RESOURCES
   INCORPORATED     COMMON      247916208         49     1400 SHARES                  X                 1        1400      0       0
DENTSPLY
   INTERNATIONAL
   INC              COMMON      249030107        303     5560 SHARES                  X                 1        5560      0       0
DENTSPLY
   INTERNATIONAL
   INC              COMMON      249030107        260     4775 SHARES                           X        1        4775      0       0
DEVELOPERS DVRSFD
   REALTY CORP
   (REIT)           COMMON      251591103         19      466 SHARES                  X                 1         466      0       0
DEVON ENERGY CORP   COMMON      25179M103        459     9610 SHARES                  X                 1        9610      0       0
DEVON ENERGY CORP   COMMON      25179M103        175     3668 SHARES                           X        1        3242      0     426
DEVRY INC DEL       COMMON      251893103         28     1500 SHARES                  X                 1        1500      0       0
DIAMONDS TR UNIT
   SER 1            COMMON      252787106        252     2400 SHARES                  X                 1        2400      0       0
DICKS SPORTING
   GOODS INC        COMMON      253393102         15      400 SHARES                  X                 1         400      0       0
DIEBOLD INC         COMMON      253651103         25      463 SHARES                  X                 1         463      0       0
DIGENE CORP MON     COMMON      253752109         87     4200 SHARES                  X                 1        4200      0       0
DOCUMENT SECURITIES
   SYSTEMS INC      COMMON      25614T101          0        1 SHARES                  X                 1           1      0       0
DOLBY LABORATORIES
   INC CL A         COMMON      25659T107          2      100 SHARES                  X                 1         100      0       0
DOLLAR TREE STORES
   INC              COMMON      256747106        425    14785 SHARES                  X                 1       14785      0       0
DOMINION RESOURCES
   BLACK WARRIOR TR COMMON      25746Q108         78     2000 SHARES                  X                 1        2000      0       0
DOMINION RESOURCES
   INC              COMMON      25746U109       3912    52561 SHARES                  X                 1       52561      0       0
DOMINION RESOURCES
   INC              COMMON      25746U109       3477    46716 SHARES                           X        1       41848      0    4868
DONEGAL GROUP INC
   CL A             COMMON      257701201         23     1264 SHARES                  X                 1        1264      0       0
DONEGAL GROUP INC
   CL B             COMMON      257701300         10      632 SHARES                  X                 1         632      0       0
DONNELLY R R & SONS
   CO               COMMON      257867101        134     4249 SHARES                  X                 1        4249      0       0
DONNELLY R R & SONS
   CO               COMMON      257867101        139     4400 SHARES                           X        1        4400      0       0
DOVER CORP          COMMON      260003108       1299    34384 SHARES                  X                 1       34384      0       0
DOVER CORP          COMMON      260003108       1738    45993 SHARES                           X        1       38593      0    7400
DOW CHEMICAL CO     COMMON      260543103       7565   151764 SHARES                  X                 1      151459      0     305
DOW CHEMICAL CO     COMMON      260543103       4122    82694 SHARES                           X        1       80944      0    1750
DOW JONES & CO INC  COMMON      260561105          7      200 SHARES                  X                 1         200      0       0
DOW JONES & CO INC  COMMON      260561105         16      432 SHARES                           X        1           0      0     432
DPL INC             COMMON      233293109          5      200 SHARES                  X                 1         200      0       0
DPL INC             COMMON      233293109        162     6467 SHARES                           X        1        6467      0       0
DREYER'S GRAND ICE
   CREAM HLDGS      COMMON      261877104         16      200 SHARES                           X        1         200      0       0
DRS TECHNOLOGIES
   INCORPORATED     COMMON      23330X100          3       70 SHARES                  X                 1          70      0       0
DTE ENERGY CO       COMMON      233331107       4167    91618 SHARES                  X                 1       88993      0    2625
DTE ENERGY CO       COMMON      233331107       1967    43257 SHARES                           X        1       35250      0    8007
DUKE ENERGY CORP    COMMON      264399106        958    34203 SHARES                  X                 1       33828      0     375
DUKE ENERGY CORP    COMMON      264399106        788    28134 SHARES                           X        1       27134      0    1000
DUN & BRADSTREET
   CORP             COMMON      26483E100         54      875 SHARES                  X                 1         875      0       0
DUN & BRADSTREET
   CORP             COMMON      26483E100        152     2474 SHARES                           X        1        2474      0       0
DUPONT EI DE
   NEMOURS & CO     COMMON      263534109      11379   222070 SHARES                  X                 1      221745      0     325
DUPONT EI DE
   NEMOURS & CO     COMMON      263534109      11345   221411 SHARES                           X        1      198031      0   23380
DUQUESNE LIGHT
   HOLDINGS INC     COMMON      266233105         51     2830 SHARES                  X                 1        2830      0       0
DUQUESNE LIGHT
   HOLDINGS INC     COMMON      266233105         11      600 SHARES                           X        1         600      0       0
E*TRADE FINANCIAL
   CORPORATION      COMMON      269246104          7      580 SHARES                  X                 1         580      0       0
EAGLE MATERIALS INC
   CL B             COMMON      26969P207         10      133 SHARES                  X                 1         133      0       0
EAGLE MATERIALS INC
   CL B             COMMON      26969P207          3       37 SHARES                           X        1          37      0       0
EAGLE MATERIALS INC
   W RIGHTS         COMMON      26969P108          3       39 SHARES                  X                 1          39      0       0
EAGLE MATERIALS INC
   W RIGHTS         COMMON      26969P108          1       11 SHARES                           X        1          11      0       0
EARTHLINK INC       COMMON      270321102          7      807 SHARES                  X                 1         807      0       0
EASTMAN CHEMICAL
   COMPANY          COMMON      277432100         64     1079 SHARES                  X                 1        1079      0       0
EASTMAN CHEMICAL
   COMPANY          COMMON      277432100        177     3002 SHARES                           X        1        2240      0     762
EASTMAN KODAK CO    COMMON      277461109        151     4630 SHARES                  X                 1        4630      0       0
EASTMAN KODAK CO    COMMON      277461109        310     9526 SHARES                           X        1        9526      0       0
EATON CORP          COMMON      278058102        206     3143 SHARES                  X                 1        3143      0       0
EATON CORP          COMMON      278058102        438     6700 SHARES                           X        1        6700      0       0
EATON VANCE CORP    COMMON      278265103         18      770 SHARES                  X                 1         770      0       0
EBAY INC            COMMON      278642103       3294    88400 SHARES                  X                 1       87330      0    1070
EBAY INC            COMMON      278642103        335     8985 SHARES                           X        1        6125      0    2860


                                     8 of 44




                                                                                       
ECLIPSYS CORP       COMMON      278856109         25     1600 SHARES                           X        1        1600      0       0
ECOLAB INC          COMMON      278865100       1044    31600 SHARES                  X                 1       31600      0       0
ECOLAB INC          COMMON      278865100         91     2750 SHARES                           X        1        2750      0       0
EDISON
   INTERNATIONAL    COMMON      281020107          9      250 SHARES                  X                 1         250      0       0
EDUCATIONAL
   MANAGEMENT CORP  COMMON      28139T101        205     7330 SHARES                  X                 1        7330      0       0
EDWARDS AG INC      COMMON      281760108          4       85 SHARES                  X                 1          85      0       0
EDWARDS
   LIFESCIENCES
   CORP             COMMON      28176E108       4819   111495 SHARES                  X                 1      109255      0    2240
EDWARDS
   LIFESCIENCES
   CORP             COMMON      28176E108        292     6765 SHARES                           X        1        3970      0    2795
EL PASO CORP        COMMON      28336L109         37     3482 SHARES                  X                 1        3482      0       0
EL PASO CORP        COMMON      28336L109         51     4856 SHARES                           X        1        4856      0       0
ELECTRIC CITY CORP  COMMON      284868106         31    32600 SHARES                  X                 1       32600      0       0
ELECTRONIC DATA
   SYSTEM
   CORPORATION      COMMON      285661104        126     6102 SHARES                  X                 1        6102      0       0
ELECTRONIC DATA
   SYSTEM
   CORPORATION      COMMON      285661104         79     3846 SHARES                           X        1        3446      0     400
ELECTRONICS ARTS    COMMON      285512109       4439    85723 SHARES                  X                 1       85268      0     455
ELECTRONICS ARTS    COMMON      285512109        416     8030 SHARES                           X        1        7780      0     250
ELECTRONICS FOR
   IMAGING INC      COMMON      286082102        393    22025 SHARES                  X                 1       22025      0       0
ELECTRONICS FOR
   IMAGING INC      COMMON      286082102         23     1300 SHARES                           X        1           0      0    1300
ELIZABETH ARDEN INC COMMON      28660G106          5      205 SHARES                  X                 1         205      0       0
EMC CORP MASS       COMMON      268648102       4170   338441 SHARES                  X                 1      334441      0    4000
EMC CORP MASS       COMMON      268648102        920    74659 SHARES                           X        1       67789      0    6870
EMERSON ELEC CO     COMMON      291011104       5466    84181 SHARES                  X                 1       83581      0     600
EMERSON ELEC CO     COMMON      291011104       4339    66831 SHARES                           X        1       59381      0    7450
ENBRIDGE ENERGY
   PARTNERS LP      COMMON      29250R106        161     3227 SHARES                           X        1        3227      0       0
ENCYSIVE
   PHARMACEUTICALS
   INC              COMMON      29256X107        102    10000 SHARES                           X        1       10000      0       0
ENERGIZER HLDGS INC COMMON      29266R108        286     4787 SHARES                  X                 1        4787      0       0
ENERGIZER HLDGS INC COMMON      29266R108          6      100 SHARES                           X        1         100      0       0
ENERGY EAST CORP    COMMON      29266M109        371    14159 SHARES                  X                 1       14159      0       0
ENERGY EAST CORP    COMMON      29266M109        417    15907 SHARES                           X        1       15207      0     700
ENERGY PARTNERS LTD COMMON      29270U105          4      150 SHARES                  X                 1         150      0       0
ENERGY SELECT
   SECTOR SPDR FD   COMMON      81369Y506         86     2000 SHARES                           X        1        2000      0       0
ENERGY TRANSFER
   PARTNERS LP      COMMON      29273R109         31     1000 SHARES                  X                 1        1000      0       0
ENGELHARD
   CORPORATION      COMMON      292845104         61     2025 SHARES                  X                 1        2025      0       0
ENGELHARD
   CORPORATION      COMMON      292845104          9      300 SHARES                           X        1         300      0       0
ENPRO INDUSTRIES    COMMON      29355X107         31     1120 SHARES                           X        1         800      0     320
ENSCO INTERNATIONAL
   INC              COMMON      26874Q100       1507    40011 SHARES                  X                 1       39301      0     710
ENSCO INTERNATIONAL
   INC              COMMON      26874Q100         84     2240 SHARES                           X        1         650      0    1590
ENTER MUNICATIONS
   CORP             COMMON      293639100          7      200 SHARES                  X                 1         200      0       0
ENTERGY CORP        COMMON      29364G103         40      562 SHARES                  X                 1         562      0       0
ENTERGY CORP        COMMON      29364G103        247     3496 SHARES                           X        1        2496      0    1000
ENTERPRISE PRODUCTS
   PARTNERS LTD PTR COMMON      293792107         46     1787 SHARES                  X                 1        1787      0       0
ENTERPRISE PRODUCTS
   PARTNERS LTD PTR COMMON      293792107         53     2081 SHARES                           X        1        1810      0     271
ENTREMED INC        COMMON      29382F103          1      500 SHARES                  X                 1         500      0       0
ENZO BIOCHEM
   INCORPORATED     COMMON      294100102          2      173 SHARES                  X                 1         173      0       0
EOG RESOURCES INC   COMMON      26875P101         47      970 SHARES                           X        1         970      0       0
EON LABS INC        COMMON      29412E100         45     1500 SHARES                  X                 1        1500      0       0
EP MEDSYSTEMS INC   COMMON      26881P103         24     8000 SHARES                           X        1        8000      0       0
EQUIFAX INC         COMMON      294429105         40     1300 SHARES                           X        1        1300      0       0
EQUINIX INC         COMMON      29444U502          3       60 SHARES                  X                 1          60      0       0
EQUITABLE RESOURCES
   INC              COMMON      294549100        936    16300 SHARES                  X                 1       16300      0       0
EQUITABLE RESOURCES
   INC              COMMON      294549100        195     3400 SHARES                           X        1        3400      0       0
EQUITY OFFICE
   PROPERTIES TR
   (REIT)           COMMON      294741103       1037    34411 SHARES                  X                 1       34411      0       0
EQUITY OFFICE
   PROPERTIES TR
   (REIT)           COMMON      294741103        798    26470 SHARES                           X        1       26470      0       0
EQUITY RESIDENTIAL
   (REIT)           COMMON      29476L107        130     4050 SHARES                  X                 1        4050      0       0
EQUITY RESIDENTIAL
   (REIT)           COMMON      29476L107         99     3066 SHARES                           X        1        3066      0       0
ERIE INDEMNITY CO
   CL A             COMMON      29530P102       8863   170050 SHARES                  X                 1      170050      0       0
ESSEX CORPORATION   COMMON      296744105          8      500 SHARES                           X        1         500      0       0
EXELON CORP         COMMON      30161N101       3989    86935 SHARES                  X                 1       86435      0     500
EXELON CORP         COMMON      30161N101       1358    29595 SHARES                           X        1       28545      0    1050
EXPEDITORS INTL
   WASH INC         COMMON      302130109         64     1200 SHARES                  X                 1        1200      0       0
EXPRESS SCRIPTS INC COMMON      302182100      11444   131257 SHARES                  X                 1      128973      0    2284
EXPRESS SCRIPTS INC COMMON      302182100       1880    21567 SHARES                           X        1       20012      0    1555
EXXON MOBIL CORP    COMMON      30231G102      87914  1475069 SHARES                  X                 1     1466211      0    8858
EXXON MOBIL CORP    COMMON      30231G102      76678  1286543 SHARES                           X        1     1118278      0  168265
F N B CORP PA       COMMON      302520101         47     2474 SHARES                  X                 1        2474      0       0
F S I INTL CORP     COMMON      302633102         54    12700 SHARES                  X                 1       12700      0       0
FACTSET RESEARCH
   SYSTEMS INC      COMMON      303075105         30      900 SHARES                           X        1         900      0       0
FAIRCHILD
   SEMICONDUCTOR
   INTL INC         COMMON      303726103          2      100 SHARES                           X        1         100      0       0
FAMILY DLR STORES   COMMON      307000109         11      350 SHARES                           X        1         350      0       0
FANNIE MAE          COMMON      313586109      14885   273362 SHARES                  X                 1      270133      0    3229
FANNIE MAE          COMMON      313586109       4101    75308 SHARES                           X        1       66611      0    8697
FARO TECHNOLOGIES
   INC              COMMON      311642102         56     2400 SHARES                  X                 1        2400      0       0
FASTENAL CO         COMMON      311900104        145     2625 SHARES                  X                 1        2625      0       0
FASTENAL CO         COMMON      311900104        111     2000 SHARES                           X        1        2000      0       0
FEATHERLITE
   INCORPORATED     COMMON      313054108        212    30281 SHARES                           X        1       30281      0       0


                                     9 of 44




                                                                                       
FEDERAL SIGNAL CORP COMMON      313855108         15     1000 SHARES                  X                 1        1000      0       0
FEDERATED DEPT
   STORES INC       COMMON      31410H101         55      860 SHARES                  X                 1         860      0       0
FEDERATED DEPT
   STORES INC       COMMON      31410H101         13      200 SHARES                           X        1         200      0       0
FEDEX CORP          COMMON      31428X106        557     5934 SHARES                  X                 1        5934      0       0
FEDEX CORP          COMMON      31428X106        304     3235 SHARES                           X        1        2935      0     300
FIFTH THIRD BANCORP COMMON      316773100        813    18906 SHARES                  X                 1       18906      0       0
FIFTH THIRD BANCORP COMMON      316773100        213     4946 SHARES                           X        1        4646      0     300
FIRST DATA CORP     COMMON      319963104       2920    74284 SHARES                  X                 1       73119      0    1165
FIRST DATA CORP     COMMON      319963104       1615    41096 SHARES                           X        1       37476      0    3620
FIRST HORIZON
   NATIONAL CORP    COMMON      320517105         12      300 SHARES                  X                 1         300      0       0
FIRST INDUSTRIAL
   REALTY TR (REIT) COMMON      32054K103         10      275 SHARES                  X                 1         275      0       0
FIRST MARINER
   BANCORP
   INCORPORATED     COMMON      320795107         62     3500 SHARES                           X        1        3500      0       0
FIRST NIAGARA
   FINANCIAL GROUP  COMMON      33582V108          4      292 SHARES                  X                 1         292      0       0
FIRST UNITED CORP   COMMON      33741H107        218    10808 SHARES                  X                 1       10808      0       0
FIRST UNITED CORP   COMMON      33741H107         75     3727 SHARES                           X        1         200      0    3527
FIRSTENERGY CORP    COMMON      337932107        403     9599 SHARES                  X                 1        9599      0       0
FIRSTENERGY CORP    COMMON      337932107        340     8105 SHARES                           X        1        8105      0       0
FISERV INC          COMMON      337738108          9      220 SHARES                  X                 1         220      0       0
FISERV INC          COMMON      337738108          8      200 SHARES                           X        1           0      0     200
FISHER SCIENTIFIC
   INTERNATIONAL
   INC              COMMON      338032204         51      900 SHARES                           X        1         900      0       0
FIVE STAR QUALITY
   CARE INC         COMMON      33832D106          0       55 SHARES                  X                 1          55      0       0
FIVE STAR QUALITY
   CARE INC         COMMON      33832D106          0       10 SHARES                           X        1           0      0      10
FLIR SYSTEMS INC    COMMON      302445101          8      270 SHARES                  X                 1         270      0       0
FLORIDA EAST COAST
   INDS INC         COMMON      340632108          0        8 SHARES                           X        1           8      0       0
FLOWERS FOODS INC   COMMON      343498101          6      200 SHARES                  X                 1         200      0       0
FLOWERS FOODS INC   COMMON      343498101          0       11 SHARES                           X        1          11      0       0
FLUOR CORP          COMMON      343412102        260     4689 SHARES                  X                 1        4689      0       0
FLUOR CORP          COMMON      343412102        147     2650 SHARES                           X        1        1650      0    1000
FONAR CORP          COMMON      344437108          0       18 SHARES                  X                 1          18      0       0
FORD MOTOR CO       COMMON      345370860        539    47530 SHARES                  X                 1       47430      0     100
FORD MOTOR CO       COMMON      345370860        448    39529 SHARES                           X        1       34221      0    5308
FOREST LABS INC     COMMON      345838106        214     5800 SHARES                  X                 1        5750      0      50
FOREST LABS INC     COMMON      345838106        153     4140 SHARES                           X        1        4140      0       0
FOREST OIL CORP     COMMON      346091705         20      500 SHARES                  X                 1         500      0       0
FOREST OIL CORP     COMMON      346091705         57     1400 SHARES                           X        1        1400      0       0
FORTUNE BRANDS INC  COMMON      349631101        816    10121 SHARES                  X                 1       10121      0       0
FORTUNE BRANDS INC  COMMON      349631101        715     8864 SHARES                           X        1        7257      0    1607
FOUNDATION COAL
   HOLDINGS INC     COMMON      35039W100         94     4000 SHARES                  X                 1        4000      0       0
FOX ENTERTAINMENT
   GROUP INC        COMMON      35138T107          6      170 SHARES                           X        1         170      0       0
FPL GROUP INC       COMMON      302571104       5374   133845 SHARES                  X                 1      133845      0       0
FPL GROUP INC       COMMON      302571104       2266    56432 SHARES                           X        1       47840      0    8592
FRANKLIN RESOURCES
   INC              COMMON      354613101         30      430 SHARES                  X                 1         430      0       0
FRANKLIN RESOURCES
   INC              COMMON      354613101         21      300 SHARES                           X        1         150      0     150
FREDDIE MAC         COMMON      313400301        675    10679 SHARES                  X                 1       10679      0       0
FREDDIE MAC         COMMON      313400301        490     7755 SHARES                           X        1        7755      0       0
FREEPORT MCMORAN
   CPR & GLD INC
   CL B             COMMON      35671D857         83     2101 SHARES                  X                 1        2101      0       0
FREEPORT MCMORAN
   CPR & GLD INC
   CL B             COMMON      35671D857         30      765 SHARES                           X        1         765      0       0
FREESCALE
   SEMICONDUCTOR-B  COMMON      35687M206        171     9931 SHARES                  X                 1        9931      0       0
FREESCALE
   SEMICONDUCTOR-B  COMMON      35687M206         96     5593 SHARES                           X        1        5373      0     220
FRIEDMAN BILLINGS
   RAMSEY GRP INC-A COMMON      358434108          1       87 SHARES                  X                 1          87      0       0
FROZEN FOOD EXPRESS
INDUSTRIES INC      COMMON      359360104         12     1000 SHARES                           X        1        1000      0       0
FULTON FINANCIAL
   CORP             COMMON      360271100       2916   133800 SHARES                  X                 1      133800      0       0
FULTON FINANCIAL
   CORP             COMMON      360271100       3107   142605 SHARES                           X        1      105824      0   36781
FX ENERGY INC       COMMON      302695101         11     1000 SHARES                  X                 1        1000      0       0
GALLAGHER ARTHUR J.
   & CO             COMMON      363576109         41     1425 SHARES                  X                 1        1425      0       0
GAMESTOP CORP       COMMON      36466R101        404    18225 SHARES                  X                 1       18225      0       0
GANNETT CO INC      COMMON      364730101       1319    16673 SHARES                  X                 1       16673      0       0
GANNETT CO INC      COMMON      364730101       1612    20381 SHARES                           X        1       20181      0     200
GAP INC             COMMON      364760108       1407    64442 SHARES                  X                 1       64442      0       0
GAP INC             COMMON      364760108        494    22600 SHARES                           X        1       22200      0     400
GATEWAY INC         COMMON      367626108          0       33 SHARES                           X        1          33      0       0
GATX CORP           COMMON      361448103         12      350 SHARES                           X        1           0      0     350
GEAC COMPUTER
   CORPORATION
   LIMITED          COMMON      368289104          4      500 SHARES                           X        1         500      0       0
GENELABS
   TECHNOLOGIES INC COMMON      368706107          2     3300 SHARES                  X                 1        3300      0       0
GENENTECH INC       COMMON      368710406       1844    32575 SHARES                  X                 1       32575      0       0
GENENTECH INC       COMMON      368710406        176     3105 SHARES                           X        1        3105      0       0
GENERAL DYNAMICS
   CORP             COMMON      369550108       3463    32353 SHARES                  X                 1       32353      0       0
GENERAL DYNAMICS
   CORP             COMMON      369550108        842     7867 SHARES                           X        1        7867      0       0
GENERAL ELECTRIC
   COMPANY          COMMON      369604103      88657  2458606 SHARES                  X                 1     2420302      0   38304
GENERAL ELECTRIC
   COMPANY          COMMON      369604103      83970  2328617 SHARES                           X        1     2135895      0  192722
GENERAL MILLS INC   COMMON      370334104       8175   166334 SHARES                  X                 1      164879      0    1455
GENERAL MILLS INC   COMMON      370334104       1666    33902 SHARES                           X        1       33052      0     850
GENERAL MOTORS CORP COMMON      370442105        468    15923 SHARES                  X                 1       15923      0       0
GENERAL MOTORS CORP COMMON      370442105        376    12805 SHARES                           X        1       10037      0    2768


                                    10 of 44




                                                                                        
GENESIS MICROCHIP
   INC              COMMON      37184C103          7      500 SHARES                  X                 1         500      0       0
GENITOPE
   CORPORATION      COMMON      37229P507         74     5900 SHARES                  X                 1        5900      0       0
GENTIVA HLTH SVCS
   INC              COMMON      37247A102          1       62 SHARES                  X                 1          62      0       0
GENUINE PARTS INC   COMMON      372460105        461    10605 SHARES                  X                 1       10605      0       0
GENUINE PARTS INC   COMMON      372460105         98     2250 SHARES                           X        1        2250      0       0
GENVEC INC          COMMON      37246C109          1      400 SHARES                           X        1         400      0       0
GENZYME CORP        COMMON      372917104        221     3866 SHARES                  X                 1        3866      0       0
GENZYME CORP        COMMON      372917104          3       50 SHARES                           X        1          50      0       0
GEORGIA PAC CORP    COMMON      373298108         14      400 SHARES                  X                 1         400      0       0
GEORGIA PAC CORP    COMMON      373298108         90     2535 SHARES                           X        1         527      0    2008
GERBER SCIENTIFIC
   INC              COMMON      373730100         44     6100 SHARES                  X                 1        6100      0       0
GERON CORP          COMMON      374163103          3      500 SHARES                           X        1           0      0     500
GETTY IMAGES INC    COMMON      374276103         11      155 SHARES                  X                 1         155      0       0
GETTY REALTY
   CORPORATION      COMMON      374297109          8      300 SHARES                  X                 1         300      0       0
GILEAD SCIENCES INC COMMON      375558103       1089    30406 SHARES                  X                 1       30166      0     240
GILLETTE CO         COMMON      375766102       6584   130420 SHARES                  X                 1      129175      0    1245
GILLETTE CO         COMMON      375766102       6397   126733 SHARES                           X        1      118067      0    8666
GLADSTONE CAPITAL
   CORP             COMMON      376535100         53     2500 SHARES                  X                 1        2500      0       0
GLATFELTER          COMMON      377316104        658    44620 SHARES                  X                 1       44620      0       0
GLATFELTER          COMMON      377316104          8      520 SHARES                           X        1         520      0       0
GLOBALSANTAFE CORP  COMMON      G3930E101          9      250 SHARES                           X        1           0      0     250
GOLDMAN SACHS GROUP
   INC              COMMON      38141G104        160     1453 SHARES                  X                 1        1453      0       0
GOODRICH CORP       COMMON      382388106          4      100 SHARES                  X                 1         100      0       0
GOODRICH CORP       COMMON      382388106        214     5600 SHARES                           X        1        4000      0    1600
GOODRICH PETROLEUM
   CORP             COMMON      382410405         19      900 SHARES                  X                 1         900      0       0
GOODYEAR TIRE &
   RUBR CO          COMMON      382550101          1       50 SHARES                  X                 1          50      0       0
GOODYEAR TIRE &
   RUBR CO          COMMON      382550101         29     2155 SHARES                           X        1        2155      0       0
GOOGLE INC CL A     COMMON      38259P508         76      419 SHARES                  X                 1         419      0       0
GOOGLE INC CL A     COMMON      38259P508          9       50 SHARES                           X        1          50      0       0
GRANT PRIDECO INC   COMMON      38821G101        102     4230 SHARES                  X                 1        4230      0       0
GREAT AMERN FINL
   RES INC          COMMON      389915109          2      100 SHARES                           X        1           0      0     100
GREAT LAKES CHEM
   CORP             COMMON      390568103          3       90 SHARES                  X                 1          90      0       0
GREAT PLAINS ENERGY
   INC              COMMON      391164100         17      570 SHARES                  X                 1         570      0       0
GREAT PLAINS ENERGY
   INC              COMMON      391164100         26      850 SHARES                           X        1         850      0       0
GREATER BAY BANCORP COMMON      391648102          5      185 SHARES                  X                 1         185      0       0
GREEN MOUNTAIN
   POWER CORP       COMMON      393154109         29     1000 SHARES                  X                 1        1000      0       0
GUIDANT CORP        COMMON      401698105       1669    22581 SHARES                  X                 1       22581      0       0
GUIDANT CORP        COMMON      401698105        420     5682 SHARES                           X        1        5682      0       0
HALLIBURTON HLDG CO COMMON      406216101        284     6569 SHARES                  X                 1        6569      0       0
HALLIBURTON HLDG CO COMMON      406216101        307     7100 SHARES                           X        1        3300      0    3800
HALOZYME
   THERAPEUTICS INC COMMON      40637H109         43    26100 SHARES                  X                 1       26100      0       0
HARLEY DAVIDSON INC COMMON      412822108       1273    22044 SHARES                  X                 1       22044      0       0
HARLEY DAVIDSON INC COMMON      412822108        322     5579 SHARES                           X        1        2379      0    3200
HARLEYSVILLE NATL
   CORP             COMMON      412850109         27     1276 SHARES                  X                 1        1276      0       0
HARMAN
   INTERNATIONAL
   INDUSTRIES       COMMON      413086109        322     3645 SHARES                  X                 1        3645      0       0
HARRAHS
   ENTERTAINMENT
   INC              COMMON      413619107          3       50 SHARES                  X                 1          50      0       0
HARRIS CORP         COMMON      413875105         36     1100 SHARES                  X                 1        1100      0       0
HARSCO CORP         COMMON      415864107      12166   204090 SHARES                  X                 1      171368      0   32722
HARSCO CORP         COMMON      415864107       5292    88783 SHARES                           X        1       88783      0       0
HARTFORD FINANCIAL
   SVCS GRP INC     COMMON      416515104       1958    28566 SHARES                  X                 1       27131      0    1435
HARTFORD FINANCIAL
   SVCS GRP INC     COMMON      416515104       1144    16680 SHARES                           X        1       13680      0    3000
HARTMARX
   CORPORATION      COMMON      417119104         43     4500 SHARES                  X                 1        4500      0       0
HASBRO INC          COMMON      418056107          4      190 SHARES                  X                 1         190      0       0
HASBRO INC          COMMON      418056107          3      170 SHARES                           X        1         170      0       0
HAWAIIAN ELEC IND
   INC              COMMON      419870100          4      140 SHARES                  X                 1         140      0       0
HCA INC             COMMON      404119109        362     6750 SHARES                  X                 1        5550      0    1200
HCA INC             COMMON      404119109        141     2641 SHARES                           X        1        1891      0     750
HEALTH CARE PPTY
   INVEST INC
   (REIT)           COMMON      421915109         52     2200 SHARES                  X                 1        2200      0       0
HEALTH MGMT ASSOC
   INC CL A         COMMON      421933102       1676    64035 SHARES                  X                 1       60585      0    3450
HEALTH MGMT ASSOC
   INC CL A         COMMON      421933102        674    25756 SHARES                           X        1       23556      0    2200
HEALTH NET INC      COMMON      42222G108         35     1064 SHARES                           X        1        1064      0       0
HEALTHCARE REALTY
   TRUST INC (REIT) COMMON      421946104         78     2130 SHARES                  X                 1        2130      0       0
HEALTHCARE REALTY
   TRUST INC (REIT) COMMON      421946104          7      200 SHARES                           X        1         200      0       0
HEINZ H J CO        COMMON      423074103       1557    42276 SHARES                  X                 1       42176      0     100
HEINZ H J CO        COMMON      423074103       1006    27318 SHARES                           X        1       20568      0    6750
HELEN OF TROY LTD   COMMON      G4388N106          8      300 SHARES                           X        1         300      0       0
HERCULES INC        COMMON      427056106         36     2500 SHARES                  X                 1        2500      0       0
HERCULES INC        COMMON      427056106         74     5100 SHARES                           X        1        5100      0       0
HERLEY INDUSTRIES
   INC              COMMON      427398102          3      180 SHARES                  X                 1         180      0       0
HERSHEY FOODS CORP  COMMON      427866108       4022    66520 SHARES                  X                 1       66220      0     300
HERSHEY FOODS CORP  COMMON      427866108       3244    53650 SHARES                           X        1       38350      0   15300
HEWLETT PACKARD CO  COMMON      428236103       3059   139426 SHARES                  X                 1      139426      0       0
HEWLETT PACKARD CO  COMMON      428236103       2287   104242 SHARES                           X        1       97942      0    6300
HIGHWOODS
   PROPERTIES
   (REIT)           COMMON      431284108         13      500 SHARES                           X        1         500      0       0


                                    11 of 44




                                                                                        
HILLENBRAND INDS
   INC              COMMON      431573104          4       70 SHARES                  X                 1          70      0       0
HOLOGIC INC         COMMON      436440101          5      150 SHARES                  X                 1         150      0       0
HOLOGIC INC         COMMON      436440101         13      400 SHARES                           X        1           0      0     400
HOME DEPOT INC      COMMON      437076102      18909   494493 SHARES                  X                 1      490049      0    4444
HOME DEPOT INC      COMMON      437076102       5674   148382 SHARES                           X        1      136461      0   11921
HOME PROPERTIES INC
   (REIT)           COMMON      437306103         78     2000 SHARES                  X                 1        2000      0       0
HOME PROPERTIES INC
   (REIT)           COMMON      437306103        380     9788 SHARES                           X        1        8288      0    1500
HONEYWELL INTL INC  COMMON      438516106       2204    59237 SHARES                  X                 1       59237      0       0
HONEYWELL INTL INC  COMMON      438516106       2468    66323 SHARES                           X        1       65823      0     500
HOSPIRA INC         COMMON      441060100        285     8827 SHARES                  X                 1        8827      0       0
HOSPIRA INC         COMMON      441060100        195     6040 SHARES                           X        1        5670      0     370
HOSPITALITY
   PROPERTIES TRUST
   (REIT)           COMMON      44106M102          8      200 SHARES                  X                 1         200      0       0
HOST MARRIOTT CORP  COMMON      44107P104          4      217 SHARES                  X                 1         217      0       0
HOST MARRIOTT CORP  COMMON      44107P104         17     1000 SHARES                           X        1        1000      0       0
HOT TOPIC INC       COMMON      441339108         15      675 SHARES                  X                 1         675      0       0
HRPT PROPERTIES
   TRUST (REIT)     COMMON      40426W101         14     1200 SHARES                           X        1        1200      0       0
HUMAN GENOME
   SCIENCES INC     COMMON      444903108          1      100 SHARES                  X                 1         100      0       0
HUMAN GENOME
   SCIENCES INC     COMMON      444903108         57     6200 SHARES                           X        1        6200      0       0
HUMMINGBIRD LTD     COMMON      44544R101         12      500 SHARES                           X        1           0      0     500
HUNTINGTON
   BANCSHARES INC   COMMON      446150104         19      800 SHARES                  X                 1         800      0       0
HUNTINGTON
   BANCSHARES INC   COMMON      446150104          4      161 SHARES                           X        1         161      0       0
HUTCHINSON
   TECHNOLOGY INC   COMMON      448407106         16      450 SHARES                  X                 1         450      0       0
HUTTIG BLDG PRODS
   INC              COMMON      448451104          6      585 SHARES                  X                 1         585      0       0
HUTTIG BLDG PRODS
   INC              COMMON      448451104         25     2277 SHARES                           X        1        2277      0       0
HYPER CORP          COMMON      44913M105         73    15400 SHARES                  X                 1       15400      0       0
HYPERION SOLUTIONS
   CORP             COMMON      44914M104         14      325 SHARES                  X                 1         325      0       0
IAC/INTERACTIVECORP COMMON      44919P102          8      350 SHARES                  X                 1         350      0       0
IAC/INTERACTIVECORP COMMON      44919P102        160     7200 SHARES                           X        1        7200      0       0
ICOS CORP           COMMON      449295104         38     1700 SHARES                  X                 1        1700      0       0
IDACORP INC         COMMON      451107106         44     1542 SHARES                           X        1         300      0    1242
ILLINOIS TOOL WKS
   INC              COMMON      452308109       1609    17968 SHARES                  X                 1       17968      0       0
ILLINOIS TOOL WKS
   INC              COMMON      452308109        544     6076 SHARES                           X        1        6076      0       0
IMAGISTICS INTL INC COMMON      45247T104         16      460 SHARES                  X                 1         460      0       0
IMAGISTICS INTL INC COMMON      45247T104         29      832 SHARES                           X        1           0      0     832
IMATION CORPORATION COMMON      45245A107          3       81 SHARES                  X                 1          81      0       0
IMCLONE SYS INC     COMMON      45245W109          2       50 SHARES                  X                 1          50      0       0
IMCLONE SYS INC     COMMON      45245W109          2       50 SHARES                           X        1          50      0       0
IMPAC MORTGAGE
   HOLDINGS INC
   (REIT)           COMMON      45254P102          4      200 SHARES                           X        1         200      0       0
IMS HEALTH INC      COMMON      449934108        147     6010 SHARES                  X                 1        6010      0       0
IMS HEALTH INC      COMMON      449934108        109     4462 SHARES                           X        1        4462      0       0
INERGY LP           COMMON      456615103         32     1000 SHARES                           X        1        1000      0       0
INFORMATICA CORP    COMMON      45666Q102         29     3500 SHARES                  X                 1        3500      0       0
INFOSPACE INC       COMMON      45678T201          0       10 SHARES                  X                 1          10      0       0
INFRASOURCE
   SERVICES INC     COMMON      45684P102         12     1000 SHARES                  X                 1        1000      0       0
INGRAM MICRO INC
   CL A             COMMON      457153104          3      200 SHARES                           X        1         200      0       0
INPUT/OUTPUT INC    COMMON      457652105         41     6400 SHARES                  X                 1        6400      0       0
INTEGRA
   LIFESCIENCES
   HOLDING          COMMON      457985208         14      400 SHARES                  X                 1         400      0       0
INTEL CORP          COMMON      458140100      23717  1020949 SHARES                  X                 1     1012391      0    8558
INTEL CORP          COMMON      458140100       7553   325138 SHARES                           X        1      281850      0   43288
INTERGRATED DEVICE
   TECH INC         COMMON      458118106         55     4600 SHARES                  X                 1        4600      0       0
INTERNATIONAL
   BUSINESS
   MACHINES CORP    COMMON      459200101      38099   416932 SHARES                  X                 1      410519      0    6413
INTERNATIONAL
   BUSINESS
   MACHINES CORP    COMMON      459200101      16481   180361 SHARES                           X        1      159924      0   20437
INTERNATIONAL GAME
   TECH             COMMON      459902102         20      748 SHARES                  X                 1         748      0       0
INTERNATIONAL GAME
   TECH             COMMON      459902102         27     1000 SHARES                           X        1           0      0    1000
INTERNATIONAL PAPER
   CO               COMMON      460146103       1820    49480 SHARES                  X                 1       47880      0    1600
INTERNATIONAL PAPER
   CO               COMMON      460146103        603    16386 SHARES                           X        1       11400      0    4986
INTERNATIONAL
   RECTIFIER CORP   COMMON      460254105      10534   231508 SHARES                  X                 1      228945      0    2563
INTERNATIONAL
   RECTIFIER CORP   COMMON      460254105        953    20951 SHARES                           X        1       18276      0    2675
INTERNATIONAL
   SPEEDWAY CORP CL
   A                COMMON      460335201         12      220 SHARES                  X                 1         220      0       0
INTERPUBLIC GROUP
   COS INC          COMMON      460690100          2      174 SHARES                  X                 1         174      0       0
INTERSIL CORP CL A  COMMON      46069S109         33     1900 SHARES                  X                 1        1900      0       0
INTL FLAVORS &
   FRAGRANCES INC   COMMON      459506101         28      700 SHARES                  X                 1         700      0       0
INTUIT INC          COMMON      461202103         20      450 SHARES                           X        1         300      0     150
INVACARE CORP       COMMON      461203101         18      400 SHARES                           X        1         400      0       0
INVESTORS FINANCIAL
   SERVICES CORP    COMMON      461915100         15      298 SHARES                  X                 1         298      0       0
INVITROGEN CORP     COMMON      46185R100         28      400 SHARES                           X        1           0      0     400
ISHARES LEHMAN 7-10
   YRS TREAS        COMMON      464287440         13      150 SHARES                           X        1           0      0     150
ISHARES MSCI EAFE
   INDEX FD         COMMON      464287465        678     4267 SHARES                  X                 1        4267      0       0
ISHARES MSCI EAFE
   INDEX FD         COMMON      464287465        608     3826 SHARES                           X        1        3826      0       0
ISHARES MSCI JAPAN
   INDEX FD         COMMON      464286848         26     2500 SHARES                  X                 1        2500      0       0
ISHARES S&P 500
   BARRA VALUE
   INDEX FD         COMMON      464287408         91     1500 SHARES                  X                 1        1500      0       0
ISIS
   PHARMACEUTICALS  COMMON      464330109          1      350 SHARES                  X                 1         350      0       0
ITT INDUSTRIES INC  COMMON      450911102         94     1046 SHARES                  X                 1         966      0      80
ITT INDUSTRIES INC  COMMON      450911102        204     2264 SHARES                           X        1        1464      0     800


                                    12 of 44




                                                                                        
IVAX CORP           COMMON      465823102          9      468 SHARES                  X                 1         468      0       0
J JILL GROUP INC    COMMON      466189107         80     5800 SHARES                  X                 1        5800      0       0
JABIL CIRCUIT INC   COMMON      466313103       1792    62847 SHARES                  X                 1       62657      0     190
JABIL CIRCUIT INC   COMMON      466313103        366    12850 SHARES                           X        1       11850      0    1000
JACOBS ENGINEERING
   GROUP INC        COMMON      469814107         23      450 SHARES                           X        1         450      0       0
JANUS CAPITAL GROUP
   INC              COMMON      47102X105        597    42800 SHARES                           X        1       42800      0       0
JDS UNIPHASE CORP   COMMON      46612J101          4     2161 SHARES                  X                 1        2161      0       0
JEFFERSON PILOT
   CORP             COMMON      475070108        336     6843 SHARES                  X                 1        3995      0    2848
JEFFERSON PILOT
   CORP             COMMON      475070108        242     4934 SHARES                           X        1        4934      0       0
JLG INDUSTRIES INC  COMMON      466210101         19      900 SHARES                  X                 1         900      0       0
JM SMUCKER CO       COMMON      832696405        169     3356 SHARES                  X                 1        3356      0       0
JM SMUCKER CO       COMMON      832696405        370     7360 SHARES                           X        1        6656      0     704
JMAR TECHNOLOGIES
   INC              COMMON      466212107          1     1000 SHARES                  X                 1        1000      0       0
JOHNSON & JOHNSON   COMMON      478160104      36009   536173 SHARES                  X                 1      532083      0    4090
JOHNSON & JOHNSON   COMMON      478160104      36106   537606 SHARES                           X        1      520979      0   16627
JOHNSON CONTROLS
   INC              COMMON      478366107        515     9240 SHARES                  X                 1        9240      0       0
JOHNSON CONTROLS
   INC              COMMON      478366107        197     3540 SHARES                           X        1        2740      0     800
JONES APPAREL GROUP
   INC              COMMON      480074103        214     6395 SHARES                           X        1        6395      0       0
JOS A BANK
   CLOTHIERS INC    COMMON      480838101         21      700 SHARES                  X                 1         700      0       0
JPMORGAN CHASE & CO COMMON      46625H100       9539   275683 SHARES                  X                 1      273533      0    2150
JPMORGAN CHASE & CO COMMON      46625H100       6609   190999 SHARES                           X        1      159313      0   31686
KANSAS LIFE INS CO  COMMON      484836101         85     1750 SHARES                           X        1        1750      0       0
KB HOME             COMMON      48666K109         92      781 SHARES                  X                 1         781      0       0
KELLOGG CO          COMMON      487836108       1344    31056 SHARES                  X                 1       31056      0       0
KELLOGG CO          COMMON      487836108        939    21697 SHARES                           X        1       20100      0    1597
KENNAMETAL INC      COMMON      489170100          5      100 SHARES                           X        1         100      0       0
KERR MCGEE CORP     COMMON      492386107        194     2483 SHARES                  X                 1        1683      0     800
KERR MCGEE CORP     COMMON      492386107         39      500 SHARES                           X        1         500      0       0
KEYCORP             COMMON      493267108        838    25812 SHARES                  X                 1       25812      0       0
KEYCORP             COMMON      493267108        307     9452 SHARES                           X        1        9452      0       0
KEYSPAN CORP        COMMON      49337W100        112     2884 SHARES                  X                 1        2784      0     100
KEYSPAN CORP        COMMON      49337W100        164     4198 SHARES                           X        1        3598      0     600
KIMBERLY CLARK CORP COMMON      494368103       7900   120196 SHARES                  X                 1      119446      0     750
KIMBERLY CLARK CORP COMMON      494368103       4545    69153 SHARES                           X        1       47528      0   21625
KIMCO REALTY CORP
   (REIT)           COMMON      49446R109         24      450 SHARES                           X        1         450      0       0
KINDER MORGAN
   ENERGY PARTNERS
   LP               COMMON      494550106        242     5380 SHARES                  X                 1        5380      0       0
KINDER MORGAN INC   COMMON      49455P101         11      150 SHARES                  X                 1         150      0       0
KINDER MORGAN INC   COMMON      49455P101        106     1400 SHARES                           X        1        1400      0       0
KINETIC CONCEPTS
   INC              COMMON      49460W208       1555    26070 SHARES                  X                 1       25645      0     425
KINETIC CONCEPTS
   INC              COMMON      49460W208        121     2032 SHARES                           X        1         225      0    1807
KING
   PHARMACEUTICALS
   INC              COMMON      495582108         11     1300 SHARES                  X                 1        1300      0       0
KLA TENCOR CORP     COMMON      482480100          5      100 SHARES                  X                 1         100      0       0
KNIGHT RIDDER INC   COMMON      499040103         44      650 SHARES                  X                 1         650      0       0
KOHLS CORP          COMMON      500255104        342     6620 SHARES                  X                 1        6620      0       0
KOHLS CORP          COMMON      500255104        126     2440 SHARES                           X        1        2440      0       0
KORN/FERRY INTL     COMMON      500643200        265    13930 SHARES                  X                 1       13930      0       0
KRAFT FOODS INC CL
   A                COMMON      50075N104       1711    51774 SHARES                  X                 1       51574      0     200
KRAFT FOODS INC CL
   A                COMMON      50075N104        321     9700 SHARES                           X        1        9200      0     500
KRISPY KREME
   DOUGHNUTS INC    COMMON      501014104          1      100 SHARES                  X                 1         100      0       0
KROGER CO           COMMON      501044101        588    36665 SHARES                  X                 1       36665      0       0
KROGER CO           COMMON      501044101         65     4050 SHARES                           X        1        3550      0     500
LA QUINTA
   CORP-PAIRED
   (REIT)           COMMON      50419U202          5      595 SHARES                  X                 1         595      0       0
LABOR READY INC     COMMON      505401208         69     3700 SHARES                  X                 1        3700      0       0
LAM RESH CORP       COMMON      512807108        202     7005 SHARES                  X                 1        7005      0       0
LARGE SCALE
   BIOLOGY CORP     COMMON      517053104          2     2000 SHARES                  X                 1        2000      0       0
LASALLE HOTEL PROP
   REIT             COMMON      517942108          4      145 SHARES                  X                 1         145      0       0
LAUDER ESTEE CO CL
   A                COMMON      518439104       7097   157781 SHARES                  X                 1      154446      0    3335
LAUDER ESTEE CO CL
   A                COMMON      518439104        482    10710 SHARES                           X        1        7460      0    3250
LAUREATE EDUCATION
   INC              COMMON      518613104       2318    54165 SHARES                  X                 1       53670      0     495
LAUREATE EDUCATION
   INC              COMMON      518613104         80     1870 SHARES                           X        1        1060      0     810
LEAR CORP           COMMON      521865105       1646    37105 SHARES                  X                 1       36355      0     750
LEAR CORP           COMMON      521865105        888    20012 SHARES                           X        1       18612      0    1400
LEESPORT FINANCIAL
   CORP             COMMON      524477106         68     2883 SHARES                  X                 1        2883      0       0
LEGG MASON INC      COMMON      524901105        345     4409 SHARES                  X                 1        4409      0       0
LEGG MASON INC      COMMON      524901105         84     1075 SHARES                           X        1        1075      0       0
LEHMAN BROTHERS
   HLDGS INC        COMMON      524908100       1619    17199 SHARES                  X                 1       17199      0       0
LEHMAN BROTHERS
   HLDGS INC        COMMON      524908100         28      295 SHARES                           X        1         295      0       0
LEVEL 3
   COMMUNICATIONS
   INC              COMMON      52729N100         10     5000 SHARES                  X                 1        5000      0       0
LEVITT CORPORATION  COMMON      52742P108         38     1500 SHARES                  X                 1        1500      0       0
LEXINGTON CORP
   PROPERTIES TR
   (REIT)           COMMON      529043101         33     1482 SHARES                           X        1        1482      0       0
LEXMARK INTL INC CL
   A                COMMON      529771107         51      640 SHARES                  X                 1         640      0       0
LEXMARK INTL INC CL
   A                COMMON      529771107         28      350 SHARES                           X        1         350      0       0
LIBERTY MEDIA CORP  COMMON      530719202         60     1300 SHARES                           X        1        1300      0       0
LIBERTY MEDIA CORP
   -B               COMMON      530718204        275    26000 SHARES                           X        1       26000      0       0


                                    13 of 44




                                                                                       
LIBERTY MEDIA CORP
   CL A             COMMON      530718105        954    91953 SHARES                  X                 1       91953      0       0
LIBERTY MEDIA CORP
   CL A             COMMON      530718105       1006    97040 SHARES                           X        1       97040      0       0
LIBERTY MEDIA INTL
   INC-A            COMMON      530719103        120     2751 SHARES                  X                 1        2751      0       0
LIBERTY MEDIA INTL
   INC-A            COMMON      530719103        141     3225 SHARES                           X        1        3225      0       0
LILLY ELI & CO      COMMON      532457108       6346   121811 SHARES                  X                 1      121591      0     220
LILLY ELI & CO      COMMON      532457108       5661   108661 SHARES                           X        1      107461      0    1200
LINCOLN NATL CORP
   IND              COMMON      534187109       5780   128053 SHARES                  X                 1      126608      0    1445
LINCOLN NATL CORP
   IND              COMMON      534187109        787    17435 SHARES                           X        1       15570      0    1865
LINEAR TECHNOLOGY
   CORP             COMMON      535678106         30      783 SHARES                  X                 1         783      0       0
LINEAR TECHNOLOGY
   CORP             COMMON      535678106         31      800 SHARES                           X        1           0      0     800
LIZ CLAIBORNE INC   COMMON      539320101         93     2320 SHARES                  X                 1        2320      0       0
LIZ CLAIBORNE INC   COMMON      539320101         64     1594 SHARES                           X        1        1594      0       0
LOCKHEED MARTIN
   CORPORATION      COMMON      539830109      10237   167658 SHARES                  X                 1      165333      0    2325
LOCKHEED MARTIN
   CORPORATION      COMMON      539830109       1493    24447 SHARES                           X        1       22447      0    2000
LOEWS CORP          COMMON      540424108         96     1300 SHARES                  X                 1        1300      0       0
LOUISIANA PAC CORP  COMMON      546347105         50     2004 SHARES                           X        1           0      0    2004
LOWES COS INC       COMMON      548661107       2899    50783 SHARES                  X                 1       50713      0      70
LOWES COS INC       COMMON      548661107        659    11550 SHARES                           X        1       11250      0     300
LSI LOGIC CORP      COMMON      502161102          1      200 SHARES                           X        1         200      0       0
LUBRIZOL CORP       COMMON      549271104        187     4600 SHARES                  X                 1        4600      0       0
LUBRIZOL CORP       COMMON      549271104        749    18432 SHARES                           X        1       18432      0       0
LUCENT
   TECHNOLOGIES INC COMMON      549463107        278   101035 SHARES                  X                 1      100507      0     528
LUCENT
   TECHNOLOGIES INC COMMON      549463107        145    52799 SHARES                           X        1       52087      0     712
LYONDELL CHEMICAL
   PANY             COMMON      552078107         18      650 SHARES                  X                 1         650      0       0
M & T BANK CORP     COMMON      55261F104      65494   641723 SHARES                  X                 1      641473      0     250
M & T BANK CORP     COMMON      55261F104      19245   188569 SHARES                           X        1       35106      0  153463
MAF BANCORP INC     COMMON      55261R108         76     1821 SHARES                  X                 1        1821      0       0
MAGNA ENTERTAINMENT
   CORP CL A        COMMON      559211107          1      200 SHARES                  X                 1         200      0       0
MANITOWOC CO INC    COMMON      563571108         85     2100 SHARES                  X                 1        2100      0       0
MANPOWER INC WIS    COMMON      56418H100         65     1500 SHARES                  X                 1        1500      0       0
MARATHON OIL CORP   COMMON      565849106        867    18480 SHARES                  X                 1       18480      0       0
MARATHON OIL CORP   COMMON      565849106        235     5005 SHARES                           X        1        3705      0    1300
MARKEL CORP         COMMON      570535104         35      100 SHARES                  X                 1         100      0       0
MARRIOTT INTL INC
   CL A             COMMON      571903202        107     1607 SHARES                  X                 1        1607      0       0
MARRIOTT INTL INC
   CL A             COMMON      571903202         13      200 SHARES                           X        1         200      0       0
MARSH & MCLENNAN
   COS INC          COMMON      571748102        141     4635 SHARES                  X                 1        4635      0       0
MARSH & MCLENNAN
   COS INC          COMMON      571748102        513    16858 SHARES                           X        1       16858      0       0
MARSHALL & ILSLEY
   CORP             COMMON      571834100        431    10325 SHARES                  X                 1       10325      0       0
MARSHALL & ILSLEY
   CORP             COMMON      571834100        265     6350 SHARES                           X        1        6350      0       0
MARTEK BIOSCIENCES
   CORP             COMMON      572901106          4       68 SHARES                  X                 1          68      0       0
MARTEK BIOSCIENCES
   CORP             COMMON      572901106         23      400 SHARES                           X        1         400      0       0
MARTHA STEWART
   LIVING-CL A      COMMON      573083102         40     1759 SHARES                  X                 1        1759      0       0
MARVEL ENTERPRISES  COMMON      57383M108         20     1000 SHARES                  X                 1        1000      0       0
MASCO CORP          COMMON      574599106       6601   190400 SHARES                  X                 1      189560      0     840
MASCO CORP          COMMON      574599106       1121    32344 SHARES                           X        1       32344      0       0
MASSEY ENERGY CO    COMMON      576206106        119     2973 SHARES                  X                 1        2973      0       0
MASSEY ENERGY CO    COMMON      576206106         72     1800 SHARES                           X        1        1800      0       0
MATRIA HEALTHCARE
   INCORPORATED     COMMON      576817209          5      150 SHARES                  X                 1         150      0       0
MATRIXONE INC       COMMON      57685P304         52    10900 SHARES                  X                 1       10900      0       0
MATTEL INC          COMMON      577081102       1014    47515 SHARES                  X                 1       45015      0    2500
MATTEL INC          COMMON      577081102        797    37321 SHARES                           X        1       36424      0     897
MATTHEWS INTL CORP
   CL A             COMMON      577128101         10      300 SHARES                  X                 1         300      0       0
MATTSON TECHNOLOGY
   INCORPORATED     COMMON      577223100         62     7800 SHARES                  X                 1        7800      0       0
MAXIM INTEGRATED
   PRODS INC        COMMON      57772K101         19      456 SHARES                  X                 1         456      0       0
MAXTOR CORP         COMMON      577729205         46     8700 SHARES                  X                 1        8700      0       0
MAY DEPT STORES &
   CO               COMMON      577778103        609    16459 SHARES                  X                 1       16459      0       0
MAY DEPT STORES &
   CO               COMMON      577778103        134     3611 SHARES                           X        1        2861      0     750
MAYTAG CORPORATION  COMMON      578592107         22     1606 SHARES                  X                 1        1606      0       0
MBNA CORP           COMMON      55262L100        828    33746 SHARES                  X                 1       33746      0       0
MBNA CORP           COMMON      55262L100        840    34230 SHARES                           X        1       34230      0       0
MC GRAW HILL
   COMPANIES INC    COMMON      580645109        553     6336 SHARES                  X                 1        6336      0       0
MC GRAW HILL
   COMPANIES INC    COMMON      580645109       1389    15922 SHARES                           X        1       12880      0    3042
MCCORMICK & CO INC  COMMON      579780107          9      266 SHARES                  X                 1         266      0       0
MCCORMICK & CO-NON
   VTG SHS          COMMON      579780206        872    25324 SHARES                  X                 1       25324      0       0
MCCORMICK & CO-NON
   VTG SHS          COMMON      579780206        145     4200 SHARES                           X        1        4200      0       0
MCDATA CORP         COMMON      580031201          3      728 SHARES                           X        1         728      0       0
MCDONALDS CORP      COMMON      580135101       1755    56373 SHARES                  X                 1       56373      0       0
MCDONALDS CORP      COMMON      580135101       1370    43989 SHARES                           X        1       36256      0    7733
MCKESSON
   CORPORATION      COMMON      58155Q103         38     1000 SHARES                  X                 1        1000      0       0
MCKESSON
   CORPORATION      COMMON      58155Q103        150     3965 SHARES                           X        1        3965      0       0
MCMORAN EXPLORATION
   CO               COMMON      582411104          3      125 SHARES                  X                 1         125      0       0
MCMORAN EXPLORATION
   CO               COMMON      582411104          3      125 SHARES                           X        1         125      0       0
MEADWESTVACO CORP   COMMON      583334107        104     3265 SHARES                  X                 1        3265      0       0
MEADWESTVACO CORP   COMMON      583334107         13      400 SHARES                           X        1         400      0       0


                                    14 of 44




                                                                                        
MECHANICAL
   TECHNOLOGY INC   COMMON      583538103          4      800 SHARES                  X                 1         800      0       0
MEDCO HEALTH
   SOLUTIONS INC    COMMON      58405U102        828    16695 SHARES                  X                 1       16695      0       0
MEDCO HEALTH
   SOLUTIONS INC    COMMON      58405U102       1538    31023 SHARES                           X        1       26914      0    4109
MEDIABAY
   INCORPORATED     COMMON      58446J108          1     2500 SHARES                  X                 1        2500      0       0
MEDTRONIC INC       COMMON      585055106      12227   239978 SHARES                  X                 1      236179      0    3799
MEDTRONIC INC       COMMON      585055106       2770    54358 SHARES                           X        1       47797      0    6561
MELLON FINANCIAL
   CORP             COMMON      58551A108       1962    68743 SHARES                  X                 1       68643      0     100
MELLON FINANCIAL
   CORP             COMMON      58551A108         82     2872 SHARES                           X        1        2872      0       0
MERCANTILE
   BANKSHARES CORP  COMMON      587405101        891    17524 SHARES                  X                 1       17524      0       0
MERCANTILE
   BANKSHARES CORP  COMMON      587405101       3457    67977 SHARES                           X        1       62743      0    5234
MERCK & CO INC      COMMON      589331107      10367   320260 SHARES                  X                 1      318364      0    1896
MERCK & CO INC      COMMON      589331107      10946   338142 SHARES                           X        1      297757      0   40385
MERCURY INTERACTIVE
   CORP             COMMON      589405109          9      200 SHARES                  X                 1         200      0       0
MERIDIAN GOLD
   INCORPORATED     COMMON      589975101          4      250 SHARES                  X                 1         250      0       0
MERRILL LYNCH & CO
   INC              COMMON      590188108       1995    35253 SHARES                  X                 1       34603      0     650
MERRILL LYNCH & CO
   INC              COMMON      590188108       1372    24244 SHARES                           X        1       22624      0    1620
MESABI TRUST        COMMON      590672101         84     5600 SHARES                  X                 1        5600      0       0
METLIFE CAP TR I    COMMON      59156R108         14      370 SHARES                  X                 1         370      0       0
METLIFE CAP TR I    COMMON      59156R108         40     1019 SHARES                           X        1        1019      0       0
MFA MORTGAGE
   INVESTMENTS INC  COMMON      55272X102          8     1000 SHARES                  X                 1        1000      0       0
MGE ENERGY INC      COMMON      55277P104          2       52 SHARES                  X                 1          52      0       0
MGI PHARMA INC      COMMON      552880106         53     2100 SHARES                  X                 1        2100      0       0
MGM MIRAGE          COMMON      552953101          4       50 SHARES                  X                 1          50      0       0
MICHAELS STORES INC COMMON      594087108        349     9610 SHARES                  X                 1        9610      0       0
MICREL INC          COMMON      594793101         24     2600 SHARES                  X                 1        2600      0       0
MICRON TECHNOLOGY
   INC              COMMON      595112103          4      400 SHARES                           X        1         400      0       0
MICROSOFT CORP      COMMON      594918104      25953  1073774 SHARES                  X                 1     1061669      0   12105
MICROSOFT CORP      COMMON      594918104       8336   344908 SHARES                           X        1      303069      0   41839
MIDCAP SPDR TRUST
   SERIES 1 S&P 400 COMMON      595635103       2129    17681 SHARES                  X                 1       17681      0       0
MIDCAP SPDR TRUST
   SERIES 1 S&P 400 COMMON      595635103        351     2915 SHARES                           X        1        2915      0       0
MILACRON INC        COMMON      598709103          3     1017 SHARES                  X                 1        1017      0       0
MILLENNIUM
   PHARMACEUTICALS  COMMON      599902103         21     2500 SHARES                           X        1           0      0    2500
MILLS CORP          COMMON      601148109        942    17815 SHARES                  X                 1       17815      0       0
MILLS CORP          COMMON      601148109        305     5775 SHARES                           X        1        5775      0       0
MINDSPEED
   TECHNOLOGIES
   INC              COMMON      602682106          0       66 SHARES                  X                 1          66      0       0
MINDSPEED
   TECHNOLOGIES
   INC              COMMON      602682106          1      266 SHARES                           X        1         266      0       0
ML MACADAMIA
   ORCHARDS         COMMON      55307U107          1      100 SHARES                           X        1         100      0       0
MOHAWK INDUSTRIES
   INC              COMMON      608190104        112     1330 SHARES                  X                 1        1330      0       0
MOLEX INC           COMMON      608554101        100     3812 SHARES                           X        1        3812      0       0
MOLEX INC CL A      COMMON      608554200          6      250 SHARES                  X                 1         250      0       0
MOLSON COORS
   BREWING COMPANY  COMMON      60871R209         10      130 SHARES                  X                 1         130      0       0
MOLSON COORS
   BREWING COMPANY  COMMON      60871R209         23      300 SHARES                           X        1         300      0       0
MONSANTO COMPANY    COMMON      61166W101        108     1681 SHARES                  X                 1        1681      0       0
MONSANTO COMPANY    COMMON      61166W101        574     8904 SHARES                           X        1        7796      0    1108
MOODYS CORP         COMMON      615369105        121     1500 SHARES                  X                 1        1500      0       0
MOODYS CORP         COMMON      615369105        380     4705 SHARES                           X        1        4705      0       0
MORGAN STANLEY      COMMON      617446448      11190   195457 SHARES                  X                 1      194048      0    1409
MORGAN STANLEY      COMMON      617446448       2288    39962 SHARES                           X        1       38775      0    1187
MORTGAGEIT HOLDINGS
   INC              COMMON      61915Q108         80     5000 SHARES                           X        1        5000      0       0
MOTOROLA INC        COMMON      620076109       2758   184219 SHARES                  X                 1      183709      0     510
MOTOROLA INC        COMMON      620076109       1223    81715 SHARES                           X        1       77165      0    4550
MUNICIPAL MTG & EQ
   LLC              COMMON      62624B101         40     1650 SHARES                           X        1        1650      0       0
MURPHY OIL CORP     COMMON      626717102        100     1010 SHARES                  X                 1        1010      0       0
MYLAN LABORATORIES
   INC              COMMON      628530107          4      249 SHARES                  X                 1         249      0       0
MYLAN LABORATORIES
   INC              COMMON      628530107         51     2877 SHARES                           X        1        1552      0    1325
MYRIAD GENETICS INC COMMON      62855J104          3      150 SHARES                  X                 1         150      0       0
NASDAQ-100 SHARES   COMMON      631100104        643    17587 SHARES                  X                 1       17587      0       0
NASDAQ-100 SHARES   COMMON      631100104         29      800 SHARES                           X        1         800      0       0
NASH FINCH CO       COMMON      631158102         76     2000 SHARES                  X                 1        2000      0       0
NATIONAL CITY CORP  COMMON      635405103       1070    31933 SHARES                  X                 1       31933      0       0
NATIONAL CITY CORP  COMMON      635405103         38     1148 SHARES                           X        1        1148      0       0
NATIONAL PENN
   BANCSHARES INC   COMMON      637138108        130     5310 SHARES                  X                 1        5310      0       0
NATIONAL PENN
   BANCSHARES INC   COMMON      637138108        130     5310 SHARES                           X        1        5310      0       0
NATIONAL
   SEMICONDUCTOR
   CORP             COMMON      637640103         53     2550 SHARES                  X                 1        2550      0       0
NATIONAL
   SEMICONDUCTOR
   CORP             COMMON      637640103         97     4690 SHARES                           X        1        4690      0       0
NATIONWIDE FINL
   SVCS INC         COMMON      638612101         78     2185 SHARES                  X                 1        2185      0       0
NATIONWIDE FINL
   SVCS INC         COMMON      638612101          9      238 SHARES                           X        1         238      0       0
NATIONWIDE HEALTH
   PROPERTIES
   (REIT)           COMMON      638620104         30     1500 SHARES                           X        1        1500      0       0
NATL FUEL GAS CO    COMMON      636180101         58     2013 SHARES                           X        1        2013      0       0
NAVARRE CORPORATION COMMON      639208107        100    12600 SHARES                  X                 1       12600      0       0
NAVISTAR
   INTERNATIONAL
   CORP             COMMON      63934E108          4      100 SHARES                  X                 1         100      0       0
NCR CORP            COMMON      62886E108          4      127 SHARES                  X                 1         127      0       0
NCR CORP            COMMON      62886E108         10      284 SHARES                           X        1         236      0      48
NEENAH PAPER INC    COMMON      640079109        144     4286 SHARES                  X                 1        4286      0       0


                                    15 of 44




                                                                                        
NEENAH PAPER INC    COMMON      640079109         29      864 SHARES                           X        1         728      0     136
NETWORK EQUIPMENT
   TECHNOLOGIES     COMMON      641208103         11     2000 SHARES                           X        1        2000      0       0
NEUROCRINE
   BIOSCIENCES INC  COMMON      64125C109         19      500 SHARES                           X        1           0      0     500
NEVADA GOLD &
   CASINOS INC      COMMON      64126Q206          3      200 SHARES                  X                 1         200      0       0
NEW CENTURY
   FINANCIAL CORP   COMMON      6435EV108         23      500 SHARES                  X                 1         500      0       0
NEW CENTURY
   FINANCIAL CORP   COMMON      6435EV108         28      600 SHARES                           X        1         600      0       0
NEW PLAN EXCEL
   REALTY TR (REIT) COMMON      648053106        252    10050 SHARES                  X                 1       10050      0       0
NEW PLAN EXCEL
   REALTY TR (REIT) COMMON      648053106        212     8430 SHARES                           X        1        8430      0       0
NEW YORK TIMES CO
   CL A             COMMON      650111107         60     1645 SHARES                  X                 1        1645      0       0
NEW YORK TIMES CO
   CL A             COMMON      650111107        366    10000 SHARES                           X        1       10000      0       0
NEWELL RUBBERMAID
   INC              COMMON      651229106       1299    59200 SHARES                  X                 1       57850      0    1350
NEWELL RUBBERMAID
   INC              COMMON      651229106        763    34773 SHARES                           X        1       32373      0    2400
NEWMARKET
   CORPORATION      COMMON      651587107        196    10540 SHARES                           X        1       10540      0       0
NEWMONT MINING      COMMON      651639106         61     1440 SHARES                  X                 1        1440      0       0
NEWMONT MINING      COMMON      651639106         84     1997 SHARES                           X        1        1046      0     951
NEWS CORP INC-A     COMMON      65248E104         12      728 SHARES                  X                 1         728      0       0
NEWS CORP INC-A     COMMON      65248E104         60     3548 SHARES                           X        1        3314      0     234
NEWS CORP-CLASS B   COMMON      65248E203          1       40 SHARES                  X                 1          40      0       0
NEXTEL MUNICATION
   INC              COMMON      65332V103        118     4165 SHARES                  X                 1        3840      0     325
NEXTEL MUNICATION
   INC              COMMON      65332V103          6      200 SHARES                           X        1         200      0       0
NICOR INC           COMMON      654086107         22      600 SHARES                  X                 1         600      0       0
NICOR INC           COMMON      654086107         72     1950 SHARES                           X        1         950      0    1000
NIKE INC CL B       COMMON      654106103         93     1122 SHARES                  X                 1        1122      0       0
NIKE INC CL B       COMMON      654106103         48      575 SHARES                           X        1         575      0       0
NISOURCE INC        COMMON      65473P105         64     2798 SHARES                  X                 1        2798      0       0
NISOURCE INC        COMMON      65473P105          5      200 SHARES                           X        1         200      0       0
NOBLE ENERGY INC    COMMON      655044105         64      934 SHARES                  X                 1         934      0       0
NOBLE ENERGY INC    COMMON      655044105         68     1000 SHARES                           X        1        1000      0       0
NOBLE INTERNATIONAL
   LIMITED          COMMON      655053106         75     3300 SHARES                  X                 1        3300      0       0
NORFOLK SOUTHN CORP COMMON      655844108        557    15043 SHARES                  X                 1       15043      0       0
NORFOLK SOUTHN CORP COMMON      655844108       1126    30398 SHARES                           X        1       26498      0    3900
NORTH FORK
   BANCORPORATION   COMMON      659424105         59     2126 SHARES                  X                 1        2126      0       0
NORTH FORK
   BANCORPORATION   COMMON      659424105        148     5325 SHARES                           X        1        5325      0       0
NORTHEAST UTILITIES COMMON      664397106          2      100 SHARES                  X                 1         100      0       0
NORTHERN BORDER
   PARTNERS LP UNIT
   LTD              COMMON      664785102         34      700 SHARES                  X                 1         700      0       0
NORTHERN BORDER
   PARTNERS LP UNIT
   LTD              COMMON      664785102         72     1500 SHARES                           X        1        1500      0       0
NORTHERN TRUST CORP COMMON      665859104         18      412 SHARES                  X                 1         412      0       0
NORTHERN TRUST CORP COMMON      665859104         10      225 SHARES                           X        1         225      0       0
NORTHROP GRUMMAN
   CORP             COMMON      666807102       1859    34438 SHARES                  X                 1       34398      0      40
NORTHROP GRUMMAN
   CORP             COMMON      666807102        415     7696 SHARES                           X        1        7696      0       0
NORTHWEST NATURAL
   GAS COMPANY      COMMON      667655104         60     1650 SHARES                  X                 1        1650      0       0
NORTHWEST NATURAL
   GAS COMPANY      COMMON      667655104         57     1575 SHARES                           X        1        1575      0       0
NOVATEL WIRELESS
   INC              COMMON      66987M604         48     4500 SHARES                  X                 1        4500      0       0
NOVELL INC          COMMON      670006105       4997   838402 SHARES                  X                 1      825592      0   12810
NOVELL INC          COMMON      670006105        286    48000 SHARES                           X        1       41925      0    6075
NOVELLUS SYS INC    COMMON      670008101          2       60 SHARES                  X                 1          60      0       0
NOVELLUS SYS INC    COMMON      670008101         24      900 SHARES                           X        1         900      0       0
NOVEN
   PHARMACEUTICALS
   INC              COMMON      670009109          4      210 SHARES                  X                 1         210      0       0
NPS
   PHARMACEUTICALS
   INCORPORATED     COMMON      62936P103         97     7700 SHARES                  X                 1        7700      0       0
NUCOR CORP          COMMON      670346105         55      960 SHARES                           X        1         960      0       0
NUVELO INC          COMMON      67072M301        100    15400 SHARES                  X                 1       15400      0       0
OCCIDENTAL PETE
   CORP             COMMON      674599105        285     4000 SHARES                  X                 1        4000      0       0
OCEANEERING INTL
   INC              COMMON      675232102         15      400 SHARES                  X                 1         400      0       0
ODYSSEY RE HLDGS
   CORP             COMMON      67612W108         43     1700 SHARES                  X                 1        1700      0       0
OFFICE DEPOT INC    COMMON      676220106         47     2100 SHARES                  X                 1        2100      0       0
OFFICEMAX INC       COMMON      67622P101          7      200 SHARES                  X                 1         200      0       0
OFFSHORE LOGISTICS
   INCORPORATED     COMMON      676255102         53     1600 SHARES                  X                 1        1600      0       0
OGE ENERGY CORP     COMMON      670837103         74     2760 SHARES                  X                 1        2760      0       0
OGE ENERGY CORP     COMMON      670837103        107     3986 SHARES                           X        1        3986      0       0
OHIO CAS CORP       COMMON      677240103          6      240 SHARES                  X                 1         240      0       0
OIL SERVICE HOLDERS
   TRUST            COMMON      678002106         10      100 SHARES                  X                 1         100      0       0
OLD NATIONAL
   BANCORP          COMMON      680033107        128     6306 SHARES                  X                 1        6306      0       0
OLD REPUBLIC INTL
   CORP             COMMON      680223104         95     4100 SHARES                  X                 1        4100      0       0
OMEGA FINANCIAL
   CORP             COMMON      682092101         38     1276 SHARES                  X                 1        1276      0       0
OMEGA FINANCIAL
   CORP             COMMON      682092101        624    20938 SHARES                           X        1       16604      0    4334
OMNICARE INC        COMMON      681904108         18      500 SHARES                           X        1         500      0       0
OMNI GROUP INC      COMMON      681919106        308     3484 SHARES                  X                 1        3484      0       0
OMNI GROUP INC      COMMON      681919106        199     2250 SHARES                           X        1        2250      0       0
ON SEMICONDUCTOR
   CORPORATION      COMMON      682189105         53    13350 SHARES                  X                 1       13350      0       0
ONEOK INC           COMMON      682680103         36     1170 SHARES                  X                 1        1170      0       0
ONEOK INC           COMMON      682680103         37     1200 SHARES                           X        1        1200      0       0
OPEN SOLUTIONS INC  COMMON      68371P102         32     1600 SHARES                  X                 1        1600      0       0
OPENTV CORPORATION
   CLASS A          COMMON      G67543101         35    12300 SHARES                  X                 1       12300      0       0
OPSWARE, INC.       COMMON      68383A101        326    63195 SHARES                  X                 1       63195      0       0


                                    16 of 44




                                                                                        
ORACLE CORPORATION  COMMON      68389X105       2550   204346 SHARES                  X                 1      203646      0     700
ORACLE CORPORATION  COMMON      68389X105        308    24645 SHARES                           X        1       24645      0       0
OSHKOSH TRUCK CORP  COMMON      688239201          4       50 SHARES                  X                 1          50      0       0
OTTER TAIL
   CORPORATION      COMMON      689648103          6      240 SHARES                           X        1         240      0       0
OUTBACK STEAKHOUSE
   INC              COMMON      689899102        410     8950 SHARES                  X                 1        8950      0       0
OVERSTOCK.COM INC   COMMON      690370101          2       45 SHARES                  X                 1          45      0       0
P G & E CORP        COMMON      69331C108         41     1200 SHARES                  X                 1        1200      0       0
P G & E CORP        COMMON      69331C108         75     2200 SHARES                           X        1         700      0    1500
PACCAR INC          COMMON      693718108         11      150 SHARES                  X                 1         150      0       0
PACIFICARE HEALTH
   SYS INC          COMMON      695112102       3426    60181 SHARES                  X                 1       60071      0     110
PACIFICARE HEALTH
   SYS INC          COMMON      695112102         39      680 SHARES                           X        1         680      0       0
PACKETEER INC       COMMON      695210104         42     2700 SHARES                  X                 1        2700      0       0
PACTIV CORP         COMMON      695257105        257    11015 SHARES                  X                 1       11015      0       0
PALL CORP           COMMON      696429307         54     2000 SHARES                           X        1        2000      0       0
PALMONE INC         COMMON      69713P107          1       24 SHARES                  X                 1          24      0       0
PALMONE INC         COMMON      69713P107          3      101 SHARES                           X        1         101      0       0
PALMSOURCE INC      COMMON      697154102          0        6 SHARES                  X                 1           6      0       0
PALMSOURCE INC      COMMON      697154102          0       30 SHARES                           X        1          30      0       0
PARALLEL PETROLEUM
   CORPORATION      COMMON      699157103         34     4600 SHARES                  X                 1        4600      0       0
PARAMETRIC
   TECHNOLOGY CORP  COMMON      699173100        113    20287 SHARES                           X        1       20287      0       0
PARKER HANNIFIN
   CORP             COMMON      701094104        311     5100 SHARES                  X                 1        5100      0       0
PARKER HANNIFIN
   CORP             COMMON      701094104        164     2696 SHARES                           X        1        2696      0       0
PARTNERS TRUST
   FINANCIAL GROUP  COMMON      70213F102         32     2973 SHARES                  X                 1        2973      0       0
PARTNERS TRUST
   FINANCIAL GROUP  COMMON      70213F102         13     1213 SHARES                           X        1           0      0    1213
PATTERSON COMPANIES
   INC              COMMON      703395103        100     2000 SHARES                           X        1        2000      0       0
PATTERSON-UTI
   ENERGY INC       COMMON      703481101         49     1950 SHARES                           X        1        1950      0       0
PAYCHEX INC         COMMON      704326107        377    11477 SHARES                  X                 1       11477      0       0
PAYCHEX INC         COMMON      704326107         37     1124 SHARES                           X        1        1124      0       0
PEABODY ENERGY CORP COMMON      704549104        311     6700 SHARES                  X                 1        6700      0       0
PEDIATRIX MEDICAL
   GROUP INC        COMMON      705324101        343     5000 SHARES                  X                 1        5000      0       0
PEETS COFFEE & TEA
   INC              COMMON      705560100          9      375 SHARES                  X                 1         375      0       0
PENN ESTATE INV TR
   (REIT)           COMMON      709102107         48     1200 SHARES                  X                 1        1200      0       0
PENN ESTATE INV TR
   (REIT)           COMMON      709102107         12      300 SHARES                           X        1         300      0       0
PENN NATL GAMING
   INC              COMMON      707569109         24      800 SHARES                  X                 1         800      0       0
PENNEY J C CO INC   COMMON      708160106        169     3264 SHARES                  X                 1        3264      0       0
PENNEY J C CO INC   COMMON      708160106        167     3208 SHARES                           X        1        3208      0       0
PENNICHUCK
   CORPORATION      COMMON      708254206         17      667 SHARES                  X                 1         667      0       0
PENNSYLVANIA
   COMMERCE BANCORP
   INC              COMMON      708677109        215     7166 SHARES                  X                 1        7166      0       0
PENTAIR INC         COMMON      709631105         31      800 SHARES                  X                 1         800      0       0
PENTAIR INC         COMMON      709631105        304     7800 SHARES                           X        1        7800      0       0
PEOPLESUPPORT INC   COMMON      712714302         77     8800 SHARES                  X                 1        8800      0       0
PEPCO HOLDINGS INC  COMMON      713291102        805    38361 SHARES                  X                 1       37161      0    1200
PEPCO HOLDINGS INC  COMMON      713291102        775    36941 SHARES                           X        1       30765      0    6176
PEPSIAMERICAS INC   COMMON      71343P200         14      600 SHARES                           X        1         600      0       0
PEPSICO INC         COMMON      713448108      25107   473442 SHARES                  X                 1      469427      0    4015
PEPSICO INC         COMMON      713448108      16087   303349 SHARES                           X        1      278107      0   25242
PERFORMANCE FOOD
   GROUP CO         COMMON      713755106        288    10410 SHARES                  X                 1       10410      0       0
PERFORMANCE FOOD
   GROUP CO         COMMON      713755106         89     3200 SHARES                           X        1        2000      0    1200
PERKINELMER INC     COMMON      714046109         83     4000 SHARES                           X        1        4000      0       0
PEROT SYS CORP CL A COMMON      714265105          1       50 SHARES                  X                 1          50      0       0
PETROHAWK ENERGY
   CORP             COMMON      716495106         63     6000 SHARES                  X                 1        6000      0       0
PETSMART INC        COMMON      716768106       3621   125965 SHARES                  X                 1      124780      0    1185
PETSMART INC        COMMON      716768106        113     3920 SHARES                           X        1        1720      0    2200
PFIZER INC          COMMON      717081103      31958  1216512 SHARES                  X                 1     1203702      0   12810
PFIZER INC          COMMON      717081103      17459   664602 SHARES                           X        1      602973      0   61629
PHARMACEUTIAL
   PRODUCT DEVEL
   INC              COMMON      717124101          5      105 SHARES                  X                 1         105      0       0
PHELPS DODGE CORP   COMMON      717265102         71      700 SHARES                  X                 1         700      0       0
PHH CORPORATION     COMMON      693320202         75     3445 SHARES                  X                 1        3185      0     260
PHH CORPORATION     COMMON      693320202         19      879 SHARES                           X        1         838      0      41
PHOENIX COS INC     COMMON      71902E109          9      701 SHARES                  X                 1         701      0       0
PHOENIX COS INC     COMMON      71902E109         16     1256 SHARES                           X        1        1256      0       0
PICO HOLDINGS INC   COMMON      693366205        640    24704 SHARES                  X                 1           0      0   24704
PIEDMONT NAT GAS
   INC              COMMON      720186105         16      678 SHARES                           X        1         278      0     400
PIER 1 INC          COMMON      720279108         40     2210 SHARES                  X                 1        2210      0       0
PIER 1 INC          COMMON      720279108          5      250 SHARES                           X        1         250      0       0
PIONEER DRILLING CO COMMON      723655106          7      500 SHARES                  X                 1         500      0       0
PIONEER NATURAL
   RESOURCES CO     COMMON      723787107          8      189 SHARES                  X                 1         189      0       0
PIPER JAFFRAY
   COMPANIES INC    COMMON      724078100          4      108 SHARES                  X                 1         108      0       0
PIPER JAFFRAY
   COMPANIES INC    COMMON      724078100          5      128 SHARES                           X        1          32      0      96
PITNEY BOWES INC    COMMON      724479100        293     6500 SHARES                  X                 1        6500      0       0
PITNEY BOWES INC    COMMON      724479100       1164    25805 SHARES                           X        1       15405      0   10400
PLACER SIERRA
   BANCSHARES       COMMON      726079106         83     3600 SHARES                  X                 1        3600      0       0
PLAINS EXPLORATION
   & PRODUCT
   COMPANY          COMMON      726505100        105     3000 SHARES                           X        1        3000      0       0
PLUG POWER INC      COMMON      72919P103          1      100 SHARES                  X                 1         100      0       0


                                    17 of 44




                                                                                       
PNC FINL SVCS GROUP COMMON      693475105       8670   168414 SHARES                  X                 1      166994      0    1420
PNC FINL SVCS GROUP COMMON      693475105       2610    50701 SHARES                           X        1       46791      0    3910
POGO PRODUCING CO   COMMON      730448107          7      150 SHARES                  X                 1         150      0       0
POLY INC            COMMON      73172K104         53     3100 SHARES                  X                 1        3100      0       0
PPG INDS INC        COMMON      693506107       1297    18135 SHARES                  X                 1       18135      0       0
PPG INDS INC        COMMON      693506107       2856    39936 SHARES                           X        1       37861      0    2075
PPL CORP            COMMON      69351T106       5851   108367 SHARES                  X                 1      107567      0     800
PPL CORP            COMMON      69351T106       1778    32933 SHARES                           X        1       26152      0    6781
PRAXAIR INC         COMMON      74005P104         11      234 SHARES                  X                 1         234      0       0
PRAXAIR INC         COMMON      74005P104        146     3046 SHARES                           X        1        3046      0       0
PRICE T ROWE GROUP
   INC              COMMON      74144T108       1091    18375 SHARES                  X                 1       18375      0       0
PRICE T ROWE GROUP
   INC              COMMON      74144T108        800    13475 SHARES                           X        1       13475      0       0
PRINCIPAL FINL
   GROUP INC        COMMON      74251V102         73     1895 SHARES                  X                 1        1895      0       0
PROCTER & GAMBLE CO COMMON      742718109      27706   522750 SHARES                  X                 1      518640      0    4110
PROCTER & GAMBLE CO COMMON      742718109      30908   583163 SHARES                           X        1      458581      0  124582
PROGRESS ENERGY INC COMMON      743263105        418     9953 SHARES                  X                 1        9953      0       0
PROGRESS ENERGY INC COMMON      743263105        399     9501 SHARES                           X        1        8901      0     600
PROGRESSIVE CORP    COMMON      743315103        115     1249 SHARES                  X                 1        1249      0       0
PROTEIN DESIGN LABS
   INC              COMMON      74369L103        260    16230 SHARES                  X                 1       16230      0       0
PROTEIN DESIGN LABS
   INC              COMMON      74369L103          5      300 SHARES                           X        1         300      0       0
PROVIDENT
   BANKSHARES
   CORPORATION      COMMON      743859100        191     5802 SHARES                  X                 1        5802      0       0
PROVIDENT
   BANKSHARES
   CORPORATION      COMMON      743859100        132     4000 SHARES                           X        1        4000      0       0
PROVIDENT FINANCIAL
   SERVICES INC     COMMON      74386T105         53     3095 SHARES                  X                 1        3095      0       0
PROVIDIAN FINANCIAL
   CORP             COMMON      74406A102        249    14500 SHARES                  X                 1       14500      0       0
PROXYMED INC        COMMON      744290305          4      500 SHARES                           X        1         500      0       0
PRUDENTIAL
   FINANCIAL INC    COMMON      744320102        201     3496 SHARES                  X                 1        3496      0       0
PRUDENTIAL
   FINANCIAL INC    COMMON      744320102         27      468 SHARES                           X        1         468      0       0
PSYCHIATRIC
   SOLUTIONS INC    COMMON      74439H108        498    10820 SHARES                  X                 1       10820      0       0
PUBLIC SVC
   ENTERPRISE GROUP
   INC              COMMON      744573106        293     5383 SHARES                  X                 1        5383      0       0
PUBLIC SVC
   ENTERPRISE GROUP
   INC              COMMON      744573106        213     3911 SHARES                           X        1        3911      0       0
PUGET ENERGY INC    COMMON      745310102        385    17480 SHARES                  X                 1       17480      0       0
PUGET ENERGY INC    COMMON      745310102         93     4225 SHARES                           X        1        4225      0       0
PURE CYCLE CORP     COMMON      746228303         39     6000 SHARES                           X        1        6000      0       0
QC HOLDINGS INC     COMMON      74729T101          8      500 SHARES                  X                 1         500      0       0
QUALM INC           COMMON      747525103        740    20207 SHARES                  X                 1       20097      0     110
QUALM INC           COMMON      747525103         79     2150 SHARES                           X        1        1750      0     400
QUEST DIAGNOSTICS
   INC              COMMON      74834L100        873     8304 SHARES                  X                 1        8304      0       0
QUEST DIAGNOSTICS
   INC              COMMON      74834L100        324     3084 SHARES                           X        1        2934      0     150
QUESTAR CORP        COMMON      748356102         89     1500 SHARES                  X                 1        1500      0       0
QUESTAR CORP        COMMON      748356102        119     2000 SHARES                           X        1        2000      0       0
QUICKSILVER RES INC
   WITH RIGHTS      COMMON      74837R104          5      100 SHARES                  X                 1         100      0       0
QWEST
   COMMUNICATIONS
   INTL INC         COMMON      749121109         18     4808 SHARES                  X                 1        4808      0       0
QWEST
   COMMUNICATIONS
   INTL INC         COMMON      749121109         13     3498 SHARES                           X        1        2579      0     919
R H DONNELLEY CORP  COMMON      74955W307         18      311 SHARES                           X        1         311      0       0
RADIOSHACK CORP     COMMON      750438103         20      800 SHARES                           X        1         800      0       0
RADWARE LTD         COMMON      M81873107         35     1500 SHARES                  X                 1        1500      0       0
RAVEN INDUSTRIES
   INC              COMMON      754212108         53     2600 SHARES                  X                 1        2600      0       0
RAYONIER INC        COMMON      754907103         74     1500 SHARES                           X        1        1500      0       0
RAYTHEON CO         COMMON      755111507       2895    74804 SHARES                  X                 1       71504      0    3300
RAYTHEON CO         COMMON      755111507       1181    30504 SHARES                           X        1       25210      0    5294
RED HAT INC         COMMON      756577102         27     2500 SHARES                  X                 1        2500      0       0
REEBOK
   INTERNATIONAL
   LTD              COMMON      758110100        120     2710 SHARES                           X        1        2710      0       0
REGIONS FINANCIAL
   CORP             COMMON      7591EP100         39     1206 SHARES                  X                 1        1206      0       0
REGIONS FINANCIAL
   CORP             COMMON      7591EP100        185     5697 SHARES                           X        1        5697      0       0
REGISTER  INC       COMMON      75914G101         46     7800 SHARES                  X                 1        7800      0       0
RELIANT ENERGY INC  COMMON      75952B105          9      800 SHARES                  X                 1         800      0       0
RENAL CARE GROUP
   INC              COMMON      759930100         30      800 SHARES                           X        1           0      0     800
RESPIRONICS INC     COMMON      761230101         12      200 SHARES                  X                 1         200      0       0
REYNOLDS AMERICAN
   INC              COMMON      761713106        103     1276 SHARES                  X                 1        1276      0       0
REYNOLDS AMERICAN
   INC              COMMON      761713106         36      450 SHARES                           X        1         450      0       0
RITE AID CORP       COMMON      767754104          7     1700 SHARES                  X                 1        1700      0       0
RITE AID CORP       COMMON      767754104          9     2300 SHARES                           X        1           0      0    2300
ROCKWELL AUTOMATION
   INC.             COMMON      773903109        402     7090 SHARES                  X                 1        7090      0       0
ROCKWELL AUTOMATION
   INC.             COMMON      773903109        205     3617 SHARES                           X        1        3617      0       0
ROCKWELL COLLINS    COMMON      774341101        166     3490 SHARES                  X                 1        3490      0       0
ROCKWELL COLLINS    COMMON      774341101        160     3367 SHARES                           X        1        3367      0       0
ROHM & HAAS CO      COMMON      775371107         23      484 SHARES                  X                 1         484      0       0
ROHM & HAAS CO      COMMON      775371107        581    12096 SHARES                           X        1       12096      0       0
ROSS STORES INC     COMMON      778296103       1924    66015 SHARES                  X                 1       65835      0     180
ROSS STORES INC     COMMON      778296103        114     3920 SHARES                           X        1        3920      0       0
RPM INTL INC        COMMON      749685103          9      500 SHARES                  X                 1         500      0       0
RPM INTL INC        COMMON      749685103        212    11580 SHARES                           X        1       11580      0       0
RUBY TUESDAY        COMMON      781182100         44     1800 SHARES                  X                 1        1800      0       0
S & T BANCORP INC   COMMON      783859101         14      400 SHARES                           X        1         400      0       0


                                    18 of 44




                                                                                        
SABRE HOLDINGS
   CORPORATION      COMMON      785905100         10      467 SHARES                           X        1         467      0       0
SAFEWAY INC         COMMON      786514208         13      720 SHARES                  X                 1         720      0       0
SAFEWAY INC         COMMON      786514208        243    13120 SHARES                           X        1       11620      0    1500
SAN JUAN BASIN
   ROYALTY TR       COMMON      798241105         36     1000 SHARES                  X                 1        1000      0       0
SAN JUAN BASIN
   ROYALTY TR       COMMON      798241105          7      200 SHARES                           X        1         200      0       0
SANDISK CORP        COMMON      80004C101         67     2400 SHARES                  X                 1        2400      0       0
SANDY SPRING
   BANCORP INC      COMMON      800363103        171     5300 SHARES                           X        1        5300      0       0
SARA LEE CORP       COMMON      803111103       1800    81221 SHARES                  X                 1       80221      0    1000
SARA LEE CORP       COMMON      803111103       2075    93653 SHARES                           X        1       83153      0   10500
SAVVIS MUNICATIONS
   CORP             COMMON      805423100          0      100 SHARES                  X                 1         100      0       0
SBC MUNICATIONS INC COMMON      78387G103       6313   266502 SHARES                  X                 1      266502      0       0
SBC MUNICATIONS INC COMMON      78387G103       4789   202157 SHARES                           X        1      186066      0   16091
SCANA CORP          COMMON      80589M102        373     9772 SHARES                  X                 1        9772      0       0
SCANA CORP          COMMON      80589M102        345     9037 SHARES                           X        1        9037      0       0
SCHERING PLOUGH
   CORP             COMMON      806605101       3386   186535 SHARES                  X                 1      186535      0       0
SCHERING PLOUGH
   CORP             COMMON      806605101       1793    98800 SHARES                           X        1       76018      0   22782
SCHOLASTIC CORP     COMMON      807066105         15      400 SHARES                  X                 1         400      0       0
SCHWAB CHARLES CORP COMMON      808513105        152    14443 SHARES                  X                 1       14443      0       0
SCIENTIFIC ATLANTA
   INC              COMMON      808655104         37     1300 SHARES                           X        1           0      0    1300
SEA CONTAINERS
   LTD-CL A         COMMON      811371707          3      180 SHARES                  X                 1         180      0       0
SEACHANGE INTL INC  COMMON      811699107         62     4800 SHARES                  X                 1        4800      0       0
SEALED AIR CORP     COMMON      81211K100        104     2000 SHARES                           X        1        2000      0       0
SEARS ROEBUCK & CO  COMMON      812387108        373     7445 SHARES                  X                 1        7445      0       0
SEARS ROEBUCK & CO  COMMON      812387108        308     6164 SHARES                           X        1        6164      0       0
SEI CORP            COMMON      784117103         11      300 SHARES                  X                 1         300      0       0
SEI CORP            COMMON      784117103         14      390 SHARES                           X        1         390      0       0
SELECT SECTOR
   SPDRTECHNOLOGY   COMMON      81369Y803         23     1200 SHARES                           X        1           0      0    1200
SELECTIVE INS GROUP
   INC              COMMON      816300107        191     4130 SHARES                  X                 1        4130      0       0
SEMPRA ENERGY       COMMON      816851109         21      532 SHARES                           X        1         532      0       0
SENIOR HOUSING
   PROPERTIES TR
   (REIT)           COMMON      81721M109          2      100 SHARES                           X        1           0      0     100
SERVICEMASTER CO    COMMON      81760N109        196    14500 SHARES                           X        1           0      0   14500
SEVERN BANCORP INC  COMMON      81811M100         12      600 SHARES                           X        1         600      0       0
SHERWIN WILLIAMS CO COMMON      824348106        229     5200 SHARES                           X        1         200      0    5000
SIEBEL SYSTEMS INC  COMMON      826170102          8      900 SHARES                  X                 1         900      0       0
SIMON PROPERTY
   GROUP INC (REIT) COMMON      828806109       1337    22065 SHARES                  X                 1       22065      0       0
SIMON PROPERTY
   GROUP INC (REIT) COMMON      828806109       1057    17444 SHARES                           X        1       17444      0       0
SIRIUS SATELLITE
   RADIO INC        COMMON      82966U103         86    15270 SHARES                  X                 1       15270      0       0
SIRIUS SATELLITE
   RADIO INC        COMMON      82966U103          3      500 SHARES                           X        1         500      0       0
SKY FINANCIAL GROUP
   INC              COMMON      83080P103         27     1000 SHARES                  X                 1        1000      0       0
SKYWEST INC         COMMON      830879102          7      370 SHARES                  X                 1         370      0       0
SKYWORKS
   SOLUTIONSINC     COMMON      83088M102         40     6370 SHARES                  X                 1        6370      0       0
SKYWORKS
   SOLUTIONSINC     COMMON      83088M102          2      280 SHARES                           X        1         280      0       0
SLM CORP            COMMON      78442P106         65     1313 SHARES                  X                 1        1313      0       0
SLM CORP            COMMON      78442P106        107     2153 SHARES                           X        1        1887      0     266
SMITH INTL INC      COMMON      832110100       2989    47650 SHARES                  X                 1       47650      0       0
SMITH INTL INC      COMMON      832110100        370     5900 SHARES                           X        1        5900      0       0
SMITHFIELD FOODS
   INC              COMMON      832248108         63     2000 SHARES                           X        1        2000      0       0
SMURFIT STONE
   CONTAINER CORP   COMMON      832727101         54     3500 SHARES                  X                 1        3500      0       0
SNAP ON INC         COMMON      833034101         52     1650 SHARES                  X                 1        1650      0       0
SNAP ON INC         COMMON      833034101        116     3635 SHARES                           X        1        3635      0       0
SOLECTRON CORP      COMMON      834182107        237    68313 SHARES                  X                 1       63513      0    4800
SOLECTRON CORP      COMMON      834182107         22     6217 SHARES                           X        1        6217      0       0
SONICWALL INC       COMMON      835470105         33     6500 SHARES                  X                 1        6500      0       0
SONOCO PRODUCTS CO  COMMON      835495102         35     1200 SHARES                           X        1        1200      0       0
SONUS NETWORKS INC  COMMON      835916107         76    18000 SHARES                  X                 1       18000      0       0
SOUTH FINANCIAL
   GROUP
   INCORPORATED     COMMON      837841105         31     1000 SHARES                  X                 1        1000      0       0
SOUTH JERSEY
   INDUSTRIES INC   COMMON      838518108         15      259 SHARES                  X                 1         259      0       0
SOUTHERN CO         COMMON      842587107        924    29019 SHARES                  X                 1       27919      0    1100
SOUTHERN CO         COMMON      842587107        922    28956 SHARES                           X        1       27141      0    1815
SOUTHERN UNION CO   COMMON      844030106         83     3312 SHARES                  X                 1        3312      0       0
SOUTHWEST AIRLINES
   CO               COMMON      844741108        685    48134 SHARES                  X                 1       48134      0       0
SOUTHWEST AIRLINES
   CO               COMMON      844741108        187    13155 SHARES                           X        1       13155      0       0
SOUTHWEST GAS CORP  COMMON      844895102         24     1000 SHARES                           X        1        1000      0       0
SOUTHWESTERN ENERGY
   COMPANY          COMMON      845467109         79     1400 SHARES                  X                 1        1400      0       0
SOVEREIGN BANCORP
   INC              COMMON      845905108       5006   225896 SHARES                  X                 1      223301      0    2595
SOVEREIGN BANCORP
   INC              COMMON      845905108         39     1755 SHARES                           X        1        1355      0     400
SPANISH
   BROADCASTING SYS
   CL A             COMMON      846425882          5      440 SHARES                  X                 1         440      0       0
SPATIALIGHT INC     COMMON      847248101         40     7900 SHARES                  X                 1        7900      0       0
SPDR TRUST SERIES 1
   S&P 500 INDEX FD COMMON      78462F103      11600    98341 SHARES                  X                 1       98341      0       0
SPDR TRUST SERIES 1
   S&P 500 INDEX FD COMMON      78462F103        510     4320 SHARES                           X        1        4320      0       0
SPEEDWAY
   MOTORSPORTS
   INCORPORATED     COMMON      847788106          4      100 SHARES                  X                 1         100      0       0
SPIRIT FINANCE
   CORP-REITS       COMMON      848568309         27     2500 SHARES                           X        1        2500      0       0
SPRINT CORP FON
   GROUP            COMMON      852061100       1130    49673 SHARES                  X                 1       49673      0       0
SPRINT CORP FON
   GROUP            COMMON      852061100        328    14432 SHARES                           X        1       14007      0     425


                                    19 of 44




                                                                                        
SPX CORP            COMMON      784635104         23      525 SHARES                  X                 1         525      0       0
SPX CORP            COMMON      784635104         16      375 SHARES                           X        1         375      0       0
ST JOE CORP         COMMON      790148100       6932   102999 SHARES                  X                 1      101349      0    1650
ST JOE CORP         COMMON      790148100        718    10667 SHARES                           X        1       10267      0     400
ST JUDE MEDICAL INC COMMON      790849103         23      650 SHARES                  X                 1         650      0       0
ST PAUL TRAVELERS
   COMPANIES INC    COMMON      792860108       4052   110330 SHARES                  X                 1      108926      0    1404
ST PAUL TRAVELERS
   COMPANIES INC    COMMON      792860108        844    22966 SHARES                           X        1       22099      0     867
STANDARD PACIFIC
   CORP             COMMON      85375C101         72     1000 SHARES                           X        1        1000      0       0
STANDARD REGISTER
   COMPANY          COMMON      853887107          6      500 SHARES                  X                 1         500      0       0
STANLEY WORKS       COMMON      854616109        634    14000 SHARES                  X                 1       14000      0       0
STANLEY WORKS       COMMON      854616109        507    11200 SHARES                           X        1        5200      0    6000
STAPLES INC         COMMON      855030102       8769   278994 SHARES                  X                 1      278062      0     932
STAPLES INC         COMMON      855030102       1001    31833 SHARES                           X        1       31833      0       0
STARBUCKS CORP      COMMON      855244109        421     8150 SHARES                  X                 1        8150      0       0
STARBUCKS CORP      COMMON      855244109         83     1600 SHARES                           X        1        1600      0       0
STARWOOD HOTELS &
   RESORTS          COMMON      85590A203          9      154 SHARES                  X                 1         154      0       0
STARWOOD HOTELS &
   RESORTS          COMMON      85590A203         52      862 SHARES                           X        1          91      0     771
STATE STREET CORP   COMMON      857477103        928    21232 SHARES                  X                 1       21232      0       0
STATE STREET CORP   COMMON      857477103       3913    89500 SHARES                           X        1       87000      0    2500
STEELCASE INC CL A  COMMON      858155203         14     1000 SHARES                           X        1           0      0    1000
STELLENT
   INCORPORATED     COMMON      85856W105         45     5400 SHARES                  X                 1        5400      0       0
STERIS CORP         COMMON      859152100         13      500 SHARES                  X                 1         500      0       0
STERLING FINANCIAL
   CORP             COMMON      859317109        880    33838 SHARES                  X                 1       24301      0    9537
STERLING FINANCIAL
   CORP             COMMON      859317109        614    23587 SHARES                           X        1        3906      0   19681
STORAGE TECHNOLOGY
   CORP             COMMON      862111200          3      100 SHARES                  X                 1         100      0       0
STREETTRACKS GOLD
   TRUST            COMMON      863307104         13      300 SHARES                           X        1         300      0       0
STRYKER CORP        COMMON      863667101        535    12000 SHARES                  X                 1       12000      0       0
STRYKER CORP        COMMON      863667101        156     3500 SHARES                           X        1        2000      0    1500
STURM RUGER & CO
   INC              COMMON      864159108          5      750 SHARES                  X                 1         750      0       0
STURM RUGER & CO
   INC              COMMON      864159108          7     1000 SHARES                           X        1        1000      0       0
SUBURBAN PROPANE
   PARTNERS LP
   LIMITED          COMMON      864482104          9      250 SHARES                  X                 1         250      0       0
SUBURBAN PROPANE
   PARTNERS LP
   LIMITED          COMMON      864482104         28      800 SHARES                           X        1         300      0     500
SUN MICROSYSTEMS
   INC              COMMON      866810104         88    21750 SHARES                  X                 1       21750      0       0
SUN MICROSYSTEMS
   INC              COMMON      866810104        123    30517 SHARES                           X        1       30517      0       0
SUNGARD DATA SYS
   INC              COMMON      867363103         72     2100 SHARES                  X                 1        2100      0       0
SUNGARD DATA SYS
   INC              COMMON      867363103        117     3396 SHARES                           X        1        3396      0       0
SUNOCO INC          COMMON      86764P109        132     1273 SHARES                  X                 1        1273      0       0
SUNOCO LOGISTICS
   PARTNERS LP      COMMON      86764L108          8      200 SHARES                           X        1         200      0       0
SUNRISE SENIOR
   LIVING INC       COMMON      86768K106         27      550 SHARES                           X        1         550      0       0
SUNTERRA
   CORPORATION      COMMON      86787D208        103     6800 SHARES                  X                 1        6800      0       0
SUNTRUST BKS INC    COMMON      867914103        507     7034 SHARES                  X                 1        7034      0       0
SUNTRUST BKS INC    COMMON      867914103       2052    28473 SHARES                           X        1       26773      0    1700
SUPERVALU INC       COMMON      868536103         80     2400 SHARES                  X                 1        2400      0       0
SUSQUEHANNA
   BANCSHARES INC
   PA               COMMON      869099101       1680    68928 SHARES                  X                 1       58916      0   10012
SUSQUEHANNA
   BANCSHARES INC
   PA               COMMON      869099101         53     2175 SHARES                           X        1        1500      0     675
SYBRON DENTAL
   SPECIALTIES INC  COMMON      871142105         86     2400 SHARES                  X                 1        2400      0       0
SYMANTEC CORP       COMMON      871503108       3716   174233 SHARES                  X                 1      173708      0     525
SYMANTEC CORP       COMMON      871503108        207     9725 SHARES                           X        1        9375      0     350
SYMBOL TECHNOLOGIES
   INC              COMMON      871508107       1151    79430 SHARES                  X                 1       73930      0    5500
SYMBOL TECHNOLOGIES
   INC              COMMON      871508107        181    12500 SHARES                           X        1       10750      0    1750
SYNOPSYS INC        COMMON      871607107       3469   191643 SHARES                  X                 1      189603      0    2040
SYNOPSYS INC        COMMON      871607107        110     6050 SHARES                           X        1        1825      0    4225
SYNOVUS FINL CORP   COMMON      87161C105         22      800 SHARES                           X        1         800      0       0
SYSCO CORP          COMMON      871829107       7497   209415 SHARES                  X                 1      206760      0    2655
SYSCO CORP          COMMON      871829107      12491   348920 SHARES                           X        1      345085      0    3835
TANGER FACTORY
   OUTLET CENTERS
   INC              COMMON      875465106          4      200 SHARES                           X        1         200      0       0
TARGET CORP         COMMON      87612E106       7263   145192 SHARES                  X                 1      144112      0    1080
TARGET CORP         COMMON      87612E106       1317    26339 SHARES                           X        1       26139      0     200
TARGETED GENETICS
   CORP             COMMON      87612M108          1     1000 SHARES                  X                 1        1000      0       0
TASER INTERNATIONAL
   INC              COMMON      87651B104          2      200 SHARES                           X        1         200      0       0
TASTY BAKING CO
   WITH RIGHTS
   07/29/13         COMMON      876553306          5      625 SHARES                           X        1         625      0       0
TCF FINL CORP       COMMON      872275102          3      100 SHARES                           X        1         100      0       0
TECH DATA CORP      COMMON      878237106         22      600 SHARES                           X        1         600      0       0
TECHNOLOGY RESEARCH
   CORPORATION      COMMON      878727304         10     1900 SHARES                  X                 1        1900      0       0
TECO ENERGY INC     COMMON      872375100        217    13856 SHARES                  X                 1       13856      0       0
TECO ENERGY INC     COMMON      872375100        452    28816 SHARES                           X        1       28066      0     750
TELEDYNE
   TECHNOLOGIES INC COMMON      879360105          9      275 SHARES                  X                 1         275      0       0
TELEFLEX INC        COMMON      879369106          2       40 SHARES                  X                 1          40      0       0
TEMPLE INLAND INC   COMMON      879868107          5       64 SHARES                  X                 1          64      0       0
TENET HEALTHCARE
   CORP             COMMON      88033G100         17     1500 SHARES                  X                 1        1500      0       0
TEPPCO PARTNERS LTD
   PARTNERS         COMMON      872384102        126     3000 SHARES                  X                 1        3000      0       0
TERAYON MUNICATION
   SYS INC          COMMON      880775101          0       44 SHARES                  X                 1          44      0       0
TESORO CORP         COMMON      881609101         96     2600 SHARES                  X                 1        2600      0       0
TEXAS INSTRUMENTS
   INC              COMMON      882508104       3765   147703 SHARES                  X                 1      147503      0     200


                                    20 of 44




                                                                                        
TEXAS INSTRUMENTS
   INC              COMMON      882508104       2137    83824 SHARES                           X        1       78449      0    5375
TEXTRON INC         COMMON      883203101        424     5688 SHARES                  X                 1        5688      0       0
TEXTRON INC         COMMON      883203101         82     1100 SHARES                           X        1         100      0    1000
TF FINANCIAL CORP   COMMON      872391107        144     5000 SHARES                  X                 1        5000      0       0
THE COOPER
   COMPANIES INC    COMMON      216648402          5       75 SHARES                  X                 1          75      0       0
THE DIRECTV GROUP
   INC              COMMON      25459L106         21     1469 SHARES                  X                 1        1469      0       0
THE DIRECTV GROUP
   INC              COMMON      25459L106         38     2603 SHARES                           X        1        1736      0     867
THE MOSAIC COMPANY  COMMON      61945A107          7      400 SHARES                  X                 1         400      0       0
THE MOSAIC COMPANY  COMMON      61945A107          7      400 SHARES                           X        1         400      0       0
THE SCOTTS
   MIRACLE-GRO
   COMPANY CL A     COMMON      810186106        527     7500 SHARES                  X                 1        7500      0       0
THERMO ELECTRON
   CORP             COMMON      883556102         15      600 SHARES                           X        1         600      0       0
THORNBURG MTG INC
   (REIT)           COMMON      885218107        630    22470 SHARES                  X                 1       22470      0       0
THORNBURG MTG INC
   (REIT)           COMMON      885218107        140     5000 SHARES                           X        1        5000      0       0
TIBCO SOFTWARE INC  COMMON      88632Q103         49     6600 SHARES                  X                 1        6600      0       0
TIDEWATER INC       COMMON      886423102         39     1000 SHARES                  X                 1        1000      0       0
TIFFANY & CO        COMMON      886547108         13      384 SHARES                  X                 1         384      0       0
TIME WARNER INC     COMMON      887317105       1352    77023 SHARES                  X                 1       77023      0       0
TIME WARNER INC     COMMON      887317105        933    53152 SHARES                           X        1       46727      0    6425
TIMKEN CO           COMMON      887389104         34     1240 SHARES                           X        1        1240      0       0
TIVO INC            COMMON      888706108          6     1100 SHARES                  X                 1        1100      0       0
TJX PANIES          COMMON      872540109          4      165 SHARES                  X                 1         165      0       0
TOLL BROS INC       COMMON      889478103      10196   129311 SHARES                  X                 1      126781      0    2530
TOLL BROS INC       COMMON      889478103       1876    23795 SHARES                           X        1       23295      0     500
TOMPKINS TRUSTCO
   INC              COMMON      890110109         56     1320 SHARES                  X                 1        1320      0       0
TOOTSIE ROLL
   INDUSTRIES       COMMON      890516107         39     1300 SHARES                  X                 1        1300      0       0
TORO CO             COMMON      891092108         76      860 SHARES                  X                 1         860      0       0
TOWER GROUP INC     COMMON      891777104         47     3500 SHARES                           X        1        3500      0       0
TRANSACT
   TECHNOLOGIES INC COMMON      892918103         14     1400 SHARES                  X                 1        1400      0       0
TRANSACTION SYS
   ARCHITECTS INC   COMMON      893416107         53     2300 SHARES                  X                 1        2300      0       0
TRANSOCEAN INC      COMMON      G90078109        653    12693 SHARES                  X                 1       12693      0       0
TRANSOCEAN INC      COMMON      G90078109        132     2561 SHARES                           X        1        2561      0       0
TREDEGAR CORP       COMMON      894650100         54     3212 SHARES                  X                 1        3212      0       0
TRIAD HOSPITALS INC COMMON      89579K109        105     2100 SHARES                           X        1           0      0    2100
TRIBUNE CO          COMMON      896047107         73     1833 SHARES                           X        1        1300      0     533
TRINITY INDUSTRIES
   INC              COMMON      896522109          3      100 SHARES                  X                 1         100      0       0
TRINITY INDUSTRIES
   INC              COMMON      896522109         49     1750 SHARES                           X        1        1750      0       0
TRUSTCO BANK CORP
   NY               COMMON      898349105         56     4884 SHARES                  X                 1        4884      0       0
TRUSTCO BANK CORP
   NY               COMMON      898349105        329    28643 SHARES                           X        1       28643      0       0
TUPPERWARE
   CORPORATION      COMMON      899896104         10      500 SHARES                  X                 1         500      0       0
TUPPERWARE
   CORPORATION      COMMON      899896104          5      250 SHARES                           X        1         250      0       0
TXU CORP            COMMON      873168108        233     2920 SHARES                  X                 1        2920      0       0
TXU CORP            COMMON      873168108        123     1550 SHARES                           X        1        1450      0     100
TYSON FOODS INC     COMMON      902494103         20     1200 SHARES                           X        1        1200      0       0
U S BANCORP DEL     COMMON      902973304       3341   115910 SHARES                  X                 1      114410      0    1500
U S BANCORP DEL     COMMON      902973304        841    29184 SHARES                           X        1       24084      0    5100
UCBH HOLDINGS INC   COMMON      90262T308         50     1250 SHARES                  X                 1        1250      0       0
UGI CORP            COMMON      902681105        366     8050 SHARES                  X                 1        8050      0       0
UGI CORP            COMMON      902681105        307     6750 SHARES                           X        1        6750      0       0
UNION BANKSHARES
   CORPORATION      COMMON      905399101          6      200 SHARES                           X        1         200      0       0
UNION PACIFIC CORP  COMMON      907818108        986    14140 SHARES                  X                 1       14040      0     100
UNION PACIFIC CORP  COMMON      907818108        886    12713 SHARES                           X        1       11313      0    1400
UNITED DOMINION
   REALTY TRUST
   (REIT)           COMMON      910197102         23     1100 SHARES                  X                 1        1100      0       0
UNITED DOMINION
   REALTY TRUST
   (REIT)           COMMON      910197102        193     9269 SHARES                           X        1        8269      0    1000
UNITED PARCEL
   SERVICE CL B     COMMON      911312106       6370    87574 SHARES                  X                 1       86794      0     780
UNITED PARCEL
   SERVICE CL B     COMMON      911312106        727    10000 SHARES                           X        1        8165      0    1835
UNITED RENTALS INC  COMMON      911363109        123     6100 SHARES                  X                 1        6100      0       0
UNITED STS STL CORP COMMON      912909108          9      179 SHARES                  X                 1         179      0       0
UNITED STS STL CORP COMMON      912909108          8      153 SHARES                           X        1         153      0       0
UNITED SURGICAL
   PARTNERS INTL    COMMON      913016309        408     8920 SHARES                  X                 1        8920      0       0
UNITED SURGICAL
   PARTNERS INTL    COMMON      913016309         23      500 SHARES                           X        1         500      0       0
UNITED TECHNOLOGIES
   CORP             COMMON      913017109       6489    63829 SHARES                  X                 1       62794      0    1035
UNITED TECHNOLOGIES
   CORP             COMMON      913017109       2945    28972 SHARES                           X        1       24340      0    4632
UNITEDHEALTH GROUP
   INC              COMMON      91324P102        168     1762 SHARES                  X                 1        1762      0       0
UNITEDHEALTH GROUP
   INC              COMMON      91324P102        162     1700 SHARES                           X        1         300      0    1400
UNITRIN INC         COMMON      913275103        137     3015 SHARES                  X                 1        3015      0       0
UNIVEST CORP OF PA  COMMON      915271100        225     5663 SHARES                  X                 1        5663      0       0
UNIVISION
   MUNICATIONS INC  COMMON      914906102         69     2480 SHARES                  X                 1        2480      0       0
UNOCAL CORP         COMMON      915289102        546     8850 SHARES                  X                 1        8850      0       0
UNOCAL CORP         COMMON      915289102        191     3100 SHARES                           X        1        3100      0       0
UNVL HEALTH
   SERVICES INC
   CL B             COMMON      913903100         19      360 SHARES                  X                 1         360      0       0
URBAN OUTFITTERS
   INC              COMMON      917047102        163     3400 SHARES                  X                 1        3400      0       0
URS CORP            COMMON      903236107         86     3000 SHARES                  X                 1        3000      0       0
URSTADT BIDDLE
   PPTYS INC CL A
   (REIT)           COMMON      917286205         46     3000 SHARES                           X        1        3000      0       0
UST INC             COMMON      902911106        392     7575 SHARES                  X                 1        7575      0       0


                                    21 of 44




                                                                                        
UST INC             COMMON      902911106        579    11200 SHARES                           X        1        7600      0    3600
V F CORP            COMMON      918204108         59     1000 SHARES                  X                 1        1000      0       0
V F CORP            COMMON      918204108        617    10440 SHARES                           X        1       10440      0       0
VALERO ENERGY CORP  COMMON      91913Y100        278     3800 SHARES                  X                 1        3800      0       0
VALERO ENERGY CORP  COMMON      91913Y100        132     1800 SHARES                           X        1        1800      0       0
VALERO L P          COMMON      91913W104         20      335 SHARES                  X                 1         335      0       0
VAN KAMPEN MUNI OPP
   TRUST II         COMMON      920944105         12      910 SHARES                  X                 1         910      0       0
VARIAN INC          COMMON      922206107          5      120 SHARES                  X                 1         120      0       0
VARIAN
   SEMICONDUCTOR
   EQUIP ASSOC      COMMON      922207105          5      120 SHARES                  X                 1         120      0       0
VERISIGN INC        COMMON      92343E102       6269   218428 SHARES                  X                 1      216383      0    2045
VERISIGN INC        COMMON      92343E102        225     7835 SHARES                           X        1        5610      0    2225
VERITAS SOFTWARE
   CORP             COMMON      923436109        882    37968 SHARES                  X                 1       37608      0     360
VERITAS SOFTWARE
   CORP             COMMON      923436109         67     2900 SHARES                           X        1        2700      0     200
VERIZON MUNICATIONS COMMON      92343V104      20692   582863 SHARES                  X                 1      572553      0   10310
VERIZON MUNICATIONS COMMON      92343V104      11744   330820 SHARES                           X        1      309732      0   21088
VERSO TECHNOLOGIES
   INCORPORATED     COMMON      925317109          0      393 SHARES                  X                 1         393      0       0
VIACOM INC CL A     COMMON      925524100         15      425 SHARES                  X                 1         425      0       0
VIACOM INC CL A     COMMON      925524100         16      450 SHARES                           X        1         450      0       0
VIACOM INC CL B     COMMON      925524308       6118   175662 SHARES                  X                 1      175512      0     150
VIACOM INC CL B     COMMON      925524308       1324    38008 SHARES                           X        1       34777      0    3231
VISHAY
   INTERTECHNOLOGY
   INC              COMMON      928298108         14     1150 SHARES                  X                 1        1150      0       0
VISTEON CORP        COMMON      92839U107         12     2100 SHARES                  X                 1        2100      0       0
VISTEON CORP        COMMON      92839U107         16     2758 SHARES                           X        1        2628      0     130
W R GRACE & CO      COMMON      38388F108          9     1000 SHARES                           X        1        1000      0       0
W W GRAINGER INC    COMMON      384802104        207     3320 SHARES                  X                 1        3320      0       0
W W GRAINGER INC    COMMON      384802104        268     4300 SHARES                           X        1        4300      0       0
WACHOVIA CORP       COMMON      929903102      17885   351306 SHARES                  X                 1      346956      0    4350
WACHOVIA CORP       COMMON      929903102       6226   122299 SHARES                           X        1      109786      0   12513
WADDELL & REED FINL
   INC CL A         COMMON      930059100         50     2534 SHARES                  X                 1        2534      0       0
WADDELL & REED FINL
   INC CL A         COMMON      930059100         68     3450 SHARES                           X        1        3450      0       0
WAL MART STORES INC COMMON      931142103      18711   373400 SHARES                  X                 1      369716      0    3684
WAL MART STORES INC COMMON      931142103       6594   131595 SHARES                           X        1      118095      0   13500
WALGREEN CO         COMMON      931422109       1182    26606 SHARES                  X                 1       25656      0     950
WALGREEN CO         COMMON      931422109        922    20765 SHARES                           X        1       13315      0    7450
WALT DISNEY CO      COMMON      254687106       6518   226870 SHARES                  X                 1      226270      0     600
WALT DISNEY CO      COMMON      254687106       3551   123609 SHARES                           X        1      115959      0    7650
WASHINGTON MUTUAL   COMMON      939322103       1733    43885 SHARES                  X                 1       43260      0     625
WASHINGTON MUTUAL   COMMON      939322103       1010    25566 SHARES                           X        1       24366      0    1200
WASHINGTON POST CO
   CL B             COMMON      939640108        121      135 SHARES                  X                 1         135      0       0
WASHINGTON REAL
   ESTATE INVT
   (REIT)           COMMON      939653101        175     6099 SHARES                  X                 1        6099      0       0
WASHINGTON REAL
   ESTATE INVT
   (REIT)           COMMON      939653101         17      600 SHARES                           X        1         100      0     500
WASTE CONNECTIONS
   INC              COMMON      941053100        300     8625 SHARES                  X                 1        8625      0       0
WASTE MANAGEMENT
   INC              COMMON      94106L109         13      444 SHARES                  X                 1         444      0       0
WASTE MANAGEMENT
   INC              COMMON      94106L109        148     5147 SHARES                           X        1        3647      0    1500
WATER PIK
   TECHNOLOGIES INC COMMON      94113U100          2       96 SHARES                  X                 1          96      0       0
WATSON
   PHARMACEUTICALS
   INC              COMMON      942683103         47     1526 SHARES                           X        1        1526      0       0
WD 40 CO            COMMON      929236107         71     2200 SHARES                           X        1        2200      0       0
WEBMD CORP          COMMON      94769M105          3      350 SHARES                  X                 1         350      0       0
WEBSTER FINL CORP
   WATERBURY        COMMON      947890109         27      600 SHARES                  X                 1         600      0       0
WEINGARTEN REALTY
   INVESTORS (REIT) COMMON      948741103         45     1299 SHARES                  X                 1        1299      0       0
WEIS MARKETS INC    COMMON      948849104         73     1968 SHARES                           X        1           0      0    1968
WELLPOINT INC       COMMON      94973V107         92      735 SHARES                  X                 1         735      0       0
WELLS FARGO & CO    COMMON      949746101      12855   214972 SHARES                  X                 1      213522      0    1450
WELLS FARGO & CO    COMMON      949746101       5590    93479 SHARES                           X        1       85831      0    7648
WENDYS INTL INC     COMMON      950590109        125     3200 SHARES                  X                 1        3200      0       0
WENDYS INTL INC     COMMON      950590109          8      200 SHARES                           X        1         200      0       0
WERNER ENTERPRISES
   INC              COMMON      950755108       4790   246540 SHARES                  X                 1      242000      0    4540
WERNER ENTERPRISES
   INC              COMMON      950755108        172     8835 SHARES                           X        1        8835      0       0
WESCO INTERNATIONAL
   INCORPORATED     COMMON      95082P105         22      800 SHARES                  X                 1         800      0       0
WESTAR ENERGY INC   COMMON      95709T100          6      300 SHARES                  X                 1         300      0       0
WESTAR ENERGY INC   COMMON      95709T100         42     1950 SHARES                           X        1        1350      0     600
WESTELL
   TECHNOLOGIES INC COMMON      957541105         37     6700 SHARES                  X                 1        6700      0       0
WEYERHAEUSER CO     COMMON      962166104        262     3824 SHARES                  X                 1        3824      0       0
WEYERHAEUSER CO     COMMON      962166104        491     7171 SHARES                           X        1        6373      0     798
WGL HLDGS INC       COMMON      92924F106          7      219 SHARES                  X                 1         219      0       0
WGL HLDGS INC       COMMON      92924F106        105     3382 SHARES                           X        1        3382      0       0
WHEELING-PITTSBURG
   CORP             COMMON      963142302          8      245 SHARES                  X                 1         245      0       0
WHIRLPOOL CORP      COMMON      963320106         74     1092 SHARES                  X                 1        1092      0       0
WHIRLPOOL CORP      COMMON      963320106         50      742 SHARES                           X        1         742      0       0
WHOLE FOODS MKT INC COMMON      966837106         49      475 SHARES                  X                 1         475      0       0
WHOLE FOODS MKT INC COMMON      966837106          5       50 SHARES                           X        1          50      0       0
WILLIAM SONOMA INC  COMMON      969904101        275     7490 SHARES                  X                 1        7490      0       0
WILLIAMS COMPANY
   INC (THE)        COMMON      969457100         48     2577 SHARES                  X                 1        2577      0       0
WILLIAMS COMPANY
   INC (THE)        COMMON      969457100         66     3483 SHARES                           X        1        2283      0    1200


                                    22 of 44




                                                                                        
WILMINGTON TRUST
   CORP             COMMON      971807102          7      200 SHARES                           X        1         200      0       0
WINNEBAGO
   INDUSTRIES       COMMON      974637100         19      600 SHARES                  X                 1         600      0       0
WISCONSIN ENERGY
   CORP             COMMON      976657106        185     5200 SHARES                  X                 1        5200      0       0
WISCONSIN ENERGY
   CORP             COMMON      976657106        189     5338 SHARES                           X        1        5338      0       0
WORTHINGTON INDS
   INC              COMMON      981811102        251    13000 SHARES                           X        1           0      0   13000
WPS RESOURCES CORP  COMMON      92931B106         42      800 SHARES                  X                 1         800      0       0
WPS RESOURCES CORP  COMMON      92931B106         19      350 SHARES                           X        1         350      0       0
WRIGLEY WM JR CO    COMMON      982526105        203     3100 SHARES                  X                 1        3100      0       0
WRIGLEY WM JR CO    COMMON      982526105        473     7220 SHARES                           X        1        6470      0     750
WYETH               COMMON      983024100      17664   418775 SHARES                  X                 1      412980      0    5795
WYETH               COMMON      983024100      15059   357012 SHARES                           X        1      277304      0   79708
WYNDHAM INTL INC
   CL A             COMMON      983101106          0       98 SHARES                           X        1          98      0       0
WYNN RESORTS
   LIMITED          COMMON      983134107          7      100 SHARES                  X                 1         100      0       0
X-RITE INC          COMMON      983857103          4      250 SHARES                  X                 1         250      0       0
XCEL ENERGY INC     COMMON      98389B100         79     4605 SHARES                  X                 1        4605      0       0
XCEL ENERGY INC     COMMON      98389B100        237    13789 SHARES                           X        1       13789      0       0
XEROX CORP          COMMON      984121103        124     8183 SHARES                  X                 1        8183      0       0
XEROX CORP          COMMON      984121103        190    12540 SHARES                           X        1        9540      0    3000
XM SATELLITE RADIO
   HLDGS INC        COMMON      983759101        244     7720 SHARES                  X                 1        7720      0       0
XM SATELLITE RADIO
   HLDGS INC        COMMON      983759101          3      100 SHARES                           X        1         100      0       0
XTO ENERGY INC      COMMON      98385X106       1275    38821 SHARES                  X                 1       38821      0       0
XTO ENERGY INC      COMMON      98385X106         82     2500 SHARES                           X        1        2500      0       0
XYBERNAUT CORP      COMMON      984149104          0      100 SHARES                  X                 1         100      0       0
YAHOO INC           COMMON      984332106         37     1086 SHARES                  X                 1        1086      0       0
YAHOO INC           COMMON      984332106         17      500 SHARES                           X        1         500      0       0
YORK INTL CORP      COMMON      986670107         39     1000 SHARES                  X                 1        1000      0       0
YORK WATER COMPANY  COMMON      987184108       1040    54580 SHARES                  X                 1       54580      0       0
YORK WATER COMPANY  COMMON      987184108        890    46696 SHARES                           X        1       46696      0       0
YUM! BRANDS INC     COMMON      988498101        490     9458 SHARES                  X                 1        9458      0       0
YUM! BRANDS INC     COMMON      988498101        498     9610 SHARES                           X        1        7690      0    1920
ZEBRA TECHNOLOGIES
   CORP CL A        COMMON      989207105        107     2250 SHARES                           X        1        2250      0       0
ZIMMER HLDGS INC    COMMON      98956P102        570     7322 SHARES                  X                 1        7282      0      40
ZIMMER HLDGS INC    COMMON      98956P102        835    10735 SHARES                           X        1       10255      0     480
ZIONS
   BANCORPORATION   COMMON      989701107        124     1800 SHARES                  X                 1        1800      0       0
ZOLTEK COS INC      COMMON      98975W104         92     7600 SHARES                  X                 1        7600      0       0
ZORAN CORP          COMMON      98975F101          3      300 SHARES                  X                 1         300      0       0
3 CORP              COMMON      885535104         51    14250 SHARES                  X                 1       14250      0       0
3 CORP              COMMON      885535104          5     1400 SHARES                           X        1        1100      0     300
3M CO               COMMON      88579Y101      18901   220572 SHARES                  X                 1      219182      0    1390
3M CO               COMMON      88579Y101      15709   183319 SHARES                           X        1      153127      0   30192
4 KIDS
   ENTERTAINMENT
   INC              COMMON      350865101         86     3900 SHARES                  X                 1        3900      0       0
7-ELEVEN INC        COMMON      817826209         82     3400 SHARES                  X                 1        3400      0       0
PENNROCK FINANCIAL
   SERVICES CORP.   COMMON      708352109        355    10164 SHARES           X                                10164
FULTON FNANCIAL
   CORP.            COMMON      360271100       6513   298882 SHARES           X                               298882
NEW MILFORD BANCORP COMMON      651633109        371    13000 SHARES           X                                13000
SALISBURY BANCORP
   INC.             COMMON      795226109        227     5700 SHARES           X                                 5700
3M COMPANY          COMMON      88579Y101       1411    15135 SHARES           X                        2       15135
ABBOTT LABORATORIES COMMON      002824100       2605    55875 SHARES           X                        2       55875
ADOBE SYSTEMS
   INCORPORATED     COMMON      00724F101        730    14750 SHARES           X                        2       14750
AES CORPORATION     COMMON      00130H105       6810   415725 SHARES           X                        2      415725
ALLIED CAPITAL
   CORPORATION      COMMON      01903Q108        919    35197 SHARES           X                        2       35197
ALLSTATE
   CORPORATION      COMMON      020002101       1588    29373 SHARES           X                        2       29373
ALLTEL CORPORATION  COMMON      020039103        219     4000 SHARES           X                        2        4000
ALTRIA GROUP INC    COMMON      02209S103        821    12550 SHARES           X                        2       12550
AMERICAN CAPITAL
   STRATEGIES LTD   COMMON      024937104       2020    64300 SHARES           X                        2       64300
AMERICAN ELECTRIC
   POWER
   INCORPORATED     COMMON      025537101        221     6500 SHARES           X                        2        6500
AMERICAN EXPRESS
   COMPANY          COMMON      025816109        812    15800 SHARES           X                        2       15800
AMERICAN FINANCIAL
   REALTY           COMMON      02607P305       1867   127600 SHARES           X                        2      127600
AMERICAN
   INTERNATIONAL
   GROUP INC        COMMON      026874107       4650    83918 SHARES           X                        2       83918
AMLI RESIDENTIAL
   PROPERTIES TRUST COMMON      001735109       1192    43529 SHARES           X                        2       43529
ANADARKO PETROLEUM
   CORPORATION      COMMON      032511107        259     3400 SHARES           X                        2        3400
ANHEUSER BUSCH
   COMPANIES INC    COMMON      035229103        395     8328 SHARES           X                        2        8328
APPLIED MATERIALS
   INCORPORATED     COMMON      038222105       1021    62800 SHARES           X                        2       62800
ARCHSTONE-SMITH
   TRUST            COMMON      039583109       2056    60267 SHARES           X                        2       60267
ARLINGTON TANKERS
   LTD              COMMON      G04899103       1933    82250 SHARES           X                        2       82250
AUTOMATIC DATA
   PROCESSING INC   COMMON      053015103       1901    42298 SHARES           X                        2       42298
BANK NEW YORK
   INCORPORATED     COMMON      064057102       2077    71512 SHARES           X                        2       71512
BANK OF AMERICA
   CORPORATION      COMMON      060505104       8140   184588 SHARES           X                        2      184588
BANKATLANTIC
   BANCORP
   INCORPORATED     COMMON      065908501        192    11025 SHARES           X                        2       11025
BB & T CORPORATION  COMMON      054937107       2100    53740 SHARES           X                        2       53740
BOSTON PROPERTIES
   INCORPORATED     COMMON      101121101        253     4200 SHARES           X                        2        4200
BOSTON SCIENTIFIC
   CORPORATION      COMMON      101137107       1362    46500 SHARES           X                        2       46500
BRISTOL MYERS
   SQUIBB COMPANY   COMMON      110122108       1369    53770 SHARES           X                        2       53770
CAPITAL AUTOMOTIVE
   REIT             COMMON      139733109       1970    59479 SHARES           X                        2       59479


                                    23 of 44




                                                                                      
CAPITAL ONE
   FINANCIAL
   CORPORATION      COMMON      14040H105       5619    75150 SHARES           X                        2       75150
CARDINAL HEALTH
   INCORPORATED     COMMON      14149Y108        368     6600 SHARES           X                        2        6600
CHEVRONTEXACO
   CORPORATION      COMMON      166764100        633    10860 SHARES           X                        2       10860
CISCO SYSTEMS
   INCORPORATED     COMMON      17275R102       2494   139394 SHARES           X                        2      139394
CITIGROUP
   INCORPORATED     COMMON      172967101       5826   129633 SHARES           X                        2      129633
COCA COLA COMPANY   COMMON      191216100        229     5500 SHARES           X                        2        5500
COLGATE PALMOLIVE
   COMPANY          COMMON      194162103       4825    92482 SHARES           X                        2       92482
COMCAST CORPORATION
   CLASS A          COMMON      20030N101        467    13814 SHARES           X                        2       13814
COMCAST CORPORATION
   SPECIAL CLASS A  COMMON      20030N200       1037    31000 SHARES           X                        2       31000
COVENTRY HEALTH
   CARE
   INCORPORATED     COMMON      222862104       2238    32850 SHARES           X                        2       32850
DISNEY WALT COMPANY COMMON      254687106        409    14246 SHARES           X                        2       14246
DOW CHEMICAL
   COMPANY          COMMON      260543103       2178    43700 SHARES           X                        2       43700
DU PONT E I DE
   NEMOURS &
   COMPANY          COMMON      263534109        680    13279 SHARES           X                        2       13279
E M C CORPORATION
   MASSACHUSETTS    COMMON      268648102       2694   218705 SHARES           X                        2      218705
EASTGROUP
   PROPERTIES
   INCORPORATED     COMMON      277276101        622    16500 SHARES           X                        2       16500
EMERSON ELECTRIC
   COMPANY          COMMON      291011104       1146    17650 SHARES           X                        2       17650
EXXON MOBIL
   CORPORATION      COMMON      30231G102       1381    23165 SHARES           X                        2       23165
FEDERAL REALTY
   INVESTMENT TRUST COMMON      313747206        349     7210 SHARES           X                        2        7210
FEDERATED
   DEPARTMENT
   STORES DELAWARE  COMMON      31410H101        426    10021 SHARES           X                        2       10021
FEDEX CORPORATION   COMMON      31428X106        752    10000 SHARES           X                        2       10000
FIRST DATA
   CORPORATION      COMMON      319963104       1119    28466 SHARES           X                        2       28466
FISERV INCORPORATED COMMON      337738108       1679    42175 SHARES           X                        2       42175
FLANDERS
   CORPORATION      COMMON      338494107        632    56000 SHARES           X                        2       56000
FREDDIE MAC -
   FEDERAL HOME
   LOAN MORTGAGE    COMMON      313400301       5443    86120 SHARES           X                        2       86120
GANNETT
   INCORPORATED     COMMON      364730101       1949    24650 SHARES           X                        2       24650
GENERAL ELECTRIC
   COMPANY          COMMON      369604103       7285   202028 SHARES           X                        2      202028
GENUINE PARTS
   COMPANY          COMMON      372460105        512    11775 SHARES           X                        2       11775
GILLETTE COMPANY    COMMON      375766102       1557    30850 SHARES           X                        2       30850
GLADSTONE CAPITAL
   CORP             COMMON      376535100       2091    98555 SHARES           X                        2       98555
HEINZ H J COMPANY   COMMON      423074103        323     8762 SHARES           X                        2        8762
HEWLETT PACKARD
   COMPANY          COMMON      428236103        562    25631 SHARES           X                        2       25631
HOME DEPOT
   INCORPORATED     COMMON      437076102       4459   116600 SHARES           X                        2      116600
HOME PROPERTIES OF
   NEW YORK INC     COMMON      437306103       2188    56400 SHARES           X                        2       56400
HONEYWELL
   INTERNATIONAL
   INCORPORATED     COMMON      438516106        644    17312 SHARES           X                        2       17312
INTEL CORPORATION   COMMON      458140100       2404   103493 SHARES           X                        2      103493
INTERDIGITAL
   COMMUNICATIONS
   CORP             COMMON      45866A105        161    10500 SHARES           X                        2       10500
INTERNATIONAL
   BUSINESS
   MACHINES CORP    COMMON      459200101       4587    50195 SHARES           X                        2       50195
INVESTORS FINANCIAL
   SERVICES CORP    COMMON      461915100       2924    59775 SHARES           X                        2       59775
ISHARES TRUST DOW
   JONES            COMMON      464287721       1023    22833 SHARES           X                        2       22833
ISTAR               COMMON      45031U101       1243    30195 SHARES           X                        2       30195
JDS UNIPHASE
   CORPORATION      COMMON      46612J101         17    10150 SHARES           X                        2       10150
JOHNSON & JOHNSON   COMMON      478160104       2132    31741 SHARES           X                        2       31741
JP MORGAN CHASE &
   COMPANY          COMMON      46625H100       2563    74079 SHARES           X                        2       74079
KEYCORP-            COMMON      493267108        344    10600 SHARES           X                        2       10600
KFX INCORPORATED    COMMON      48245L107         14    10000 SHARES           X                        2       10000
KIMBERLY CLARK
   CORPORATION      COMMON      494368103        362     5500 SHARES           X                        2        5500
LABORATORY
   CORPORATION OF
   AMER HLDGS       COMMON      50540R409       2209    45840 SHARES           X                        2       45840
LEVEL 3
   COMMUNICATIONS
   INCORPORATED     COMMON      52729N100         52    25000 SHARES           X                        2       25000
LUCENT TECHNOLOGIES
   INCORPORATED     COMMON      549463107        140    50758 SHARES           X                        2       50758
MAGELAN MIDSTREAM
   PARTNERS LP      COMMON      559080106        385     6300 SHARES           X                        2        6300
MEDTRONIC
   INCORPORATED     COMMON      585055106       9361   183728 SHARES           X                        2      183728
MERRILL LYNCH &
   COMPANY
   INCORPORATED     COMMON      590188108        532     9400 SHARES           X                        2        9400
MICROSOFT
   CORPORATION      COMMON      594918104       2529   104630 SHARES           X                        2      104630
MILLS CORPORATION   COMMON      601148109        741    14000 SHARES           X                        2       14000
MOTOROLA
   INCORPORATED     COMMON      620076109        204    13650 SHARES           X                        2       13650
NETWORK APPLIANCE
   INCORPORATED     COMMON      64120L104        332     4000 SHARES           X                        2        4000
NEW PLAN EXCEL
   REALTY TRUST INC COMMON      648053106        733    29200 SHARES           X                        2       29200
NEXTEL
   COMMUNICATIONS
   INC CLASS A      COMMON      65332V103       2153    75750 SHARES           X                        2       75750
ORACLE CORPORATION  COMMON      68389X105        866    69366 SHARES           X                        2       69366
PEPSICO
   INCORPORATED     COMMON      713448108        435     8205 SHARES           X                        2        8205
PFIZER INCORPORATED COMMON      717081103       4543   172951 SHARES           X                        2      172951
PLAINS ALL AMERICAN
   PIPELINE L P     COMMON      726503105       1021    26350 SHARES           X                        2       26350
POST PROPERTIES
   INCORPORATED     COMMON      737464107        357    11500 SHARES           X                        2       11500
PROCTER & GAMBLE
   CORPORATION      COMMON      742718109       1902    35888 SHARES           X                        2       35888
ROWE COMPANIES      COMMON      779528108        152    35813 SHARES           X                        2       35813
RPM INCORPORATED
   OHIO             COMMON      749685103        335    18300 SHARES           X                        2       18300
SBC COMMUNICATIONS
   INCORPORATED     COMMON      78387G103        968    40861 SHARES           X                        2       40861
SIMON PROPERTY
   GROUP
   INCORPORATED     COMMON      828806109        657    10850 SHARES           X                        2       10850
SIRIUS SATELLITE
   RADIO
   INCORPORATED     COMMON      82966U103         56    10000 SHARES           X                        2       10000
SLM CORP.           COMMON      78442P106       7089   142244 SHARES           X                        2      142244
SOLECTRON
   CORPORATION      COMMON      834182107        147    42500 SHARES           X                        2       42500
STARBUCKS
   CORPORATION      COMMON      855244109        217     4200 SHARES           X                        2        4200
SUN MICROSYSTEMS
   INCORPORATED     COMMON      866810104         79    19600 SHARES           X                        2       19600


                                    24 of 44




                                                                                         
SYSCO CORPORATION   COMMON      871829107       3397    94891 SHARES           X                        2       94891
TARGET CORP         COMMON      87612E106        635    12700 SHARES           X                        2       12700
TEPPCO PARTNERS
   LIMITED
   PARTNERSHIP      COMMON      872384102        859    20450 SHARES           X                        2       20450
TEXAS INSTRUMENTS
   INCORPORATED     COMMON      882508104       1999    78434 SHARES           X                        2       78434
TIME WARNER INC     COMMON      887317105       1331    75841 SHARES           X                        2       75841
TRIBUNE COMPANY     COMMON      896047107       1121    28120 SHARES           X                        2       28120
TYCO INTERNATIONAL
   LIMITED          COMMON      902124106       5174   153085 SHARES           X                        2      153085
UNITED TECHNOLOGIES
   CORPORATION      COMMON      913017109        305     3000 SHARES           X                        2        3000
UNITEDHEALTH GROUP
   INC.             COMMON      91324P102       4306    45150 SHARES           X                        2       45150
UNUMPROVIDENT
   CORPORATION      COMMON      91529Y106       1144    67210 SHARES           X                        2       67210
US BANCORP          COMMON      902973304        375    13000 SHARES           X                        2       13000
VERIZON
   COMMUNICATIONS   COMMON      92343V104       1780    50150 SHARES           X                        2       50150
VIACOM INCORPORATED
   CLASS B          COMMON      925524308        546    15670 SHARES           X                        2       15670
VORNADO REALTY
   TRUST            COMMON      929042109        249     3600 SHARES           X                        2        3600
WACHOVIA
   CORPORATION      COMMON      929903102        326     6400 SHARES           X                        2        6400
WAL MART STORES
   INCORPORATED     COMMON      931142103        429     8568 SHARES           X                        2        8568
WASHINGTON MUTUAL
   INCORPORATED     COMMON      939322103       3574    90480 SHARES           X                        2       90480
WEINGARTEN REALTY
   INVESTORS        COMMON      948741103       1012    29335 SHARES           X                        2       29335
WELLS FARGO &
   COMPANY          COMMON      949746101       3639    60847 SHARES           X                        2       60847
WILLIAMS COMPANIES
   INCORPORATED     COMMON      969457100        115    11975 SHARES           X                        2       11975
WYETH               COMMON      983024100       1430    33908 SHARES           X                        2       33908
XCEL ENERGY, INC.   COMMON      98389B100        232    13050 SHARES           X                        2       13050
ZIMMER HOLDINGS
   INCORPORATED     COMMON      98956P102       1792    23025 SHARES           X                        2       23025
POSCO               ADR         693483109        958    19400 SHARES                  X                 3       19400
RIO TINTO PLC       ADR         767204100       1544    11900 SHARES                  X                 3       11900
3 COM CORP          COMMON      885535104         54    15100 SHARES                  X                 3       15100      0       0
3M CO               COMMON      88579Y101       9328   108851 SHARES                  X                 3      104376      0    4475
3M CO               COMMON      88579Y101        673     7850 SHARES                           X        3        7850      0       0
4 KIDS
   ENTERTAINMENT
   INC              COMMON      350865101         95     4300 SHARES                  X                 3        4300      0       0
7-ELEVEN INC        COMMON      817826209       1073    44700 SHARES                  X                 3       44700      0       0
AAR CORP            COMMON      000361105         57     4200 SHARES                  X                 3        4200      0       0
ABBOTT LABORATORIES COMMON      002824100       1962    42070 SHARES                  X                 3       32875      0    9195
ABBOTT LABORATORIES COMMON      002824100         72     1550 SHARES                           X        3         550      0    1000
ACXIOM CORP         COMMON      005125109        126     6000 SHARES                  X                 3        6000      0       0
ADE CORPORATION     COMMON      00089C107         27     1200 SHARES                  X                 3        1200      0       0
AETNA INC           COMMON      00817Y108       2863    38200 SHARES                  X                 3       38200
AETNA INC           COMMON      00817Y108         48      640 SHARES                           X        3         640      0       0
AGCO CORP           COMMON      001084102         72     3943 SHARES                           X        3        3943      0       0
AGILENT
   TECHNOLOGIES INC COMMON      00846U101       3951   178000 SHARES                  X                 3      178000
AGILENT
   TECHNOLOGIES INC COMMON      00846U101         34     1525 SHARES                           X        3        1525      0       0
AGL RESOURCES INC   COMMON      001204106         49     1400 SHARES                  X                 3        1400      0       0
AIRTRAN HLDGS INC   COMMON      00949P108         38     4200 SHARES                  X                 3        4200      0       0
ALASKA
   COMMUNICATIONS
   SYSTEMS GROUP    COMMON      01167P101         94     9400 SHARES                  X                 3        9400      0       0
ALBERTSONS INC      COMMON      013104104       2280   110400 SHARES                  X                 3      110400
ALCOA INC           COMMON      013817101       4847   159466 SHARES                  X                 3      154352      0    5114
ALLIED CAPITAL CORP COMMON      01903Q108         18      700 SHARES                  X                 3         700      0       0
ALLSTATE CORP       COMMON      020002101       2314    42807 SHARES                  X                 3       42807      0       0
ALTRIA GROUP INC    COMMON      02209S103       4937    75505 SHARES                  X                 3       75105      0     400
ALTRIA GROUP INC    COMMON      02209S103        302     4618 SHARES                           X        3         785      0    3833
AMERICAN ELECTRIC
   POWER CO INC     COMMON      025537101         25      720 SHARES                           X        3         720      0       0
AMERICAN EXPRESS CO COMMON      025816109         55     1075 SHARES                  X                 3        1075      0       0
AMERICAN EXPRESS CO COMMON      025816109        463     9006 SHARES                           X        3        9006      0       0
AMERICAN FINL GROUP
   INC              COMMON      025932104          4      117 SHARES                  X                 3         117      0       0
AMERICAN
   INTERNATIONAL
   GROUP INC        COMMON      026874107       9906   178783 SHARES                  X                 3      178258      0     525
AMGEN INC           COMMON      031162100      10282   176629 SHARES                  X                 3      168379      0    8250
AMGEN INC           COMMON      031162100        326     5600 SHARES                           X        3        5600      0       0
AMSURG CORP         COMMON      03232P405       1392    55000 SHARES                  X                 3       55000      0       0
ANADARKO PETROLEUM
   CORP             COMMON      032511107        350     4600 SHARES                  X                 3        4600      0       0
ANADARKO PETROLEUM
   CORP             COMMON      032511107        233     3064 SHARES                           X        3        3064      0       0
ANHEUSER BUSCH COS
   INC              COMMON      035229103         28      600 SHARES                  X                 3           0      0     600
ANHEUSER BUSCH COS
   INC              COMMON      035229103        114     2400 SHARES                           X        3           0      0    2400
ANSYS INC           COMMON      03662Q105         10      300 SHARES                  X                 3         300      0       0
AON CORPORATION     COMMON      037389103       2368   103700 SHARES                  X                 3      103700
APPLICA INC         COMMON      03815A106         72    14300 SHARES                  X                 3       14300      0       0
APPLIED SIGNAL
   TECHNOLOGY INC   COMMON      038237103         82     3600 SHARES                  X                 3        3600      0       0
ARRIS GROUP         COMMON      04269Q100         30     4300 SHARES                  X                 3        4300      0       0
ASPECT
   COMMUNICATIONS
   CORP             COMMON      04523Q102        416    40000 SHARES                  X                 3       40000      0       0
AT&T CORP           COMMON      001957505        903    48188 SHARES                  X                 3       48068      0     120
ATP OIL & GAS CORP  COMMON      00208J108         32     1500 SHARES                  X                 3        1500      0       0
BALLY TOTAL FITNESS
   HLDG CORP        COMMON      05873K108         46    13100 SHARES                  X                 3       13100      0       0
BANK OF AMERICA
   CORPORATION      COMMON      060505104      12399   281147 SHARES                  X                 3      280947      0     200
BANK OF AMERICA
   CORPORATION      COMMON      060505104         62     1400 SHARES                           X        3        1400      0       0
BANK OF NEW YORK
   INC              COMMON      064057102       3663   126092 SHARES                  X                 3      126092      0       0
BANK OF NEW YORK
   INC              COMMON      064057102         35     1200 SHARES                           X        3        1200      0       0


                                    25 of 44




                                                                                        
BARRICK GOLD CORP   COMMON      067901108       3038   126800 SHARES                  X                 3      126800
BAXTER INTL INC     COMMON      071813109         41     1200 SHARES                           X        3        1200      0       0
BB&T CORP           COMMON      054937107         85     2167 SHARES                           X        3         892      0    1275
BELLSOUTH CORP      COMMON      079860102         42     1589 SHARES                  X                 3        1589      0       0
BELLSOUTH CORP      COMMON      079860102         30     1124 SHARES                           X        3        1124      0       0
BENIHANA
   INCORPORATED
   CLASS A          COMMON      082047200        123     8100 SHARES                  X                 3        8100      0       0
BIOGEN IDEC INC     COMMON      09062X103        694    20090 SHARES                  X                 3       17373      0    2717
BOSTON SCIENTIFIC
   CORP             COMMON      101137107       1655    56511 SHARES                  X                 3       48390      0    8121
BOWATER INC         COMMON      102183100        151     4000 SHARES                  X                 3        4000      0       0
BRISTOL-MYERS
   SQUIBB CO        COMMON      110122108        456    17900 SHARES                  X                 3       17200      0     700
BRISTOL-MYERS
   SQUIBB CO        COMMON      110122108        339    13320 SHARES                           X        3        9200      0    4120
BROOKTROUT INC      COMMON      114580103         34     3000 SHARES                  X                 3        3000      0       0
BURLINGTON NORTHN
   SANTA FE CORP    COMMON      12189T104         16      300 SHARES                  X                 3         300      0       0
BURLINGTON RES INC  COMMON      122014103         27      530 SHARES                  X                 3         530
C FORDING CDN COAL
   TR               COMMON      345425102       5251    57150 SHARES                  X                 3       57150
CAL DIVE
   INTERNATIONAL
   INC              COMMON      127914109         72     1600 SHARES                  X                 3        1600      0       0
CALYPTE BIOMEDICAL
   CORP             COMMON      131722605         44   162500 SHARES                  X                 3      162500      0       0
CAMPBELL SOUP CO    COMMON      134429109         23      800 SHARES                  X                 3         800      0       0
CAPITAL ONE
   FINANCIAL CORP   COMMON      14040H105       9264   123922 SHARES                  X                 3      122147      0    1775
CAREMARK RX INC     COMMON      141705103       7956   199995 SHARES                  X                 3      193445      0    6550
CARMAX INC          COMMON      143130102      10648   338022 SHARES                  X                 3      338022      0       0
CARNIVAL
   CORPORATION      COMMON      143658300       2850    55017 SHARES                  X                 3       55017      0       0
CASELLA WASTE
   SYSTEMS INC      COMMON      147448104         66     5000 SHARES                  X                 3        5000      0       0
CATERPILLAR INC     COMMON      149123101        975    10667 SHARES                  X                 3        9027      0    1640
CENDANT CORP        COMMON      151313103         93     4505 SHARES                  X                 3         275      0    4230
CENTERPOINT ENERGY
   INC              COMMON      15189T107         36     3000 SHARES                           X        3        3000      0       0
CERNER CORP         COMMON      156782104       6853   130501 SHARES                  X                 3      129726      0     775
CHEVRONTEXACO CORP  COMMON      166764100      13264   227473 SHARES                  X                 3      225879      0    1594
CHEVRONTEXACO CORP  COMMON      166764100        233     4000 SHARES                           X        3        4000      0       0
CISCO SYS INC       COMMON      17275R102      11883   664222 SHARES                  X                 3      640310      0   23912
CIT GROUP INC       COMMON      125581108       8491   223448 SHARES                  X                 3      223448      0       0
CITIGROUP INC       COMMON      172967101      19001   422793 SHARES                  X                 3      421843      0     950
CITIGROUP INC       COMMON      172967101         17      375 SHARES                           X        3         375      0       0
CLEAR CHANNEL
   MUNICATIONS INC  COMMON      184502102       4026   116773 SHARES                  X                 3      116773      0       0
CLEVELAND CLIFFS
   INC              COMMON      185896107        131     1800 SHARES                  X                 3        1800      0       0
COCA COLA CO        COMMON      191216100       5758   138180 SHARES                  X                 3      134770      0    3410
COCA COLA CO        COMMON      191216100        221     5304 SHARES                           X        3         754      0    4550
COLGATE PALMOLIVE
   CO               COMMON      194162103       5630   107920 SHARES                  X                 3      104424      0    3496
COLGATE PALMOLIVE
   CO               COMMON      194162103         73     1400 SHARES                           X        3           0      0    1400
COLUMBIA BANCORP    COMMON      197227101         96     3000 SHARES                  X                 3        3000      0       0
COMCAST CORP        COMMON      20030N101       9889   292733 SHARES                  X                 3      285813      0    6920
COMMERCIAL CAP
   BANCORP INC      COMMON      20162L105       1436    70566 SHARES                  X                 3       70566      0       0
COMPUTER ASSOC INTL COMMON      204912109       4764   175800 SHARES                  X                 3      175800
COMSTOCK
   HOMEBUILDING COS
   INC CL A         COMMON      205684103         11      500 SHARES                  X                 3         500      0       0
COMSTOCK RESOURCES
   INC              COMMON      205768203         69     2400 SHARES                  X                 3        2400      0       0
CONOCOPHILLIPS      COMMON      20825C104       6633    61512 SHARES                  X                 3       61512      0       0
CONSTELLATION
   ENERGY GROUP INC COMMON      210371100         75     1460 SHARES                  X                 3        1460      0       0
CONSTELLATION
   ENERGY GROUP INC COMMON      210371100         67     1300 SHARES                           X        3        1300      0       0
CORN PRODS INTL INC COMMON      219023108         52     2000 SHARES                           X        3        2000      0       0
CORNING INC         COMMON      219350105        928    83334 SHARES                  X                 3       71479      0   11855
COSTCO WHOLESALE
   CORP             COMMON      22160K105        371     8400 SHARES                  X                 3        8400      0       0
CRANE CO            COMMON      224399105        130     4500 SHARES                           X        3        4500      0       0
CSX CORP            COMMON      126408103         17      425 SHARES                  X                 3         425      0       0
DANAHER CORP        COMMON      235851102        256     4800 SHARES                           X        3        4800      0       0
DAWSON GEOPHYSICAL
   CO               COMMON      239359102         41     1700 SHARES                  X                 3        1700      0       0
DEERE & CO          COMMON      244199105        161     2400 SHARES                           X        3        1200      0    1200
DEL MONTE FOODS CO  COMMON      24522P103          5      446 SHARES                  X                 3         446      0       0
DELL INC            COMMON      24702R101       9865   256769 SHARES                  X                 3      250286      0    6483
DELPHI CORP         COMMON      247126105         17     3745 SHARES                  X                 3        3745      0       0
DENBURY RESOURCES
   INCORPORATED     COMMON      247916208         53     1500 SHARES                  X                 3        1500      0       0
DIGENE CORP MON     COMMON      253752109         98     4700 SHARES                  X                 3        4700      0       0
DOMINION RESOURCES
   INC              COMMON      25746U109       2090    28084 SHARES                  X                 3       27600      0     484
DOW CHEMICAL CO     COMMON      260543103       1490    29872 SHARES                  X                 3       27532      0    2340
DOW CHEMICAL CO     COMMON      260543103        434     8706 SHARES                           X        3        7506      0    1200
DTE ENERGY CO       COMMON      233331107          2       50 SHARES                  X                 3          50
DTE ENERGY CO       COMMON      233331107         14      300 SHARES                           X        3           0      0     300
DUKE ENERGY CORP    COMMON      264399106        204     7259 SHARES                  X                 3        6659      0     600
DUKE ENERGY CORP    COMMON      264399106         63     2250 SHARES                           X        3         950      0    1300
DUPONT EI DE
   NEMOURS & CO     COMMON      263534109         90     1750 SHARES                  X                 3        1150      0     600
DUPONT EI DE
   NEMOURS & CO     COMMON      263534109         31      600 SHARES                           X        3           0      0     600
EBAY INC            COMMON      278642103       3758   100846 SHARES                  X                 3       97446      0    3400
EDUCATIONAL
   MANAGEMENT CORP  COMMON      28139T101        542    19400 SHARES                  X                 3       19400      0       0
ELECTRIC CITY CORP  COMMON      284868106         36    37600 SHARES                  X                 3       37600      0       0
ELECTRONIC DATA
   SYSTEM
   CORPORATION      COMMON      285661104          4      200 SHARES                  X                 3         200      0       0


                                    26 of 44




                                                                                        
ELECTRONIC DATA
   SYSTEM
   CORPORATION      COMMON      285661104         17      800 SHARES                           X        3         800      0       0
ELECTRONICS ARTS    COMMON      285512109       5727   110592 SHARES                  X                 3      108663      0    1929
ELECTRONICS ARTS    COMMON      285512109        207     4000 SHARES                           X        3        4000      0       0
EMC CORP MASS       COMMON      268648102       1065    86505 SHARES                  X                 3       73231      0   13274
EMC CORP MASS       COMMON      268648102         67     5400 SHARES                           X        3           0      0    5400
EMERSON ELEC CO     COMMON      291011104        112     1720 SHARES                  X                 3        1720      0       0
ENSCO INTERNATIONAL
   INC              COMMON      26874Q100       4171   110722 SHARES                  X                 3      108932      0    1790
EON LABS INC        COMMON      29412E100         51     1700 SHARES                  X                 3        1700      0       0
EQUITY OFFICE
   PROPERTIES TR
   (REIT)           COMMON      294741103         63     2100 SHARES                  X                 3        2100      0       0
EXPRESS SCRIPTS INC COMMON      302182100       8305    95245 SHARES                  X                 3       92426      0    2819
EXXON MOBIL CORP    COMMON      30231G102      19708   330668 SHARES                  X                 3      317920      0   12748
EXXON MOBIL CORP    COMMON      30231G102        672    11274 SHARES                           X        3        7946      0    3328
F S I INTL CORP     COMMON      302633102         60    14100 SHARES                  X                 3       14100      0       0
FANNIE MAE          COMMON      313586109       9884   181540 SHARES                  X                 3      181540      0       0
FANNIE MAE          COMMON      313586109         13      230 SHARES                           X        3         230      0       0
FARO TECHNOLOGIES
   INC              COMMON      311642102         66     2800 SHARES                  X                 3        2800      0       0
FIFTH THIRD BANCORP COMMON      316773100        387     9000 SHARES                  X                 3        9000      0       0
FIRST DATA CORP     COMMON      319963104        236     6000 SHARES                  X                 3        6000      0       0
FLUOR CORP          COMMON      343412102         22      400 SHARES                           X        3         400      0       0
FOREST LABS INC     COMMON      345838106        371    10060 SHARES                  X                 3        8565      0    1495
FOUNDATION COAL
   HOLDINGS INC     COMMON      35039W100        103     4400 SHARES                  X                 3        4400      0       0
FPL GROUP INC       COMMON      302571104         24      600 SHARES                  X                 3         200      0     400
FREESCALE
   SEMICONDUCTOR-B  COMMON      35687M206         24     1355 SHARES                  X                 3        1355      0       0
FREESCALE
   SEMICONDUCTOR-B  COMMON      35687M206         23     1324 SHARES                           X        3        1324      0       0
GAMESTOP CORP       COMMON      36466R101       1208    54500 SHARES                  X                 3       54500      0       0
GANNETT CO INC      COMMON      364730101         87     1100 SHARES                           X        3         100      0    1000
GENERAL DYNAMICS
   CORP             COMMON      369550108         52      489 SHARES                  X                 3         489      0       0
GENERAL DYNAMICS
   CORP             COMMON      369550108         54      500 SHARES                           X        3         500      0       0
GENERAL ELECTRIC
   COMPANY          COMMON      369604103      23506   651863 SHARES                  X                 3      630932      0   20931
GENERAL ELECTRIC
   COMPANY          COMMON      369604103        739    20493 SHARES                           X        3       11643      0    8850
GENERAL MILLS INC   COMMON      370334104       5694   115859 SHARES                  X                 3      113114      0    2745
GENERAL MILLS INC   COMMON      370334104         93     1900 SHARES                           X        3         900      0    1000
GENERAL MOTORS CORP COMMON      370442105         19      636 SHARES                  X                 3         636      0       0
GENERAL MOTORS CORP COMMON      370442105         19      636 SHARES                           X        3         636      0       0
GENITOPE
   CORPORATION      COMMON      37229P507         83     6600 SHARES                  X                 3        6600      0       0
GERBER SCIENTIFIC
   INC              COMMON      373730100        412    56500 SHARES                  X                 3       56500      0       0
GILEAD SCIENCES INC COMMON      375558103       1746    48778 SHARES                  X                 3       44800      0    3978
GILLETTE CO         COMMON      375766102       1879    37212 SHARES                  X                 3       31932      0    5280
GILLETTE CO         COMMON      375766102        121     2400 SHARES                           X        3           0      0    2400
GOODRICH PETROLEUM
   CORP             COMMON      382410405         36     1700 SHARES                  X                 3        1700      0       0
HALLIBURTON HLDG CO COMMON      406216101         87     2000 SHARES                           X        3        2000      0       0
HALOZYME
   THERAPEUTICS INC COMMON      40637H109       1216    42200 SHARES                  X                 3       42200      0       0
HARSCO CORP         COMMON      415864107       2759    46275 SHARES                  X                 3       46275      0       0
HARTFORD FINANCIAL
   SVCS GRP INC     COMMON      416515104       2390    34880 SHARES                  X                 3       34880
HARTMARX
   CORPORATION      COMMON      417119104         48     5000 SHARES                  X                 3        5000      0       0
HEALTH MGMT ASSOC
   INC CL A         COMMON      421933102          8      300 SHARES                  X                 3         300
HEINZ H J CO        COMMON      423074103         37     1000 SHARES                  X                 3        1000      0       0
HEINZ H J CO        COMMON      423074103         35      950 SHARES                           X        3         950      0       0
HEWLETT PACKARD CO  COMMON      428236103        196     8950 SHARES                  X                 3        8950      0       0
HEWLETT PACKARD CO  COMMON      428236103        176     8000 SHARES                           X        3        8000      0       0
HOME DEPOT INC      COMMON      437076102       8957   234249 SHARES                  X                 3      226986      0    7263
HONEYWELL INTL INC  COMMON      438516106          6      150 SHARES                  X                 3         150
HYPERCOM CORP       COMMON      44913M105         84    17800 SHARES                  X                 3       17800      0       0
ICOS CORP           COMMON      449295104         43     1900 SHARES                  X                 3        1900      0       0
ILLINOIS TOOL WKS
   INC              COMMON      452308109         10      113 SHARES                  X                 3         113      0       0
INGERSOLL-RAND CO   COMMON      G4776G101       1904    23900 SHARES                  X                 3       23900
INPUT/OUTPUT INC    COMMON      457652105         45     7000 SHARES                  X                 3        7000      0       0
INTEL CORP          COMMON      458140100      11886   511679 SHARES                  X                 3      490774      0   20905
INTERGRATED DEVICE
   TECH INC         COMMON      458118106         55     4600 SHARES                  X                 3        4600      0       0
INTERNATIONAL
   BUSINESS
   MACHINES CORP    COMMON      459200101       6468    70782 SHARES                  X                 3       66157      0    4625
INTERNATIONAL
   BUSINESS
   MACHINES CORP    COMMON      459200101        621     6792 SHARES                           X        3        4392      0    2400
INTERNATIONAL PAPER COMMON      460146103       1649    44800 SHARES                  X                 3       44800
INTERNATIONAL
   RECTIFIER CORP   COMMON      460254105      11526   253297 SHARES                  X                 3      251050      0    2247
INTERPUBLIC GROUP
   COS INC          COMMON      460690100          6      515 SHARES                  X                 3         515      0       0
J JILL GROUP INC    COMMON      466189107         89     6500 SHARES                  X                 3        6500      0       0
JABIL CIRCUIT INC   COMMON      466313103       1533    53750 SHARES                  X                 3       46444      0    7306
JOHNSON & JOHNSON   COMMON      478160104      12610   187751 SHARES                  X                 3      186851      0     900
JOHNSON CONTROLS
   INC              COMMON      478366107        167     3000 SHARES                  X                 3        3000      0       0
JPMORGAN CHASE & CO COMMON      46625H100       2691    77783 SHARES                  X                 3       76263      0    1520
JPMORGAN CHASE & CO COMMON      46625H100         73     2123 SHARES                           X        3        1350      0     773
KERR MCGEE CORP     COMMON      492386107       3628    46317 SHARES                  X                 3       46317      0       0
KEYCORP             COMMON      493267108        162     5000 SHARES                           X        3        4000      0    1000
KIMBERLY CLARK CORP COMMON      494368103       3199    48675 SHARES                  X                 3       48675
KINDER MORGAN INC   COMMON      49455P101          8      100 SHARES                  X                 3         100      0       0


                                    27 of 44




                                                                                        
KINETIC CONCEPTS
   INC              COMMON      49460W208       5105    85580 SHARES                  X                 3       85580      0       0
KOHLS CORP          COMMON      500255104        258     5000 SHARES                  X                 3        5000      0       0
KORN/FERRY INTL     COMMON      500643200        756    39700 SHARES                  X                 3       39700      0       0
KRAFT FOODS INC CL
   A                COMMON      50075N104         53     1600 SHARES                  X                 3        1600      0       0
KRAFT FOODS INC CL
   A                COMMON      50075N104         23      700 SHARES                           X        3         700      0       0
KROGER CO           COMMON      501044101          4      250 SHARES                  X                 3         250
LABOR READY INC     COMMON      505401208        483    25900 SHARES                  X                 3       25900      0       0
LAM RESH CORP       COMMON      512807108        574    19900 SHARES                  X                 3       19900      0       0
LAUDER ESTEE CO CL
   A                COMMON      518439104       8447   187800 SHARES                  X                 3      187800      0       0
LAUREATE EDUCATION
   INC              COMMON      518613104       5549   129675 SHARES                  X                 3      129675      0       0
LEAR CORP           COMMON      521865105        131     2950 SHARES                  X                 3        2950      0       0
LEAR CORP           COMMON      521865105         49     1100 SHARES                           X        3        1100      0       0
LEHMAN BROTHERS
   HLDGS INC        COMMON      524908100       5395    57295 SHARES                  X                 3       55855      0    1440
LEHMAN BROTHERS
   HLDGS INC        COMMON      524908100        113     1200 SHARES                           X        3        1200      0       0
LEVITT CORPORATION  COMMON      52742P108        240     9325 SHARES                  X                 3        9325      0       0
LILLY ELI & CO      COMMON      532457108       1310    25157 SHARES                  X                 3       18006      0    7151
LINCOLN NATL CORP
   IND              COMMON      534187109       7497   166073 SHARES                  X                 3      166073      0       0
LIZ CLAIBORNE INC   COMMON      539320101         80     2000 SHARES                           X        3        2000      0       0
LOCKHEED MARTIN
   CORPORATION      COMMON      539830109       9407   154064 SHARES                  X                 3      154064      0       0
LOEWS CORP          COMMON      540424108       3714    50500 SHARES                  X                 3       50500
LOWES COS INC       COMMON      548661107        847    14836 SHARES                  X                 3       12106      0    2730
LUBRIZOL CORP       COMMON      549271104         81     2000 SHARES                           X        3        2000      0       0
LUCENT TECHNOLOGIES
   INC              COMMON      549463107         16     5852 SHARES                  X                 3        4316      0    1536
LUCENT TECHNOLOGIES
   INC              COMMON      549463107          5     1828 SHARES                           X        3        1828      0       0
MANITOWOC CO INC    COMMON      563571108         93     2300 SHARES                  X                 3        2300      0       0
MARATHON OIL CORP   COMMON      565849106       1606    34210 SHARES                  X                 3       34210      0       0
MARSHALL & ILSLEY
   CORP             COMMON      571834100        150     3600 SHARES                           X        3           0      0    3600
MARVEL ENTERPRISES  COMMON      57383M108        776    38800 SHARES                  X                 3       38800      0       0
MASCO CORP          COMMON      574599106       7548   217699 SHARES                  X                 3      217699      0       0
MASCO CORP          COMMON      574599106         90     2600 SHARES                           X        3        2600      0       0
MATRIXONE INC       COMMON      57685P304         57    12000 SHARES                  X                 3       12000      0       0
MATTEL INC          COMMON      577081102          5      240 SHARES                  X                 3         240
MATTSON TECHNOLOGY
   INCORPORATED     COMMON      577223100         81    10200 SHARES                  X                 3       10200      0       0
MAXTOR CORP  NEW    COMMON      577729205        632   118900 SHARES                  X                 3      118900      0       0
MCCORMICK & CO INC  COMMON      579780107          2       50 SHARES                  X                 3          50      0       0
MEDCO HEALTH
   SOLUTIONS INC    COMMON      58405U102         39      789 SHARES                           X        3         789      0       0
MEDTRONIC INC       COMMON      585055106       5741   112682 SHARES                  X                 3      108089      0    4593
MERCANTILE
   BANKSHARES CORP  COMMON      587405101        122     2400 SHARES                           X        3           0      0    2400
MERCK & CO INC      COMMON      589331107       2734    84465 SHARES                  X                 3       81120      0    3345
MERCK & CO INC      COMMON      589331107         32     1000 SHARES                           X        3           0      0    1000
MERRILL LYNCH & CO
   INC              COMMON      590188108          3       50 SHARES                  X                 3          50
MESABI TRUST        COMMON      590672101         93     6200 SHARES                  X                 3        6200      0       0
MGI PHARMA INC      COMMON      552880106         58     2300 SHARES                  X                 3        2300      0       0
MGIC INVT CORP      COMMON      552848103       1258    20400 SHARES                  X                 3       20400
MICREL INC          COMMON      594793101         26     2800 SHARES                  X                 3        2800      0       0
MICROSOFT CORP      COMMON      594918104      18277   756183 SHARES                  X                 3      730419      0   25764
MICROSOFT CORP      COMMON      594918104        104     4300 SHARES                           X        3        1800      0    2500
MORGAN STANLEY      COMMON      617446448         89     1543 SHARES                  X                 3        1543      0       0
MORGAN STANLEY      COMMON      617446448         24      424 SHARES                           X        3         424      0       0
MOTOROLA INC        COMMON      620076109       3740   249861 SHARES                  X                 3      238831      0   11030
MOTOROLA INC        COMMON      620076109        180    12000 SHARES                           X        3       12000      0       0
NASH FINCH CO       COMMON      631158102        597    15700 SHARES                  X                 3       15700      0       0
NAVARRE CORPORATION COMMON      639208107        111    13900 SHARES                  X                 3       13900      0       0
NEENAH PAPER INC    COMMON      640079109          0        3 SHARES                  X                 3           3
NEW CENTURY
   FINANCIAL CORP   COMMON      6435EV108        941    20100 SHARES                  X                 3       20100      0       0
NEWELL RUBBERMAID
   INC              COMMON      651229106          5      250 SHARES                  X                 3         250      0       0
NOBLE ENERGY INC    COMMON      655044105       2510    36900 SHARES                  X                 3       36900
NOBLE INTERNATIONAL
   LIMITED          COMMON      655053106         84     3700 SHARES                  X                 3        3700      0       0
NORFOLK SOUTHN CORP COMMON      655844108         17      450 SHARES                           X        3         450      0       0
NORTHERN BORDER
   PARTNERS LP UNIT
   LTD              COMMON      664785102        241     5000 SHARES                  X                 3        5000      0       0
NORTHROP GRUMMAN
   CORP             COMMON      666807102       3453    63947 SHARES                  X                 3       63947      0       0
NORTHROP GRUMMAN
   CORP             COMMON      666807102         54     1000 SHARES                           X        3         400      0     600
NOVATEL WIRELESS
   INC              COMMON      66987M604         30     2800 SHARES                  X                 3        2800      0       0
NOVELL INC          COMMON      670006105       6266  1051333 SHARES                  X                 3     1051333      0       0
NPS PHARMACEUTICALS
   INCORPORATED     COMMON      62936P103        107     8500 SHARES                  X                 3        8500      0       0
NUVELO INC          COMMON      67072M301        109    16800 SHARES                  X                 3       16800      0       0
OFFSHORE LOGISTICS
   INCORPORATED     COMMON      676255102        623    18700 SHARES                  X                 3       18700      0       0
ON SEMICONDUCTOR
   CORPORATION      COMMON      682189105         56    14100 SHARES                  X                 3       14100      0       0
OPEN SOLUTIONS INC  COMMON      68371P102         36     1800 SHARES                  X                 3        1800      0       0
OPENTV CORPORATION
   CLASS A          COMMON      G67543101         38    13500 SHARES                  X                 3       13500      0       0
OPSWARE, INC.       COMMON      68383A101        811   157080 SHARES                  X                 3      157080      0       0
ORACLE CORPORATION  COMMON      68389X105        928    74370 SHARES                  X                 3       64100      0   10270
PACCAR INC          COMMON      693718108        434     6000 SHARES                  X                 3        6000      0       0
PACIFICARE HEALTH
   SYS INC          COMMON      695112102       6159   108214 SHARES                  X                 3      108214      0       0


                                    28 of 44




                                                                                         
PACKETEER INC       COMMON      695210104         46     3000 SHARES                  X                 3        3000      0       0
PARALLEL PETROLEUM
   CORPORATION      COMMON      699157103         37     5100 SHARES                  X                 3        5100      0       0
PEDIATRIX MEDICAL
   GROUP INC        COMMON      705324101        858    12500 SHARES                  X                 3       12500      0       0
PENNEY J C CO INC   COMMON      708160106        104     2000 SHARES                           X        3        2000      0       0
PEOPLESUPPORT INC   COMMON      712714302         86     9800 SHARES                  X                 3        9800      0       0
PEPCO HOLDINGS INC  COMMON      713291102         85     4027 SHARES                  X                 3        4027      0       0
PEPSICO INC         COMMON      713448108       7676   144754 SHARES                  X                 3      136621      0    8133
PETROHAWK ENERGY
   CORP             COMMON      716495106         70     6700 SHARES                  X                 3        6700      0       0
PETSMART INC        COMMON      716768106       6866   238750 SHARES                  X                 3      231830      0    6920
PFIZER INC          COMMON      717081103      15900   605261 SHARES                  X                 3      604561      0     700
PFIZER INC          COMMON      717081103        560    21305 SHARES                           X        3       20325      0     980
PHH CORPORATION     COMMON      693320202          5      223 SHARES                  X                 3          13      0     210
PITNEY BOWES INC    COMMON      724479100       2306    51100 SHARES                  X                 3       51100      0       0
PITNEY BOWES INC    COMMON      724479100         56     1250 SHARES                           X        3        1250      0       0
PLACER SIERRA
   BANCSHARES       COMMON      726079106         92     4000 SHARES                  X                 3        4000      0       0
PNC FINL SVCS GROUP COMMON      693475105         21      400 SHARES                  X                 3           0      0     400
PNC FINL SVCS GROUP COMMON      693475105        165     3200 SHARES                           X        3        3200      0       0
POLYCOM INC COM     COMMON      73172K104       2149   126800 SHARES                  X                 3      126800      0       0
PRAXAIR INC         COMMON      74005P104        191     4000 SHARES                  X                 3        4000      0       0
PROCTER & GAMBLE CO COMMON      742718109       8571   161703 SHARES                  X                 3      153558      0    8145
PROCTER & GAMBLE CO COMMON      742718109        297     5600 SHARES                           X        3           0      0    5600
PROGRESS ENERGY INC COMMON      743263105         17      400 SHARES                  X                 3           0      0     400
PSYCHIATRIC
   SOLUTIONS INC    COMMON      74439H108       1407    30600 SHARES                  X                 3       30600      0       0
QC HOLDINGS INC     COMMON      74729T101          8      500 SHARES                  X                 3         500      0       0
QUALM INC           COMMON      747525103       1021    27897 SHARES                  X                 3       24087      0    3810
RADIAN GROUP INC    COMMON      750236101       2797    58600 SHARES                  X                 3       58600
RADWARE LTD         COMMON      M81873107         40     1700 SHARES                  X                 3        1700      0       0
RAVEN INDUSTRIES
   INC              COMMON      754212108         57     2800 SHARES                  X                 3        2800      0       0
RAYTHEON CO         COMMON      755111507       1887    48757 SHARES                  X                 3       48757      0       0
REGISTER  INC       COMMON      75914G101        245    41900 SHARES                  X                 3       41900      0       0
RELIANT ENERGY INC  COMMON      75952B105         27     2365 SHARES                           X        3        2365      0       0
ROSS STORES INC     COMMON      778296103       5171   177450 SHARES                  X                 3      177450      0       0
ROWAN COS INC       COMMON      779382100         18      600 SHARES                           X        3         600      0       0
SARA LEE CORP       COMMON      803111103        155     7000 SHARES                           X        3        5000      0    2000
SBC MUNICATIONS INC COMMON      78387G103         33     1395 SHARES                  X                 3        1395      0       0
SCANA CORP          COMMON      80589M102        252     6600 SHARES                  X                 3        6600      0       0
SCHERING PLOUGH
   CORP             COMMON      806605101          9      480 SHARES                           X        3         480      0       0
SCHLUMBERGER LTD    COMMON      806857108        391     5550 SHARES                  X                 3        5550
SEACHANGE INTL INC  COMMON      811699107         69     5300 SHARES                  X                 3        5300      0       0
SEARS ROEBUCK & CO  COMMON      812387108         53     1050 SHARES                  X                 3        1050      0       0
SHORE BANCSHARES,
   INC.             COMMON      825107105          0        9 SHARES                  X                 3           9      0       0
SIMON PROPERTY
   GROUP INC (REIT) COMMON      828806109         79     1300 SHARES                  X                 3        1300      0       0
SKYWORKS
   SOLUTIONSINC     COMMON      83088M102        814   128200 SHARES                  X                 3      128200      0       0
SOLECTRON CORP      COMMON      834182107         28     8140 SHARES                  X                 3        8140      0       0
SONUS NETWORKS INC  COMMON      835916107         83    19600 SHARES                  X                 3       19600      0       0
SOUTHERN CO         COMMON      842587107         32     1000 SHARES                  X                 3           0      0    1000
SOUTHWEST AIRLINES
   CO               COMMON      844741108       1147    80540 SHARES                  X                 3       70983      0    9557
SOUTHWESTERN ENERGY
   COMPANY          COMMON      845467109         85     1500 SHARES                  X                 3        1500      0       0
SPATIALIGHT INC     COMMON      847248101         38     7600 SHARES                  X                 3        7600      0       0
SPRINT CORP         COMMON      852061100       2533   111300 SHARES                  X                 3      111300
SPX CORP            COMMON      784635104          4      100 SHARES                  X                 3         100
ST JOE CORP         COMMON      790148100       5527    82108 SHARES                  X                 3       81108      0    1000
ST JOE CORP         COMMON      790148100         34      500 SHARES                           X        3         500      0       0
ST PAUL TRAVELERS
   COMPANIES INC    COMMON      792860108          4      120 SHARES                  X                 3         120
STANLEY WORKS       COMMON      854616109       1163    25700 SHARES                  X                 3       25700      0       0
STAPLES INC         COMMON      855030102       7125   226700 SHARES                  X                 3      226700      0       0
STELLENT
   INCORPORATED     COMMON      85856W105         50     6000 SHARES                  X                 3        6000      0       0
SUNTERRA
   CORPORATION      COMMON      86787D208        112     7400 SHARES                  X                 3        7400      0       0
SUNTRUST BKS INC    COMMON      867914103        116     1603 SHARES                           X        3           0      0    1603
SYBRON DENTAL
   SPECIALTIES INC  COMMON      871142105         97     2700 SHARES                  X                 3        2700      0       0
SYMANTEC CORP       COMMON      871503108       5448   254337 SHARES                  X                 3      254337      0       0
SYNOPSYS INC        COMMON      871607107       5000   276194 SHARES                  X                 3      272484      0    3710
SYSCO CORP          COMMON      871829107       6850   191316 SHARES                  X                 3      186572      0    4744
TARGET CORP         COMMON      87612E106       1382    27618 SHARES                  X                 3       23751      0    3867
TECHNOLOGY RESEARCH
   CORPORATION      COMMON      878727304         11     2100 SHARES                  X                 3        2100      0       0
TESORO CORP         COMMON      881609101       1532    41400 SHARES                  X                 3       41400      0       0
TEXAS INSTRUMENTS
   INC              COMMON      882508104         29     1160 SHARES                  X                 3         160      0    1000
TIBCO SOFTWARE INC  COMMON      88632Q103         54     7300 SHARES                  X                 3        7300      0       0
TIME WARNER INC     COMMON      887317105         36     2055 SHARES                  X                 3        1455      0     600
TOLL BROS INC       COMMON      889478103       8200   104000 SHARES                  X                 3      104000      0       0
TRANSACTION SYS
   ARCHITECTS INC   COMMON      893416107         60     2600 SHARES                  X                 3        2600      0       0
TRANSOCEAN INC      COMMON      G90078109        211     4099 SHARES                  X                 3        4099      0       0
TRANSOCEAN INC      COMMON      G90078109        123     2387 SHARES                           X        3        2387      0       0
U S BANCORP DEL     COMMON      902973304        447    15500 SHARES                  X                 3       15500      0       0


                                    29 of 44




                                                                                        
UCBH HOLDINGS INC   COMMON      90262T308        790    19800 SHARES                  X                 3       19800      0       0
UNION PACIFIC CORP  COMMON      907818108       2357    33800 SHARES                  X                 3       33800      0       0
UNITED DOMINION
   REALTY TRUST
   (REIT)           COMMON      910197102         35     1700 SHARES                  X                 3        1700      0       0
UNITED PARCEL
   SERVICE CL B     COMMON      911312106       7365   101252 SHARES                  X                 3       97551      0    3701
UNITED SURGICAL
   PARTNERS INTL    COMMON      913016309       1156    25250 SHARES                  X                 3       25250      0       0
UNITED TECHNOLOGIES
   CORP             COMMON      913017109        984     9675 SHARES                  X                 3        9675      0       0
UNITED TECHNOLOGIES
   CORP             COMMON      913017109        227     2232 SHARES                           X        3        2232      0       0
UNOCAL CORP         COMMON      915289102         62     1000 SHARES                           X        3        1000      0       0
URS CORP            COMMON      903236107        365    47600 SHARES                  X                 3       47600      0       0
UST INC             COMMON      902911106         26      500 SHARES                  X                 3         500      0       0
VALERO L P          COMMON      91913W104        422     7000 SHARES                  X                 3        7000      0       0
VERISIGN INC        COMMON      92343E102      10041   349807 SHARES                  X                 3      344187      0    5620
VERITAS SOFTWARE
   CORP             COMMON      923436109       1016    43720 SHARES                  X                 3       37731      0    5989
VERIZON MUNICATIONS COMMON      92343V104       4516   127203 SHARES                  X                 3      126493      0     710
VERIZON MUNICATIONS COMMON      92343V104        167     4701 SHARES                           X        3        2901      0    1800
VIACOM INC CL B     COMMON      925524308       5723   164345 SHARES                  X                 3      159590      0    4755
WACHOVIA CORP       COMMON      929903102       6875   135014 SHARES                  X                 3      135014      0       0
WAL MART STORES INC COMMON      931142103       8917   177932 SHARES                  X                 3      166895      0   11037
WAL MART STORES INC COMMON      931142103         40      800 SHARES                           X        3         500      0     300
WALT DISNEY CO      COMMON      254687106         38     1300 SHARES                  X                 3         300      0    1000
WALT DISNEY CO      COMMON      254687106        271     9441 SHARES                           X        3        9441      0       0
WASHINGTON MUTUAL   COMMON      939322103          8      200 SHARES                  X                 3         200
WELLS FARGO & CO    COMMON      949746101       3555    59434 SHARES                  X                 3       59434      0       0
WELLS FARGO & CO    COMMON      949746101         24      400 SHARES                           X        3         400      0       0
WERNER ENTERPRISES
   INC              COMMON      950755108       6773   348557 SHARES                  X                 3      344017      0    4540
WESCO INTERNATIONAL
   INCORPORATED     COMMON      95082P105         25      900 SHARES                  X                 3         900      0       0
WESTELL
   TECHNOLOGIES INC COMMON      957541105         41     7400 SHARES                  X                 3        7400      0       0
WGL HLDGS INC       COMMON      92924F106        564    18228 SHARES                  X                 3       18228      0       0
WINNEBAGO
   INDUSTRIES       COMMON      974637100         19      600 SHARES                  X                 3         600      0       0
WRIGLEY WM JR CO    COMMON      982526105        197     3000 SHARES                           X        3        2000      0    1000
WYETH               COMMON      983024100       8051   190851 SHARES                  X                 3      189851      0    1000
WYETH               COMMON      983024100         97     2300 SHARES                           X        3        1100      0    1200
XEROX CORP          COMMON      984121103       1000    66000 SHARES                  X                 3       65800      0     200
ZIMMER HLDGS INC    COMMON      98956P102         62      800 SHARES                           X        3         800      0       0
ZOLTEK COS INC      COMMON      98975W104        102     8400 SHARES                  X                 3        8400      0       0
ACTIVE POWER, INC.  COMMON      00504W100        124    38200 SHARES                  X                 3       38200
ACUITY BRANDS, INC. COMMON      00508Y102        637    23600 SHARES                  X                 3       23600
ADVANTA CORP.,
   CLASS B          COMMON      007942204       1014    44100 SHARES                  X                 3       44100
AFFILIATED MANAGERS
   GROUP            COMMON      008252108       1067    17200 SHARES                  X                 3       17200
AFFYMETRIX, INC.    COMMON      00826T108        707    16500 SHARES                  X                 3       16500
AGCO CORP.          COMMON      001084102        568    31100 SHARES                  X                 3       31100
ALASKA AIR GROUP,
   INC.             COMMON      011659109        403    13700 SHARES                  X                 3       13700
ALBANY
   INTERNATIONAL
   CORP., CLASS A   COMMON      012348108       1010    32700 SHARES                  X                 3       32700
ALBEMARLE CORP.     COMMON      012653101        873    24000 SHARES                  X                 3       24000
ALKERMES, INC.      COMMON      01642T108        644    62000 SHARES                  X                 3       62000
ALLIANCE IMAGING,
   INC.             COMMON      018606202        289    30300 SHARES                  X                 3       30300
ALPHARMA, INC.,
   CLASS A          COMMON      020813101        611    49600 SHARES                  X                 3       49600
ALTERA CORP.        COMMON      021441100       1313    66400 SHARES                  X                 3       66400
AMERADA-HESS CORP.  COMMON      023551104       1212    12600 SHARES                  X                 3       12600
AMERICAN AXLE &
   MANUFACTURING
   HOLDINGS, INC.   COMMON      024061103        595    24300 SHARES                  X                 3       24300
AMERICAN ECOLOGY,
   INC.             COMMON      025533407        128    10800 SHARES                  X                 3       10800
AMERICAN ELECTRIC
   POWER CO., INC.  COMMON      025537101       1029    30200 SHARES                  X                 3       30200
AMERICAN GREETINGS
   CORP., CLASS A   COMMON      026375105        703    27600 SHARES                  X                 3       27600
AMERIGROUP CORP.    COMMON      03073T102       1053    28800 SHARES                  X                 3       28800
AMERON, INC.        COMMON      030710107        554    15400 SHARES                  X                 3       15400
AMERUS GROUP CO.    COMMON      03072M108       1247    26400 SHARES                  X                 3       26400
APPLERA CORP.-
   APPLIED
   BIOSYSTEMS GROUP COMMON      038020103        434    22000 SHARES                  X                 3       22000
AQUANTIVE, INC.     COMMON      03839G105        660    59600 SHARES                  X                 3       59600
ARCHER-DANIELS-
   MIDLAND CO.      COMMON      039483102       1197    48700 SHARES                  X                 3       48700
ARTHROCARE
   CORPORATION      COMMON      043136100        160     5600 SHARES                  X                 3        5600
ARVINMERITOR, INC.  COMMON      043353101        449    29000 SHARES                  X                 3       29000
ASPEN TECHNOLOGY,
   INC.             COMMON      045327103        517    91100 SHARES                  X                 3       91100
ATARI, INC.         COMMON      04651M105        125    39400 SHARES                  X                 3       39400
AUTOLIV INC.        COMMON      052800109        977    20500 SHARES                  X                 3       20500
AVISTA CORP.        COMMON      05379B107        445    25400 SHARES                  X                 3       25400
BANDAG INC.         COMMON      059815100        432     9200 SHARES                  X                 3        9200
BANK OF HAWAII
   CORP.            COMMON      062540109        127     2800 SHARES                  X                 3        2800
BANK OF THE OZARKS,
   INC.             COMMON      063904106        117     3700 SHARES                  X                 3        3700
BANTA CORP.         COMMON      066821109       1019    23800 SHARES                  X                 3       23800
BARNES & NOBLE,
   INC.             COMMON      067774109        507    14700 SHARES                  X                 3       14700
BEAR STEARNS COS.,
   INC.             COMMON      073902108       1009    10100 SHARES                  X                 3       10100
BEDFORD PROPERTY
   INVESTORS, INC.  COMMON      076446301         57     2600 SHARES                  X                 3        2600
BEVERLY
   ENTERPRISES,
   INC.             COMMON      087851309        881    71200 SHARES                  X                 3       71200
BIOSCRIP, INC.      COMMON      09069N108         24     4000 SHARES                  X                 3        4000


                                    30 of 44




                                                                                      
BJ'S RESTAURANTS,
   INC.             COMMON      09180C106         91     4700 SHARES                  X                 3        4700
BJ'S WHOLESALE
   CLUB, INC.       COMMON      05548J106        643    20700 SHARES                  X                 3       20700
BLACK BOX CORP.     COMMON      091826107        415    11100 SHARES                  X                 3       11100
BLUE NILE, INC.     COMMON      09578R103        503    18200 SHARES                  X                 3       18200
BLYTH INDUSTRIES,
   INC.             COMMON      09643P108        404    12700 SHARES                  X                 3       12700
BORGWARNER, INC.    COMMON      099724106       1178    24200 SHARES                  X                 3       24200
BOYKIN LODGING CO.  COMMON      103430104        524    55000 SHARES                  X                 3       55000
BRIGHTPOINT, INC.   COMMON      109473405        526    28100 SHARES                  X                 3       28100
BROADVISION, INC.   COMMON      111412607         78    45900 SHARES                  X                 3       45900
BROOKS AUTOMATION,
   INC.             COMMON      114340102       1184    78000 SHARES                  X                 3       78000
BUCKEYE
   TECHNOLOGIES
   INC.             COMMON      118255108        468    43300 SHARES                  X                 3       43300
BUFFALO WILD WINGS,
   INC.             COMMON      119848109        318     8400 SHARES                  X                 3        8400
C.H. ROBINSON
   WORLDWIDE, INC.  COMMON      12541W100        536    10400 SHARES                  X                 3       10400
CABOT
   MICROELECTRONICS
   CORP.            COMMON      12709P103        157     5000 SHARES                  X                 3        5000
CADENCE DESIGN
   SYSTEMS, INC.    COMMON      127387108        659    44100 SHARES                  X                 3       44100
CAPITALSOURCE INC.  COMMON      14055X102       1040    45200 SHARES                  X                 3       45200
CAREER EDUCATION
   CORP.            COMMON      141665109        726    21200 SHARES                  X                 3       21200
CASCADE BANCORP     COMMON      147154108        328    16900 SHARES                  X                 3       16900
CASCADE CORP.       COMMON      147195101        777    22200 SHARES                  X                 3       22200
CATO CORP., CLASS A COMMON      149205106        926    28700 SHARES                  X                 3       28700
CDW CORP.           COMMON      12512N105       1519    26800 SHARES                  X                 3       26800
CELL GENESYS, INC.  COMMON      150921104        598   132029 SHARES                  X                 3      132029
CENTURYTEL, INC.    COMMON      156700106        913    27800 SHARES                  X                 3       27800
CERES GROUP, INC.   COMMON      156772105        469    86300 SHARES                  X                 3       86300
CHECKERS DRIVE-IN
   RESTAURANT, INC. COMMON      162809305        515    39000 SHARES                  X                 3       39000
CHECKPOINT SYSTEMS,
   INC.             COMMON      162825103        490    29000 SHARES                  X                 3       29000
CHICOS FAS, INC.    COMMON      168615102        899    31800 SHARES                  X                 3       31800
CHIQUITA BRANDS
   INTERNATIONAL    COMMON      170032809        967    36100 SHARES                  X                 3       36100
CHRISTOPHER & BANKS
   CORP.            COMMON      171046105        418    23750 SHARES                  X                 3       23750
CIGNA CORP.         COMMON      125509109       1214    13600 SHARES                  X                 3       13600
CINCINNATI
   FINANCIAL CORP.  COMMON      172062101       1016    23300 SHARES                  X                 3       23300
CITY HOLDING CO.    COMMON      177835105        390    13200 SHARES                  X                 3       13200
CLECO CORP.         COMMON      12561W105        494    23200 SHARES                  X                 3       23200
CLEVELAND CLIFFS,
   INC.             COMMON      185896107        496     6800 SHARES                  X                 3        6800
COGNEX CORP.        COMMON      192422103        177     7100 SHARES                  X                 3        7100
COGNIZANT
   TECHNOLOGY
   SOLUTIONS CORP.  COMMON      192446102        337     7300 SHARES                  X                 3        7300
COLONIAL BANCGROUP,
   INC.             COMMON      195493309       1075    52400 SHARES                  X                 3       52400
COMERICA, INC.      COMMON      200340107        914    16600 SHARES                  X                 3       16600
COMMERCE
   BANCSHARES, INC. COMMON      200525103        448     9300 SHARES                  X                 3        9300
COMMERCE GROUP,
   INC.             COMMON      200641108       1388    22400 SHARES                  X                 3       22400
COMMERCIAL FEDERAL
   CORP.            COMMON      201647104        791    28600 SHARES                  X                 3       28600
COMMUNITY HEALTH
   SYSTEMS, INC.    COMMON      203668108        524    15000 SHARES                  X                 3       15000
COMPUTER SCIENCES
   CORP.            COMMON      205363104        816    17800 SHARES                  X                 3       17800
COOPER TIRE &
   RUBBER CO.       COMMON      216831107        386    21000 SHARES                  X                 3       21000
CORILLIAN CORP.     COMMON      218725109        407   117090 SHARES                  X                 3      117090
CORIXA, CORP.       COMMON      21887F100        299    97300 SHARES                  X                 3       97300
CORN PRODUCTS
   INTERNATIONAL,
   INC.             COMMON      219023108       1305    50200 SHARES                  X                 3       50200
CORUS BANKSHARES,
   INC.             COMMON      220873103        477    10000 SHARES                  X                 3       10000
COST PLUS, INC.     COMMON      221485105        398    14800 SHARES                  X                 3       14800
COUNTRYWIDE
   FINANCIAL CORP.  COMMON      222372104       4435   136640 SHARES                  X                 3      136640
CRANE CO.           COMMON      224399105        504    17500 SHARES                  X                 3       17500
CREDENCE SYSTEMS
   CORP.            COMMON      225302108       1011   127820 SHARES                  X                 3      127820
CRESCENT REAL
   ESTATE EQUITIES,
   INC.             COMMON      225756105        806    49300 SHARES                  X                 3       49300
CROMPTON CORP.      COMMON      227116100       1099    75300 SHARES                  X                 3       75300
CRT PROPERTIES,
   INC.             COMMON      22876P109        425    19500 SHARES                  X                 3       19500
CSG SYSTEMS
   INTERNATIONAL,
   INC.             COMMON      126349109        437    26800 SHARES                  X                 3       26800
CUBIST
   PHARMACEUTICALS,
   INC.             COMMON      229678107        859    80900 SHARES                  X                 3       80900
CUMMINS, INC.       COMMON      231021106        872    12400 SHARES                  X                 3       12400
CUMULUS MEDIA,
   INC., CLASS A    COMMON      231082108        884    62000 SHARES                  X                 3       62000
CYMER, INC.         COMMON      232572107        479    17900 SHARES                  X                 3       17900
CYTYC CORPORATION   COMMON      232946103       1180    51300 SHARES                  X                 3       51300
DANA CORP.          COMMON      235811106        703    55000 SHARES                  X                 3       55000
DARDEN RESTAURANTS,
   INC.             COMMON      237194105        414    13500 SHARES                  X                 3       13500
DENDREON CORP.      COMMON      24823Q107        441    80900 SHARES                  X                 3       80900
DIGIMARC CORP.      COMMON      253807101        654   106400 SHARES                  X                 3      106400
DISCOVERY
   LABORATORIES,
   INC.             COMMON      254668106        112    19900 SHARES                  X                 3       19900
DOLLAR THRIFTY
   AUTOMOTIVE GROUP COMMON      256743105        908    27700 SHARES                  X                 3       27700
DOLLAR TREE STORES,
   INC.             COMMON      256747106       1316    45800 SHARES                  X                 3       45800
DUQUESNE LIGHT
   HOLDINGS, INC.   COMMON      266233105        968    54000 SHARES                  X                 3       54000
E*TRADE GROUP, INC. COMMON      269246104       2110   175800 SHARES                  X                 3      175800
EARTHLINK NETWORK,
   INC.             COMMON      270321102        537    59700 SHARES                  X                 3       59700
EASTMAN CHEMICAL
   CO.              COMMON      277432100       1068    18100 SHARES                  X                 3       18100
EASTMAN KODAK CO.   COMMON      277461109       1061    32600 SHARES                  X                 3       32600
EDISON
   INTERNATIONAL    COMMON      281020107       1142    32900 SHARES                  X                 3       32900


                                    31 of 44




                                                                                         
EDWARDS(AG), INC.   COMMON      281760108       7468   171902 SHARES                  X                 3      167195           4707
EL PASO ELECTRIC
   CO.              COMMON      283677854        703    37000 SHARES                  X                 3       37000
ELECTROGLAS, INC.   COMMON      285324109         74    18700 SHARES                  X                 3       18700
ELECTRONICS
   BOUTIQUE
   HOLDINGS CORP.   COMMON      286045109       1238    28800 SHARES                  X                 3       28800
ELECTRONICS FOR
   IMAGING, INC.    COMMON      286082102       1126    63100 SHARES                  X                 3       63100
EMULEX CORP.        COMMON      292475209        690    36600 SHARES                  X                 3       36600
ENCORE CAPITAL
   GROUP, INC.      COMMON      292554102        368    25300 SHARES                  X                 3       25300
ENERGIZER HOLDINGS,
   INC.             COMMON      29266R108        742    12400 SHARES                  X                 3       12400
ENPRO INDUSTRIES,
   INC.             COMMON      29355X107        465    16900 SHARES                  X                 3       16900
EPICOR SOFTWARE
   CORP.            COMMON      29426L108        114     8700 SHARES                  X                 3        8700
EURONET WORLDWIDE,
   INC.             COMMON      298736109        585    20500 SHARES                  X                 3       20500
EXACT SCIENCES
   CORP.            COMMON      30063P105        158    44300 SHARES                  X                 3       44300
EXPRESSJET
   HOLDINGS, INC.   COMMON      30218U108        407    35700 SHARES                  X                 3       35700
FASTENAL CO.        COMMON      311900104        498     9000 SHARES                  X                 3        9000
FEDERATED
   DEPARTMENT
   STORES, INC.     COMMON      31410H101       1177    18500 SHARES                  X                 3       18500
FEI CO.             COMMON      30241L109       1153    49800 SHARES                  X                 3       49800
FIRST CHARTER CORP. COMMON      319439105        583    25800 SHARES                  X                 3       25800
FIRST FINANCIAL
   BANCORP          COMMON      320209109        841    46100 SHARES                  X                 3       46100
FLAGSTAR BANCORP,
   INC.             COMMON      337930101        653    33400 SHARES                  X                 3       33400
FULLER (H.B.) CO.   COMMON      359694106        516    17800 SHARES                  X                 3       17800
FURNITURE BRANDS
   INTERNATIONAL,
   INC.             COMMON      360921100        325    14900 SHARES                  X                 3       14900
GAMESTOP CORP.      COMMON      36466R200        139     6245 SHARES                  X                 3        6245
GATX CORP.          COMMON      361448103       1321    39800 SHARES                  X                 3       39800
GENESIS MICROCHIP,
   INC.             COMMON      37184C103       1315    91000 SHARES                  X                 3       91000
GENWORTH FINANCIAL  COMMON      37247D106       1450    52700 SHARES                  X                 3       52700
GEORGIA GULF CORP.  COMMON      373200203        860    18700 SHARES                  X                 3       18700
GEORGIA-PACIFIC
   CORP.            COMMON      373298108       1022    28800 SHARES                  X                 3       28800
GLACIER BANCORP,
   INC.             COMMON      37637Q105        212     6961 SHARES                  X                 3        6961
GOODRICH (B.F.) CO. COMMON      382388106       1172    30600 SHARES                  X                 3       30600
GOODYEAR TIRE &
   RUBBER CO.       COMMON      382550101        756    56600 SHARES                  X                 3       56600
GRANT PRIDECO, INC. COMMON      38821G101        360    14900 SHARES                  X                 3       14900
GREATER BAY BANCORP COMMON      391648102        845    34600 SHARES                  X                 3       34600
GREENHILL & CO.,
   INC.             COMMON      395259104        351     9800 SHARES                  X                 3        9800
GREIF BROTHERS
   CORP., CLASS A   COMMON      397624107        962    13800 SHARES                  X                 3       13800
GRIFFON CORP.       COMMON      398433102        734    34300 SHARES                  X                 3       34300
GUILFORD
   PHARMACEUTICALS,
   INC.             COMMON      401829106        248   107900 SHARES                  X                 3      107900
HARMONIC
   LIGHTWAVES, INC. COMMON      413160102        239    25000 SHARES                  X                 3       25000
HASBRO, INC.        COMMON      418056107        930    45500 SHARES                  X                 3       45500
HEADWATERS, INC.    COMMON      42210P102        614    18700 SHARES                  X                 3       18700
HENRY JACK &
   ASSOCIATES, INC. COMMON      426281101        678    37700 SHARES                  X                 3       37700
HIGHWOODS
   PROPERTIES, INC. COMMON      431284108        475    17700 SHARES                  X                 3       17700
HOLLY CORP.         COMMON      435758305       1208    32400 SHARES                  X                 3       32400
HOMESTORE.COM, INC. COMMON      437852106        427   192200 SHARES                  X                 3      192200
HORACE MANN
   EDUCATORS CORP.  COMMON      440327104        873    49200 SHARES                  X                 3       49200
HOT TOPIC, INC.     COMMON      441339108        736    33700 SHARES                  X                 3       33700
HRPT PROPERTIES
   TRUST            COMMON      40426W101       1257   105500 SHARES                  X                 3      105500
HUNTINGTON
   BANCSHARES, INC. COMMON      446150104       1035    43300 SHARES                  X                 3       43300
IDENTIX, INC.       COMMON      451906101        152    30099 SHARES                  X                 3       30099
IKON OFFICE
   SOLUTIONS, INC.  COMMON      451713101        627    63400 SHARES                  X                 3       63400
IMMERSION CORP.     COMMON      452521107        833   138800 SHARES                  X                 3      138800
INDEPENDENCE
   COMMUNITY BANK   COMMON      453414104        679    17400 SHARES                  X                 3       17400
INDEPENDENT BANK
   CORP.- MICHIGAN  COMMON      453838104        739    25700 SHARES                  X                 3       25700
INDYMAC BANCORP,
   INC.             COMMON      456607100       1068    31400 SHARES                  X                 3       31400
INGRAM MICRO, INC.,
   CLASS A          COMMON      457153104        362    21700 SHARES                  X                 3       21700
INTEGRATED CIRCUIT
   SYSTEM, INC.     COMMON      45811K208        434    22700 SHARES                  X                 3       22700
INTEGRATED
   ELECTRICAL
   SERVICES         COMMON      45811E103        215    78000 SHARES                  X                 3       78000
IPAYMENT HOLDINGS,
   INC.             COMMON      46262E105        257     6100 SHARES                  X                 3        6100
ISIS
   PHARMACEUTICALS,
   INC.             COMMON      464330109        497   128400 SHARES                  X                 3      128400
ISTA
   PHARMACEUTICALS,
   INC.             COMMON      45031X204        163    16500 SHARES                  X                 3       16500
JEFFERSON-PILOT
   CORP.            COMMON      475070108       1010    20600 SHARES                  X                 3       20600
JUPITERMEDIA CORP.  COMMON      48207D101        602    38800 SHARES                  X                 3       38800
KCS ENERGY, INC.    COMMON      482434206        307    20000 SHARES                  X                 3       20000
KEYCORP             COMMON      493267108       1012    31200 SHARES                  X                 3       31200
KINDRED HEALTHCARE,
   INC.             COMMON      494580103         42     1200 SHARES                  X                 3        1200
KNOLL, INC.         COMMON      498904200        529    31700 SHARES                  X                 3       31700
KOMAG, INC.         COMMON      500453204        784    35100 SHARES                  X                 3       35100
KOSAN BIOSCIENCES,
   INC.             COMMON      50064W107        184    44800 SHARES                  X                 3       44800
LANDAMERICA
   FINANCIAL GROUP,
   INC.             COMMON      514936103       1191    23800 SHARES                  X                 3       23800
LANDRYS SEAFOOD
   RESTAURANTS,
   INC.             COMMON      51508L103        778    26900 SHARES                  X                 3       26900
LATTICE
   SEMICONDUCTOR
   CORP.            COMMON      518415104       1725   321200 SHARES                  X                 3      321200
LEADIS TECHNOLOGY,
   INC.             COMMON      52171N103         93    15600 SHARES                  X                 3       15600
LIBERTY MEDIA CORP  COMMON      530718105       1631   157300 SHARES                  X                 3      157300
LIFEPOINT
   HOSPITALS, INC.  COMMON      53219L109        903    20600 SHARES                  X                 3       20600
LIMITED, INC.       COMMON      532716107       1125    46300 SHARES                  X                 3       46300


                                    32 of 44




                                                                                      
LIONBRIDGE
   TECHNOLOGIES,
   INC.             COMMON      536252109        258    45300 SHARES                  X                 3       45300
LIVEPERSON, INC.    COMMON      538146101        119    45300 SHARES                  X                 3       45300
LONE STAR
   STEAKHOUSE &
   SALOON           COMMON      542307103       1015    35100 SHARES                  X                 3       35100
LONGS DRUG STORES
   CORP.            COMMON      543162101        729    21300 SHARES                  X                 3       21300
LUBRIZOL CORP.      COMMON      549271104        780    19200 SHARES                  X                 3       19200
M.D.C. HOLDINGS,
   INC.             COMMON      552676108        724    10400 SHARES                  X                 3       10400
M/I SCHOTTENSTEIN
   HOMES, INC.      COMMON      55305B101       1145    23400 SHARES                  X                 3       23400
MACROVISION CORP.   COMMON      555904101        631    27700 SHARES                  X                 3       27700
MAGMA DESIGN
   AUTOMATION       COMMON      559181102        423    35600 SHARES                  X                 3       35600
MARCHEX, INC.,
   CLASS B          COMMON      56624R108        583    31300 SHARES                  X                 3       31300
MAYTAG CORP.        COMMON      578592107        316    22600 SHARES                  X                 3       22600
MEADWESTVACO CORP.  COMMON      583334107        999    31400 SHARES                  X                 3       31400
MEDAREX, INC.       COMMON      583916101        930   130500 SHARES                  X                 3      130500
MENTOR GRAPHICS
   CORP.            COMMON      587200106        492    35900 SHARES                  X                 3       35900
MERITAGE CORP.      COMMON      59001A102        760    12900 SHARES                  X                 3       12900
METHODE
   ELECTRONICS,
   INC., CLASS A    COMMON      591520200        993    82000 SHARES                  X                 3       82000
MICHAELS STORES,
   INC.             COMMON      594087108       1227    33800 SHARES                  X                 3       33800
MICRON TECHNOLOGY,
   INC.             COMMON      595112103        401    38800 SHARES                  X                 3       38800
MISSION WEST
   PROPERTIES, INC. COMMON      605203108        343    32400 SHARES                  X                 3       32400
MOTIVE, INC.        COMMON      61980V107        427    42700 SHARES                  X                 3       42700
MURPHY OIL CORP.    COMMON      626717102        355     3600 SHARES                  X                 3        3600
MYKROLIS CORP.      COMMON      62852P103        698    48800 SHARES                  X                 3       48800
NABORS INDUSTRIES
   LTD.             COMMON      G6359F103       5263    89000 SHARES                  X                 3       89000
NACCO INDUSTRIES,
   INC., CLASS A    COMMON      629579103        612     6000 SHARES                  X                 3        6000
NARA BANCORP, INC.  COMMON      63080P105        129     9200 SHARES                  X                 3        9200
NATIONAL FUEL GAS
   CO.              COMMON      636180101        377    13200 SHARES                  X                 3       13200
NATIONWIDE
   FINANCIAL
   SERVICES, INC.,
   CLASS A          COMMON      638612101        969    27000 SHARES                  X                 3       27000
NAVIGANT
   CONSULTING, INC. COMMON      63935N107        381    14000 SHARES                  X                 3       14000
NBT BANCORP, INC.   COMMON      628778102        715    31900 SHARES                  X                 3       31900
NEOSE TECHNOLOGIES,
   INC.             COMMON      640522108        134    52100 SHARES                  X                 3       52100
NICOR, INC.         COMMON      654086107        501    13500 SHARES                  X                 3       13500
NORTHSTAR REALTY
   FINANCE CORP.    COMMON      66704R100        260    26900 SHARES                  X                 3       26900
NOVASTAR FINANCIAL,
   INC.             COMMON      669947400        418    11600 SHARES                  X                 3       11600
NVR, INC.           COMMON      62944T105        707      900 SHARES                  X                 3         900
OLD NATIONAL
   BANCORP.         COMMON      680033107        879    43300 SHARES                  X                 3       43300
OM GROUP, INC.      COMMON      670872100        843    27700 SHARES                  X                 3       27700
ONEOK, INC.         COMMON      682680103        459    14900 SHARES                  X                 3       14900
ONYX SOFTWARE CORP. COMMON      683402200         87    32950 SHARES                  X                 3       32950
ORASURE
   TECHNOLOGIES,
   INC.             COMMON      68554V108        403    54800 SHARES                  X                 3       54800
OUTBACK STEAKHOUSE,
   INC.             COMMON      689899102       1399    30550 SHARES                  X                 3       30550
OUTDOOR CHANNEL
   HOLDINGS, INC.   COMMON      690027206         38     2700 SHARES                  X                 3        2700
PACTIV CORP.        COMMON      695257105        855    36600 SHARES                  X                 3       36600
PAIN THERAPEUTICS,
   INC.             COMMON      69562K100        169    33200 SHARES                  X                 3       33200
PAINCARE HOLDINGS,
   INC.             COMMON      69562E104        185    36900 SHARES                  X                 3       36900
PEABODY ENERGY
   CORP.            COMMON      704549104        927    20000 SHARES                  X                 3       20000
PENNEY (J.C.) CO.,
   INC.             COMMON      708160106       1236    23800 SHARES                  X                 3       23800
PEPSIAMERICAS, INC. COMMON      71343P200       1036    45700 SHARES                  X                 3       45700
PERKINELMER, INC.   COMMON      714046109       1052    51000 SHARES                  X                 3       51000
PHELPS DODGE CORP.  COMMON      717265102        509     5000 SHARES                  X                 3        5000
PHILLIPS VAN HEUSEN
   CORP.            COMMON      718592108        626    23500 SHARES                  X                 3       23500
PHOTRONICS, INC.    COMMON      719405102        583    32200 SHARES                  X                 3       32200
PINNACLE SYSTEMS,
   INC.             COMMON      723481107        509    91000 SHARES                  X                 3       91000
PINNACLE WEST
   CAPITAL CORP.    COMMON      723484101        927    21800 SHARES                  X                 3       21800
PIXELWORKS, INC.    COMMON      72581M107       1295   158900 SHARES                  X                 3      158900
PLX TECHNOLOGY,
   INC.             COMMON      693417107        714    68000 SHARES                  X                 3       68000
PNM RESOURCES, INC. COMMON      69349H107        912    34200 SHARES                  X                 3       34200
POPULAR, INC.       COMMON      733174106        401    16500 SHARES                  X                 3       16500
PPG INDUSTRIES,
   INC.             COMMON      693506107       1116    15600 SHARES                  X                 3       15600
PRE-PAID LEGAL
   SERVICES, INC.   COMMON      740065107        152     4500 SHARES                  X                 3        4500
PRESIDENTIAL LIFE
   CORP.            COMMON      740884101        453    27800 SHARES                  X                 3       27800
PRINCIPAL FINANCIAL
   GROUP            COMMON      74251V102       1020    26500 SHARES                  X                 3       26500
PROTEIN DESIGN
   LABORATORIES,
   INC.             COMMON      74369L103        916    57300 SHARES                  X                 3       57300
PROVIDE COMMERCE,
   INC.             COMMON      74373W103        632    21900 SHARES                  X                 3       21900
PROVIDENT
   BANKSHARES CORP. COMMON      743859100        409    12400 SHARES                  X                 3       12400
PROVIDIAN FINANCIAL
   CORP.            COMMON      74406A102        601    35000 SHARES                  X                 3       35000
PSS WORLD MEDICAL,
   INC.             COMMON      69366A100        397    34900 SHARES                  X                 3       34900
PUGET ENERGY, INC.  COMMON      745310102        888    40300 SHARES                  X                 3       40300
QUANEX CORP.        COMMON      747620102       1520    28500 SHARES                  X                 3       28500
QUIKSILVER, INC.    COMMON      74838C106        804    27700 SHARES                  X                 3       27700
RADISYS CORP.       COMMON      750459109        586    41400 SHARES                  X                 3       41400
RAIT INVESTMENT
   TRUST            COMMON      749227104        426    15900 SHARES                  X                 3       15900
RANGE RESOURCES
   CORP.            COMMON      75281A109        488    20900 SHARES                  X                 3       20900
RED ROBIN GOURMET
   BURGERS          COMMON      75689M101        662    13000 SHARES                  X                 3       13000
REDWOOD TRUST, INC. COMMON      758075402        445     8700 SHARES                  X                 3        8700


                                    33 of 44




                                                                                      
REEBOK
   INTERNATIONAL
   LTD.             COMMON      758110100        399     9000 SHARES                  X                 3        9000
REPUBLIC BANCORP,
   INC.             COMMON      760282103        936    69105 SHARES                  X                 3       69105
REX STORES CORP.    COMMON      761624105        462    32800 SHARES                  X                 3       32800
REYNOLDS & REYNOLDS
   CO., CLASS A     COMMON      761695105       1004    37100 SHARES                  X                 3       37100
REYNOLDS AMERICAN,
   INC.             COMMON      761713106        379     4700 SHARES                  X                 3        4700
ROYAL CARIBBEAN
   CRUISES, LTD.    COMMON      V7780T103        907    20300 SHARES                  X                 3       20300
RUDDICK CORP.       COMMON      781258108        829    35800 SHARES                  X                 3       35800
RUDOLPH
   TECHNOLOGIES,
   INC.             COMMON      781270103        580    38500 SHARES                  X                 3       38500
RYANS RESTAURANT
   GROUP, INC.      COMMON      783520109        482    33150 SHARES                  X                 3       33150
RYDER SYSTEMS, INC. COMMON      783549108       1047    25100 SHARES                  X                 3       25100
RYLAND GROUP, INC.  COMMON      783764103       1309    21100 SHARES                  X                 3       21100
SABRE GROUP
   HOLDINGS, INC.   COMMON      785905100        416    19000 SHARES                  X                 3       19000
SAFECO CORP.        COMMON      786429100       1023    21000 SHARES                  X                 3       21000
SALIX
   PHARMACEUTICALS
   LTD.             COMMON      795435106        213    12900 SHARES                  X                 3       12900
SAXON CAPITAL, INC. COMMON      80556T106        435    25300 SHARES                  X                 3       25300
SCHWEITZER-MAUDUIT
   INTERNATIONAL,
   INC.             COMMON      808541106        389    11600 SHARES                  X                 3       11600
SCS TRANSPORTATION,
   INC.             COMMON      81111T102        333    17900 SHARES                  X                 3       17900
SECURE COMPUTING
   CORP.            COMMON      813705100        458    53500 SHARES                  X                 3       53500
SELECT COMFORT
   CORP.            COMMON      81616X103        503    24600 SHARES                  X                 3       24600
SHERWIN-WILLIAMS
   CO.              COMMON      824348106        427     9700 SHARES                  X                 3        9700
SHOPKO STORES, INC. COMMON      824911101        942    42400 SHARES                  X                 3       42400
SILGAN HOLDINGS,
   INC.             COMMON      827048109        435     6700 SHARES                  X                 3        6700
SILICON STORAGE
   TECHNOLOGY       COMMON      827057100        355    95300 SHARES                  X                 3       95300
SILICON VALLEY
   BANCSHARES       COMMON      827064106       1093    24800 SHARES                  X                 3       24800
SONIC AUTOMOTIVE,
   INC.             COMMON      83545G102        304    13400 SHARES                  X                 3       13400
SOURCECORP, INC.    COMMON      836167106        608    30200 SHARES                  X                 3       30200
SOUTHERN PERU
   COPPER CORP.     COMMON      843611104        460     8300 SHARES                  X                 3        8300
STAGE STORES, INC.  COMMON      85254C305        810    21100 SHARES                  X                 3       21100
STANCORP FINANCIAL
   GROUP, INC.      COMMON      852891100       1204    14200 SHARES                  X                 3       14200
STANDARD COMMERCIAL
   CORP.            COMMON      853258101        379    20400 SHARES                  X                 3       20400
STATS CHIPPAC LTD.,
   ADR              COMMON      85771T104        384    58024 SHARES                  X                 3       58024
STEEL DYNAMICS,
   INC.             COMMON      858119100        737    21400 SHARES                  X                 3       21400
STEEL TECHNOLOGIES,
   INC.             COMMON      858147101        713    29700 SHARES                  X                 3       29700
STERLING FINANCIAL
   CORP.            COMMON      859319105        310     8695 SHARES                  X                 3        8695
STONE ENERGY CORP.  COMMON      861642106        942    19400 SHARES                  X                 3       19400
STORAGE TECHNOLOGY
   CORP.            COMMON      862111200        671    21800 SHARES                  X                 3       21800
STRAYER EDUCATION,
   INC.             COMMON      863236105        782     6900 SHARES                  X                 3        6900
STRIDE RITE CORP.   COMMON      863314100        331    24900 SHARES                  X                 3       24900
SUNOCO, INC.        COMMON      86764P109       1377    13300 SHARES                  X                 3       13300
SUPERVALU, INC.     COMMON      868536103        970    29100 SHARES                  X                 3       29100
SWIFT ENERGY CO.    COMMON      870738101        967    34000 SHARES                  X                 3       34000
SYBASE, INC.        COMMON      871130100        940    50900 SHARES                  X                 3       50900
TALK AMERICA
   HOLDINGS, INC.   COMMON      87426R202        430    66600 SHARES                  X                 3       66600
TARO PHARMACEUTICAL
   INDUSTRIES LTD.  COMMON      M8737E108        376    11900 SHARES                  X                 3       11900
TECUMSEH PRODUCTS
   CO., CLASS A     COMMON      878895200        570    14400 SHARES                  X                 3       14400
TELIK, INC.         COMMON      87959M109        843    55900 SHARES                  X                 3       55900
TERRA INDUSTRIES,
   INC.             COMMON      880915103        338    43500 SHARES                  X                 3       43500
THE HOUSTON
   EXPLORATION CO.  COMMON      442120101        888    15600 SHARES                  X                 3       15600
THIRD WAVE
   TECHNOLOGIES,
   INC.             COMMON      88428W108        742   128900 SHARES                  X                 3      128900
THQ, INC.           COMMON      872443403        149     5300 SHARES                  X                 3        5300
TIMKEN CO.          COMMON      887389104        965    35300 SHARES                  X                 3       35300
TOO, INC.           COMMON      890333107        683    27700 SHARES                  X                 3       27700
TRADESTATION GROUP,
   INC.             COMMON      89267P105        350    58000 SHARES                  X                 3       58000
TRANS WORLD
   ENTERTAINMENT
   CORP.            COMMON      89336Q100        644    43700 SHARES                  X                 3       43700
TRANSGENOMIC, INC.  COMMON      89365K206         65   114100 SHARES                  X                 3      114100
TREDEGAR
   INDUSTRIES, INC. COMMON      894650100        573    34000 SHARES                  X                 3       34000
TRIDENT
   MICROSYSTEMS,
   INC.             COMMON      895919108         97     5500 SHARES                  X                 3        5500
TRIQUINT
   SEMICONDUCTOR,
   INC.             COMMON      89674K103        830   245700 SHARES                  X                 3      245700
TUPPERWARE CORP.    COMMON      899896104        405    19900 SHARES                  X                 3       19900
TYSON FOODS, INC.,
   CLASS A          COMMON      902494103        452    27100 SHARES                  X                 3       27100
UGI CORP.           COMMON      902681105       1199    26400 SHARES                  X                 3       26400
UIL HOLDINGS CORP.  COMMON      902748102        476     9400 SHARES                  X                 3        9400
UNIFIRST CORP.      COMMON      904708104        638    16000 SHARES                  X                 3       16000
UNISOURCE ENERGY
   CORP.            COMMON      909205106       1316    42500 SHARES                  X                 3       42500
UNISYS CORP.        COMMON      909214108        233    33000 SHARES                  X                 3       33000
UNITED PANAM
   FINANCIAL CORP.  COMMON      911301109        349    17100 SHARES                  X                 3       17100
UNITED RENTALS,
   INC.             COMMON      911363109       1195    59100 SHARES                  X                 3       59100
UNITED STATES STEEL
   CORP.            COMMON      912909108        519    10200 SHARES                  X                 3       10200
UNITRIN, INC.       COMMON      913275103        599    13200 SHARES                  X                 3       13200
UNIVERSAL CORP.     COMMON      913456109        572    12500 SHARES                  X                 3       12500
UNIVERSAL DISPLAY
   CORP.            COMMON      91347P105         75    10700 SHARES                  X                 3       10700
UNIVERSAL FOREST
   PRODUCTS, INC.   COMMON      913543104        963    24800 SHARES                  X                 3       24800
UNIVERSAL HEALTH
   REALTY TRUST,
   INC.             COMMON      91359E105        418    14800 SHARES                  X                 3       14800
UNIVERSAL HEALTH
   SERVICES, INC.,
   CLASS B          COMMON      913903100        508     9700 SHARES                  X                 3        9700


                                    34 of 44




                                                                                       
UNOCAL CORP.        COMMON      915289102       1493    24200 SHARES                  X                 3       24200
URBAN OUTFITTERS,
   INC.             COMMON      917047102        556    11600 SHARES                  X                 3       11600
V.F. CORP.          COMMON      918204108       1130    19100 SHARES                  X                 3       19100
VALERO ENERGY CORP. COMMON      91913Y100       1546    21100 SHARES                  X                 3       21100
VASOGEN, INC.       COMMON      92232F103        265    65400 SHARES                  X                 3       65400
VERTRUE, INC.       COMMON      92534N101        890    25100 SHARES                  X                 3       25100
VIROPHARMA, INC.    COMMON      928241108        136    58100 SHARES                  X                 3       58100
W HOLDING CO., INC. COMMON      929251106        906    89930 SHARES                  X                 3       89930
WALTER INDUSTRIES,
   INC.             COMMON      93317Q105       1881    44200 SHARES                  X                 3       44200
WASHINGTON POST
   CO., CLASS B     COMMON      939640108        456      510 SHARES                  X                 3         510
WASTE CONNECTIONS,
   INC.             COMMON      941053100       1049    30200 SHARES                  X                 3       30200
WCI COMMUNITIES,
   INC.             COMMON      92923C104        373    12400 SHARES                  X                 3       12400
WEATHERFORD
   INTERNATIONAL,
   INC.             COMMON      G95089101       1944    33550 SHARES                  X                 3       33550
WEST PHARMACEUTICAL
   SERVICES, INC.   COMMON      955306105        717    30000 SHARES                  X                 3       30000
WESTERN DIGITAL
   CORP.            COMMON      958102105       1716   134600 SHARES                  X                 3      134600
WHIRLPOOL CORP.     COMMON      963320106       1023    15100 SHARES                  X                 3       15100
WILLIAMS-SONOMA,
   INC.             COMMON      969904101        944    25700 SHARES                  X                 3       25700
WOODWARD GOVERNOR
   CO.              COMMON      980745103        939    13100 SHARES                  X                 3       13100
XCEL ENERGY, INC.   COMMON      98389B100        986    57400 SHARES                  X                 3       57400
XM SATELLITE RADIO
   HOLDINGS, INC.,
   CLASS A          COMMON      983759101        627    19900 SHARES                  X                 3       19900
XTO ENERGY, INC.    COMMON      98385X106       1227    37367 SHARES                  X                 3       37367
YORK INTERNATIONAL
   CORP.            COMMON      986670107        733    18700 SHARES                  X                 3       18700
ZALE CORP.          COMMON      988858106       1022    34400 SHARES                  X                 3       34400
S&P 500 DEP
   RECEIPTS         COMMON      78462F103       4506    38200 SHARES                  X                 3       38200

SUBTOTALS FOR
   DOMESTIC
   COMMON STOCKS                             3442050 94821415                                                91785415      0 3036000

A. COMMON STOCK

FOREIGN COMMON STOCK/ADR'S

ABN AMRO HOLDINGS
   NV SPON ADR      COMMON      000937102          9      350 SHARES                           X        1         350      0       0
ACCENTURE LTD-CL A  COMMON      G1150G111        899    37236 SHARES                  X                 1       34736      0    2500
ACCENTURE LTD-CL A  COMMON      G1150G111        347    14367 SHARES                           X        1       13867      0     500
ACE LTD             COMMON      G0070K103         34      835 SHARES                  X                 1         835      0       0
AEGON N V ORD AMER
   REG SHS          COMMON      007924103        282    20942 SHARES                  X                 1       20942      0       0
AEGON N V ORD AMER
   REG SHS          COMMON      007924103         29     2184 SHARES                           X        1        2184      0       0
AGNICO EAGLE MINES
   LTD              COMMON      008474108          4      250 SHARES                  X                 1         250      0       0
ALCAN INC           COMMON      013716105         64     1700 SHARES                           X        1        1700      0       0
ALCATEL SA-SPON ADR COMMON      013904305          3      244 SHARES                           X        1         244      0       0
ALCON INC           COMMON      H01301102         27      300 SHARES                  X                 1         300      0       0
ALLIED DOMECQ
   PLC-SPONS ADR    COMMON      019121201         12      300 SHARES                           X        1         300      0       0
ALLIED IRISH BKS
   PLC-SPON ADR     COMMON      019228402      58447  1401265 SHARES                  X                 1      994268  47963  359034
ALLIED IRISH BKS
   PLC-SPON ADR     COMMON      019228402      20725   496875 SHARES                           X        1      317169      0  179706
AMERICA MOVIL - ADR
   SERIES A         COMMON      02364W204        105     2000 SHARES                  X                 1        2000      0       0
AMERICA MOVIL - ADR
   SERIES L         COMMON      02364W105        206     4000 SHARES                  X                 1        4000      0       0
AMERICA MOVIL - ADR
   SERIES L         COMMON      02364W105         72     1400 SHARES                           X        1         400      0    1000
AMVESCAP PLC
   SPONSORED ADR    COMMON      03235E100          3      235 SHARES                  X                 1         235      0       0
ANGLO AMERICAN PLC
   ADR              COMMON      03485P102          5      225 SHARES                  X                 1         225      0       0
ANGLO AMERICAN PLC
   ADR              COMMON      03485P102         80     3331 SHARES                           X        1        3331      0       0
ANGLOGOLD ASHANTI
   SPON ADR         COMMON      035128206          4      110 SHARES                  X                 1         110      0       0
ARLINGTON TANKERS
   LTD              COMMON      G04899103         71     3000 SHARES                  X                 1        3000      0       0
ASTRAZENECA GROUP
   PLC SPONSORED
   ADR              COMMON      046353108         51     1300 SHARES                  X                 1        1300      0       0
ASTRAZENECA GROUP
   PLC SPONSORED
   ADR              COMMON      046353108         19      485 SHARES                           X        1         485      0       0
AXA SPONSORED ADR   COMMON      054536107          6      236 SHARES                           X        1         236      0       0
BALLARD PWR SYS INC COMMON      05858H104          4      800 SHARES                  X                 1         800      0       0
BANK OF IRELAND
   SPONSORED ADR    COMMON      46267Q103        158     2500 SHARES                           X        1        2500      0       0
BARCLAYS PLC -
   SPONS ADR        COMMON      06738E204          4      100 SHARES                  X                 1         100      0       0
BARRICK GOLD CORP   COMMON      067901108          5      200 SHARES                  X                 1         200      0       0
BARRICK GOLD CORP   COMMON      067901108         48     2000 SHARES                           X        1        2000      0       0
BAYER AG SPONSORED
   ADR              COMMON      072730302         33     1000 SHARES                           X        1        1000      0       0
BHP BILLITON LTD
   SPONSORED ADR    COMMON      088606108          3      100 SHARES                  X                 1         100      0       0
BHP BILLITON LTD
   SPONSORED ADR    COMMON      088606108         65     2332 SHARES                           X        1        1300      0    1032
BIOTECH HOLDRS
   TRUST            COMMON      09067D201         23      160 SHARES                  X                 1         160      0       0
BIOTECH HOLDRS
   TRUST            COMMON      09067D201         28      200 SHARES                           X        1         200      0       0
BP PLC SPONSORED
   ADR              COMMON      055622104      18743   300362 SHARES                  X                 1      299028      0    1334
BP PLC SPONSORED
   ADR              COMMON      055622104      15571   249530 SHARES                           X        1      215928      0   33602
BT GROUP PLC-SPON
   ADR              COMMON      05577E101         10      250 SHARES                           X        1         250      0       0
CABLE & WIRELESS
   PLC SPONS ADR    COMMON      126830207          1      200 SHARES                  X                 1         200      0       0
CADBURY SCHWEPPES
   PLC SPONS ADR    COMMON      127209302          4      100 SHARES                           X        1         100      0       0
CAMECO CORPORATION  COMMON      13321L108         17      375 SHARES                  X                 1         375      0       0
CANADIAN NATIONAL
   RAILWAY COMPANY  COMMON      136375102        192     3025 SHARES                  X                 1        3025      0       0


                                    35 of 44




                                                                                        
CANADIAN NATIONAL
   RAILWAY COMPANY  COMMON      136375102         38      600 SHARES                           X        1         600      0       0
CANON INC SPONS ADR COMMON      138006309         21      400 SHARES                  X                 1         400      0       0
CANON INC SPONS ADR COMMON      138006309         11      200 SHARES                           X        1         200      0       0
CHINA YUCHAI
   INTERNATIONAL
   LIMITED          COMMON      G21082105          2      250 SHARES                  X                 1         250      0       0
CNOOC LTD -ADR      COMMON      126132109         16      300 SHARES                           X        1         300      0       0
COOPER INDUSTRIES
   LTD CL A         COMMON      G24182100        754    10538 SHARES                  X                 1       10538      0       0
COOPER INDUSTRIES
   LTD CL A         COMMON      G24182100        189     2640 SHARES                           X        1        2640      0       0
DAIMLER CHRYSLER AG COMMON      D1668R123         28      637 SHARES                  X                 1         637      0       0
DAIMLER CHRYSLER AG COMMON      D1668R123         90     2002 SHARES                           X        1         581      0    1421
DANKA BUSINESS
   SYSTEMS-SPON ADR COMMON      236277109         37    23400 SHARES                  X                 1       23400      0       0
DEUTSCHE TELEKOM AG
   SPONSORED ADR    COMMON      251566105          8      376 SHARES                           X        1         376      0       0
DIAGEO PLC
   SPONSORED ADR    COMMON      25243Q205        193     3395 SHARES                  X                 1        3395      0       0
DR REDDYS LABS LTD
   ADR              COMMON      256135203         17     1000 SHARES                  X                 1        1000      0       0
DUSA
   PHARMACEUTICALS
   INCORPORATED     COMMON      266898105         37     4200 SHARES                           X        1        4200      0       0
ENCANA CORP         COMMON      292505104          7      100 SHARES                  X                 1         100      0       0
ENDESA S A
   SPONSORED ADR    COMMON      29258N107        146     6468 SHARES                  X                 1        6468      0       0
ENDESA S A
    SPONSORED ADR   COMMON      29258N107         18      800 SHARES                           X        1         800      0       0
ENDO
   PHARMACEUTICALS
   HLDGS INC        COMMON      29264F205          4      185 SHARES                  X                 1         185      0       0
ENTERRA ENERGY
   TRUST            COMMON      29381P102         81     4000 SHARES                           X        1        4000      0       0
EVEREST RE GROUP
   LTD COM          COMMON      G3223R108          9      100 SHARES                  X                 1         100      0       0
FLEXTRONICS INTL
   LTD              COMMON      Y2573F102        140    11591 SHARES                  X                 1       11591      0       0
FLEXTRONICS INTL
   LTD              COMMON      Y2573F102         65     5388 SHARES                           X        1        5388      0       0
FORDING CANADIAN
   COAL TRUST       COMMON      345425102       3541    38537 SHARES                  X                 1       38047      0     490
FORDING CANADIAN
   COAL TRUST       COMMON      345425102        259     2820 SHARES                           X        1         850      0    1970
FRESENIUS MED CARE  COMMON      358029106          1       41 SHARES                  X                 1          41      0       0
GALLAHER GROUP PLC
   SPON ADR         COMMON      363595109        177     3105 SHARES                  X                 1        3105      0       0
GALLAHER GROUP PLC
   SPON ADR         COMMON      363595109        141     2477 SHARES                           X        1        2369      0     108
GARMIN LIMITED ORD  COMMON      G37260109          5      116 SHARES                  X                 1         116      0       0
GLAXOSMITHKLINE PLC
   ADR              COMMON      37733W105        790    17193 SHARES                  X                 1       17193      0       0
GLAXOSMITHKLINE PLC
   ADR              COMMON      37733W105       1287    28024 SHARES                           X        1       20869      0    7155
GOLD FIELDS LIMITED
   ADR              COMMON      38059T106          3      250 SHARES                  X                 1         250      0       0
GOLDCORP INC        COMMON      380956409         14     1000 SHARES                  X                 1        1000      0       0
GROUPE DANONE SPONS
   ADR              COMMON      399449107         20     1000 SHARES                           X        1        1000      0       0
GRUPO TELEVISA SA
   SPONS ADR        COMMON      40049J206          6      100 SHARES                           X        1         100      0       0
HARMONY GOLD MINING
   SPON ADR         COMMON      413216300         12     1525 SHARES                  X                 1        1525      0       0
HELLENIC
   TELE-
   COMMUNICATIONS
   ORG ADR          COMMON      423325307          1      100 SHARES                  X                 1         100      0       0
HONDA MTR LTD AMERN
   SHS              COMMON      438128308          5      200 SHARES                  X                 1         200      0       0
HSBC HOLDINGS PLC
   SPONSORED ADR    COMMON      404280406        151     1903 SHARES                  X                 1        1903      0       0
HSBC HOLDINGS PLC
   SPONSORED ADR    COMMON      404280406         94     1190 SHARES                           X        1        1190      0       0
HUANENG POWER INTL-
   SPONS ADR        COMMON      443304100         86     2920 SHARES                           X        1        2920      0       0
ICICI BANK LIMITED
   SPONSORED ADR    COMMON      45104G104          4      200 SHARES                  X                 1         200      0       0
IMPERIAL OIL LTD    COMMON      453038408          4       49 SHARES                  X                 1          49      0       0
INFOSYS
   TECHNOLOGIES
   LTDSPON ADR      COMMON      456788108         52      700 SHARES                  X                 1         700      0       0
INGERSOLL-RAND
   COMPANY LTD-A    COMMON      G4776G101        213     2672 SHARES                  X                 1        2672      0       0
INGERSOLL-RAND
   COMPANY LTD-A    COMMON      G4776G101        581     7300 SHARES                           X        1        7300      0       0
KINROSS GOLD
   CORPORATION      COMMON      496902404          1      169 SHARES                  X                 1         169      0       0
KONINKLIJKE AHOLD
   NV SPONS ADR     COMMON      500467303         17     2060 SHARES                           X        1        2060      0       0
KONINKLIJKE PHILIPS
   ELEC N V NY SHR  COMMON      500472303        192     6963 SHARES                  X                 1        6963      0       0
KONINKLIJKE PHILIPS
   ELEC N V NY SHR  COMMON      500472303         29     1051 SHARES                           X        1        1051      0       0
LLOYDS TSB GROUP
   PLC ADR          COMMON      539439109          4      100 SHARES                           X        1         100      0       0
MAGNA INTL INC CL A COMMON      559222401         40      600 SHARES                  X                 1         600      0       0
MAGNA INTL INC CL A COMMON      559222401         10      150 SHARES                           X        1         150      0       0
MANULIFE FINANCIAL
   CORP             COMMON      56501R106        803    16747 SHARES                  X                 1       16747      0       0
MANULIFE FINANCIAL
   CORP             COMMON      56501R106         59     1238 SHARES                           X        1        1238      0       0
MARVEL TECHNOLOGY
   GROUP LTD        COMMON      G5876H105          1       30 SHARES                  X                 1          30      0       0
MAX RE CAPITAL
   LIMITED          COMMON      G6052F103          4      165 SHARES                  X                 1         165      0       0
MI DEVELOPMENTS INC COMMON      55304X104         19      600 SHARES                           X        1         600      0       0
NABORS INDUSTRIES
   LTD              COMMON      G6359F103       8108   137096 SHARES                  X                 1      136316      0     780
NABORS INDUSTRIES
   LTD              COMMON      G6359F103        960    16235 SHARES                           X        1       15585      0     650
NATIONAL AUSTRALIA
   BK LTD           COMMON      632525408        110     1000 SHARES                           X        1        1000      0       0
NATL GRID TRANSCO
   PLC SPONS ADR    COMMON      636274102          5      100 SHARES                           X        1         100      0       0
NISSAN MTR LTD
   SPONSORED ADR    COMMON      654744408         53     2594 SHARES                  X                 1        2594      0       0
NOBLE CORPORATION   COMMON      G65422100          4       75 SHARES                  X                 1          75      0       0
NOKIA CORP
   SPONSORED ADR    COMMON      654902204       1146    74267 SHARES                  X                 1       74267      0       0
NOKIA CORP
   SPONSORED ADR    COMMON      654902204        525    34046 SHARES                           X        1       32246      0    1800
NORANDA INC LTD     COMMON      655422103         40     2000 SHARES                  X                 1        2000      0       0
NORANDA INC LTD     COMMON      655422103         24     1200 SHARES                           X        1        1200      0       0
NORTEL NETWORKS
   CORP             COMMON      656568102         59    21757 SHARES                  X                 1       21407      0     350
NORTEL NETWORKS
   CORP             COMMON      656568102         13     4889 SHARES                           X        1        4789      0     100
NOVARTIS AG ADR     COMMON      66987V109         89     1900 SHARES                  X                 1        1900      0       0
NOVELIS INC         COMMON      67000X106          7      340 SHARES                           X        1         340      0       0
ON TRACK
   INNOVATIONS LTD  COMMON      M8791A109         87     6700 SHARES                  X                 1        6700      0       0
PETRO-CANADA        COMMON      71644E102         46      800 SHARES                           X        1         800      0       0
PLACER DOME INC     COMMON      725906101         20     1212 SHARES                           X        1        1212      0       0


                                    36 of 44




                                                                                        
POPULAR INC         COMMON      733174106         24     1000 SHARES                           X        1        1000      0       0
PROVIDENT ENERGY
   TRUST UNITS      COMMON      74386K104         40     4000 SHARES                  X                 1        4000      0       0
QUANTA CAPITAL
   HOLDINGS LTD     COMMON      G7313F106         27     3400 SHARES                  X                 1        3400      0       0
RENAISSANCERE
   HOLDINGS LTD     COMMON      G7496G103        237     5070 SHARES                           X        1        5070      0       0
REPSOL YPF SA SPON
   ADR              COMMON      76026T205         98     3700 SHARES                  X                 1        3700      0       0
REPSOL YPF SA SPON
   ADR              COMMON      76026T205         16      600 SHARES                           X        1         600      0       0
RESEARCH IN MOTION
   LIMITED          COMMON      760975102          8      100 SHARES                  X                 1         100      0       0
REUTERS GROUP PLC
   SPONS ADR        COMMON      76132M102         33      719 SHARES                  X                 1         719      0       0
REXAM PLC           COMMON      761655406         18      400 SHARES                  X                 1         400      0       0
RIO TINTO PLC
   SPONSORED ADR    COMMON      767204100         10       75 SHARES                  X                 1          75      0       0
ROYAL CARIBBEAN
   CRUISES LTD      COMMON      V7780T103        267     5975 SHARES                  X                 1        5975      0       0
ROYAL DUTCH PETE CO
   N Y REGISTRY SH  COMMON      780257804       5041    83959 SHARES                  X                 1       83559      0     400
ROYAL DUTCH PETE CO
   N Y REGISTRY SH  COMMON      780257804       4806    80045 SHARES                           X        1       67397      0   12648
SANOFI-AVENTIS ADR  COMMON      80105N105          8      200 SHARES                  X                 1         200      0       0
SANYO ELECTIC CO
   LTD - UNSP ADR   COMMON      803038306          5      300 SHARES                  X                 1         300      0       0
SAP AG SPONS ADR    COMMON      803054204         10      250 SHARES                  X                 1         250      0       0
SASOL LTD SPONS-ADR COMMON      803866300         24     1000 SHARES                           X        1        1000      0       0
SCHLUMBERGER LTD    COMMON      806857108       7491   106281 SHARES                  X                 1      106181      0     100
SCHLUMBERGER LTD    COMMON      806857108       3374    47874 SHARES                           X        1       44724      0    3150
SCOTTISH POWER PLC
   ADR              COMMON      81013T705         52     1656 SHARES                  X                 1        1656      0       0
SCOTTISH POWER PLC
   ADR              COMMON      81013T705         24      756 SHARES                           X        1         756      0       0
SHELL TRANSPORT &
   TRADING PLC ADR  COMMON      822703609         11      200 SHARES                  X                 1         200      0       0
SIERRA WIRELESS INC COMMON      826516106          1      130 SHARES                  X                 1         130      0       0
SONY CORP -
   SPONSORED ADR    COMMON      835699307         48     1200 SHARES                           X        1        1200      0       0
STATOIL ASA
   SPONSORED ADR    COMMON      85771P102          4      250 SHARES                  X                 1         250      0       0
STMICROELECTRONICS
   N V              COMMON      861012102         24     1450 SHARES                  X                 1        1450      0       0
STOLT OFFSHORE S A
   SPONSORED ADR    COMMON      861567105         76     9700 SHARES                  X                 1        9700      0       0
STORA ENSO OYJ
   SPONSORED ADR    COMMON      86210M106         21     1500 SHARES                           X        1        1500      0       0
SUN LIFE FINL INC   COMMON      866796105         91     2809 SHARES                  X                 1        2809      0       0
SUNCOR ENERGY INC
   COM              COMMON      867229106          4      100 SHARES                  X                 1         100      0       0
TAIWAN
   SEMICONDUCTOR
   SPON ADR         COMMON      874039100        288    33913 SHARES                  X                 1       29775      0    4138
TAIWAN
   SEMICONDUCTOR
   SPON ADR         COMMON      874039100         57     6664 SHARES                           X        1        4712      0    1952
TD BANKNORTH INC    COMMON      87235A101         14      441 SHARES                  X                 1         441      0       0
TD BANKNORTH INC    COMMON      87235A101        113     3603 SHARES                           X        1        3603      0       0
TDC A/S SPONSORED
   ADR              COMMON      87236N102          2      100 SHARES                           X        1         100      0       0
TELECOM HOLDERS
   TRUST            COMMON      87927P200          3      100 SHARES                  X                 1         100      0       0
TELECOM NEW ZEALAND
   SPON ADR         COMMON      879278208         69     2000 SHARES                           X        1        2000      0       0
TELECOMUNICACOES DE
   SAO PAULO SA ADR COMMON      87929A102          2      100 SHARES                           X        1         100      0       0
TELEFONAKTIEBOLAGET
    LM ERICSSON ADR COMMON      294821608         21      755 SHARES                  X                 1         755      0       0
TELEFONAKTIEBOLAGET
   LM ERICSSON ADR  COMMON      294821608         41     1460 SHARES                           X        1        1460      0       0
TELEFONICA S A
   SPONSORED ADR    COMMON      879382208        237     4555 SHARES                  X                 1        4555      0       0
TELEFONICA S A
   SPONSORED ADR    COMMON      879382208         37      713 SHARES                           X        1         713      0       0
TELEFONOS DE MEXICO
   SP ADR A         COMMON      879403707         75     2198 SHARES                  X                 1        2198      0       0
TELEFONOS DE MEXICO
   SP ADR L         COMMON      879403780        133     3846 SHARES                  X                 1        3846      0       0
TELEFONOS DE MEXICO
   SP ADR L         COMMON      879403780         48     1400 SHARES                           X        1         400      0    1000
TENARIS SA
   SPONSORED ADR    COMMON      88031M109          6      100 SHARES                           X        1         100      0       0
TEVA PHARMACEUTICAL
   SPONS ADR        COMMON      881624209        520    16780 SHARES                  X                 1       16780      0       0
TEVA PHARMACEUTICAL
   SPONS ADR        COMMON      881624209         91     2930 SHARES                           X        1        2930      0       0
TOMMY HILFIGER CORP COMMON      G8915Z102          9      800 SHARES                  X                 1         800      0       0
TORONTO-DOMINION
   BANK             COMMON      891160509          9      211 SHARES                  X                 1         211      0       0
TORONTO-DOMINION
   BANK             COMMON      891160509         71     1728 SHARES                           X        1        1728      0       0
TOTAL SA SPONSORED
   ADR              COMMON      89151E109         24      205 SHARES                  X                 1         205      0       0
TOYOTA MOTOR CORP
   SPON ADR         COMMON      892331307         11      150 SHARES                  X                 1         150      0       0
TOYOTA MOTOR CORP
   SPON ADR         COMMON      892331307         22      300 SHARES                           X        1         300      0       0
TSAKOS ENERGY
   NAVIAGATION LTD  COMMON      G9108L108          6      125 SHARES                  X                 1         125      0       0
TYCO INTERNATIONAL
   LTD              COMMON      902124106       2453    72580 SHARES                  X                 1       64262      0    8318
TYCO INTERNATIONAL
   LTD              COMMON      902124106        929    27482 SHARES                           X        1       23278      0    4204
UBS AG              COMMON      H8920M855         94     1113 SHARES                  X                 1        1113      0       0
UBS AG              COMMON      H8920M855         55      648 SHARES                           X        1         648      0       0
UNILEVER NV NY
   SHARES           COMMON      904784709        474     6925 SHARES                  X                 1        6925      0       0
UNILEVER NV NY
   SHARES           COMMON      904784709        311     4542 SHARES                           X        1        4542      0       0
UNILEVER PLC
   SPONSORED ADR    COMMON      904767704          4       89 SHARES                  X                 1          89      0       0
UNILEVER PLC
   SPONSORED ADR    COMMON      904767704         40     1000 SHARES                           X        1        1000      0       0
VODAFONE GROUP PLC
   SPONSORED ADR    COMMON      92857W100       1301    48990 SHARES                  X                 1       48990      0       0
VODAFONE GROUP PLC
   SPONSORED ADR    COMMON      92857W100        893    33613 SHARES                           X        1       30908      0    2705
VOLVO AB SPONS ADR
   B                COMMON      928856400         27      600 SHARES                           X        1           0      0     600
W HOLDING COMPANY
   INC              COMMON      929251106        334    33202 SHARES                  X                 1       33202      0       0
WEATHERFORD INTL
   LTD BERMUDA      COMMON      G95089101       1855    32019 SHARES                  X                 1       31889      0     130
WEATHERFORD INTL
   LTD BERMUDA      COMMON      G95089101         78     1350 SHARES                           X        1        1350      0       0
WHITE MOUNTAINS
   INSURANCE GROUP
   LTD              COMMON      G9618E107         61      100 SHARES                  X                 1         100      0       0
XL CAPITAL LTD CL A COMMON      G98255105        111     1532 SHARES                           X        1        1532      0       0
BP PLC SPONSORED
   ADR              COMMON      055622104         61      984 SHARES                  X                 3         984      0       0
BP PLC SPONSORED
   ADR              COMMON      055622104        487     7808 SHARES                           X        3        5692      0    2116
CELESTICA INC COM   COMMON      15101Q108          7      505 SHARES                  X                 3         505      0       0


                                    37 of 44




                                                                                      
COOPER INDUSTRIES
   LTD CL A         COMMON      G24182100        187     2617 SHARES                  X                 3         382      0    2235
DANKA BUSINESS
   SYSTEMS-SPON ADR COMMON      236277109         41    25800 SHARES                  X                 3       25800      0       0
DIAGEO PLC
   SPONSORED ADR    COMMON      25243Q205         28      500 SHARES                  X                 3         500      0       0
ENDESA S A
   SPONSORED ADR    COMMON      29258N107         36     1600 SHARES                           X        3        1600      0       0
FORDING CANADIAN
   COAL TRUST       COMMON      345425102        870     9473 SHARES                  X                 3        9113      0     360
NABORS INDUSTRIES
   LTD              COMMON      G6359F103       1085    18354 SHARES                  X                 3       14774      0    3580
NOKIA CORP
   SPONSORED ADR    COMMON      654902204          3      200 SHARES                  X                 3        6200      0   -6000
ON TRACK
   INNOVATIONS LTD  COMMON      M8791A109         96     7400 SHARES                  X                 3        7400      0       0
QUANTA CAPITAL
   HOLDINGS LTD     COMMON      G7313F106         30     3800 SHARES                  X                 3        3800      0       0
REPSOL YPF SA SPON
   ADR              COMMON      76026T205         80     3000 SHARES                           X        3        3000      0       0
ROYAL DUTCH PETE CO
   N Y REGISTRY SH  COMMON      780257804        336     5600 SHARES                  X                 3        5000      0     600
ROYAL DUTCH PETE CO
   N Y REGISTRY SH  COMMON      780257804         24      400 SHARES                           X        3           0      0     400
SCHLUMBERGER LTD    COMMON      806857108        282     4000 SHARES                  X                 3        4000      0       0
SCHLUMBERGER LTD    COMMON      806857108        161     2280 SHARES                           X        3        2280      0       0
STOLT OFFSHORE S A
   SPONSORED ADR    COMMON      861567105         84    10700 SHARES                  X                 3       10700      0       0
TELEFONICA S A
   SPONSORED ADR    COMMON      879382208        186     3580 SHARES                           X        3        3580      0       0
TELEFONOS DE MEXICO
   SP ADR L         COMMON      879403780         69     2000 SHARES                           X        3        2000      0       0
TYCO INTERNATIONAL
   LTD              COMMON      902124106         34     1000 SHARES                  X                 3         600      0     400
UNILEVER NV NY
   SHARES           COMMON      904784709         73     1071 SHARES                           X        3        1071      0       0
VODAFONE GROUP PLC
   SPONSORED ADR    COMMON      92857W100        159     6000 SHARES                  X                 3        6000      0       0
W HOLDING COMPANY
   INC              COMMON      929251106        113    11200 SHARES                  X                 3       11200      0       0
WEATHERFORD INTL
   LTD BERMUDA      COMMON      G95089101        688    11879 SHARES                  X                 3        8039      0    3840

SUBTOTALS FOR
   FOREIGN COMMON
   STOCK/ADR'S                                176288  3941892                                                 3253521  47963  640408

A. COMMON STOCK

REAL ESTATE INVESTMENT TRUSTS

AVALONBAY
   COMMUNITIES INC  COMMON      053484101        134     2005 SHARES                  X                 1    N.A.      N.A.  N.A.
AVATAR HOLDINGS
   INCORPORATED     COMMON      053494100        408     8700 SHARES                  X                 1    N.A.      N.A.  N.A.
CROSS TIMBERS
   ROYALTY TRUST    COMMON      22757R109          0        1 SHARES                  X                 1    N.A.      N.A.  N.A.
DUKE REALTY
   CORPORATION      COMMON      264411505        110     3680 SHARES                  X                 1    N.A.      N.A.  N.A.
DUKE REALTY
   CORPORATION      COMMON      264411505        110     3700 SHARES                           X        1    N.A.      N.A.  N.A.
EQUITY ONE
   INCORPORATED     COMMON      294752100         37     1809 SHARES                  X                 1    N.A.      N.A.  N.A.
GENERAL GROWTH
   PPTYS INC        COMMON      370021107        150     4400 SHARES                  X                 1    N.A.      N.A.  N.A.
GENERAL GROWTH
   PPTYS INC        COMMON      370021107         17      500 SHARES                           X        1    N.A.      N.A.  N.A.
HERSHA HOSPITALITY
   TRUST            COMMON      427825104         18     1800 SHARES                  X                 1    N.A.      N.A.  N.A.
MACK CALI RLTY CORP COMMON      554489104          8      200 SHARES                  X                 1    N.A.      N.A.  N.A.
NOVASTAR FINANCIAL
   INCORPORATED     COMMON      669947400         90     2500 SHARES                           X        1    N.A.      N.A.  N.A.
PLUM CREEK TIMBER
   CO INC           COMMON      729251108         79     2225 SHARES                  X                 1    N.A.      N.A.  N.A.
PLUM CREEK TIMBER
   CO INC           COMMON      729251108         56     1575 SHARES                           X        1    N.A.      N.A.  N.A.
RECKSON ASSOCS RLTY
   CORP             COMMON      75621K106         51     1650 SHARES                  X                 1    N.A.      N.A.  N.A.
SHURGARD STORAGE
   CENTERS INC CL A COMMON      82567D104         12      300 SHARES                  X                 1    N.A.      N.A.  N.A.
TOWN & COUNTRY
   TRUST COM        COMMON      892081100         13      500 SHARES                           X        1    N.A.      N.A.  N.A.
W P CAREY & CO LLC  COMMON      92930Y107        198     6505 SHARES                  X                 1    N.A.      N.A.  N.A.
W P CAREY & CO LLC  COMMON      92930Y107        152     5019 SHARES                           X        1    N.A.      N.A.  N.A.
WCI INDUSTRIES      COMMON      92923C104         22      725 SHARES                  X                 1    N.A.      N.A.  N.A.

SUBTOTALS FOR
   REAL ESTATE
   INVESTMENT
   TRUSTS                                       1665    47794                                                N.A.      N.A.  N.A.

*SUMMARY PAGE FOR A. COMMON STOCK *

MINOR ASSET TYPE

43 DOMESTIC COMMON
   STOCKS                                    3442050 94821415                                                91785415      0 3036000
44 FOREIGN COMMON
   STOCK/ADR'S                                176288  3941892                                                 3253521  47963  640408
47 REAL ESTATE
   INVESTMENT
   TRUSTS                                       1665    47794                                                N.A.      N.A.  N.A.

*SUBTOTALS*                                  3620003 98811101                                                95038936  47963 3676408

B. PREFERRED STOCK


                                    38 of 44




                                                                                      
FOREIGN PREFERRED STOCKS

ROYAL BANK SCOTLAND
   PFD 6.4% SER M   PREFERRED   780097796         51     2000 SHARES                  X                 1    N.A.      N.A.  N.A.
ROYAL BANK SCOTLAND
   PLC ADR PFD E    PREFERRED   780097705         13      500 SHARES                           X        1    N.A.      N.A.  N.A.
ROYAL BK SCOTLAND
   PFD 8.50% SER J  PREFERRED   780097853         26     1000 SHARES                  X                 1    N.A.      N.A.  N.A.

SUBTOTALS FOR
   FOREIGN
   PREFERRED STOCKS                               90     3500                                                N.A.      N.A.  N.A.

B. PREFERRED STOCK

CONVERTIBLE PREFERRED STOCKS

ALLTEL CORP CONV
   PFD 7.75%
   05/17/05         PREFERRED   020039822         50     1000 SHARES                  X                 1    N.A.      N.A.  N.A.
BAXTER INTL CONV
   PFD 7.0% 02/06   PREFERRED   071813406        143     2650 SHARES                  X                 1    N.A.      N.A.  N.A.
BAXTER INTL CONV
   PFD 7.0% 02/06   PREFERRED   071813406        162     3000 SHARES                           X        1    N.A.      N.A.  N.A.
CHUBB CORP 7%
   11/16/05 CV PFD  PREFERRED   171232309        119     4000 SHARES                           X        1    N.A.      N.A.  N.A.
FORD MOTOR CAP TR
   II CONV PFD
   6.50%            PREFERRED   345395206         52     1150 SHARES                           X        1    N.A.      N.A.  N.A.
GLENBOROUGH REALTY
   TR 7.75% CONV
   PFD              PREFERRED   37803P204         19      752 SHARES                  X                 1    N.A.      N.A.  N.A.
SCHERING-PLOUGH CV
   PFD 6.0%
   09/14/07         PREFERRED   806605606         39      775 SHARES                           X        1    N.A.      N.A.  N.A.
TEXTRON INC $1.40
   SER B CV PFD     PREFERRED   883203309         53      200 SHARES                  X                 1    N.A.      N.A.  N.A.
AES TRUST III 6.75%
   CV PREFERRED     PREFERRED   00808N202       1461    30750 SHARES           X                        2       30750
ALLTELL CORP 7.75%
   CON'V            PREFERRED   020039822       3575    70800 SHARES           X                        2       70800
BAXTER INTL INC.
   CONV PFD         PREFERRED   071813406       2424    45014 SHARES           X                        2       45014
CAPITAL ONE 6.25%
   5/17/05 CV PFD   PREFERRED   14040H204       1790    35400 SHARES           X                        2       35400
CONSTELLATION
   BRANDS 5.75%
   09/01/06         PREFERRED   21036P306       1273    31500 SHARES           X                        2       31500
KRAMONT RLTY TR
   9.75% SER B-1
   CV PFD           PREFERRED   50075Q206          4      130 SHARES                  X                 3    N.A.      N.A.  N.A.

SUBTOTALS FOR
   CONVERTIBLE
   PREFERRED STOCKS                            11164   227121                                                N.A.      N.A.  N.A.

B. PREFERRED STOCK

GLOBAL EQUITY MUTUAL FUNDS

ABERDEEN AUSTRALIA
   EQUITY FUND      PREFERRED   003011103         11     1000 SHARES                           X        1    N.A.      N.A.  N.A.
TEMPLETON DRAGON
   FUND INC         PREFERRED   88018T101          2      100 SHARES                  X                 1    N.A.      N.A.  N.A.
NEWS CORP LTD SPONS
   ADR PRF          PREFERRED   652487802        546    17424 SHARES           X                        2       17424

SUBTOTALS FOR
   GLOBAL EQUITY
   MUTUAL FUNDSZ                                 559    18524

B. PREFERRED STOCK

INTL EQUITY MUTUAL FUNDS

ASA BERMUDA LTD     PREFERRED   G3156P103         39     1000 SHARES                  X                 1    N.A.      N.A.  N.A.

SUBTOTALS FOR INTL
   EQUITY MUTUAL
   FUNDS                                          39     1000                                                N.A.      N.A.  N.A.

B. PREFERRED STOCK

CLOSED END EQUITY MUTUAL FUND

BLACKROCK DIVIDEND
   ACHIEVERS TRUST  PREFERRED   09250N107         97     6750 SHARES                  X                 1    N.A.      N.A.  N.A.
BRAZIL FUND
   INCORPORATED     PREFERRED   105759104          2       66 SHARES                  X                 1    N.A.      N.A.  N.A.
CALAMOS STRATEGIC
   TOT RET FD       PREFERRED   128125101          7      500 SHARES                           X        1    N.A.      N.A.  N.A.
COHEN & STEERS
   ADVANTAGE INC
   RLTY FD          PREFERRED   19247W102         19     1000 SHARES                           X        1    N.A.      N.A.  N.A.
COHEN & STEERS
   QUALITY INC
   RLTY FD          PREFERRED   19247L106         19     1028 SHARES                  X                 1    N.A.      N.A.  N.A.
COHEN & STEERS
   SELECT UTILITY
   FD               PREFERRED   19248A109         19     1009 SHARES                  X                 1    N.A.      N.A.  N.A.
CORNERSTONE
   STRATEGIC VALUE
   FUND             PREFERRED   21924B104          1      128 SHARES                  X                 1    N.A.      N.A.  N.A.
DNP SELECT INCOME
   FUND INC         PREFERRED   23325P104        193    17945 SHARES                           X        1    N.A.      N.A.  N.A.
EATON VANCE
   TAX-ADVANTAGED
   DVD INC          PREFERRED   27828G107         25     1250 SHARES                  X                 1    N.A.      N.A.  N.A.
FIDUCIARY/CLAYMORE
   MLP OPPOR FD     PREFERRED   31647Q106          2      100 SHARES                  X                 1    N.A.      N.A.  N.A.
GABELLI EQUITY
   TRUST            PREFERRED   362397101        110    12249 SHARES                  X                 1    N.A.      N.A.  N.A.
GABELLI UTILITY
   TRUST            PREFERRED   36240A101         16     1680 SHARES                  X                 1    N.A.      N.A.  N.A.
GABELLI UTILITY
   TRUST            PREFERRED   36240A101          4      422 SHARES                           X        1    N.A.      N.A.  N.A.
HANCOCK JOHN
   PATRIOT PFD
   DIVID FD         PREFERRED   41013J107         29     2300 SHARES                           X        1    N.A.      N.A.  N.A.
INDIA FUND          PREFERRED   454089103         57     2100 SHARES                  X                 1    N.A.      N.A.  N.A.


                                    39 of 44




                                                                                      
ING PRIME RATE TR   PREFERRED   44977W106         15     2000 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES COHEN &
   STEERS RLTY
   INDEX FD         PREFERRED   464287564        100      800 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES COHEN &
   STEERS RLTY
   INDEX FD         PREFERRED   464287564        375     3000 SHARES                           X        1    N.A.      N.A.  N.A.
ISHARES DJ SELECT
   DIVIDEND INDEX
   FD               PREFERRED   464287168         25      425 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES DJ SELECT
   DIVIDEND INDEX
   FD               PREFERRED   464287168          9      150 SHARES                           X        1    N.A.      N.A.  N.A.
ISHARES DJ US BASIC
   MATERIALS SEC FD PREFERRED   464287838         32      625 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES DOW JONES
   US UTIL SECT     PREFERRED   464287697         27      385 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES RUSSELL
   1000 GROWTH
   INDEX FD         PREFERRED   464287614        177     3766 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES RUSSELL
   1000 VALUE INDEX
   FD               PREFERRED   464287598        228     3466 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES RUSSELL
   2000 GRWTH FD    PREFERRED   464287648        325     5200 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES RUSSELL
   2000 INDEX FD    PREFERRED   464287655       1474    12066 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES RUSSELL
   2000 INDEX FD    PREFERRED   464287655        218     1786 SHARES                           X        1    N.A.      N.A.  N.A.
ISHARES S&P MIDCAP
   400 BARRA GRWTH
   I                PREFERRED   464287606        322     2405 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES S&P MIDCAP
   400 INDEX FD     PREFERRED   464287507        549     4175 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES S&P MIDCAP
   400/BARRA VAL
   IND              PREFERRED   464287705        216     1700 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES S&P
   SMALLCAP 600
   BARRA GRWTH      PREFERRED   464287887        327     3100 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES S&P
   SMALLCAP 600
   BARRA VAL I      PREFERRED   464287879        165     1400 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES S&P
   SMALLCAP 600
   INDEX FD         PREFERRED   464287804        631     3970 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES S&P 500
   INDEX FD         PREFERRED   464287200       1572    13345 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES S&P
   500/BARRA GRWTH
   INDEX FD         PREFERRED   464287309        198     3500 SHARES                  X                 1    N.A.      N.A.  N.A.
SALOMON BROTHERS
   FUND             PREFERRED   795477108         20     1616 SHARES                  X                 1    N.A.      N.A.  N.A.
TEMPLETON EMERGING
   MKTS FD          PREFERRED   880191101         14      858 SHARES                           X        1    N.A.      N.A.  N.A.
TEMPLETON EMERGING
   MKTS INC FD-DE   PREFERRED   880192109         36     2700 SHARES                  X                 1    N.A.      N.A.  N.A.
TEMPLETON EMERGING
   MKTS INC FD-DE   PREFERRED   880192109         26     2000 SHARES                           X        1    N.A.      N.A.  N.A.
TRI-CONTINENTAL
   CORP             PREFERRED   895436103         23     1267 SHARES                           X        1    N.A.      N.A.  N.A.
VANGUARD TOTAL
   STOCK MARKET
   VIPERS           PREFERRED   922908769        320     2790 SHARES                           X        1    N.A.      N.A.  N.A.
ZWEIG FUND          PREFERRED   989834106         11     2000 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES RUSSELL
   2000 GRWTH FD    PREFERRED   464287648        357     5700 SHARES                  X                 3    N.A.      N.A.  N.A.
ISHARES TR          PREFERRED   464287309       1415    25000 SHARES                  X                 3    N.A.      N.A.  N.A.

SUBTOTALS FOR
   CLOSED END
   EQUITY MUTUAL
   FUND                                         9807   159722                                                N.A.      N.A.  N.A.

B. PREFERRED STOCKS

CLOSED-END NON-TAXABLE INCOME

APEX MUNICIPAL FUND PREFERRED   037580107         18     2027 SHARES                           X        1    N.A.      N.A.  N.A.
BLACKROCK INSD MUNI
   TERM TR          PREFERRED   092474105          8      750 SHARES                  X                 1    N.A.      N.A.  N.A.
BLACKROCK INSD MUNI
   2008 TERM TR     PREFERRED   09247K109         12      750 SHARES                  X                 1    N.A.      N.A.  N.A.
BLACKROCK INVT
   QUALITY MUN TR   PREFERRED   09247D105         13      870 SHARES                           X        1    N.A.      N.A.  N.A.
BLACKROCK MUN
   TARGET TRM TR    PREFERRED   09247M105         24     2325 SHARES                  X                 1    N.A.      N.A.  N.A.
BLACKROCK NY INS
   MUNI 2008 TERM
   TR               PREFERRED   09247L107         12      750 SHARES                  X                 1    N.A.      N.A.  N.A.
DREYFUS MUNICIPAL
   INCOME FUND      PREFERRED   26201R102         64     7200 SHARES                           X        1    N.A.      N.A.  N.A.
DREYFUS STRATEGIC
   MUN BD FD        PREFERRED   26202F107        233    27602 SHARES                  X                 1    N.A.      N.A.  N.A.
DREYFUS STRATEGIC
   MUN BD FD        PREFERRED   26202F107        151    17864 SHARES                           X        1    N.A.      N.A.  N.A.
DREYFUS STRATEGIC
   MUNS INC         PREFERRED   261932107         47     5735 SHARES                  X                 1    N.A.      N.A.  N.A.
DREYFUS STRATEGIC
   MUNS INC         PREFERRED   261932107         17     2109 SHARES                           X        1    N.A.      N.A.  N.A.
EATON VANCE
   MUNICIPAL INCOME
   TRUST            PREFERRED   27826U108         79     5000 SHARES                           X        1    N.A.      N.A.  N.A.
EATON VANCE PA
   MUNI INC TR      PREFERRED   27826T101        149    10000 SHARES                           X        1    N.A.      N.A.  N.A.
MORGAN STAN DEAN
   QUALITY MUN INC
   TR               PREFERRED   61745P734         19     1413 SHARES                           X        1    N.A.      N.A.  N.A.
MORGAN STANLEY INSD
   MUNI INCOME TR   PREFERRED   61745P791         58     4334 SHARES                           X        1    N.A.      N.A.  N.A.
MORGAN STANLEY MUNI
   INC OPP TR II    PREFERRED   61745P445         16     2000 SHARES                           X        1    N.A.      N.A.  N.A.
MORGAN STANLEY
   QUALITY MUNI
   INVST            PREFERRED   61745P668         23     1708 SHARES                           X        1    N.A.      N.A.  N.A.
MORGAN STANLEY
   QUALITY
   MUNICIPAL SEC    PREFERRED   61745P585         20     1460 SHARES                           X        1    N.A.      N.A.  N.A.
MUNICIPAL HIGH
   INCOME FD INC    PREFERRED   626214100         15     2050 SHARES                  X                 1    N.A.      N.A.  N.A.
MUNICIPAL HIGH
   INCOME FD INC    PREFERRED   626214100         50     7040 SHARES                           X        1    N.A.      N.A.  N.A.
MUNIENHANCED FUND
   INC              PREFERRED   626243109         21     1918 SHARES                  X                 1    N.A.      N.A.  N.A.
MUNIENHANCED FUND
   INC              PREFERRED   626243109         22     2032 SHARES                           X        1    N.A.      N.A.  N.A.
MUNIHOLDINGS NEW
   JERSEY INSD FD
   INC              PREFERRED   625936109         44     3050 SHARES                           X        1    N.A.      N.A.  N.A.
MUNIHOLDINGS NY
   INSURED FD       PREFERRED   625931100         43     3050 SHARES                           X        1    N.A.      N.A.  N.A.
MUNIVEST FUND
   INCORPORATED     PREFERRED   626295109         47     5200 SHARES                           X        1    N.A.      N.A.  N.A.
MUNIYIELD CALIF
   INSD FUND INC    PREFERRED   62629L104         41     3050 SHARES                           X        1    N.A.      N.A.  N.A.
MUNIYIELD FUND INC  PREFERRED   626299101         25     1774 SHARES                  X                 1    N.A.      N.A.  N.A.
MUNIYIELD FUND INC  PREFERRED   626299101        136     9800 SHARES                           X        1    N.A.      N.A.  N.A.
MUNIYIELD INSURED
   FUND             PREFERRED   62630E107          6      390 SHARES                           X        1    N.A.      N.A.  N.A.
MUNIYIELD NEW YORK
   INSURED FD       PREFERRED   626301105         21     1601 SHARES                           X        1    N.A.      N.A.  N.A.
MUNIYIELD
   PENNSYLVANIA
   INSURED FD       PREFERRED   62630V109         36     2467 SHARES                  X                 1    N.A.      N.A.  N.A.


                                    40 of 44




                                                                                      
MUNIYIELD
   PENNSYLVANIA
   INSURED FD       PREFERRED   62630V109         40     2755 SHARES                           X        1    N.A.      N.A.  N.A.
MUNIYIELD QUALITY
   FUND II          PREFERRED   62630T104         84     6850 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN DIV
   ADVANTAGE MUN
   FD 2             PREFERRED   67070F100         34     2251 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN INSD QUALITY
   MUN FD           PREFERRED   67062N103         68     4624 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN INVT QUALITY
   MUNI FD          PREFERRED   67062E103         23     1600 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN INVT QUALITY
   MUNI FD          PREFERRED   67062E103          5      333 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN MUNI MARKET
   OPPORTUNITY FD   PREFERRED   67062W103         34     2500 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN MUNI MARKET
   OPPORTUNITY FD   PREFERRED   67062W103        205    15000 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN MUNICIPAL
   ADVANTAGE FD     PREFERRED   67062H106         10      650 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN MUNICIPAL
   ADVANTAGE FD     PREFERRED   67062H106        156    10643 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN MUNICIPAL
   VALUE FUND       PREFERRED   670928100         44     4839 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN MUNICIPAL
   VALUE FUND       PREFERRED   670928100        101    11040 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN NY INVT
   QUALITY MUN FD   PREFERRED   67062X101         44     2965 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN PA INVT
   QUALITY MUN FD   PREFERRED   670972108        153    10785 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN PA INVT
   QUALITY MUN FD   PREFERRED   670972108        292    20606 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN PA PREM
   INCOME MUN FD 2  PREFERRED   67061F101        145     9828 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN PA PREM
   INCOME MUN FD 2  PREFERRED   67061F101         50     3392 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN PERFORMANCE
   PLUS MUNI FD     PREFERRED   67062P108          7      500 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN PERFORMANCE
   PLUS MUNI FD     PREFERRED   67062P108         43     3050 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN PREM INC MUN
   FD 4             PREFERRED   6706K4105          5      440 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN PREM INC MUN
   FD 4             PREFERRED   6706K4105         30     2525 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN PREM INC
   MUNI FD          PREFERRED   67062T100         10      700 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN PREM INC
   MUNI FD          PREFERRED   67062T100         11      775 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN PREMIER INSD
   MUNI INC FD      PREFERRED   670987106          6      410 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN PREMIER
   MUNICIPAL INCOME
   FD               PREFERRED   670988104         10      755 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN PREMIUM
   INCOME MUNICIPAL
   FD 2             PREFERRED   67063W102         11      765 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN QUALITY
   INCOME MUNI FD   PREFERRED   670977107          7      500 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN QUALITY
   INCOME MUNI FD   PREFERRED   670977107         11      780 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN SELECT
   QUALITY MUN FD   PREFERRED   670973106         11      770 SHARES                           X        1    N.A.      N.A.  N.A.
PIMCO MUNICIPAL
   INCOME FUND III  PREFERRED   72201A103         19     1335 SHARES                  X                 1    N.A.      N.A.  N.A.
PUTNAM MANAGED
   MUNICIPAL INCOME
   TR               PREFERRED   746823103         68     9663 SHARES                           X        1    N.A.      N.A.  N.A.
SALOMON BROS MUNI
   PTR FD           PREFERRED   794916106         17     1350 SHARES                  X                 1    N.A.      N.A.  N.A.
SCUDDER MUNICIPAL
   INCOME TR COM    PREFERRED   81118R604         16     1400 SHARES                           X        1    N.A.      N.A.  N.A.
SCUDDER STRATEGIC
   MUNI INCOME
   TRUST            PREFERRED   811234103         19     1500 SHARES                  X                 1    N.A.      N.A.  N.A.
VAN KAMPEN
   ADVANTAGE MUNI
   INCOME TR        PREFERRED   921124103        107     7500 SHARES                           X        1    N.A.      N.A.  N.A.
VAN KAMPEN
   ADVANTAGE PA
   MUNI INCOME      PREFERRED   920937109         23     1650 SHARES                  X                 1    N.A.      N.A.  N.A.
VAN KAMPEN
   ADVANTAGE PA
   MUNI INCOME      PREFERRED   920937109        144    10200 SHARES                           X        1    N.A.      N.A.  N.A.
VAN KAMPEN
   MUNICIPAL INCOME
   TRUST            PREFERRED   920909108         89    10000 SHARES                           X        1    N.A.      N.A.  N.A.
VAN KAMPEN PA
   QUALITY MUNI TR
   (CE)             PREFERRED   920924107         40     2800 SHARES                  X                 1    N.A.      N.A.  N.A.
VAN KAMPEN PA
   QUALITY MUNI TR
   (CE)             PREFERRED   920924107        191    13400 SHARES                           X        1    N.A.      N.A.  N.A.
VAN KAMPEN PENN
   VALUE MUNI
   INCOME TR        PREFERRED   92112T108         86     5870 SHARES                  X                 1    N.A.      N.A.  N.A.
VAN KAMPEN TRUST
   INSURED
   MUNICIPAL        PREFERRED   920928108          7      505 SHARES                  X                 1    N.A.      N.A.  N.A.
VAN KAMPEN TRUST
   INVT GRADE PA
   MUNI             PREFERRED   920934106         49     3425 SHARES                  X                 1    N.A.      N.A.  N.A.

SUBTOTALS FOR
   CLOSED-END
   NON-TAXABLE
   INCOME                                       3995   330548                                                N.A.      N.A.  N.A.

B. PREFERRED STOCK

CLOSED-END FIXED
   INCOME

ABERDEEN ASIA
  PACIFIC INC FD    PREFERRED   003009107         18     3000 SHARES                  X                 1    N.A.      N.A.  N.A.
ACM INCOME FUND     PREFERRED   000912105          7      892 SHARES                           X        1    N.A.      N.A.  N.A.
ALLIANCE WORLD DLR
   GOVT FUND (CE)   PREFERRED   018796102         30     2500 SHARES                  X                 1    N.A.      N.A.  N.A.
AMERICAN STRATEGIC
   INCOME III FD    PREFERRED   03009T101         39     3300 SHARES                  X                 1    N.A.      N.A.  N.A.
AMERICAN STRATEGIC
   INCOME PORT II   PREFERRED   030099105         39     3400 SHARES                  X                 1    N.A.      N.A.  N.A.
CALAMOS CONV & HIGH
   INC FD           PREFERRED   12811P108         15     1000 SHARES                           X        1    N.A.      N.A.  N.A.
CITICORP
   INVESTMENTS CORP
   LN FD            PREFERRED   17307C107         35     2583 SHARES                           X        1    N.A.      N.A.  N.A.
CREDIT SUISSE HIGH
   YIELD BD FD      PREFERRED   22544F103         22     4644 SHARES                  X                 1    N.A.      N.A.  N.A.
DREYFUS HIGH YIELD
   STRATEGIES FD    PREFERRED   26200S101          9     2000 SHARES                           X        1    N.A.      N.A.  N.A.
DUFF & PHELPS UTIL
   & CORP BOND FD   PREFERRED   26432K108         20     1500 SHARES                           X        1    N.A.      N.A.  N.A.
FRANKLIN UNIVERSAL
   TRUST            PREFERRED   355145103         25     4200 SHARES                           X        1    N.A.      N.A.  N.A.
HIGH INCOME
   OPPORTUNITY FD
   INC              PREFERRED   42967Q105         18     2881 SHARES                  X                 1    N.A.      N.A.  N.A.
ISHARES LEHMAN UST
   INF PR S         PREFERRED   464287176         79      750 SHARES                  X                 1    N.A.      N.A.  N.A.
JOHN HANCOCK
   INVESTORS TRUST  PREFERRED   410142103          6      300 SHARES                           X        1    N.A.      N.A.  N.A.
JOHN HANCOCK PFD
   INC FD II        PREFERRED   41013X106         26     1150 SHARES                  X                 1    N.A.      N.A.  N.A.
MFS CHARTER INCOME
   TRUST            PREFERRED   552727109          1      166 SHARES                  X                 1    N.A.      N.A.  N.A.
MFS INTERMEDIATE
   INCOME TRUST     PREFERRED   55273C107         64    10000 SHARES                           X        1    N.A.      N.A.  N.A.


                                    41 of 44




                                                                                      
MFS SPECIAL VALUE
   TRUST            PREFERRED   55274E102         22     2125 SHARES                           X        1    N.A.      N.A.  N.A.
MORGAN STANLEY
   GLOBAL OPP BD FD PREFERRED   61744R103         15     2000 SHARES                  X                 1    N.A.      N.A.  N.A.
MORGAN STANLEY HIGH
   YLD FD INC       PREFERRED   61744M104          2      300 SHARES                  X                 1    N.A.      N.A.  N.A.
MORGAN STANLEY HIGH
   YLD FD INC       PREFERRED   61744M104         17     2750 SHARES                           X        1    N.A.      N.A.  N.A.
NEW AMERICAN HIGH
   INCOME FD INC CE PREFERRED   641876107          7     3500 SHARES                           X        1    N.A.      N.A.  N.A.
NUVEEN PFD & CONV
   INCOME FD II     PREFERRED   67073D102         24     1860 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN PFD & CVRT
   INCOME FUND      PREFERRED   67073B106         20     1500 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN QUALITY PFD
   INCOME FD 2      PREFERRED   67072C105         56     4085 SHARES                  X                 1    N.A.      N.A.  N.A.
NUVEEN QUALITY PFD
   INCOME FD 2      PREFERRED   67072C105         95     6965 SHARES                           X        1    N.A.      N.A.  N.A.
PACIFIC AMERICAN
   INCOME SHS INC
   CE               PREFERRED   693796104         22     1500 SHARES                           X        1    N.A.      N.A.  N.A.
PIMCO CORPORATE
   INCOME FUND      PREFERRED   72200U100         11      740 SHARES                  X                 1    N.A.      N.A.  N.A.
PIMCO RCM STRAT
   GLOBAL GOVT      PREFERRED   72200X104         17     1500 SHARES                  X                 1    N.A.      N.A.  N.A.
PUTNAM MANAGED HIGH
   YIELD TRUST      PREFERRED   746819101         21     2650 SHARES                           X        1    N.A.      N.A.  N.A.
PUTNAM PREMIER
   INCOME TRUST     PREFERRED   746853100         76    12141 SHARES                  X                 1    N.A.      N.A.  N.A.
PUTNAM PREMIER
   INCOME TRUST     PREFERRED   746853100          2      300 SHARES                           X        1    N.A.      N.A.  N.A.
TEMPLETON GLOBAL
   INCOME FUND-DE   PREFERRED   880198106        361    41543 SHARES                  X                 1    N.A.      N.A.  N.A.

SUBTOTALS FOR
   CLOSED-END
   FIXED INCOME                                 1221   129725                                                N.A.      N.A.  N.A.

*SUMMARY PAGE FOR B. PREFERRED STOCK *

MINOR ASSET TYPE

50 FOREIGN
   PREFERRED STOCKS                               90     3500                                                N.A.      N.A.  N.A.
51 CONVERTIBLE
   PREFERRED STOCKS                            11164   227121                                                N.A.      N.A.  N.A.
60 GLOBAL EQUITY
   MUTUAL FUNDS                                  559    18524                                                N.A.      N.A.  N.A.
61 INTL EQUITY
   MUTUAL FUNDS                                   39     1000                                                N.A.      N.A.  N.A.
63 CLOSED END
   EQUITY MUTUAL
   FUND                                         9807   159722                                                N.A.      N.A.  N.A.
65 CLOSED-END
   NON-TAXABLE
   INCOME                                       3995   330548                                                N.A.      N.A.  N.A.
68 CLOSED-END FIXED
   INCOME                                       1221   129725                                                N.A.      N.A.  N.A.

*SUBTOTALS*                                    26875   870140                                                N.A.      N.A.  N.A.

C. OTHER

MUNICIPAL UITS

MFS MUN INCOME TR
   SH BEN INT       UIT         552738106         13     1700 SHARES                  X                 1    N.A.      N.A.  N.A.

SUBTOTALS FOR
   MUNICIPAL UITS                                 13     1700                                                N.A.      N.A.  N.A.

C. OTHER

PARTNERSHIPS

FERRELLGAS PARTNERS
   LP *             PARTNERSHIP 315293100         21     1000 SHARES                  X                 1    N.A.      N.A.  N.A.
FERRELLGAS PARTNERS
   LP *             PARTNERSHIP 315293100        191     9000 SHARES                           X        1    N.A.      N.A.  N.A.

SUBTOTALS FOR
   PARTNERSHIPS                                  212    10000                                                N.A.      N.A.  N.A.

*SUMMARY PAGE FOR C. OTHER *

MINOR ASSET TYPE


                                    42 of 44




                                                                                      
70 MUNICIPAL UITS                                 13     1700 SHARES                                    1    N.A.      N.A.  N.A.
88 PARTNERSHIPS                                  212    10000 SHARES                                    1    N.A.      N.A.  N.A.

*SUBTOTALS*                                      225    11700                                                N.A.      N.A.  N.A.

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

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


CATEGORY

A. COMMON STOCK                              3620003 98811101                                                95038936  47963 3676408
B. PREFERRED STOCK                             26875   870140                                                N.A.      N.A.  N.A.
C. OTHER                                         225    11700                                                N.A.      N.A.  N.A.

**GRAND TOTALS**                             3647103 99692941                                                95038936  47963 3676408


                                    43 of 44



                             FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                   3
                                           -----------
Form 13-F Information Table Entry Total:         2,860
                                           -----------
Form 13-F Information Table Value Total:     3,647,103
                                           -----------
                                           (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.