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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 9/30/2005

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      11/3/2005
------------------------------------------  ---------------------  -------------
               [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).)




                             FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                3

Form 13-F Information Table Entry Total:      3,196

Form 13-F Information Table Value Total:  3,873,847
                                         (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.






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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
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A. COMMON STOCK

DOMESTIC COMMON STOCKS

BOSTON BEER INCORPORATED
 CLASS A                    COMMON STOCK    100557107      115      4600  SHARES         X                 3       4600    0       0
BOSTON PROPERTIES
INCORPORATED                COMMON STOCK    101121101      298      4200  SHARES         X                 2       4200    0       0
BOSTON SCIENTIFIC
 CORPORATION                COMMON STOCK    101137107     1087     46500  SHARES         X                 2      46500    0       0
BOSTON SCIENTIFIC           COMMON STOCK    101137107      192      8217  SHARES         X                 3       8217    0       0
BOYKIN LODGING CO           COMMON STOCK    103430104      683     55000  SHARES         X                 3      55000    0       0
BRIGHTPOINT INC             COMMON STOCK    109473405      807     42150  SHARES         X                 3      42150    0       0
BRISTOL-MYERS SQUIBB CO     COMMON STOCK    110122108       29      1200  SHARES               X           3       1200    0       0
BRISTOL MYERS SQUIBB
 COMPANY                    COMMON STOCK    110122108     1159     48170  SHARES         X                 2      48170    0       0
BRISTOL-MYERS SQUIBB CO     COMMON STOCK    110122108      950     39495  SHARES         X                 3      34675    0    4820
BROADCOM CORP               COMMON STOCK A  111320107      122      2600  SHARES         X                 3       2600    0       0
BROOKS AUTOMATION           COMMON STOCK    114340102     1117     83800  SHARES         X                 3      83800    0       0
BROWN FORMAN CORP           COMMON STOCK A  115637209       63      1060  SHARES         X                 3       1060    0       0
BRUNSWICK CORP              COMMON STOCK    117043109       34       900  SHARES         X                 3        900    0       0
BUCKEYE TECHNOLOGIES        COMMON STOCK    118255108      357     44000  SHARES         X                 3      44000    0       0
BUFFALO WILD WINGS          COMMON STOCK    119848109      270     10200  SHARES         X                 3      10200    0       0
BURLINGTON RESOURCES        COMMON STOCK    122014103     3183     34540  SHARES         X                 3      34540    0       0
CIGNA CORP                  COMMON STOCK    125509109     1747     14825  SHARES         X                 3      14825    0       0
CIT GROUP INC               COMMON STOCK    125581108     8606    190490  SHARES         X                 3     186990    0    3500
CMS ENERGY CORP             COMMON STOCK    125896100       33      2000  SHARES         X                 3       2000    0       0
CSG SYS INTL INC            COMMON STOCK    126349109      582     26800  SHARES         X                 3      26800    0       0
CSX CORP                    COMMON STOCK    126408103       87      1870  SHARES         X                 3       1870    0       0
CVS CORP                    COMMON STOCK    126650100      223      7680  SHARES         X                 3       7680    0       0
CADENCE DESIGN SYS          COMMON STOCK    127387108      848     52500  SHARES         X                 3      52500    0       0
CAL DIVE INTERNATIONAL INC  COMMON STOCK    127914109      299      4700  SHARES         X                 3       4700    0       0
CALAMP CORPORATION          COMMON STOCK    128126109       62      7700  SHARES         X                 3       7700    0       0
CALPINE CORP                COMMON STOCK    131347106       12      4500  SHARES         X                 3       4500    0       0
CALYPTE BIOMEDICAL CORP     COMMON STOCK    131722605      102    425025  SHARES         X                 3     425025    0       0
CAMPBELL SOUP CO COM        COMMON STOCK    134429109      114      3815  SHARES         X                 3       3815    0       0
CANDELA CORP                COMMON STOCK    136907102       44      4400  SHARES         X                 3       4400    0       0
CAPITAL AUTOMOTIVE REIT     COMMON STOCK    139733109     1993     51479  SHARES         X                 2      51479    0       0
CAREER EDUCATION COR        COMMON STOCK    141665109      677     19039  SHARES         X                 3      19039    0       0
CAREMARK RX INC             COMMON STOCK    141705103     7636    152936  SHARES         X                 3     146386    0    6550
CARMAX INC                  COMMON STOCK    143130102     6341    202841  SHARES         X                 3     196806    0    6035
CARNIVAL CORP               COMMON STOCK-PD 143658300     4592     91880  SHARES         X                 3      91880    0       0
CASCADE BANCORP             COMMON STOCK    147154108      134      6400  SHARES         X                 3       6400    0       0
CASCADE CORP                COMMON STOCK    147195101     1081     22200  SHARES         X                 3      22200    0       0
CATERPILLAR INC             COMMON STOCK    149123101     1899     29402  SHARES         X                 3      29402    0       0
CATO CORP                   COMMON STOCK    149205106     1096     55000  SHARES         X                 3      55000    0       0
CELL GENESYS INC            COMMON STOCK    150921104      724    132129  SHARES         X                 3     132129    0       0
CENDANT CORP                COMMON STOCK    151313103      197      9550  SHARES         X                 3       9550    0       0
CENTEX CORP                 COMMON STOCK    152312104       75      1160  SHARES         X                 3       1160    0       0


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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
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CENTURYTEL INC              COMMON STOCK    156700106     1024     29300  SHARES         X                 3      29300    0       0
CEPHALON INC                COMMON STOCK    156708109     3180     68500  SHARES         X                 3      68500    0       0
CERES GROUP INC             COMMON STOCK    156772105      486     86300  SHARES         X                 3      86300    0       0
CERNER CORP                 COMMON STOCK    156782104      903     10396  SHARES         X                 3       9621    0     775
CHAPARRAL STEEL CO          COMMON STOCK    159423102      127      5000  SHARES         X                 3       5000    0       0
CHECKERS DR-IN RSTT         COMMON STOCK    162809305      596     39000  SHARES         X                 3      39000    0       0
CHEMTURA CORPORATION        COMMON STOCK    163893100      935     75300  SHARES         X                 3      75300    0       0
CHEVRONTEXACO CORPORATION   COMMON STOCK    166764100      865     13360  SHARES         X                 2      13360    0       0
CHEVRON CORP                COMMON STOCK    166764100    16660    257378  SHARES         X                 3     249684    0    7694
CHICAGO BRIDGE & IRN        N Y REGIS       167250109     4626    139310  SHARES         X                 3     139310    0       0
CHICOS FAS INC              COMMON STOCK    168615102     1520     41300  SHARES         X                 3      41300    0       0
CHIQUITA BRANDS INTL        COMMON STOCK    170032809     1009     36100  SHARES         X                 3      36100    0       0
CHIRON CORP                 COMMON STOCK    170040109       57      1300  SHARES         X                 3       1300    0       0
CHRISTOPHER & BKS CO        COMMON STOCK    171046105      354     25550  SHARES         X                 3      25550    0       0
CHUBB CORP                  COMMON STOCK    171232101      168      1875  SHARES         X                 3       1875    0       0
CIENA CORP                  COMMON STOCK    171779101       13      4800  SHARES         X                 3       4800    0       0
CINCINNATI FINANCIAL
 CORPORATION                COMMON STOCK    172062101      202      4830  SHARES         X                 2       4830    0       0
CINCINNATI FINL CORP        COMMON STOCK    172062101     1089     26002  SHARES         X                 3      26002    0       0
CINERGY CORP                COMMON STOCK    172474108       83      1860  SHARES         X                 3       1860    0       0
CIRCUIT CITY STORE          COMMON STOCK    172737108       30      1750  SHARES         X                 3       1750    0       0
CINTAS CORP                 COMMON STOCK    172908105       57      1400  SHARES         X                 3       1400    0       0
CITIGROUP INCORPORATED      COMMON STOCK    172967101     5881    129197  SHARES         X                 2     129197    0       0
CITIGROUP INC               COMMON STOCK    172967101    22224    488218  SHARES         X                 3     471368    0   16850
CITIZENS BKG CORP           COMMON STOCK    174420109      989     34830  SHARES         X                 3      34830    0       0
CITRIX SYS INC              COMMON STOCK    177376100       50      2000  SHARES         X                 3       2000    0       0
CITY HLDG CO                COMMON STOCK    177835105      472     13200  SHARES         X                 3      13200    0       0
CLEAR CHANNEL
 COMMUNICATIONS INC COM     COMMON STOCK    184502102      202      6135  SHARES         X                 3       4685    0    1450
CLEVELAND CLIFFS INC        COMMON STOCK    185896107     1437     16500  SHARES         X                 3      16500    0       0
CLOROX CO                   COMMON STOCK    189054109       82      1475  SHARES         X                 3       1475    0       0
COACH INC                   COMMON STOCK    189754104      113      3600  SHARES         X                 3       3600    0       0
COCA COLA CO COM            COMMON STOCK    191216100       33       754  SHARES               X           3        754    0       0
COCA COLA COMPANY           COMMON STOCK    191216100      238      5500  SHARES         X                 2       5500    0       0
COCA COLA CO                COMMON STOCK    191216100     8009    183767  SHARES         X                 3     174137    0    9630
COCA COLA ENTERPRISE        COMMON STOCK    191219104       66      3400  SHARES         X                 3       3400    0       0
COGNIZANT TECH SOL CORP     COMMON STOCK    192446102      984     21100  SHARES         X                 3      21100    0       0
COLGATE PALMOLIVE COMPANY   COMMON STOCK    194162103     4927     93332  SHARES         X                 2      93332    0       0
COLGATE PALMOLIVE CO        COMMON STOCK    194162103     6751    125632  SHARES         X                 3     120226    0    5406
COLUMBIA BANCORP            COMMON STOCK    197227101      115      2870  SHARES         X                 3       2870    0       0
COMERICA INC                COMMON STOCK    200340107     1286     21832  SHARES         X                 3      21832    0       0
COMMERCE BANCSHARES         COMMON STOCK    200525103      479      9300  SHARES         X                 3       9300    0       0
COMMERCE GROUP INC          COMMON STOCK    200641108     1300     22400  SHARES         X                 3      22400    0       0
COMMERCIAL FED CORP         COMMON STOCK    201647104      976     28600  SHARES         X                 3      28600    0       0
COMPUTER ASSOC INTL         COMMON STOCK    204912109     5620    202100  SHARES         X                 3     202100    0       0
COMPUTER PROGRAMS & SYSTEMS
 INC                        COMMON STOCK    205306103       48      1400  SHARES         X                 3       1400    0       0
COMPUTER SCIENCES           COMMON STOCK    205363104     1240     26208  SHARES         X                 3      26208    0       0
COMPUWARE CORP              COMMON STOCK    205638109       33      3500  SHARES         X                 3       3500    0       0
COMSTOCK RESOURCES INC      COMMON STOCK    205768203      407     12400  SHARES         X                 3      12400    0       0
COMVERSE TECHNOLOGY         COMMON STOCK    205862402       58      2200  SHARES         X                 3       2200    0       0
CONAGRA FOODS INC           COMMON STOCK    205887102      126      5100  SHARES         X                 3       5100    0       0
CONNETICS CORPORATION       COMMON STOCK    208192104       44      2600  SHARES         X                 3       2600    0       0
CONSOLDTD EDISON INC        COMMON STOCK    209115104      115      2360  SHARES         X                 3       2360    0       0
CONSTELLATION ENERGY GROUP
 INC COM                    COMMON STOCK    210371100       40       650  SHARES               X           3        650    0       0
CONSTELLATION ENERGY GROUP
 INC COM                    COMMON STOCK    210371100      180      2915  SHARES         X                 3       2915    0       0


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                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
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CONVERGYS CORP              COMMON STOCK    212485106       24      1700  SHARES         X                 3       1700    0       0
THE COOPER COMPANIES INC    COMMON STOCK    216648402      115      1500  SHARES         X                 3       1500    0       0
COOPER TIRE & RUBBER        COMMON STOCK    216831107       13       855  SHARES         X                 3        855    0       0
CORILLIAN CORP              COMMON STOCK    218725109      374    116990  SHARES         X                 3     116990    0       0
CORNING INC                 COMMON STOCK    219350105     1978    101116  SHARES         X                 3     101116    0       0
CORUS BANKSHARES INC        COMMON STOCK    220873103     1279     23335  SHARES         X                 3      23335    0       0
COST PLUS INC CALIF         COMMON STOCK    221485105      103      5700  SHARES         X                 3       5700    0       0
COUNTRYWIDE FINL            COMMON STOCK    222372104     4152    125898  SHARES         X                 3     125898    0       0
COVENTRY HEALTH CARE
 INCORPORATED               COMMON STOCK    222862104     2624     30500  SHARES         X                 2      30500    0       0
COVENTRY HEALTH CAR         COMMON STOCK    222862104       77       900  SHARES         X                 3        900    0       0
CRANE CO                    COMMON STOCK    224399105      520     17500  SHARES         X                 3      17500    0       0
CREDENCE SYS CORP           COMMON STOCK    225302108     1063    133020  SHARES         X                 3     133020    0       0
CRESCENT REAL ESTATE        COMMON STOCK    225756105     1343     65500  SHARES         X                 3      65500    0       0
CUBIST PHARMACEUT           COMMON STOCK    229678107     1273     59100  SHARES         X                 3      59100    0       0
CUMMINS INC                 COMMON STOCK    231021106     1127     12810  SHARES         X                 3      12810    0       0
CYTYC CORP                  COMMON STOCK    232946103     1605     59800  SHARES         X                 3      59800    0       0
DTE ENERGY CO               COMMON STOCK    233331107       85      1845  SHARES         X                 3       1545    0     300
DANA CORP                   COMMON STOCK    235811106      534     56681  SHARES         X                 3      56681    0       0
DANAHER CORP                COMMON STOCK    235851102      140      2600  SHARES         X                 3       2600    0       0
DARDEN RESTAURANT           COMMON STOCK    237194105      454     14950  SHARES         X                 3      14950    0       0
DEERE & CO                  COMMON STOCK    244199105      217      3555  SHARES         X                 3       2355    0    1200
DELPHI CORPORATION          COMMON STOCK    247126105       18      6543  SHARES         X                 3       6543    0       0
DIGENE CORP COMMON          COMMON STOCK    253752109      150      5250  SHARES         X                 3       5250    0       0
DIGIMARC CORP               COMMON STOCK    253807101      721    106400  SHARES         X                 3     106400    0       0
DILLARDS INC                COMMON STOCK A  254067101       14       680  SHARES         X                 3        680    0       0
DISNEY WALT COMPANY         COMMON STOCK    254687106      344     14246  SHARES         X                 2      14246    0       0
WALT DISNEY CO COM          COMMON STOCK    254687106      460     19055  SHARES         X                 3      18055    0    1000
DOLLAR GEN CORP             COMMON STOCK    256669102       56      3050  SHARES         X                 3       3050    0       0
DOLLAR THRIFTY AUTO         COMMON STOCK    256743105      933     27700  SHARES         X                 3      27700    0       0
DONNELLEY R R & SONS        COMMON STOCK    257867101       78      2105  SHARES         X                 3       2105    0       0
DOVER CORP                  COMMON STOCK    260003108       70      1710  SHARES         X                 3       1710    0       0
DOW CHEMICAL COMPANY        COMMON STOCK    260543103     1788     42900  SHARES         X                 2      42900    0       0
DOW CHEMICAL CO COM         COMMON STOCK    260543103     1103     26482  SHARES         X                 3      19282    0    7200
DOW JONES & CO INC          COMMON STOCK    260561105       24       625  SHARES         X                 3        625    0       0
DRESS BARN INCORPORATED     COMMON STOCK    261570105       75      3300  SHARES         X                 3       3300    0       0
DU PONT E I DE NEMOURS &
 COMPANY                    COMMON STOCK    263534109      657     16779  SHARES         X                 2      16779    0       0
DUPONT EI DE NEMOURS & CO
 COM                        COMMON STOCK    263534109      440     11250  SHARES         X                 3      10050    0    1200
DUKE ENERGY CORP            COMMON STOCK    264399106       28       950  SHARES               X           3        950    0       0
DUKE ENERGY CORP            COMMON STOCK    264399106      499     17109  SHARES         X                 3      15209    0    1900
DUQUESNE LIGHT HLDGS        COMMON STOCK    266233105      929     54000  SHARES         X                 3      54000    0       0
E M C CORPORATION
 MASSACHUSETTS              COMMON STOCK    268648102     2829    218655  SHARES         X                 2     218655    0       0
EMC CORP MASS               COMMON STOCK    268648102     1793    121977  SHARES         X                 3     116577    0    5400
E TRADE FINL CORP           COMMON STOCK    269246104     1971    112000  SHARES         X                 3     112000    0       0
EARTHLINK INC               COMMON STOCK    270321102     1343    125500  SHARES         X                 3     125500    0       0
EASTGROUP PROPERTIES
 INCORPORATED               COMMON STOCK    277276101      634     14500  SHARES         X                 2      14500    0       0
EASTMAN CHEM CO             COMMON STOCK    277432100      883     18800  SHARES         X                 3      18800    0       0
EASTMAN KODAK CO            COMMON STOCK    277461109      858     35260  SHARES         X                 3      35260    0       0
EATON CORP                  COMMON STOCK    278058102       82      1290  SHARES         X                 3       1290    0       0
EBAY INC                    COMMON STOCK    278642103     5394    126146  SHARES         X                 3     121896    0    4250
ECOLAB INC                  COMMON STOCK    278865100       64      1990  SHARES         X                 3       1990    0       0
EDISON INTL                 COMMON STOCK    281020107     1024     21665  SHARES         X                 3      21665    0       0
EDWARDS AG INC              COMMON STOCK    281760108     1056     24100  SHARES         X                 3      24100    0       0
EL PASO ELEC CO             COMMON STOCK    283677854      771     37000  SHARES         X                 3      37000    0       0


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                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
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ELECTRIC CITY CORP          COMMON STOCK    284868106      126    147000  SHARES         X                 3     147000    0       0
ELECTRONIC ARTS             COMMON STOCK    285512109     7187    121041  SHARES         X                 3     118612    0    2429
ELECTRONIC DATA SYS         COMMON STOCK    285661104      113      5025  SHARES         X                 3       5025    0       0
ELECTRONICS FOR IMAG        COMMON STOCK    286082102     1213     52900  SHARES         X                 3      52900    0       0
EMERSON ELECTRIC COMPANY    COMMON STOCK    291011104     1246     17350  SHARES         X                 2      17350    0       0
EMERSON ELEC CO             COMMON STOCK    291011104      277      3860  SHARES         X                 3       3860    0       0
EMULEX CORP                 COMMON STOCK    292475209      523     25900  SHARES         X                 3      25900    0       0
ENCORE CAP GROUP INC        COMMON STOCK    292554102      451     25300  SHARES         X                 3      25300    0       0
ENGELHARD CORP              COMMON STOCK    292845104       32      1130  SHARES         X                 3       1130    0       0
EQUIFAX INC                 COMMON STOCK    294429105       43      1225  SHARES         X                 3       1225    0       0
EQUITY OFFICE PPTYS         COMMON STOCK    294741103      121      3700  SHARES         X                 3       3700    0       0
EURONET WORLDWIDE           COMMON STOCK    298736109      420     14200  SHARES         X                 3      14200    0       0
EXPRESS SCRIPTS INC         COMMON STOCK    302182100     6434    101877  SHARES         X                 3      99068    0    2809
FPL GROUP INC COM           COMMON STOCK    302571104      198      4170  SHARES         X                 3       3770    0     400
FAMILY DOLLAR STORES        COMMON STOCK    307000109       31      1550  SHARES         X                 3       1550    0       0
FASTENAL CO                 COMMON STOCK    311900104     1106     18100  SHARES         X                 3      18100    0       0
FREDDIE MAC - FEDERAL HOME
 LOAN MORTGAGE              COMMON STOCK    313400301     4772     84520  SHARES         X                 2      84520    0       0
FREDDIE MAC                 COMMON STOCK    313400301     4901     86824  SHARES         X                 3      84482    0    2342
FANNIE MAE                  COMMON STOCK    313586109       10       230  SHARES               X           3        230    0       0
FANNIE MAE                  COMMON STOCK    313586109     4239     94558  SHARES         X                 3      90558    0    4000
FEDERAL REALTY INVESTMENT
 TRUST                      COMMON STOCK    313747206      348      5710  SHARES         X                 2       5710    0       0
FEDERATED INVS INC          COMMON STOCK B  314211103       40      1200  SHARES         X                 3       1200    0       0
F5 NETWORKS INC             COMMON STOCK    315616102      383      9900  SHARES         X                 3       2900    0    7000
FIFTH THIRD BANCORP         COMMON STOCK    316773100      173      4700  SHARES         X                 3       4700    0       0
FIRST CHARTER CORP          COMMON STOCK    319439105      632     25800  SHARES         X                 3      25800    0       0
FIRST DATA CORPORATION      COMMON STOCK    319963104      779     19466  SHARES         X                 2      19466    0       0
FIRST DATA CORP COM         COMMON STOCK    319963104      617     15414  SHARES         X                 3      15414    0       0
FIRST FINL BANCORP          COMMON STOCK    320209109      858     46100  SHARES         X                 3      46100    0       0
FIRST HORIZON NATL          COMMON STOCK    320517105       40      1100  SHARES         X                 3       1100    0       0
FISERV INCORPORATED         COMMON STOCK    337738108     1912     41675  SHARES         X                 2      41675    0       0
FISERV INC                  COMMON STOCK    337738108       80      1750  SHARES         X                 3       1750    0       0
FLAGSTAR BANCORP INC        COMMON STOCK    337930101      538     33400  SHARES         X                 3      33400    0       0
FIRSTENERGY CORP            COMMON STOCK    337932107      156      2988  SHARES         X                 3       2988    0       0
FISHER SCNTIFC INTL         COMMON STOCK    338032204       68      1100  SHARES         X                 3       1100    0       0
FLANDERS CORPORATION        COMMON STOCK    338494107     1046     86123  SHARES         X                 2      86123    0       0
FLORIDA ROCK INDUSTRIES     COMMON STOCK    341140101      193      3000  SHARES         X                 3       3000    0       0
FLUOR CORPORATION           COMMON STOCK    343412102       49       755  SHARES         X                 3        755    0       0
FORD MOTOR CO               COMMON STOCK    345370860      174     17600  SHARES         X                 3      17600    0       0
FORDING CANADIAN COAL TRUST COMMON STOCK    345425102     5374    114007  SHARES         X                 3     114007    0       0
FOREST LABS INC             COMMON STOCK    345838106      121      3100  SHARES         X                 3       3100    0       0
FORTUNE BRANDS INC          COMMON STOCK    349631101      102      1250  SHARES         X                 3       1250    0       0
FRANKLIN RES INC            COMMON STOCK    354613101      160      1900  SHARES         X                 3       1900    0       0
FULLER H B CO               COMMON STOCK    359694106      553     17800  SHARES         X                 3      17800    0       0
Fulton Financial Corp.      COMMON STOCK    360271100     6269    373602  SHARES         X                       373602    0       0
FURNITURE BRANDS INT        COMMON STOCK    360921100      398     22100  SHARES         X                 3      22100    0       0
GATX CORP                   COMMON STOCK    361448103     1574     39800  SHARES         X                 3      39800    0       0
GANNETT CO INC              COMMON STOCK    364730101        7       100  SHARES               X           3        100    0       0
GANNETT INCORPORATED        COMMON STOCK    364730101     1070     15550  SHARES         X                 2      15550    0       0
GANNETT CO INC              COMMON STOCK    364730101      227      3300  SHARES         X                 3       2300    0    1000
GAP INC                     COMMON STOCK    364760108      120      6895  SHARES         X                 3       6895    0       0
GASCO ENERGY INC            COMMON STOCK    367220100       82     12200  SHARES         X                 3      12200    0       0
GATEWAY INC                 COMMON STOCK    367626108       10      3550  SHARES         X                 3       3550    0       0
GENERAL DYNAMICS CORP COM   COMMON STOCK    369550108       60       500  SHARES               X           3        500    0       0


                                     4 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
GENERAL DYNAMICS CORP COM   COMMON STOCK    369550108      285      2389  SHARES         X                 3       2389    0       0
GENERAL ELECTRIC COMPANY    COMMON STOCK    369604103       29       855  SHARES               X           3        855    0       0
GENERAL ELECTRIC COMPANY    COMMON STOCK    369604103     6661    197833  SHARES         X                 2     197833    0       0
GENERAL ELECTRIC CO         COMMON STOCK    369604103    26823    877801  SHARES         X                 3     838620    0   39181
GENERAL MILLS INC           COMMON STOCK    370334104       43       900  SHARES               X           3        900    0       0
GENERAL MILLS INC           COMMON STOCK    370334104     6295    123854  SHARES         X                 3     120009    0    3845
GENERAL MOTORS CORP COM     COMMON STOCK    370442105       19       636  SHARES               X           3        636    0       0
GENERAL MOTORS CORP COM     COMMON STOCK    370442105      184      6031  SHARES         X                 3       6031    0       0
GENUINE PARTS COMPANY       COMMON STOCK    372460105      497     11575  SHARES         X                 2      11575    0       0
GENUINE PARTS CO            COMMON STOCK    372460105       67      1560  SHARES         X                 3       1560    0       0
GENZYME CORP                COMMON STOCK    372917104      167      2325  SHARES         X                 3       2325    0       0
GEORGIA GULF CORP           COMMON STOCK    373200203      450     18700  SHARES         X                 3      18700    0       0
GEORGIA PAC CORP            COMMON STOCK    373298108     1056     31001  SHARES         X                 3      31001    0       0
GERBER SCIENTIFIC           COMMON STOCK    373730100      441     56100  SHARES         X                 3      56100    0       0
GILEAD SCIENCES INC         COMMON STOCK    375558103     3160     64445  SHARES         X                 3      64445    0       0
GILLETTE COMPANY            COMMON STOCK    375766102     1638     28150  SHARES         X                 2      28150    0       0
GILLETTE CO                 COMMON STOCK    375766102     3274     61737  SHARES         X                 3      52537    0    9200
GLADSTONE CAPITAL CORP      COMMON STOCK    376535100     2646    117355  SHARES         X                 2     117355    0       0
GLOBAL INDUSTRIES LTD       COMMON STOCK    379336100      337     22900  SHARES         X                 3      22900    0       0
GOLDEN WEST FINL            COMMON STOCK    381317106      154      2600  SHARES         X                 3       2600    0       0
GOODRICH CORP               COMMON STOCK    382388106     1405     31685  SHARES         X                 3      31685    0       0
GOODYEAR TIRE & RUBR        COMMON STOCK    382550101      906     58145  SHARES         X                 3      58145    0       0
GRACO INC                   COMMON STOCK    384109104     2302     60723  SHARES         X                 3      60723    0       0
GRAINGER W W INC            COMMON STOCK    384802104       51       805  SHARES         X                 3        805    0       0
GREATER BAY BANCORP         COMMON STOCK    391648102      853     34600  SHARES         X                 3      34600    0       0
GREENBRIER COMPANIES INC    COMMON STOCK    393657101      153      4600  SHARES         X                 3       4600    0       0
GREENHILL & CO INC          COMMON STOCK    395259104      713     17100  SHARES         X                 3      17100    0       0
GREIF INC                   COMMON STOCK A  397624107      926     15400  SHARES         X                 3      15400    0       0
GREY WOLF INC               COMMON STOCK    397888108      203     24100  SHARES         X                 3      24100    0       0
GRIFFON CORP                COMMON STOCK    398433102      844     34300  SHARES         X                 3      34300    0       0
GUIDANT CORP                COMMON STOCK    401698105      210      3050  SHARES         X                 3       3050    0       0
HCA INC                     COMMON STOCK    404119109      181      3775  SHARES         X                 3       3775    0       0
HALLIBURTON                 COMMON STOCK    406216101      328      4790  SHARES         X                 3       4790    0       0
HARLEY DAVIDSON INC         COMMON STOCK    412822108      136      2800  SHARES         X                 3       2800    0       0
HARLEYSVILLE GROUP          COMMON STOCK    412824104      670     27900  SHARES         X                 3      27900    0       0
HARMAN INTL INDS            COMMON STOCK    413086109     1826     17850  SHARES         X                 3      17850    0       0
HARMONIC INC                COMMON STOCK    413160102      483     83000  SHARES         X                 3      83000    0       0
HARRAHS ENTMT INC           COMMON STOCK    413619107      111      1700  SHARES         X                 3       1700    0       0
HARRIS CORP                 COMMON STOCK    413875105     9474    222388  SHARES         X                 3     216298    0    6090
HARSCO CORP                 COMMON STOCK    415864107     3201     48815  SHARES         X                 3      47525    0    1290
HARTFORD FINL SVCS          COMMON STOCK    416515104     2894     37500  SHARES         X                 3      37500    0       0
HASBRO INC                  COMMON STOCK    418056107      933     47500  SHARES         X                 3      47500    0       0
HEALTH MGMT ASSOC           COMMON STOCK A  421933102       52      2225  SHARES         X                 3       2225    0       0
HEINZ H J COMPANY           COMMON STOCK    423074103      412     11262  SHARES         X                 2      11262    0       0
HEINZ H J CO COM            COMMON STOCK    423074103      152      4150  SHARES         X                 3       4150    0       0
HERCULES INC                COMMON STOCK    427056106       10       800  SHARES         X                 3        800    0       0
THE HERSHEY COMPANY         COMMON STOCK    427866108      117      2070  SHARES         X                 3       2070    0       0
HEWLETT PACKARD COMPANY     COMMON STOCK    428236103      601     20589  SHARES         X                 2      20589    0       0
HEWLETT PACKARD CO COM      COMMON STOCK    428236103      900     30800  SHARES         X                 3      30800    0       0
HIGHWOODS PPTYS INC         COMMON STOCK    431284108      522     17700  SHARES         X                 3      17700    0       0
HILTON HOTELS CORP          COMMON STOCK    432848109       79      3520  SHARES         X                 3       3520    0       0
HOLLY CORP                  COMMON STOCK    435758305     2073     32400  SHARES         X                 3      32400    0       0
HOME DEPOT INCORPORATED     COMMON STOCK    437076102     4450    116675  SHARES         X                 2     116675    0       0


                                     5 of 64






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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
HOME DEPOT INC              COMMON STOCK    437076102     6829    187246  SHARES         X                 3     182733    0    4513
HOME PROPERTIES OF NEW YORK
 INC                        COMMON STOCK    437306103     2127     54200  SHARES         X                 2      54200    0       0
HOMESTORE COM INC           COMMON STOCK    437852106      893    205400  SHARES         X                 3     205400    0       0
HONEYWELL INTERNATIONAL
 INCORPORATED               COMMON STOCK    438516106      694     18512  SHARES         X                 2      18512    0       0
HONEYWELL INTL INC          COMMON STOCK    438516106      290      7741  SHARES         X                 3       7741    0       0
HORACE MANN EDUCATRS        COMMON STOCK    440327104      973     49200  SHARES         X                 3      49200    0       0
HOSPIRA INC                 COMMON STOCK    441060100       56      1379  SHARES         X                 3       1379    0       0
HOT TOPIC INC               COMMON STOCK    441339108      852     55500  SHARES         X                 3      55500    0       0
HOUSTON EXPL CO             COMMON STOCK    442120101     1291     19200  SHARES         X                 3      19200    0       0
HUMANA INC                  COMMON STOCK    444859102       69      1450  SHARES         X                 3       1450    0       0
HUNTINGTON BANCSHARE        COMMON STOCK    446150104     1030     45842  SHARES         X                 3      45842    0       0
HYDRIL                      COMMON STOCK    448774109      494      7200  SHARES         X                 3       7200    0       0
IMS HEALTH INC              COMMON STOCK    449934108       59      2350  SHARES         X                 3       2350    0       0
ITT INDS INC(IND)           COMMON STOCK    450911102       96       845  SHARES         X                 3        845    0       0
IKON OFFICE SOLUTION        COMMON STOCK    451713101      633     63400  SHARES         X                 3      63400    0       0
IDENTIX INC                 COMMON STOCK    451906101      557    118599  SHARES         X                 3     118599    0       0
ILLINOIS TOOL WORKS         COMMON STOCK    452308109      158      1925  SHARES         X                 3       1925    0       0
IMMERSION CORP              COMMON STOCK    452521107     1119    159700  SHARES         X                 3     159700    0       0
INDEPENDENT BK CORP         COMMON STOCK    453838104      784     26985  SHARES         X                 3      26985    0       0
INDEVUS PHARM INC           COMMON STOCK    454072109        8      2900  SHARES         X                 3       2900    0       0
INDYMAC BANCORP INC         COMMON STOCK    456607100     1243     31400  SHARES         X                 3      31400    0       0
INGRAM MICRO INC            COMMON STOCK A  457153104      402     21700  SHARES         X                 3      21700    0       0
INTEGRAT DEVICE TECH        COMMON STOCK    458118106      191     17810  SHARES         X                 3      17810    0       0
INTEL CORPORATION           COMMON STOCK    458140100     2482    100701  SHARES         X                 2     100701    0       0
INTEL CORP                  COMMON STOCK    458140100    14403    620881  SHARES         X                 3     605706    0   15175
INTERNATIONAL BUSINESS
 MACHINES CORP              COMMON STOCK    459200101       87      1080  SHARES               X           3       1080    0       0
INTERNATIONAL BUSINESS
 MACHINES CORP              COMMON STOCK    459200101     3984     49661  SHARES         X                 2      49661    0       0
INTERNATIONAL BUSINESS
 MACHINES CORP              COMMON STOCK    459200101    12232    158767  SHARES         X                 3     148697    0   10070
INTL FLAVORS & FRAGR        COMMON STOCK    459506101       28       785  SHARES         X                 3        785    0       0
INTL GAME TECH              COMMON STOCK    459902102       81      3000  SHARES         X                 3       3000    0       0
INTERNATIONAL PAPER         COMMON STOCK    460146103     1473     49390  SHARES         X                 3      49390    0       0
INTERNATIONAL RECTIFIER
 CORP                       COMMON STOCK    460254105     6493    137213  SHARES         X                 3     133566    0    3647
INTERPUBLIC GROUP COS INC
 COM                        COMMON STOCK    460690100       47      4015  SHARES         X                 3       4015    0       0
INTERVOICE INC              COMMON STOCK    461142101       57      6300  SHARES         X                 3       6300    0       0
INTUIT                      COMMON STOCK    461202103       77      1725  SHARES         X                 3       1725    0       0
INVESTORS FINANCIAL
 SERVICES CORP              COMMON STOCK    461915100     2766     84075  SHARES         X                 2      84075    0       0
ISHARES TRUST DOW JONES     COMMON STOCK    464287721     1199     24648  SHARES         X                 2      24648    0       0
ISIS PHARMACEUTICALS        COMMON STOCK    464330109      298     59000  SHARES         X                 3      59000    0       0
JABIL CIRCUIT INC           COMMON STOCK    466313103     1584     48598  SHARES         X                 3      48598    0       0
JAMES RIVER COAL CO         COMMON STOCK    470355207      610     12100  SHARES         X                 3      12100    0       0
JEFFERSON PILOT CORP        COMMON STOCK    475070108     1115     21800  SHARES         X                 3      21800    0       0
JOHNSON & JOHNSON COM       COMMON STOCK    478160104       38       600  SHARES               X           3        600    0       0
JOHNSON & JOHNSON           COMMON STOCK    478160104     2002     31641  SHARES         X                 2      31641    0       0
JOHNSON & JOHNSON           COMMON STOCK    478160104    14860    252268  SHARES         X                 3     249952    0    2316
JOHNSON CONTROLS INC        COMMON STOCK    478366107      105      1700  SHARES         X                 3       1700    0       0
JONES APPAREL GROUP         COMMON STOCK    480074103       41      1450  SHARES         X                 3       1450    0       0
KCS ENERGY INC              COMMON STOCK    482434206      551     20000  SHARES         X                 3      20000    0       0
KLA-TENCOR CORP             COMMON STOCK    482480100       83      1700  SHARES         X                 3       1700    0       0
KELLOGG CO                  COMMON STOCK    487836108      152      3300  SHARES         X                 3       3300    0       0
KERR MCGEE CORP             COMMON STOCK    492386107     6856     70599  SHARES         X                 3      70599    0       0
KEYCORP-NEW                 COMMON STOCK    493267108      342     10600  SHARES         X                 2      10600    0       0
KEYCORP                     COMMON STOCK    493267108     1337     41445  SHARES         X                 3      40445    0    1000
KIMBERLY CLARK CORP         COMMON STOCK    494368103     3940     66195  SHARES         X                 3      66195    0       0


                                     6 of 64






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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
KINDRED HEALTHCARE          COMMON STOCK    494580103      775     26000  SHARES         X                 3      26000    0       0
KING PHARMACEUTICALS        COMMON STOCK    495582108       42      2733  SHARES         X                 3       2733    0       0
KNOLL INC                   COMMON STOCK    498904200      844     46000  SHARES         X                 3      46000    0       0
KNIGHT-RIDDER INC           COMMON STOCK    499040103       41       700  SHARES         X                 3        700    0       0
KOHLS CORP                  COMMON STOCK    500255104      148      2950  SHARES         X                 3       2950    0       0
KOMAG INC                   COMMON STOCK    500453204      591     18500  SHARES         X                 3      18500    0       0
KORN FERRY INTL             COMMON STOCK    500643200     1200     73200  SHARES         X                 3      73200    0       0
KROGER CO                   COMMON STOCK    501044101      137      6665  SHARES         X                 3       6665    0       0
LSI LOGIC CORP              COMMON STOCK    502161102       43      4360  SHARES         X                 3       4360    0       0
L-3 COMMUNICATIONS          COMMON STOCK    502424104       83      1050  SHARES         X                 3       1050    0       0
LABOR READY INC             COMMON STOCK    505401208      244      9500  SHARES         X                 3       9500    0       0
LAM RESEARCH CORP           COMMON STOCK    512807108      664     21800  SHARES         X                 3      21800    0       0
LANDAMERICA FINL G          COMMON STOCK    514936103     1539     23800  SHARES         X                 3      23800    0       0
LANGER BIOMECHANICS         COMMON STOCK    515707107      141     27900  SHARES         X                 3      27900    0       0
LASERSCOPE                  COMMON STOCK    518081104       76      2700  SHARES         X                 3       2700    0       0
LATTICE SEMICONDUCTR        COMMON STOCK    518415104     1375    321200  SHARES         X                 3     321200    0       0
ESTEE LAUDER CO             COMMON STOCK    518439104    10129    281189  SHARES         X                 3     272789    0    8400
LAUREATE EDUCATION          COMMON STOCK    518613104     8477    173112  SHARES         X                 3     169045    0    4067
LEAR CORP                   COMMON STOCK    521865105       37      1100  SHARES               X           3       1100    0       0
LEGGETT & PLATT INC         COMMON STOCK    524660107       42      2100  SHARES         X                 3       2100    0       0
LEGG MASON INC              COMMON STOCK    524901105     1228     11200  SHARES         X                 3      11200    0       0
LEHMAN BROS HLDGS           COMMON STOCK    524908100     7882     66858  SHARES         X                 3      64968    0    1890
LEXMARK INTL                COMMON STOCK A  529771107       64      1050  SHARES         X                 3       1050    0       0
LIBERTY MEDIA CORP          COMMON STOCK A  530718105     1521    189000  SHARES         X                 3     189000    0       0
LILLY ELI & CO              COMMON STOCK    532457108     1056     19743  SHARES         X                 3      10777    0    8966
LIMITED BRANDS INC          COMMON STOCK    532716107     1024     50118  SHARES         X                 3      50118    0       0
LINCOLN NATIONAL
 CORPORATION                COMMON STOCK    534187109      761     14627  SHARES         X                 2      14627    0       0
LINCOLN NATL CORP           COMMON STOCK    534187109     1211     23293  SHARES         X                 3      23293    0       0
LINEAR TECHNOLOGY           COMMON STOCK    535678106      103      2750  SHARES         X                 3       2750    0       0
LIONBRIDGE TECH INC         COMMON STOCK    536252109      379     56200  SHARES         X                 3      56200    0       0
LIVEPERSON INC              COMMON STOCK    538146101      171     45300  SHARES         X                 3      45300    0       0
LIZ CLAIBORNE INC           COMMON STOCK    539320101       41      1040  SHARES         X                 3       1040    0       0
LOCKHEED MARTIN CORP        COMMON STOCK    539830109     9454    154890  SHARES         X                 3     154890    0       0
LOEWS CORP                  COMMON STOCK    540424108     4805     52000  SHARES         X                 3      52000    0       0
LONE STAR STEAKHOUSE        COMMON STOCK    542307103      913     35100  SHARES         X                 3      35100    0       0
LONGS DRUG STORES           COMMON STOCK    543162101      914     21300  SHARES         X                 3      21300    0       0
LOUISIANA PAC CORP          COMMON STOCK    546347105       24       870  SHARES         X                 3        870    0       0
LOWES CO                    COMMON STOCK    548661107     2247     32526  SHARES         X                 3      28996    0    3530
LUBRIZOL CORP               COMMON STOCK    549271104      832     19200  SHARES         X                 3      19200    0       0
LUCENT TECHNOLOGIES INC COM COMMON STOCK    549463107        6      1828  SHARES               X           3       1828    0       0
LUCENT TECHNOLOGIES
 INCORPORATED               COMMON STOCK    549463107      167     51358  SHARES         X                 2      51358    0       0
LUCENT TECHNOLOGIES INC COM COMMON STOCK    549463107      146     44863  SHARES         X                 3      43327    0    1536
MDC HOLDINGS                COMMON STOCK    552676108      820     10400  SHARES         X                 3      10400    0       0
MGIC INVT CORP              COMMON STOCK    552848103     2034     31700  SHARES         X                 3      31700    0       0
MGI PHARMA INC COM          COMMON STOCK    552880106      121      5200  SHARES         X                 3       5200    0       0
MACROVISION CORP            COMMON STOCK    555904101      441     23100  SHARES         X                 3      23100    0       0
MAGELAN MIDSTREAM
 PARTNERS LP                COMMON STOCK    559080106      216      6300  SHARES         X                 2       6300    0       0
MAIDENFORM BRANDS           COMMON STOCK    560305104      396     28800  SHARES         X                 3      28800    0       0
MANOR CARE INC              COMMON STOCK    564055101       30       790  SHARES         X                 3        790    0       0
MARATHON OIL CORP           COMMON STOCK    565849106     2490     36124  SHARES         X                 3      31124    0    5000
MARSH & MCLENNAN COS        COMMON STOCK    571748102      141      4639  SHARES         X                 3       4639    0       0
MARSHALL & ILSLEY CORP      COMMON STOCK    571834100      240      5500  SHARES         X                 3       1900    0    3600
MARRIOTT INTL INC           COMMON STOCK A  571903202      115      1830  SHARES         X                 3       1830    0       0


                                     7 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
MASCO CORP                  COMMON STOCK    574599106     7281    237306  SHARES         X                 3     230271    0    7035
MATTEL INC                  COMMON STOCK    577081102       61      3640  SHARES         X                 3       3640    0       0
MAXTOR CORP                 COMMON STOCK    577729205     1755    398900  SHARES         X                 3     398900    0       0
MAYTAG CORP                 COMMON STOCK    578592107      426     23320  SHARES         X                 3      23320    0       0
MCCORMICK & CO-NON VTG SHS  COMMON STOCK    579780206       33      1000  SHARES               X           3       1000    0       0
MCCORMICK & CO INC          COMMON STOCK NV 579780206    10645    329757  SHARES         X                 3     322044    0    7713
MCDATA CORPORATION          COMMON STOCK A  580031201      394     75200  SHARES         X                 3      75200    0       0
MCDERMOTT INTL INC          COMMON STOCK    580037109      326      8900  SHARES         X                 3       8700    0     200
MCDONALDS CORP              COMMON STOCK    580135101      375     11210  SHARES         X                 3      11210    0       0
MCGRAW HILL COS INC         COMMON STOCK    580645109      163      3400  SHARES         X                 3       3400    0       0
MEADWESTVACO CORP           COMMON STOCK    583334107      919     33265  SHARES         X                 3      33265    0       0
MEDAREX INC                 COMMON STOCK    583916101     1032    108300  SHARES         X                 3     108300    0       0
MEDIMMUNE INC               COMMON STOCK    584699102       72      2150  SHARES         X                 3       2150    0       0
MEDTRONIC INCORPORATED      COMMON STOCK    585055106    10061    187628  SHARES         X                 2     187628    0       0
MEDTRONIC INC               COMMON STOCK    585055106     7563    142990  SHARES         X                 3     137797    0    5193
MENTOR GRAPHICS CORP        COMMON STOCK    587200106      501     58300  SHARES         X                 3      58300    0       0
MERCANTILE BANKSHARES CORP  COMMON STOCK    587405101      129      2400  SHARES         X                 3          0    0    2400
MERCK & CO INC              COMMON STOCK    589331107     2887    106119  SHARES         X                 3     101774    0    4345
MERCURY INTERACTIVE         COMMON STOCK    589405109       36       900  SHARES         X                 3        900    0       0
MEREDITH CORP               COMMON STOCK    589433101       28       560  SHARES         X                 3        560    0       0
MERRILL LYNCH & COMPANY
 INCORPORATED               COMMON STOCK    590188108      577      9400  SHARES         X                 2       9400    0       0
MERRILL LYNCH & CO          COMMON STOCK    590188108      520      8470  SHARES         X                 3       8470    0       0
MESABI TRUST                COMMON STOCK    590672101      160      8200  SHARES         X                 3       8200    0       0
METHODE ELECTRS INC         COMMON STOCK    591520200      945     82000  SHARES         X                 3      82000    0       0
MICHAELS STORES INC         COMMON STOCK    594087108     1739     52600  SHARES         X                 3      52600    0       0
MICROSOFT CORP              COMMON STOCK    594918104       46      1800  SHARES               X           3       1800    0       0
MICROSOFT CORPORATION       COMMON STOCK    594918104     2657    103270  SHARES         X                 2     103270    0       0
MICROSOFT CORP              COMMON STOCK    594918104    20217    853516  SHARES         X                 3     825452    0   28064
MICROCHIP TECHNOLOGY        COMMON STOCK    595017104      967     32100  SHARES         X                 3      32100    0       0
MICRON TECHNOLOGY           COMMON STOCK    595112103       81      6100  SHARES         X                 3       6100    0       0
MILLIPORE CORP              COMMON STOCK    601073109       33       530  SHARES         X                 3        530    0       0
MILLS CORPORATION           COMMON STOCK    601148109      661     12000  SHARES         X                 2      12000    0       0
MISSION WEST PPTYS          COMMON STOCK    605203108      325     32400  SHARES         X                 3      32400    0       0
MOLEX INC                   COMMON STOCK    608554101       41      1550  SHARES         X                 3       1550    0       0
MONSTER WORLDWIDE           COMMON STOCK    611742107       40      1300  SHARES         X                 3       1300    0       0
MOODYS CORP                 COMMON STOCK    615369105      131      2570  SHARES         X                 3       2570    0       0
MORGAN STANLEY              COMMON STOCK    617446448       23       424  SHARES               X           3        424    0       0
MORGAN STANLEY              COMMON STOCK    617446448     5379     99710  SHARES         X                 3      97001    0    2709
MORNINGSTAR INC             COMMON STOCK    617700109      256      8000  SHARES         X                 3       8000    0       0
MOTOROLA INCORPORATED       COMMON STOCK    620076109      284     12900  SHARES         X                 2      12900    0       0
MOTOROLA INC                COMMON STOCK    620076109     6351    281897  SHARES         X                 3     266997    0   14900
MUELLER INDS INC            COMMON STOCK    624756102      955     34400  SHARES         X                 3      34400    0       0
MURPHY OIL CORP             COMMON STOCK    626717102     1232     24695  SHARES         X                 3      24695    0       0
MYLAN LABS INC              COMMON STOCK    628530107       46      2400  SHARES         X                 3       2400    0       0
NBT BANCORP                 COMMON STOCK    628778102      752     31900  SHARES         X                 3      31900    0       0
NRG ENERGY INC              COMMON STOCK    629377508       90      2100  SHARES         X                 3       2100    0       0
NACCO INDS INC              COMMON STOCK A  629579103      687      6000  SHARES         X                 3       6000    0       0
NASH FINCH CO               COMMON STOCK    631158102      823     19500  SHARES         X                 3      19500    0       0
NATIONAL CITY CORP          COMMON STOCK    635405103      184      5510  SHARES         X                 3       5510    0       0
NATIONAL FUEL GAS CO        COMMON STOCK    636180101      451     13200  SHARES         X                 3      13200    0       0
NATIONAL OILWELL VAR        COMMON STOCK    637071101      104      1575  SHARES         X                 3       1575    0       0
NATIONAL SEMICONDUCT        COMMON STOCK    637640103       91      3470  SHARES         X                 3       3470    0       0
NATIONWIDE FINL SVCS        COMMON STOCK A  638612101     1081     27000  SHARES         X                 3      27000    0       0


                                     8 of 64






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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
NEOSE TECHNOLGS INC         COMMON STOCK    640522108      163     69300  SHARES         X                 3      69300    0       0
NEW PLAN EXCEL REALTY TRUST
 INC                        COMMON STOCK    648053106      601     26200  SHARES         X                 2      26200    0       0
NEW YORK TIMES CO           COMMON STOCK A  650111107       38      1270  SHARES         X                 3       1270    0       0
NEWELL RUBBERMAID INC COM   COMMON STOCK    651229106       58      2600  SHARES         X                 3       2600    0       0
New Milford Bancorp         COMMON STOCK    651633109      375     13000  SHARES         X                        13000    0       0
NEWMONT MINING CORP         COMMON STOCK    651639106      201      4265  SHARES         X                 3       4265    0       0
NICOR INC                   COMMON STOCK    654086107      590     14040  SHARES         X                 3      14040    0       0
NIKE INC                    COMMON STOCK B  654106103      176      2150  SHARES         X                 3       2150    0       0
NOBLE ENERGY INC            COMMON STOCK    655044105     4737    101000  SHARES         X                 3     101000    0       0
NORDSTROM INC               COMMON STOCK    655664100       77      2250  SHARES         X                 3       2250    0       0
NORFOLK SOUTHERN CORP       COMMON STOCK    655844108       18       450  SHARES               X           3        450    0       0
NORFOLK SOUTHERN            COMMON STOCK    655844108      157      3875  SHARES         X                 3       3875    0       0
NORTH FORK BANCORP          COMMON STOCK    659424105      119      4650  SHARES         X                 3       4650    0       0
NORTHERN BORDER PARTNERS LP
 UNIT LTD                   COMMON STOCK    664785102      239      5000  SHARES         X                 3          0    0    5000
NORTHERN TR CORP            COMMON STOCK    665859104      100      1970  SHARES         X                 3       1970    0       0
NORTHROP GRUMMAN CORP       COMMON STOCK    666807102       22       400  SHARES               X           3        400    0       0
NORTHROP GRUMMAN CO         COMMON STOCK    666807102     3491     64220  SHARES         X                 3      63620    0     600
NOVASTAR FINL INC           COMMON STOCK    669947400      383     11600  SHARES         X                 3      11600    0       0
NOVELL INC                  COMMON STOCK    670006105       26      3425  SHARES         X                 3       3425    0       0
NOVELLUS SYS INC            COMMON STOCK    670008101       33      1300  SHARES         X                 3       1300    0       0
NUCOR CORP                  COMMON STOCK    670346105       91      1550  SHARES         X                 3       1550    0       0
OM GROUP INC                COMMON STOCK    670872100      558     27700  SHARES         X                 3      27700    0       0
OCCIDENTAL PETE CORP        COMMON STOCK    674599105      310      3625  SHARES         X                 3       3625    0       0
OFFICE DEPOT INC            COMMON STOCK    676220106       83      2800  SHARES         X                 3       2800    0       0
OFFSHORE LOGISTICS          COMMON STOCK    676255102      625     16900  SHARES         X                 3      16900    0       0
OLD NATL BANCP IND          COMMON STOCK    680033107     1227     57800  SHARES         X                 3      57800    0       0
OMNICOM GROUP INC           COMMON STOCK    681919106      140      1675  SHARES         X                 3       1675    0       0
ON SEMICONDUCTOR
 CORPORATION                COMMON STOCK    682189105       48      9200  SHARES         X                 3       9200    0       0
ONEOK INC                   COMMON STOCK    682680103      507     14900  SHARES         X                 3      14900    0       0
OPENWAVE SYSTEMS INC        COMMON STOCK    683718308       44      2400  SHARES         X                 3       2400    0       0
OREGON STL MLS INC          COMMON STOCK    686079104      360     12900  SHARES         X                 3      12900    0       0
OUTBACK STEAKHOUSE          COMMON STOCK    689899102     6454    164204  SHARES         X                 3     159509    0    4695
OUTDOOR CHANNEL HLDG        COMMON STOCK    690027206      505     34200  SHARES         X                 3      34200    0       0
PLX TECHNOLOGY INC          COMMON STOCK    693417107      593     71094  SHARES         X                 3      71094    0       0
PNC FINANCIAL SERVICES
 GROUP INC                  COMMON STOCK    693475105      166      2865  SHARES         X                 3       2465    0     400
POSCO                       ADR             693483109     1165     20600  SHARES         X                 3      20600    0       0
PPG INDUSTRIES INC          COMMON STOCK    693506107     1011     17090  SHARES         X                 3      17090    0       0
PACCAR INC                  COMMON STOCK    693718108      305      4495  SHARES         X                 3       1495    0    3000
PACIFIC SUNWEAR CA          COMMON STOCK    694873100     1295     60400  SHARES         X                 3      60400    0       0
PACIFICARE HEALTH           COMMON STOCK    695112102     9763    121596  SHARES         X                 3     118596    0    3000
PACTIV CORP                 COMMON STOCK    695257105     6363    363186  SHARES         X                 3     352084    0   11102
PALL CORP                   COMMON STOCK    696429307       41      1480  SHARES         X                 3       1480    0       0
PARAMETRIC TECH CORP        COMMON STOCK    699173100       19      2670  SHARES         X                 3       2670    0       0
PARKER HANNIFIN CORP        COMMON STOCK    701094104       64       990  SHARES         X                 3        990    0       0
PAYCHEX INC                 COMMON STOCK    704326107      123      3325  SHARES         X                 3       3325    0       0
PEABODY ENERGY CORP         COMMON STOCK    704549104     3158     32650  SHARES         X                 3      32650    0       0
PEDIATRIX MED GRP           COMMON STOCK    705324101     1460     19000  SHARES         X                 3      19000    0       0
PENNEY J C INC              COMMON STOCK    708160106     1243     26200  SHARES         X                 3      26200    0       0
Community Banks, Inc.       COMMON STOCK    708352109      400     14229  SHARES         X                        14229    0       0
PEOPLES ENERGY CORP         COMMON STOCK    711030106       16       400  SHARES         X                 3        400    0       0
PEPCO HOLDINGS INC          COMMON STOCK    713291102       94      4027  SHARES         X                 3       4027    0       0
PEPSI BOTTLING GRP          COMMON STOCK    713409100       51      1800  SHARES         X                 3       1800    0       0
PEPSICO INCORPORATED        COMMON STOCK    713448108      465      8205  SHARES         X                 2       8205    0       0


                                     9 of 64






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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
PEPSICO INC                 COMMON STOCK    713448108     9059    168399  SHARES         X                 3     165166    0    3233
PERKINELMER INC             COMMON STOCK    714046109     1050     52030  SHARES         X                 3      52030    0       0
PETROHAWK ENERGY CORP       COMMON STOCK    716495106      437     29600  SHARES         X                 3      29600    0       0
PETSMART INC                COMMON STOCK    716768106       28      1300  SHARES               X           3       1300    0       0
PETSMART INC                COMMON STOCK    716768106    10043    451917  SHARES         X                 3     440213    0   11704
PFIZER INC                  COMMON STOCK    717081103       27      1100  SHARES               X           3       1100    0       0
PFIZER INCORPORATED         COMMON STOCK    717081103     3936    157626  SHARES         X                 2     157626    0       0
PFIZER INC                  COMMON STOCK    717081103    11650    468591  SHARES         X                 3     458911    0    9680
PHELPS DODGE CORP           COMMON STOCK    717265102      768      5908  SHARES         X                 3       5908    0       0
PHOTRONICS INC              COMMON STOCK    719405102      625     32200  SHARES         X                 3      32200    0       0
PINNACLE WEST CAP           COMMON STOCK    723484101     1001     22700  SHARES         X                 3      22700    0       0
PITNEY BOWES INC COM        COMMON STOCK    724479100       52      1250  SHARES               X           3       1250    0       0
PITNEY BOWES INC            COMMON STOCK    724479100     3172     75980  SHARES         X                 3      75980    0       0
PLACER SIERRA BANCSHARES    COMMON STOCK    726079106      183      6688  SHARES         X                 3       6688    0       0
PLAINS ALL AMERICAN
 PIPELINE L P               COMMON STOCK    726503105     1145     26850  SHARES         X                 2      26850    0       0
PLANTRONICS INC             COMMON STOCK    727493108     1075     34900  SHARES         X                 3      34900    0       0
PLUM CREEK TIMBER CO        COMMON STOCK    729251108       59      1550  SHARES         X                 3       1550    0       0
POPULAR INC                 COMMON STOCK    733174106      400     16500  SHARES         X                 3      16500    0       0
PORTALPLAYER INC            COMMON STOCK    736187204       50      1800  SHARES         X                 3       1800    0       0
POST PROPERTIES
 INCORPORATED               COMMON STOCK    737464107      261      7000  SHARES         X                 2       7000    0       0
PRE PAID LEGAL SVCS         COMMON STOCK    740065107      174      4500  SHARES         X                 3       4500    0       0
PRESIDENTIAL LIFE           COMMON STOCK    740884101      500     27800  SHARES         X                 3      27800    0       0
PROCTER & GAMBLE
 CORPORATION                COMMON STOCK    742718109     2621     44073  SHARES         X                 2      44073    0       0
PROCTER & GAMBLE CO         COMMON STOCK    742718109    11873    215895  SHARES         X                 3     199620    0   16275
PROGRESS ENERGY INC COM     COMMON STOCK    743263105      127      2827  SHARES         X                 3       2427    0     400
PROGRESSIVE CORP            COMMON STOCK    743315103      197      1885  SHARES         X                 3       1885    0       0
PROLOGIS                    COM SH BEN INT  743410102       75      1700  SHARES         X                 3       1700    0       0
PROVIDENT BANKSHARES        COMMON STOCK    743859100      431     12400  SHARES         X                 3      12400    0       0
PRUDENTIAL FINL             COMMON STOCK    744320102      324      4800  SHARES         X                 3       4800    0       0
PUBLIC SVC ENTERPR          COMMON STOCK    744573106      129      2010  SHARES         X                 3       2010    0       0
PUGET ENERGY INC            COMMON STOCK    745310102      946     40300  SHARES         X                 3      40300    0       0
PULTE HOMES INC             COMMON STOCK    745867101       90      2100  SHARES         X                 3       2100    0       0
QLOGIC CORP                 COMMON STOCK    747277101       34      1000  SHARES         X                 3       1000    0       0
QUALCOMM INC                COMMON STOCK    747525103     6991    160570  SHARES         X                 3     156376    0    4194
QUANEX CORP                 COMMON STOCK    747620102     1887     28500  SHARES         X                 3      28500    0       0
QUANTUM CORP                COMMON STOCK    747906204      421    136100  SHARES         X                 3     136100    0       0
QWEST COMMUNCTN INTL        COMMON STOCK    749121109       63     15254  SHARES         X                 3      15254    0       0
RAIT INVT TR                COMMON STOCK    749227104      561     19700  SHARES         X                 3      19700    0       0
RPM INCORPORATED OHIO       COMMON STOCK    749685103      337     18300  SHARES         X                 2      18300    0       0
RF MICRO DEVICES INC COM    COMMON STOCK    749941100       46      8100  SHARES         X                 3       8100    0       0
RADIAN GROUP INC            COMMON STOCK    750236101     2384     44900  SHARES         X                 3      44900    0       0
RADIOSHACK CORP             COMMON STOCK    750438103       45      1800  SHARES         X                 3       1800    0       0
RADISYS CORP                COMMON STOCK    750459109      363     18700  SHARES         X                 3      18700    0       0
RAYTHEON                    COMMON STOCK    755111507     2641     69480  SHARES         X                 3      69480    0       0
RED HAT INC                 COMMON STOCK    756577102     1301     61400  SHARES         X                 3      61400    0       0
REDBACK NETWORKS INC        COMMON STOCK    757209507       42      4100  SHARES         X                 3       4100    0       0
REDWOOD TRUST INC           COMMON STOCK    758075402      156      3200  SHARES         X                 3       3200    0       0
REEBOK INTL LTD             COMMON STOCK    758110100      547      9670  SHARES         X                 3       9670    0       0
RELIANCE STEEL & ALUMINUM
 COMPANY                    COMMON STOCK    759509102       47       900  SHARES         X                 3        900    0       0
REMINGTON OIL & GAS CORP
 COM NEW                    COMMON STOCK    759594302      124      3000  SHARES         X                 3       3000    0       0
REPUBLIC BANCORP            COMMON STOCK    760282103      977     69105  SHARES         X                 3      69105    0       0
REX STORES CORP             COMMON STOCK    761624105      449     32800  SHARES         X                 3      32800    0       0
REYNOLDS & REYNOLDS         COMMON STOCK A  761695105     1017     37100  SHARES         X                 3      37100    0       0


                                    10 of 64






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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
REYNOLDS AMERN INC          COMMON STOCK    761713106      481      5800  SHARES         X                 3       5800    0       0
RIO TINTO PLC               ADR             767204100     2908     17700  SHARES         X                 3      17700    0       0
ROBERT HALF INTL INC        COMMON STOCK    770323103       61      1700  SHARES         X                 3       1700    0       0
ROCKWELL AUTOMATION         COMMON STOCK    773903109    11214    209730  SHARES         X                 3     205242    0    4488
ROCKWELL COLLINS INC        COMMON STOCK    774341101       77      1590  SHARES         X                 3       1590    0       0
ROHM & HAAS CO              COMMON STOCK    775371107       80      1950  SHARES         X                 3       1950    0       0
ROSS STORES INC             COMMON STOCK    778296103     7023    296314  SHARES         X                 3     286843    0    9471
ROWAN COS INC               COMMON STOCK    779382100       38      1060  SHARES         X                 3       1060    0       0
ROWE COMPANIES              COMMON STOCK    779528108      125     35813  SHARES         X                 2      35813    0       0
RUDDICK CORP                COMMON STOCK    781258108      825     35800  SHARES         X                 3      35800    0       0
RUDOLPH TECHN INC           COMMON STOCK    781270103      610     45300  SHARES         X                 3      45300    0       0
RYANS RESTAURANT GRP        COMMON STOCK    783520109      387     33150  SHARES         X                 3      33150    0       0
RYDER SYSTEMS INC           COMMON STOCK    783549108      885     25870  SHARES         X                 3      25870    0       0
RYLAND GROUP INC            COMMON STOCK    783764103     1444     21100  SHARES         X                 3      21100    0       0
SABRE HOLDING CORP          COMMON STOCK A  785905100     1143     56356  SHARES         X                 3      56356    0       0
SAFECO CORP                 COMMON STOCK    786429100     1181     22125  SHARES         X                 3      22125    0       0
SAFEWAY INC                 COMMON STOCK    786514208      114      4455  SHARES         X                 3       4455    0       0
ST JOE CORP                 COMMON STOCK    790148100       31       500  SHARES               X           3        500    0       0
ST JOE CO                   COMMON STOCK    790148100     2774     44430  SHARES         X                 3      42980    0    1450
ST JUDE MEDICAL INC         COMMON STOCK    790849103      157      3360  SHARES         X                 3       3360    0       0
ST PAUL TRAVELERS CO        COMMON STOCK    792860108      282      6275  SHARES         X                 3       6275    0       0
Salisbury Bancorp Inc.      COMMON STOCK    795226109      217      5700  SHARES         X                         5700    0       0
SANMINA-SCI CORP            COMMON STOCK    800907107       26      6000  SHARES         X                 3       6000    0       0
SARA LEE CORP               COMMON STOCK    803111103      176      9220  SHARES         X                 3       7220    0    2000
SCHERING PLOUGH CORP        COMMON STOCK    806605101       10       480  SHARES               X           3        480    0       0
SCHERING PLOUGH CORP        COMMON STOCK    806605101      282     13375  SHARES         X                 3      13375    0       0
SCHLUMBERGER LTD            COMMON STOCK    806857108     1601     15685  SHARES         X                 3      15685    0       0
SCHWAB CHARLES CORP         COMMON STOCK    808513105      156     10800  SHARES         X                 3      10800    0       0
SCHWEITZER-MAUDUIT          COMMON STOCK    808541106      371     16600  SHARES         X                 3      16600    0       0
SCIENTIFIC ATLANTA          COMMON STOCK    808655104       60      1600  SHARES         X                 3       1600    0       0
SEARS HOLDING CORP          COMMON STOCK    812350106      122       982  SHARES         X                 3        982    0       0
SECURE COMPUTING COR        COMMON STOCK    813705100      287     25300  SHARES         X                 3      25300    0       0
SEMPRA ENERGY               COMMON STOCK    816851109      112      2376  SHARES         X                 3       2376    0       0
SEPRACOR INC                COMMON STOCK    817315104      713     12089  SHARES         X                 3      12089    0       0
SHAW GROUP INC COM          COMMON STOCK    820280105      343     13900  SHARES         X                 3      13900    0       0
SHERWIN WILLIAMS CO         COMMON STOCK    824348106      476     10810  SHARES         X                 3      10810    0       0
SHOPKO STORES INC           COMMON STOCK    824911101     1082     42400  SHARES         X                 3      42400    0       0
SHUFFLE MASTER INC          COMMON STOCK    825549108     1046     39600  SHARES         X                 3      39600    0       0
SIEBEL SYS INC              COMMON STOCK    826170102       59      5700  SHARES         X                 3       5700    0       0
SIERRA HEALTH SERVICES INC  COMMON STOCK    826322109      145      2100  SHARES         X                 3       2100    0       0
SIGMA ALDRICH CORP          COMMON STOCK    826552101       48       750  SHARES         X                 3        750    0       0
SILICON LABORATORIES INC    COMMON STOCK    826919102       69      2300  SHARES         X                 3       2300    0       0
SILGAN HLDGS INC            COMMON STOCK    827048109      446     13400  SHARES         X                 3      13400    0       0
SIMON PROPERTY GROUP
 INCORPORATED               COMMON STOCK    828806109      715      9650  SHARES         X                 2       9650    0       0
SIMON PPTY INC              COMMON STOCK    828806109      148      2000  SHARES         X                 3       2000    0       0
SMITH A O                   COMMON STOCK    831865209      399     14000  SHARES         X                 3      14000    0       0
SNAP-ON INC                 COMMON STOCK    833034101       25       680  SHARES         X                 3        680    0       0
SOLECTRON CORPORATION       COMMON STOCK    834182107      158     40500  SHARES         X                 2      40500    0       0
SOLECTRON CORP              COMMON STOCK    834182107       38      9800  SHARES         X                 3       9800    0       0
SONIC SOLUTIONS             COMMON STOCK    835460106       52      2400  SHARES         X                 3       2400    0       0
SONUS NETWORKS INC COM      COMMON STOCK    835916107       55      9400  SHARES         X                 3       9400    0       0
SOURCECORP                  COMMON STOCK    836167106      647     30200  SHARES         X                 3      30200    0       0
SOUTHERN CO COM             COMMON STOCK    842587107      272      7610  SHARES         X                 3       6610    0    1000


                                    11 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
SOUTHERN PERU COPPER        COMMON STOCK    843611104      464      8300  SHARES         X                 3       8300    0       0
SOUTHWEST AIRLINES CO COM   COMMON STOCK    844741108      318     21396  SHARES         X                 3      21396    0       0
SOUTHWESTERN ENERGY COMPANY COMMON STOCK    845467109      191      2600  SHARES         X                 3       2600    0       0
SOVEREIGN BANCORP           COMMON STOCK    845905108       75      3400  SHARES         X                 3       3400    0       0
SPATIALIGHT INC             COMMON STOCK    847248101      238     54200  SHARES         X                 3      54200    0       0
SPRINT NEXTEL               COMMON STOCK    852061100     4177    151702  SHARES         X                 3     151702    0       0
STANCORP FINL GROUP         COMMON STOCK    852891100     1196     14200  SHARES         X                 3      14200    0       0
STANLEY WORKS               COMMON STOCK    854616109     1232     26400  SHARES         X                 3      21400    0    5000
STAPLES INC                 COMMON STOCK    855030102     3833    179739  SHARES         X                 3     169839    0    9900
STARBUCKS CORPORATION       COMMON STOCK    855244109      210      4200  SHARES         X                 2       4200    0       0
STARBUCKS CORP              COMMON STOCK    855244109      178      3550  SHARES         X                 3       3550    0       0
STATE AUTO FINANCIAL CORP   COMMON STOCK    855707105      817     25800  SHARES         X                 3      25800    0       0
STATE STREET CORP           COMMON STOCK    857477103      157      3200  SHARES         X                 3       3200    0       0
STEEL DYNAMICS INC          COMMON STOCK    858119100      727     21400  SHARES         X                 3      21400    0       0
STEEL TECHNOLOGIES          COMMON STOCK    858147101      770     29700  SHARES         X                 3      29700    0       0
STEINWAY MUSICAL INS        COMMON STOCK    858495104      553     21000  SHARES         X                 3      21000    0       0
STEWART & STEVENSON         COMMON STOCK    860342104      684     28700  SHARES         X                 3      28700    0       0
STOLT OFFSHORE SA           ADR(1 ORD SHR)  861567105      113      9800  SHARES         X                 3       9800    0       0
STONE ENERGY CORP           COMMON STOCK    861642106     1184     19400  SHARES         X                 3      19400    0       0
STRAYER ED INC              COMMON STOCK    863236105      473      5000  SHARES         X                 3       5000    0       0
STRIDE RITE CORP            COMMON STOCK    863314100      479     37400  SHARES         X                 3      37400    0       0
STRYKER CORP                COMMON STOCK    863667101      173      3500  SHARES         X                 3       3500    0       0
SUN MICROSYSTEMS
 INCORPORATED               COMMON STOCK    866810104       77     19600  SHARES         X                 2      19600    0       0
SUN MICROSYSTEM INC         COMMON STOCK    866810104      128     32500  SHARES         X                 3      32500    0       0
SUNTRUST BANKS INC          COMMON STOCK    867914103      329      4748  SHARES         X                 3       3145    0    1603
SUPERVALU INC               COMMON STOCK    868536103      955     30680  SHARES         X                 3      30680    0       0
SWIFT ENERGY CO             COMMON STOCK    870738101     1688     36900  SHARES         X                 3      36900    0       0
SYBASE INC                  COMMON STOCK    871130100     1192     50900  SHARES         X                 3      50900    0       0
SYMANTEC CORP               COMMON STOCK    871503108     5602    247250  SHARES         X                 3     239250    0    8000
SYMBOL TECHNOLOGIES         COMMON STOCK    871508107       26      2700  SHARES         X                 3       2700    0       0
SYSCO CORPORATION           COMMON STOCK    871829107     3108     99091  SHARES         X                 2      99091    0       0
SYSCO CORP                  COMMON STOCK    871829107     8940    277158  SHARES         X                 3     269784    0    7374
TECO ENERGY INC             COMMON STOCK    872375100       34      1900  SHARES         X                 3       1900    0       0
TEPPCO PARTNERS LIMITED
 PARTNERSHIP                COMMON STOCK    872384102      830     20450  SHARES         X                 2      20450    0       0
THQ INC                     COMMON STOCK    872443403      169      7950  SHARES         X                 3       7950    0       0
TJX COMPANIES INC           COMMON STOCK    872540109       89      4340  SHARES         X                 3       4340    0       0
TXU CORP                    COMMON STOCK    873168108      246      2175  SHARES         X                 3       2175    0       0
TECUMSEH PRODS CO           COMMON STOCK A  878895200      310     14400  SHARES         X                 3      14400    0       0
TEKTRONIX INC               COMMON STOCK    879131100       28      1100  SHARES         X                 3       1100    0       0
TELLABS INC COM             COMMON STOCK    879664100      120     11385  SHARES         X                 3      11385    0       0
TEMPLE INLAND INC           COMMON STOCK    879868107       53      1300  SHARES         X                 3       1300    0       0
TERADYNE INC                COMMON STOCK    880770102       35      2100  SHARES         X                 3       2100    0       0
TESORO CORP                 COMMON STOCK    881609101     2037     30300  SHARES         X                 3      30300    0       0
TEXAS INSTRUMENTS
 INCORPORATED               COMMON STOCK    882508104     2659     78434  SHARES         X                 2      78434    0       0
TEXAS INSTRUMENTS           COMMON STOCK    882508104     1973     52084  SHARES         X                 3      51084    0    1000
TEXTRON INC                 COMMON STOCK    883203101       83      1160  SHARES         X                 3       1160    0       0
THERMO ELECTRON CORP        COMMON STOCK    883556102       49      1580  SHARES         X                 3       1580    0       0
TIFFANY & CO                COMMON STOCK    886547108       64      1600  SHARES         X                 3       1600    0       0
TIME WARNER INC             COMMON STOCK    887317105     1728     95441  SHARES         X                 2      95441    0       0
TIME WARNER INC             COMMON STOCK    887317105      788     43505  SHARES         X                 3      42905    0     600
TIMKEN CO                   COMMON STOCK    887389104     1046     35300  SHARES         X                 3      35300    0       0
TOLL BROS INC               COMMON STOCK    889478103      849     19000  SHARES         X                 3      18200    0     800
TOO INC                     COMMON STOCK    890333107      817     29800  SHARES         X                 3      29800    0       0


                                    12 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
TORCHMARK CORP              COMMON STOCK    891027104       53      1000  SHARES         X                 3       1000    0       0
TRACTOR SUPPLY CO           COMMON STOCK    892356106      283      6200  SHARES         X                 3       6200    0       0
TREDEGAR CORP               COMMON STOCK    894650100      442     34000  SHARES         X                 3      34000    0       0
TRIDENT MICROSYSTEMS INC    COMMON STOCK    895919108       99      3100  SHARES         X                 3       3100    0       0
TRIBUNE COMPANY NEW         COMMON STOCK    896047107      623     18370  SHARES         X                 2      18370    0       0
TRIBUNE CO                  COMMON STOCK    896047107       98      2877  SHARES         X                 3       2877    0       0
TUPPERWARE CORP             COMMON STOCK    899896104      715     31400  SHARES         X                 3      31400    0       0
TYCO INTERNATIONAL LIMITED
 NEW                        COMMON STOCK    902124106     4684    168185  SHARES         X                 2     168185    0       0
TYCO INTL LTD               COMMON STOCK    902124106      494     17741  SHARES         X                 3      17741    0       0
TYSON FOODS INC             COMMON STOCK A  902494103      531     29400  SHARES         X                 3      29400    0       0
UIL HOLDING CO              COMMON STOCK    902748102      492      9400  SHARES         X                 3       9400    0       0
UST INC COM                 COMMON STOCK    902911106       87      2065  SHARES         X                 3       2065    0       0
US BANCORP NEW              COMMON STOCK    902973304      309     11000  SHARES         X                 2      11000    0       0
U S BANCORP DEL COM NEW     COMMON STOCK    902973304      898     31975  SHARES         X                 3      31975    0       0
ULTRA PETE CORP             COMMON STOCK    903914109      131      2300  SHARES         X                 3       2300    0       0
UNIFIRST CORP MASS          COMMON STOCK    904708104      561     16000  SHARES         X                 3      16000    0       0
UNION PAC CORP              COMMON STOCK    907818108     3126     43595  SHARES         X                 3      39595    0    4000
UNISOURCE ENERGY            COMMON STOCK    909205106     1413     42500  SHARES         X                 3      42500    0       0
UNISYS CORPORATION          COMMON STOCK    909214108      241     36270  SHARES         X                 3      36270    0       0
UNITED DOMINION REALTY
 TRUST (REIT)               COMMON STOCK    910197102       40      1700  SHARES         X                 3       1700    0       0
UNITED PANAM FINANC         COMMON STOCK    911301109      205      8200  SHARES         X                 3       8200    0       0
UNITED PARCEL SERVICE INC
 CLASS B                    COMMON STOCK    911312106      451      6530  SHARES         X                 2       6530    0       0
UNITED PARCEL SERVICE CL B  COMMON STOCK    911312106     8053    114366  SHARES         X                 3     111195    0    3171
UNITED RENTAL INC           COMMON STOCK    911363109     2088    105900  SHARES         X                 3     105900    0       0
UNITED STATES STL           COMMON STOCK    912909108      471     11115  SHARES         X                 3      11115    0       0
UNITED SURGICAL PART        COMMON STOCK    913016309     1424     36400  SHARES         X                 3      36400    0       0
UNITED TECHNOLOGIES
 CORPORATION                COMMON STOCK    913017109      311      6000  SHARES         X                 2       6000    0       0
UNITED TECHNOLOGIES         COMMON STOCK    913017109     2209     41120  SHARES         X                 3      41120    0       0
UNITRIN INCORPORATED        COMMON STOCK    913275103      626     13200  SHARES         X                 3      13200    0       0
UNIVERSAL CORP              COMMON STOCK    913456109      485     12500  SHARES         X                 3      12500    0       0
UNIVERSAL FST PRODS         COMMON STOCK    913543104     1422     24800  SHARES         X                 3      24800    0       0
UNIVERSAL HEALTH SVC        COMMON STOCK B  913903100      743     15600  SHARES         X                 3      15600    0       0
UNIVISION COMMUN INC        COMMON STOCK A  914906102       69      2600  SHARES         X                 3       2600    0       0
URBAN OUTFITTERS            COMMON STOCK    917047102     1382     47000  SHARES         X                 3      47000    0       0
V F CORP                    COMMON STOCK    918204108     1158     19975  SHARES         X                 3      19975    0       0
VIACOM INC                  COMMON STOCK B  925524308     5974    180983  SHARES         X                 3     180483    0     500
VORNADO REALTY TRUST        COMMON STOCK    929042109      312      3600  SHARES         X                 2       3600    0       0
VORNADO RLTY TR             SH BEN INT      929042109       87      1000  SHARES         X                 3       1000    0       0
VULCAN MATLS CO             COMMON STOCK    929160109       67       900  SHARES         X                 3        900    0       0
W HLDG CO INC               COMMON STOCK    929251106     1175    122868  SHARES         X                 3     122868    0       0
WACHOVIA CORPORATION NEW    COMMON STOCK    929903102      305      6400  SHARES         X                 2       6400    0       0
WACHOVIA CORP               COMMON STOCK    929903102     2947     61925  SHARES         X                 3      61925    0       0
WAL MART STORES INC COM     COMMON STOCK    931142103       22       500  SHARES               X           3        500    0       0
WAL MART STORES
 INCORPORATED               COMMON STOCK    931142103      323      7368  SHARES         X                 2       7368    0       0
WAL MART STORES INC         COMMON STOCK    931142103     9418    229931  SHARES         X                 3     218994    0   10937
WALGREEN CO                 COMMON STOCK    931422109      412      9475  SHARES         X                 3       9475    0       0
WASHINGTON MUTUAL
 INCORPORATED               COMMON STOCK    939322103     3627     92480  SHARES         X                 2      92480    0       0
WASHINGTON MUTUAL           COMMON STOCK    939322103      315      8034  SHARES         X                 3       8034    0       0
WASTE CONNECTIONS I         COMMON STOCK    941053100     1214     34600  SHARES         X                 3      34600    0       0
WATERS CORP                 COMMON STOCK    941848103       44      1050  SHARES         X                 3       1050    0       0
WATSON PHARMACEUTCLS        COMMON STOCK    942683103       44      1200  SHARES         X                 3       1200    0       0
WEBSENSE INC                COMMON STOCK    947684106       46       900  SHARES         X                 3        900    0       0
WEINGARTEN REALTY INVESTORS COMMON STOCK    948741103      963     25435  SHARES         X                 2      25435    0       0


                                    13 of 64






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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
WELLS FARGO & CO            COMMON STOCK    949746101       23       400  SHARES               X           3        400    0       0
WELLS FARGO & COMPANY NEW   COMMON STOCK    949746101     3447     58847  SHARES         X                 2      58847    0       0
WELLS FARGO & CO            COMMON STOCK    949746101     4422     75484  SHARES         X                 3      75284    0     200
WENDYS INTL INC             COMMON STOCK    950590109       56      1235  SHARES         X                 3       1235    0       0
WERNER ENTERPRISES          COMMON STOCK    950755108     6211    359199  SHARES         X                 3     348924    0   10275
WESTERN DIGITAL CORP        COMMON STOCK    958102105     1714    132500  SHARES         X                 3     132500    0       0
WEYERHAEUSER CO             COMMON STOCK    962166104      148      2150  SHARES         X                 3       2150    0       0
WHIRLPOOL CORP              COMMON STOCK    963320106     1205     15900  SHARES         X                 3      15900    0       0
WILLIAMS COMPANIES
 INCORPORATED               COMMON STOCK    969457100      300     11975  SHARES         X                 2      11975    0       0
WILLIAMS COS INC            COMMON STOCK    969457100      126      5025  SHARES         X                 3       5025    0       0
WILLIAMS SONOMA INC         COMMON STOCK    969904101     1335     34800  SHARES         X                 3      34800    0       0
WIND RIVER SYSTEM           COMMON STOCK    973149107      274     21200  SHARES         X                 3      21200    0       0
WOODWARD GOVNR CO           COMMON STOCK    980745103     1114     13100  SHARES         X                 3      13100    0       0
WRIGLEY WM JR CO            COMMON STOCK    982526105      202      2810  SHARES         X                 3       1810    0    1000
WYETH                       COMMON STOCK    983024100       51      1100  SHARES               X           3       1100    0       0
WYETH                       COMMON STOCK    983024100     1459     31533  SHARES         X                 2      31533    0       0
WYETH                       COMMON STOCK    983024100    10052    219141  SHARES         X                 3     216941    0    2200
XM SATELLITE RADIO          COMMON STOCK A  983759101     1016     28300  SHARES         X                 3      28300    0       0
XILINX INC                  COMMON STOCK    983919101       92      3300  SHARES         X                 3       3300    0       0
XEROX CORP                  COMMON STOCK    984121103      115      8400  SHARES         X                 3       8200    0     200
YAHOO INCORPORATED          COMMON STOCK    984332106       34      1000  SHARES         X                 2       1000    0       0
YAHOO INC                   COMMON STOCK    984332106      382     11300  SHARES         X                 3      11300    0       0
YORK INTL CORP              COMMON STOCK    986670107     1049     18700  SHARES         X                 3      18700    0       0
YUM BRANDS INC              COMMON STOCK    988498101      127      2625  SHARES         X                 3       2625    0       0
ZALE CORP                   COMMON STOCK    988858106      658     24200  SHARES         X                 3      24200    0       0
ZIONS BANCORPORATION        COMMON STOCK    989701107     5975     83917  SHARES         X                 3      81860    0    2057
ACCO BRANDS CORP            COMMON STOCK    00081T108       62      2184  SHARES               X           1      2184     0       0
ACCO BRANDS CORP            COMMON STOCK    00081T108       55      1961  SHARES                     X     1      1584     0     377
ACCO BRANDS CORP            COMMON STOCK    00081T108        8       293  SHARES         X                 3       293     0       0
A C MOORE ARTS & CRAFTS INC COMMON STOCK    00086T103        2       100  SHARES                     X     1       100     0       0
ADC TELECOMMUNICATIONS INC  COMMON STOCK    000886309       52      2285  SHARES                     X     1      2285     0       0
ADC TELECOMMUNICATNS        COMMON STOCK    000886309       25      1100  SHARES         X                 3      1100     0       0
ADE CORPORATION             COMMON STOCK    00089C107       25      1100  SHARES               X           1      1100     0       0
ADE CORPORATION             COMMON STOCK    00089C107       50      2200  SHARES         X                 3      2200     0       0
ABM INDUSTRIES INCORPORATED COMMON STOCK    000957100        4       200  SHARES               X           1       200     0       0
ABM INDUSTRIES INCORPORATED COMMON STOCK    000957100        2       100  SHARES                     X     1       100     0       0
AFLAC INC                   COMMON STOCK    001055102     2589     57160  SHARES               X           1     57160     0       0
AFLAC INC                   COMMON STOCK    001055102      158      3479  SHARES                     X     1      2479     0    1000
AFLAC INC                   COMMON STOCK    001055102      206      4550  SHARES         X                 3      4550     0       0
AGCO CORP                   COMMON STOCK    001084102      566     31100  SHARES         X                 3     31100     0       0
AGL RESOURCES INC COM       COMMON STOCK    001204106      104      2800  SHARES               X           1      2800     0       0
AGL RESOURCES INC COM       COMMON STOCK    001204106      424     11415  SHARES                     X     1     11415     0       0
AGL RESOURCES INC COM       COMMON STOCK    001204106       52      1400  SHARES         X                 3      1400     0       0
AES CORP COM                COMMON STOCK    00130H105       54      3300  SHARES               X           1      3300     0       0
AES CORPORATION             COMMON STOCK    00130H105     7106    432525  SHARES         X                 2    432525     0       0
AES CORP                    COMMON STOCK    00130H105      105      6400  SHARES         X                 3      6400     0       0
AK STEEL HOLDING CORP COM   COMMON STOCK    001547108        1        66  SHARES               X           1        66     0       0
AMLI RESIDENTIAL PROPERTIES
 TRUST                      COMMON STOCK    001735109     1277     39829  SHARES         X                 2     39829     0       0
ATI TECHNOLOGIES INC        COMMON STOCK    001941103       45      3200  SHARES               X           1      3200     0       0
ATI TECHNOLOGIES INC        COMMON STOCK    001941103       94      6700  SHARES         X                 3      6700     0       0
AT&T CORP                   COMMON STOCK    001957505      279     14109  SHARES               X           1     14109     0       0
AT&T CORP                   COMMON STOCK    001957505      180      9101  SHARES                     X     1      8525     0     576
AT&T CORP                   COMMON STOCK    001957505     1106     55868  SHARES         X                 3     55748     0     120


                                    14 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
A S V  INC                  COMMON STOCK    001963107       11       500  SHARES               X           1       500     0       0
ATP OIL & GAS CORP COM      COMMON STOCK    00208J108       89      2700  SHARES               X           1      2700     0       0
ATP OIL & GAS CORP COM      COMMON STOCK    00208J108      180      5500  SHARES         X                 3      5500     0       0
AAMES INVESTMENT CORP       COMMON STOCK    00253G108       25      4000  SHARES                     X     1      4000     0       0
ABBOTT LABORATORIES         COMMON STOCK    002824100    11247    265255  SHARES               X           1    262250     0    3005
ABBOTT LABORATORIES         COMMON STOCK    002824100       23       550  SHARES               X           3       550     0       0
ABBOTT LABORATORIES         COMMON STOCK    002824100     5673    133801  SHARES                     X     1    118726     0   15075
ABBOTT LABORATORIES         COMMON STOCK    002824100     2339     55175  SHARES         X                 2     55175     0       0
ABBOTT LABORATORIES         COMMON STOCK    002824100     3094     72955  SHARES         X                 3     63960     0    8995
ABERCROMBIE & FITCH CO CL A COMMON STOCK    002896207       25       500  SHARES                     X     1       500     0       0
ACTIVISION INC COM NEW      COMMON STOCK    004930202        4       175  SHARES               X           1       175     0       0
ACTIVE POWER INC            COMMON STOCK    00504W100      158     38200  SHARES         X                 3     38200     0       0
ACUITY BRANDS               COMMON STOCK    00508Y102      700     23600  SHARES         X                 3     23600     0       0
ADAMS EXPRESS CO COM        COMMON STOCK    006212104       58      4431  SHARES               X           1      4431     0       0
ADESA INC                   COMMON STOCK    00686U104       18       800  SHARES               X           1       800     0       0
ADESA INC                   COMMON STOCK    00686U104      117      5300  SHARES                     X     1      5300     0       0
ADOBE SYS INC COM           COMMON STOCK    00724F101       12       400  SHARES               X           1       400     0       0
ADOBE SYS INC COM           COMMON STOCK    00724F101        8       280  SHARES                     X     1       280     0       0
ADOBE SYSTEMS INCORPORATED  COMMON STOCK    00724F101      881     29500  SHARES         X                 2     29500     0       0
ADOBE SYSTEMS INC           COMMON STOCK    00724F101      140      4700  SHARES         X                 3      4700     0       0
ADVANCE AUTO PARTS          COMMON STOCK    00751Y106       12       315  SHARES               X           1       315     0       0
ADVANCE AUTO PARTS          COMMON STOCK    00751Y106       29       750  SHARES                     X     1       750     0       0
ADVANCED NEUROMODULATION
 SYSTEMS INC                COMMON STOCK    00757T101       19       400  SHARES               X           1       400     0       0
ADVANCED NEUROMODULATION
 SYSTEMS INC                COMMON STOCK    00757T101       38       800  SHARES         X                 3       800     0       0
ADVANCED MEDICAL OPTICS INC COMMON STOCK    00763M108       13       340  SHARES                     X     1       340     0       0
ADVANCED MEDICAL OP         COMMON STOCK    00763M108      429     11300  SHARES         X                 3     11300     0       0
ADVANCED MICRO DEVICES INC
 COM                        COMMON STOCK    007903107      150      5950  SHARES               X           1      5950     0       0
ADVANCED MICRO DEVICES INC
 COM                        COMMON STOCK    007903107       30      1200  SHARES                     X     1       200     0    1000
ADV MICRO DEVICES           COMMON STOCK    007903107       86      3400  SHARES         X                 3      3400     0       0
ADVANTA CORP                COMMON STOCK B  007942204     1245     44100  SHARES         X                 3     44100     0       0
ADVENT SOFTWARE INC         COMMON STOCK    007974108      137      5100  SHARES         X                 3      5100     0       0
AETNA INC NEW COM           COMMON STOCK    00817Y108      650      7549  SHARES               X           1      7549     0       0
AETNA INC NEW COM           COMMON STOCK    00817Y108       19       225  SHARES                     X     1         0     0     225
AETNA INC                   COMMON STOCK    00817Y108     3524     40920  SHARES         X                 3     40920     0       0
AFFILIATED COMPUTER SVCS
 INC CL A                   COMMON STOCK    008190100      319      5840  SHARES               X           1      5840     0       0
AFFILIATED COMPUTER SVCS
 INC CL A                   COMMON STOCK    008190100      130      2375  SHARES                     X     1      2375     0       0
AFFILIATED COMP SVCS        COMMON STOCK A  008190100       66      1200  SHARES         X                 3      1200     0       0
AFFILIATED MANAGERS GROUP   COMMON STOCK    008252108      402      5550  SHARES               X           1      5550     0       0
AFFILIATED MANAGERS GROUP   COMMON STOCK    008252108       14       200  SHARES                     X     1       200     0       0
AFFILIATED MANAGE GR        COMMON STOCK    008252108     1419     19600  SHARES         X                 3     19600     0       0
AFFYMETRIX INC              COMMON STOCK    00826T108      247      5340  SHARES               X           1      5340     0       0
AFFYMETRIX INC              COMMON STOCK    00826T108      559     12100  SHARES         X                 3     12100     0       0
AGERE SYSTEMS INC           COMMON STOCK    00845V308        2       161  SHARES               X           1       161     0       0
AGERE SYSTEMS INC           COMMON STOCK    00845V308        4       415  SHARES                     X     1       399     0      16
AGILENT TECHNOLOGIES INC
 COM                        COMMON STOCK    00846U101      225      6875  SHARES               X           1      6875     0       0
AGILENT TECHNOLOGIES INC
 COM                        COMMON STOCK    00846U101      254      7747  SHARES                     X     1      6637     0    1110
AGILENT TECHN INC           COMMON STOCK    00846U101     5956    181880  SHARES         X                 3    181880     0       0
AIR PRODUCTS & CHEMICALS
 INC                        COMMON STOCK    009158106     1183     21454  SHARES               X           1     21454     0       0
AIR PRODUCTS & CHEMICALS
 INC                        COMMON STOCK    009158106     1126     20425  SHARES                     X     1     18325     0    2100
AIR PRODS & CHEMS           COMMON STOCK    009158106      106      1925  SHARES         X                 3      1925     0       0
ALASKA AIR GROUP INC        COMMON STOCK    011659109      398     13700  SHARES         X                 3     13700     0       0
ALASKA COMMUNICATIONS
 SYSTEMS GROUP              COMMON STOCK    01167P101       48      4182  SHARES               X           1      4182     0       0
ALASKA COMMUNICATIONS
 SYSTEMS GROUP              COMMON STOCK    01167P101      103      9018  SHARES         X                 3      9018     0       0


                                    15 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
ALBANY INTL CORP            COMMON STOCK A  012348108     1206     32700  SHARES         X                 3     32700     0       0
ALBEMARLE CORP COM          COMMON STOCK    012653101      151      4000  SHARES               X           1      4000     0       0
ALBEMARLE CORP COM          COMMON STOCK    012653101      897     23800  SHARES                     X     1     23800     0       0
ALBEMARLE CORP              COMMON STOCK    012653101      550     14600  SHARES         X                 3     14600     0       0
ALBERTO CULVER CO           COMMON STOCK    013068101        4       100  SHARES               X           1       100     0       0
ALBERTO-CULVER CO           COMMON STOCK    013068101       42       930  SHARES         X                 3       930     0       0
ALBERTSON'S INC             COMMON STOCK    013104104       35      1357  SHARES               X           1      1357     0       0
ALBERTSON'S INC             COMMON STOCK    013104104       26      1000  SHARES                     X     1         0     0    1000
ALBERTSONS INC              COMMON STOCK    013104104     2245     87517  SHARES         X                 3     87517     0       0
ALCOA INC COM               COMMON STOCK    013817101     5254    215161  SHARES               X           1    210386     0    4775
ALCOA INC COM               COMMON STOCK    013817101     1542     63128  SHARES                     X     1     56168     0    6960
ALCOA INC COM               COMMON STOCK    013817101      251     10275  SHARES         X                 3      8675     0    1600
ALDILA INCORPORATED NEW     COMMON STOCK    014384200        2        66  SHARES               X           1        66     0       0
ALEXION PHARMACEUTICALS INC
 COM                        COMMON STOCK    015351109        8       300  SHARES                     X     1         0     0     300
ALKERMES INC                COMMON STOCK    01642T108      487     29000  SHARES         X                 3     29000     0       0
ALLEGHENY ENERGY INC        COMMON STOCK    017361106       50      1629  SHARES               X           1      1629     0       0
ALLEGHENY ENERGY INC        COMMON STOCK    017361106       61      1975  SHARES                     X     1      1675     0     300
ALLEGHENY ENERGY INC        COMMON STOCK    017361106       46      1500  SHARES         X                 3      1500     0       0
ALLEGHENY TECHNOLOGIES INC
 COM                        COMMON STOCK    01741R102       30       962  SHARES               X           1       962     0       0
ALLEGHENY TECHNOLOGIES INC
 COM                        COMMON STOCK    01741R102       15       481  SHARES                     X     1         0     0     481
ALLEGHENY TECH INC          COMMON STOCK    01741R102       24       765  SHARES         X                 3       765     0       0
ALLERGAN INC                COMMON STOCK    018490102       82       900  SHARES               X           1       900     0       0
ALLERGAN INC                COMMON STOCK    018490102      223      2432  SHARES                     X     1      2432     0       0
ALLERGAN INC                COMMON STOCK    018490102      117      1280  SHARES         X                 3      1280     0       0
ALLETE INC                  COMMON STOCK    018522300       12       267  SHARES               X           1       267     0       0
ALLETE INC                  COMMON STOCK    018522300       81      1766  SHARES                     X     1      1766     0       0
ALLIANCE CAP MGMT HLDG L P  COMMON STOCK    01855A101      135      2825  SHARES               X           1      2825     0       0
ALLIANCE CAP MGMT HLDG L P  COMMON STOCK    01855A101       96      2000  SHARES                     X     1      2000     0       0
ALLIANCE IMAGING INC        COMMON STOCK    018606202      458     53600  SHARES         X                 3     53600     0       0
ALLIANCE ONE INTL           COMMON STOCK    018772103      217     61200  SHARES         X                 3     61200     0       0
ALLIANT ENERGY CORP         COMMON STOCK    018802108       17       573  SHARES               X           1       573     0       0
ALLIANT ENERGY CORP         COMMON STOCK    018802108        3       111  SHARES                     X     1       111     0       0
ALLIANT TECHSYSTEMS INC     COMMON STOCK    018804104        9       127  SHARES               X           1       127     0       0
ALLIANT TECHSYSTEMS INC     COMMON STOCK    018804104       30       405  SHARES                     X     1       405     0       0
ALLIED CAPITAL CORP NEW COM COMMON STOCK    01903Q108       30      1050  SHARES               X           1      1050     0       0
ALLIED CAPITAL CORP NEW COM COMMON STOCK    01903Q108       95      3320  SHARES                     X     1      3320     0       0
ALLIED CAPITAL CORPORATION  COMMON STOCK    01903Q108     1013     35397  SHARES         X                 2     35397     0       0
ALLIED CAPITAL CORP NEW COM COMMON STOCK    01903Q108       20       700  SHARES         X                 3       700     0       0
ALLIED WASTE IND            COMMON STOCK    019589308       27      3200  SHARES         X                 3      3200     0       0
ALLIS-CHALMERS ENERGY INC   COMMON STOCK    019645506        0         3  SHARES               X           1         3     0       0
ALLSTATE CORP               COMMON STOCK    020002101     6703    121232  SHARES               X           1    119760     0    1472
ALLSTATE CORP               COMMON STOCK    020002101     2156     38994  SHARES                     X     1     36744     0    2250
ALLSTATE CORPORATION        COMMON STOCK    020002101     1624     29373  SHARES         X                 2     29373     0       0
ALLSTATE CORP               COMMON STOCK    020002101     2915     52721  SHARES         X                 3     51521     0    1200
ALLTEL CORP                 COMMON STOCK    020039103      498      7642  SHARES               X           1      7642     0       0
ALLTEL CORP                 COMMON STOCK    020039103     1844     28317  SHARES                     X     1     24117     0    4200
ALLTEL CORP                 COMMON STOCK    020039103      232      3560  SHARES         X                 3      3560     0       0
ALPHA NATURAL RESOURCES     COMMON STOCK    02076X102      102      3400  SHARES               X           1      3400     0       0
ALPHA NATURAL RESOURCES     COMMON STOCK    02076X102      210      7000  SHARES         X                 3      7000     0       0
ALPHARMA INC                COMMON STOCK A  020813101     1234     49600  SHARES         X                 3     49600     0       0
ALTERA CORP COM             COMMON STOCK    021441100      122      6400  SHARES               X           1      6400     0       0
ALTERA CORP COM             COMMON STOCK    021441100       12       650  SHARES                     X     1       650     0       0
ALTERA CORP                 COMMON STOCK    021441100     1515     79300  SHARES         X                 3     79300     0       0


                                    16 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
ALTIRIS INC                 COMMON STOCK    02148M100       17      1100  SHARES               X           1      1100     0       0
ALTIRIS INC                 COMMON STOCK    02148M100       33      2200  SHARES         X                 3      2200     0       0
ALTRIA GROUP INC            COMMON STOCK    02209S103    19190    260344  SHARES               X           1    260244     0     100
ALTRIA GROUP INC            COMMON STOCK    02209S103       58       785  SHARES               X           3       785     0       0
ALTRIA GROUP INC            COMMON STOCK    02209S103    12361    167698  SHARES                     X     1    157048     0   10650
ALTRIA GROUP INC            COMMON STOCK    02209S103      925     12550  SHARES         X                 2     12550     0       0
ALTRIA GROUP INC            COMMON STOCK    02209S103    14527    201586  SHARES         X                 3    197353     0    4233
AMAZON.COM INC              COMMON STOCK    023135106       50      1100  SHARES               X           1      1100     0       0
AMAZON.COM INC              COMMON STOCK    023135106        5       100  SHARES                     X     1         0     0     100
AMBAC FINANCIAL GROUP INC   COMMON STOCK    023139108      216      3000  SHARES                     X     1      3000     0       0
AMBAC FINANCIAL GRP         COMMON STOCK    023139108       68       950  SHARES         X                 3       950     0       0
AMEDISYS INC                COMMON STOCK    023436108       51      1300  SHARES               X           1      1300     0       0
AMEDISYS INC                COMMON STOCK    023436108      106      2700  SHARES         X                 3      2700     0       0
AMERADA HESS CORP           COMMON STOCK    023551104     1839     13370  SHARES         X                 3     13370     0       0
AMEREN CORP                 COMMON STOCK    023608102      247      4615  SHARES               X           1      4615     0       0
AMEREN CORP                 COMMON STOCK    023608102       94      1765  SHARES                     X     1      1765     0       0
AMEREN CORPORATION          COMMON STOCK    023608102       99      1860  SHARES         X                 3      1860     0       0
AMERICAN AXLE & MFG         COMMON STOCK    024061103      561     24300  SHARES         X                 3     24300     0       0
AMERICAN CAPITAL STRATEGIES
 LTD                        COMMON STOCK    024937104      128      3500  SHARES               X           1      3500     0       0
AMERICAN CAPITAL STRATEGIES
 LTD                        COMMON STOCK    024937104       70      1900  SHARES                     X     1      1900     0       0
AMERICAN CAPITAL STRATEGIES
 LTD                        COMMON STOCK    024937104     2412     65800  SHARES         X                 2     65800     0       0
AMERICAN ECOLOGY COR        COMMON STOCK    025533407      245     12500  SHARES         X                 3     12500     0       0
AMERICAN ELECTRIC POWER CO
 INC                        COMMON STOCK    025537101      252      6351  SHARES               X           1      6351     0       0
AMERICAN ELECTRIC POWER CO
 INC                        COMMON STOCK    025537101      481     12111  SHARES                     X     1      9281     0    2830
AMERN ELEC PWR INC          COMMON STOCK    025537101     1588     40002  SHARES         X                 3     40002     0       0
AMERICAN EXPRESS CO         COMMON STOCK    025816109     2685     46736  SHARES               X           1     46136     0     600
AMERICAN EXPRESS CO         COMMON STOCK    025816109     1193     20778  SHARES                     X     1     17322     0    3456
AMERICAN EXPRESS COMPANY    COMMON STOCK    025816109      678     11800  SHARES         X                 2     11800     0       0
AMERICAN EXPRESS CO         COMMON STOCK    025816109      682     11875  SHARES         X                 3     10800     0    1075
AMERICAN FINANCIAL GROUP
 INC                        COMMON STOCK    025932104       14       400  SHARES                     X     1         0     0     400
AMERICAN FINANCIAL REALTY
 TRUST                      COMMON STOCK    02607P305       57      4000  SHARES               X           1      4000     0       0
AMERICAN FINANCIAL REALTY
 TRUST                      COMMON STOCK    02607P305       57      4000  SHARES               X           2      4000     0       0
AMERICAN FINANCIAL REALTY   COMMON STOCK    02607P305     2039    143600  SHARES         X                 2    143600     0       0
AMERN GREETINGS CORP        COMMON STOCK A  026375105      756     27600  SHARES         X                 3     27600     0       0
AMERICAN HEALTHWAYS INC     COMMON STOCK    02649V104        3        75  SHARES               X           1        75     0       0
AMERN HOME MTG INVT         COMMON STOCK    02660R107      588     19400  SHARES         X                 3     19400     0       0
AMERICAN INTERNATIONAL
 GROUP INC                  COMMON STOCK    026874107    22098    356644  SHARES               X           1    349821     0    6823
AMERICAN INTERNATIONAL
 GROUP INC                  COMMON STOCK    026874107     8519    137485  SHARES                     X     1    125800     0   11685
AMERICAN INTERNATIONAL
 GROUP INC                  COMMON STOCK    026874107     6729    108608  SHARES         X                 2    108608     0       0
AMERICAN INTERNATIONAL
 GROUP INC                  COMMON STOCK    026874107    14305    224782  SHARES         X                 3    216407     0    8375
AMERICAN MEDICAL SYSTEMS
HOLDINGS                    COMMON STOCK    02744M108       32      1600  SHARES               X           1      1600     0       0
AMERICAN MEDICAL SYSTEMS
HOLDINGS                    COMMON STOCK    02744M108       68      3400  SHARES         X                 3      3400     0       0
AMERN PWR CONVERSION        COMMON STOCK    029066107       44      1700  SHARES         X                 3      1700     0       0
AMERICAN STANDARD CO        COMMON STOCK    029712106       74      1600  SHARES         X                 3      1600     0       0
AMERICAN TECHNOLOGY CORP    COMMON STOCK    030145205       15      3000  SHARES               X           1      3000     0       0
AMERICAN TECHNOLOGY CORP    COMMON STOCK    030145205       38      7500  SHARES                     X     1      7500     0       0
AMERON INTL CORP            COMMON STOCK    030710107      715     15400  SHARES         X                 3     15400     0       0
AMERUS GROUP CO             COMMON STOCK    03072M108     1515     26400  SHARES         X                 3     26400     0       0
AMERISOURCE BERGEN CORP COM COMMON STOCK    03073E105       15       200  SHARES               X           1       200     0       0
AMERIGROUP CORPORATION      COMMON STOCK    03073T102       23      1200  SHARES         X                 3      1200     0       0
AMERITRADE HOLDING CORP     COMMON STOCK    03074K100       11       515  SHARES               X           1       515     0       0
AMERIGAS PARTNERS LP        COMMON STOCK    030975106       10       300  SHARES               X           1       300     0       0
AMERIGAS PARTNERS LP        COMMON STOCK    030975106       51      1600  SHARES                     X     1      1600     0       0


                                    17 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
AMETEK AEROSPACE PRODS INC
 COM                        COMMON STOCK    031100100       40       942  SHARES               X           1       942     0       0
AMGEN INC COM               COMMON STOCK    031162100    22789    286040  SHARES               X           1    280276     0    5764
AMGEN INC COM               COMMON STOCK    031162100     5325     66836  SHARES                     X     1     58761     0    8075
AMGEN INC                   COMMON STOCK    031162100    11904    156642  SHARES         X                 3    147325     0    9317
AMSOUTH BANCORPORATION      COMMON STOCK    032165102       45      1765  SHARES               X           1      1765     0       0
AMSOUTH BANCORP             COMMON STOCK    032165102       88      3500  SHARES         X                 3      3500     0       0
AMSURG CORP                 COMMON STOCK    03232P405      353     12920  SHARES               X           1     12920     0       0
AMSURG CORP                 COMMON STOCK    03232P405       22       800  SHARES                     X     1       800     0       0
AMSURG CORP                 COMMON STOCK    03232P405     1133     41400  SHARES         X                 3     41400     0       0
ANADARKO PETROLEUM CORP     COMMON STOCK    032511107     1510     15767  SHARES               X           1     15767     0       0
ANADARKO PETROLEUM CORP     COMMON STOCK    032511107      527      5506  SHARES                     X     1      5506     0       0
ANADARKO PETROLEUM
 CORPORATION                COMMON STOCK    032511107      326      3400  SHARES         X                 2      3400     0       0
ANADARKO PETROLEUM CORP     COMMON STOCK    032511107      651      6800  SHARES         X                 3      6800     0       0
ANALOG DEVICES INC          COMMON STOCK    032654105       30       800  SHARES               X           1       800     0       0
ANALOG DEVICES INC          COMMON STOCK    032654105       30       800  SHARES                     X     1         0     0     800
ANALOG DEVICES INC          COMMON STOCK    032654105      126      3400  SHARES         X                 3      3400     0       0
ANDREW CORP                 COMMON STOCK    034425108       13      1145  SHARES         X                 3      1145     0       0
ANHEUSER BUSCH COS INC COM  COMMON STOCK    035229103     1210     28110  SHARES               X           1     28110     0       0
ANHEUSER BUSCH COS INC COM  COMMON STOCK    035229103     1160     26957  SHARES                     X     1     26957     0       0
ANHEUSER BUSCH COMPANIES
 INC                        COMMON STOCK    035229103      358      8328  SHARES         X                 2      8328     0       0
ANHEUSER BUSCH COS INC COM  COMMON STOCK    035229103      436     10125  SHARES         X                 3      7125     0    3000
ANNALY MTGE MANAGEMENT INC
(REIT)                      COMMON STOCK    035710409       13      1000  SHARES               X           1      1000     0       0
ANNALY MTGE MANAGEMENT INC
(REIT)                      COMMON STOCK    035710409       19      1500  SHARES                     X     1      1500     0       0
ANNAPOLIS BANCORP
 INCORPORATED               COMMON STOCK    035848100       12      1333  SHARES                     X     1      1333     0       0
ANNTAYLOR STORES CORP       COMMON STOCK    036115103        6       225  SHARES                     X     1       225     0       0
ANSYS INC COM               COMMON STOCK    03662Q105      184      4770  SHARES               X           1      4770     0       0
ANSYS INC                   COMMON STOCK    03662Q105      604     15700  SHARES         X                 3     15700     0       0
ANTHRACITE CAP INC          COMMON STOCK    037023108     1063     91800  SHARES         X                 3     91800     0       0
AON CORP COM                COMMON STOCK    037389103      304      9475  SHARES               X           1      9475     0       0
AON CORP COM                COMMON STOCK    037389103       64      2000  SHARES                     X     1      2000     0       0
AON CORPORATION             COMMON STOCK    037389103     2964     92430  SHARES         X                 3     92430     0       0
APACHE CORP COM             COMMON STOCK    037411105     2548     33877  SHARES               X           1     33877     0       0
APACHE CORP COM             COMMON STOCK    037411105      746      9921  SHARES                     X     1      9711     0     210
APACHE CORP                 COMMON STOCK    037411105      222      2950  SHARES         X                 3      2950     0       0
APARTMENT INVT&MGMT         COMMON STOCK A  03748R101       39      1000  SHARES         X                 3      1000     0       0
APOLLO GROUP INC CL A       COMMON STOCK    037604105       14       206  SHARES               X           1       206     0       0
APOLLO GROUP INC CL A       COMMON STOCK    037604105        8       125  SHARES                     X     1       125     0       0
APOLLO GROUP INC            COMMON STOCK A  037604105      103      1550  SHARES         X                 3      1550     0       0
APPLE COMPUTER INC COM      COMMON STOCK    037833100       75      1400  SHARES               X           1      1400     0       0
APPLE COMPUTER INC COM      COMMON STOCK    037833100      107      2000  SHARES                     X     1       500     0    1500
APPLE COMPUTER INC          COMMON STOCK    037833100      406      7580  SHARES         X                 3      7580     0       0
APPLEBEE INTERNATIONAL INC
 COM                        COMMON STOCK    037899101       12       600  SHARES                     X     1       600     0       0
APPLERA CORP-APPLIED
 BIOSYSTEMS GRP             COMMON STOCK    038020103       26      1125  SHARES               X           1      1125     0       0
APPLERA CORP-APPLIED
BIOSYSTEMS GRP              COMMON STOCK    038020103       37      1600  SHARES                     X     1      1600     0       0
APPLERA CORPORATION         COMMON STOCK    038020103      558     24040  SHARES         X                 3     24040     0       0
APPLERA CORP-CELERA
 GENOMICS GR                COMMON STOCK    038020202        7       600  SHARES               X           1       600     0       0
APPLIED MATERIALS INC COM   COMMON STOCK    038222105     1089     64230  SHARES               X           1     62830     0    1400
APPLIED MATERIALS INC COM   COMMON STOCK    038222105      177     10440  SHARES                     X     1      9740     0     700
APPLIED MATERIALS
 INCORPORATED               COMMON STOCK    038222105     1457     85925  SHARES         X                 2     85925     0       0
APPLIED MATERIALS           COMMON STOCK    038222105      252     14850  SHARES         X                 3     14850     0       0
APPLED MICRO CIRCUITS CORP
 COM                        COMMON STOCK    03822W109        2       500  SHARES               X           1       500     0       0
APPLIED MICRO CRCTS         COMMON STOCK    03822W109        9      3000  SHARES         X                 3      3000     0       0
APPLIED SIGNAL TECH         COMMON STOCK    038237103      195     10200  SHARES         X                 3     10200     0       0


                                    18 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
AQUA AMERICA INC            COMMON STOCK    03836W103      173      4538  SHARES               X           1      4538     0       0
AQUA AMERICA INC            COMMON STOCK    03836W103        7       194  SHARES                     X     1       194     0       0
AQUANTIVE INC               COMMON STOCK    03839G105      936     46500  SHARES         X                 3     46500     0       0
ARAMARK CORP                COMMON STOCK    038521100        1        50  SHARES               X           1        50     0       0
ARCHER DANIELS MIDLAND CO
 COM                        COMMON STOCK    039483102      449     18221  SHARES               X           1     18221     0       0
ARCHER DANIELS MIDLAND CO
 COM                        COMMON STOCK    039483102      192      7780  SHARES                     X     1      1280     0    6500
ARCHER DANIELS MIDLD        COMMON STOCK    039483102     1337     54200  SHARES         X                 3     54200     0       0
ARCHIPELAGO HOLDINGS INC    COMMON STOCK    03957A104       36       900  SHARES               X           1       900     0       0
ARCHIPELAGO HOLDINGS INC    COMMON STOCK    03957A104       84      2100  SHARES         X                 3      2100     0       0
ARCHSTONE-SMITH TRUST
 (REIT)                     COMMON STOCK    039583109      215      5385  SHARES               X           1      5385     0       0
ARCHSTONE-SMITH TRUST
 (REIT)                     COMMON STOCK    039583109      182      4557  SHARES                     X     1      4557     0       0
ARCHSTONE-SMITH TRUST       COMMON STOCK    039583109     2285     57317  SHARES         X                 2     57317     0       0
ARCHSTONE SMITH TR          COMMON STOCK    039583109       72      1800  SHARES         X                 3      1800     0       0
ARES CAPITAL CORP           COMMON STOCK    04010L103        3       212  SHARES               X           1       212     0       0
ARGONAUT GROUP              COMMON STOCK    040157109       10       366  SHARES               X           1       366     0       0
ARIBA INC                   COMMON STOCK    04033V203        0         5  SHARES               X           1         5     0       0
ARKANSAS BEST CORP          COMMON STOCK    040790107      785     22500  SHARES         X                 3     22500     0       0
ARRIS GROUP                 COMMON STOCK    04269Q100       34      2900  SHARES               X           1      2900     0       0
ARRIS GROUP                 COMMON STOCK    04269Q100       74      6200  SHARES         X                 3      6200     0       0
ARROW INTERNATIONAL INC     COMMON STOCK    042764100       51      1800  SHARES               X           1      1800     0       0
ARROW INTERNATIONAL INC     COMMON STOCK    042764100        6       200  SHARES                     X     1         0     0     200
ARTESIAN RESOURCES
 CORPORATION CL A           COMMON STOCK    043113208       96      3154  SHARES               X           1      2404     0     750
ARTHROCARE CORP             COMMON STOCK    043136100      599     14900  SHARES         X                 3     14900     0       0
ARVINMERITOR INC COM        COMMON STOCK    043353101        2        99  SHARES               X           1        99     0       0
ARVINMERITOR INC COM        COMMON STOCK    043353101        2        99  SHARES                     X     1        99     0       0
ARVINMERITOR INC            COMMON STOCK    043353101      485     29000  SHARES         X                 3     29000     0       0
ASHLAND INC                 COMMON STOCK    044209104       12       225  SHARES               X           1       225     0       0
ASHLAND INC                 COMMON STOCK    044209104       28       498  SHARES                     X     1       498     0       0
ASHLAND INC                 COMMON STOCK    044209104       34       610  SHARES         X                 3       610     0       0
ASPEN TECHNOLOGY INC        COMMON STOCK    045327103      569     91100  SHARES         X                 3     91100     0       0
ASTEC INDUSTRIES INC        COMMON STOCK    046224101       48      1700  SHARES               X           1      1700     0       0
ASTEC INDUSTRIES INC        COMMON STOCK    046224101       99      3500  SHARES         X                 3      3500     0       0
ASTORIA FINANCIAL CORP COM  COMMON STOCK    046265104        3       100  SHARES                     X     1       100     0       0
ATLAS PIPELINE PARTNERS LP  COMMON STOCK    049392103       10       200  SHARES               X           1       200     0       0
ATMOS ENERGY CORP           COMMON STOCK    049560105        4       150  SHARES                     X     1       150     0       0
ATRICURE INC                COMMON STOCK    04963C209      140     10100  SHARES         X                 3     10100     0       0
ATWOOD OCEANICS INC         COMMON STOCK    050095108      547      6500  SHARES         X                 3      6500     0       0
AUDIBLE INC                 COMMON STOCK    05069A302      140     11400  SHARES         X                 3     11400     0       0
AUTODESK INC                COMMON STOCK    052769106      103      2210  SHARES         X                 3      2210     0       0
AUTOLIV INC                 COMMON STOCK    052800109      892     20500  SHARES         X                 3     20500     0       0
AUTOMATIC DATA PROCESSING
 INC                        COMMON STOCK    053015103     3374     78386  SHARES               X           1     77386     0    1000
AUTOMATIC DATA PROCESSING
 INC                        COMMON STOCK    053015103     2206     51264  SHARES                     X     1     48014     0    3250
AUTOMATIC DATA PROCESSING
 INC                        COMMON STOCK    053015103     1752     40698  SHARES         X                 2     40698     0       0
AUTOMATIC DATA PROC         COMMON STOCK    053015103      230      5340  SHARES         X                 3      5340     0       0
AUTONATION INC              COMMON STOCK    05329W102       49      2450  SHARES         X                 3      2450     0       0
AUTOZONE INC                COMMON STOCK    053332102       62       740  SHARES         X                 3       740     0       0
AVAYA INC COM               COMMON STOCK    053499109        5       531  SHARES               X           1       531     0       0
AVAYA INC COM               COMMON STOCK    053499109       16      1531  SHARES                     X     1      1357     0     174
AVAYA INC                   COMMON STOCK    053499109       46      4425  SHARES         X                 3      4425     0       0
AVERY DENNISON CORP COM     COMMON STOCK    053611109       42       810  SHARES               X           1       810     0       0
AVERY DENNISON CORP COM     COMMON STOCK    053611109       86      1650  SHARES                     X     1      1650     0       0
AVERY DENNISON CORP         COMMON STOCK    053611109       49       940  SHARES         X                 3       940     0       0
AVID TECHNOLOGY INC         COMMON STOCK    05367P100       62      1500  SHARES               X           1      1500     0       0


                                    19 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
AVISTA CORPORATION          COMMON STOCK    05379B107      493     25400  SHARES         X                 3     25400     0       0
AVNET INC COM               COMMON STOCK    053807103        6       250  SHARES               X           1       250     0       0
AVNET INC COM               COMMON STOCK    053807103       17       700  SHARES                     X     1       700     0       0
AVON PRODUCTS INC           COMMON STOCK    054303102       59      2203  SHARES               X           1      2203     0       0
AVON PRODUCTS INC           COMMON STOCK    054303102      289     10694  SHARES                     X     1     10694     0       0
AVON PRODUCTS INC           COMMON STOCK    054303102      119      4400  SHARES         X                 3      4400     0       0
AXCELIS TECHNOLOGIES INC
 COM                        COMMON STOCK    054540109        1       235  SHARES               X           1       235     0       0
AXCELIS TECHNOLOGIES INC
 COM                        COMMON STOCK    054540109       14      2652  SHARES                     X     1      2652     0       0
BB&T CORP COM               COMMON STOCK    054937107      245      6268  SHARES               X           1      4340     0    1928
BB&T CORP COM               COMMON STOCK    054937107       35       892  SHARES               X           3       892     0       0
BB&T CORP COM               COMMON STOCK    054937107     1188     30429  SHARES                     X     1     28863     0    1566
BB & T CORPORATION          COMMON STOCK    054937107     1923     49240  SHARES         X                 2     49240     0       0
BB&T CORP COM               COMMON STOCK    054937107      243      6210  SHARES         X                 3      4935     0    1275
BISYS GROUP INC COM         COMMON STOCK    055472104       40      3000  SHARES                     X     1      3000     0       0
BJ SVCS CO                  COMMON STOCK    055482103       99      2750  SHARES         X                 3      2750     0       0
BKF CAPITAL GROUP INC       COMMON STOCK    05548G102       24       778  SHARES               X           1       778     0       0
BJ'S WHOLESALE CLUB INC COM COMMON STOCK    05548J106       24       850  SHARES               X           1       850     0       0
BJ'S WHOLESALE CLUB INC COM COMMON STOCK    05548J106       11       400  SHARES                     X     1       400     0       0
BJS WHOLESALE CLUB          COMMON STOCK    05548J106      575     20700  SHARES         X                 3     20700     0       0
BOK FINANCIAL CORPORATION   COMMON STOCK    05561Q201        1        12  SHARES               X           1        12     0       0
BMC SOFTWARE INC            COMMON STOCK    055921100       43      2050  SHARES         X                 3      2050     0       0
B2B INTERNET HOLDRS TRUST   COMMON STOCK    056033103        0       100  SHARES               X           1       100     0       0
BAKER MICHAEL CORP          COMMON STOCK    057149106      104      4000  SHARES               X           1      4000     0       0
BAKER MICHAEL CORP          COMMON STOCK    057149106      712     27300  SHARES         X                 3     27300     0       0
BAKER HUGHES INC COM        COMMON STOCK    057224107      416      6970  SHARES               X           1      6970     0       0
BAKER HUGHES INC COM        COMMON STOCK    057224107       98      1650  SHARES                     X     1      1650     0       0
BAKER HUGHES INC            COMMON STOCK    057224107      186      3120  SHARES         X                 3      3120     0       0
BALL CORPORATION            COMMON STOCK    058498106      882     24000  SHARES               X           1     24000     0       0
BALL CORP                   COMMON STOCK    058498106       43      1160  SHARES         X                 3      1160     0       0
BANDAG INC                  COMMON STOCK    059815100      394      9200  SHARES         X                 3      9200     0       0
BANK OF AMERICA CORPORATION COMMON STOCK    060505104    21069    500442  SHARES               X           1    492369     0    8073
BANK OF AMERICA CORPORATION COMMON STOCK    060505104       59      1400  SHARES               X           3      1400     0       0
BANK OF AMERICA CORPORATION COMMON STOCK    060505104     9040    214730  SHARES                     X     1    199238     0   15492
BANK OF AMERICA CORPORATION COMMON STOCK    060505104     7183    170612  SHARES         X                 2    170612     0       0
BANK OF AMERICA CORP        COMMON STOCK    060505104    14030    333247  SHARES         X                 3    323147     0   10100
BANK OF HAWAII CORP         COMMON STOCK    062540109       15       300  SHARES                     X     1       300     0       0
BANK OF THE OZARKS          COMMON STOCK    063904106      127      3700  SHARES         X                 3      3700     0       0
BANK NEW YORK INC COM       COMMON STOCK    064057102     6038    205319  SHARES               X           1    202011     0    3308
BANK NEW YORK INC COM       COMMON STOCK    064057102       35      1200  SHARES               X           3      1200     0       0
BANK NEW YORK INC COM       COMMON STOCK    064057102     1112     37801  SHARES                     X     1     35001     0    2800
BANK NEW YORK INCORPORATED  COMMON STOCK    064057102     1635     55587  SHARES         X                 2     55587     0       0
BANK NEW YORK INC           COMMON STOCK    064057102     4212    143244  SHARES         X                 3    138444     0    4800
BANKATLANTIC BANCORP
 INCORPORATED               COMMON STOCK    065908501      206     12125  SHARES         X                 2     12125     0       0
BANTA CORP                  COMMON STOCK    066821109     1211     23800  SHARES         X                 3     23800     0       0
BARD C R INC COM            COMMON STOCK    067383109      360      5450  SHARES               X           1      5450     0       0
BARD C R INC COM            COMMON STOCK    067383109      317      4800  SHARES                     X     1      4800     0       0
BARD C R INC                COMMON STOCK    067383109       65       990  SHARES         X                 3       990     0       0
BARNES & NOBLE INC          COMMON STOCK    067774109      554     14700  SHARES         X                 3     14700     0       0
BARRICK GOLD CORP           COMMON STOCK    067901108     3684    126800  SHARES         X                 3    126800     0       0
BARR PHARMACEUTICALS INC    COMMON STOCK    068306109       38       700  SHARES               X           1       700     0       0
BAUSCH & LOMB INC COM       COMMON STOCK    071707103        4        50  SHARES               X           1        50     0       0
BAUSCH & LOMB INC           COMMON STOCK    071707103       52       640  SHARES         X                 3       640     0       0
BAXTER INTL INC             COMMON STOCK    071813109      600     15054  SHARES               X           1     15054     0       0


                                    20 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
BAXTER INTL INC             COMMON STOCK    071813109      506     12683  SHARES                     X     1     12683     0       0
BAXTER INTL INC             COMMON STOCK    071813109      223      5600  SHARES         X                 3      5600     0       0
BEAR STEARNS COS INC        COMMON STOCK    073902108      112      1020  SHARES               X           1      1020     0       0
BEAR STEARNS COS INC        COMMON STOCK    073902108      132      1206  SHARES                     X     1      1206     0       0
BEAR STEARNS COS INC        COMMON STOCK    073902108     1207     11000  SHARES         X                 3     11000     0       0
BECKMAN COULTER INC         COMMON STOCK    075811109      130      2411  SHARES                     X     1      1863     0     548
BECTON DICKINSON & CO COM   COMMON STOCK    075887109      178      3389  SHARES               X           1      3389     0       0
BECTON DICKINSON & CO COM   COMMON STOCK    075887109      734     14000  SHARES                     X     1     14000     0       0
BECTON DICKINSON            COMMON STOCK    075887109      118      2255  SHARES         X                 3      2255     0       0
BED BATH & BEYOND INC COM   COMMON STOCK    075896100      207      5150  SHARES               X           1      5150     0       0
BED BATH & BEYOND INC COM   COMMON STOCK    075896100      176      4380  SHARES                     X     1      4380     0       0
BED BATH & BEYOND           COMMON STOCK    075896100      104      2600  SHARES         X                 3      2600     0       0
BELLSOUTH CORP              COMMON STOCK    079860102     7645    290674  SHARES               X           1    290074     0     600
BELLSOUTH CORP              COMMON STOCK    079860102       30      1124  SHARES               X           3      1124     0       0
BELLSOUTH CORP              COMMON STOCK    079860102     5982    227440  SHARES                     X     1    197809     0   29631
BELLSOUTH CORP              COMMON STOCK    079860102      466     17714  SHARES         X                 3     17714     0       0
BEMIS INC                   COMMON STOCK    081437105       91      3675  SHARES               X           1      3675     0       0
BEMIS INC                   COMMON STOCK    081437105       28      1120  SHARES         X                 3      1120     0       0
BENCHMARK ELECTRONICS INC   COMMON STOCK    08160H101       25       815  SHARES               X           1       815     0       0
BENCHMARK ELECTRONICS INC   COMMON STOCK    08160H101       45      1500  SHARES         X                 3      1500     0       0
BENIHANA INCORPORATED
 CLASS A                    COMMON STOCK    082047200      101      5600  SHARES               X           1      5600     0       0
BENIHANA INCORPORATED
 CLASS A                    COMMON STOCK    082047200      210     11700  SHARES         X                 3     11700     0       0
BERKSHIRE HATHAWAY INC
 CLASS A                    COMMON STOCK    084670108      246         3  SHARES                     X     1         3     0       0
BERKSHIRE HATHAWAY INC
 CLASS B                    COMMON STOCK    084670207      584       214  SHARES               X           1       214     0       0
BERKSHIRE HATHAWAY INC
 CLASS B                    COMMON STOCK    084670207      336       123  SHARES                     X     1       113     0      10
BEST BUY INC COM            COMMON STOCK    086516101      301      6905  SHARES               X           1      6905     0       0
BEST BUY INC COM            COMMON STOCK    086516101      103      2362  SHARES                     X     1      2362     0       0
BEST BUY INC                COMMON STOCK    086516101      180      4125  SHARES         X                 3      4125     0       0
BEVERLY ENTERPRISES         COMMON STOCK    087851309      872     71200  SHARES         X                 3     71200     0       0
BIG LOTS INC                COMMON STOCK    089302103       14      1290  SHARES         X                 3      1290     0       0
BIMINI MORTGAGE INVESTMENT
 INC                        COMMON STOCK    09031E400        1       100  SHARES               X           1       100     0       0
BIOANALYTICAL SYSTEMS
 INCORPORATED               COMMON STOCK    09058M103        0        16  SHARES               X           1        16     0       0
BIOMET COM                  COMMON STOCK    090613100       29       845  SHARES                     X     1       845     0       0
BIOMET INC                  COMMON STOCK    090613100       76      2200  SHARES         X                 3      2200     0       0
BIOGEN IDEC INC             COMMON STOCK    09062X103     2867     72618  SHARES               X           1     70806     0    1812
BIOGEN IDEC INC             COMMON STOCK    09062X103       62      1575  SHARES                     X     1      1575     0       0
BIOGEN IDEC INC             COMMON STOCK    09062X103     7437    177168  SHARES         X                 3    173516     0    3652
BIOSCRIPT INC               COMMON STOCK    09069N108      295     45400  SHARES         X                 3     45400     0       0
BLACK & DECKER CORP COM     COMMON STOCK    091797100      506      6168  SHARES               X           1      6168     0       0
BLACK & DECKER CORP COM     COMMON STOCK    091797100     1508     18376  SHARES                     X     1     18376     0       0
BLACK & DECKER CORP         COMMON STOCK    091797100       62       750  SHARES         X                 3       750     0       0
BLACK BOX CORP DEL          COMMON STOCK    091826107      583     13900  SHARES         X                 3     13900     0       0
BLACK HILLS CORP            COMMON STOCK    092113109       10       225  SHARES                     X     1       225     0       0
BLOCK H & R INC             COMMON STOCK    093671105      142      5932  SHARES               X           1      5932     0       0
BLOCK H & R INC             COMMON STOCK    093671105       88      3670  SHARES                     X     1      3670     0       0
BLOCK H & R INC             COMMON STOCK    093671105       72      3000  SHARES         X                 3      3000     0       0
BLUE NILE INC               COMMON STOCK    09578R103      402     12700  SHARES         X                 3     12700     0       0
BLYTH INC                   COMMON STOCK    09643P108      283     12700  SHARES         X                 3     12700     0       0
BOEING CO COM               COMMON STOCK    097023105     1000     14710  SHARES               X           1     14610     0     100
BOEING CO COM               COMMON STOCK    097023105     1333     19615  SHARES                     X     1     19115     0     500
BOEING CO                   COMMON STOCK    097023105      501      7380  SHARES         X                 3      7380     0       0
BOIS D'ARC ENERGY INC       COMMON STOCK    09738U103       41      2400  SHARES               X           1      2400     0       0
BOIS D'ARC ENERGY INC       COMMON STOCK    09738U103       89      5200  SHARES         X                 3      5200     0       0


                                    21 of 64






                                                                          SEC USE __________________________________________________
------------------------------------------------------------------------------------------------------------------------------------
        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
BON-TON STORES INCORPORATED COMMON STOCK    09776J101     1269     65333  SHARES               X           1     65333     0       0
BORDERS GROUP INC COM       COMMON STOCK    099709107       30      1346  SHARES               X           1      1346     0       0
BORG WARNER INC             COMMON STOCK    099724106     1366     24200  SHARES         X                 3     24200     0       0
BOSTON BEER INCORPORATED
 CLASS A                    COMMON STOCK    100557107       54      2150  SHARES               X           1      2150     0       0
BOSTON BEER INCORPORATED
 CLASS A                    COMMON STOCK    100557107        3       100  SHARES                     X     1       100     0       0
BOSTON PROPERTIES INC
 (REIT)                     COMMON STOCK    101121101      663      9349  SHARES               X           1      9349     0       0
BOSTON PROPERTIES INC
 (REIT)                     COMMON STOCK    101121101      355      5000  SHARES                     X     1      4600     0     400
BOSTON SCIENTIFIC CORP COM  COMMON STOCK    101137107      128      5472  SHARES               X           1      5252     0     220
BOSTON SCIENTIFIC CORP COM  COMMON STOCK    101137107      117      5020  SHARES                     X     1      5020     0       0
BOWATER INC COM             COMMON STOCK    102183100        7       265  SHARES               X           1       265     0       0
BRANDYWINE REALTY TRUST
 (REIT)                     COMMON STOCK    105368203       65      2100  SHARES               X           1      2100     0       0
BRANDYWINE REALTY TRUST
 (REIT)                     COMMON STOCK    105368203       31      1000  SHARES                     X     1      1000     0       0
BRINKER INTL INC COM        COMMON STOCK    109641100      974     25925  SHARES               X           1     25425     0     500
BRINKER INTL INC COM        COMMON STOCK    109641100      627     16697  SHARES                     X     1     16697     0       0
BRISTOL-MYERS SQUIBB CO     COMMON STOCK    110122108     8967    372711  SHARES               X           1    372111     0     600
BRISTOL-MYERS SQUIBB CO     COMMON STOCK    110122108     8829    366964  SHARES                     X     1    330524     0   36440
BROADCOM CORP CL A          COMMON STOCK    111320107        9       200  SHARES               X           1       200     0       0
BROWN-FORMAN CORP CL B      COMMON STOCK    115637209       18       300  SHARES                     X     1       300     0       0
BRUNSWICK CORP COM          COMMON STOCK    117043109        5       120  SHARES               X           1       120     0       0
BRUNSWICK CORP COM          COMMON STOCK    117043109       83      2190  SHARES                     X     1      2190     0       0
BRYN MAWR BANK CORPORATION  COMMON STOCK    117665109      244     11392  SHARES               X           1     11392     0       0
BUCKEYE PARTNERS LP UNIT
 LTD PARTNER                COMMON STOCK    118230101       43       900  SHARES               X           1       900     0       0
BURLINGTON NORTHERN SANTA
 FE CORP                    COMMON STOCK    12189T104      425      7109  SHARES               X           1      6863     0     246
BURLINGTON NORTHERN SANTA
 FE CORP                    COMMON STOCK    12189T104      672     11232  SHARES                     X     1     10032     0    1200
BURLINGTN NRTHRN S F        COMMON STOCK    12189T104      203      3400  SHARES         X                 3      3400     0       0
BURLINGTON RESOURCES INC    COMMON STOCK    122014103     8156    100298  SHARES               X           1     98448     0    1850
BURLINGTON RESOURCES INC    COMMON STOCK    122014103     2588     31820  SHARES                     X     1     29195     0    2625
C-COR INC                   COMMON STOCK    125010108       61      9000  SHARES               X           1      9000     0       0
C-COR INC                   COMMON STOCK    125010108      574     85000  SHARES                     X     1     85000     0       0
CDW CORPORATION             COMMON STOCK    12512N105      551      9345  SHARES               X           1      9345     0       0
CDW CORPORATION             COMMON STOCK    12512N105     1868     31700  SHARES         X                 3     31700     0       0
CH ENERGY GROUP INC COM     COMMON STOCK    12541M102      171      3600  SHARES               X           1      3600     0       0
C H ROBINSON WORLDWIDE INC  COMMON STOCK    12541W100      299      4660  SHARES               X           1      4660     0       0
C H ROBINSON WLDWIDE        COMMON STOCK    12541W100     1071     16700  SHARES         X                 3     16700     0       0
CIGNA CORP                  COMMON STOCK    125509109      627      5324  SHARES               X           1      5324     0       0
CIGNA CORP                  COMMON STOCK    125509109      348      2950  SHARES                     X     1      2950     0       0
CIT GROUP INC               COMMON STOCK    125581108     4172     92341  SHARES               X           1     88586     0    3755
CIT GROUP INC               COMMON STOCK    125581108      255      5635  SHARES                     X     1      2625     0    3010
CLECO CORP                  COMMON STOCK    12561W105       19       800  SHARES                     X     1       800     0       0
CLECO CORP                  COMMON STOCK    12561W105      547     23200  SHARES         X                 3     23200     0       0
CMGI INC COM                COMMON STOCK    125750109        0       290  SHARES               X           1       290     0       0
CMS ENERGY CORP COM         COMMON STOCK    125896100        8       475  SHARES               X           1       475     0       0
CMS ENERGY CORP COM         COMMON STOCK    125896100       20      1200  SHARES                     X     1      1200     0       0
CNF INC COM                 COMMON STOCK    12612W104        8       150  SHARES               X           1       150     0       0
CNET NETWORKS INC           COMMON STOCK    12613R104       22      1600  SHARES               X           1      1600     0       0
CNET NETWORKS INC           COMMON STOCK    12613R104       47      3500  SHARES         X                 3      3500     0       0
CSX CORP COM                COMMON STOCK    126408103     1813     38998  SHARES               X           1     38998     0       0
CSX CORP COM                COMMON STOCK    126408103      883     19000  SHARES                     X     1     14200     0    4800
CVS CORP COM                COMMON STOCK    126650100      505     17400  SHARES               X           1     17400     0       0
CVS CORP COM                COMMON STOCK    126650100      258      8900  SHARES                     X     1      8300     0     600
CABOT CORP COM              COMMON STOCK    127055101        3        90  SHARES               X           1        90     0       0
CABOT MICROELECT CO         COMMON STOCK    12709P103      147      5000  SHARES         X                 3      5000     0       0
CADENCE DESIGN SYS INC      COMMON STOCK    127387108      303     18750  SHARES               X           1     18750     0       0


                                    22 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
CADENCE DESIGN SYS INC      COMMON STOCK    127387108       19      1200  SHARES                     X     1      1200     0       0
CAL DIVE INTERNATIONAL INC  COMMON STOCK    127914109      140      2200  SHARES               X           1      2200     0       0
CALAMP CORPORATION          COMMON STOCK    128126109       29      3600  SHARES               X           1      3600     0       0
CALLAWAY GOLF CO COM        COMMON STOCK    131193104        0        23  SHARES               X           1        23     0       0
CALPINE CORP COM            COMMON STOCK    131347106        6      2300  SHARES               X           1      2300     0       0
CALPINE CORP COM            COMMON STOCK    131347106       14      5250  SHARES                     X     1      5250     0       0
CALYPTE BIOMEDICAL CORP     COMMON STOCK    131722605       24     98900  SHARES               X           1     98900     0       0
CAMDEN PROPERTY TRUST
 (REIT)                     COMMON STOCK    133131102       56      1000  SHARES               X           1      1000     0       0
CAMPBELL SOUP CO COM        COMMON STOCK    134429109       83      2800  SHARES               X           1      2800     0       0
CAMPBELL SOUP CO COM        COMMON STOCK    134429109      436     14646  SHARES                     X     1     14646     0       0
CANDELA CORP                COMMON STOCK    136907102       21      2100  SHARES               X           1      2100     0       0
CAPITAL ONE FINANCIAL CORP  COMMON STOCK    14040H105     7150     89909  SHARES               X           1     87614     0    2295
CAPITAL ONE FINANCIAL CORP  COMMON STOCK    14040H105     2002     25170  SHARES                     X     1     19720     0    5450
CAPITAL ONE FINANCIAL
 CORPORATION                COMMON STOCK    14040H105     5785     72754  SHARES         X                 2     72754     0       0
CAPITAL ONE FINANCIAL CORP  COMMON STOCK    14040H105     8601    106339  SHARES         X                 3    103425     0    2914
CAPITALSOURCE INC           COMMON STOCK    14055X102      345     15830  SHARES               X           1     15830     0       0
CAPITALSOURCE INC           COMMON STOCK    14055X102     1216     55790  SHARES         X                 3     55790     0       0
CAPSTONE TURBINE CORP       COMMON STOCK    14067D102        0       100  SHARES                     X     1       100     0       0
CARDINAL HEALTH INC         COMMON STOCK    14149Y108      413      6514  SHARES               X           1      6514     0       0
CARDINAL HEALTH INC         COMMON STOCK    14149Y108      272      4284  SHARES                     X     1      4135     0     149
CARDINAL HEALTH
 INCORPORATED               COMMON STOCK    14149Y108      419      6600  SHARES         X                 2      6600     0       0
CARDINAL HEALTH INC         COMMON STOCK    14149Y108      246      3880  SHARES         X                 3      3880     0       0
CAREER EDUCATION CORP COM   COMMON STOCK    141665109      192      5395  SHARES               X           1      5395     0       0
CAREMARK RX INC COM         COMMON STOCK    141705103     9579    191852  SHARES               X           1    186788     0    5064
CAREMARK RX INC COM         COMMON STOCK    141705103     1531     30666  SHARES                     X     1     29616     0    1050
CARLISLE COMPANIES INC      COMMON STOCK    142339100       25       400  SHARES               X           1         0     0     400
CARLISLE COMPANIES INC      COMMON STOCK    142339100     1561     24550  SHARES                     X     1     24000     0     550
CARMAX INC                  COMMON STOCK    143130102     5704    182401  SHARES               X           1    175052     0    7349
CARMAX INC                  COMMON STOCK    143130102      417     13340  SHARES                     X     1     10860     0    2480
CARNIVAL CORPORATION        COMMON STOCK    143658300     6135    122752  SHARES               X           1    121907     0     845
CARNIVAL CORPORATION        COMMON STOCK    143658300      608     12161  SHARES                     X     1     10811     0    1350
CARPENTER TECHNOLOGY CORP
 COM                        COMMON STOCK    144285103      170      2900  SHARES               X           1      2900     0       0
CARPENTER TECHNOLOGY CORP
 COM                        COMMON STOCK    144285103      174      2964  SHARES                     X     1      1964     0    1000
CARROLLTON BANCORP          COMMON STOCK    145282109        7       462  SHARES               X           1       462     0       0
CATERPILLAR INC             COMMON STOCK    149123101     2502     42586  SHARES               X           1     41566     0    1020
CATERPILLAR INC             COMMON STOCK    149123101      612     10421  SHARES                     X     1      9221     0    1200
CAVCO INDUSTRIES, INC.      COMMON STOCK    149568107        2        60  SHARES               X           1        60     0       0
CEDAR FAIR LTD PTR          COMMON STOCK    150185106       21       700  SHARES               X           1       700     0       0
CELGENE CORP COM            COMMON STOCK    151020104       43       800  SHARES                     X     1       800     0       0
CENDANT CORP COM            COMMON STOCK    151313103     1276     61815  SHARES               X           1     60815     0    1000
CENDANT CORP COM            COMMON STOCK    151313103      486     23556  SHARES                     X     1     22122     0    1434
CENTENE CORP DEL            COMMON STOCK    15135B101      405     16200  SHARES         X                 3     16200     0       0
CENTERPOINT ENERGY INC      COMMON STOCK    15189T107        5       332  SHARES               X           1       332     0       0
CENTERPOINT ENERGY INC      COMMON STOCK    15189T107       14       944  SHARES                     X     1       944     0       0
CENTERPOINT ENERGY          COMMON STOCK    15189T107       44      2960  SHARES         X                 3      2960     0       0
CENTEX CORP                 COMMON STOCK    152312104      534      8270  SHARES               X           1      8270     0       0
CENTEX CORP                 COMMON STOCK    152312104      283      4387  SHARES                     X     1      4387     0       0
CENTURYTEL INC COM          COMMON STOCK    156700106       70      2000  SHARES               X           1      2000     0       0
CERNER CORP                 COMMON STOCK    156782104     3744     43065  SHARES               X           1     41965     0    1100
CERNER CORP                 COMMON STOCK    156782104      577      6635  SHARES                     X     1      5435     0    1200
CERTEGY INC COM             COMMON STOCK    156880106       20       500  SHARES                     X     1       500     0       0
CHAPARRAL STEEL CO          COMMON STOCK    159423102       61      2400  SHARES               X           1      2400     0       0
CHARTERMAC                  COMMON STOCK    160908109      198      9674  SHARES               X           1      9674     0       0


                                    23 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
CHARTERMAC                  COMMON STOCK    160908109      111      5406  SHARES                     X     1      5406     0       0
CHARTER COMMUNICATIONS INC
 CL A                       COMMON STOCK    16117M107        2      1000  SHARES               X           1      1000     0       0
CHEMTURA CORP               COMMON STOCK    163893100        7       600  SHARES               X           1       600     0       0
CHESAPEAKE UTILITIES
 CORPORATION                COMMON STOCK    165303108       26       750  SHARES                     X     1       750     0       0
CHEVRON CORP                COMMON STOCK    166764100    34553    533795  SHARES               X           1    525710     0    8085
CHEVRON CORP                COMMON STOCK    166764100    18581    287050  SHARES                     X     1    264095     0   22955
CHICOS FAS INC              COMMON STOCK    168615102      465     12630  SHARES               X           1     12630     0       0
CHICOS FAS INC              COMMON STOCK    168615102        2        50  SHARES                     X     1        50     0       0
CHILDRENS PLACE RETAIL
 STORES INC                 COMMON STOCK    168905107        5       150  SHARES               X           1       150     0       0
CHOICEPOINT INC COM         COMMON STOCK    170388102       23       533  SHARES               X           1       533     0       0
CHOICEPOINT INC COM         COMMON STOCK    170388102       17       400  SHARES                     X     1       400     0       0
CHOLESTECH CORPORATION      COMMON STOCK    170393102       18      1800  SHARES                     X     1      1800     0       0
CHRISTOPHER & BANKS CORP    COMMON STOCK    171046105       43      3100  SHARES               X           1      3100     0       0
CHUBB CORP                  COMMON STOCK    171232101      480      5364  SHARES               X           1      5364     0       0
CHUBB CORP                  COMMON STOCK    171232101      347      3870  SHARES                     X     1      3870     0       0
CHURCH & DWIGHT CO INC      COMMON STOCK    171340102        7       200  SHARES               X           1       200     0       0
CIENA CORP                  COMMON STOCK    171779101        3      1000  SHARES               X           1      1000     0       0
CIENA CORP                  COMMON STOCK    171779101        0       100  SHARES                     X     1       100     0       0
CINCINNATI BELL INC         COMMON STOCK    171871106        2       500  SHARES               X           1       500     0       0
CINERGY CORP                COMMON STOCK    172474108       41       916  SHARES               X           1       916     0       0
CINERGY CORP                COMMON STOCK    172474108       45      1005  SHARES                     X     1      1005     0       0
CIRCUIT STORES COM          COMMON STOCK    172737108       55      3200  SHARES               X           1      3200     0       0
CIRCUIT STORES COM          COMMON STOCK    172737108       31      1800  SHARES                     X     1      1800     0       0
CISCO SYS INC               COMMON STOCK    17275R102    16107    898824  SHARES               X           1    880675     0   18149
CISCO SYS INC               COMMON STOCK    17275R102     4186    233606  SHARES                     X     1    211881     0   21725
CISCO SYSTEMS INCORPORATED  COMMON STOCK    17275R102     2505    139794  SHARES         X                 2    139794     0       0
CISCO SYS INC               COMMON STOCK    17275R102     8471    499722  SHARES         X                 3    484700     0   15022
CITIZENS & NORTHERN CORP
 COM                        COMMON STOCK    172922106      230      8608  SHARES               X           1      8608     0       0
CITIGROUP INC COM           COMMON STOCK    172967101    25586    562082  SHARES               X           1    547528     0   14554
CITIGROUP INC COM           COMMON STOCK    172967101     9574    210335  SHARES                     X     1    196705     0   13630
CITIZENS COMMUNICATIONS CO  COMMON STOCK    17453B101      693     51180  SHARES               X           1     46180     0    5000
CITIZENS COMMUNICATIONS CO  COMMON STOCK    17453B101      261     19277  SHARES                     X     1      6102     0   13175
CITIZENS COMMUN CO          COMMON STOCK    17453B101       45      3300  SHARES         X                 3      3300     0       0
CITRIX SYSTEMS INC COM      COMMON STOCK    177376100      101      4000  SHARES               X           1      4000     0       0
CLAIRES STORES INCORPORATED COMMON STOCK    179584107        5       200  SHARES               X           1       200     0       0
CLAIRES STORES INCORPORATED COMMON STOCK    179584107        2       100  SHARES                     X     1       100     0       0
CLEAR CHANNEL
 COMMUNICATIONS INC COM     COMMON STOCK    184502102      804     24435  SHARES               X           1     23235     0    1200
CLEAR CHANNEL
 COMMUNICATIONS INC COM     COMMON STOCK    184502102      336     10205  SHARES                     X     1      9405     0     800
CLEVELAND CLIFFS INC COM    COMMON STOCK    185896107      468      5375  SHARES               X           1      5375     0       0
CLOROX CO COM               COMMON STOCK    189054109      429      7725  SHARES               X           1      7725     0       0
CLOROX CO COM               COMMON STOCK    189054109      217      3915  SHARES                     X     1      3915     0       0
COACH INC                   COMMON STOCK    189754104      821     26182  SHARES               X           1     26182     0       0
COACH INC                   COMMON STOCK    189754104      184      5864  SHARES                     X     1      5864     0       0
COCA COLA CO COM            COMMON STOCK    191216100    11685    270555  SHARES               X           1    267921     0    2634
COCA COLA CO COM            COMMON STOCK    191216100     6334    146644  SHARES                     X     1    144517     0    2127
CODORUS VALLEY BANCORP INC  COMMON STOCK    192025104      949     52141  SHARES               X           1     38123     0   14018
CODORUS VALLEY BANCORP INC  COMMON STOCK    192025104       32      1750  SHARES                     X     1      1750     0       0
COEUR D'ALENE MINES CORP    COMMON STOCK    192108108        4      1000  SHARES               X           1      1000     0       0
COGNIZANT TECH SOL CORP     COMMON STOCK    192446102      291      6240  SHARES               X           1      6240     0       0
COHU INCORPORATED           COMMON STOCK    192576106       19       800  SHARES               X           1       800     0       0
COLGATE PALMOLIVE CO COM    COMMON STOCK    194162103     9548    180873  SHARES               X           1    178402     0    2471
COLGATE PALMOLIVE CO COM    COMMON STOCK    194162103     3605     68297  SHARES                     X     1     58397     0    9900
COLONIAL BANCGROUP INC      COMMON STOCK    195493309       22      1000  SHARES               X           1      1000     0       0


                                    24 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
COLUMBIA BANCORP            COMMON STOCK    197227101      106      2632  SHARES               X           1      2632     0       0
COMCAST CORP NEW A          COMMON STOCK    20030N101     8652    294490  SHARES               X           1    286535     0    7955
COMCAST CORP NEW A          COMMON STOCK    20030N101     1896     64531  SHARES                     X     1     60672     0    3859
COMCAST CORPORATION
 CLASS A NEW                COMMON STOCK    20030N101      406     13814  SHARES         X                 2     13814     0       0
COMCAST CORP                COMMON STOCK A  20030N101     8171    278116  SHARES         X                 3    268196     0    9920
COMCAST CORP-SPECIAL CL A   COMMON STOCK    20030N200      699     24286  SHARES               X           1     24286     0       0
COMCAST CORP-SPECIAL CL A   COMMON STOCK    20030N200      210      7283  SHARES                     X     1      7083     0     200
COMCAST CORPORATION SPECIAL
 CLASS A                    COMMON STOCK    20030N200      892     31000  SHARES         X                 2     31000     0       0
COMERICA INC                COMMON STOCK    200340107        4        70  SHARES               X           1        70     0       0
COMMERCE BANCORP INC N J    COMMON STOCK    200519106        6       200  SHARES               X           1       200     0       0
COMMERCE BANCORP INC N J    COMMON STOCK    200519106       64      2100  SHARES                     X     1      1500     0     600
COMMERCE BANCSHARES INC COM COMMON STOCK    200525103        8       160  SHARES               X           1       160     0       0
COMMERCIAL CAP BANCORP INC  COMMON STOCK    20162L105       94      5500  SHARES               X           1      5500     0       0
COMMERCIAL CAP BANCO        COMMON STOCK    20162L105      877     51566  SHARES         X                 3     51566     0       0
COMMERCIAL NET LEASE REALTY
 (REIT)                     COMMON STOCK    202218103       14       700  SHARES                     X     1       700     0       0
COMMUNITY BK SYS INC COM    COMMON STOCK    203607106      582     25762  SHARES               X           1     25762     0       0
COMMUNITY BANKS INC COM     COMMON STOCK    203628102      873     31039  SHARES               X           1     31039     0       0
COMMUNITY BANKS INC COM     COMMON STOCK    203628102     1311     46648  SHARES                     X     1     46648     0       0
COMMUNITY HLTH SYS INC NEW
 COM                        COMMON STOCK    203668108       87      2250  SHARES                     X     1      2250     0       0
COMPASS BANCSHARES INC      COMMON STOCK    20449H109       21       450  SHARES               X           1       450     0       0
COMPASS BANCSHARES          COMMON STOCK    20449H109       46      1000  SHARES         X                 3      1000     0       0
COMPUTER ASSOC INTL INC     COMMON STOCK    204912109       81      2927  SHARES               X           1      2927     0       0
COMPUTER ASSOC INTL INC     COMMON STOCK    204912109       20       723  SHARES                     X     1       123     0     600
COMPUTER PROGRAMS & SYSTEMS
 INC                        COMMON STOCK    205306103       21       600  SHARES               X           1       600     0       0
COMPUTER SCIENCES CORP COM  COMMON STOCK    205363104      141      2970  SHARES               X           1      2970     0       0
COMPUTER SCIENCES CORP COM  COMMON STOCK    205363104        9       200  SHARES                     X     1       200     0       0
COMPUTER TASK GROUP COM     COMMON STOCK    205477102      217     58750  SHARES               X           1         0     0   58750
COMPUWARE CORP              COMMON STOCK    205638109        3       300  SHARES               X           1       300     0       0
COMPUWARE CORP              COMMON STOCK    205638109       14      1500  SHARES                     X     1      1500     0       0
COMSTOCK RESOURCES INC      COMMON STOCK    205768203      200      6100  SHARES               X           1      6100     0       0
COMVERSE TECHNOLOGY INC COM COMMON STOCK    205862402       16       600  SHARES               X           1       600     0       0
COMVERSE TECHNOLOGY INC COM COMMON STOCK    205862402       48      1817  SHARES                     X     1      1817     0       0
CONAGRA FOODS INC           COMMON STOCK    205887102       49      1991  SHARES               X           1      1691     0     300
CONAGRA FOODS INC           COMMON STOCK    205887102      128      5163  SHARES                     X     1      5163     0       0
CONEXANT SYS INC COM        COMMON STOCK    207142100        4      2400  SHARES                     X     1      2400     0       0
CONNETICS CORPORATION       COMMON STOCK    208192104       19      1100  SHARES               X           1      1100     0       0
CONOCOPHILLIPS              COMMON STOCK    20825C104    13751    196689  SHARES               X           1    193518     0    3171
CONOCOPHILLIPS              COMMON STOCK    20825C104     4126     59019  SHARES                     X     1     54169     0    4850
CONOCOPHILLIPS              COMMON STOCK    20825C104    12141    173673  SHARES         X                 3    170113     0    3560
CONSOL ENERGY INC           COMMON STOCK    20854P109      405      5306  SHARES               X           1      5306     0       0
CONSOL ENERGY INC           COMMON STOCK    20854P109     1683     14894  SHARES         X                 3     14894     0       0
CONSOLIDATED EDISON INC COM COMMON STOCK    209115104      213      4380  SHARES               X           1      4380     0       0
CONSOLIDATED EDISON INC COM COMMON STOCK    209115104      376      7747  SHARES                     X     1      7747     0       0
CONSTELLATION BRANDS INC
 CL A                       COMMON STOCK    21036P108        5       190  SHARES               X           1       190     0       0
CONSTELLATION BRANDS INC
 CL A                       COMMON STOCK    21036P108       21       800  SHARES                     X     1       800     0       0
CONSTELLATION BRANDS INC
 CLASS A                    COMMON STOCK    21036P108      377     14500  SHARES         X                 2     14500     0       0
CONSTELLATION BRANDS        COMMON STOCK A  21036P108       47      1800  SHARES         X                 3      1800     0       0
CONSTELLATION ENERGY GROUP
 INC COM                    COMMON STOCK    210371100     4896     79481  SHARES               X           1     79381     0     100
CONSTELLATION ENERGY GROUP
 INC COM                    COMMON STOCK    210371100     5735     93108  SHARES                     X     1     86708     0    6400
CONVERGYS CORP              COMMON STOCK    212485106        1       100  SHARES               X           1       100     0       0
CONVERGYS CORP              COMMON STOCK    212485106       13       900  SHARES                     X     1       900     0       0
COOPER CAMERON CORP COM     COMMON STOCK    216640102       42       566  SHARES               X           1       566     0       0
THE COOPER COMPANIES INC    COMMON STOCK    216648402       54       700  SHARES               X           1       700     0       0


                                    25 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
COOPER TIRE & RUBR CO COM   COMMON STOCK    216831107       11       700  SHARES               X           1       700     0       0
CORN PRODS INTL INC COM     COMMON STOCK    219023108       46      2290  SHARES               X           1      2290     0       0
CORN PRODS INTL INC COM     COMMON STOCK    219023108      113      5606  SHARES                     X     1      5606     0       0
CORNING INC                 COMMON STOCK    219350105     3324    171938  SHARES               X           1    170538     0    1400
CORNING INC                 COMMON STOCK    219350105      789     40815  SHARES                     X     1     39065     0    1750
CORP OFFICE PROPERTIES TR
 (REIT)                     COMMON STOCK    22002T108       35      1000  SHARES               X           1      1000     0       0
CORP OFFICE PROPERTIES TR
 (REIT)                     COMMON STOCK    22002T108       17       500  SHARES                     X     1       500     0       0
CORTEX PHARMACEUTICALS INC  COMMON STOCK    220524300        3      1390  SHARES                     X     1      1390     0       0
COSTCO WHOLESALE CORP COM   COMMON STOCK    22160K105      388      9000  SHARES               X           1      8775     0     225
COSTCO WHOLESALE CORP COM   COMMON STOCK    22160K105      249      5775  SHARES                     X     1      5775     0       0
COSTCO WHOLESALE CORP COM   COMMON STOCK    22160K105      557     12930  SHARES         X                 3     12930     0       0
COUNTRYWIDE FINANCIAL CORP  COMMON STOCK    222372104       59      1786  SHARES               X           1      1786     0       0
COUNTRYWIDE FINANCIAL CORP  COMMON STOCK    222372104       40      1200  SHARES                     X     1         0     0    1200
COVANCE INC COM             COMMON STOCK    222816100       42       872  SHARES               X           1       872     0       0
COVANCE INC COM             COMMON STOCK    222816100       62      1283  SHARES                     X     1      1283     0       0
COVENTRY HEALTH CARE INC    COMMON STOCK    222862104       32       375  SHARES               X           1       375     0       0
CRANE CO                    COMMON STOCK    224399105      305     10246  SHARES                     X     1     10246     0       0
CRAY INC                    COMMON STOCK    225223106        0       300  SHARES               X           1       300     0       0
CREE RESEARCH INC COM       COMMON STOCK    225447101       25      1000  SHARES                     X     1         0     0    1000
CULLEN FROST BANKERS INC
 COM                        COMMON STOCK    229899109        4        80  SHARES               X           1        80     0       0
CUMMINS INC COM             COMMON STOCK    231021106        9       100  SHARES               X           1       100     0       0
CURTIS WRIGHT CORPORATION   COMMON STOCK    231561101       21       338  SHARES               X           1       338     0       0
CURTIS WRIGHT CORPORATION   COMMON STOCK    231561101       31       500  SHARES                     X     1       500     0       0
CYBERSOURCE CORP            COMMON STOCK    23251J106       28      4200  SHARES               X           1      4200     0       0
CYBERSOURCE CORP            COMMON STOCK    23251J106       59      9000  SHARES         X                 3      9000     0       0
CYTEC INDUSTRIES INC COM    COMMON STOCK    232820100        4       100  SHARES               X           1       100     0       0
CYTYC CORP                  COMMON STOCK    232946103      461     17165  SHARES               X           1     17165     0       0
DPL INC                     COMMON STOCK    233293109       95      3402  SHARES               X           1      3402     0       0
DPL INC                     COMMON STOCK    233293109      209      7501  SHARES                     X     1      7501     0       0
DRS TECHNOLOGIES
 INCORPORATED               COMMON STOCK    23330X100        5       100  SHARES               X           1       100     0       0
D R S TECHNOLOGIES          COMMON STOCK    23330X100      316      6400  SHARES         X                 3      6400     0       0
D R HORTON INC              COMMON STOCK    23331A109      325      8982  SHARES               X           1      8982     0       0
D R HORTON INC              COMMON STOCK    23331A109      157      4328  SHARES                     X     1      4328     0       0
D R HORTON INC              COMMON STOCK    23331A109       91      2500  SHARES         X                 3      2500     0       0
DTE ENERGY CO               COMMON STOCK    233331107     1843     40191  SHARES               X           1     39016     0    1175
DTE ENERGY CO               COMMON STOCK    233331107     1222     26647  SHARES                     X     1     20269     0    6378
DANA CORP                   COMMON STOCK    235811106        6       600  SHARES                     X     1         0     0     600
DANAHER CORP COM            COMMON STOCK    235851102      700     13010  SHARES               X           1     13010     0       0
DANAHER CORP COM            COMMON STOCK    235851102      113      2096  SHARES                     X     1      1936     0     160
DARDEN RESTAURANTS INC COM  COMMON STOCK    237194105     1213     39950  SHARES               X           1     39950     0       0
DARDEN RESTAURANTS INC COM  COMMON STOCK    237194105      386     12715  SHARES                     X     1     12415     0     300
DAVITA INC WITH ATTACHED
 RIGHTS                     COMMON STOCK    23918K108       71      1537  SHARES                     X     1      1237     0     300
DECODE GENETICS INC         COMMON STOCK    243586104        2       200  SHARES               X           1       200     0       0
DEERE & CO                  COMMON STOCK    244199105     1379     22526  SHARES               X           1     22226     0     300
DEERE & CO                  COMMON STOCK    244199105      413      6755  SHARES                     X     1      6012     0     743
DEL MONTE FOODS CO          COMMON STOCK    24522P103       19      1766  SHARES               X           1      1766     0       0
DEL MONTE FOODS CO          COMMON STOCK    24522P103       19      1737  SHARES                     X     1      1737     0       0
DELL INC                    COMMON STOCK    24702R101    11979    350271  SHARES               X           1    342825     0    7446
DELL INC                    COMMON STOCK    24702R101     2112     61746  SHARES                     X     1     56806     0    4940
DELL INC                    COMMON STOCK    24702R101    11669    345683  SHARES         X                 3    336964     0    8719
DELPHI CORP COM             COMMON STOCK    247126105       10      3524  SHARES               X           1      3246     0     278
DELPHI CORP COM             COMMON STOCK    247126105        6      2178  SHARES                     X     1      2178     0       0
DENTSPLY INTERNATIONAL INC
 COM                        COMMON STOCK    249030107      383      7085  SHARES               X           1      7085     0       0


                                    26 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
DENTSPLY INTERNATIONAL INC
 COM                        COMMON STOCK    249030107      258      4775  SHARES                     X     1      4775     0       0
DESIGN WITHIN REACH INC     COMMON STOCK    250557105        2       250  SHARES               X           1       250     0       0
DEVELOPERS DVRSFD REALTY
 CORP (REIT)                COMMON STOCK    251591103       37       791  SHARES               X           1       791     0       0
DEVELOPERS DVRSFD REALTY
 CORP (REIT)                COMMON STOCK    251591103       23       500  SHARES                     X     1       500     0       0
DEVON ENERGY CORP NEW COM   COMMON STOCK    25179M103      530      7716  SHARES               X           1      7690     0      26
DEVON ENERGY CORP NEW COM   COMMON STOCK    25179M103      220      3205  SHARES                     X     1      2805     0     400
DEVON ENERGY CORP           COMMON STOCK    25179M103      275      4000  SHARES         X                 3      4000     0       0
DEVRY INC                   COMMON STOCK    251893103       32      1700  SHARES               X           1      1700     0       0
DIAMONDS TR UNIT SER 1      COMMON STOCK    252787106      243      2300  SHARES               X           1      2300     0       0
DICKS SPORTING GOODS INC    COMMON STOCK    253393102       12       400  SHARES               X           1       400     0       0
DIEBOLD INC                 COMMON STOCK    253651103       19       563  SHARES               X           1       563     0       0
DIEBOLD INC                 COMMON STOCK    253651103       12       350  SHARES                     X     1       350     0       0
DIGENE CORP COMMON          COMMON STOCK    253752109       70      2450  SHARES               X           1      2450     0       0
DIGITAL INSIGHT COR         COMMON STOCK    25385P106      122      4700  SHARES         X                 3      4700     0       0
DIGITAS INC COM             COMMON STOCK    25388K104       32      2800  SHARES               X           1      2800     0       0
DIGITAS INC COM             COMMON STOCK    25388K104       67      5900  SHARES         X                 3      5900     0       0
THE DIRECTV GROUP INC       COMMON STOCK    25459L106       27      1783  SHARES               X           1      1734     0      49
THE DIRECTV GROUP INC       COMMON STOCK    25459L106       38      2554  SHARES                     X     1      1736     0     818
WALT DISNEY CO COM          COMMON STOCK    254687106     4695    194567  SHARES               X           1    193967     0     600
WALT DISNEY CO COM          COMMON STOCK    254687106     2882    119450  SHARES                     X     1    111800     0    7650
DISCOVERY HOLDING CO-A      COMMON STOCK    25468Y107      100      6947  SHARES               X           1      6947     0       0
DISCOVERY HOLDING CO-A      COMMON STOCK    25468Y107      137      9510  SHARES                     X     1      9510     0       0
DISCOVERY HOLDING CO        COMMON STOCK    25468Y206       38      2600  SHARES                     X     1      2600     0       0
DOCUMENT SECURITIES SYSTEMS
 INC                        COMMON STOCK    25614T101        0         1  SHARES               X           1         1     0       0
DOLBY LABORATORIES INC CL A COMMON STOCK    25659T107        2       100  SHARES               X           1       100     0       0
DOLLAR GEN CORP             COMMON STOCK    256669102       61      3330  SHARES                     X     1      3330     0       0
DOLLAR TREE STORES INC COM  COMMON STOCK    256747106       87      4005  SHARES               X           1      4005     0       0
DOLLAR TREE STORES INC COM  COMMON STOCK    256747106        7       325  SHARES                     X     1       325     0       0
DOMINION RESOURCES BLACK
WARRIOR TR                  COMMON STOCK    25746Q108       88      1750  SHARES               X           1      1750     0       0
DOMINION RESOURCES INC COM
 NEW                        COMMON STOCK    25746U109     5398     62667  SHARES               X           1     62667     0       0
DOMINION RESOURCES INC COM
 NEW                        COMMON STOCK    25746U109     4061     47147  SHARES                     X     1     42129     0    5018
DOMINION RES INC VA         COMMON STOCK    25746U109     2678     31084  SHARES         X                 3     30600     0     484
DONEGAL GROUP INC CL A      COMMON STOCK    257701201       27      1264  SHARES               X           1      1264     0       0
DONEGAL GROUP INC CL B      COMMON STOCK    257701300       11       632  SHARES               X           1       632     0       0
DONNELLY R R & SONS CO      COMMON STOCK    257867101      152      4099  SHARES               X           1      4099     0       0
DONNELLY R R & SONS CO      COMMON STOCK    257867101      163      4400  SHARES                     X     1      4400     0       0
DOVER CORP                  COMMON STOCK    260003108     1961     48074  SHARES               X           1     48074     0       0
DOVER CORP                  COMMON STOCK    260003108     1639     40173  SHARES                     X     1     32773     0    7400
DOW CHEMICAL CO COM         COMMON STOCK    260543103     6159    147816  SHARES               X           1    147511     0     305
DOW CHEMICAL CO COM         COMMON STOCK    260543103     3556     85349  SHARES                     X     1     83849     0    1500
DOW JONES & CO INC COM      COMMON STOCK    260561105        7       175  SHARES               X           1       175     0       0
DOW JONES & CO INC COM      COMMON STOCK    260561105       16       432  SHARES                     X     1         0     0     432
DRESS BARN INCORPORATED     COMMON STOCK    261570105       36      1600  SHARES               X           1      1600     0       0
DREYER'S GRAND ICE CREAM
 HLDGS                      COMMON STOCK    261877104       16       200  SHARES                     X     1       200     0       0
DUPONT EI DE NEMOURS & CO
 COM                        COMMON STOCK    263534109     8390    214188  SHARES               X           1    213863     0     325
DUPONT EI DE NEMOURS & CO
 COM                        COMMON STOCK    263534109     8603    219642  SHARES                     X     1    212642     0    7000
DUKE ENERGY CORP            COMMON STOCK    264399106      895     30669  SHARES               X           1     30294     0     375
DUKE ENERGY CORP            COMMON STOCK    264399106      934     32009  SHARES                     X     1     31509     0     500
DUN & BRADSTREET CORP       COMMON STOCK    26483E100       51       775  SHARES               X           1       775     0       0
DUN & BRADSTREET CORP       COMMON STOCK    26483E100      150      2274  SHARES                     X     1      2274     0       0
DUQUESNE LIGHT HOLDINGS INC COMMON STOCK    266233105       38      2230  SHARES               X           1      2230     0       0
DUQUESNE LIGHT HOLDINGS INC COMMON STOCK    266233105       10       600  SHARES                     X     1       600     0       0
DYNEGY INC CL A             COMMON STOCK    26816Q101        2       460  SHARES               X           1       460     0       0


                                    27 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
DYNEGY INC                  COMMON STOCK A  26816Q101       21      4400  SHARES         X                 3      4400     0       0
EMC CORP MASS COM           COMMON STOCK    268648102     5006    386848  SHARES               X           1    382598     0    4250
EMC CORP MASS COM           COMMON STOCK    268648102      761     58807  SHARES                     X     1     51937     0    6870
ENSCO INTERNATIONAL INC COM COMMON STOCK    26874Q100     6314    135517  SHARES               X           1    131744     0    3773
ENSCO INTERNATIONAL INC COM COMMON STOCK    26874Q100      357      7660  SHARES                     X     1      5270     0    2390
ENSCO INTERNATIONAL INC COM COMMON STOCK    26874Q100    10069    212383  SHARES         X                 3    206193     0    6190
EOG RESOURCES INC COM       COMMON STOCK    26875P101        7       100  SHARES               X           1       100     0       0
EOG RESOURCES INC COM       COMMON STOCK    26875P101       73       970  SHARES                     X     1       970     0       0
EOG RESOURCES INC           COMMON STOCK    26875P101      157      2100  SHARES         X                 3      2100     0       0
EP MEDSYSTEMS INC COM       COMMON STOCK    26881P103       21      8000  SHARES                     X     1      8000     0       0
E*TRADE FINANCIAL
 CORPORATION                COMMON STOCK    269246104       10       580  SHARES               X           1       580     0       0
EAGLE MATERIALS INC COM W
RIGHTS                      COMMON STOCK    26969P108        3        26  SHARES               X           1        26     0       0
EAGLE MATERIALS INC CL B    COMMON STOCK    26969P207       10        89  SHARES               X           1        89     0       0
EARTHLINK INC COM           COMMON STOCK    270321102        9       807  SHARES               X           1       807     0       0
EAST WEST BANCORP INC       COMMON STOCK    27579R104        7       200  SHARES               X           1       200     0       0
EASTMAN CHEMICAL COMPANY
 COM                        COMMON STOCK    277432100       46       979  SHARES               X           1       979     0       0
EASTMAN CHEMICAL COMPANY
 COM                        COMMON STOCK    277432100      137      2915  SHARES                     X     1      2153     0     762
EASTMAN KODAK CO COM        COMMON STOCK    277461109       88      3605  SHARES               X           1      3605     0       0
EASTMAN KODAK CO COM        COMMON STOCK    277461109      237      9751  SHARES                     X     1      9751     0       0
EATON CORP COM              COMMON STOCK    278058102      275      4329  SHARES               X           1      4329     0       0
EATON CORP COM              COMMON STOCK    278058102      375      5900  SHARES                     X     1      5900     0       0
EATON VANCE CORP            COMMON STOCK    278265103        8       330  SHARES               X           1       330     0       0
EBAY INC COM                COMMON STOCK    278642103     4207    102105  SHARES               X           1     99827     0    2278
EBAY INC COM                COMMON STOCK    278642103      485     11765  SHARES                     X     1      8505     0    3260
ECLIPSYS CORP COM           COMMON STOCK    278856109       29      1600  SHARES                     X     1      1600     0       0
ECOLAB INC COM              COMMON STOCK    278865100      923     28900  SHARES               X           1     28900     0       0
ECOLAB INC COM              COMMON STOCK    278865100       88      2750  SHARES                     X     1      2750     0       0
EDISON INTERNATIONAL COM    COMMON STOCK    281020107       45       943  SHARES               X           1       943     0       0
EDUCATIONAL MANAGEMENT CORP
 COM                        COMMON STOCK    28139T101      351     10895  SHARES               X           1     10895     0       0
EDUCATION MGMT CORP         COMMON STOCK    28139T101     1187     36826  SHARES         X                 3     36826     0       0
EDWARDS AG INC COM          COMMON STOCK    281760108        6       145  SHARES               X           1       145     0       0
EDWARDS LIFESCIENCES CORP
 COM                        COMMON STOCK    28176E108     1887     42482  SHARES               X           1     40352     0    2130
EDWARDS LIFESCIENCES CORP
 COM                        COMMON STOCK    28176E108      321      7225  SHARES                     X     1      4445     0    2780
EDWARDS LIFESCIENCES CORP
 COM                        COMMON STOCK    28176E116       45      1023  SHARES         X                 3       223     0     800
EL PASO CORP COM            COMMON STOCK    28336L109       48      3482  SHARES               X           1      3482     0       0
EL PASO CORP COM            COMMON STOCK    28336L109       54      3896  SHARES                     X     1      3896     0       0
EL PASO CORPORATION         COMMON STOCK    28336L109       90      6483  SHARES         X                 3      6483     0       0
ELECTRIC CITY CORP          COMMON STOCK    284868106       28     32600  SHARES               X           1     32600     0       0
ELECTRONICS ARTS COM        COMMON STOCK    285512109     5397     94870  SHARES               X           1     93231     0    1639
ELECTRONICS ARTS COM        COMMON STOCK    285512109      498      8745  SHARES                     X     1      8495     0     250
ELECTRONIC DATA SYSTEM
 CORPORATION                COMMON STOCK    285661104       83      3677  SHARES               X           1      3677     0       0
ELECTRONIC DATA SYSTEM
 CORPORATION                COMMON STOCK    285661104       83      3698  SHARES                     X     1      3298     0     400
ELECTRONICS FOR IMAGING INC
 COM                        COMMON STOCK    286082102      425     18520  SHARES               X           1     18520     0       0
ELECTRONICS FOR IMAGING INC
 COM                        COMMON STOCK    286082102       30      1300  SHARES                     X     1         0     0    1300
ELIZABETH ARDEN INC COM     COMMON STOCK    28660G106        4       205  SHARES               X           1       205     0       0
EMAGEON INC                 COMMON STOCK    29076V109       35      2600  SHARES               X           1      2600     0       0
EMAGEON INC                 COMMON STOCK    29076V109       76      5600  SHARES         X                 3      5600     0       0
EMCOR GROUP INC             COMMON STOCK    29084Q100      142      2400  SHARES         X                 3      2400     0       0
EMERSON ELEC CO             COMMON STOCK    291011104     5700     79381  SHARES               X           1     78781     0     600
EMERSON ELEC CO             COMMON STOCK    291011104     4615     64276  SHARES                     X     1     57161     0    7115
ENBRIDGE ENERGY PARTNERS LP COMMON STOCK    29250R106      180      3227  SHARES                     X     1      3227     0       0
ENCYSIVE PHARMACEUTICALS
 INC                        COMMON STOCK    29256X107      118     10000  SHARES                     X     1     10000     0       0
ENERGY CONVERSION DEVICES
 INC                        COMMON STOCK    292659109        9       200  SHARES                     X     1       200     0       0


                                    28 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
ENERGY EAST CORP COM        COMMON STOCK    29266M109      342     13571  SHARES               X           1     13571     0       0
ENERGY EAST CORP COM        COMMON STOCK    29266M109      353     14007  SHARES                     X     1     13807     0     200
ENERGIZER HLDGS INC COM     COMMON STOCK    29266R108       80      1412  SHARES               X           1      1412     0       0
ENERGIZER HLDGS INC COM     COMMON STOCK    29266R108        6       100  SHARES                     X     1       100     0       0
ENERGY TRANSFER PARTNERS LP COMMON STOCK    29273R109       35      1000  SHARES               X           1      1000     0       0
ENGELHARD CORPORATION COM   COMMON STOCK    292845104       61      2175  SHARES               X           1      2175     0       0
ENGELHARD CORPORATION COM   COMMON STOCK    292845104        8       300  SHARES                     X     1       300     0       0
ENPRO INDUSTRIES            COMMON STOCK    29355X107       27       800  SHARES                     X     1       800     0       0
ENPRO INDS INC              COMMON STOCK    29355X107      569     16900  SHARES         X                 3     16900     0       0
ENTEGRIS INC                COMMON STOCK    29362U104      284     25114  SHARES         X                 3     25114     0       0
ENTERGY CORP COM NEW        COMMON STOCK    29364G103       39       525  SHARES               X           1       525     0       0
ENTERGY CORP COM NEW        COMMON STOCK    29364G103      186      2496  SHARES                     X     1      2496     0       0
ENTERGY CORP COM NEW        COMMON STOCK    29364G103      162      2180  SHARES         X                 3      2180     0       0
ENTERPRISE PRODUCTS
 PARTNERS LTD PTR           COMMON STOCK    293792107       45      1787  SHARES               X           1      1787     0       0
ENTERPRISE PRODUCTS
 PARTNERS LTD PTR           COMMON STOCK    293792107       46      1810  SHARES                     X     1      1810     0       0
EQUIFAX INC COM             COMMON STOCK    294429105       87      2500  SHARES                     X     1      2500     0       0
EQUITABLE RESOURCES INC COM COMMON STOCK    294549100     1101     28200  SHARES               X           1     28200     0       0
EQUITABLE RESOURCES INC COM COMMON STOCK    294549100      187      4800  SHARES                     X     1      4800     0       0
EQUITY OFFICE PROPERTIES TR
 (REIT)                     COMMON STOCK    294741103     1024     31307  SHARES               X           1     31307     0       0
EQUITY OFFICE PROPERTIES TR
 (REIT)                     COMMON STOCK    294741103      952     29095  SHARES                     X     1     29095     0       0
EQUITY RESIDENTIAL (REIT)   COMMON STOCK    29476L107      146      3850  SHARES               X           1      3850     0       0
EQUITY RESIDENTIAL (REIT)   COMMON STOCK    29476L107      116      3066  SHARES                     X     1      3066     0       0
EQUITY RESIDENTIAL          SH BEN INT
                             USD0.01        29476L107       97      2550  SHARES         X                 3      2550     0       0
ERIE INDEMNITY CO CL A      COMMON STOCK    29530P102     8575    162550  SHARES               X           1    162550     0       0
ESSEX CORPORATION           COMMON STOCK    296744105       11       500  SHARES                     X     1       500     0       0
EXACT SCIENCES CORP         COMMON STOCK    30063P105       81     44300  SHARES         X                 3     44300     0       0
EXELON CORP COM             COMMON STOCK    30161N101     4620     86456  SHARES               X           1     85956     0     500
EXELON CORP COM             COMMON STOCK    30161N101     1797     33628  SHARES                     X     1     32478     0    1150
EXELON CORP COM             COMMON STOCK    30161N101      338      6332  SHARES         X                 3      6032     0     300
EXPEDIA INC                 COMMON STOCK    30212P105       69      3500  SHARES                     X     1      3500     0       0
EXPEDITORS INTL WASH INC
 COM                        COMMON STOCK    302130109       68      1200  SHARES               X           1      1200     0       0
EXPRESS SCRIPTS INC         COMMON STOCK    302182100    11149    179251  SHARES               X           1    174836     0    4415
EXPRESS SCRIPTS INC         COMMON STOCK    302182100     2599     41785  SHARES                     X     1     39375     0    2410
EXPRESSJET HOLDINGS         COMMON STOCK A  30218U108      320     35700  SHARES         X                 3     35700     0       0
EXXON MOBIL CORP            COMMON STOCK    30231G102    90384   1422478  SHARES               X           1   1407302     0   15176
EXXON MOBIL CORP            COMMON STOCK    30231G102       84      1329  SHARES               X           3      1329     0       0
EXXON MOBIL CORP            COMMON STOCK    30231G102    78188   1230525  SHARES                     X     1   1105383     0  125142
EXXON MOBIL CORPORATION     COMMON STOCK    30231G102     1472     23165  SHARES         X                 2     23165     0       0
EXXON MOBIL CORP            COMMON STOCK    30231G102    30204    524370  SHARES         X                 3    509651     0   14719
FEI CO                      COMMON STOCK    30241L109      891     46300  SHARES         X                 3     46300     0       0
FLIR SYSTEMS INC            COMMON STOCK    302445101        8       270  SHARES               X           1       270     0       0
F N B CORP PA COM           COMMON STOCK    302520101       54      3128  SHARES               X           1      3128     0       0
FPL GROUP INC COM           COMMON STOCK    302571104     6344    133275  SHARES               X           1    133275     0       0
FPL GROUP INC COM           COMMON STOCK    302571104     2970     62397  SHARES                     X     1     54005     0    8392
FACTSET RESEARCH SYSTEMS
 INC                        COMMON STOCK    303075105       32       900  SHARES                     X     1       900     0       0
FAIRCHILD SEMICONDUCTOR
 INTL INC                   COMMON STOCK    303726103        1       100  SHARES                     X     1       100     0       0
FAMILY DLR STORES COM       COMMON STOCK    307000109        7       350  SHARES                     X     1       350     0       0
FASTENAL CO                 COMMON STOCK    311900104      324      5305  SHARES               X           1      5305     0       0
FEATHERLITE INCORPORATED    COMMON STOCK    313054108      157     45422  SHARES                     X     1     45422     0       0
FREDDIE MAC                 COMMON STOCK    313400301     2340     41448  SHARES               X           1     40287     0    1161
FREDDIE MAC                 COMMON STOCK    313400301      180      3185  SHARES                     X     1      3185     0       0
FANNIE MAE                  COMMON STOCK    313586109     8048    179552  SHARES               X           1    176902     0    2650
FANNIE MAE                  COMMON STOCK    313586109     3121     69638  SHARES                     X     1     65851     0    3787


                                    29 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
FEDERAL REALTY INV TR
 (REIT)                     COMMON STOCK    313747206       85      1400  SHARES               X           1      1400     0       0
FEDERAL SIGNAL CORP         COMMON STOCK    313855108       17      1000  SHARES               X           1      1000     0       0
FEDERATED DEPT STORES INC   COMMON STOCK    31410H101      322      4818  SHARES               X           1      4818     0       0
FEDERATED DEPT STORES INC   COMMON STOCK    31410H101       73      1089  SHARES                     X     1      1089     0       0
FEDERATED DEPARTMENT STORES
 DELAWARE                   COMMON STOCK    31410H101      670     10021  SHARES         X                 2     10021     0       0
FEDERATED DEPT STORE        COMMON STOCK    31410H101     1395     20858  SHARES         X                 3     20858     0       0
FEDERATED INVESTORS COM     COMMON STOCK    314211103        8       235  SHARES               X           1       235     0       0
FEDEX CORP COM              COMMON STOCK    31428X106      464      5320  SHARES               X           1      5320     0       0
FEDEX CORP COM              COMMON STOCK    31428X106      283      3245  SHARES                     X     1      2795     0     450
FEDEX CORPORATION           COMMON STOCK    31428X106      871     10000  SHARES         X                 2     10000     0       0
FEDEX CORPORATION           COMMON STOCK    31428X106      245      2817  SHARES         X                 3      2817     0       0
F5 NETWORKS INC             COMMON STOCK    315616102       61      1400  SHARES               X           1      1400     0       0
FIFTH THIRD BANCORP COM     COMMON STOCK    316773100      750     20407  SHARES               X           1     20407     0       0
FIFTH THIRD BANCORP COM     COMMON STOCK    316773100       66      1796  SHARES                     X     1      1496     0     300
FIRST DATA CORP COM         COMMON STOCK    319963104     2069     51716  SHARES               X           1     51366     0     350
FIRST DATA CORP COM         COMMON STOCK    319963104     1404     35094  SHARES                     X     1     31894     0    3200
FIRST HORIZON NATIONAL CORP COMMON STOCK    320517105       11       300  SHARES               X           1       300     0       0
FIRST INDUSTRIAL REALTY TR
 (REIT)                     COMMON STOCK    32054K103       11       275  SHARES               X           1       275     0       0
FIRST MARINER BANCORP
 INCORPORATED               COMMON STOCK    320795107       59      3500  SHARES                     X     1      3500     0       0
FIRST NIAGARA FINANCIAL
 GROUP                      COMMON STOCK    33582V108        4       292  SHARES               X           1       292     0       0
FIRST STATE FINANCIAL CORP
FLORIDA                     COMMON STOCK    33708M206       46      3253  SHARES               X           1      3253     0       0
FIRST UNITED CORP COM       COMMON STOCK    33741H107      173      8708  SHARES               X           1      8708     0       0
FIRST UNITED CORP COM       COMMON STOCK    33741H107       63      3177  SHARES                     X     1       200     0    2977
FISERV INC                  COMMON STOCK    337738108       10       220  SHARES               X           1       220     0       0
FIRSTENERGY CORP COM        COMMON STOCK    337932107      490      9407  SHARES               X           1      9407     0       0
FIRSTENERGY CORP COM        COMMON STOCK    337932107      422      8105  SHARES                     X     1      8105     0       0
FIVE STAR QUALITY CARE INC  COMMON STOCK    33832D106        0        10  SHARES                     X     1         0     0      10
FLORIDA EAST COAST
 INDUSTRIES                 COMMON STOCK    340632108        0         8  SHARES                     X     1         8     0       0
FLORIDA ROCK INDUSTRIES     COMMON STOCK    341140101       90      1400  SHARES               X           1      1400     0       0
FLORIDA ROCK INDUSTRIES     COMMON STOCK    341140101       64      1000  SHARES                     X     1      1000     0       0
FLUOR CORP NEW COM          COMMON STOCK    343412102      302      4689  SHARES               X           1      4689     0       0
FLUOR CORP NEW COM          COMMON STOCK    343412102      106      1650  SHARES                     X     1      1650     0       0
FLOWERS FOODS INC COM       COMMON STOCK    343498101       20       750  SHARES               X           1       750     0       0
FLOWSERVE CORP COM          COMMON STOCK    34354P105       11       316  SHARES               X           1       316     0       0
FONAR CORP COM              COMMON STOCK    344437108        1       518  SHARES               X           1       518     0       0
FORD MOTOR CO               COMMON STOCK    345370860      384     38908  SHARES               X           1     38908     0       0
FORD MOTOR CO               COMMON STOCK    345370860      254     25775  SHARES                     X     1     20467     0    5308
FOREST LABS INC COM         COMMON STOCK    345838106       20       525  SHARES               X           1       475     0      50
FOREST LABS INC COM         COMMON STOCK    345838106      121      3110  SHARES                     X     1      3010     0     100
FOREST OIL CORP             COMMON STOCK    346091705       26       500  SHARES               X           1       500     0       0
FOREST OIL CORP             COMMON STOCK    346091705       73      1400  SHARES                     X     1      1400     0       0
FORTUNE BRANDS INC          COMMON STOCK    349631101      895     11000  SHARES               X           1     11000     0       0
FORTUNE BRANDS INC          COMMON STOCK    349631101      768      9439  SHARES                     X     1      7832     0    1607
FOUNDATION COAL HOLDINGS
 INC                        COMMON STOCK    35039W100      123      3200  SHARES               X           1      3200     0       0
FOUNDATION COAL HOLDINGS
 INC                        COMMON STOCK    35039W100      258      6700  SHARES         X                 3      6700     0       0
FOUNDRY NETWORKS INC        COMMON STOCK    35063R100       44      3500  SHARES               X           1      3500     0       0
FOUNDRY NETWORKS INC        COMMON STOCK    35063R100       96      7500  SHARES         X                 3      7500     0       0
FRANKLIN RESOURCES INC      COMMON STOCK    354613101       36       430  SHARES               X           1       430     0       0
FRANKLIN RESOURCES INC      COMMON STOCK    354613101       13       150  SHARES                     X     1       150     0       0
FREEPORT MCMORAN CPR & GLD
 INC CL B                   COMMON STOCK    35671D857       83      1701  SHARES               X           1      1701     0       0
FREEPORT MCMORAN CPR & GLD
 INC CL B                   COMMON STOCK    35671D857       37       765  SHARES                     X     1       765     0       0
FREEPORT-MCMORAN C&G        COMMON STOCK B  35671D857       89      1830  SHARES         X                 3      1830     0       0
FREESCALE SEMICONDUCTOR-B   COMMON STOCK    35687M206       51      2149  SHARES               X           1      2149     0       0


                                    30 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
FREESCALE SEMICONDUCTOR-B   COMMON STOCK    35687M206      126      5357  SHARES                     X     1      5137     0     220
FREESCALE SEMICONDUC        COMMON STOCK B  35687M206       91      3865  SHARES         X                 3      3865     0       0
FRIEDMAN BILLINGS RAMSEY
 GRP INC-A                  COMMON STOCK    358434108        1       125  SHARES               X           1       125     0       0
FRONTIER OIL CORPORATION    COMMON STOCK    35914P105      153      3450  SHARES               X           1      3450     0       0
FRONTIER OIL CORPORATION    COMMON STOCK    35914P105      303      6850  SHARES         X                 3      6850     0       0
FROZEN FOOD EXPRESS
 INDUSTRIES INC             COMMON STOCK    359360104       10      1000  SHARES                     X     1      1000     0       0
FULTON FINANCIAL CORP       COMMON STOCK    360271100     2517    149999  SHARES               X           1    149999     0       0
FULTON FINANCIAL CORP       COMMON STOCK    360271100     3047    181558  SHARES                     X     1    137882     0   43676
GATX CORP                   COMMON STOCK    361448103       14       350  SHARES                     X     1         0     0     350
GALLAGHER ARTHUR J. & CO    COMMON STOCK    363576109       56      1940  SHARES               X           1      1940     0       0
GALLAGHER ARTHUR J. & CO    COMMON STOCK    363576109        6       200  SHARES                     X     1       200     0       0
GAMESTOP CORP               COMMON STOCK    36466R101      192      6095  SHARES               X           1      6095     0       0
GAMESTOP CORP               COMMON STOCK    36466R101      636     20200  SHARES         X                 3     20200     0       0
GANNETT CO INC              COMMON STOCK    364730101     1077     15648  SHARES               X           1     15648     0       0
GANNETT CO INC              COMMON STOCK    364730101     1295     18821  SHARES                     X     1     18621     0     200
GAP INC COM                 COMMON STOCK    364760108     1026     58837  SHARES               X           1     58837     0       0
GAP INC COM                 COMMON STOCK    364760108      373     21400  SHARES                     X     1     21000     0     400
GASCO ENERGY INC            COMMON STOCK    367220100       38      5700  SHARES               X           1      5700     0       0
GEAC COMPUTER CORPORATION
 LIMITED                    COMMON STOCK    368289104        5       500  SHARES                     X     1       500     0       0
GENELABS TECHNOLOGIES INC   COMMON STOCK    368706107        4      6300  SHARES               X           1      6300     0       0
GENENTECH INC COM NEW       COMMON STOCK    368710406     3199     37990  SHARES               X           1     37990     0       0
GENENTECH INC COM NEW       COMMON STOCK    368710406      356      4230  SHARES                     X     1      4230     0       0
GENERAL DYNAMICS CORP COM   COMMON STOCK    369550108     3706     31003  SHARES               X           1     31003     0       0
GENERAL DYNAMICS CORP COM   COMMON STOCK    369550108      935      7817  SHARES                     X     1      7817     0       0
GENERAL ELECTRIC COMPANY    COMMON STOCK    369604103    78933   2344306  SHARES               X           1   2304868     0   39438
GENERAL ELECTRIC COMPANY    COMMON STOCK    369604103    76140   2261365  SHARES                     X     1   2110843     0  150522
GENERAL MILLS INC           COMMON STOCK    370334104     7313    151729  SHARES               X           1    148914     0    2815
GENERAL MILLS INC           COMMON STOCK    370334104     1814     37632  SHARES                     X     1     36782     0     850
GENERAL MOTORS CORP COM     COMMON STOCK    370442105      342     11168  SHARES               X           1     10768     0     400
GENERAL MOTORS CORP COM     COMMON STOCK    370442105     2704     88333  SHARES                     X     1     85965     0    2368
GENESIS MICROCHIP INC       COMMON STOCK    37184C103       50      2300  SHARES               X           1      2300     0       0
GENESIS MICROCHIP           COMMON STOCK    37184C103      834     38000  SHARES         X                 3     38000     0       0
GENUINE PARTS INC           COMMON STOCK    372460105      461     10755  SHARES               X           1     10755     0       0
GENUINE PARTS INC           COMMON STOCK    372460105      139      3250  SHARES                     X     1      3250     0       0
GENWORTH FINANCIAL          COMMON STOCK A  37247D106     1699     52700  SHARES         X                 3     52700     0       0
GENZYME CORP COM            COMMON STOCK    372917104      144      2016  SHARES               X           1      2016     0       0
GENZYME CORP COM            COMMON STOCK    372917104        4        50  SHARES                     X     1        50     0       0
GEORGIA PAC CORP COM        COMMON STOCK    373298108       14       400  SHARES               X           1       400     0       0
GEORGIA PAC CORP COM        COMMON STOCK    373298108       86      2535  SHARES                     X     1       527     0    2008
GERBER SCIENTIFIC INC       COMMON STOCK    373730100       24      3000  SHARES               X           1      3000     0       0
GERON CORP                  COMMON STOCK    374163103        5       500  SHARES                     X     1         0     0     500
GETTY IMAGES INC COM        COMMON STOCK    374276103       11       125  SHARES               X           1       125     0       0
GETTY REALTY CORPORATION    COMMON STOCK    374297109        9       300  SHARES               X           1       300     0       0
GILEAD SCIENCES INC COM     COMMON STOCK    375558103     2018     41393  SHARES               X           1     41153     0     240
GILEAD SCIENCES INC COM     COMMON STOCK    375558103      100      2050  SHARES                     X     1      2050     0       0
GILLETTE CO                 COMMON STOCK    375766102     6563    112772  SHARES               X           1    111527     0    1245
GILLETTE CO                 COMMON STOCK    375766102     6373    109500  SHARES                     X     1    102234     0    7266
GLACIER BANCORP INC         COMMON STOCK    37637Q105      140      4551  SHARES         X                 3      4551     0       0
GLADSTONE CAPITAL CORP      COMMON STOCK    376535100      113      5000  SHARES               X           1      5000     0       0
GLADSTONE CAPITAL CORP      COMMON STOCK    376535100       68      3000  SHARES               X           2      3000     0       0
GLADSTONE COMMERCIAL CORP   COMMON STOCK    376536108       67      4000  SHARES               X           1      4000     0       0
GLADSTONE COMMERCIAL CORP   COMMON STOCK    376536108       84      5000  SHARES               X           2      5000     0       0
GLATFELTER                  COMMON STOCK    377316104      756     53620  SHARES               X           1     53620     0       0


                                    31 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
GLOBAL INDUSTRIES LTD       COMMON STOCK    379336100      164     11100  SHARES               X           1     11100     0       0
GMX RESOURCES INC           COMMON STOCK    38011M108       32      1200  SHARES               X           1      1200     0       0
GMX RESOURCES INC           COMMON STOCK    38011M108       69      2600  SHARES         X                 3      2600     0       0
GOLDMAN SACHS GROUP INC COM COMMON STOCK    38141G104      229      1883  SHARES               X           1      1883     0       0
GOLDMAN SACHS GROUP INC COM COMMON STOCK    38141G104       46       375  SHARES                     X     1       300     0      75
GOLDMAN SACHS GROUP         COMMON STOCK    38141G104      486      4000  SHARES         X                 3      4000     0       0
GOODRICH CORP               COMMON STOCK    382388106        4       100  SHARES               X           1       100     0       0
GOODRICH CORP               COMMON STOCK    382388106      248      5600  SHARES                     X     1      4000     0    1600
GOODYEAR TIRE & RUBR CO     COMMON STOCK    382550101        1        50  SHARES               X           1        50     0       0
GOODYEAR TIRE & RUBR CO     COMMON STOCK    382550101       32      2050  SHARES                     X     1      2050     0       0
GOOGLE INC CL A             COMMON STOCK    38259P508       82       260  SHARES               X           1       260     0       0
GOOGLE INC CL A             COMMON STOCK    38259P508       16        50  SHARES                     X     1        50     0       0
W R GRACE & CO              COMMON STOCK    38388F108        9      1000  SHARES                     X     1      1000     0       0
GRACO INC COM               COMMON STOCK    384109104      758     22102  SHARES               X           1     22102     0       0
W W GRAINGER INC COM        COMMON STOCK    384802104      328      5220  SHARES               X           1      5220     0       0
W W GRAINGER INC COM        COMMON STOCK    384802104      145      2300  SHARES                     X     1      2300     0       0
GRANT PRIDECO INC COM       COMMON STOCK    38821G101      204      5030  SHARES               X           1      5030     0       0
GRANT PRIDECO INC           COMMON STOCK    38821G101      735     18100  SHARES         X                 3     18100     0       0
GREAT AMERN FINL RES INC
 COM                        COMMON STOCK    389915109        2       100  SHARES                     X     1         0     0     100
GREAT PLAINS ENERGY INC     COMMON STOCK    391164100       17       570  SHARES               X           1       570     0       0
GREAT PLAINS ENERGY INC     COMMON STOCK    391164100       25       850  SHARES                     X     1       850     0       0
GREEN MOUNTAIN POWER CORP   COMMON STOCK    393154109       33      1000  SHARES               X           1      1000     0       0
GREENBRIER COMPANIES INC    COMMON STOCK    393657101       70      2100  SHARES               X           1      2100     0       0
GREY WOLF INC               COMMON STOCK    397888108      115     13600  SHARES               X           1     13600     0       0
GUIDANT CORP COM            COMMON STOCK    401698105     1356     19681  SHARES               X           1     19681     0       0
GUIDANT CORP COM            COMMON STOCK    401698105      347      5032  SHARES                     X     1      5032     0       0
HCA INC COM                 COMMON STOCK    404119109      105      2182  SHARES               X           1       982     0    1200
HCA INC COM                 COMMON STOCK    404119109       94      1966  SHARES                     X     1      1216     0     750
HRPT PROPERTIES TRUST
 (REIT)                     COMMON STOCK    40426W101       15      1200  SHARES                     X     1      1200     0       0
HRPT PROPERTIES TR          COM SH BEN INT  40426W101     1309    105500  SHARES         X                 3    105500     0       0
HALLIBURTON HLDG CO COM     COMMON STOCK    406216101      469      6844  SHARES               X           1      6844     0       0
HALLIBURTON HLDG CO COM     COMMON STOCK    406216101      432      6300  SHARES                     X     1      2500     0    3800
HALOZYME THERAPEUTICS INC   COMMON STOCK    40637H109       72     34000  SHARES               X           1     34000     0       0
HALOZYME THERAPEUTICS INC   COMMON STOCK    40637H109      163     76500  SHARES         X                 3     76500     0       0
HARLEY DAVIDSON INC         COMMON STOCK    412822108     1040     21463  SHARES               X           1     21463     0       0
HARLEY DAVIDSON INC         COMMON STOCK    412822108      275      5679  SHARES                     X     1      2479     0    3200
HARLEYSVILLE NATL CORP COM  COMMON STOCK    412850109       29      1339  SHARES               X           1      1339     0       0
HARMAN INTERNATIONAL
 INDUSTRIES                 COMMON STOCK    413086109      511      4995  SHARES               X           1      4995     0       0
HARRAHS ENTERTAINMENT INC   COMMON STOCK    413619107        2        25  SHARES               X           1        25     0       0
HARRIS CORP                 COMMON STOCK    413875105     3983     95294  SHARES               X           1     93032     0    2262
HARRIS CORP                 COMMON STOCK    413875105       40       965  SHARES                     X     1       965     0       0
HARSCO CORP                 COMMON STOCK    415864107    12675    193300  SHARES               X           1    159943     0   33357
HARSCO CORP                 COMMON STOCK    415864107     5440     82958  SHARES                     X     1     82958     0       0
HARTFORD FINANCIAL SVCS GRP
 INC COM                    COMMON STOCK    416515104     1911     24769  SHARES               X           1     23334     0    1435
HARTFORD FINANCIAL SVCS GRP
INC COM                     COMMON STOCK    416515104     1270     16460  SHARES                     X     1     13105     0    3355
HASBRO INC                  COMMON STOCK    418056107        4       215  SHARES               X           1       215     0       0
HASBRO INC                  COMMON STOCK    418056107        3       170  SHARES                     X     1       170     0       0
HAWAIIAN ELEC IND INC       COMMON STOCK    419870100        4       140  SHARES               X           1       140     0       0
HEALTH CARE PROPERTY (REIT) COMMON STOCK    421915109       66      2458  SHARES               X           1      2458     0       0
HEALTH MANAGEMENT-CLASS A   COMMON STOCK    421933102     1318     56170  SHARES               X           1     52720     0    3450
HEALTH MANAGEMENT-CLASS A   COMMON STOCK    421933102      533     22698  SHARES                     X     1     20498     0    2200
HEALTHCARE REALTY TRUST INC
 (REIT)                     COMMON STOCK    421946104       85      2130  SHARES               X           1      2130     0       0
HEALTHCARE REALTY TRUST INC
 (REIT)                     COMMON STOCK    421946104        8       200  SHARES                     X     1       200     0       0


                                    32 of 64






                                                                          SEC USE __________________________________________________
------------------------------------------------------------------------------------------------------------------------------------
        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
HEALTH CARE REIT INC        COMMON STOCK    42217K106       37      1000  SHARES                     X     1      1000     0       0
HEALTH NET INC COM          COMMON STOCK    42222G108       28       600  SHARES                     X     1       600     0       0
HEINZ H J CO COM            COMMON STOCK    423074103     1452     39746  SHARES               X           1     39746     0       0
HEINZ H J CO COM            COMMON STOCK    423074103      947     25918  SHARES                     X     1     19168     0    6750
HERCULES INC                COMMON STOCK    427056106       31      2500  SHARES               X           1      2500     0       0
HERCULES INC                COMMON STOCK    427056106       69      5655  SHARES                     X     1      5655     0       0
HERLEY INDUSTRIES INC       COMMON STOCK    427398102        3       180  SHARES               X           1       180     0       0
THE HERSHEY COMPANY         COMMON STOCK    427866108     3579     63560  SHARES               X           1     61010     0    2550
THE HERSHEY COMPANY         COMMON STOCK    427866108     2731     48504  SHARES                     X     1     36204     0   12300
HEWLETT PACKARD CO COM      COMMON STOCK    428236103     4040    138362  SHARES               X           1    138362     0       0
HEWLETT PACKARD CO COM      COMMON STOCK    428236103     2559     87632  SHARES                     X     1     81632     0    6000
HIGHWOODS PROPERTIES (REIT) COMMON STOCK    431284108       15       500  SHARES                     X     1       500     0       0
HILLENBRAND INDS INC COM    COMMON STOCK    431573104        5       110  SHARES               X           1       110     0       0
HOLOGIC INC COM             COMMON STOCK    436440101       23       400  SHARES                     X     1         0     0     400
HOME DEPOT INC COM          COMMON STOCK    437076102    16673    437160  SHARES               X           1    431855     0    5305
HOME DEPOT INC COM          COMMON STOCK    437076102     5755    150896  SHARES                     X     1    139060     0   11836
HOME PROPERTIES INC (REIT)  COMMON STOCK    437306103      154      3925  SHARES               X           1      3925     0       0
HOME PROPERTIES INC (REIT)  COMMON STOCK    437306103      384      9788  SHARES                     X     1      8288     0    1500
HONEYWELL INTL INC COM      COMMON STOCK    438516106     1130     30135  SHARES               X           1     30135     0       0
HONEYWELL INTL INC COM      COMMON STOCK    438516106     2212     58992  SHARES                     X     1     58992     0       0
HOSPIRA INC                 COMMON STOCK    441060100      299      7307  SHARES               X           1      7307     0       0
HOSPIRA INC                 COMMON STOCK    441060100      214      5224  SHARES                     X     1      4854     0     370
HOSPITALITY PROPERTIES
 TRUST (REIT)               COMMON STOCK    44106M102        9       200  SHARES               X           1       200     0       0
HOSPITALITY PROPERTIES
 TRUST (REIT)               COMMON STOCK    44106M102       13       300  SHARES                     X     1       300     0       0
HOST MARRIOTT CORP NEW COM  COMMON STOCK    44107P104        2       117  SHARES               X           1       117     0       0
HOUSTON EXPLORATION COMPANY COMMON STOCK    442120101      114      1700  SHARES               X           1      1700     0       0
HOVNANIAN ENTERPRISES-A     COMMON STOCK    442487203       12       225  SHARES               X           1       225     0       0
HUBBELL INC CL B            COMMON STOCK    443510201        8       170  SHARES               X           1       170     0       0
HUMANA INC COM              COMMON STOCK    444859102       10       200  SHARES               X           1       200     0       0
HUMAN GENOME SCIENCES INC   COMMON STOCK    444903108       84      6200  SHARES                     X     1      6200     0       0
HUMMINGBIRD LTD             COMMON STOCK    44544R101       11       500  SHARES                     X     1         0     0     500
HUNTINGTON BANCSHARES INC
 COM                        COMMON STOCK    446150104       19       860  SHARES               X           1       860     0       0
HUNTINGTON BANCSHARES INC
 COM                        COMMON STOCK    446150104        4       161  SHARES                     X     1       161     0       0
HUTCHINSON TECHNOLOGY INC   COMMON STOCK    448407106        7       250  SHARES               X           1       250     0       0
HUTTIG BLDG PRODS INC       COMMON STOCK    448451104        5       585  SHARES               X           1       585     0       0
HUTTIG BLDG PRODS INC       COMMON STOCK    448451104       21      2277  SHARES                     X     1      2277     0       0
HYPERION SOLUTIONS CORP COM COMMON STOCK    44914M104       36       750  SHARES               X           1       750     0       0
IAC/INTERACTIVE CORP        COMMON STOCK    44919P300       89      3500  SHARES                     X     1      3500     0       0
IDX SYS CORP COM            COMMON STOCK    449491109       17       400  SHARES               X           1       400     0       0
IMS HEALTH INC COM          COMMON STOCK    449934108      125      4950  SHARES               X           1      4950     0       0
IMS HEALTH INC COM          COMMON STOCK    449934108       87      3462  SHARES                     X     1      3462     0       0
ISTAR                       COMMON STOCK    45031U101     1269     31395  SHARES         X                 2     31395     0       0
ISTA PHARMACEUTICALS        COMMON STOCK    45031X204      199     30000  SHARES         X                 3     30000     0       0
ITT INDUSTRIES INC          COMMON STOCK    450911102      134      1180  SHARES               X           1      1100     0      80
ITT INDUSTRIES INC          COMMON STOCK    450911102      257      2264  SHARES                     X     1      1464     0     800
IDACORP INC                 COMMON STOCK    451107106       46      1542  SHARES                     X     1       300     0    1242
IDEX CORP COM               COMMON STOCK    45167R104        9       200  SHARES               X           1       200     0       0
ILLINOIS TOOL WKS INC COM   COMMON STOCK    452308109     1301     15798  SHARES               X           1     15798     0       0
ILLINOIS TOOL WKS INC COM   COMMON STOCK    452308109      451      5475  SHARES                     X     1      5475     0       0
IMATION CORPORATION COM     COMMON STOCK    45245A107       26       601  SHARES               X           1       601     0       0
IMCLONE SYS INC COM         COMMON STOCK    45245W109        2        50  SHARES               X           1        50     0       0
IMAGISTICS INTL INC         COMMON STOCK    45247T104       19       460  SHARES               X           1       460     0       0
IMAGISTICS INTL INC         COMMON STOCK    45247T104       17       416  SHARES                     X     1         0     0     416


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                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
IMPAC MORTGAGE HOLDINGS
 INC(REIT)                  COMMON STOCK    45254P102        2       200  SHARES                     X     1       200     0       0
IMPLANT SCIENCES CORP       COMMON STOCK    45320R108        8      1500  SHARES               X           1      1500     0       0
INERGY LP                   COMMON STOCK    456615103       28      1000  SHARES                     X     1      1000     0       0
INFRASOURCE SERVICES INC    COMMON STOCK    45684P102       15      1000  SHARES               X           1      1000     0       0
INGRAM MICRO INC CL A       COMMON STOCK    457153104        4       200  SHARES                     X     1       200     0       0
INTEGRA LIFESCIENCES
 HOLDING                    COMMON STOCK    457985208       15       400  SHARES               X           1       400     0       0
INTERGRATED DEVICE TECH INC COMMON STOCK    458118106        5       500  SHARES               X           1       500     0       0
INTEL CORP COM              COMMON STOCK    458140100    23875    968578  SHARES               X           1    954819     0   13759
INTEL CORP COM              COMMON STOCK    458140100     7622    309203  SHARES                     X     1    271315     0   37888
INTERDIGITAL COMM CORP      COMMON STOCK    45866A105       10       500  SHARES                     X     1       500     0       0
INTERNATIONAL BUSINESS
 MACHINES CORP              COMMON STOCK    459200101    33855    422024  SHARES               X           1    414485     0    7539
INTERNATIONAL BUSINESS
 MACHINES CORP              COMMON STOCK    459200101    14215    177202  SHARES                     X     1    158665     0   18537
INTL FLAVORS & FRAGRANCES
 INC COM                    COMMON STOCK    459506101       25       700  SHARES               X           1       700     0       0
INTERNATIONAL GAME TECH COM COMMON STOCK    459902102        7       248  SHARES               X           1       248     0       0
INTERNATIONAL PAPER CO COM  COMMON STOCK    460146103     1423     47748  SHARES               X           1     46148     0    1600
INTERNATIONAL PAPER CO COM  COMMON STOCK    460146103      421     14138  SHARES                     X     1      8552     0    5586
INTERNATIONAL RECTIFIER
 CORP                       COMMON STOCK    460254105     6954    154248  SHARES               X           1    150419     0    3829
INTERNATIONAL RECTIFIER
 CORP                       COMMON STOCK    460254105      972     21561  SHARES                     X     1     18511     0    3050
INTERNATIONAL SPEEDWAY CORP
 CL A                       COMMON STOCK    460335201       13       245  SHARES               X           1       245     0       0
INTERPUBLIC GROUP COS INC
 COM                        COMMON STOCK    460690100        2       174  SHARES               X           1       174     0       0
INTERSIL CORP CL A          COMMON STOCK    46069S109       66      3050  SHARES               X           1      3050     0       0
INTERSIL CORP CL A          COMMON STOCK    46069S109       46      2100  SHARES         X                 3      2100     0       0
INTERVOICE INC              COMMON STOCK    461142101       25      2800  SHARES               X           1      2800     0       0
INTRALASE CORP              COMMON STOCK    461169104        1        50  SHARES               X           1        50     0       0
INTUIT INC COM              COMMON STOCK    461202103       13       300  SHARES                     X     1       300     0       0
INVITROGEN CORP COM         COMMON STOCK    46185R100       30       400  SHARES                     X     1         0     0     400
IOWA TELECOMMUNICATIONS
 SERVICES                   COMMON STOCK    462594201       42      2500  SHARES                     X     1      2500     0       0
IPAYMENT INC                COMMON STOCK    46262E113      431     11400  SHARES         X                 3     11400     0       0
ISHARES MSCI JAPAN INDEX FD COMMON STOCK    464286848       30      2500  SHARES               X           1      2500     0       0
ISHARES MSCI JAPAN INDEX FD COMMON STOCK    464286848      160     13100  SHARES                     X     1     13100     0       0
ISHARES S&P 500 BARRA VALUE
 INDEX FD                   COMMON STOCK    464287408       96      1500  SHARES               X           1      1500     0       0
ISHARES LEHMAN 7-10 YRS
 TREAS                      COMMON STOCK    464287440        8        95  SHARES                     X     1         0     0      95
ISIS PHARMACEUTICALS COM    COMMON STOCK    464330109        2       350  SHARES               X           1       350     0       0
IVAX CORP                   COMMON STOCK    465823102       12       468  SHARES               X           1       468     0       0
JDS UNIPHASE CORP COM       COMMON STOCK    46612J101        5      2061  SHARES               X           1      2061     0       0
JDS UNIPHASE CORP COM       COMMON STOCK    46612J101        0        50  SHARES                     X     1        50     0       0
JDS UNIPHASE CORPORATION    COMMON STOCK    46612J101       56     25150  SHARES         X                 2     25150     0       0
JDS UNIPHASE CORP           COMMON STOCK    46612J101       38     16900  SHARES         X                 3     16900     0       0
JLG INDUSTRIES INC          COMMON STOCK    466210101       33       900  SHARES               X           1       900     0       0
JMAR TECHNOLOGIES INC       COMMON STOCK    466212107        1      1000  SHARES               X           1      1000     0       0
JPMORGAN CHASE & CO         COMMON STOCK    46625H100     8873    261500  SHARES               X           1    259550     0    1950
JPMORGAN CHASE & CO         COMMON STOCK    46625H100       46      1350  SHARES               X           3      1350     0       0
JPMORGAN CHASE & CO         COMMON STOCK    46625H100     6326    186434  SHARES                     X     1    173068     0   13366
JP MORGAN CHASE & COMPANY   COMMON STOCK    46625H100     2714     79994  SHARES         X                 2     79994     0       0
JPMORGAN CHASE & CO         COMMON STOCK    46625H100     3780    111388  SHARES         X                 3    109095     0    2293
JABIL CIRCUIT INC           COMMON STOCK    466313103     1442     46623  SHARES               X           1     46433     0     190
JABIL CIRCUIT INC           COMMON STOCK    466313103      371     12000  SHARES                     X     1     11400     0     600
JACOBS ENGINEERING GROUP
 INC COM                    COMMON STOCK    469814107       30       450  SHARES                     X     1       450     0       0
JAMDAT MOBILE INC           COMMON STOCK    47023T100      439     20900  SHARES         X                 3     20900     0       0
JAMES RIVER COAL COMPANY    COMMON STOCK    470355207      136      2700  SHARES               X           1      2700     0       0
JANUS CAPITAL GROUP INC     COMMON STOCK    47102X105      618     42800  SHARES                     X     1     42800     0       0
JANUS CAPITAL GROUP         COMMON STOCK    47102X105       35      2400  SHARES         X                 3      2400     0       0
JEFFERSON PILOT CORP COM    COMMON STOCK    475070108      306      5978  SHARES               X           1      3130     0    2848


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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
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JEFFERSON PILOT CORP COM    COMMON STOCK    475070108      191      3735  SHARES                     X     1      3735     0       0
JOHNSON & JOHNSON COM       COMMON STOCK    478160104    33030    521968  SHARES               X           1    517378     0    4590
JOHNSON & JOHNSON COM       COMMON STOCK    478160104    33644    531664  SHARES                     X     1    515727     0   15937
JOHNSON CONTROLS INC COM    COMMON STOCK    478366107      517      8340  SHARES               X           1      8340     0       0
JOHNSON CONTROLS INC COM    COMMON STOCK    478366107      220      3540  SHARES                     X     1      2740     0     800
JONES APPAREL GROUP INC COM COMMON STOCK    480074103      142      4970  SHARES                     X     1      4970     0       0
JOS A BANK CLOTHIERS INC    COMMON STOCK    480838101       43      1000  SHARES               X           1      1000     0       0
JOY GLOBAL INCORPORATED     COMMON STOCK    481165108       10       200  SHARES               X           1       200     0       0
JOY GLOBAL INCORPORATED     COMMON STOCK    481165108        5       100  SHARES                     X     1       100     0       0
JUPITERMEDIA CORP           COMMON STOCK    48207D101      710     40100  SHARES         X                 3     40100     0       0
KLA TENCOR CORP COM         COMMON STOCK    482480100        5       100  SHARES               X           1       100     0       0
KADANT INC COM              COMMON STOCK    48282T104        0         9  SHARES               X           1         9     0       0
KANSAS LIFE INS CO COM      COMMON STOCK    484836101       90      1750  SHARES               X           1      1750     0       0
KB HOME COM                 COMMON STOCK    48666K109      114      1562  SHARES               X           1      1562     0       0
KB HOME                     COMMON STOCK    48666K109       54       740  SHARES         X                 3       740     0       0
KELLOGG CO COM              COMMON STOCK    487836108     1293     28026  SHARES               X           1     28026     0       0
KELLOGG CO COM              COMMON STOCK    487836108      978     21197  SHARES                     X     1     19600     0    1597
KENNAMETAL INC              COMMON STOCK    489170100        5       100  SHARES                     X     1       100     0       0
KERR MCGEE CORP             COMMON STOCK    492386107      279      2869  SHARES               X           1      2069     0     800
KERR MCGEE CORP             COMMON STOCK    492386107       54       552  SHARES                     X     1       552     0       0
KEYCORP NEW COM             COMMON STOCK    493267108      657     20362  SHARES               X           1     20362     0       0
KEYCORP NEW COM             COMMON STOCK    493267108      260      8047  SHARES                     X     1      8047     0       0
KEYSPAN CORP COM            COMMON STOCK    49337W100      150      4084  SHARES               X           1      3984     0     100
KEYSPAN CORP COM            COMMON STOCK    49337W100      132      3598  SHARES                     X     1      3598     0       0
KEYSPAN CORPORATION         COMMON STOCK    49337W100       63      1700  SHARES         X                 3      1700     0       0
KIMBERLY CLARK CORP         COMMON STOCK    494368103     6845    114989  SHARES               X           1    114739     0     250
KIMBERLY CLARK CORP         COMMON STOCK    494368103     4146     69652  SHARES                     X     1     62927     0    6725
KIMCO REALTY CORP (REIT)    COMMON STOCK    49446R109       20       622  SHARES                     X     1       622     0       0
KINDER MORGAN ENERGY
 PARTNERS LP                COMMON STOCK    494550106      200      3780  SHARES               X           1      3780     0       0
KINDER MORGAN INC COM       COMMON STOCK    49455P101       14       150  SHARES               X           1       150     0       0
KINDER MORGAN INC COM       COMMON STOCK    49455P101      135      1400  SHARES                     X     1      1400     0       0
KINDER MORGAN INC COM       COMMON STOCK    49455P101      106      1100  SHARES         X                 3      1100     0       0
KINETIC CONCEPTS INC        COMMON STOCK    49460W208     4947     87103  SHARES               X           1     84600     0    2503
KINETIC CONCEPTS INC        COMMON STOCK    49460W208      227      4000  SHARES                     X     1      1290     0    2710
KINETIC CONCEPTS            COMMON STOCK    49460W208     9015    158375  SHARES         X                 3    155305     0    3070
KING PHARMACEUTICALS INC
 COM                        COMMON STOCK    495582108       18      1200  SHARES               X           1      1200     0       0
KNIGHT RIDDER INC           COMMON STOCK    499040103       28       470  SHARES               X           1       470     0       0
KOHLS CORP COM              COMMON STOCK    500255104      327      6520  SHARES               X           1      6520     0       0
KOHLS CORP COM              COMMON STOCK    500255104      122      2440  SHARES                     X     1      2440     0       0
KORN/FERRY INTL             COMMON STOCK    500643200      355     21690  SHARES               X           1     21690     0       0
KOSAN BIOSCIENCS INC        COMMON STOCK    50064W107      238     32700  SHARES         X                 3     32700     0       0
KRAFT FOODS INC CL A        COMMON STOCK    50075N104     1496     48889  SHARES               X           1     45924     0    2965
KRAFT FOODS INC CL A        COMMON STOCK    50075N104       21       700  SHARES               X           3       700     0       0
KRAFT FOODS INC CL A        COMMON STOCK    50075N104      278      9100  SHARES                     X     1      8600     0     500
KRAFT FOODS INC CL A        COMMON STOCK    50075N104      896     29305  SHARES         X                 3     23505     0    5800
KROGER CO                   COMMON STOCK    501044101      608     29540  SHARES               X           1     29540     0       0
KROGER CO                   COMMON STOCK    501044101       81      3950  SHARES                     X     1      3450     0     500
LABORATORY CORPORATION OF
 AMER HLDGS                 COMMON STOCK    50540R409     2223     45640  SHARES         X                 2     45640     0       0
LABORATORY CORP AMER        COMMON STOCK    50540R409       68      1400  SHARES         X                 3      1400     0       0
LAM RESH CORP               COMMON STOCK    512807108      188      6180  SHARES               X           1      6180     0       0
LANDRYS RESTAURANTS         COMMON STOCK    51508L103      788     26900  SHARES         X                 3     26900     0       0
LARGE SCALE BIOLOGY CORP
 COM                        COMMON STOCK    517053104        2      2000  SHARES               X           1      2000     0       0
LASALLE HOTEL PROP REIT     COMMON STOCK    517942108        3       100  SHARES               X           1       100     0       0


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                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
LASERSCOPE                  COMMON STOCK    518081104       37      1300  SHARES               X           1      1300     0       0
LAUDER ESTEE CO CL A        COMMON STOCK    518439104     6241    179195  SHARES               X           1    172887     0    6308
LAUDER ESTEE CO CL A        COMMON STOCK    518439104      387     11100  SHARES                     X     1      7650     0    3450
LAUREATE EDUCATION INC      COMMON STOCK    518613104     4152     84796  SHARES               X           1     81801     0    2995
LAUREATE EDUCATION INC      COMMON STOCK    518613104      145      2965  SHARES                     X     1      1960     0    1005
LEAR CORP                   COMMON STOCK    521865105      403     11868  SHARES               X           1     11368     0     500
LEAR CORP                   COMMON STOCK    521865105      424     12494  SHARES                     X     1     11094     0    1400
LEESPORT FINANCIAL CORP     COMMON STOCK    524477106       66      2883  SHARES               X           1      2883     0       0
LEGG MASON INC              COMMON STOCK    524901105      791      7212  SHARES               X           1      7212     0       0
LEGG MASON INC              COMMON STOCK    524901105      118      1075  SHARES                     X     1      1075     0       0
LEHMAN BROTHERS HLDGS INC
 COM                        COMMON STOCK    524908100     6637     56979  SHARES               X           1     56181     0     798
LEHMAN BROTHERS HLDGS INC
 COM                        COMMON STOCK    524908100      788      6765  SHARES                     X     1      6465     0     300
LENNAR CORP CL A            COMMON STOCK    526057104       18       300  SHARES               X           1       300     0       0
LEVEL 3 COMMUNICATIONS INC  COMMON STOCK    52729N100       12      5000  SHARES               X           1      5000     0       0
LEVEL 3 COMMUNICATIONS
 INCORPORATED               COMMON STOCK    52729N100       81     35000  SHARES         X                 2     35000     0       0
LEXINGTON CORP PROPERTIES
 TR (REIT)                  COMMON STOCK    529043101       30      1257  SHARES                     X     1      1257     0       0
LEXMARK INTL INC CL A       COMMON STOCK    529771107       12       200  SHARES               X           1       200     0       0
LEXMARK INTL INC CL A       COMMON STOCK    529771107      128      2100  SHARES                     X     1      2100     0       0
LIBERTY GLOBAL INC - CL A   COMMON STOCK    530555101       67      2472  SHARES               X           1      2472     0       0
LIBERTY GLOBAL INC - CL A   COMMON STOCK    530555101       87      3200  SHARES                     X     1      3200     0       0
LIBERTY GLOBAL INC-CL B     COMMON STOCK    530555200       37      1300  SHARES                     X     1      1300     0       0
LIBERTY GLOBAL INC CL C     COMMON STOCK    530555309       64      2472  SHARES               X           1      2472     0       0
LIBERTY GLOBAL INC CL C     COMMON STOCK    530555309      116      4500  SHARES                     X     1      4500     0       0
LIBERTY MEDIA CORP CL A     COMMON STOCK    530718105      505     62753  SHARES               X           1     62753     0       0
LIBERTY MEDIA CORP CL A     COMMON STOCK    530718105      725     90000  SHARES                     X     1     90000     0       0
LIBERTY MEDIA CORP -B       COMMON STOCK    530718204      215     26000  SHARES                     X     1     26000     0       0
LIBERTY PROPERTY TRUST
 (REIT)                     COMMON STOCK    531172104        4       100  SHARES                     X     1       100     0       0
LIFEPOINT HOSPS INC COM     COMMON STOCK    53219L109       31       700  SHARES               X           1       700     0       0
LIFEPOINT HOSPITALS         COMMON STOCK    53219L109      687     15700  SHARES         X                 3     15700     0       0
LILLY ELI & CO              COMMON STOCK    532457108     5275     98570  SHARES               X           1     96609     0    1961
LILLY ELI & CO              COMMON STOCK    532457108     5813    108617  SHARES                     X     1    107272     0    1345
LIMITED BRANDS, INC COM     COMMON STOCK    532716107        8       400  SHARES               X           1       400     0       0
LIMITED BRANDS, INC COM     COMMON STOCK    532716107        4       200  SHARES                     X     1       200     0       0
LINCOLN NATL CORP           COMMON STOCK    534187109     3189     61307  SHARES               X           1     60007     0    1300
LINCOLN NATL CORP           COMMON STOCK    534187109      965     18560  SHARES                     X     1     17960     0     600
LINEAR TECHNOLOGY CORP COM  COMMON STOCK    535678106       47      1248  SHARES               X           1      1248     0       0
LINEAR TECHNOLOGY CORP COM  COMMON STOCK    535678106       30       800  SHARES                     X     1         0     0     800
LIZ CLAIBORNE INC           COMMON STOCK    539320101       17       420  SHARES               X           1       420     0       0
LIZ CLAIBORNE INC           COMMON STOCK    539320101      118      2994  SHARES                     X     1      2994     0       0
LOCKHEED MARTIN CORPORATION
 COM                        COMMON STOCK    539830109     9479    155290  SHARES               X           1    152965     0    2325
LOCKHEED MARTIN CORPORATION
 COM                        COMMON STOCK    539830109     1539     25207  SHARES                     X     1     22932     0    2275
LOEWS CORP COM              COMMON STOCK    540424108      120      1300  SHARES               X           1      1300     0       0
LOEWS CORP COM              COMMON STOCK    540424108       18       200  SHARES                     X     1         0     0     200
LOUISIANA PAC CORP          COMMON STOCK    546347105       55      2004  SHARES                     X     1         0     0    2004
LOWES COS INC COM           COMMON STOCK    548661107     2975     46201  SHARES               X           1     45161     0    1040
LOWES COS INC COM           COMMON STOCK    548661107      483      7500  SHARES                     X     1      6900     0     600
LUBRIZOL CORP               COMMON STOCK    549271104      199      4600  SHARES               X           1      4600     0       0
LUBRIZOL CORP               COMMON STOCK    549271104      738     17032  SHARES                     X     1     17032     0       0
LUCENT TECHNOLOGIES INC COM COMMON STOCK    549463107      266     81870  SHARES               X           1     81870     0       0
LUCENT TECHNOLOGIES INC COM COMMON STOCK    549463107      158     48737  SHARES                     X     1     48025     0     712
LYONDELL CHEMICAL COMPANY
 COM                        COMMON STOCK    552078107       16       575  SHARES               X           1       575     0       0
M & T BANK CORP COM         COMMON STOCK    55261F104    65287    617609  SHARES               X           1    617359     0     250
M & T BANK CORP COM         COMMON STOCK    55261F104    20023    189419  SHARES                     X     1     34916     0  154503


                                    36 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
M & T BK CORP               COMMON STOCK    55261F104       95       900  SHARES         X                 3       900     0       0
MAF BANCORP INC COM         COMMON STOCK    55261R108       75      1821  SHARES               X           1      1821     0       0
MAF BANCORP INC             COMMON STOCK    55261R108     1221     29800  SHARES         X                 3     29800     0       0
MBIA INC                    COMMON STOCK    55262C100       76      1250  SHARES         X                 3      1250     0       0
MBNA CORPORATION COM        COMMON STOCK    55262L100      789     32006  SHARES               X           1     32006     0       0
MBNA CORPORATION COM        COMMON STOCK    55262L100      773     31360  SHARES                     X     1     31360     0       0
MBNA CORP                   COMMON STOCK    55262L100      273     11095  SHARES         X                 3     11095     0       0
MGE ENERGY INC              COMMON STOCK    55277P104        2        52  SHARES               X           1        52     0       0
MGI PHARMA INC COM          COMMON STOCK    552880106       60      2600  SHARES               X           1      2600     0       0
MGM MIRAGE                  COMMON STOCK    552953101       24       550  SHARES               X           1       550     0       0
M/I HOMES INC               COMMON STOCK    55305B101      130      2400  SHARES         X                 3      2400     0       0
ML MACADAMIA ORCHARDS       COMMON STOCK    55307U107        1       100  SHARES                     X     1       100     0       0
MTC TECHNOLOGIES INC        COMMON STOCK    55377A106      329     10300  SHARES         X                 3     10300     0       0
MAGNA ENTERTAINMENT CORP
 CL A                       COMMON STOCK    559211107        1       200  SHARES               X           1       200     0       0
MANITOWOC CO INC COM        COMMON STOCK    563571108        5       100  SHARES               X           1       100     0       0
MANOR CARE INC COM          COMMON STOCK    564055101      192      5000  SHARES                     X     1      5000     0       0
MANPOWER INC WIS            COMMON STOCK    56418H100       67      1500  SHARES               X           1      1500     0       0
MARATHON OIL CORP           COMMON STOCK    565849106      947     13735  SHARES               X           1     13735     0       0
MARATHON OIL CORP           COMMON STOCK    565849106      420      6097  SHARES                     X     1      5197     0     900
MARCHEX INC                 COMMON STOCK B  56624R108      893     53900  SHARES         X                 3     53900     0       0
MARKEL CORP COM             COMMON STOCK    570535104       33       100  SHARES               X           1       100     0       0
MARSH & MCLENNAN COS INC
 COM                        COMMON STOCK    571748102      107      3535  SHARES               X           1      3535     0       0
MARSH & MCLENNAN COS INC
 COM                        COMMON STOCK    571748102      438     14413  SHARES                     X     1     14413     0       0
MARSHALL & ILSLEY CORP      COMMON STOCK    571834100      423      9725  SHARES               X           1      9725     0       0
MARSHALL & ILSLEY CORP      COMMON STOCK    571834100      200      4600  SHARES                     X     1      4600     0       0
MARRIOTT INTL INC CL A      COMMON STOCK    571903202       86      1362  SHARES               X           1      1362     0       0
MARRIOTT INTL INC CL A      COMMON STOCK    571903202       13       200  SHARES                     X     1       200     0       0
MARTEK BIOSCIENCES CORP     COMMON STOCK    572901106       14       400  SHARES                     X     1       400     0       0
MARTHA STEWART LIVING-CL A  COMMON STOCK    573083102       39      1575  SHARES               X           1      1575     0       0
MASCO CORP                  COMMON STOCK    574599106     6377    207858  SHARES               X           1    203950     0    3908
MASCO CORP                  COMMON STOCK    574599106     1031     33594  SHARES                     X     1     33194     0     400
MASSEY ENERGY CO COM        COMMON STOCK    576206106      142      2773  SHARES               X           1      2773     0       0
MASSEY ENERGY CO COM        COMMON STOCK    576206106       77      1500  SHARES                     X     1      1500     0       0
MATRIA HEALTHCARE
 INCORPORATED               COMMON STOCK    576817209        6       150  SHARES               X           1       150     0       0
MATTEL INC                  COMMON STOCK    577081102      150      8975  SHARES               X           1      8975     0       0
MATTEL INC                  COMMON STOCK    577081102      467     28026  SHARES                     X     1     27129     0     897
MATTHEWS INTL CORP CL A     COMMON STOCK    577128101       11       300  SHARES               X           1       300     0       0
MAXIM INTEGRATED PRODS INC
 COM                        COMMON STOCK    57772K101       38       881  SHARES               X           1       881     0       0
MAXIM INTEGRATED PRO        COMMON STOCK    57772K101      136      3200  SHARES         X                 3      3200     0       0
MAYTAG CORPORATION          COMMON STOCK    578592107       39      2116  SHARES               X           1      2116     0       0
MCCORMICK & CO INC          COMMON STOCK    579780107        9       268  SHARES               X           1       268     0       0
MCCORMICK & CO-NON VTG SHS  COMMON STOCK    579780206     6843    209722  SHARES               X           1    204925     0    4797
MCCORMICK & CO-NON VTG SHS  COMMON STOCK    579780206      436     13350  SHARES                     X     1     11250     0    2100
MCDATA CORP                 COMMON STOCK    580031201        4       728  SHARES                     X     1       728     0       0
MCDERMOTT INTL INC          COMMON STOCK    580037109      150      4100  SHARES               X           1      4100     0       0
MCDERMOTT INTL INC          COMMON STOCK    580037109       11       300  SHARES                     X     1       300     0       0
MCDONALDS CORP COM          COMMON STOCK    580135101     1856     55418  SHARES               X           1     55418     0       0
MCDONALDS CORP COM          COMMON STOCK    580135101     1384     41331  SHARES                     X     1     34731     0    6600
MC GRAW HILL COMPANIES INC  COMMON STOCK    580645109      543     11300  SHARES               X           1     11300     0       0
MC GRAW HILL COMPANIES INC  COMMON STOCK    580645109     1484     30894  SHARES                     X     1     24810     0    6084
MCKESSON CORPORATION COM    COMMON STOCK    58155Q103       47      1000  SHARES               X           1      1000     0       0
MCKESSON CORPORATION COM    COMMON STOCK    58155Q103        7       150  SHARES                     X     1       150     0       0
MCKESSON CORP               COMMON STOCK    58155Q103      139      2931  SHARES         X                 3      2931     0       0


                                    37 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
MCMORAN EXPLORATION CO      COMMON STOCK    582411104        2       125  SHARES               X           1       125     0       0
MCMORAN EXPLORATION CO      COMMON STOCK    582411104        2       125  SHARES                     X     1       125     0       0
MEADWESTVACO CORP           COMMON STOCK    583334107       82      2960  SHARES               X           1      2960     0       0
MECHANICAL TECHNOLOGY INC
 COM                        COMMON STOCK    583538103        3       800  SHARES               X           1       800     0       0
MEDAREX INC                 COMMON STOCK    583916101       27      2800  SHARES               X           1      2800     0       0
MEDCO HEALTH SOLUTIONS INC  COMMON STOCK    58405U102      790     14415  SHARES               X           1     14415     0       0
MEDCO HEALTH SOLUTIONS INC  COMMON STOCK    58405U102     1733     31600  SHARES                     X     1     27503     0    4097
MEDCO HEALTH SOL            COMMON STOCK    58405U102      152      2768  SHARES         X                 3      2768     0       0
MEDTRONIC INC               COMMON STOCK    585055106    11736    218867  SHARES               X           1    213422     0    5445
MEDTRONIC INC               COMMON STOCK    585055106     2902     54128  SHARES                     X     1     48287     0    5841
MELLON FINANCIAL CORP       COMMON STOCK    58551A108     2179     68151  SHARES               X           1     68151     0       0
MELLON FINANCIAL CORP       COMMON STOCK    58551A108      105      3272  SHARES                     X     1      3272     0       0
MELLON FINANCIAL CORP       COMMON STOCK    58551A108      124      3895  SHARES         X                 3      3860     0      35
MERCANTILE BANK CORPORATION COMMON STOCK    587376104       12       288  SHARES               X           1       288     0       0
MERCANTILE BANKSHARES CORP  COMMON STOCK    587405101      926     17190  SHARES               X           1     17190     0       0
MERCANTILE BANKSHARES CORP  COMMON STOCK    587405101     3939     73112  SHARES                     X     1     67878     0    5234
MERCK & CO INC COM          COMMON STOCK    589331107     7826    287614  SHARES               X           1    283268     0    4346
MERCK & CO INC COM          COMMON STOCK    589331107     8758    321883  SHARES                     X     1    285482     0   36401
MERCURY INTERACTIVE CORP
 COM                        COMMON STOCK    589405109        8       200  SHARES               X           1       200     0       0
MERISTAR HOSPTLY CRP        COMMON STOCK    58984Y103      299     32800  SHARES         X                 3     32800     0       0
MERIDIAN GOLD INCORPORATED  COMMON STOCK    589975101        5       250  SHARES               X           1       250     0       0
MERITAGE HOMES CORP         COMMON STOCK    59001A102      498      6500  SHARES         X                 3      6500     0       0
MERRILL LYNCH & CO INC      COMMON STOCK    590188108     1965     32023  SHARES               X           1     31523     0     500
MERRILL LYNCH & CO INC      COMMON STOCK    590188108     1480     24119  SHARES                     X     1     22499     0    1620
MESA LABORATORIES INC COM   COMMON STOCK    59064R109       41      3250  SHARES               X           1      3250     0       0
MESABI TRUST                COMMON STOCK    590672101       86      4400  SHARES               X           1      4400     0       0
MET-PRO CORPORATION         COMMON STOCK    590876306        5       333  SHARES               X           1       333     0       0
METLIFE CAP TR I            COMMON STOCK    59156R108        5        91  SHARES               X           1        91     0       0
METLIFE CAP TR I            COMMON STOCK    59156R108       45       913  SHARES                     X     1       913     0       0
METLIFE INC                 COMMON STOCK    59156R108      320      6425  SHARES         X                 3      6425     0       0
MICHAELS STORES INC COM     COMMON STOCK    594087108      504     15230  SHARES               X           1     15230     0       0
MICROSOFT CORP              COMMON STOCK    594918104    25048    973481  SHARES               X           1    956474     0   17007
MICROSOFT CORP              COMMON STOCK    594918104     8747    339964  SHARES                     X     1    299425     0   40539
MICROCHIP TECHNOLOGY INC
 COM                        COMMON STOCK    595017104      272      9035  SHARES               X           1      9035     0       0
MICRON TECHNOLOGY INC COM   COMMON STOCK    595112103        5       400  SHARES               X           1       400     0       0
MICRON TECHNOLOGY INC COM   COMMON STOCK    595112103        5       400  SHARES                     X     1       400     0       0
MID PENN BANCORP
 INCORPORATED               COMMON STOCK    59540G107       27      1050  SHARES               X           1      1050     0       0
MIDCAP SPDR TRUST SERIES 1
 S&P 400                    COMMON STOCK    595635103     1910     14589  SHARES               X           1     14589     0       0
MIDCAP SPDR TRUST SERIES 1
 S&P 400                    COMMON STOCK    595635103      523      3994  SHARES                     X     1      3994     0       0
MIKOHN GAMING CORPORATION   COMMON STOCK    59862K108       60      4500  SHARES               X           1      4500     0       0
MIKOHN GAMING CORPORATION   COMMON STOCK    59862K108      126      9500  SHARES         X                 3      9500     0       0
MILACRON INC                COMMON STOCK    598709103        2      1017  SHARES               X           1      1017     0       0
HERMAN MILLER INC           COMMON STOCK    600544100       20       650  SHARES               X           1       650     0       0
MILLS CORP COM              COMMON STOCK    601148109      880     15975  SHARES               X           1     15975     0       0
MILLS CORP COM              COMMON STOCK    601148109      318      5775  SHARES                     X     1      5775     0       0
MINDSPEED TECHNOLOGIES INC  COMMON STOCK    602682106        0        66  SHARES               X           1        66     0       0
MINDSPEED TECHNOLOGIES INC  COMMON STOCK    602682106        2       800  SHARES                     X     1       800     0       0
MOHAWK INDUSTRIES INC COM   COMMON STOCK    608190104       56       700  SHARES               X           1       700     0       0
MOLEX INC                   COMMON STOCK    608554101      102      3812  SHARES               X           1      3812     0       0
MOLSON COORS BREWING
 COMPANY                    COMMON STOCK    60871R209       20       305  SHARES               X           1       305     0       0
MOLSON COORS BREWING
 COMPANY                    COMMON STOCK    60871R209       19       300  SHARES                     X     1       300     0       0
MOLSON COORS BREWING        COMMON STOCK A  60871R209       44       685  SHARES         X                 3       685     0       0
MONSANTO COMPANY            COMMON STOCK    61166W101      103      1647  SHARES               X           1      1647     0       0


                                    38 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
MONSANTO COMPANY            COMMON STOCK    61166W101      507      8078  SHARES                     X     1      6970     0    1108
MONSANTO CO                 COMMON STOCK    61166W101      141      2240  SHARES         X                 3      2240     0       0
MOODYS CORP                 COMMON STOCK    615369105      138      2700  SHARES               X           1      2700     0       0
MOODYS CORP                 COMMON STOCK    615369105      481      9410  SHARES                     X     1      9410     0       0
MORGAN STANLEY              COMMON STOCK    617446448     5682    105348  SHARES               X           1    103558     0    1790
MORGAN STANLEY              COMMON STOCK    617446448     1770     32818  SHARES                     X     1     32156     0     662
MORTGAGEIT HOLDINGS INC     COMMON STOCK    61915Q108       71      5000  SHARES                     X     1      5000     0       0
MORTGAGEIT HLDGS            COMMON STOCK    61915Q108      225     15800  SHARES         X                 3     15800     0       0
THE MOSAIC COMPANY          COMMON STOCK    61945A107        6       400  SHARES               X           1       400     0       0
THE MOSAIC COMPANY          COMMON STOCK    61945A107        6       400  SHARES                     X     1       400     0       0
MOTIVE INC                  COMMON STOCK    61980V107      292     46100  SHARES         X                 3     46100     0       0
MOTOROLA INC                COMMON STOCK    620076109     3419    155188  SHARES               X           1    154678     0     510
MOTOROLA INC                COMMON STOCK    620076109     1947     88375  SHARES                     X     1     83750     0    4625
MUNICIPAL MTG & EQ LLC      COMMON STOCK    62624B101       27      1100  SHARES               X           1      1100     0       0
MUNICIPAL MTG & EQ LLC      COMMON STOCK    62624B101       41      1650  SHARES                     X     1      1650     0       0
MURPHY OIL CORP             COMMON STOCK    626717102      342      6860  SHARES               X           1      6860     0       0
MYLAN LABORATORIES INC      COMMON STOCK    628530107       18       934  SHARES               X           1       934     0       0
MYLAN LABORATORIES INC      COMMON STOCK    628530107       55      2877  SHARES                     X     1      1552     0    1325
MYRIAD GENETICS INC COM     COMMON STOCK    62855J104        3       150  SHARES               X           1       150     0       0
NCR CORP COM                COMMON STOCK    62886E108        4       127  SHARES               X           1       127     0       0
NCR CORP COM                COMMON STOCK    62886E108       34      1067  SHARES                     X     1      1019     0      48
NCR CORP                    COMMON STOCK    62886E116       51      1600  SHARES         X                 3      1600     0       0
NRG ENERGY INC              COMMON STOCK    629377508       43      1000  SHARES               X           1      1000     0       0
NVR INC                     COMMON STOCK    62944T105      796       900  SHARES         X                 3       900     0       0
NASDAQ-100 SHARES           COMMON STOCK    631100104      751     19037  SHARES               X           1     19037     0       0
NASDAQ-100 SHARES           COMMON STOCK    631100104    13199    334480  SHARES                     X     1    334480     0       0
NATIONAL CITY CORP COM      COMMON STOCK    635405103      713     21309  SHARES               X           1     21309     0       0
NATIONAL CITY CORP COM      COMMON STOCK    635405103       38      1148  SHARES                     X     1      1148     0       0
NATL FUEL GAS CO            COMMON STOCK    636180101       34      1000  SHARES                     X     1      1000     0       0
NATIONAL-OILWELL VARCO INC  COMMON STOCK    637071101        9       130  SHARES               X           1       130     0       0
NATIONAL PENN BANCSHARES
 INC                        COMMON STOCK    637138108      132      5310  SHARES               X           1      5310     0       0
NATIONAL PENN BANCSHARES
 INC                        COMMON STOCK    637138108      132      5310  SHARES                     X     1      5310     0       0
NATIONAL SEMICONDUCTOR CORP
 COM                        COMMON STOCK    637640103       67      2550  SHARES               X           1      2550     0       0
NATIONAL SEMICONDUCTOR CORP
 COM                        COMMON STOCK    637640103       99      3790  SHARES                     X     1      3790     0       0
NATIONWIDE FINL SVCS INC    COMMON STOCK    638612101       81      2010  SHARES               X           1      2010     0       0
NATIONWIDE FINL SVCS INC    COMMON STOCK    638612101       10       238  SHARES                     X     1       238     0       0
NATIONWIDE HEALTH
 PROPERTIES (REIT)          COMMON STOCK    638620104       35      1500  SHARES                     X     1      1500     0       0
NAVISTAR INTERNATIONAL CORP COMMON STOCK    63934E108        3       100  SHARES               X           1       100     0       0
NAVISTAR INTL CORP          COMMON STOCK    63934E116       27       845  SHARES         X                 3       845     0       0
NAVIGANT CONSULTING         COMMON STOCK    63935N107      268     14000  SHARES         X                 3     14000     0       0
NEENAH PAPER INC            COMMON STOCK    640079109       62      2108  SHARES               X           1      2108     0       0
NEENAH PAPER INC            COMMON STOCK    640079109       15       514  SHARES                     X     1       465     0      49
NETGEAR INC                 COMMON STOCK    64111Q104       46      1900  SHARES               X           1      1900     0       0
NETGEAR INC                 COMMON STOCK    64111Q104       97      4000  SHARES         X                 3      4000     0       0
NETWORK EQUIPMENT
 TECHNOLOGIES               COMMON STOCK    641208103        9      2000  SHARES                     X     1      2000     0       0
NETWORK APPLIANCE
 INCORPORATED               COMMON STOCK    64120L104       95      4000  SHARES         X                 2      4000     0       0
NETWORK APPLIANCE           COMMON STOCK    64120L104       70      2950  SHARES         X                 3      2950     0       0
NEUROCRINE BIOSCIENCES INC  COMMON STOCK    64125C109       25       500  SHARES                     X     1         0     0     500
NEVADA GOLD & CASINOS INC   COMMON STOCK    64126Q206        2       200  SHARES               X           1       200     0       0
NEW CENTURY FINANCIAL CORP  COMMON STOCK    6435EV108        4       100  SHARES                     X     1       100     0       0
N J RES CORP                COMMON STOCK    646025106       28       600  SHARES               X           1       600     0       0
NEW PLAN EXCEL REALTY TR
 (REIT)                     COMMON STOCK    648053106      143      6235  SHARES               X           1      6235     0       0
NEW PLAN EXCEL REALTY TR
 (REIT)                     COMMON STOCK    648053106      184      8030  SHARES                     X     1      8030     0       0


                                    39 of 64






                                                                          SEC USE __________________________________________________
------------------------------------------------------------------------------------------------------------------------------------
        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
NEW YORK TIMES CO CL A      COMMON STOCK    650111107       45      1520  SHARES               X           1      1520     0       0
NEW YORK TIMES CO CL A      COMMON STOCK    650111107      298     10000  SHARES                     X     1     10000     0       0
NEWELL RUBBERMAID INC COM   COMMON STOCK    651229106      937     41390  SHARES               X           1     40390     0    1000
NEWELL RUBBERMAID INC COM   COMMON STOCK    651229106      712     31448  SHARES                     X     1     30948     0     500
NEWMARKET CORPORATION       COMMON STOCK    651587107      183     10540  SHARES                     X     1     10540     0       0
NEWMONT MINING              COMMON STOCK    651639106       76      1621  SHARES               X           1      1570     0      51
NEWMONT MINING              COMMON STOCK    651639106       54      1150  SHARES                     X     1       250     0     900
NEWS CORP INC-A             COMMON STOCK    65248E104       13       856  SHARES               X           1       846     0      10
NEWS CORP INC-A             COMMON STOCK    65248E104       60      3820  SHARES                     X     1      3596     0     224
NEWS CORP-CLASS B           COMMON STOCK    65248E203      132      8000  SHARES                     X     1      8000     0       0
NICOR INC                   COMMON STOCK    654086107       21       500  SHARES               X           1       500     0       0
NICOR INC                   COMMON STOCK    654086107       40       950  SHARES                     X     1       950     0       0
NIKE INC CL B               COMMON STOCK    654106103      200      2447  SHARES               X           1      2447     0       0
NIKE INC CL B               COMMON STOCK    654106103      106      1295  SHARES                     X     1      1295     0       0
NISOURCE INC                COMMON STOCK    65473P105      116      4774  SHARES               X           1      4774     0       0
NISOURCE INC                COMMON STOCK    65473P105       53      2171  SHARES                     X     1      2171     0       0
NISOURCE INC                COMMON STOCK    65473P105       65      2692  SHARES         X                 3      2692     0       0
NOBLE ENERGY INC            COMMON STOCK    655044105       88      1868  SHARES               X           1      1868     0       0
NOBLE ENERGY INC            COMMON STOCK    655044105       94      2000  SHARES                     X     1      2000     0       0
NORDSTROM INC COM           COMMON STOCK    655664100        7       200  SHARES               X           1       200     0       0
NORFOLK SOUTHERN CORP       COMMON STOCK    655844108      561     13835  SHARES               X           1     13835     0       0
NORFOLK SOUTHERN CORP       COMMON STOCK    655844108      950     23413  SHARES                     X     1     20713     0    2700
NORTH FORK BANCORPORATION
 COM                        COMMON STOCK    659424105       61      2408  SHARES               X           1      2408     0       0
NORTH FORK BANCORPORATION
 COM                        COMMON STOCK    659424105       81      3190  SHARES                     X     1      3190     0       0
NORTHEAST UTILITIES COM     COMMON STOCK    664397106        4       200  SHARES               X           1       200     0       0
NORTHERN BORDER PARTNERS LP
 UNIT LTD                   COMMON STOCK    664785102       33       700  SHARES               X           1       700     0       0
NORTHERN BORDER PARTNERS LP
 UNIT LTD                   COMMON STOCK    664785102       72      1500  SHARES                     X     1      1500     0       0
NORTHERN TRUST CORP COM     COMMON STOCK    665859104       14       272  SHARES               X           1       272     0       0
NORTHERN TRUST CORP COM     COMMON STOCK    665859104       11       225  SHARES                     X     1       225     0       0
NORTHROP GRUMMAN CORP       COMMON STOCK    666807102     1023     18817  SHARES               X           1     18777     0      40
NORTHROP GRUMMAN CORP       COMMON STOCK    666807102      369      6794  SHARES                     X     1      6794     0       0
NORTHSTAR RLTY FIN          COMMON STOCK    66704R100      253     26900  SHARES         X                 3     26900     0       0
NORTHWEST NATURAL GAS
 COMPANY                    COMMON STOCK    667655104       61      1650  SHARES               X           1      1650     0       0
NORTHWEST NATURAL GAS
 COMPANY                    COMMON STOCK    667655104       37      1000  SHARES                     X     1      1000     0       0
NOVATEL WIRELESS INC        COMMON STOCK    66987M604       17      1200  SHARES               X           1      1200     0       0
NOVATEL WIRELESS INC        COMMON STOCK    66987M604       36      2500  SHARES         X                 3      2500     0       0
NOVARTIS AG                 ADR             66987V109     6751    133655  SHARES         X                 3    133655     0       0
NOVELL INC                  COMMON STOCK    670006105     1371    184010  SHARES               X           1    183760     0     250
NOVELL INC                  COMMON STOCK    670006105      289     38775  SHARES                     X     1     38775     0       0
NOVELLUS SYS INC COM        COMMON STOCK    670008101       23       900  SHARES                     X     1       900     0       0
NSTAR COM                   COMMON STOCK    67019E107       17       600  SHARES                     X     1       600     0       0
NUCOR CORP                  COMMON STOCK    670346105       12       200  SHARES               X           1       200     0       0
NUCOR CORP                  COMMON STOCK    670346105       57       960  SHARES                     X     1       960     0       0
NVIDIA CORP COM             COMMON STOCK    67066G104       10       300  SHARES               X           1       300     0       0
NVIDIA CORP                 COMMON STOCK    67066G104       63      1825  SHARES         X                 3      1825     0       0
NUVELO INC                  COMMON STOCK    67072M301       77      8060  SHARES               X           1      8060     0       0
NUVELO INC                  COMMON STOCK    67072M301      167     17363  SHARES         X                 3     17363     0       0
OGE ENERGY CORP COM         COMMON STOCK    670837103       78      2760  SHARES               X           1      2760     0       0
OGE ENERGY CORP COM         COMMON STOCK    670837103       88      3136  SHARES                     X     1      3136     0       0
OSI PHARMACEUTICALS INC COM COMMON STOCK    671040103        1        50  SHARES               X           1        50     0       0
OCCIDENTAL PETE CORP COM    COMMON STOCK    674599105      263      3080  SHARES               X           1      3080     0       0
OCEANEERING INTL INC COM    COMMON STOCK    675232102       21       400  SHARES               X           1       400     0       0
ODYSSEY RE HLDGS CORP COM   COMMON STOCK    67612W108       43      1700  SHARES               X           1      1700     0       0


                                    40 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
OFFICE DEPOT INC            COMMON STOCK    676220106       59      2000  SHARES               X           1      2000     0       0
OFFICEMAX INC               COMMON STOCK    67622P101       13       404  SHARES               X           1       404     0       0
OFFICEMAX INC               COMMON STOCK    67622P101        5       166  SHARES                     X     1       166     0       0
OFFICEMAX INC               COMMON STOCK    67622P101       21       675  SHARES         X                 3       675     0       0
OHIO CAS CORP               COMMON STOCK    677240103        7       240  SHARES               X           1       240     0       0
OIL SERVICE HOLDERS TRUST   COMMON STOCK    678002106       12       100  SHARES               X           1       100     0       0
OLD NATIONAL BANCORP COM    COMMON STOCK    680033107      134      6306  SHARES               X           1      6306     0       0
OLD REPUBLIC INTL CORP COM  COMMON STOCK    680223104      107      4000  SHARES               X           1      4000     0       0
OLIN CORP COM               COMMON STOCK    680665205       14       750  SHARES               X           1       750     0       0
OLIN CORP COM               COMMON STOCK    680665205        4       200  SHARES                     X     1       200     0       0
OMNICARE INC COM            COMMON STOCK    681904108       28       500  SHARES                     X     1       500     0       0
OMNICOM GROUP INC COM       COMMON STOCK    681919106      291      3484  SHARES               X           1      3484     0       0
OMNICOM GROUP INC COM       COMMON STOCK    681919106      188      2250  SHARES                     X     1      2250     0       0
OMEGA FINANCIAL CORP        COMMON STOCK    682092101       83      2944  SHARES               X           1      2944     0       0
OMEGA FINANCIAL CORP        COMMON STOCK    682092101      587     20938  SHARES                     X     1     16604     0    4334
ON SEMICONDUCTOR
 CORPORATION                COMMON STOCK    682189105       23      4400  SHARES               X           1      4400     0       0
ONEOK INC                   COMMON STOCK    682680103       62      1820  SHARES               X           1      1820     0       0
ONEOK INC                   COMMON STOCK    682680103        7       200  SHARES                     X     1       200     0       0
ONLINE RES CORP             COMMON STOCK    68273G101      226     21400  SHARES         X                 3     21400     0       0
OPENWAVE SYSTEMS INC        COMMON STOCK    683718308       20      1100  SHARES               X           1      1100     0       0
OPEN SOLUTIONS INC          COMMON STOCK    68371P102      233     10700  SHARES         X                 3     10700     0       0
OPSWARE, INC.               COMMON STOCK    68383A101       43      8200  SHARES               X           1      8200     0       0
ORACLE CORPORATION COM      COMMON STOCK    68389X105     2135    172181  SHARES               X           1    171481     0     700
ORACLE CORPORATION COM      COMMON STOCK    68389X105      309     24895  SHARES                     X     1     24895     0       0
ORACLE CORPORATION          COMMON STOCK    68389X105      824     66466  SHARES         X                 2     66466     0       0
ORACLE CORP                 COMMON STOCK    68389X105     1913    137863  SHARES         X                 3    137863     0       0
ORASURE TECHNOLOGIES        COMMON STOCK    68554V108      344     36400  SHARES         X                 3     36400     0       0
OREGON STL MLS INC          COMMON STOCK    686079104      134      4800  SHARES               X           1      4800     0       0
OSHKOSH TRUCK CORP          COMMON STOCK    688239201        6       150  SHARES               X           1       150     0       0
OTTER TAIL CORPORATION      COMMON STOCK    689648103        7       240  SHARES                     X     1       240     0       0
OUTBACK STEAKHOUSE INC COM  COMMON STOCK    689899102     2930     80055  SHARES               X           1     78478     0    1577
OUTBACK STEAKHOUSE INC COM  COMMON STOCK    689899102       96      2615  SHARES                     X     1      2265     0     350
PC-TEL INCORPORATED         COMMON STOCK    69325Q105       27      2900  SHARES               X           1      2900     0       0
PC-TEL INCORPORATED         COMMON STOCK    69325Q105       57      6100  SHARES         X                 3      6100     0       0
P G & E CORP                COMMON STOCK    69331C108       47      1200  SHARES               X           1      1200     0       0
P G & E CORP                COMMON STOCK    69331C108       86      2200  SHARES                     X     1       700     0    1500
PG&E CORP                   COMMON STOCK    69331C108      131      3330  SHARES         X                 3      3330     0       0
PFF BANCORP INC             COMMON STOCK    69331W104      375     12400  SHARES         X                 3     12400     0       0
PHH CORPORATION             COMMON STOCK    693320202       12       422  SHARES               X           1       372     0      50
PHH CORPORATION             COMMON STOCK    693320202       11       414  SHARES                     X     1       373     0      41
PICO HOLDINGS INC COM       COMMON STOCK    693366205      868     24704  SHARES               X           1         0     0   24704
PMC-SIERRA INC              COMMON STOCK    69344F106       18      2000  SHARES         X                 3      2000     0       0
PNC FINANCIAL SERVICES
 GROUP INC                  COMMON STOCK    693475105     9798    168881  SHARES               X           1    166821     0    2060
PNC FINANCIAL SERVICES
 GROUP INC                  COMMON STOCK    693475105     3013     51924  SHARES                     X     1     49954     0    1970
PNM RESOURCES INC           COMMON STOCK    69349H107       35      1208  SHARES               X           1      1208     0       0
PNM RES INC                 COMMON STOCK    69349H107      981     34200  SHARES         X                 3     34200     0       0
PPG INDS INC                COMMON STOCK    693506107      842     14220  SHARES               X           1     14220     0       0
PPG INDS INC                COMMON STOCK    693506107     2026     34223  SHARES                     X     1     32148     0    2075
PPL CORP COM                COMMON STOCK    69351T106     6141    189958  SHARES               X           1    187858     0    2100
PPL CORP COM                COMMON STOCK    69351T106     1931     59742  SHARES                     X     1     49130     0   10612
PPL CORP                    COMMON STOCK    69351T106      117      3630  SHARES         X                 3      3630     0       0
PSS WORLD MED INC           COMMON STOCK    69366A100      830     62200  SHARES         X                 3     62200     0       0
PACCAR INC                  COMMON STOCK    693718108        8       125  SHARES               X           1       125     0       0


                                    41 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
PACIFIC SUNWEAR OF
 CALIFORNIA                 COMMON STOCK    694873100      386     18000  SHARES               X           1     18000     0       0
PACIFICARE HEALTH SYS INC   COMMON STOCK    695112102     5611     70330  SHARES               X           1     68690     0    1640
PACIFICARE HEALTH SYS INC   COMMON STOCK    695112102      235      2950  SHARES                     X     1      2650     0     300
PACKAGING CORP OF AMER COM  COMMON STOCK    695156109        5       235  SHARES               X           1       235     0       0
PACTIV CORP COM             COMMON STOCK    695257105     3489    199169  SHARES               X           1    192931     0    6238
PACTIV CORP COM             COMMON STOCK    695257105      140      7970  SHARES                     X     1      4395     0    3575
PAINCARE HOLDINGS           COMMON STOCK    69562E112      414    110400  SHARES         X                 3    110400     0       0
PAIN THERATEUTIC INC        COMMON STOCK    69562K100      143     22700  SHARES         X                 3     22700     0       0
PALL CORP COM               COMMON STOCK    696429307       55      2000  SHARES                     X     1      2000     0       0
PALM INC                    COMMON STOCK    696643105        0         3  SHARES               X           1         3     0       0
PALM INC                    COMMON STOCK    696643105        3       101  SHARES                     X     1       101     0       0
PALMSOURCE INC              COMMON STOCK    697154102        1        30  SHARES                     X     1        30     0       0
PANAMSAT HOLDING CORP       COMMON STOCK    69831Y105       36      1500  SHARES                     X     1      1500     0       0
PAR PHARMACEUTICAL          COMMON STOCK    69888P106      626     23500  SHARES         X                 3     23500     0       0
PARAMETRIC TECHNOLOGY CORP
 COM                        COMMON STOCK    699173100       42      6037  SHARES                     X     1      6037     0       0
PARKER HANNIFIN CORP        COMMON STOCK    701094104      305      4750  SHARES               X           1      4750     0       0
PARKER HANNIFIN CORP        COMMON STOCK    701094104      222      3446  SHARES                     X     1      3446     0       0
PARTNERS TRUST FINANCIAL
 GROUP                      COMMON STOCK    70213F102       59      5090  SHARES               X           1      5090     0       0
PARTNERS TRUST FINANCIAL
 GROUP                      COMMON STOCK    70213F102       14      1213  SHARES                     X     1         0     0    1213
PARTNERS TRUST FINL         COMMON STOCK    70213F102      923     80200  SHARES         X                 3     80200     0       0
PATTERSON COMPANIES INC     COMMON STOCK    703395103       80      2000  SHARES                     X     1      2000     0       0
PATTERSON-UTI ENERGY INC    COMMON STOCK    703481101        9       250  SHARES               X           1       250     0       0
PATTERSON-UTI ENERGY INC    COMMON STOCK    703481101       70      1950  SHARES                     X     1      1950     0       0
PAYCHEX INC COM             COMMON STOCK    704326107      429     11577  SHARES               X           1     11577     0       0
PAYCHEX INC COM             COMMON STOCK    704326107       22       600  SHARES                     X     1       600     0       0
PEABODY ENERGY CORP COM     COMMON STOCK    704549104     1351     16020  SHARES               X           1     16020     0       0
PEABODY ENERGY CORP COM     COMMON STOCK    704549104       84      1000  SHARES                     X     1      1000     0       0
PEDIATRIX MEDICAL GROUP INC
 COM                        COMMON STOCK    705324101      443      5770  SHARES               X           1      5770     0       0
PEETS COFFEE & TEA INC COM  COMMON STOCK    705560100       11       350  SHARES               X           1       350     0       0
PENN NATL GAMING INC        COMMON STOCK    707569109       21       675  SHARES               X           1       675     0       0
PENNEY JC CO INC            COMMON STOCK    708160106      155      3264  SHARES               X           1      3264     0       0
PENNEY JC CO INC            COMMON STOCK    708160106      152      3208  SHARES                     X     1      3208     0       0
PENNICHUCK CORPORATION NEW  COMMON STOCK    708254206       19       889  SHARES               X           1       889     0       0
PENNSYLVANIA COMMERCE
 BANCORP INC                COMMON STOCK    708677109      256      7166  SHARES               X           1      7166     0       0
PENN ESTATE INV TR (REIT)   COMMON STOCK    709102107       51      1200  SHARES               X           1      1200     0       0
PENN ESTATE INV TR (REIT)   COMMON STOCK    709102107       13       300  SHARES                     X     1       300     0       0
PENTAIR INC COM             COMMON STOCK    709631105       29       800  SHARES               X           1       800     0       0
PENTAIR INC COM             COMMON STOCK    709631105      285      7800  SHARES                     X     1      7800     0       0
PEPCO HOLDINGS INC          COMMON STOCK    713291102      777     33376  SHARES               X           1     30650     0    2726
PEPCO HOLDINGS INC          COMMON STOCK    713291102      794     34103  SHARES                     X     1     29453     0    4650
PEPSIAMERICAS INC COM       COMMON STOCK    71343P200       14       600  SHARES                     X     1       600     0       0
PEPSIAMERICAS INC           COMMON STOCK    71343P200     1039     45700  SHARES         X                 3     45700     0       0
PEPSICO INC COM             COMMON STOCK    713448108    26101    460256  SHARES               X           1    455203     0    5053
PEPSICO INC COM             COMMON STOCK    713448108    16523    291368  SHARES                     X     1    266456     0   24912
PERFORMANCE FOOD GROUP CO   COMMON STOCK    713755106       93      2940  SHARES               X           1      2940     0       0
PERFORMANCE FOOD GROUP CO   COMMON STOCK    713755106       88      2800  SHARES                     X     1      1600     0    1200
PERKINELMER INC COM         COMMON STOCK    714046109       81      4000  SHARES                     X     1      4000     0       0
PETROHAWK ENERGY CORP       COMMON STOCK    716495106      203     14100  SHARES               X           1     14100     0       0
PETSMART INC                COMMON STOCK    716768106     4917    225736  SHARES               X           1    218838     0    6898
PETSMART INC                COMMON STOCK    716768106      212      9735  SHARES                     X     1      7085     0    2650
PFIZER INC                  COMMON STOCK    717081103    25650   1027213  SHARES               X           1   1016298     0   10915
PFIZER INC                  COMMON STOCK    717081103    15825    633747  SHARES                     X     1    588573     0   45174
PHARMACEUTIAL PRODUCT DEVEL
 INC COM                    COMMON STOCK    717124101        4        75  SHARES               X           1        75     0       0


                                    42 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
PHELPS DODGE CORP           COMMON STOCK    717265102       95       729  SHARES               X           1       729     0       0
PHELPS DODGE CORP           COMMON STOCK    717265102        1         4  SHARES                     X     1         4     0       0
PHOENIX COS INC COM         COMMON STOCK    71902E109       21      1762  SHARES               X           1      1762     0       0
PHOENIX COS INC COM         COMMON STOCK    71902E109       19      1588  SHARES                     X     1      1588     0       0
PIEDMONT NAT GAS INC        COMMON STOCK    720186105       17       678  SHARES                     X     1       278     0     400
PIER 1 INC COM              COMMON STOCK    720279108        6       525  SHARES               X           1       525     0       0
PIER 1 INC COM              COMMON STOCK    720279108        1       100  SHARES                     X     1       100     0       0
PINNACLE WEST CAPITAL CORP  COMMON STOCK    723484101       22       500  SHARES               X           1       500     0       0
PIONEER DRILLING CO         COMMON STOCK    723655106        5       250  SHARES               X           1       250     0       0
PIONEER NATURAL RESOURCES
 CO                         COMMON STOCK    723787107       10       189  SHARES               X           1       189     0       0
PIPER JAFFRAY COMPANIES INC COMMON STOCK    724078100        2        67  SHARES               X           1        67     0       0
PIPER JAFFRAY COMPANIES INC COMMON STOCK    724078100        3       115  SHARES                     X     1        19     0      96
PITNEY BOWES INC COM        COMMON STOCK    724479100      530     12700  SHARES               X           1     12700     0       0
PITNEY BOWES INC COM        COMMON STOCK    724479100      742     17780  SHARES                     X     1      7380     0   10400
PIXELWORKS INC              COMMON STOCK    72581M107     1047    158900  SHARES         X                 3    158900     0       0
PLACER SIERRA BANCSHARES    COMMON STOCK    726079106       85      3100  SHARES               X           1      3100     0       0
PLAINS EXPLORATION &
 PRODUCT COMPANY            COMMON STOCK    726505100      128      3000  SHARES                     X     1      3000     0       0
PLUG POWER INC COM          COMMON STOCK    72919P103        1       100  SHARES               X           1       100     0       0
POGO PRODUCING CO           COMMON STOCK    730448107        9       150  SHARES               X           1       150     0       0
POLYCOM INC                 COMMON STOCK    73172K104     2147    132800  SHARES         X                 3    132800     0       0
PORTALPLAYER INC            COMMON STOCK    736187204       25       900  SHARES               X           1       900     0       0
POZEN INCORPORATED          COMMON STOCK    73941U102       42      3800  SHARES               X           1      3800     0       0
POZEN INCORPORATED          COMMON STOCK    73941U102       89      8100  SHARES         X                 3      8100     0       0
PRAXAIR INC COM             COMMON STOCK    74005P104       21       434  SHARES               X           1       434     0       0
PRAXAIR INC COM             COMMON STOCK    74005P104      146      3046  SHARES                     X     1      3046     0       0
PRAXAIR INC COM             COMMON STOCK    74005P104      341      7110  SHARES         X                 3      3110     0    4000
PRICE T ROWE GROUP INC COM  COMMON STOCK    74144T108     1296     19850  SHARES               X           1     19850     0       0
PRICE T ROWE GROUP INC COM  COMMON STOCK    74144T108      796     12195  SHARES                     X     1     12075     0     120
PRICE T ROWE GRP            COMMON STOCK    74144T108       72      1100  SHARES         X                 3      1100     0       0
PRINCIPAL FINL GROUP INC    COMMON STOCK    74251V102       90      1895  SHARES               X           1      1895     0       0
PRINCIPAL FINL GRP          COMMON STOCK    74251V102     1385     29250  SHARES         X                 3     29250     0       0
PROCTER & GAMBLE CO COM     COMMON STOCK    742718109    31812    535008  SHARES               X           1    528913     0    6095
PROCTER & GAMBLE CO COM     COMMON STOCK    742718109    33279    559689  SHARES                     X     1    440787     0  118902
PROGRESS ENERGY INC COM     COMMON STOCK    743263105      329      7342  SHARES               X           1      6742     0     600
PROGRESS ENERGY INC COM     COMMON STOCK    743263105      300      6696  SHARES                     X     1      6696     0       0
PROGRESSIVE CORP COM        COMMON STOCK    743315103      110      1049  SHARES               X           1      1049     0       0
PROLOGIS (REIT)             COMMON STOCK    743410102       41       927  SHARES               X           1       895     0      32
PROTEIN DESIGN LABS INC     COMMON STOCK    74369L103      142      5060  SHARES               X           1      5060     0       0
PROTEIN DESIGN LABS INC     COMMON STOCK    74369L103        8       300  SHARES                     X     1       300     0       0
PROTEIN DESIGN LABS         COMMON STOCK    74369L103      101      3600  SHARES         X                 3      3600     0       0
PROTEIN DESIGN LABS         COMMON STOCK    74369L103      403     14400  SHARES         X                 3     14400     0       0
PROVIDENT BANKSHARES
 CORPORATION                COMMON STOCK    743859100      245      7032  SHARES               X           1      7032     0       0
PROVIDENT BANKSHARES
 CORPORATION                COMMON STOCK    743859100      139      4000  SHARES                     X     1      4000     0       0
PROVIDENT FINANCIAL
 SERVICES INC               COMMON STOCK    74386T105       21      1200  SHARES               X           1      1200     0       0
PROVIDIAN FINL CORP         COMMON STOCK    74406A102      255     14400  SHARES               X           1     14400     0       0
PROVIDIAN FINL CORP         COMMON STOCK    74406A102      875     49500  SHARES         X                 3     49500     0       0
PROXYMED INC                COMMON STOCK    744290305        5      1000  SHARES                     X     1      1000     0       0
PRUDENTIAL FINANCIAL INC    COMMON STOCK    744320102      251      3712  SHARES               X           1      3712     0       0
PRUDENTIAL FINANCIAL INC    COMMON STOCK    744320102       32       468  SHARES                     X     1       468     0       0
PSYCHIATRIC SOLUTIONS INC   COMMON STOCK    74439H108      517      9525  SHARES               X           1      9525     0       0
PSYCHIATRIC SOLUTIONS INC   COMMON STOCK    74439H108       24       450  SHARES                     X     1       450     0       0
PSYCHIATRIC SOLUTION        COMMON STOCK    74439H108     1638     30200  SHARES         X                 3     30200     0       0
PUBLIC SVC ENTERPRISE GROUP
 INC                        COMMON STOCK    744573106      230      3571  SHARES               X           1      3571     0       0


                                    43 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
PUBLIC SVC ENTERPRISE GROUP
 INC                        COMMON STOCK    744573106      261      4061  SHARES                     X     1      4061     0       0
PUGET ENERGY INC COM        COMMON STOCK    745310102      354     15075  SHARES               X           1     15075     0       0
PUGET ENERGY INC COM        COMMON STOCK    745310102      113      4825  SHARES                     X     1      4825     0       0
PURE CYCLE CORP             COMMON STOCK    746228303       41      6000  SHARES                     X     1      6000     0       0
QC HOLDINGS INC             COMMON STOCK    74729T101        7       500  SHARES               X           1       500     0       0
QC HOLDINGS INC             COMMON STOCK    74729T101        7       500  SHARES         X                 3       500     0       0
QUALCOMM INC COM            COMMON STOCK    747525103     3878     86649  SHARES               X           1     84934     0    1715
QUALCOMM INC COM            COMMON STOCK    747525103      170      3795  SHARES                     X     1      3395     0     400
QUEST DIAGNOSTICS INC       COMMON STOCK    74834L100      458      9070  SHARES               X           1      9070     0       0
QUEST DIAGNOSTICS INC       COMMON STOCK    74834L100      312      6168  SHARES                     X     1      5868     0     300
QUEST DIAGNOSTICS           COMMON STOCK    74834L100       86      1700  SHARES         X                 3      1700     0       0
QUEST SOFTWARE INC COM      COMMON STOCK    74834T103       27      1800  SHARES               X           1      1800     0       0
QUEST SOFTWARE INC COM      COMMON STOCK    74834T103       57      3800  SHARES         X                 3      3800     0       0
QUESTAR CORP COM            COMMON STOCK    748356102      132      1500  SHARES               X           1      1500     0       0
QUESTAR CORP COM            COMMON STOCK    748356102      159      1800  SHARES                     X     1      1800     0       0
QUICKSILVER RES INC WITH
 RIGHTS                     COMMON STOCK    74837R104      103      2150  SHARES               X           1      2150     0       0
QUICKSILVER RES INC WITH
 RIGHTS                     COMMON STOCK    74837R104      210      4400  SHARES         X                 3      4400     0       0
QUIKSILVER INC              COMMON STOCK    74838C106      691     47800  SHARES         X                 3     47800     0       0
QWEST COMMUNICATIONS INTL
 INC                        COMMON STOCK    749121109       13      3201  SHARES               X           1      3201     0       0
QWEST COMMUNICATIONS INTL
 INC                        COMMON STOCK    749121109       17      4074  SHARES                     X     1      3864     0     210
R H DONNELLEY CORP          COMMON STOCK    74955W307       20       311  SHARES                     X     1       311     0       0
RPM INTL INC                COMMON STOCK    749685103        9       500  SHARES               X           1       500     0       0
RPM INTL INC                COMMON STOCK    749685103       94      5130  SHARES                     X     1      5130     0       0
RF MICRO DEVICES INC COM    COMMON STOCK    749941100       22      3900  SHARES               X           1      3900     0       0
RANGE RESOURCES CORPORATION COMMON STOCK    75281A109      108      2800  SHARES               X           1      2800     0       0
RANGE RESOURCES CORPORATION COMMON STOCK    75281A109      228      5900  SHARES         X                 3      5900     0       0
RAYONIER INC COM            COMMON STOCK    754907103       98      1700  SHARES                     X     1      1700     0       0
RAYTHEON CO COM NEW         COMMON STOCK    755111507     1967     51735  SHARES               X           1     48811     0    2924
RAYTHEON CO COM NEW         COMMON STOCK    755111507     1201     31579  SHARES                     X     1     26389     0    5190
RED HAT INC COM             COMMON STOCK    756577102       53      2500  SHARES               X           1      2500     0       0
RED ROBIN GOURMET BU        COMMON STOCK    75689M101      857     18700  SHARES         X                 3     18700     0       0
REDBACK NETWORKS INC        COMMON STOCK    757209507       19      1900  SHARES               X           1      1900     0       0
REGIONS FINANCIAL CORP      COMMON STOCK    7591EP100       26       836  SHARES               X           1       836     0       0
REGIONS FINANCIAL CORP      COMMON STOCK    7591EP100      177      5697  SHARES                     X     1      5697     0       0
REGIONS FINL CORP           COMMON STOCK    7591EP100      141      4545  SHARES         X                 3      4545     0       0
RELIANCE STEEL & ALUMINUM
 COMPANY                    COMMON STOCK    759509102       21       400  SHARES               X           1       400     0       0
RELIANT ENERGY INC          COMMON STOCK    75952B105        2        99  SHARES                     X     1        99     0       0
REMINGTON OIL & GAS CORP
 COM NEW                    COMMON STOCK    759594302       62      1500  SHARES               X           1      1500     0       0
RENAL CARE GROUP INC COM    COMMON STOCK    759930100       38       800  SHARES                     X     1         0     0     800
RESPIRONICS INC COM         COMMON STOCK    761230101       17       400  SHARES               X           1       400     0       0
REYNOLDS AMERICAN INC       COMMON STOCK    761713106       80       958  SHARES               X           1       958     0       0
REYNOLDS AMERICAN INC       COMMON STOCK    761713106       37       450  SHARES                     X     1       450     0       0
RITE AID CORP COM           COMMON STOCK    767754104       28      7240  SHARES               X           1      4940     0    2300
ROBERT HALF INTL INC COM    COMMON STOCK    770323103       12       350  SHARES               X           1       350     0       0
ROBERT HALF INTL INC COM    COMMON STOCK    770323103       18       500  SHARES                     X     1       500     0       0
ROCKWELL AUTOMATION INC.    COMMON STOCK    773903109     5942    112322  SHARES               X           1    108737     0    3585
ROCKWELL AUTOMATION INC.    COMMON STOCK    773903109      421      7957  SHARES                     X     1      5602     0    2355
ROCKWELL COLLINS COM        COMMON STOCK    774341101      169      3490  SHARES               X           1      3490     0       0
ROCKWELL COLLINS COM        COMMON STOCK    774341101      163      3367  SHARES                     X     1      3367     0       0
ROHM & HAAS CO              COMMON STOCK    775371107       23       569  SHARES               X           1       569     0       0
ROHM & HAAS CO              COMMON STOCK    775371107      498     12096  SHARES                     X     1     12096     0       0
ROSS STORES INC COM         COMMON STOCK    778296103     3150    132892  SHARES               X           1    128746     0    4146
ROSS STORES INC COM         COMMON STOCK    778296103      235      9925  SHARES                     X     1      8400     0    1525


                                    44 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
ROYAL GOLD INCORPORATED     COMMON STOCK    780287108       27      1000  SHARES               X           1      1000     0       0
ROYCE VALUE TRUST (CE)      COMMON STOCK    780910105       90      4521  SHARES               X           1      4521     0       0
RUBY TUESDAY                COMMON STOCK    781182100       39      1800  SHARES               X           1      1800     0       0
S & T BANCORP INC           COMMON STOCK    783859101       15       400  SHARES                     X     1       400     0       0
SBC COMMUNICATIONS INC COM  COMMON STOCK    78387G103     6272    261681  SHARES               X           1    261681     0       0
SBC COMMUNICATIONS INC COM  COMMON STOCK    78387G103     4609    192280  SHARES                     X     1    178341     0   13939
SBC COMMUNICATIONS
 INCORPORATED               COMMON STOCK    78387G103     1725     71961  SHARES         X                 2     71961     0       0
SBC COMMUNICATIONS INC COM  COMMON STOCK    78387G103      736     30695  SHARES         X                 3     30695     0       0
SBA COMMUNICATIONS          COMMON STOCK    78388J106      430     27900  SHARES         X                 3     27900     0       0
SEI CORP COM                COMMON STOCK    784117103       24       640  SHARES               X           1       640     0       0
SEI CORP COM                COMMON STOCK    784117103       15       390  SHARES                     X     1       390     0       0
SL INDUSTRIES INC           COMMON STOCK    784413106       43      3001  SHARES                     X     1      3001     0       0
SLM CORP COM                COMMON STOCK    78442P106      119      2213  SHARES               X           1      2213     0       0
SLM CORP COM                COMMON STOCK    78442P106       14       266  SHARES                     X     1         0     0     266
SLM CORP.                   COMMON STOCK    78442P106     7517    140144  SHARES         X                 2    140144     0       0
SLM CORP                    COMMON STOCK    78442P106      206      3845  SHARES         X                 3      3845     0       0
SPDR TRUST SERIES 1 S&P 500
 INDEX FD                   COMMON STOCK    78462F103     6858     55734  SHARES               X           1     55734     0       0
SPDR TRUST SERIES 1 S&P 500
 INDEX FD                   COMMON STOCK    78462F103     4128     33548  SHARES                     X     1     33548     0       0
S&P 500 DEP RECEIPTS        UNIT SER 1      78462F103     1451     11800  PRINCIPAL      X                 3     11800     0       0
SPX CORP COM                COMMON STOCK    784635104       17       375  SHARES                     X     1       375     0       0
SVB FINANCIAL GROUP         COMMON STOCK    78486Q101     1206     24800  SHARES         X                 3     24800     0       0
SABRE HOLDINGS CORPORATION
 COM                        COMMON STOCK    785905100        5       250  SHARES               X           1       250     0       0
SABRE HOLDINGS CORPORATION
 COM                        COMMON STOCK    785905100        9       467  SHARES                     X     1       467     0       0
SAFEWAY INC COM             COMMON STOCK    786514208       15       580  SHARES               X           1       580     0       0
SAFEWAY INC COM             COMMON STOCK    786514208      131      5115  SHARES                     X     1      3615     0    1500
ST JOE CORP                 COMMON STOCK    790148100     5265     84312  SHARES               X           1     82296     0    2016
ST JOE CORP                 COMMON STOCK    790148100      730     11692  SHARES                     X     1     11292     0     400
ST PAUL TRAVELERS COMPANIES
 INC                        COMMON STOCK    792860108     1803     40175  SHARES               X           1     38771     0    1404
ST PAUL TRAVELERS COMPANIES
 INC                        COMMON STOCK    792860108      787     17530  SHARES                     X     1     17170     0     360
SALESFORCE.COM INC          COMMON STOCK    79466L302       25      1100  SHARES               X           1      1100     0       0
SALESFORCE.COM INC          COMMON STOCK    79466L302       56      2400  SHARES         X                 3      2400     0       0
SAN JUAN BASIN ROYALTY TR   COMMON STOCK    798241105       49      1000  SHARES               X           1      1000     0       0
SAN JUAN BASIN ROYALTY TR   COMMON STOCK    798241105       10       200  SHARES                     X     1       200     0       0
SANDISK CORP COM            COMMON STOCK    80004C101      130      2705  SHARES               X           1      2705     0       0
SANDY SPRING BANCORP INC    COMMON STOCK    800363103        7       200  SHARES               X           1       200     0       0
SANDY SPRING BANCORP INC    COMMON STOCK    800363103      145      4300  SHARES                     X     1      4300     0       0
SARA LEE CORP               COMMON STOCK    803111103      651     34345  SHARES               X           1     33345     0    1000
SARA LEE CORP               COMMON STOCK    803111103     1504     79353  SHARES                     X     1     69353     0   10000
SCANA CORP NEW COM          COMMON STOCK    80589M102      327      7747  SHARES               X           1      7747     0       0
SCANA CORP NEW COM          COMMON STOCK    80589M102      376      8910  SHARES                     X     1      8910     0       0
SCANA CORP NEW COM          COMMON STOCK    80589M102       42      1000  SHARES         X                 3      1000     0       0
HENRY SCHEIN INC COM        COMMON STOCK    806407102        9       200  SHARES               X           1       200     0       0
SCHERING PLOUGH CORP        COMMON STOCK    806605101     3345    158887  SHARES               X           1    158887     0       0
SCHERING PLOUGH CORP        COMMON STOCK    806605101     2009     95450  SHARES                     X     1     76018     0   19432
SCHWAB CHARLES CORP NEW COM COMMON STOCK    808513105      181     12543  SHARES               X           1     12543     0       0
SCHWAB CHARLES CORP NEW COM COMMON STOCK    808513105        2       150  SHARES                     X     1       150     0       0
SCIENTIFIC ATLANTA INC      COMMON STOCK    808655104       49      1300  SHARES                     X     1         0     0    1300
THE SCOTTS MIRACLE-GRO
 COMPANY CL A               COMMON STOCK    810186106      659      7500  SHARES               X           1      7500     0       0
SCS TRANSN INC              COMMON STOCK    81111T102      281     17900  SHARES         X                 3     17900     0       0
SEALED AIR CORP NEW COM     COMMON STOCK    81211K100       95      2000  SHARES                     X     1      2000     0       0
SEALED AIR CORP             COMMON STOCK    81211K100       42       882  SHARES         X                 3       882     0       0
SEARS HOLDINGS CORP         COMMON STOCK    812350106      256      2058  SHARES               X           1      2058     0       0
SEARS HOLDINGS CORP         COMMON STOCK    812350106      189      1516  SHARES                     X     1      1516     0       0


                                    45 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
ENERGY SELECT SECTOR SPDR
 FD                         COMMON STOCK    81369Y506      107      2000  SHARES                     X     1      2000     0       0
SELECT SECTOR
 SPDRTECHNOLOGY             COMMON STOCK    81369Y803       25      1200  SHARES                     X     1         0     0    1200
SELECT COMFORT CORP         COMMON STOCK    81616X103      434     21700  SHARES         X                 3     21700     0       0
SELECTIVE INS GROUP INC     COMMON STOCK    816300107      200      4100  SHARES               X           1      4100     0       0
SEMPRA ENERGY COM           COMMON STOCK    816851109        9       200  SHARES               X           1       200     0       0
SEMPRA ENERGY COM           COMMON STOCK    816851109       25       532  SHARES                     X     1       532     0       0
SENIOR HOUSING PROPERTIES
 TR (REIT)                  COMMON STOCK    81721M109        2       100  SHARES                     X     1         0     0     100
SENOMYX INC                 COMMON STOCK    81724Q107        9       550  SHARES               X           1       550     0       0
SEPRACOR INC COM            COMMON STOCK    817315104      202      3425  SHARES               X           1      3425     0       0
SERVICEMASTER CO COM        COMMON STOCK    81760N109      196     14500  SHARES                     X     1         0     0   14500
7-ELEVEN INC                COMMON STOCK    817826209        7       200  SHARES               X           1       200     0       0
SEVERN BANCORP INC          COMMON STOCK    81811M100        7       400  SHARES               X           1       400     0       0
SEVERN BANCORP INC          COMMON STOCK    81811M100      455     24838  SHARES                     X     1     24838     0       0
SHAW GROUP INC COM          COMMON STOCK    820280105      170      6900  SHARES               X           1      6900     0       0
SHERWIN WILLIAMS CO COM     COMMON STOCK    824348106      229      5200  SHARES                     X     1       200     0    5000
SHUFFLE MASTER INC          COMMON STOCK    825549108      313     11870  SHARES               X           1     11870     0       0
SIEBEL SYSTEMS INC COM      COMMON STOCK    826170102        1       100  SHARES               X           1       100     0       0
SIERRA HEALTH SERVICES INC  COMMON STOCK    826322109       69      1000  SHARES               X           1      1000     0       0
SIGMATEL INCORPORATED       COMMON STOCK    82661W107       34      1700  SHARES               X           1      1700     0       0
SIGMATEL INCORPORATED       COMMON STOCK    82661W107       74      3700  SHARES         X                 3      3700     0       0
SILICON LABORATORIES INC    COMMON STOCK    826919102       33      1100  SHARES               X           1      1100     0       0
SIMON PROPERTY GRP INC
 (REIT)                     COMMON STOCK    828806109     1648     22240  SHARES               X           1     22240     0       0
SIMON PROPERTY GRP INC
 (REIT)                     COMMON STOCK    828806109     1396     18835  SHARES                     X     1     18835     0       0
SIRIUS SATELLITE RADIO INC
 COM                        COMMON STOCK    82966U103       84     12920  SHARES               X           1     12920     0       0
SIRIUS SATELLITE RADIO INC
 COM                        COMMON STOCK    82966U103        3       500  SHARES                     X     1       500     0       0
SKY FINANCIAL GROUP INC     COMMON STOCK    83080P103       28      1000  SHARES               X           1      1000     0       0
SKYWORKS SOLUTIONSINC       COMMON STOCK    83088M102        0        70  SHARES               X           1        70     0       0
SKYWORKS SOLUTIONSINC       COMMON STOCK    83088M102        2       280  SHARES                     X     1       280     0       0
SKYWORKS SOLUTIONS          COMMON STOCK    83088M102      851    121200  SHARES         X                 3    121200     0       0
SMITH INTL INC              COMMON STOCK    832110100     2935     88100  SHARES               X           1     88100     0       0
SMITH INTL INC              COMMON STOCK    832110100      293      8800  SHARES                     X     1      8800     0       0
SMITHFIELD FOODS INC        COMMON STOCK    832248108       59      2000  SHARES                     X     1      2000     0       0
JM SMUCKER CO               COMMON STOCK    832696405      142      2919  SHARES               X           1      2919     0       0
JM SMUCKER CO               COMMON STOCK    832696405      319      6576  SHARES                     X     1      5872     0     704
SMURFIT STONE CONTAINER
 CORP COM                   COMMON STOCK    832727101        6       550  SHARES               X           1       550     0       0
SNAP ON INC                 COMMON STOCK    833034101        5       125  SHARES               X           1       125     0       0
SNAP ON INC                 COMMON STOCK    833034101        5       150  SHARES                     X     1       150     0       0
SOLECTRON CORP              COMMON STOCK    834182107       37      9443  SHARES               X           1      9443     0       0
SOLECTRON CORP              COMMON STOCK    834182107       21      5317  SHARES                     X     1      5317     0       0
SONIC AUTOMOTIVE            COMMON STOCK A  83545G102      298     13400  SHARES         X                 3     13400     0       0
SONIC SOLUTIONS             COMMON STOCK    835460106       24      1100  SHARES               X           1      1100     0       0
SONICWALL INC               COMMON STOCK    835470105       41      6500  SHARES               X           1      6500     0       0
SONOCO PRODUCTS CO COM      COMMON STOCK    835495102       52      1900  SHARES                     X     1      1900     0       0
SONUS NETWORKS INC COM      COMMON STOCK    835916107       25      4300  SHARES               X           1      4300     0       0
SOUTH FINANCIAL GROUP
 INCORPORATED               COMMON STOCK    837841105        4       150  SHARES               X           1       150     0       0
SOUTH JERSEY INDUSTRIES INC COMMON STOCK    838518108       15       518  SHARES               X           1       518     0       0
SOUTHERN CO COM             COMMON STOCK    842587107     1050     29369  SHARES               X           1     28369     0    1000
SOUTHERN CO COM             COMMON STOCK    842587107     1191     33306  SHARES                     X     1     31091     0    2215
SOUTHERN UNION CO NEW COM   COMMON STOCK    844030106       85      3312  SHARES               X           1      3312     0       0
SOUTHWEST AIRLINES CO COM   COMMON STOCK    844741108      162     10904  SHARES               X           1     10904     0       0
SOUTHWEST AIRLINES CO COM   COMMON STOCK    844741108      120      8100  SHARES                     X     1      8100     0       0
SOUTHWEST GAS CORP COM      COMMON STOCK    844895102       27      1000  SHARES                     X     1      1000     0       0
SOUTHWESTERN ENERGY COMPANY COMMON STOCK    845467109      110      1500  SHARES               X           1      1500     0       0


                                    46 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
SOVEREIGN BANCORP INC       COMMON STOCK    845905108     4335    196669  SHARES               X           1    194074     0    2595
SOVEREIGN BANCORP INC       COMMON STOCK    845905108      359     16308  SHARES                     X     1     15908     0     400
SOVRAN SELF STORAGE INC     COMMON STOCK    84610H108       10       200  SHARES               X           1       200     0       0
SPATIALIGHT INC             COMMON STOCK    847248101      122     27700  SHARES               X           1     27700     0       0
SPEEDWAY MOTORSPORTS
 INCORPORATED               COMMON STOCK    847788106        4       100  SHARES               X           1       100     0       0
SPIRIT FINANCE CORP-REITS   COMMON STOCK    848568309       28      2500  SHARES                     X     1      2500     0       0
SPRINT NEXTEL CORP          COMMON STOCK    852061100     1351     56800  SHARES               X           1     56389     0     411
SPRINT NEXTEL CORP          COMMON STOCK    852061100      358     15060  SHARES                     X     1     14260     0     800
STAGE STORES INC            COMMON STOCK    85254C305      850     31650  SHARES         X                 3     31650     0       0
STANDARD PACIFIC CORP NEW   COMMON STOCK    85375C101       83      2000  SHARES                     X     1      2000     0       0
STANDARD REGISTER COMPANY   COMMON STOCK    853887107        7       500  SHARES               X           1       500     0       0
STANLEY WORKS COM           COMMON STOCK    854616109      562     12050  SHARES               X           1     12050     0       0
STANLEY WORKS COM           COMMON STOCK    854616109      485     10400  SHARES                     X     1      4400     0    6000
STAPLES INC COM             COMMON STOCK    855030102     6683    313481  SHARES               X           1    309200     0    4281
STAPLES INC COM             COMMON STOCK    855030102     1106     51890  SHARES                     X     1     51490     0     400
STARBUCKS CORP COM          COMMON STOCK    855244109      463      9245  SHARES               X           1      9245     0       0
STARBUCKS CORP COM          COMMON STOCK    855244109       80      1600  SHARES                     X     1      1600     0       0
STATE AUTO FINANCIAL CORP   COMMON STOCK    855707105      246      7765  SHARES               X           1      7765     0       0
STARWOOD HOTELS & RESORTS   COMMON STOCK    85590A203       16       284  SHARES               X           1       284     0       0
STARWOOD HOTELS & RESORTS   COMMON STOCK    85590A203       44       771  SHARES                     X     1         0     0     771
STARWOOD HTLS&RES           PAIRED SHS      85590A203      114      2000  SHARES         X                 3      2000     0       0
STATE STREET CORP           COMMON STOCK    857477103     1039     21232  SHARES               X           1     21232     0       0
STATE STREET CORP           COMMON STOCK    857477103     4389     89714  SHARES                     X     1     87214     0    2500
STATS CHIPPAC LTD           ADR             85771T104      364     58024  SHARES         X                 3     58024     0       0
STEELCASE INC CL A          COMMON STOCK    858155203       14      1000  SHARES                     X     1         0     0    1000
STERLING FINANCIAL CORP     COMMON STOCK    859317109     1247     61894  SHARES               X           1     30373     0   31521
STERLING FINANCIAL CORP     COMMON STOCK    859317109      141      7000  SHARES                     X     1      2000     0    5000
STREETTRACKS GOLD TRUST     COMMON STOCK    863307104       14       300  SHARES                     X     1       300     0       0
STRYKER CORP COM            COMMON STOCK    863667101      598     12100  SHARES               X           1     12100     0       0
STRYKER CORP COM            COMMON STOCK    863667101       74      1500  SHARES                     X     1         0     0    1500
STURM RUGER & CO INC COM    COMMON STOCK    864159108       10      1050  SHARES               X           1      1050     0       0
STURM RUGER & CO INC COM    COMMON STOCK    864159108        9      1000  SHARES                     X     1      1000     0       0
SUBURBAN PROPANE PARTNERS
 LP LIMITED                 COMMON STOCK    864482104        7       250  SHARES               X           1       250     0       0
SUBURBAN PROPANE PARTNERS
 LP LIMITED                 COMMON STOCK    864482104       26       900  SHARES                     X     1       300     0     600
SUN MICROSYSTEMS INC COM    COMMON STOCK    866810104       42     10600  SHARES               X           1     10600     0       0
SUN MICROSYSTEMS INC COM    COMMON STOCK    866810104       81     20600  SHARES                     X     1     20600     0       0
SUNOCO LOGISTICS PARTNERS
 LP                         COMMON STOCK    86764L108        8       200  SHARES                     X     1       200     0       0
SUNOCO INC COM              COMMON STOCK    86764P109      207      2646  SHARES               X           1      2646     0       0
SUNOCO INC COM              COMMON STOCK    86764P109       38       484  SHARES                     X     1       484     0       0
SUNOCO INC                  COMMON STOCK    86764P109     1691     21620  SHARES         X                 3     21470     0     150
SUNRISE SENIOR LIVING INC   COMMON STOCK    86768K106       37       550  SHARES                     X     1       550     0       0
SUNTRUST BANKS INC          COMMON STOCK    867914103      612      8807  SHARES               X           1      8807     0       0
SUNTRUST BANKS INC          COMMON STOCK    867914103     1800     25918  SHARES                     X     1     24218     0    1700
SUPERIOR ENERGY SERVICES
 INC COM                    COMMON STOCK    868157108       30      1300  SHARES               X           1      1300     0       0
SUPERVALU INC               COMMON STOCK    868536103       75      2400  SHARES               X           1      2400     0       0
SUSQUEHANNA BANCSHARES INC
 PA COM                     COMMON STOCK    869099101     1619     67363  SHARES               X           1     57351     0   10012
SUSQUEHANNA BANCSHARES INC
 PA COM                     COMMON STOCK    869099101       95      3971  SHARES                     X     1      3296     0     675
SYMANTEC CORP COM           COMMON STOCK    871503108     4347    191820  SHARES               X           1    188410     0    3410
SYMANTEC CORP COM           COMMON STOCK    871503108      307     13560  SHARES                     X     1     12986     0     574
SYMBOL TECHNOLOGIES INC     COMMON STOCK    871508107      185     19090  SHARES               X           1     17563     0    1527
SYMBOL TECHNOLOGIES INC     COMMON STOCK    871508107      100     10359  SHARES                     X     1      9796     0     563
SYMYX TECHNOLOGIES          COMMON STOCK    87155S108      922     35300  SHARES         X                 3     35300     0       0
SYNOPSYS INC COM            COMMON STOCK    871607107       73      3865  SHARES               X           1      3675     0     190


                                    47 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
SYNOPSYS INC COM            COMMON STOCK    871607107       34      1800  SHARES                     X     1       300     0    1500
SYNOVUS FINL CORP COM       COMMON STOCK    87161C105       22       800  SHARES                     X     1       800     0       0
SYNOVUS FINL CORP           COMMON STOCK    87161C105       72      2592  SHARES         X                 3      2592     0       0
SYSCO CORP                  COMMON STOCK    871829107     8018    255597  SHARES               X           1    249615     0    5982
SYSCO CORP                  COMMON STOCK    871829107    10911    347820  SHARES                     X     1    343985     0    3835
TECO ENERGY INC             COMMON STOCK    872375100      226     12546  SHARES               X           1     12546     0       0
TECO ENERGY INC             COMMON STOCK    872375100      447     24816  SHARES                     X     1     24516     0     300
TEPPCO PARTNERS LTD
 PARTNERS                   COMMON STOCK    872384102      122      3000  SHARES               X           1      3000     0       0
TF FINANCIAL CORP           COMMON STOCK    872391107      140      5000  SHARES               X           1      5000     0       0
TJX COMPANIES COM           COMMON STOCK    872540109        3       165  SHARES               X           1       165     0       0
TXU CORP COM                COMMON STOCK    873168108      265      2350  SHARES               X           1      2350     0       0
TXU CORP COM                COMMON STOCK    873168108      175      1550  SHARES                     X     1      1450     0     100
TANGER FACTORY OUTLET
 CENTERS INC                COMMON STOCK    875465106        6       200  SHARES                     X     1       200     0       0
TARGET CORP COM             COMMON STOCK    87612E106     7588    146123  SHARES               X           1    144893     0    1230
TARGET CORP COM             COMMON STOCK    87612E106     1338     25766  SHARES                     X     1     24791     0     975
TARGET CORP COM             COMMON STOCK    87612E114     2425     48221  SHARES         X                 3     48221     0       0
TASER INTERNATIONAL INC     COMMON STOCK    87651B104        1       200  SHARES                     X     1       200     0       0
TASTY BAKING CO WITH RIGHTS
 07/29/13                   COMMON STOCK    876553306        5       625  SHARES                     X     1       625     0       0
TECH DATA CORP COM          COMMON STOCK    878237106       22       600  SHARES                     X     1       600     0       0
TELEDYNE TECHNOLOGIES INC
 COM                        COMMON STOCK    879360105        9       275  SHARES               X           1       275     0       0
TELIK INC                   COMMON STOCK    87959M109     1001     61200  SHARES         X                 3     61200     0       0
TELLABS INC COM             COMMON STOCK    879664100       37      3500  SHARES               X           1      3500     0       0
TEMPLE INLAND INC           COMMON STOCK    879868107       25       600  SHARES               X           1       600     0       0
TENET HEALTHCARE CORP       COMMON STOCK    88033G100       17      1500  SHARES               X           1      1500     0       0
TENET HEALTHCARE            COMMON STOCK    88033G100       58      5137  SHARES         X                 3      5137     0       0
TERAYON COMMUNICATION SYS
 INC COM                    COMMON STOCK    880775101        0        44  SHARES               X           1        44     0       0
TEREX CORP                  COMMON STOCK    880779103       58      1175  SHARES                     X     1      1175     0       0
TESORO CORP                 COMMON STOCK    881609101      175      2600  SHARES               X           1      2600     0       0
TETRA TECHNOLOGIES INC      COMMON STOCK    88162F105       59      1900  SHARES               X           1      1900     0       0
TETRA TECHNOLOGIES          COMMON STOCK    88162F105      216      6900  SHARES         X                 3      6900     0       0
TEXAS INSTRUMENTS INC       COMMON STOCK    882508104     4763    140498  SHARES               X           1    140498     0       0
TEXAS INSTRUMENTS INC       COMMON STOCK    882508104     2772     81768  SHARES                     X     1     76393     0    5375
TEXTRON INC COM             COMMON STOCK    883203101      353      4918  SHARES               X           1      4918     0       0
TEXTRON INC COM             COMMON STOCK    883203101       79      1100  SHARES                     X     1       100     0    1000
THERMO ELECTRON CORP COM    COMMON STOCK    883556102       46      1500  SHARES               X           1      1500     0       0
THERMO ELECTRON CORP COM    COMMON STOCK    883556102       19       600  SHARES                     X     1       600     0       0
THIRD WAVE TECH INC         COMMON STOCK    88428W108      634    128100  SHARES         X                 3    128100     0       0
THOMAS & BETTS CORP         COMMON STOCK    884315102        3       100  SHARES               X           1       100     0       0
THORNBURG MTG INC (REIT)    COMMON STOCK    885218107      564     22495  SHARES               X           1     22495     0       0
THORNBURG MTG INC (REIT)    COMMON STOCK    885218107      135      5400  SHARES                     X     1      5400     0       0
3 COM CORP COM              COMMON STOCK    885535104        0       100  SHARES               X           1       100     0       0
3 COM CORP COM              COMMON STOCK    885535104        6      1400  SHARES                     X     1      1100     0     300
3M CO                       COMMON STOCK    88579Y101    16879    230080  SHARES               X           1    227518     0    2562
3M CO                       COMMON STOCK    88579Y101    12845    175092  SHARES                     X     1    159775     0   15317
3M COMPANY                  COMMON STOCK    88579Y101     2214     30185  SHARES         X                 2     30185     0       0
3M CO                       COMMON STOCK    88579Y101     8897    120725  SHARES         X                 3    115550     0    5175
TIDEWATER INC               COMMON STOCK    886423102       49      1000  SHARES               X           1      1000     0       0
TIFFANY & CO                COMMON STOCK    886547108       28       706  SHARES               X           1       706     0       0
TIME WARNER INC             COMMON STOCK    887317105     1119     61765  SHARES               X           1     61765     0       0
TIME WARNER INC             COMMON STOCK    887317105      933     51497  SHARES                     X     1     46572     0    4925
TIMKEN CO COM               COMMON STOCK    887389104       37      1240  SHARES                     X     1      1240     0       0
TIVO INC                    COMMON STOCK    888706108        6      1100  SHARES               X           1      1100     0       0
TODCO-CLASS A               COMMON STOCK    88889T107       86      2050  SHARES               X           1      2050     0       0


                                    48 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
TODCO-CLASS A               COMMON STOCK    88889T107      167      4000  SHARES         X                 3      4000     0       0
TOLL BROS INC               COMMON STOCK    889478103     5263    117815  SHARES               X           1    114965     0    2850
TOLL BROS INC               COMMON STOCK    889478103     1606     35945  SHARES                     X     1     35445     0     500
TOMPKINS TRUSTCO INC        COMMON STOCK    890110109       47      1080  SHARES               X           1      1080     0       0
TOOTSIE ROLL INDUSTRIES     COMMON STOCK    890516107       57      1798  SHARES               X           1      1798     0       0
TORO CO COM                 COMMON STOCK    891092108       63      1720  SHARES               X           1      1720     0       0
TOWER GROUP INC             COMMON STOCK    891777104       53      3500  SHARES                     X     1      3500     0       0
TRADESTATION GRP INC        COMMON STOCK    89267P105      510     50300  SHARES         X                 3     50300     0       0
TRANSACT TECHNOLOGIES INC
 COM                        COMMON STOCK    892918103       11      1400  SHARES               X           1      1400     0       0
TRANS WORLD ENTMT CO        COMMON STOCK    89336Q100      345     43700  SHARES         X                 3     43700     0       0
TRANSGENOMIC INC            COMMON STOCK    89365K206      114    114400  SHARES         X                 3    114400     0       0
TREDEGAR CORP               COMMON STOCK    894650100       42      3212  SHARES               X           1      3212     0       0
TRIAD HOSPITALS INC         COMMON STOCK    89579K109       95      2100  SHARES                     X     1         0     0    2100
TRIDENT MICROSYSTEMS INC    COMMON STOCK    895919108       48      1500  SHARES               X           1      1500     0       0
TRIBUNE CO NEW COM          COMMON STOCK    896047107       62      1833  SHARES                     X     1      1300     0     533
TRINITY INDUSTRIES INC      COMMON STOCK    896522109        4       100  SHARES               X           1       100     0       0
TRINITY INDUSTRIES INC      COMMON STOCK    896522109       57      1400  SHARES                     X     1      1400     0       0
TRIQUINT SEMICONDTR         COMMON STOCK    89674K103      865    245700  SHARES         X                 3    245700     0       0
TRUSTCO BANK CORP NY COM    COMMON STOCK    898349105       13      1000  SHARES               X           1      1000     0       0
TRUSTCO BANK CORP NY COM    COMMON STOCK    898349105      359     28643  SHARES                     X     1     28643     0       0
TUPPERWARE CORPORATION COM  COMMON STOCK    899896104       11       500  SHARES               X           1       500     0       0
TUPPERWARE CORPORATION COM  COMMON STOCK    899896104        6       250  SHARES                     X     1       250     0       0
TYSON FOODS INC COM         COMMON STOCK    902494103       22      1200  SHARES                     X     1      1200     0       0
UCBH HOLDINGS INC           COMMON STOCK    90262T308       16       885  SHARES               X           1       885     0       0
UCBH HOLDINGS INC           COMMON STOCK    90262T308     1141     62200  SHARES         X                 3     62200     0       0
UGI CORP                    COMMON STOCK    902681105      467     16600  SHARES               X           1     16600     0       0
UGI CORP                    COMMON STOCK    902681105      355     12600  SHARES                     X     1     12600     0       0
UST INC COM                 COMMON STOCK    902911106      310      7400  SHARES               X           1      7400     0       0
UST INC COM                 COMMON STOCK    902911106      318      7600  SHARES                     X     1      7600     0       0
U S BANCORP DEL COM NEW     COMMON STOCK    902973304     3112    110833  SHARES               X           1    109833     0    1000
U S BANCORP DEL COM NEW     COMMON STOCK    902973304      782     27854  SHARES                     X     1     22754     0    5100
ULTRA CLEAN HLDGS           COMMON STOCK    90385V107      270     45900  SHARES         X                 3     45900     0       0
UNION BANKSHARES
 CORPORATION                COMMON STOCK    905399101        8       200  SHARES                     X     1       200     0       0
UNION PACIFIC CORP COM      COMMON STOCK    907818108      924     12890  SHARES               X           1     12790     0     100
UNION PACIFIC CORP COM      COMMON STOCK    907818108      667      9303  SHARES                     X     1      8103     0    1200
UNISYS CORP                 COMMON STOCK    909214108        6       841  SHARES                     X     1       841     0       0
UNITED DOMINION REALTY
 TRUST (REIT)               COMMON STOCK    910197102       21       900  SHARES               X           1       900     0       0
UNITED DOMINION REALTY
 TRUST (REIT)               COMMON STOCK    910197102      212      8949  SHARES                     X     1      7949     0    1000
UNITED PARCEL SERVICE CL B  COMMON STOCK    911312106     6538     94570  SHARES               X           1     92814     0    1756
UNITED PARCEL SERVICE CL B  COMMON STOCK    911312106     1104     15970  SHARES                     X     1     14035     0    1935
UNITED RENTALS INC COM      COMMON STOCK    911363109      317     16095  SHARES               X           1     16095     0       0
UNITED STS STL CORP NEW     COMMON STOCK    912909108        8       179  SHARES               X           1       179     0       0
UNITED STS STL CORP NEW     COMMON STOCK    912909108       11       253  SHARES                     X     1       253     0       0
UNITED SURGICAL PARTNERS
 INTL                       COMMON STOCK    913016309      442     11299  SHARES               X           1     11299     0       0
UNITED SURGICAL PARTNERS
 INTL                       COMMON STOCK    913016309       29       750  SHARES                     X     1       750     0       0
UNITED TECHNOLOGIES CORP
 COM                        COMMON STOCK    913017109     6687    128999  SHARES               X           1    127129     0    1870
UNITED TECHNOLOGIES CORP
 COM                        COMMON STOCK    913017109     3042     58678  SHARES                     X     1     54978     0    3700
UNITEDHEALTH GROUP INC      COMMON STOCK    91324P102      273      4859  SHARES               X           1      4859     0       0
UNITEDHEALTH GROUP INC      COMMON STOCK    91324P102      240      4275  SHARES                     X     1      1475     0    2800
UNITEDHEALTH GROUP INC.     COMMON STOCK    91324P102     4483     79775  SHARES         X                 2     79775     0       0
UNITEDHEALTH GRP INC        COMMON STOCK    91324P102      618     11000  SHARES         X                 3     11000     0       0
UNITRIN INC COM             COMMON STOCK    913275103      176      3715  SHARES               X           1      3715     0       0
UNIVERSAL DISPLAY CP        COMMON STOCK    91347P105       52      4700  SHARES         X                 3      4700     0       0


                                    49 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
UNVL HEALTH SERVICES INC
 CL B                       COMMON STOCK    913903100       17       360  SHARES               X           1       360     0       0
UNIVISION COMMUNICATIONS
 INC COM                    COMMON STOCK    914906102        7       280  SHARES               X           1       280     0       0
UNIVEST CORP OF PA          COMMON STOCK    915271100       68      2454  SHARES               X           1      2454     0       0
UNUMPROVIDENT CORPORATION   COMMON STOCK    91529Y106     1347     65710  SHARES         X                 2     65710     0       0
UNUMPROVIDENT COR           COMMON STOCK    91529Y106       55      2695  SHARES         X                 3      2695     0       0
URBAN OUTFITTERS INC        COMMON STOCK    917047102      410     13930  SHARES               X           1     13930     0       0
URSTADT BIDDLE PPTYS INC
 CL A (REIT)                COMMON STOCK    917286205       45      3000  SHARES                     X     1      3000     0       0
V F CORP                    COMMON STOCK    918204108       58      1000  SHARES               X           1      1000     0       0
V F CORP                    COMMON STOCK    918204108      605     10440  SHARES                     X     1     10440     0       0
VALERO L P                  COMMON STOCK    91913W104       19       335  SHARES               X           1       335     0       0
VALERO L P                  COMMON STOCK    91913W104      285      5000  SHARES         X                 3         0     0    5000
VALERO ENERGY CORP COM      COMMON STOCK    91913Y100      435      3850  SHARES               X           1      3850     0       0
VALERO ENERGY CORP COM      COMMON STOCK    91913Y100      204      1800  SHARES                     X     1      1800     0       0
VALERO ENERGY CORP          COMMON STOCK    91913Y100     2136     18900  SHARES         X                 3     18900     0       0
VALSPAR CORP                COMMON STOCK    920355104        5       240  SHARES               X           1       240     0       0
VAN KAMPEN MUNI OPP
 TRUST II                   COMMON STOCK    920944105       12       910  SHARES               X           1       910     0       0
VARIAN INC                  COMMON STOCK    922206107        4       120  SHARES               X           1       120     0       0
VARIAN SEMICONDUCTOR EQUIP
 ASSOC COM                  COMMON STOCK    922207105        5       120  SHARES               X           1       120     0       0
VARIAN MEDICAL SYS INC COM  COMMON STOCK    92220P105     2956     74807  SHARES               X           1     72780     0    2027
VARIAN MEDICAL SYS INC COM  COMMON STOCK    92220P105       81      2045  SHARES                     X     1      1470     0     575
VARIAN MED SYS INC          COMMON STOCK    92220P105     7819    188863  SHARES         X                 3    185334     0    3529
VASOMEDICAL INC             COMMON STOCK    922321104        1      1500  SHARES               X           1      1500     0       0
VASOGEN INC                 COMMON STOCK    92232F103       97     45900  SHARES         X                 3     45900     0       0
VERISIGN INC COM            COMMON STOCK    92343E102     4829    225962  SHARES               X           1    219640     0    6322
VERISIGN INC COM            COMMON STOCK    92343E102      202      9435  SHARES                     X     1      6785     0    2650
VERISIGN INC                COMMON STOCK    92343E110     9439    428956  SHARES         X                 3    419660     0    9296
VERIZON COMMUNICATIONS COM  COMMON STOCK    92343V104    18598    568922  SHARES               X           1    559164     0    9758
VERIZON COMMUNICATIONS COM  COMMON STOCK    92343V104       29       901  SHARES               X           3       901     0       0
VERIZON COMMUNICATIONS COM  COMMON STOCK    92343V104    10772    329505  SHARES                     X     1    308562     0   20943
VERIZON COMMUNICATIONS      COMMON STOCK    92343V104     2095     64075  SHARES         X                 2     64075     0       0
VERIZON COMMUNICATIONS COM  COMMON STOCK    92343V104     5072    155124  SHARES         X                 3    150814     0    4310
VERTRUE INC                 COMMON STOCK    92534N101      912     25100  SHARES         X                 3     25100     0       0
VIACOM INC CL A             COMMON STOCK    925524100       13       400  SHARES               X           1       400     0       0
VIACOM INC CL A             COMMON STOCK    925524100       15       450  SHARES                     X     1       450     0       0
VIACOM INC CL B             COMMON STOCK    925524308     2844     86164  SHARES               X           1     86014     0     150
VIACOM INC CL B             COMMON STOCK    925524308     1070     32401  SHARES                     X     1     29170     0    3231
VIASAT INC                  COMMON STOCK    92552V100      128      5000  SHARES         X                 3      5000     0       0
VISHAY INTERTECHNOLOGY INC
 COM                        COMMON STOCK    928298108       12      1000  SHARES               X           1      1000     0       0
VISTEON CORP COM            COMMON STOCK    92839U107        1        78  SHARES               X           1        78     0       0
VISTEON CORP COM            COMMON STOCK    92839U107       28      2875  SHARES                     X     1      2745     0     130
VISTEON CORP                COMMON STOCK    92839U107       13      1300  SHARES         X                 3      1300     0       0
VOLCOM INC                  COMMON STOCK    92864N101      148      5300  SHARES         X                 3      5300     0       0
WD 40 CO COM                COMMON STOCK    929236107       58      2200  SHARES                     X     1      2200     0       0
WGL HLDGS INC COM           COMMON STOCK    92924F106      109      3382  SHARES                     X     1      3382     0       0
WGL HLDGS INC COM           COMMON STOCK    92924F106      586     18228  SHARES         X                 3     18228     0       0
WPS RESOURCES CORP          COMMON STOCK    92931B106       46       800  SHARES               X           1       800     0       0
WPS RESOURCES CORP          COMMON STOCK    92931B106       20       350  SHARES                     X     1       350     0       0
WACHOVIA CORP COM           COMMON STOCK    929903102    13824    290480  SHARES               X           1    282502     0    7978
WACHOVIA CORP COM           COMMON STOCK    929903102     5518    115959  SHARES                     X     1    107184     0    8775
WADDELL & REED FINL INC
 CL A                       COMMON STOCK    930059100       23      1200  SHARES               X           1      1200     0       0
WADDELL & REED FINL INC
 CL A                       COMMON STOCK    930059100       38      1950  SHARES                     X     1      1950     0       0
WAL MART STORES INC COM     COMMON STOCK    931142103    15346    350206  SHARES               X           1    345350     0    4856
WAL MART STORES INC COM     COMMON STOCK    931142103     5544    126520  SHARES                     X     1    116900     0    9620


                                    50 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        
WALGREEN CO                 COMMON STOCK    931422109     1164     26796  SHARES               X           1     25846     0     950
WALGREEN CO                 COMMON STOCK    931422109     1011     23267  SHARES                     X     1     15817     0    7450
WALTER INDS INC             COMMON STOCK    93317Q105      164      3350  SHARES               X           1      3350     0       0
WALTER INDS INC             COMMON STOCK    93317Q105     2494     51000  SHARES         X                 3     51000     0       0
WASHINGTON MUTUAL COM       COMMON STOCK    939322103     1573     40096  SHARES               X           1     39671     0     425
WASHINGTON MUTUAL COM       COMMON STOCK    939322103      755     19244  SHARES                     X     1     18244     0    1000
WASHINGTON REAL ESTATE INVT
 (REIT)                     COMMON STOCK    939653101      190      6099  SHARES               X           1      6099     0       0
WASHINGTON REAL ESTATE INVT
 (REIT)                     COMMON STOCK    939653101       19       600  SHARES                     X     1       100     0     500
WASTE CONNECTIONS INC       COMMON STOCK    941053100      362     10325  SHARES               X           1     10325     0       0
WASTE MANAGEMENT INC COM    COMMON STOCK    94106L109       22       774  SHARES               X           1       774     0       0
WASTE MANAGEMENT INC COM    COMMON STOCK    94106L109      133      4647  SHARES                     X     1      3147     0    1500
WASTE MANAGEMENT INC        COMMON STOCK    94106L109      147      5150  SHARES         X                 3      5150     0       0
WATER PIK TECHNOLOGIES INC
 COM                        COMMON STOCK    94113U100        2        96  SHARES               X           1        96     0       0
WATSON PHARMACEUTICALS INC
 COM                        COMMON STOCK    942683103       56      1526  SHARES                     X     1      1526     0       0
WEBSENSE INC                COMMON STOCK    947684106       20       400  SHARES               X           1       400     0       0
WEBMD CORP COM              COMMON STOCK    94769M105        4       350  SHARES               X           1       350     0       0
WEBSTER FINL CORP WATERBURY
 COM                        COMMON STOCK    947890109       27       600  SHARES               X           1       600     0       0
WEIGHT WATCHERS INTL INC
 NEW                        COMMON STOCK    948626106       19       375  SHARES               X           1       375     0       0
WEINGARTEN REALTY INVESTORS
 (REIT)                     COMMON STOCK    948741103       49      1299  SHARES               X           1      1299     0       0
WEIS MARKETS INC            COMMON STOCK    948849104       18       450  SHARES               X           1         0     0     450
WEIS MARKETS INC            COMMON STOCK    948849104       61      1518  SHARES                     X     1         0     0    1518
WELLPOINT INC               COMMON STOCK    94973V107      108      1420  SHARES               X           1      1420     0       0
WELLPOINT INC               COMMON STOCK    94973V107      428      5650  SHARES         X                 3      5650     0       0
WELLS FARGO & CO            COMMON STOCK    949746101    12306    210101  SHARES               X           1    208951     0    1150
WELLS FARGO & CO            COMMON STOCK    949746101     5159     88083  SHARES                     X     1     85135     0    2948
WENDYS INTL INC COM         COMMON STOCK    950590109      144      3200  SHARES               X           1      3200     0       0
WENDYS INTL INC COM         COMMON STOCK    950590109        9       200  SHARES                     X     1       200     0       0
WERNER ENTERPRISES INC      COMMON STOCK    950755108     3535    204444  SHARES               X           1    195244     0    9200
WERNER ENTERPRISES INC      COMMON STOCK    950755108      121      6995  SHARES                     X     1      6995     0       0
WESTAR ENERGY INC           COMMON STOCK    95709T100        7       300  SHARES               X           1       300     0       0
WESTAR ENERGY INC           COMMON STOCK    95709T100       39      1600  SHARES                     X     1      1000     0     600
WEYERHAEUSER CO COM         COMMON STOCK    962166104      192      2799  SHARES               X           1      2799     0       0
WEYERHAEUSER CO COM         COMMON STOCK    962166104      493      7171  SHARES                     X     1      6373     0     798
WHEELING-PITTSBURG CORP     COMMON STOCK    963142302        4       245  SHARES               X           1       245     0       0
WHIRLPOOL CORP COM          COMMON STOCK    963320106       68       892  SHARES               X           1       892     0       0
WHIRLPOOL CORP COM          COMMON STOCK    963320106       56       742  SHARES                     X     1       742     0       0
WHOLE FOODS MKT INC COM     COMMON STOCK    966837106       84       625  SHARES               X           1       625     0       0
WILLIAMS COMPANY INC (THE)  COMMON STOCK    969457100       55      2177  SHARES               X           1      2177     0       0
WILLIAMS COMPANY INC (THE)  COMMON STOCK    969457100       75      2983  SHARES                     X     1      1783     0    1200
WILLIAM SONOMA INC COM      COMMON STOCK    969904101      382      9965  SHARES               X           1      9965     0       0
WILMINGTON TRUST CORP       COMMON STOCK    971807102        7       200  SHARES                     X     1       200     0       0
WIND RIV SYS INC            COMMON STOCK    973149107        8       600  SHARES               X           1       600     0       0
WIRELESS FACILITIES INC     COMMON STOCK    97653A103       22      3800  SHARES               X           1      3800     0       0
WIRELESS FACILITIES INC     COMMON STOCK    97653A103       46      8000  SHARES         X                 3      8000     0       0
WISCONSIN ENERGY CORP COM   COMMON STOCK    976657106      208      5200  SHARES               X           1      5200     0       0
WISCONSIN ENERGY CORP COM   COMMON STOCK    976657106      183      4575  SHARES                     X     1      4575     0       0
WORLD AIR HOLDINGS INC      COMMON STOCK    98142V104       15      1400  SHARES                     X     1      1400     0       0
WORTHINGTON INDS INC COM    COMMON STOCK    981811102      273     13000  SHARES                     X     1         0     0   13000
WRIGLEY WM JR CO            COMMON STOCK    982526105      230      3200  SHARES               X           1      3200     0       0
WRIGLEY WM JR CO            COMMON STOCK    982526105      551      7670  SHARES                     X     1      7070     0     600
WYETH                       COMMON STOCK    983024100    18312    395759  SHARES               X           1    390864     0    4895
WYETH                       COMMON STOCK    983024100    16231    350797  SHARES                     X     1    300764     0   50033
WYNN RESORTS LIMITED        COMMON STOCK    983134107        5       100  SHARES               X           1       100     0       0


                                    51 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                      
XM SATELLITE RADIO HLDGS
 INC                        COMMON STOCK    983759101      390     10860  SHARES               X           1     10860     0       0
XM SATELLITE RADIO HLDGS
 INC                        COMMON STOCK    983759101        4       100  SHARES                     X     1       100     0       0
X-RITE INC COM              COMMON STOCK    983857103        3       250  SHARES               X           1       250     0       0
XTO ENERGY INC COM          COMMON STOCK    98385X106     1794     39585  SHARES               X           1     39585     0       0
XTO ENERGY INC COM          COMMON STOCK    98385X106      144      3183  SHARES                     X     1      3183     0       0
XTO ENERGY INC              COMMON STOCK    98385X106     1838     40566  SHARES         X                 3     40566     0       0
XCEL ENERGY INC COM         COMMON STOCK    98389B100       50      2566  SHARES               X           1      2566     0       0
XCEL ENERGY INC COM         COMMON STOCK    98389B100      246     12554  SHARES                     X     1     12554     0       0
XCEL ENERGY, INC.           COMMON STOCK    98389B100      256     13050  SHARES         X                 2     13050     0       0
XCEL ENERGY INC             COMMON STOCK    98389B100     1365     69628  SHARES         X                 3     69628     0       0
XEROX CORP                  COMMON STOCK    984121103      149     10897  SHARES               X           1     10897     0       0
XEROX CORP                  COMMON STOCK    984121103      190     13940  SHARES                     X     1     10940     0    3000
YAHOO INC COM               COMMON STOCK    984332106       60      1786  SHARES               X           1      1786     0       0
YAHOO INC COM               COMMON STOCK    984332106       17       500  SHARES                     X     1       500     0       0
YORK INTL CORP NEW COM      COMMON STOCK    986670107       50       900  SHARES               X           1       900     0       0
YORK INTL CORP NEW COM      COMMON STOCK    986670107       42       745  SHARES                     X     1       745     0       0
YORK WATER COMPANY          COMMON STOCK    987184108     1416     54809  SHARES               X           1     54809     0       0
YORK WATER COMPANY          COMMON STOCK    987184108     1209     46796  SHARES                     X     1     46796     0       0
YUM! BRANDS INC             COMMON STOCK    988498101      483      9986  SHARES               X           1      9986     0       0
YUM! BRANDS INC             COMMON STOCK    988498101      411      8500  SHARES                     X     1      6580     0    1920
ZEBRA TECHNOLOGIES CORP
 CL A                       COMMON STOCK    989207105       88      2250  SHARES                     X     1      2250     0       0
ZIMMER HLDGS INC COM        COMMON STOCK    98956P102     4883     70887  SHARES               X           1     69410     0    1477
ZIMMER HLDGS INC COM        COMMON STOCK    98956P102     1081     15688  SHARES                     X     1     15208     0     480
ZIMMER HOLDINGS
 INCORPORATED               COMMON STOCK    98956P102     1670     24245  SHARES         X                 2     24245     0       0
ZIMMER HLDGS INC COM        COMMON STOCK    98956P102     8303    118372  SHARES         X                 3    114592     0    3780
ZIONS BANCORPORATION COM    COMMON STOCK    989701107     3541     49722  SHARES               X           1     48189     0    1533
ZIONS BANCORPORATION COM    COMMON STOCK    989701107       99      1390  SHARES                     X     1       400     0     990
ZORAN CORP                  COMMON STOCK    98975F101        4       300  SHARES               X           1       300     0       0
ACE LIMITED                 COMMON STOCK    G0070K103      132      2800  SHARES         X                 3      2800     0       0
ARLINGTON TANKERS LTD       COMMON STOCK    G04899103     2419    103250  SHARES         X                 2    103250     0       0
BUNGE LIMITED               COMMON STOCK    G16962105      977     18565  SHARES         X                 2     18565     0       0
COOPER INDS LTD             COMMON STOCK A  G24182100       63       910  SHARES         X                 3       910     0       0
FOSTER WHEELER LTD          COMMON STOCK    G36535139      151      4900  SHARES         X                 3      4900     0       0
HELEN OF TROY LTD           COMMON STOCK    G4388N106        6       300  SHARES                     X     1       300     0       0
INGERSOLL-RAND CO           COMMON STOCK A  G4776G101     2623     68600  SHARES         X                 3     68600     0       0
NABORS INDS LTD             COMMON STOCK    G6359F103     7044    100818  SHARES         X                 3    100818     0       0
NOBLE CORPORATION           COMMON STOCK    G65422100       87      1275  SHARES         X                 3      1275     0       0
SEAGATE TECHNOLOGY          COMMON STOCK    G7945J104       96      6054  SHARES                     X     1      6054     0       0
TRANSOCEAN INC              COMMON STOCK    G90078109      786     12815  SHARES               X           1     12815     0       0
TRANSOCEAN INC              COMMON STOCK    G90078109      159      2599  SHARES                     X     1      2599     0       0
TRANSOCEAN INC              ORDINARY        G90078109      181      2949  SHARES         X                 3      2949     0       0
WEATHERFORD INTL LTD        COMMON STOCK    G95089101     3022     46830  SHARES         X                 3     46830     0       0
XL CAP LTD                  COMMON STOCK A  G98255105       90      1325  SHARES         X                 3      1325     0       0
SYNERON MEDICAL LTD         COMMON STOCK    M87245102       80      2200  SHARES         X                 3      2200     0       0
TARO PHARM INDS LTD         ORD             M8737E108      620     24100  PRINCIPAL      X                 3     24100     0       0
ON TRACK INNOVATION         COMMON STOCK    M8791A109       71      5500  SHARES         X                 3      5500     0       0
ROYAL CARIBBEAN CRUS        COMMON STOCK    V7780T103     1020     23600  SHARES         X                 3     23600     0       0
GENERAL MARITIME CORP       COMMON STOCK    Y2692M103       18       500  SHARES               X           1       500     0       0
OMI CORP COM NEW            COMMON STOCK    Y6476W104       46      2600  SHARES               X           1      2600     0       0

SUBTOTALS FOR DOMESTIC
 COMMON STOCKS                                         3646009  97308847                                      94284064     0 3024783


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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
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                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
A. COMMON STOCK

FOREIGN COMMON STOCK/ADR'S

ABN AMRO HOLDINGS NV SPON
 ADR                        COMMON STOCK    000937102        8       350  SHARES                     X     1       350     0       0
AEGON NV ORD AMER REG SHS   COMMON STOCK    007924103      238     15946  SHARES               X           1     15946     0       0
AEGON NV ORD AMER REG SHS   COMMON STOCK    007924103       14       908  SHARES                     X     1       908     0       0
AGNICO EAGLE MINES LTD      COMMON STOCK    008474108        4       250  SHARES               X           1       250     0       0
ALCAN INC                   COMMON STOCK    013716105       43      1350  SHARES                     X     1      1350     0       0
ALLIED IRISH BKS PLC-SPON
 ADR                        COMMON STOCK    019228402    59257   1387762  SHARES               X           1    973071 32963  381728
ALLIED IRISH BKS PLC-SPON
 ADR                        COMMON STOCK    019228402    19613    459327  SHARES                     X     1    348415     0  110912
AMERICA MOVIL SA - SPONS
 ADR SER L                  COMMON STOCK    02364W105      318     12076  SHARES               X           1     12076     0       0
AMERICA MOVIL SA - SPONS
 ADR SER L                  COMMON STOCK    02364W105      111      4200  SHARES                     X     1      1200     0    3000
AMERICA MOVIL - ADR SERIES
 A                          COMMON STOCK    02364W204      157      6000  SHARES               X           1      6000     0       0
ANGLO AMERICAN PLC ADR      COMMON STOCK    03485P102        7       225  SHARES               X           1       225     0       0
ANGLO AMERICAN PLC ADR      COMMON STOCK    03485P102      101      3331  SHARES                     X     1      3331     0       0
ANGLOGOLD ASHANTI SPON ADR  COMMON STOCK    035128206        5       110  SHARES               X           1       110     0       0
ASTRAZENECA GROUP PLC
 SPONSORED ADR              COMMON STOCK    046353108       66      1400  SHARES               X           1      1400     0       0
ASTRAZENECA GROUP PLC
 SPONSORED ADR              COMMON STOCK    046353108       23       485  SHARES                     X     1       485     0       0
AXA SPONSORED ADR           COMMON STOCK    054536107        6       236  SHARES                     X     1       236     0       0
BP PLC SPONSORED ADR        COMMON STOCK    055622104    21082    297552  SHARES               X           1    296568     0     984
BP PLC SPONSORED ADR        COMMON STOCK    055622104       31       444  SHARES               X           3       444     0       0
BP PLC SPONSORED ADR        COMMON STOCK    055622104    16337    230580  SHARES                     X     1    207506     0   23074
BP PLC SPONSORED ADR        COMMON STOCK    055622104      220      3100  SHARES         X                 3       984     0    2116
BT GROUP PLC-SPON ADR       COMMON STOCK    05577E101       10       250  SHARES                     X     1       250     0       0
BALLARD PWR SYS INC         COMMON STOCK    05858H104        4       800  SHARES               X           1       800     0       0
BARRICK GOLD CORP           COMMON STOCK    067901108        6       200  SHARES               X           1       200     0       0
BARRICK GOLD CORP           COMMON STOCK    067901108       81      2800  SHARES                     X     1      2800     0       0
BAYER AG SPONSORED ADR      COMMON STOCK    072730302       37      1000  SHARES                     X     1      1000     0       0
BHP BILLITON LTD SPONSORED
 ADR                        COMMON STOCK    088606108       31       895  SHARES               X           1       895     0       0
BHP BILLITON LTD SPONSORED
 ADR                        COMMON STOCK    088606108      104      3032  SHARES                     X     1      2000     0    1032
BIOTECH HOLDRS TRUST        COMMON STOCK    09067D201       31       160  SHARES               X           1       160     0       0
BIOTECH HOLDRS TRUST        COMMON STOCK    09067D201       38       200  SHARES                     X     1       200     0       0
CNOOC LTD -ADR              COMMON STOCK    126132109       10       136  SHARES               X           1       136     0       0
CNOOC LTD -ADR              COMMON STOCK    126132109       22       300  SHARES                     X     1       300     0       0
CABLE & WIRELESS PLC SPONS
 ADR                        COMMON STOCK    126830207        2       200  SHARES               X           1       200     0       0
CADBURY SCHWEPPES PLC SPONS
 ADR                        COMMON STOCK    127209302        4       100  SHARES                     X     1       100     0       0
CAMECO CORPORATION          COMMON STOCK    13321L108       20       375  SHARES               X           1       375     0       0
CANADIAN NATIONAL RAILWAY
 COMPANY                    COMMON STOCK    136375102      101      1425  SHARES               X           1      1425     0       0
CANADIAN NATIONAL RAILWAY
COMPANY                     COMMON STOCK    136375102       43       600  SHARES                     X     1       600     0       0
CANON INC SPONS ADR         COMMON STOCK    138006309       11       200  SHARES                     X     1       200     0       0
CELESTICA INC COM           COMMON STOCK    15101Q108        6       505  SHARES         X                 3       505     0       0
CEMEX S A SPONS ADR PART
 CER                        COMMON STOCK    151290889        5       100  SHARES               X           1       100     0       0
CHICAGO BRIDGE & IRON
 CO N V COM                 COMMON STOCK    167250109     2773     89201  SHARES               X           1     87389     0    1812
CHICAGO BRIDGE & IRON
 CO N V COM                 COMMON STOCK    167250109      158      5095  SHARES                     X     1      2925     0    2170
CHICAGO BRIDGE & IRON
 CO N V COM                 COMMON STOCK    167250109      756     24313  SHARES         X                 3     21884     0    2429
CHINA MOBILE HK LTD SPON
 ADR #451                   COMMON STOCK    16941M109        7       300  SHARES                     X     1       300     0       0
COMPANHIA VALE DO RIO
 DOCE-ADR                   COMMON STOCK    204412209       12       269  SHARES               X           1       269     0       0
DEUTSCHE TELEKOM AG
 SPONSORED ADR              COMMON STOCK    251566105        7       376  SHARES                     X     1       376     0       0
DIAGEO PLC SPONSORED ADR    COMMON STOCK    25243Q205      197      3395  SHARES               X           1      3395     0       0


                                    53 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
DIAGEO PLC SPONSORED ADR    COMMON STOCK    25243Q205       29       500  SHARES         X                 3       500     0       0
DR REDDYS LABS LTD ADR      COMMON STOCK    256135203       19      1000  SHARES               X           1      1000     0       0
DRDGOLD LTD ADR             COMMON STOCK    26152H103        8      6000  SHARES               X           1      6000     0       0
DUSA PHARMACEUTICALS
 INCORPORATED               COMMON STOCK    266898105       45      4200  SHARES                     X     1      4200     0       0
ENCANA CORP                 COMMON STOCK    292505104       25       425  SHARES               X           1       425     0       0
ENCANA CORP                 COMMON STOCK    292505104       35       600  SHARES                     X     1       600     0       0
ENDESA S A  SPONSORED ADR   COMMON STOCK    29258N107      109      4068  SHARES               X           1      4068     0       0
ENDESA S A  SPONSORED ADR   COMMON STOCK    29258N107       21       800  SHARES                     X     1       800     0       0
ENDO PHARMACEUTICALS HLDGS
 INC                        COMMON STOCK    29264F205       27      1000  SHARES               X           1      1000     0       0
ENERPLUS RESOURCES FUND     COMMON STOCK    29274D604        5       100  SHARES               X           1       100     0       0
ENERPLUS RESOURCES FUND     COMMON STOCK    29274D604       24       500  SHARES                     X     1       500     0       0
ENTERRA ENERGY TRUST        COMMON STOCK    29381P102       99      4000  SHARES                     X     1      4000     0       0
TELEFONAKTIEBOLAGET LM
 ERICSSON ADR               COMMON STOCK    294821608       16       430  SHARES               X           1       430     0       0
TELEFONAKTIEBOLAGET LM
 ERICSSON ADR               COMMON STOCK    294821608       55      1480  SHARES                     X     1      1480     0       0
FALCONBRIDGE LTD            COMMON STOCK    306104100       53      2000  SHARES               X           1      2000     0       0
FALCONBRIDGE LTD            COMMON STOCK    306104100       32      1200  SHARES                     X     1      1200     0       0
FORDING CANADIAN COAL TRUST COMMON STOCK    345425102     5080    119331  SHARES               X           1    115978     0    3353
FORDING CANADIAN COAL TRUST COMMON STOCK    345425102      711     16692  SHARES                     X     1     10782     0    5910
FORDING CANADIAN COAL TRUST COMMON STOCK    345425102      805     18911  SHARES         X                 3     16175     0    2736
FRESENIUS MED CARE          COMMON STOCK    358029106        1        41  SHARES               X           1        41     0       0
GALLAHER GROUP PLC SPON ADR COMMON STOCK    363595109      193      3105  SHARES               X           1      3105     0       0
GALLAHER GROUP PLC SPON ADR COMMON STOCK    363595109      149      2402  SHARES                     X     1      2294     0     108
GLAXOSMITHKLINE PLC ADR     COMMON STOCK    37733W105      906     17667  SHARES               X           1     17667     0       0
GLAXOSMITHKLINE PLC ADR     COMMON STOCK    37733W105     1724     33616  SHARES                     X     1     26461     0    7155
GOLD FIELDS LIMITED ADR     COMMON STOCK    38059T106        4       250  SHARES               X           1       250     0       0
GOLDCORP INC                COMMON STOCK    380956409       20      1000  SHARES               X           1      1000     0       0
GOLDEN STAR RESOURCES LTD   COMMON STOCK    38119T104       13      4000  SHARES               X           1      4000     0       0
GROUPE DANONE SPONS ADR     COMMON STOCK    399449107       22      1000  SHARES                     X     1      1000     0       0
GRUPO TELEVISA SA SPONS ADR COMMON STOCK    40049J206        7       100  SHARES                     X     1       100     0       0
HSBC HOLDINGS PLC SPON ADR  COMMON STOCK    404280406      108      1328  SHARES               X           1      1328     0       0
HSBC HOLDINGS PLC SPON ADR  COMMON STOCK    404280406       97      1190  SHARES                     X     1      1190     0       0
HARMONY GOLD MINING SPON
 ADR                        COMMON STOCK    413216300       27      2425  SHARES               X           1      2425     0       0
HELLENIC TELECOMMUNICATIONS
 ORG ADR                    COMMON STOCK    423325307        1        50  SHARES               X           1        50     0       0
HONDA MTR LTD AMERN SHS     COMMON STOCK    438128308        6       200  SHARES               X           1       200     0       0
HUANENG POWER INTL-SPONS
 ADR                        COMMON STOCK    443304100       87      2920  SHARES                     X     1      2920     0       0
ICICI BANK LIMITED
 SPONSORED ADR              COMMON STOCK    45104G104        6       200  SHARES               X           1       200     0       0
IMPERIAL OIL LTD            COMMON STOCK    453038408        6        49  SHARES               X           1        49     0       0
INFOSYS TECHNOLOGIES
 LTDSPON ADR                COMMON STOCK    456788108       52       700  SHARES               X           1       700     0       0
BANK OF IRELAND SPONSORED
 ADR                        COMMON STOCK    46267Q103      159      2500  SHARES                     X     1      2500     0       0
KINROSS GOLD CORPORATION    COMMON STOCK    496902404       15      1969  SHARES               X           1      1969     0       0
KONINKLIJKE AHOLD NV SPONS
 ADR                        COMMON STOCK    500467303       16      2060  SHARES                     X     1      2060     0       0
KONINKLIJKE PHILIPS ELEC
 N V NY SHR                 COMMON STOCK    500472303       34      1275  SHARES               X           1      1275     0       0
KONINKLIJKE PHILIPS ELEC
 N V NY SHR                 COMMON STOCK    500472303       13       500  SHARES                     X     1       500     0       0
LLOYDS TSB GROUP PLC ADR    COMMON STOCK    539439109        3       100  SHARES                     X     1       100     0       0
MI DEVELOPMENTS INC         COMMON STOCK    55304X104       20       600  SHARES                     X     1       600     0       0
MAGNA INTL INC CL A         COMMON STOCK    559222401       45       600  SHARES               X           1       600     0       0
MAGNA INTL INC CL A         COMMON STOCK    559222401       11       150  SHARES                     X     1       150     0       0
MANULIFE FINANCIAL CORP     COMMON STOCK    56501R106      877     16441  SHARES               X           1     16441     0       0
MANULIFE FINANCIAL CORP     COMMON STOCK    56501R106       26       493  SHARES                     X     1       493     0       0
MITTAL STEEL COMPANY NV-CL
 A NY REG                   COMMON STOCK    60684P101       11       398  SHARES               X           1       398     0       0
NAM TAI ELECTRONICS
INCORPORATED                COMMON STOCK    629865205       13       500  SHARES                     X     1         0     0     500
NATIONAL AUSTRALIA BK LTD   COMMON STOCK    632525408      126      1000  SHARES                     X     1      1000     0       0
NATIONAL GRID GROUP PLC-ADR COMMON STOCK    636274300        8       175  SHARES                     X     1       175     0       0


                                    54 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
NISSAN MTR LTD SPONSORED
 ADR                        COMMON STOCK    654744408       60      2594  SHARES               X           1      2594     0       0
NOKIA CORP SPONSORED ADR    COMMON STOCK    654902204     1169     69142  SHARES               X           1     69142     0       0
NOKIA CORP SPONSORED ADR    COMMON STOCK    654902204      474     28051  SHARES                     X     1     27251     0     800
NORTEL NETWORKS CORP        COMMON STOCK    656568102        9      2732  SHARES               X           1      2732     0       0
NORTEL NETWORKS CORP        COMMON STOCK    656568102        3       889  SHARES                     X     1       889     0       0
NOVARTIS AG ADR             COMMON STOCK    66987V109     4430     86858  SHARES               X           1     84347     0    2511
NOVARTIS AG ADR             COMMON STOCK    66987V109      208      4070  SHARES                     X     1      2550     0    1520
NOVARTIS AG ADR             COMMON STOCK    66987V109     1343     26329  SHARES         X                 3     22663     0    3666
NOVELIS INC                 COMMON STOCK    67000X106        6       270  SHARES                     X     1       270     0       0
PETRO-CANADA                COMMON STOCK    71644E102       67      1600  SHARES                     X     1      1600     0       0
PETROLEO BRASILEIRO SA ADR  COMMON STOCK    71654V101       13       200  SHARES               X           1       200     0       0
PLACER DOME INC             COMMON STOCK    725906101       21      1212  SHARES                     X     1      1212     0       0
POPULAR INC                 COMMON STOCK    733174106       24      1000  SHARES                     X     1      1000     0       0
PROVIDENT ENERGY TRUST
 UNITS                      COMMON STOCK    74386K104       49      4000  SHARES               X           1      4000     0       0
REPSOL YPF SA SPON ADR      COMMON STOCK    76026T205       55      1700  SHARES               X           1      1700     0       0
REPSOL YPF SA SPON ADR      COMMON STOCK    76026T205       19       600  SHARES                     X     1       600     0       0
RESEARCH IN MOTION LIMITED  COMMON STOCK    760975102        7       100  SHARES               X           1       100     0       0
REUTERS GROUP PLC SPONS ADR COMMON STOCK    76132M102       28       719  SHARES               X           1       719     0       0
REXAM PLC                   COMMON STOCK    761655406       18       400  SHARES               X           1       400     0       0
ROYAL DUTCH PETROL CO NY
 REGISTRY SH                COMMON STOCK    780257804      881     14034  SHARES               X           1     14034     0       0
ROYAL DUTCH PETROL CO NY
 REGISTRY SH                COMMON STOCK    780257804     1207     19213  SHARES                     X     1     11640     0    7573
ROYAL DUTCH PETROL CO NY
 REGISTRY SH                COMMON STOCK    780257804       25       400  SHARES         X                 3         0     0     400
ROYAL DUTCH SHELL PLC-ADR B COMMON STOCK    780259107       12       172  SHARES               X           1       172     0       0
ROYAL DUTCH SHELL PLC-ADR B COMMON STOCK    780259107       36       517  SHARES                     X     1       517     0       0
ROYAL DUTCH SHELL PLC-ADR A COMMON STOCK    780259206     4406     67120  SHARES               X           1     66720     0     400
ROYAL DUTCH SHELL PLC-ADR A COMMON STOCK    780259206     3709     56507  SHARES                     X     1     52507     0    4000
ROYAL DUTCH SHELL PLC-ADR A COMMON STOCK    780259206      368      5600  SHARES         X                 3      5000     0     600
SANOFI-AVENTIS ADR          COMMON STOCK    80105N105       62      1500  SHARES               X           1      1500     0       0
SANYO ELECTIC CO LTD - UNSP
 ADR                        COMMON STOCK    803038306        4       300  SHARES               X           1       300     0       0
SAP AG SPONS ADR            COMMON STOCK    803054204       11       250  SHARES               X           1       250     0       0
SASOL LTD SPONS-ADR         COMMON STOCK    803866300       39      1000  SHARES                     X     1      1000     0       0
SCHLUMBERGER LTD            COMMON STOCK    806857108     9236    109458  SHARES               X           1    109358     0     100
SCHLUMBERGER LTD            COMMON STOCK    806857108       24       280  SHARES               X           3       280     0       0
SCHLUMBERGER LTD            COMMON STOCK    806857108     3631     43029  SHARES                     X     1     40179     0    2850
SCHLUMBERGER LTD            COMMON STOCK    806857108      548      6490  SHARES         X                 3      2490     0    4000
SCOTTISH POWER PLC ADR      COMMON STOCK    81013T705       67      1656  SHARES               X           1      1656     0       0
SCOTTISH POWER PLC ADR      COMMON STOCK    81013T705       30       756  SHARES                     X     1       756     0       0
SIEMENS A G SPONSORED ADR   COMMON STOCK    826197501       56       725  SHARES                     X     1       725     0       0
SONY CORP - SPONSORED ADR   COMMON STOCK    835699307       40      1200  SHARES                     X     1      1200     0       0
STATOIL ASA SPONSORED ADR   COMMON STOCK    85771P102        5       200  SHARES               X           1       200     0       0
STMICROELECTRONICS N V      COMMON STOCK    861012102       22      1250  SHARES               X           1      1250     0       0
STOLT OFFSHORE S A
 SPONSORED ADR              COMMON STOCK    861567105      142     12300  SHARES               X           1     12300     0       0
STOLT OFFSHORE S A
 SPONSORED ADR              COMMON STOCK    861567105      125     10800  SHARES         X                 3     10800     0       0
STORA ENSO OYJ SPONSORED
 ADR                        COMMON STOCK    86210M106       21      1500  SHARES                     X     1      1500     0       0
SUN LIFE FINL INC           COMMON STOCK    866796105      129      3454  SHARES               X           1      3454     0       0
SUNCOR ENERGY INC COM       COMMON STOCK    867229106       33       550  SHARES               X           1       550     0       0
TD BANKNORTH INC            COMMON STOCK    87235A101       13       441  SHARES               X           1       441     0       0
TD BANKNORTH INC            COMMON STOCK    87235A101      109      3603  SHARES                     X     1      3603     0       0
TDC A/S SPONSORED ADR       COMMON STOCK    87236N102        3       100  SHARES                     X     1       100     0       0
TAIWAN SEMICONDUCTOR SPON
 ADR                        COMMON STOCK    874039100      172     20925  SHARES               X           1     17274     0    3651
TAIWAN SEMICONDUCTOR SPON
 ADR                        COMMON STOCK    874039100       57      6992  SHARES                     X     1      4944     0    2048
TELECOM NEW ZEALAND SPON
 ADR                        COMMON STOCK    879278208       67      2000  SHARES                     X     1      2000     0       0
TELECOM HOLDERS TRUST       COMMON STOCK    87927P200        3       100  SHARES               X           1       100     0       0


                                    55 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                         
TELECOMUNICACOES DE SAO
 PAULO SA ADR               COMMON STOCK    87929A102        2       100  SHARES                     X     1       100     0       0
TELEFONICA S A SPONSORED
 ADR                        COMMON STOCK    879382208      121      2449  SHARES               X           1      2449     0       0
TELEFONICA S A SPONSORED
 ADR                        COMMON STOCK    879382208       37       741  SHARES                     X     1       741     0       0
TELEFONOS DE MEXICO SP ADR
 A                          COMMON STOCK    879403707       92      4396  SHARES               X           1      4396     0       0
TELEFONOS DE MEXICO SP ADR
 L                          COMMON STOCK    879403780      160      7530  SHARES               X           1      7530     0       0
TELEFONOS DE MEXICO SP ADR
 L                          COMMON STOCK    879403780       64      3000  SHARES                     X     1      1000     0    2000
TELSTRA CORP-ADR            COMMON STOCK    87969N204        2       100  SHARES                     X     1       100     0       0
TENARIS SA SPONSORED ADR    COMMON STOCK    88031M109       14       100  SHARES                     X     1       100     0       0
TEVA PHARMACEUTICAL SPONS
 ADR                        COMMON STOCK    881624209      567     16980  SHARES               X           1     16980     0       0
TEVA PHARMACEUTICAL SPONS
 ADR                        COMMON STOCK    881624209      119      3565  SHARES                     X     1      3430     0     135
TORONTO-DOMINION BANK       COMMON STOCK    891160509       10       211  SHARES               X           1       211     0       0
TORONTO-DOMINION BANK       COMMON STOCK    891160509       85      1728  SHARES                     X     1      1728     0       0
TOTAL SA SPONSORED ADR      COMMON STOCK    89151E109       28       205  SHARES               X           1       205     0       0
TOYOTA MOTOR CORP SPON ADR  COMMON STOCK    892331307       14       150  SHARES               X           1       150     0       0
TOYOTA MOTOR CORP SPON ADR  COMMON STOCK    892331307       28       300  SHARES                     X     1       300     0       0
TRANSCANADA CORP            COMMON STOCK    89353D107        9       300  SHARES                     X     1       300     0       0
TYCO INTERNATIONAL LTD      COMMON STOCK    902124106     1915     68749  SHARES               X           1     60431     0    8318
TYCO INTERNATIONAL LTD      COMMON STOCK    902124106     4326    155322  SHARES                     X     1    151708     0    3614
TYCO INTERNATIONAL LTD      COMMON STOCK    902124106       28      1000  SHARES         X                 3       600     0     400
ULTRA PETROLEUM CORP        COMMON STOCK    903914109      128      2250  SHARES               X           1      2250     0       0
ULTRA PETROLEUM CORP        COMMON STOCK    903914109      139      2450  SHARES         X                 3      2450     0       0
UNILEVER PLC SPONSORED ADR  COMMON STOCK    904767704        4        89  SHARES               X           1        89     0       0
UNILEVER PLC SPONSORED ADR  COMMON STOCK    904767704       42      1000  SHARES                     X     1      1000     0       0
UNILEVER NV NY SHARES       COMMON STOCK    904784709      485      6785  SHARES               X           1      6785     0       0
UNILEVER NV NY SHARES       COMMON STOCK    904784709      358      5012  SHARES                     X     1      5012     0       0
VODAFONE GROUP PLC
 SPONSORED ADR              COMMON STOCK    92857W100     1242     47839  SHARES               X           1     47839     0       0
VODAFONE GROUP PLC
 SPONSORED ADR              COMMON STOCK    92857W100      891     34325  SHARES                     X     1     31620     0    2705
VODAFONE GROUP PLC
 SPONSORED ADR              COMMON STOCK    92857W100       78      3000  SHARES         X                 3         0     0    3000
VOLVO AB SPONS ADR B        COMMON STOCK    928856400       26       600  SHARES                     X     1         0     0     600
W HOLDING COMPANY INC       COMMON STOCK    929251106      362     37847  SHARES               X           1     37847     0       0
W HOLDING COMPANY INC       COMMON STOCK    929251106       48      5000  SHARES         X                 3      5000     0       0
DAIMLER CHRYSLER AG         COMMON STOCK    D1668R123       34       637  SHARES               X           1       637     0       0
DAIMLER CHRYSLER AG         COMMON STOCK    D1668R123       76      1431  SHARES                     X     1       581     0     850
ACE LTD                     COMMON STOCK    G0070K103        5       100  SHARES               X           1       100     0       0
ARLINGTON TANKERS LTD       COMMON STOCK    G04899103       70      3000  SHARES               X           1      3000     0       0
ACCENTURE LTD-CL A          COMMON STOCK    G1150G111      667     26181  SHARES               X           1     23681     0    2500
ACCENTURE LTD-CL A          COMMON STOCK    G1150G111      366     14375  SHARES                     X     1     13875     0     500
CHINA YUCHAI INTERNATIONAL
 LIMITED                    COMMON STOCK    G21082105        3       250  SHARES               X           1       250     0       0
COOPER INDUSTRIES LTD CL A  COMMON STOCK    G24182100      278      4024  SHARES               X           1      4024     0       0
COOPER INDUSTRIES LTD CL A  COMMON STOCK    G24182100      176      2540  SHARES                     X     1      2540     0       0
EVEREST RE GROUP LTD COM    COMMON STOCK    G3223R108       10       100  SHARES               X           1       100     0       0
FOSTER WHEELER LTD          COMMON STOCK    G36535139      148      4800  SHARES               X           1      4800     0       0
FOSTER WHEELER LTD          COMMON STOCK    G36535139      164      5300  SHARES         X                 3      5300     0       0
FRONTLINE LTD               COMMON STOCK    G3682E127       40       900  SHARES               X           1       900     0       0
GARMIN LIMITED ORD          COMMON STOCK    G37260109        8       116  SHARES               X           1       116     0       0
INGERSOLL-RAND COMPANY
 LTD-A                      COMMON STOCK    G4776G101      295      7704  SHARES               X           1      7704     0       0
INGERSOLL-RAND COMPANY
 LTD-A                      COMMON STOCK    G4776G101      558     14600  SHARES                     X     1     14600     0       0
MARVEL TECHNOLOGY GROUP LTD COMMON STOCK    G5876H105        1        30  SHARES               X           1        30     0       0
MAX RE CAPITAL LIMITED      COMMON STOCK    G6052F103        4       165  SHARES               X           1       165     0       0
MONTPELIER RE HOLDINGS
 LIMITED                    COMMON STOCK    G62185106       40      1600  SHARES                     X     1      1600     0       0
NABORS INDUSTRIES LTD       COMMON STOCK    G6359F103     8403    116984  SHARES               X           1    115244     0    1740
NABORS INDUSTRIES LTD       COMMON STOCK    G6359F103     1283     17865  SHARES                     X     1     17215     0     650
NABORS INDUSTRIES LTD       COMMON STOCK    G6359F103     1153     16054  SHARES         X                 3     14174     0    1880


                                    56 of 64






                                                                          SEC USE __________________________________________________
------------------------------------------------------------------------------------------------------------------------------------
        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                    
NOBLE CORPORATION           COMMON STOCK    G65422100       67       975  SHARES               X           1       975     0       0
PARTNERRE LTD               COMMON STOCK    G6852T105       23       359  SHARES                     X     1       359     0       0
TOMMY HILFIGER CORP         COMMON STOCK    G8915Z102       14       800  SHARES               X           1       800     0       0
TSAKOS ENERGY NAVIAGATION
 LTD                        COMMON STOCK    G9108L108        5       125  SHARES               X           1       125     0       0
WEATHERFORD INTL LTD
 BERMUDA                    COMMON STOCK    G95089101     2096     30529  SHARES               X           1     30399     0     130
WEATHERFORD INTL LTD
 BERMUDA                    COMMON STOCK    G95089101       93      1350  SHARES                     X     1      1350     0       0
WEATHERFORD INTL LTD
 BERMUDA                    COMMON STOCK    G95089101      474      6909  SHARES         X                 3      6909     0       0
WHITE MOUNTAINS INSURANCE
 GROUP LTD                  COMMON STOCK    G9618E107       60       100  SHARES               X           1       100     0       0
XL CAPITAL LTD CL A         COMMON STOCK    G98255105       40       595  SHARES                     X     1       595     0       0
ALCON INC                   COMMON STOCK    H01301102       38       300  SHARES               X           1       300     0       0
UBS AG                      COMMON STOCK    H8920M855       95      1113  SHARES               X           1      1113     0       0
UBS AG                      COMMON STOCK    H8920M855       55       648  SHARES                     X     1       648     0       0
SYNERON MEDICAL LTD         COMMON STOCK    M87245102      102      2800  SHARES               X           1      2800     0       0
SYNERON MEDICAL LTD         COMMON STOCK    M87245102       91      2500  SHARES         X                 3      2500     0       0
ON TRACK INNOVATIONS LTD    COMMON STOCK    M8791A109       69      5400  SHARES               X           1      5400     0       0
ON TRACK INNOVATIONS LTD    COMMON STOCK    M8791A109       77      6000  SHARES         X                 3      6000     0       0
ROYAL CARIBBEAN CRUISES LTD COMMON STOCK    V7780T103      306      7085  SHARES               X           1      7085     0       0
FLEXTRONICS INTL LTD        COMMON STOCK    Y2573F102       87      6792  SHARES               X           1      6792     0       0
FLEXTRONICS INTL LTD        COMMON STOCK    Y2573F102       55      4288  SHARES                     X     1      4288     0       0

SUBTOTALS FOR FOREIGN
 COMMON STOCK/ADR'S                                     196470   4203535                                       3558412 32963  612160

A. COMMON STOCK

RIGHTS AND WARRANTS

FOSTER WHEELER LTD WARRANTS
 9/24/07                    COMMON STOCK    G36535113        0         1  SHARES               X           1         1     0       0

SUBTOTALS FOR RIGHTS AND
 WARRANTS                                                    0         1                                             1     0       0

A. COMMON STOCK

REAL ESTATE INVESTMENT
 TRUSTS

ANTHRACITE CAPITAL INC COM  COMMON STOCK    037023108       23      2000  SHARES               X           1    N.A.   N.A.   N.A.
APARTMENT INVT & MGMT CL A  COMMON STOCK    03748R101        8       200  SHARES                     X     1    N.A.   N.A.   N.A.
AVALONBAY COMMUNITIES INC   COMMON STOCK    053484101       86      1005  SHARES               X           1    N.A.   N.A.   N.A.
AVATAR HOLDINGS
 INCORPORATED               COMMON STOCK    053494100      515      8700  SHARES               X           1    N.A.   N.A.   N.A.
CROSS TIMBERS ROYALTY TRUST COMMON STOCK    22757R109        0         1  SHARES               X           1    N.A.   N.A.   N.A.
DUKE REALTY CORP            COMMON STOCK    264411505      125      3680  SHARES               X           1    N.A.   N.A.   N.A.
DUKE REALTY CORP            COMMON STOCK    264411505      125      3700  SHARES                     X     1    N.A.   N.A.   N.A.
EQUITY ONE INCORPORATED     COMMON STOCK    294752100       40      1700  SHARES               X           1    N.A.   N.A.   N.A.
GENERAL GROWTH PPTYS INC    COMMON STOCK    370021107      198      4400  SHARES               X           1    N.A.   N.A.   N.A.
GENERAL GROWTH PPTYS INC    COMMON STOCK    370021107       22       500  SHARES                     X     1    N.A.   N.A.   N.A.
HERSHA HOSPITALITY TRUST    COMMON STOCK    427825104       18      1800  SHARES               X           1    N.A.   N.A.   N.A.
ISTAR FINL INC COM          COMMON STOCK    45031U101       61      1500  SHARES               X           1    N.A.   N.A.   N.A.
KKR FINANCIAL CORP REIT     COMMON STOCK    482476306       67      3000  SHARES               X           2    N.A.   N.A.   N.A.


                                    57 of 64






                                                                          SEC USE __________________________________________________
------------------------------------------------------------------------------------------------------------------------------------
        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
MACK CALI RLTY CORP         COMMON STOCK    554489104        9       200  SHARES               X           1    N.A.   N.A.   N.A.
NOVASTAR FINANCIAL
 INCORPORATED               COMMON STOCK    669947400       82      2500  SHARES                     X     1    N.A.   N.A.   N.A.
PLUM CREEK TIMBER CO INC    COMMON STOCK    729251108       31       825  SHARES               X           1    N.A.   N.A.   N.A.
PLUM CREEK TIMBER CO INC    COMMON STOCK    729251108       60      1575  SHARES                     X     1    N.A.   N.A.   N.A.
RAIT INVESTMENT TRUST       COMMON STOCK    749227104       14       500  SHARES                     X     1    N.A.   N.A.   N.A.
RECKSON ASSOCS RLTY CORP    COMMON STOCK    75621K106       57      1650  SHARES               X           1    N.A.   N.A.   N.A.
REDWOOD TRUST INC-REIT      COMMON STOCK    758075402       15       300  SHARES                     X     1    N.A.   N.A.   N.A.
SAUL CENTERS INCORPORATED   COMMON STOCK    804395101       36      1000  SHARES               X           1    N.A.   N.A.   N.A.
SHURGARD STORAGE CENTERS
 INC CL A                   COMMON STOCK    82567D104       17       300  SHARES               X           1    N.A.   N.A.   N.A.
TOWN & COUNTRY TRUST COM    COMMON STOCK    892081100       15       500  SHARES                     X     1    N.A.   N.A.   N.A.
WCI INDUSTRIES              COMMON STOCK    92923C104       31      1100  SHARES               X           1    N.A.   N.A.   N.A.
W P CAREY & CO LLC          COMMON STOCK    92930Y107      160      5942  SHARES               X           1    N.A.   N.A.   N.A.
W P CAREY & CO LLC          COMMON STOCK    92930Y107      135      5019  SHARES                     X     1    N.A.   N.A.   N.A.

SUBTOTALS FOR REAL ESTATE
INVESTMENT TRUSTS                                         1950     53597                                        N.A.   N.A.   N.A.

*SUMMARY PAGE FOR A. COMMON
 STOCK *

MINOR ASSET TYPE

43 DOMESTIC COMMON STOCKS                              3646009  97308847                                      94284064     0 3024783
44 FOREIGN COMMON
 STOCK/ADR'S                                            196470   4203535                                       3558412 32963  612160
46 RIGHTS AND WARRANTS                                       0         1                                             1     0       0
47 REAL ESTATE INVESTMENT
TRUSTS                                                    1950     53597                                        N.A.   N.A.   N.A.

*SUBTOTALS*                                            3844429 101565980                                      97842477 32963 3636943

B. PREFERRED STOCK

FOREIGN PREFERRED STOCKS

ROYAL BANK SCOTLAND PLC ADR
 PFD E                      PREF STOCK      780097705       13       500  SHARES                     X     1    N.A.   N.A.   N.A.
ROYAL BANK SCOTLAND PFD
 6.4% SER M                 PREF STOCK      780097796       51      2000  SHARES               X           1    N.A.   N.A.   N.A.
ROYAL BANK SCOTLAND PFD
 7.875% SER K               PREF STOCK      780097820       10       400  SHARES                     X     1    N.A.   N.A.   N.A.
ROYAL BK SCOTLAND PFD 8.50%
 SER J                      PREF STOCK      780097853       27      1000  SHARES               X           1    N.A.   N.A.   N.A.

SUBTOTALS FOR FOREIGN
 PREFERRED STOCKS                                          101      3900                                        N.A.   N.A.   N.A.


                                    58 of 64






                                                                          SEC USE __________________________________________________
------------------------------------------------------------------------------------------------------------------------------------
        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
B. PREFERRED STOCK

CONVERTIBLE PREFERRED
 STOCKS

CHEVY CHASE BANK 8% SERIES
 C PFD                      PREFERRED STOCK 166779207     1783     63100  SHARES         X                       63100     0       0
CHUBB CORP CONV 7.00%
 PREFERRED                  CONV PFD STOCK  171232507     2253     69000  SHARES         X                 2     69000     0       0
SAUL CENTERS PFD 8.0%
 SERIES                     PREFERRED STOCK 804395200      234      9000  SHARES         X                        9000     0       0
AES TRUST III 6.75% CV
PREFERRED                   CONV PFD STOCK  00808N202     1514     31750  SHARES         X                 2     31750     0       0
BAXTER INTL CONV PFD 7.0%
 02/06                      PREF STOCK      071813406       46       800  SHARES               X           1    N.A.   N.A.   N.A.
BAXTER INTL CONV PFD 7.0%
 02/06                      PREF STOCK      071813406      171      3000  SHARES                     X     1    N.A.   N.A.   N.A.
BAXTER INTL INC. CONV PFD   CONV PFD STOCK  071813406     2566     45014  SHARES         X                 2     45014     0       0
CONSTELLATION BRANDS 5.75%
 09/01/06                   CONV PFD STOCK  21036P306     1226     31400  SHARES         X                 2     31400     0       0
FORD MOTOR CAP TR II PFD
 CONV 6.50%                 PREF STOCK      345395206       49      1350  SHARES                     X     1    N.A.   N.A.   N.A.
GLENBOROUGH REALTY TR 7.75%
 CONV PFD                   PREF STOCK      37803P204       19       752  SHARES               X           1    N.A.   N.A.   N.A.
METLIFE INC PFD CONV 6.375%
8/15/08                     CONV PFD STOCK  59156R702     2977    106050  SHARES         X                 2    106050     0       0
SCHERING-PLOUGH CV PFD 6.0%
 09/14/07                   PREF STOCK      806605606       42       775  SHARES                     X     1    N.A.   N.A.   N.A.
TEXTRON INC PFD CV $1.40
 SER B                      PREF STOCK      883203309       40       200  SHARES               X           1    N.A.   N.A.   N.A.
TRUSTSTREET PPTYS PFD CONV
 7.72%                      PREF STOCK      898404207        2        90  SHARES               X           1    N.A.   N.A.   N.A.
TRUSTSTREET PPTYS PFD CONV
 7.72%                      CONV PREF STOCL 898404207        2        96  SHARES         X                 3    N.A.   N.A.   N.A.

SUBTOTALS FOR CONVERTIBLE
 PREFERRED STOCKS                                        12924    362377                                        N.A.   N.A.   N.A.

B. PREFERRED STOCK

GLOBAL EQUITY MUTUAL FUNDS

ABERDEEN AUSTRALIA EQUITY
 FUND                       PREF STOCK      003011103       13      1000  SHARES                     X     1    N.A.   N.A.   N.A.
TEMPLETON DRAGON FUND INC   PREF STOCK      88018T101        2       100  SHARES               X           1    N.A.   N.A.   N.A.

SUBTOTALS FOR GLOBAL EQUITY
 MUTUAL FUNDS                                               15      1100                                        N.A.   N.A.   N.A.

B. PREFERRED STOCK

INTL EQUITY MUTUAL FUNDS

ISHARES MSCI EAFE INDEX FD  PREF STOCK      464287465      744     12801  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES MSCI EAFE INDEX FD  PREF STOCK      464287465      349      6000  SHARES                     X     1    N.A.   N.A.   N.A.
ASA BERMUDA LTD             PREF STOCK      G3156P103       47      1000  SHARES               X           1    N.A.   N.A.   N.A.

SUBTOTALS FOR INTL EQUITY
 MUTUAL FUNDS                                             1140     19801                                        N.A.   N.A.   N.A.

B. PREFERRED STOCK

BALANCED MUTUAL FUND

APOLLO INVESTMENT
 CORPORATION                PREF STOCK      03761U106       30      1500  SHARES               X           1    N.A.   N.A.   N.A.
JOHN HANCOCK PATRIOT GLOBAL
 DIV FD                     PREF STOCK      41013G103       13      1000  SHARES                     X     1    N.A.   N.A.   N.A.

SUBTOTALS FOR BALANCED
 MUTUAL FUND                                                43      2500                                        N.A.   N.A.   N.A.


                                    59 of 64






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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
B. PREFERRED STOCK

CLOSED END EQUITY MUTUAL
 FUND

AIM SELECT REAL ESTATE
 INCOME FD                  PREF STOCK      00888R107       43      2600  SHARES               X           1    N.A.   N.A.   N.A.
BLACKROCK DIVIDEND
 ACHIEVERS TRUST            PREF STOCK      09250N107       87      6750  SHARES               X           1    N.A.   N.A.   N.A.
BOULDER TOTAL RETURN FUND
 INC                        PREF STOCK      101541100        7      1000  SHARES               X           1    N.A.   N.A.   N.A.
BRAZIL FUND INCORPORATED    PREF STOCK      105759104        3        66  SHARES               X           1    N.A.   N.A.   N.A.
CALAMOS STRATEGIC TOT RET
 FD                         PREF STOCK      128125101        7       500  SHARES                     X     1    N.A.   N.A.   N.A.
COHEN & STEERS QUALITY INC
 RLTY FD                    PREF STOCK      19247L106       82      4028  SHARES               X           1    N.A.   N.A.   N.A.
COHEN & STEERS ADVANTAGE
 INC RLTY FD                PREF STOCK      19247W102       22      1000  SHARES                     X     1    N.A.   N.A.   N.A.
COHEN & STEERS SELECT
 UTILITY FD                 PREF STOCK      19248A109       22      1009  SHARES               X           1    N.A.   N.A.   N.A.
CORNERSTONE STRATEGIC VALUE
 FUND                       PREF STOCK      21924B104        1       128  SHARES               X           1    N.A.   N.A.   N.A.
DNP SELECT INCOME FUND INC  PREF STOCK      23325P104       14      1210  SHARES               X           1    N.A.   N.A.   N.A.
DNP SELECT INCOME FUND INC  PREF STOCK      23325P104      216     18679  SHARES                     X     1    N.A.   N.A.   N.A.
EATON VANCE TAX-ADVANTAGED
 DVD INC                    PREF STOCK      27828G107       27      1250  SHARES               X           1    N.A.   N.A.   N.A.
EVERGREEN INCOME ADV FD     PREF STOCK      30023Y105       30      2000  SHARES               X           1    N.A.   N.A.   N.A.
FIDUCIARY/CLAYMORE MLP
 OPPOR FD                   PREF STOCK      31647Q106        2       100  SHARES               X           1    N.A.   N.A.   N.A.
GABELLI EQUITY TRUST        PREF STOCK      362397101       19      2249  SHARES               X           1    N.A.   N.A.   N.A.
GABELLI UTILITY TRUST       PREF STOCK      36240A101        3       347  SHARES               X           1    N.A.   N.A.   N.A.
JOHN HANCOCK PATRIOT PFD
 DIVIDEND FD                PREF STOCK      41013J107       31      2300  SHARES                     X     1    N.A.   N.A.   N.A.
HANCOCK JOHN TAX-ADVANTAGED
 DIV FD                     PREF STOCK      41013V100        6       350  SHARES               X           1    N.A.   N.A.   N.A.
ING PRIME RATE TR           PREF STOCK      44977W106       14      2000  SHARES               X           1    N.A.   N.A.   N.A.
INDIA FUND                  PREF STOCK      454089103      107      2700  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES MSCI HONG KONG
 INDEX FD                   PREF STOCK      464286871        7       500  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES MSCI HONG KONG
 INDEX FD                   PREF STOCK      464286871        4       300  SHARES                     X     1    N.A.   N.A.   N.A.
ISHARES DJ SELECT DIVIDEND
 INDEX FD                   PREF STOCK      464287168       65      1045  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES DJ SELECT DIVIDEND
 INDEX FD                   PREF STOCK      464287168       16       250  SHARES                     X     1    N.A.   N.A.   N.A.
ISHARES S&P 500 INDEX FD    PREF STOCK      464287200     1614     13125  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES MSCI EMERGING
 MARKETS INDEX              PREF STOCK      464287234        8        90  SHARES                     X     1    N.A.   N.A.   N.A.
ISHARES S&P 500/BARRA GRWTH
 INDEX FD                   PREF STOCK      464287309      616     10510  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES S&P MIDCAP 400
 INDEX FD                   PREF STOCK      464287507      600      8350  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES NASDAQ
 BIOTECHNOLOGY INDX FD      PREF STOCK      464287556       92      1200  SHARES                     X     1    N.A.   N.A.   N.A.
ISHARES COHEN & STEERS
 RLTY INDEX FD              PREF STOCK      464287564      118      1600  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES COHEN & STEERS
 RLTY INDEX FD              PREF STOCK      464287564      441      6000  SHARES                     X     1    N.A.   N.A.   N.A.
ISHARES RUSSELL 1000 VALUE
 INDEX FD                   PREF STOCK      464287598      239      3466  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES S&P MIDCAP 400
 BARRA GRWTH I              PREF STOCK      464287606      348      4810  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES RUSSELL 1000 GROWTH
 INDEX FD                   PREF STOCK      464287614      188      3766  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES RUSSELL 2000 INDEX
 FD                         PREF STOCK      464287655     1473     22182  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES RUSSELL 2000 INDEX
 FD                         PREF STOCK      464287655      237      3572  SHARES                     X     1    N.A.   N.A.   N.A.
ISHARES DOW JONES US UTIL
 SECT                       PREF STOCK      464287697       32       385  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES S&P MIDCAP
 400/BARRA VAL IND          PREF STOCK      464287705      271      3865  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES S&P SMALLCAP 600
 INDEX FD                   PREF STOCK      464287804      688     11910  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES DJ US BASIC
 MATERIALS SEC FD           PREF STOCK      464287838       30       625  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES DJ US TOTAL MARKET  PREF STOCK      464287846       42       700  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES S&P EUROPE 350
 INDEX FD                   PREF STOCK      464287861      209      2600  SHARES                     X     1    N.A.   N.A.   N.A.
ISHARES S&P SMALLCAP 600
 BARRA VAL I                PREF STOCK      464287879      179      2800  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES S&P SMALLCAP 600
 BARRA GRWTH                PREF STOCK      464287887      425      3660  SHARES               X           1    N.A.   N.A.   N.A.
SALOMON BROTHERS FUND       PREF STOCK      795477108       58      4116  SHARES               X           1    N.A.   N.A.   N.A.
SOURCE CAPITAL INC          PREF STOCK      836144105        3        40  SHARES               X           1    N.A.   N.A.   N.A.


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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
SOURCE CAPITAL INC          PREF STOCK      836144105       15       200  SHARES                     X     1    N.A.   N.A.   N.A.
TEMPLETON EMERGING MKTS FD  PREF STOCK      880191101       17       858  SHARES                     X     1    N.A.   N.A.   N.A.
TEMPLETON EMERGING MKTS INC
 FD-DE                      PREF STOCK      880192109       37      2700  SHARES               X           1    N.A.   N.A.   N.A.
TEMPLETON EMERGING MKTS INC
 FD-DE                      PREF STOCK      880192109       27      2000  SHARES                     X     1    N.A.   N.A.   N.A.
TRI-CONTINENTAL CORP        PREF STOCK      895436103       18      1004  SHARES               X           1    N.A.   N.A.   N.A.
VANGUARD EMERGING MKTS
 VIPER                      PREF STOCK      922042858       12       200  SHARES                     X     1    N.A.   N.A.   N.A.
VANGUARD ENERGY VIPERS      PREF STOCK      92204A306       43       550  SHARES                     X     1    N.A.   N.A.   N.A.
VANGUARD TOTAL STOCK MARKET
 VIPERS                     PREF STOCK      922908769      339      2790  SHARES                     X     1    N.A.   N.A.   N.A.

SUBTOTALS FOR CLOSED END
 EQUITY MUTUAL FUNDS                                      9254    172035                                        N.A.   N.A.   N.A.

B. PREFERRED STOCK

INTL FIXED INCOME MUTUAL
 FUND

SALOMON BROS GLOBAL HIGH
 INC FD                     PREF STOCK      79550G102       27      2000  SHARES               X           1    N.A.   N.A.   N.A.

SUBTOTALS FOR INTL FIXED
 INCOME MUTUAL FUNDS                                        27      2000                                        N.A.   N.A.   N.A.

B. PREFERRED STOCK

CLOSED-END NON-TAXABLE
 INCOME

APEX MUNICIPAL FUND         PREF STOCK      037580107       10      1000  SHARES               X           1    N.A.   N.A.   N.A.
APEX MUNICIPAL FUND         PREF STOCK      037580107       20      2027  SHARES                     X     1    N.A.   N.A.   N.A.
BLACKROCK INSD MUNI TERM TR PREF STOCK      092474105       19      1750  SHARES               X           1    N.A.   N.A.   N.A.
BLACKROCK INVT QUALITY MUN
 TR                         PREF STOCK      09247D105       15       870  SHARES                     X     1    N.A.   N.A.   N.A.
BLACKROCK INSD MUNI 2008
 TERM TR                    PREF STOCK      09247K109       12       750  SHARES               X           1    N.A.   N.A.   N.A.
BLACKROCK NY INS MUNI 2008
 TERM TR                    PREF STOCK      09247L107       12       750  SHARES               X           1    N.A.   N.A.   N.A.
BLACKROCK MUN TARGET TRM TR PREF STOCK      09247M105       23      2325  SHARES               X           1    N.A.   N.A.   N.A.
DREYFUS STRATEGIC MUNS INC  PREF STOCK      261932107       51      5735  SHARES               X           1    N.A.   N.A.   N.A.
DREYFUS MUNICIPAL INCOME
 FUND                       PREF STOCK      26201R102       67      7200  SHARES                     X     1    N.A.   N.A.   N.A.
DREYFUS STRATEGIC MUN BD FD PREF STOCK      26202F107      239     27602  SHARES               X           1    N.A.   N.A.   N.A.
DREYFUS STRATEGIC MUN BD FD PREF STOCK      26202F107      155     17864  SHARES                     X     1    N.A.   N.A.   N.A.
EATON VANCE PA MUNI INC TR  PREF STOCK      27826T101      159     10000  SHARES                     X     1    N.A.   N.A.   N.A.
EATON VANCE MUNICIPAL
 INCOME TRUST               PREF STOCK      27826U108       78      5000  SHARES                     X     1    N.A.   N.A.   N.A.
MANAGED MUNICIPALS
 PORTFOLIO  INC             PREF STOCK      561662107       11      1016  SHARES                     X     1    N.A.   N.A.   N.A.
MORGAN STANLEY MUNI INC
 OPP TR II                  PREF STOCK      61745P445       17      2000  SHARES                     X     1    N.A.   N.A.   N.A.
MORGAN STANLEY QUALITY
 MUNICIPAL SEC              PREF STOCK      61745P585       21      1460  SHARES                     X     1    N.A.   N.A.   N.A.
MORGAN STANLEY QUALITY MUNI
 INVST                      PREF STOCK      61745P668       24      1708  SHARES                     X     1    N.A.   N.A.   N.A.
MORGAN STAN DEAN QUALITY
 MUN INC TR                 PREF STOCK      61745P734       20      1413  SHARES                     X     1    N.A.   N.A.   N.A.
MORGAN STANLEY INSD MUNI
 INCOME TR                  PREF STOCK      61745P791       61      4334  SHARES                     X     1    N.A.   N.A.   N.A.
MUNIHOLDINGS NY INSURED FD  PREF STOCK      625931100       46      3050  SHARES                     X     1    N.A.   N.A.   N.A.
MUNIHOLDINGS NEW JERSEY
 INSD FD INC                PREF STOCK      625936109       48      3050  SHARES                     X     1    N.A.   N.A.   N.A.
MUNICIPAL HIGH INCOME FD
 INC                        PREF STOCK      626214100       15      2050  SHARES               X           1    N.A.   N.A.   N.A.
MUNICIPAL HIGH INCOME FD
 INC                        PREF STOCK      626214100       51      7040  SHARES                     X     1    N.A.   N.A.   N.A.
MUNIENHANCED FUND INC       PREF STOCK      626243109       22      1918  SHARES               X           1    N.A.   N.A.   N.A.
MUNIENHANCED FUND INC       PREF STOCK      626243109       23      2032  SHARES                     X     1    N.A.   N.A.   N.A.
MUNIYIELD FUND INC          PREF STOCK      626299101       14      1000  SHARES               X           1    N.A.   N.A.   N.A.


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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
MUNIYIELD FUND INC          PREF STOCK      626299101        5       350  SHARES                     X     1    N.A.   N.A.   N.A.
MUNIYIELD CALIF INSD FUND
 INC                        PREF STOCK      62629L104       44      3050  SHARES                     X     1    N.A.   N.A.   N.A.
MUNIYIELD NEW YORK INSURED
 FD                         PREF STOCK      626301105       22      1601  SHARES                     X     1    N.A.   N.A.   N.A.
MUNIYIELD INSURED FUND      PREF STOCK      62630E107        6       390  SHARES                     X     1    N.A.   N.A.   N.A.
MUNIYIELD QUALITY FUND II   PREF STOCK      62630T104       91      6850  SHARES                     X     1    N.A.   N.A.   N.A.
MUNIYIELD PENNSYLVANIA
 INSURED FD                 PREF STOCK      62630V109       44      2755  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN PA PREM INCOME MUN
 FD 2                       PREF STOCK      67061F101       79      5316  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN PA PREM INCOME MUN
 FD 2                       PREF STOCK      67061F101       50      3392  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN INVT QUALITY MUNI FD PREF STOCK      67062E103       24      1600  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN INVT QUALITY MUNI FD PREF STOCK      67062E103        5       333  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN MUNICIPAL ADVANTAGE
 FD                         PREF STOCK      67062H106       10       650  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN MUNICIPAL ADVANTAGE
 FD                         PREF STOCK      67062H106      169     10643  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN INSD QUALITY MUN FD  PREF STOCK      67062N103       72      4624  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN PERFORMANCE PLUS
 MUNI FD                    PREF STOCK      67062P108        5       300  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN PERFORMANCE PLUS
 MUNI FD                    PREF STOCK      67062P108       46      3050  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN PREM INC MUNI FD     PREF STOCK      67062T100       10       700  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN PREM INC MUNI FD     PREF STOCK      67062T100       11       775  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN MUNI MARKET
 OPPORTUNITY FD             PREF STOCK      67062W103       26      1800  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN MUNI MARKET
 OPPORTUNITY FD             PREF STOCK      67062W103      218     15000  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN NY INVT QUALITY MUN
 FD                         PREF STOCK      67062X101       44      2965  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN PREMIUM INCOME
 MUNICIPAL FD 2             PREF STOCK      67063W102       11       765  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN SELECT TAX FREE INC
 III                        PREF STOCK      67063X100       28      2100  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN MARYLAND DIVIDEND
 ADV MUN FD                 PREF STOCK      67069R107       25      1623  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN PREM INC MUN FD 4    PREF STOCK      6706K4105        6       440  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN PREM INC MUN FD 4    PREF STOCK      6706K4105       32      2525  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN DIV ADVANTAGE MUN
 FD 2                       PREF STOCK      67070F100       37      2251  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN MD DIV ADVANTAGE
 MUN FD 2                   PREF STOCK      67070V105       65      4059  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN MUNICIPAL VALUE FUND PREF STOCK      670928100       66      6700  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN MUNICIPAL VALUE FUND PREF STOCK      670928100      108     11040  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN PA INVT QUALITY MUN
 FD                         PREF STOCK      670972108      168     11674  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN PA INVT QUALITY MUN
 FD                         PREF STOCK      670972108      297     20606  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN SELECT QUALITY MUN
 FD                         PREF STOCK      670973106       12       770  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN QUALITY INCOME MUNI
 FD                         PREF STOCK      670977107        7       500  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN QUALITY INCOME MUNI
 FD                         PREF STOCK      670977107       11       780  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN PREMIER INSD MUNI
 INC FD                     PREF STOCK      670987106        6       410  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN PREMIER MUNICIPAL
 INCOME FD                  PREF STOCK      670988104       11       755  SHARES                     X     1    N.A.   N.A.   N.A.
PIMCO MUNICIPAL INCOME
 FUND II                    PREF STOCK      72200W106       49      3200  SHARES                     X     1    N.A.   N.A.   N.A.
PIMCO MUNICIPAL INCOME
 FUND III                   PREF STOCK      72201A103       21      1335  SHARES               X           1    N.A.   N.A.   N.A.
PUTNAM MANAGED MUNICIPAL
 INCOME TR                  PREF STOCK      746823103       72      9663  SHARES                     X     1    N.A.   N.A.   N.A.
SALOMON BROS MUNI PTR FD    PREF STOCK      794916106       19      1350  SHARES               X           1    N.A.   N.A.   N.A.
SCUDDER MUNICIPAL INCOME
 TR COM                     PREF STOCK      81118R604       18      1400  SHARES                     X     1    N.A.   N.A.   N.A.
SCUDDER STRATEGIC MUNI
 INCOME TRUST               PREF STOCK      811234103       21      1500  SHARES               X           1    N.A.   N.A.   N.A.
SELIGMAN SELECT MUNICIPAL
 FD                         PREF STOCK      816344105       10      1000  SHARES                     X     1    N.A.   N.A.   N.A.
VAN KAMPEN MUNICIPAL INCOME
 TRUST                      PREF STOCK      920909108       88     10000  SHARES                     X     1    N.A.   N.A.   N.A.
VAN KAMPEN PA QUALITY MUNI
 TR (CE)                    PREF STOCK      920924107       41      2800  SHARES               X           1    N.A.   N.A.   N.A.
VAN KAMPEN PA QUALITY MUNI
 TR (CE)                    PREF STOCK      920924107      199     13400  SHARES                     X     1    N.A.   N.A.   N.A.
VAN KAMPEN TRUST INSURED
 MUNICIPAL                  PREF STOCK      920928108        7       505  SHARES               X           1    N.A.   N.A.   N.A.
VAN KAMPEN TRUST INVT GRADE
 PA MUNI                    PREF STOCK      920934106       51      3425  SHARES               X           1    N.A.   N.A.   N.A.
VAN KAMPEN TRUST INVT GRADE
 PA MUNI                    PREF STOCK      920934106       30      2000  SHARES                     X     1    N.A.   N.A.   N.A.
VAN KAMPEN ADVANTAGE PA
 MUNI INCOME                PREF STOCK      920937109       25      1650  SHARES               X           1    N.A.   N.A.   N.A.
VAN KAMPEN ADVANTAGE PA
 MUNI INCOME                PREF STOCK      920937109      182     12200  SHARES                     X     1    N.A.   N.A.   N.A.
VAN KAMPEN ADVANTAGE MUNI
 INCOME TR                  PREF STOCK      921124103      110      7500  SHARES                     X     1    N.A.   N.A.   N.A.
VAN KAMPEN PENN VALUE MUNI
 INCOME TR                  PREF STOCK      92112T108       86      5858  SHARES               X           1    N.A.   N.A.   N.A.
SUBTOTALS FOR CLOSED-END
 NON-TAXABLE INCOME                                       4133    326872                                        N.A.   N.A.   N.A.


                                    62 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
B. PREFERRED STOCK

CLOSED-END FIXED INCOME

ABERDEEN ASIA PACIFIC INC
 FD                         PREF STOCK      003009107       19      3000  SHARES               X           1    N.A.   N.A.   N.A.
AMERICAN SELECT PORTFOLIO   PREF STOCK      029570108       24      2000  SHARES               X           1    N.A.   N.A.   N.A.
ACM INCOME FUND             PREF STOCK      000912105       16      1892  SHARES                     X     1    N.A.   N.A.   N.A.
AMERICAN STRATEGIC INCOME
 II                         PREF STOCK      030099105       27      2400  SHARES               X           1    N.A.   N.A.   N.A.
AMERICAN STRATEGIC INCOME
 III FD                     PREF STOCK      03009T101       25      2300  SHARES               X           1    N.A.   N.A.   N.A.
BANCROFT CONVERTIBLE FUND
 INC                        PREF STOCK      059695106        1        41  SHARES               X           1    N.A.   N.A.   N.A.
CALAMOS CONV & HIGH INC FD  PREF STOCK      12811P108       23      1375  SHARES                     X     1    N.A.   N.A.   N.A.
CITICORP INVESTMENTS CORP
 LN FD                      PREF STOCK      17307C107       34      2583  SHARES                     X     1    N.A.   N.A.   N.A.
DIVERSIFIED INC STRAT PTF   PREF STOCK      255251100        5       300  SHARES               X           1    N.A.   N.A.   N.A.
DREYFUS HIGH YIELD
 STRATEGIES FD              PREF STOCK      26200S101        8      2000  SHARES                     X     1    N.A.   N.A.   N.A.
DUFF & PHELPS UTIL & CORP
 BOND FD                    PREF STOCK      26432K108       22      1500  SHARES                     X     1    N.A.   N.A.   N.A.
EATON VANCE LTD DURATION
 INC FD                     PREF STOCK      27828H105       41      2400  SHARES               X           1    N.A.   N.A.   N.A.
EATON VANCE LTD DURATION
 INC FD                     PREF STOCK      27828H105       17      1000  SHARES                     X     1    N.A.   N.A.   N.A.
EATON VANCE SR FLOATING
 RATE FD                    PREF STOCK      27828Q105       42      2400  SHARES               X           1    N.A.   N.A.   N.A.
FRANKLIN TEMPLETON LTD DUR
 INC TR                     PREF STOCK      35472T101       21      1600  SHARES                     X     1    N.A.   N.A.   N.A.
FRANKLIN UNIVERSAL TRUST    PREF STOCK      355145103       26      4200  SHARES                     X     1    N.A.   N.A.   N.A.
JOHN HANCOCK PFD INC FD II  PREF STOCK      41013X106       26      1150  SHARES               X           1    N.A.   N.A.   N.A.
JOHN HANCOCK INVESTORS
 TRUST                      PREF STOCK      410142103        6       300  SHARES                     X     1    N.A.   N.A.   N.A.
JOHN HANCOCK PFD INC FD III PREF STOCK      41021P103        9       400  SHARES               X           1    N.A.   N.A.   N.A.
HIGH INCOME OPPORTUNITY FD
 INC                        PREF STOCK      42967Q105       14      2281  SHARES               X           1    N.A.   N.A.   N.A.
ISHARES LEHMAN UST INF PR S PREF STOCK      464287176       79       750  SHARES               X           1    N.A.   N.A.   N.A.
MFS INTERMEDIATE INCOME
 TRUST                      PREF STOCK      55273C107       65     10000  SHARES                     X     1    N.A.   N.A.   N.A.
MFS SPECIAL VALUE TRUST     PREF STOCK      55274E102       24      2125  SHARES                     X     1    N.A.   N.A.   N.A.
MONTGOMERY ST INCOME SECS
 INC                        PREF STOCK      614115103      123      7000  SHARES               X           1    N.A.   N.A.   N.A.
MORGAN STANLEY HIGH YLD FD
 INC                        PREF STOCK      61744M104        2       300  SHARES               X           1    N.A.   N.A.   N.A.
MORGAN STANLEY HIGH YLD FD
 INC                        PREF STOCK      61744M104       18      2750  SHARES                     X     1    N.A.   N.A.   N.A.
MORGAN STANLEY GLOBAL OPP
 BD FD                      PREF STOCK      61744R103       17      2000  SHARES               X           1    N.A.   N.A.   N.A.
MORGAN STANLEY GOVT INC
 TRST                       PREF STOCK      61745P106       27      3000  SHARES               X           1    N.A.   N.A.   N.A.
NEW AMERICAN HIGH INCOME FD
 INC CE                     PREF STOCK      641876107        8      3500  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN QUALITY PFD INCOME
 FD 2                       PREF STOCK      67072C105       56      4085  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN QUALITY PFD INCOME
 FD 2                       PREF STOCK      67072C105       95      6965  SHARES                     X     1    N.A.   N.A.   N.A.
NUVEEN PFD & CVRT INCOME
 FUND                       PREF STOCK      67073B106       19      1500  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN PFD & CONV INCOME
 FD II                      PREF STOCK      67073D102       23      1860  SHARES               X           1    N.A.   N.A.   N.A.
NUVEEN PFD & CONV INCOME
 FD II                      PREF STOCK      67073D102        6       500  SHARES                     X     1    N.A.   N.A.   N.A.
PIMCO CORPORATE INCOME FUND PREF STOCK      72200U100       11       740  SHARES               X           1    N.A.   N.A.   N.A.
PIMCO RCM STRAT GLOBAL GOVT PREF STOCK      72200X104       19      1500  SHARES               X           1    N.A.   N.A.   N.A.
PUTNAM MANAGED HIGH YIELD
 TRUST                      PREF STOCK      746819101       21      2650  SHARES                     X     1    N.A.   N.A.   N.A.
PUTNAM PREMIER INCOME TRUST PREF STOCK      746853100       76     12141  SHARES               X           1    N.A.   N.A.   N.A.
PUTNAM PREMIER INCOME TRUST PREF STOCK      746853100        2       300  SHARES                     X     1    N.A.   N.A.   N.A.
TEMPLETON GLOBAL INCOME
 FUND-DE                    PREF STOCK      880198106      361     41543  SHARES               X           1    N.A.   N.A.   N.A.
VAN KAMPEN BOND FUND        PREF STOCK      920955101       70      4000  SHARES               X           1    N.A.   N.A.   N.A.
WESTERN ASSET INCOME FUND   PREF STOCK      95766T100       22      1500  SHARES                     X     1    N.A.   N.A.   N.A.

SUBTOTALS FOR CLOSED-END
 FIXED INCOME                                             1550    145831                                        N.A.   N.A.   N.A.


                                    63 of 64






                                                                          SEC USE __________________________________________________
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        COLUMN 1              COLUMN 2        COLUMN 3 COLUMN 4        COLUMN 5              COLUMN 6    COLUMN 7      COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                        INVTMNT AUTHORITY
                                                                                        -----------------         VOTING AUTHORITY
                                                       VALUE    SHR OR   SHR OR  PUT OR      SHRD- SHRD-  OTHER  -------------------
    NAME OF ISSUER         TITLE OF CLASS     CUSIP  (X $1,000) PRN AMT   PRN     CALL  SOLE DEFND OTHER MANAGES SOLE  SHARED OTHER
------------------------------------------------------------------------------------------------------------------------------------
                                                                                       
MINOR ASSET TYPE

50 FOREIGN PREFERRED STOCKS                                101      3900                                        N.A.   N.A.   N.A.
51 CONVERTIBLE PREFERRED STOCKS                          12924    362377                                        N.A.   N.A.   N.A.
60 GLOBAL EQUITY MUTUAL FUNDS                               15      1100                                        N.A.   N.A.   N.A.
61 INTL EQUITY MUTUAL FUNDS                               1140     19801                                        N.A.   N.A.   N.A.
62 BALANCED MUTUAL FUND                                     43      2500                                        N.A.   N.A.   N.A.
63 CLOSED END EQUITY MUTUAL
 FUND                                                     9254    172035                                        N.A.   N.A.   N.A.
64 INTL FIXED INCOME MUTUAL
 FUNDS                                                      27      2000                                        N.A.   N.A.   N.A.
65 CLOSED-END NON-TAXABLE
 INCOME                                                   4133    326872                                        N.A.   N.A.   N.A.
68 CLOSED-END FIXED INCOME                                1550    145831                                        N.A.   N.A.   N.A.

*SUBTOTALS*                                              29187   1036416                                        N.A.   N.A.   N.A.

C. OTHER

MUNICIPAL UITS

MFS MUN INCOME TR SH BEN INT  UIT           552738106       14      1700  SHARES               X           1    N.A.   N.A.   N.A.

SUBTOTALS FOR MUNICIPAL UITS                                14      1700                                        N.A.   N.A.   N.A.

C. OTHER

PARTNERSHIPS

FERRELLGAS PARTNERS
 LP              *            PARTNERSHIP   315293100       22      1000  SHARES               X           1    N.A.   N.A.   N.A.
FERRELLGAS PARTNERS
 LP              *            PARTNERSHIP   315293100      195      9000  SHARES                     X     1    N.A.   N.A.   N.A.

SUBTOTALS FOR PARTNERSHIPS                                 217     10000                                        N.A.   N.A.   N.A.

MINOR ASSET TYPE

70 MUNICIPAL UITS                                           14      1700                                        N.A.   N.A.   N.A.
88 PARTNERSHIPS                                            217     10000                                        N.A.   N.A.   N.A.

*SUBTOTALS*                                                231     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:

INFORMATION REQUIRED OF
INSTITUTIONAL INVESTMENT
MANAGERS

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

CATEGORY

A. COMMON STOCK                                        3844429 101565980                                     97842477 32963  3636943
B. PREFERRED STOCK                                       29187   1036416                                        N.A.   N.A.   N.A.
C. OTHER                                                   231     11700                                        N.A.   N.A.   N.A.

**GRAND TOTALS**                                       3873847 102614096                                     97842477 32963  3636943


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