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

                                   FORM 13F

                             FORM 13F COVER PAGE


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


Check here if Amendment [ ]; Amendment Number:


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

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



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

Person Signing this Report on Behalf of Reporting Manager:

Name:  Win J. Neuger

Title: Executive Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Win J. Neuger                  New York, New York        February 14, 2006
-------------------------------    ------------------------  -----------------
(Signature)                        (City, State)              (Date)

Report Type (Check only one.):

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

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

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






                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  4



Form 13F Information Table Entry Total: 4,008


Form 13F Information Table Value Total: $21,785,397 (thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.


No.       Form 13F File Number     Name
--        --------------------     -------------------------------------------

1         28-4637                  AIG GLOBAL INVESTMENT CORP.

2         28-2725                  AIG SUNAMERICA ASSET MANAGEMENT CORP.

3         28-3463                  JOHN MCSTAY INVESTMENT COUNSEL, L.P.

4         28-5794                  HSB GROUP, INC.





                            13F SECURITIES - 4Q 2005



                                                                                                            VOTING AUTHORITY
                                        TITLE                                                         ----------------------------
                                         OF     CUSIP     VALUE     SHARES/ SH/ PUT/ INVESTMENT OTHER    (A)         (B)       (C)
            ISSUER NAME                 CLASS   NUMBER   X $1000  PRINCIPAL PRN CALL DISCRETION MGRS     SOLE       SHARED    NONE
--------------------------------------- ------ --------- ------- ---------- --- ---- ---------- ----- ----------- ---------- ------
                                                                                            
1 800 FLOWERS                           EQUITY 68243Q106     122     19,047 SH       SOLE         1        19,047
1-800 CONTACTS INC                      EQUITY 681977104      75      6,404 SH       SOLE         1         6,404
1ST SOURCE CORP                         EQUITY 336901103     221      8,800 SH       SOLE         1         8,800
21ST CENTY INS GROUP                    EQUITY 90130N103     391     24,167 SH       SOLE         1        24,167
21ST CENTY INS GROUP                    EQUITY 90130N103  864750 53,445,620 SH       SOLE         1    53,445,620
3COM CORP                               EQUITY 885535104    3791  1,053,061 SH       SOLE         1     1,053,061
3-D SYS CORP DEL                        EQUITY 88554D205     164      9,123 SH       SOLE         1         9,123
3M CO                                   EQUITY 88579Y101     217      2,805 SH       DEFINED      2                    2,805
3M CO                                   EQUITY 88579Y101    2558     33,000 SH       SOLE         4        33,000
3M CO                                   EQUITY 88579Y101   55963    722,100 SH       SOLE         1       722,100
4 KIDS ENTMT INC                        EQUITY 350865101     157     10,007 SH       SOLE         1        10,007
99 CENTS ONLY STORES                    EQUITY 65440K106    1328    126,938 SH       SOLE         1       126,938
A C MOORE ARTS & CRAFTS INC             EQUITY 00086T103     158     10,887 SH       SOLE         1        10,887
A D C TELECOMMUNICATIONS                EQUITY 000886309      10        429 SH       DEFINED      2                      429
A D C TELECOMMUNICATIONS                EQUITY 000886309    2180     97,663 SH       SOLE         1        97,663
A S V INC                               EQUITY 001963107     331     13,231 SH       SOLE         1        13,231
AAMES INVT CORP MD                      EQUITY 00253G108     200     30,944 SH       SOLE         1        30,944
AAON INC                                EQUITY 000360206     118      6,591 SH       SOLE         1         6,591
AAR CORP                                EQUITY 000361105     583     24,354 SH       SOLE         1        24,354
AARON RENTS INC                         EQUITY 002535201     617     29,264 SH       SOLE         1        29,264
AASTROM BIOSCIENCES INC                 EQUITY 00253U107     161     76,419 SH       SOLE         1        76,419
ABAXIS INC                              EQUITY 002567105     245     14,860 SH       SOLE         1        14,860
ABBEY NATL PLC                          EQUITY 002920809    3200    125,000 SH       SOLE         4       125,000
ABBEY NATL PLC                          EQUITY 002920809   34044  1,330,100 SH       SOLE         1     1,330,100
ABBOTT LABS                             EQUITY 002824100   13253    336,107 SH       DEFINED      2                  336,107
ABBOTT LABS                             EQUITY 002824100    1380     35,000 SH       SOLE         4        35,000
ABBOTT LABS                             EQUITY 002824100   43006  1,090,681 SH       SOLE         1     1,090,681
ABERCROMBIE & FITCH CO                  EQUITY 002896207    4615     70,800 SH       SOLE         3        69,100             1,700
ABERCROMBIE & FITCH CO                  EQUITY 002896207   11411    175,071 SH       SOLE         1       175,071
ABGENIX INC                             EQUITY 00339B107    4499    209,356 SH       SOLE         1       209,356
ABIOMED INC                             EQUITY 003654100     132     14,275 SH       SOLE         1        14,275
ABM INDS INC                            EQUITY 000957100     580     29,645 SH       SOLE         1        29,645
ABX AIR INC                             EQUITY 00080S101     343     43,749 SH       SOLE         1        43,749
ACADIA PHARMACEUTICALS INC              EQUITY 004225108     121     12,255 SH       SOLE         1        12,255
ACADIA RLTY TR                          EQUITY 004239109     418     20,836 SH       SOLE         1        20,836
ACCO BRANDS CORP                        EQUITY 00081T108      22        887 SH       SOLE         1           887
ACCREDITED HOME LENDRS HLDG             EQUITY 00437P107     655     13,212 SH       SOLE         1        13,212
ACCURIDE CORP                           EQUITY 004398103     106      8,255 SH       SOLE         1         8,255
ACE CASH EXPRESS INC                    EQUITY 004403101     199      8,533 SH       SOLE         1         8,533
ACE LTD                                 EQUITY G0070K103   11350    212,391 SH       DEFINED      2                  212,391
ACE LTD                                 EQUITY G0070K103   24308    454,865 SH       SOLE         1       454,865
ACTEL CORP                              EQUITY 004934105     241     18,901 SH       SOLE         1        18,901
ACTIVISION INC                          EQUITY 004930202    7717    561,665 SH       SOLE         1       561,665
ACTUANT CORP                            EQUITY 00508X203    1121     20,088 SH       SOLE         1        20,088
ACTUATE * TE CORP                       EQUITY 00508B102     164     52,200 SH       DEFINED      2                   52,200
ACUITY BRANDS INC                       EQUITY 00508Y102    1053     33,124 SH       SOLE         1        33,124
ACXIOM CORP                             EQUITY 005125109    4964    215,815 SH       SOLE         1       215,815
ADAMS RESPIRATORY THERAPEUTI            EQUITY 00635P107     415     10,200 SH       DEFINED      2                   10,200
ADAMS RESPIRATORY THERAPEUTI            EQUITY 00635P107     243      5,976 SH       SOLE         1         5,976
ADAPTEC INC                             EQUITY 00651F108     488     83,774 SH       SOLE         1        83,774
ADE CORP MASS                           EQUITY 00089C107     182      7,561 SH       SOLE         1         7,561
ADESA INC                               EQUITY 00686U104    4390    179,788 SH       SOLE         1       179,788
ADEZA BIOMEDICAL CORP                   EQUITY 006864102      66      3,139 SH       SOLE         1         3,139
ADMINISTAFF INC                         EQUITY 007094105     252      6,000 SH       DEFINED      2                    6,000
ADMINISTAFF INC                         EQUITY 007094105     624     14,833 SH       SOLE         1        14,833
ADOBE SYS INC                           EQUITY 00724F101   28081    760,420 SH       DEFINED      2                  760,420
ADOBE SYS INC                           EQUITY 00724F101   19956    539,922 SH       SOLE         1       539,922
ADOLOR CORP                             EQUITY 00724X102     428     29,347 SH       SOLE         1        29,347
ADTRAN INC                              EQUITY 00738A106    3581    120,400 SH       DEFINED      2                  120,400





                                                                                            
ADTRAN INC                              EQUITY 00738A106    4711    158,412 SH       SOLE         3       154,703             3,709
ADTRAN INC                              EQUITY 00738A106    5445    183,270 SH       SOLE         1       183,270
ADVANCE AMER CASH ADVANCE CT            EQUITY 00739W107     635     51,247 SH       SOLE         1        51,247
ADVANCE AUTO PARTS INC                  EQUITY 00751Y106   27806    639,805 SH       SOLE         1       639,805
ADVANCED ANALOGIC TECHNOLOGI            EQUITY 00752J108     116      8,380 SH       SOLE         1         8,380
ADVANCED DIGITAL INFORMATION            EQUITY 007525108     469     47,922 SH       SOLE         1        47,922
ADVANCED ENERGY INDS                    EQUITY 007973100     247     20,873 SH       SOLE         1        20,873
ADVANCED MEDICAL OPTICS INC             EQUITY 00763M108    5568    133,211 SH       SOLE         1       133,211
ADVANCED MICRO DEVICES INC              EQUITY 007903107      46      1,491 SH       DEFINED      2                    1,491
ADVANCED MICRO DEVICES INC              EQUITY 007903107    2212     72,300 SH       SOLE         3        69,700             2,600
ADVANCED MICRO DEVICES INC              EQUITY 007903107    5762    188,299 SH       SOLE         1       188,299
ADVANTA CORP                            EQUITY 007942204     463     14,259 SH       SOLE         1        14,259
ADVENT SOFTWARE INC                     EQUITY 007974108    1389     48,010 SH       SOLE         1        48,010
ADVISORY BRD CO                         EQUITY 00762W107     687     14,418 SH       SOLE         1        14,418
ADVO INC                                EQUITY 007585102     662     23,476 SH       SOLE         1        23,476
AEROFLEX INC                            EQUITY 007768104     602     56,020 SH       SOLE         1        56,020
AEROPOSTALE                             EQUITY 007865108    3923    149,153 SH       SOLE         1       149,153
AES CORP                                EQUITY 00130H105      38      2,412 SH       DEFINED      2                    2,412
AES CORP                                EQUITY 00130H105    5929    374,515 SH       SOLE         1       374,515
AETNA INC                               EQUITY 00817Y108   39644    420,356 SH       DEFINED      2                  420,356
AETNA INC                               EQUITY 00817Y108   30297    321,245 SH       SOLE         1       321,245
AFC ENTERPRISES INC                     EQUITY 00104Q107     226     14,919 SH       SOLE         1        14,919
AFFILIATED COMPUTER SERVICES            EQUITY 008190100      27        459 SH       DEFINED      2                      459
AFFILIATED COMPUTER SERVICES            EQUITY 008190100    4563     77,100 SH       SOLE         3        74,300             2,800
AFFILIATED COMPUTER SERVICES            EQUITY 008190100    3409     57,600 SH       SOLE         1        57,600
AFFILIATED MANAGERS GROUP               EQUITY 008252108      59        737 SH       SOLE         1           737
AFFIRMATIVE INS HLDGS INC               EQUITY 008272106      93      6,382 SH       SOLE         1         6,382
AFFORDABLE RESIDENTIAL CMTYS            EQUITY 008273104     186     19,517 SH       SOLE         1        19,517
AFFYMETRIX INC                          EQUITY 00826T108    6333    132,636 SH       SOLE         1       132,636
AFLAC INC                               EQUITY 001055102      86      1,848 SH       DEFINED      2                    1,848
AFLAC INC                               EQUITY 001055102   13955    300,622 SH       SOLE         1       300,622
AFTERMARKET TECHNOLOGY CORP             EQUITY 008318107     311     15,997 SH       SOLE         1        15,997
AGCO CORP                               EQUITY 001084102    4089    246,791 SH       SOLE         1       246,791
AGERE SYS INC                           EQUITY 00845V308      51      3,979 SH       SOLE         1         3,979
AGILE SOFTWARE CORP DEL                 EQUITY 00846X105     239     40,001 SH       SOLE         1        40,001
AGILENT TECHNOLOGIES INC                EQUITY 00846U101      51      1,518 SH       DEFINED      2                    1,518
AGILENT TECHNOLOGIES INC                EQUITY 00846U101    6402    192,317 SH       SOLE         1       192,317
AGILYSYS INC                            EQUITY 00847J105     416     22,838 SH       SOLE         1        22,838
AGL RES INC                             EQUITY 001204106   12548    360,461 SH       SOLE         1       360,461
AGREE REALTY CORP                       EQUITY 008492100     167      5,762 SH       SOLE         1         5,762
AIR PRODS & CHEMS INC                   EQUITY 009158106      48        819 SH       DEFINED      2                      819
AIR PRODS & CHEMS INC                   EQUITY 009158106    5795     97,903 SH       SOLE         1        97,903
AIRGAS INC                              EQUITY 009363102    4417    134,253 SH       SOLE         1       134,253
AIRSPAN NETWORKS INC                    EQUITY 00950H102     163     28,682 SH       SOLE         1        28,682
AIRTRAN HLDGS INC                       EQUITY 00949P108    3826    238,677 SH       SOLE         1       238,677
AK STL HLDG CORP                        EQUITY 001547108     655     82,418 SH       SOLE         1        82,418
AKAMAI TECHNOLOGIES INC                 EQUITY 00971T101     434     21,800 SH       DEFINED      2                   21,800
AKAMAI TECHNOLOGIES INC                 EQUITY 00971T101      58      2,930 SH       SOLE         1         2,930
ALABAMA NATL BANCORP DELA               EQUITY 010317105     662     10,221 SH       SOLE         1        10,221
ALAMO GROUP INC                         EQUITY 011311107      95      4,624 SH       SOLE         1         4,624
ALAMOSA HLDGS INC                       EQUITY 011589108    3684    197,938 SH       SOLE         1       197,938
ALASKA AIR GROUP INC                    EQUITY 011659109    3079     86,209 SH       SOLE         1        86,209
ALASKA COMMUNICATIONS SYS GR            EQUITY 01167P101      99      9,739 SH       SOLE         1         9,739
ALBANY INTL CORP                        EQUITY 012348108     773     21,380 SH       SOLE         1        21,380
ALBANY MOLECULAR RESH INC               EQUITY 012423109     217     17,831 SH       SOLE         1        17,831
ALBEMARLE CORP                          EQUITY 012653101    2941     76,695 SH       SOLE         1        76,695
ALBERTO CULVER CO                       EQUITY 013068101      13        279 SH       DEFINED      2                      279
ALBERTO CULVER CO                       EQUITY 013068101    1617     35,334 SH       SOLE         1        35,334
ALBERTSONS INC                          EQUITY 013104104    6339    296,928 SH       DEFINED      2                  296,928
ALBERTSONS INC                          EQUITY 013104104    5648    264,528 SH       SOLE         1       264,528
ALCAN INC                               EQUITY 013716105   12367    302,000 SH       DEFINED      2                  302,000
ALCAN INC                               EQUITY 013716105    5366    131,000 SH       DEFINED      1             0    131,000
ALCOA INC                               EQUITY 013817101    6210    210,013 SH       DEFINED      2                  210,013
ALCOA INC                               EQUITY 013817101   11520    389,588 SH       SOLE         1       389,588





                                                                                            
ALDERWOODS GROUP INC                    EQUITY 014383103     478     30,101 SH       SOLE         1        30,101
ALERIS INTL INC                         EQUITY 014477103     745     23,105 SH       SOLE         1        23,105
ALEXANDER & BALDWIN INC                 EQUITY 014482103    4774     88,017 SH       SOLE         1        88,017
ALEXANDERS INC                          EQUITY 014752109     355      1,444 SH       SOLE         1         1,444
ALEXANDRIA REAL ESTATE EQ IN            EQUITY 015271109    1287     15,990 SH       SOLE         1        15,990
ALEXION PHARMACEUTICALS INC             EQUITY 015351109     467     23,042 SH       SOLE         1        23,042
ALFA CORP                               EQUITY 015385107     393     24,410 SH       SOLE         1        24,410
ALICO INC                               EQUITY 016230104     129      2,862 SH       SOLE         1         2,862
ALIGN TECHNOLOGY INC                    EQUITY 016255101     299     46,146 SH       SOLE         1        46,146
ALKERMES INC                            EQUITY 01642T108    1297     67,821 SH       SOLE         1        67,821
ALLEGHANY CORP DEL                      EQUITY 017175100      43        151 SH       SOLE         1           151
ALLEGHENY ENERGY INC                    EQUITY 017361106      19        600 SH       DEFINED      2                      600
ALLEGHENY ENERGY INC                    EQUITY 017361106    2429     76,751 SH       SOLE         1        76,751
ALLEGHENY TECHNOLOGIES INC              EQUITY 01741R102      11        315 SH       DEFINED      2                      315
ALLEGHENY TECHNOLOGIES INC              EQUITY 01741R102    1431     39,674 SH       SOLE         1        39,674
ALLERGAN INC                            EQUITY 018490102    1478     13,686 SH       DEFINED      2                   13,686
ALLERGAN INC                            EQUITY 018490102    6531     60,495 SH       SOLE         1        60,495
ALLETE INC                              EQUITY 018522300     837     19,034 SH       SOLE         1        19,034
ALLIANCE DATA SYSTEMS CORP              EQUITY 018581108    8402    236,000 SH       DEFINED      2                  236,000
ALLIANCE DATA SYSTEMS CORP              EQUITY 018581108    4892    137,404 SH       SOLE         1       137,404
ALLIANCE GAMING CORP                    EQUITY 01859P609     500     38,366 SH       SOLE         1        38,366
ALLIANCE IMAGING INC                    EQUITY 018606202      61     10,320 SH       SOLE         1        10,320
ALLIANCE ONE INTL INC                   EQUITY 018772103     254     65,015 SH       SOLE         1        65,015
ALLIANT ENERGY CORP                     EQUITY 018802108    6575    234,498 SH       SOLE         1       234,498
ALLIANT TECHSYSTEMS INC                 EQUITY 018804104   22371    293,700 SH       DEFINED      2                  293,700
ALLIANT TECHSYSTEMS INC                 EQUITY 018804104    5590     73,382 SH       SOLE         1        73,382
ALLIED CAP CORP                         EQUITY 01903Q108     258      8,791 SH       SOLE         1         8,791
ALLIED HEALTHCARE INTL INC              EQUITY 01923A109     140     22,820 SH       SOLE         1        22,820
ALLIED WASTE INDS INC                   EQUITY 019589308       7        807 SH       DEFINED      2                      807
ALLIED WASTE INDS INC                   EQUITY 019589308     892    102,048 SH       SOLE         1       102,048
ALLION HEALTHCARE INC                   EQUITY 019615103      35      2,992 SH       SOLE         1         2,992
ALLOS THERAPEUTICS INC                  EQUITY 019777101      18      8,294 SH       SOLE         1         8,294
ALLOY INC                               EQUITY 019855105      79     27,465 SH       SOLE         1        27,465
ALLSCRIPTS HEALTHCARE SOLUTI            EQUITY 01988P108     338     25,210 SH       SOLE         1        25,210
ALLSTATE CORP                           EQUITY 020002101    9311    172,194 SH       DEFINED      2                  172,194
ALLSTATE CORP                           EQUITY 020002101   25491    471,437 SH       SOLE         1       471,437
ALLTEL CORP                             EQUITY 020039103      89      1,413 SH       DEFINED      2                    1,413
ALLTEL CORP                             EQUITY 020039103   10629    168,441 SH       SOLE         1       168,441
ALON USA ENERGY INC                     EQUITY 020520102     156      7,930 SH       SOLE         1         7,930
ALPHA NATURAL RESOURCES INC             EQUITY 02076X102     425     22,140 SH       SOLE         1        22,140
ALPHARMA INC                            EQUITY 020813101     848     29,759 SH       SOLE         1        29,759
ALTERA CORP                             EQUITY 021441100      25      1,338 SH       DEFINED      2                    1,338
ALTERA CORP                             EQUITY 021441100    3700    199,700 SH       SOLE         1       199,700
ALTIRIS INC                             EQUITY 02148M100     279     16,528 SH       SOLE         1        16,528
ALTRIA * GROUP INC                      EQUITY 02209S103   47026    629,358 SH       DEFINED      2                  629,358
ALTRIA * GROUP INC                      EQUITY 02209S103  110398  1,477,483 SH       SOLE         1     1,477,483
AMAZON COM INC                          EQUITY 023135106      53      1,131 SH       DEFINED      2                    1,131
AMAZON COM INC                          EQUITY 023135106    7160    151,857 SH       SOLE         1       151,857
AMB PROPERTY CORP                       EQUITY 00163T109    8429    171,430 SH       SOLE         1       171,430
AMBAC FINL GROUP INC                    EQUITY 023139108      30        387 SH       DEFINED      2                      387
AMBAC FINL GROUP INC                    EQUITY 023139108    3794     49,231 SH       SOLE         1        49,231
AMBASSADORS GROUP INC                   EQUITY 023177108     290     12,651 SH       SOLE         1        12,651
AMCOL INTL CORP                         EQUITY 02341W103     333     16,216 SH       SOLE         1        16,216
AMCORE FINL INC                         EQUITY 023912108     483     15,897 SH       SOLE         1        15,897
AMDOCS LTD                              EQUITY G02602103    3215    116,910 SH       SOLE         1       116,910
AMEDISYS INC                            EQUITY 023436108     491     11,614 SH       SOLE         1        11,614
AMERADA * HESS CORP                     EQUITY 023551104      37        294 SH       DEFINED      2                      294
AMERADA * HESS CORP                     EQUITY 023551104    4743     37,398 SH       SOLE         1        37,398
AMERCO                                  EQUITY 023586100     555      7,703 SH       SOLE         1         7,703
AMEREN CORP                             EQUITY 023608102      39        753 SH       DEFINED      2                      753
AMEREN CORP                             EQUITY 023608102   21633    422,187 SH       SOLE         1       422,187
AMERICA MOVIL S A DE C V SPON           EQUITY 02364W105   10651    364,020 SH       SOLE         1       364,020
AMERICA SVC GROUP INC                   EQUITY 02364L109     129      8,163 SH       SOLE         1         8,163
AMERICAN AXLE & MFG HLDGS IN            EQUITY 024061103     589     32,154 SH       SOLE         1        32,154





                                                                                            
AMERICAN CAMPUS CMNTYS INC              EQUITY 024835100     309     12,474 SH       SOLE         1        12,474
AMERICAN CAPITAL STRATEGIES             EQUITY 024937104     368     10,167 SH       SOLE         1        10,167
AMERICAN DENTAL PARTNERS                EQUITY 025353103     162      8,973 SH       SOLE         1         8,973
AMERICAN EAGLE OUTFITTERS NE            EQUITY 02553E106    6238    271,451 SH       SOLE         1       271,451
AMERICAN ECOLOGY CORP                   EQUITY 025533407    4640    321,521 SH       SOLE         3       321,521
AMERICAN ECOLOGY CORP                   EQUITY 025533407     131      9,066 SH       SOLE         1         9,066
AMERICAN ELEC PWR INC                   EQUITY 025537101      54      1,452 SH       DEFINED      2                    1,452
AMERICAN ELEC PWR INC                   EQUITY 025537101   22545    607,853 SH       SOLE         1       607,853
AMERICAN EQTY INVT LIFE HLD             EQUITY 025676206     322     24,664 SH       SOLE         1        24,664
AMERICAN EXPRESS CO                     EQUITY 025816109   36410    707,534 SH       DEFINED      2                  707,534
AMERICAN EXPRESS CO                     EQUITY 025816109   49732    966,430 SH       SOLE         1       966,430
AMERICAN FINL GROUP INC OHIO            EQUITY 025932104    3575     93,317 SH       SOLE         1        93,317
AMERICAN FINL RLTY TR                   EQUITY 02607P305      46      3,814 SH       SOLE         1         3,814
AMERICAN GREETINGS CORP                 EQUITY 026375105    2899    131,936 SH       SOLE         1       131,936
AMERICAN HEALTHWAYS INC                 EQUITY 02649V104    2000     44,200 SH       DEFINED      2                   44,200
AMERICAN HEALTHWAYS INC                 EQUITY 02649V104    1127     24,901 SH       SOLE         1        24,901
AMERICAN HOME MTG INVT CORP             EQUITY 02660R107     883     27,112 SH       SOLE         1        27,112
AMERICAN INTL GROUP INC                 EQUITY 026874107     872     12,776 SH       DEFINED      2                   12,776
AMERICAN INTL GROUP INC                 EQUITY 026874107   79253  1,161,563 SH       SOLE         1     1,161,563
AMERICAN ITALIAN PASTA CO               EQUITY 027070101      94     13,841 SH       SOLE         1        13,841
AMERICAN MED SYS HLDGS INC              EQUITY 02744M108     924     51,849 SH       SOLE         1        51,849
AMERICAN NATL INS CO                    EQUITY 028591105      28        241 SH       SOLE         1           241
AMERICAN PHARMACEUTICALS PTN            EQUITY 02886P109      17        443 SH       SOLE         1           443
AMERICAN PHYSICIANS CAPITAL             EQUITY 028884104     253      5,530 SH       SOLE         1         5,530
AMERICAN PWR CONVERSION CORP            EQUITY 029066107      14        633 SH       DEFINED      2                      633
AMERICAN PWR CONVERSION CORP            EQUITY 029066107    2017     91,678 SH       SOLE         1        91,678
AMERICAN REPROGRAPHICS CO               EQUITY 029263100     255     10,027 SH       SOLE         1        10,027
AMERICAN RETIREMENT CORP                EQUITY 028913101     412     16,400 SH       DEFINED      2                   16,400
AMERICAN RETIREMENT CORP                EQUITY 028913101     523     20,798 SH       SOLE         1        20,798
AMERICAN SCIENCE & ENGR INC             EQUITY 029429107    2501     40,100 SH       SOLE         3        40,100
AMERICAN SCIENCE & ENGR INC             EQUITY 029429107     383      6,140 SH       SOLE         1         6,140
AMERICAN STD COS INC DEL                EQUITY 029712106      27        675 SH       DEFINED      2                      675
AMERICAN STD COS INC DEL                EQUITY 029712106   12096    302,790 SH       SOLE         1       302,790
AMERICAN STS WTR CO                     EQUITY 029899101     388     12,592 SH       SOLE         1        12,592
AMERICAN SUPERCONDUCTOR CORP            EQUITY 030111108     189     23,983 SH       SOLE         1        23,983
AMERICAN TOWER CORP                     EQUITY 029912201     240      8,853 SH       SOLE         1         8,853
AMERICAN VANGUARD CORP                  EQUITY 030371108     187      7,967 SH       SOLE         1         7,967
AMERICAN WOODMARK CORP                  EQUITY 030506109     211      8,500 SH       SOLE         1         8,500
AMERICANWEST BANCORPORATION             EQUITY 03058P109     184      7,801 SH       SOLE         1         7,801
AMERICAS CAR MART INC                   EQUITY 03062T105     111      6,718 SH       SOLE         1         6,718
AMERICREDIT CORP                        EQUITY 03060R101    7078    276,177 SH       SOLE         1       276,177
AMERIGROUP CORP                         EQUITY 03073T102      56      2,903 SH       SOLE         1         2,903
AMERIPRISE FINL INC                     EQUITY 03076C106      37        909 SH       DEFINED      2                      909
AMERIPRISE FINL INC                     EQUITY 03076C106    5524    134,741 SH       SOLE         1       134,741
AMERIS BANCORP                          EQUITY 03076K108     177      8,900 SH       SOLE         1         8,900
AMERISOURCEBERGEN CORP                  EQUITY 03073E105      32        768 SH       DEFINED      2                      768
AMERISOURCEBERGEN CORP                  EQUITY 03073E105    6956    168,018 SH       SOLE         1       168,018
AMERISTAR CASINOS INC                   EQUITY 03070Q101     417     18,361 SH       SOLE         1        18,361
AMERITRADE HLDG CORP                    EQUITY 03074K100    4464    186,000 SH       SOLE         3       178,000             8,000
AMERITRADE HLDG CORP                    EQUITY 03074K100     156      6,504 SH       SOLE         1         6,504
AMERON INTL INC                         EQUITY 030710107     290      6,359 SH       SOLE         1         6,359
AMERUS GROUP CO                         EQUITY 03072M108    4402     77,675 SH       SOLE         1        77,675
AMES NATL CORP                          EQUITY 031001100     163      6,323 SH       SOLE         1         6,323
AMETEK INC                              EQUITY 031100100   54060  1,270,800 SH       DEFINED      2                1,270,800
AMETEK INC                              EQUITY 031100100    5965    140,213 SH       SOLE         1       140,213
AMGEN INC                               EQUITY 031162100   30381    385,257 SH       DEFINED      2                  385,257
AMGEN INC                               EQUITY 031162100  102851  1,304,218 SH       SOLE         1     1,304,218
AMICAS INC                              EQUITY 001712108     168     33,958 SH       SOLE         1        33,958
AMIS HLDGS INC                          EQUITY 031538101     351     32,997 SH       SOLE         1        32,997
AMKOR TECHNOLOGY INC                    EQUITY 031652100     421     75,230 SH       SOLE         1        75,230
AMLI RESIDENTIAL PPTYS TR SH BEN INT    EQUITY 001735109    5146    135,256 SH       SOLE         1       135,256
AMN HEALTHCARE SERVICES INC             EQUITY 001744101     172      8,676 SH       SOLE         1         8,676
AMPHENOL CORP                           EQUITY 032095101    7858    177,537 SH       SOLE         1       177,537
AMR CORP                                EQUITY 001765106     348     15,653 SH       SOLE         1        15,653





                                                                                            
AMSOUTH BANCORPORATION                  EQUITY 032165102      34      1,287 SH       DEFINED      2                    1,287
AMSOUTH BANCORPORATION                  EQUITY 032165102    1835     70,000 SH       SOLE         4        70,000
AMSOUTH BANCORPORATION                  EQUITY 032165102    9429    359,731 SH       SOLE         1       359,731
AMSURG CORP                             EQUITY 03232P405     506     22,149 SH       SOLE         1        22,149
AMYLIN PHARMACEUTICALS INC              EQUITY 032346108    3290     82,424 SH       SOLE         1        82,424
ANADARKO PETE CORP                      EQUITY 032511107      83        876 SH       DEFINED      2                      876
ANADARKO PETE CORP                      EQUITY 032511107   15549    164,102 SH       SOLE         1       164,102
ANALOG DEVICES INC                      EQUITY 032654105   17711    493,753 SH       DEFINED      2                  493,753
ANALOG DEVICES INC                      EQUITY 032654105   16768    467,477 SH       SOLE         1       467,477
ANALOGIC CORP                           EQUITY 032657207     492     10,291 SH       SOLE         1        10,291
ANAREN INC                              EQUITY 032744104    2133    136,500 SH       SOLE         3       136,500
ANAREN INC                              EQUITY 032744104     203     13,004 SH       SOLE         1        13,004
ANCHOR BANCORP WIS INC                  EQUITY 032839102     518     17,071 SH       SOLE         1        17,071
ANDERSONS INC                           EQUITY 034164103     215      4,989 SH       SOLE         1         4,989
ANDREW CORP                             EQUITY 034425108    3547    330,600 SH       DEFINED      2                  330,600
ANDREW CORP                             EQUITY 034425108     817     76,183 SH       SOLE         1        76,183
ANDRX CORP DEL ANDRX GROUP              EQUITY 034553107     906     54,948 SH       SOLE         1        54,948
ANGELICA CORP                           EQUITY 034663104     114      6,890 SH       SOLE         1         6,890
ANGIODYNAMICS INC                       EQUITY 03475V101      44      1,739 SH       SOLE         1         1,739
ANHEUSER BUSCH COS INC                  EQUITY 035229103    6066    141,197 SH       DEFINED      2                  141,197
ANHEUSER BUSCH COS INC                  EQUITY 035229103   23711    551,935 SH       SOLE         1       551,935
ANIMAS CORP DEL                         EQUITY 03525Y105     222      9,207 SH       SOLE         1         9,207
ANIXTER INTL INC                        EQUITY 035290105     937     23,963 SH       SOLE         1        23,963
ANNALY MTG MGMT INC                     EQUITY 035710409      40      3,650 SH       SOLE         1         3,650
ANNTAYLOR STORES CORP                   EQUITY 036115103    5030    145,726 SH       SOLE         1       145,726
ANSOFT CORP                             EQUITY 036384105     347     10,200 SH       DEFINED      2                   10,200
ANSOFT CORP                             EQUITY 036384105     165      4,852 SH       SOLE         1         4,852
ANSYS INC                               EQUITY 03662Q105     418      9,800 SH       DEFINED      2                    9,800
ANSYS INC                               EQUITY 03662Q105    1014     23,755 SH       SOLE         1        23,755
ANTEON INTL CORP                        EQUITY 03674E108    4640     85,373 SH       SOLE         1        85,373
ANTHRACITE CAP INC                      EQUITY 037023108    3567    338,723 SH       SOLE         1       338,723
ANTIGENICS INC DEL                      EQUITY 037032109     103     21,655 SH       SOLE         1        21,655
ANWORTH MORTGAGE ASSET CP               EQUITY 037347101     260     35,572 SH       SOLE         1        35,572
AON CORP                                EQUITY 037389103      42      1,182 SH       DEFINED      2                    1,182
AON CORP                                EQUITY 037389103   19163    533,058 SH       SOLE         1       533,058
APACHE CORP                             EQUITY 037411105      83      1,215 SH       DEFINED      2                    1,215
APACHE CORP                             EQUITY 037411105   16141    235,565 SH       SOLE         1       235,565
APARTMENT INVT & MGMT CO                EQUITY 03748R101      13        354 SH       DEFINED      2                      354
APARTMENT INVT & MGMT CO                EQUITY 03748R101    3546     93,646 SH       SOLE         1        93,646
APOGEE ENTERPRISES INC                  EQUITY 037598109     339     20,873 SH       SOLE         1        20,873
APOLLO GROUP INC                        EQUITY 037604105      32        537 SH       DEFINED      2                      537
APOLLO GROUP INC                        EQUITY 037604105    4967     82,149 SH       SOLE         1        82,149
APOLLO INVT CORP                        EQUITY 03761U106    1886    105,171 SH       SOLE         1       105,171
APPLE COMPUTER INC                      EQUITY 037833100   55363    770,111 SH       DEFINED      2                  770,111
APPLE COMPUTER INC                      EQUITY 037833100     755     10,500 SH       SOLE         3        10,500
APPLE COMPUTER INC                      EQUITY 037833100     719     10,000 SH       SOLE         4        10,000
APPLE COMPUTER INC                      EQUITY 037833100   37469    521,195 SH       SOLE         1       521,195
APPLEBEES INTL INC                      EQUITY 037899101    3446    152,535 SH       SOLE         1       152,535
APPLERA CORP                            EQUITY 038020103      18        693 SH       DEFINED      2                      693
APPLERA CORP                            EQUITY 038020103    2371     89,261 SH       SOLE         1        89,261
APPLERA CORP                            EQUITY 038020202     607     55,364 SH       SOLE         1        55,364
APPLIED DIGITAL SOLUTIONS               EQUITY 038188306     135     47,193 SH       SOLE         1        47,193
APPLIED FILMS CORP                      EQUITY 038197109     232     11,193 SH       SOLE         1        11,193
APPLIED INDL TECHNOLOGIES IN            EQUITY 03820C105     760     22,562 SH       SOLE         1        22,562
APPLIED MATLS INC                       EQUITY 038222105     107      5,991 SH       DEFINED      2                    5,991
APPLIED MATLS INC                       EQUITY 038222105   17349    967,077 SH       SOLE         1       967,077
APPLIED MICRO CIRCUITS CORP             EQUITY 03822W109       3      1,104 SH       DEFINED      2                    1,104
APPLIED MICRO CIRCUITS CORP             EQUITY 03822W109     933    363,097 SH       SOLE         1       363,097
APPLIED SIGNAL TECHNOLOGY IN            EQUITY 038237103     194      8,529 SH       SOLE         1         8,529
APRIA HEALTHCARE GROUP INC              EQUITY 037933108    3248    134,712 SH       SOLE         1       134,712
APTARGROUP INC                          EQUITY 038336103      55      1,062 SH       SOLE         1         1,062
AQUA AMERICA INC                        EQUITY 03836W103    6432    235,597 SH       SOLE         3       229,531             6,066
AQUA AMERICA INC                        EQUITY 03836W103    2002     73,333 SH       SOLE         4        73,333
AQUA AMERICA INC                        EQUITY 03836W103    7044    258,034 SH       SOLE         1       258,034





                                                                                            
AQUANTIVE INC                           EQUITY 03839G105     298     11,800 SH       DEFINED      2                   11,800
AQUANTIVE INC                           EQUITY 03839G105    1074     42,533 SH       SOLE         1        42,533
AQUILA INC                              EQUITY 03840P102    3666  1,018,454 SH       SOLE         1     1,018,454
ARACRUZ CELULOSE S A SPON               EQUITY 038496204    1752     43,800 SH       SOLE         1        43,800
ARAMARK CORP                            EQUITY 038521100      43      1,536 SH       SOLE         1         1,536
ARBINET THEXCHANGE INC                  EQUITY 03875P100      35      4,957 SH       SOLE         1         4,957
ARBITRON INC                            EQUITY 03875Q108    2583     68,000 SH       DEFINED      2                   68,000
ARBITRON INC                            EQUITY 03875Q108     896     23,588 SH       SOLE         1        23,588
ARBOR RLTY TR INC                       EQUITY 038923108    3445    132,918 SH       SOLE         1       132,918
ARCH CHEMICALS INC                      EQUITY 03937R102     531     17,745 SH       SOLE         1        17,745
ARCH COAL INC                           EQUITY 039380100    8236    103,600 SH       DEFINED      2                  103,600
ARCH COAL INC                           EQUITY 039380100   10305    129,617 SH       SOLE         1       129,617
ARCHER DANIELS MIDLAND CO               EQUITY 039483102      59      2,412 SH       DEFINED      2                    2,412
ARCHER DANIELS MIDLAND CO               EQUITY 039483102    8688    352,301 SH       SOLE         1       352,301
ARCHIPELAGO HLDG INC                    EQUITY 03957A104    1108     22,156 SH       SOLE         1        22,156
ARCHSTONE SMITH TR                      EQUITY 039583109      33        783 SH       DEFINED      2                      783
ARCHSTONE SMITH TR                      EQUITY 039583109    4174     99,635 SH       SOLE         1        99,635
ARCTIC CAT INC                          EQUITY 039670104     205     10,198 SH       SOLE         1        10,198
ARDEN GROUP INC                         EQUITY 039762109      90        994 SH       SOLE         1           994
ARDEN RLTY INC                          EQUITY 039793104    3811     85,009 SH       SOLE         1        85,009
ARENA PHARMACEUTICALS INC               EQUITY 040047102     376     26,470 SH       SOLE         1        26,470
ARES CAP CORP                           EQUITY 04010L103    1862    115,854 SH       SOLE         1       115,854
ARGON ST INC                            EQUITY 040149106     204      6,575 SH       SOLE         1         6,575
ARGONAUT GROUP INC                      EQUITY 040157109     691     21,096 SH       SOLE         1        21,096
ARIAD PHARMACEUTICALS INC               EQUITY 04033A100     266     45,408 SH       SOLE         1        45,408
ARIBA INC                               EQUITY 04033V203     365     49,638 SH       SOLE         1        49,638
ARKANSAS BEST CORP DEL                  EQUITY 040790107    2105     48,200 SH       DEFINED      2                   48,200
ARKANSAS BEST CORP DEL                  EQUITY 040790107     831     19,034 SH       SOLE         1        19,034
ARMOR HOLDINGS INC                      EQUITY 042260109    1106     25,930 SH       SOLE         1        25,930
ARQULE INC                              EQUITY 04269E107     145     23,681 SH       SOLE         1        23,681
ARRAY BIOPHARMA INC                     EQUITY 04269X105     166     23,623 SH       SOLE         1        23,623
ARRIS GROUP INC                         EQUITY 04269Q100    7722    815,400 SH       DEFINED      2                  815,400
ARRIS GROUP INC                         EQUITY 04269Q100     739     78,007 SH       SOLE         1        78,007
ARROW ELECTRS INC                       EQUITY 042735100    7873    245,791 SH       SOLE         1       245,791
ARROW FINL CORP                         EQUITY 042744102     207      7,923 SH       SOLE         1         7,923
ARROW INTL INC                          EQUITY 042764100     461     15,887 SH       SOLE         1        15,887
ARTESYN TECHNOLOGIES INC                EQUITY 043127109     290     28,150 SH       SOLE         1        28,150
ARTHROCARE CORP                         EQUITY 043136100     767     18,201 SH       SOLE         1        18,201
ARVINMERITOR INC                        EQUITY 043353101    2758    191,637 SH       SOLE         1       191,637
ASBURY AUTOMOTIVE GROUP INC             EQUITY 043436104     160      9,717 SH       SOLE         1         9,717
ASHFORD HOSPITALITY TR INC              EQUITY 044103109     274     26,153 SH       SOLE         1        26,153
ASHLAND INC                             EQUITY 044209104      15        264 SH       DEFINED      2                      264
ASHLAND INC                             EQUITY 044209104    1946     33,616 SH       SOLE         1        33,616
ASIAINFO HLDGS INC                      EQUITY 04518A104     100     25,188 SH       SOLE         1        25,188
ASPECT MED SYS INC                      EQUITY 045235108    2837     82,600 SH       SOLE         3        82,600
ASPECT MED SYS INC                      EQUITY 045235108     419     12,207 SH       SOLE         1        12,207
ASPEN TECHNOLOGY INC                    EQUITY 045327103     253     32,204 SH       SOLE         1        32,204
ASSET ACCEP CAP CORP                    EQUITY 04543P100     151      6,708 SH       SOLE         1         6,708
ASSOCIATED BANC CORP                    EQUITY 045487105    8913    273,813 SH       SOLE         1       273,813
ASSURANT INC                            EQUITY 04621X108     153      3,520 SH       SOLE         1         3,520
ASTA FDG INC                            EQUITY 046220109     443     16,200 SH       DEFINED      2                   16,200
ASTA FDG INC                            EQUITY 046220109     212      7,761 SH       SOLE         1         7,761
ASTEC INDS INC                          EQUITY 046224101    8087    247,600 SH       SOLE         3       243,400             4,200
ASTEC INDS INC                          EQUITY 046224101     385     11,802 SH       SOLE         1        11,802
ASTORIA FINL CORP                       EQUITY 046265104    5221    177,597 SH       SOLE         1       177,597
ASTRAZENECA * PLC                       EQUITY 046353108   13229    272,200 SH       DEFINED      2                  272,200
ASYST TECHNOLOGY CORP                   EQUITY 04648X107     204     35,725 SH       SOLE         1        35,725
AT&T INC                                EQUITY 00206R102    7044    287,615 SH       DEFINED      2                  287,615
AT&T INC                                EQUITY 00206R102     612     25,000 SH       SOLE         4        25,000
AT&T INC                                EQUITY 00206R102   71504  2,903,585 SH       SOLE         1     2,903,585
ATARI INC                               EQUITY 04651M105      44     40,468 SH       SOLE         1        40,468
ATHEROGENICS INC                        EQUITY 047439104     566     28,307 SH       SOLE         1        28,307
ATHEROS COMMUNICATIONS INC              EQUITY 04743P108     335     25,739 SH       SOLE         1        25,739
ATI TECHNOLOGIES INC                    EQUITY 001941103    2038    120,000 SH       DEFINED      1             0    120,000





                                                                                            
ATLAS AMER INC                          EQUITY 049167109     546      9,065 SH       SOLE         1         9,065
ATMEL CORP                              EQUITY 049513104    3573  1,156,189 SH       SOLE         1     1,156,189
ATMI INC                                EQUITY 00207R101     780     27,900 SH       SOLE         1        27,900
ATMOS ENERGY CORP                       EQUITY 049560105      63      2,406 SH       SOLE         1         2,406
ATP OIL & GAS CORP                      EQUITY 00208J108     505     13,640 SH       SOLE         1        13,640
ATWOOD OCEANICS INC                     EQUITY 050095108     775      9,933 SH       SOLE         1         9,933
AU OPTRONICS CORP                       EQUITY 002255107    4088    272,381 SH       SOLE         1       272,381
AUDIBLE INC                             EQUITY 05069A302     232     18,092 SH       SOLE         1        18,092
AUDIOVOX CORP                           EQUITY 050757103     178     12,818 SH       SOLE         1        12,818
AUGUST TECHNOLOGY CORP                  EQUITY 05106U105     148     13,499 SH       SOLE         1        13,499
AUTOBYTEL INC                           EQUITY 05275N106     155     31,359 SH       SOLE         1        31,359
AUTODESK INC                            EQUITY 052769106      37        852 SH       DEFINED      2                      852
AUTODESK INC                            EQUITY 052769106    6108    142,282 SH       SOLE         1       142,282
AUTOLIV INC                             EQUITY 052800109     119      2,613 SH       SOLE         1         2,613
AUTOMATIC DATA * PROCESSING IN          EQUITY 053015103      98      2,130 SH       DEFINED      2                    2,130
AUTOMATIC DATA * PROCESSING IN          EQUITY 053015103    1836     40,000 SH       SOLE         4        40,000
AUTOMATIC DATA * PROCESSING IN          EQUITY 053015103   13857    301,899 SH       SOLE         1       301,899
AUTONATION INC                          EQUITY 05329W102      15        669 SH       DEFINED      2                      669
AUTONATION INC                          EQUITY 05329W102    1854     85,305 SH       SOLE         1        85,305
AUTOZONE INC                            EQUITY 053332102      19        204 SH       DEFINED      2                      204
AUTOZONE INC                            EQUITY 053332102    5060     55,151 SH       SOLE         1        55,151
AVALON PHARMACEUTICALS INC              EQUITY 05346P106     316     70,313 SH       SOLE         1        70,313
AVALONBAY CMNTYS INC                    EQUITY 053484101     196      2,194 SH       SOLE         1         2,194
AVANIR PHARMACEUTICALS                  EQUITY 05348P104     279     81,248 SH       SOLE         1        81,248
AVATAR HLDGS INC                        EQUITY 053494100     239      4,349 SH       SOLE         1         4,349
AVAYA INC                               EQUITY 053499109      16      1,545 SH       DEFINED      2                    1,545
AVAYA INC                               EQUITY 053499109    7998    749,622 SH       SOLE         1       749,622
AVERY DENNISON CORP                     EQUITY 053611109    6428    116,298 SH       DEFINED      2                  116,298
AVERY DENNISON CORP                     EQUITY 053611109    5659    102,385 SH       SOLE         1       102,385
AVIALL INC                              EQUITY 05366B102     724     25,129 SH       SOLE         1        25,129
AVID TECHNOLOGY * INC                   EQUITY 05367P100    1436        942 SH       SOLE         1           942
AVISTA CORP                             EQUITY 05379B107     645     36,416 SH       SOLE         1        36,416
AVNET INC                               EQUITY 053807103    6999    292,349 SH       SOLE         1       292,349
AVOCENT CORP                            EQUITY 053893103    3646    134,088 SH       SOLE         1       134,088
AVON PRODS INC                          EQUITY 054303102    5220    182,826 SH       DEFINED      2                  182,826
AVON PRODS INC                          EQUITY 054303102    5826    204,065 SH       SOLE         1       204,065
AVX CORP                                EQUITY 002444107      21      1,453 SH       SOLE         1         1,453
AXCELIS TECHNOLOGIES INC                EQUITY 054540109     359     75,226 SH       SOLE         1        75,226
AZTAR CORP                              EQUITY 054802103     795     26,153 SH       SOLE         1        26,153
BADGER METER INC                        EQUITY 056525108     165      4,216 SH       SOLE         1         4,216
BAKER HUGHES INC                        EQUITY 057224107      77      1,263 SH       DEFINED      2                    1,263
BAKER HUGHES INC                        EQUITY 057224107    9139    150,361 SH       SOLE         1       150,361
BALCHEM CORP                            EQUITY 057665200     172      5,780 SH       SOLE         1         5,780
BALDOR ELEC CO                          EQUITY 057741100     639     24,912 SH       SOLE         1        24,912
BALDWIN & LYONS INC                     EQUITY 057755209     137      5,638 SH       SOLE         1         5,638
BALL CORP                               EQUITY 058498106      15        384 SH       DEFINED      2                      384
BALL CORP                               EQUITY 058498106    1943     48,912 SH       SOLE         1        48,912
BANC CORP                               EQUITY 05944B103     115     10,107 SH       SOLE         1        10,107
BANCFIRST CORP                          EQUITY 05945F103     233      2,947 SH       SOLE         1         2,947
BANCOLOMBIA S A SPON                    EQUITY 05968L102    5851    202,960 SH       SOLE         1       202,960
BANCORP INC DEL                         EQUITY 05969A105     126      7,404 SH       SOLE         1         7,404
BANCORPSOUTH INC                        EQUITY 059692103    1297     58,774 SH       SOLE         1        58,774
BANCTRUST FINANCIAL GP                  EQUITY 05978R107     141      7,036 SH       SOLE         1         7,036
BANDAG INC                              EQUITY 059815100    1351     31,650 SH       SOLE         1        31,650
BANK HAWAII CORP                        EQUITY 062540109    5310    103,023 SH       SOLE         1       103,023
BANK MONTREAL QUE                       EQUITY 063671101    9126    163,700 SH       DEFINED      1             0    163,700
BANK MUTUAL CORP                        EQUITY 063750103     455     42,956 SH       SOLE         1        42,956
BANK NEW YORK INC                       EQUITY 064057102      91      2,844 SH       DEFINED      2                    2,844
BANK NEW YORK INC                       EQUITY 064057102   49265  1,546,768 SH       SOLE         1     1,546,768
BANK NOVA SCOTIA HALIFAX                EQUITY 064149107    6898    174,300 SH       DEFINED      1             0    174,300
BANK OF AMERICA CORPORATION             EQUITY 060505104   63924  1,385,126 SH       DEFINED      2                1,385,126
BANK OF AMERICA CORPORATION             EQUITY 060505104  119871  2,324,526 SH       SOLE         1     2,324,526
BANK OF GRANITE CORP                    EQUITY 062401104     184      9,911 SH       SOLE         1         9,911
BANK OF THE OZARKS INC                  EQUITY 063904106     315      8,525 SH       SOLE         1         8,525





                                                                                            
BANKATLANTIC BANCORP                    EQUITY 065908501     460     32,879 SH       SOLE         1        32,879
BANKFINANCIAL CORP                      EQUITY 06643P104     270     18,369 SH       SOLE         1        18,369
BANKRATE INC                            EQUITY 06646V108     210      7,119 SH       SOLE         1         7,119
BANKUNITED FINL CORP                    EQUITY 06652B103     517     19,441 SH       SOLE         1        19,441
BANNER CORP                             EQUITY 06652V109     246      7,869 SH       SOLE         1         7,869
BANTA * CORP                            EQUITY 066821109    3293     66,127 SH       SOLE         1        66,127
BARD C R INC                            EQUITY 067383109    2385     36,187 SH       DEFINED      2                   36,187
BARD C R INC                            EQUITY 067383109    3201     48,566 SH       SOLE         1        48,566
BARNES & NOBLE INC                      EQUITY 067774109    4511    105,718 SH       SOLE         1       105,718
BARNES GROUP INC                        EQUITY 067806109     432     13,088 SH       SOLE         1        13,088
BARR PHARMACEUTICALS INC                EQUITY 068306109    1620     26,000 SH       DEFINED      2                   26,000
BARR PHARMACEUTICALS INC                EQUITY 068306109   14880    238,881 SH       SOLE         1       238,881
BARRETT BILL CORP                       EQUITY 06846N104     377      9,773 SH       SOLE         1         9,773
BARRIER THERAPEUTICS INC                EQUITY 06850R108      90     10,996 SH       SOLE         1        10,996
BASSETT FURNITURE INDS INC              EQUITY 070203104     144      7,774 SH       SOLE         1         7,774
BAUSCH & LOMB INC                       EQUITY 071707103     883     12,998 SH       DEFINED      2                   12,998
BAUSCH & LOMB INC                       EQUITY 071707103    1696     24,980 SH       SOLE         1        24,980
BAXTER INTL INC                         EQUITY 071813109      87      2,301 SH       DEFINED      2                    2,301
BAXTER INTL INC                         EQUITY 071813109   16815    446,617 SH       SOLE         1       446,617
BB&T CORP                               EQUITY 054937107      84      2,001 SH       DEFINED      2                    2,001
BB&T CORP                               EQUITY 054937107   12625    301,247 SH       SOLE         1       301,247
BE AEROSPACE INC                        EQUITY 073302101     942     42,813 SH       SOLE         1        42,813
BEA SYS INC                             EQUITY 073325102     313     33,344 SH       SOLE         1        33,344
BEACON ROOFING SUPPLY INC               EQUITY 073685109     356     12,394 SH       SOLE         1        12,394
BEAR STEARNS COS INC                    EQUITY 073902108   32154    278,317 SH       DEFINED      2                  278,317
BEAR STEARNS COS INC                    EQUITY 073902108    6377     55,201 SH       SOLE         1        55,201
BEARINGPOINT INC                        EQUITY 074002106    1083    137,759 SH       SOLE         1       137,759
BEASLEY BROADCAST GROUP INC             EQUITY 074014101      75      5,569 SH       SOLE         1         5,569
BEAZER HOMES USA INC                    EQUITY 07556Q105    6018     82,619 SH       SOLE         1        82,619
BEBE STORES INC                         EQUITY 075571109      65      4,661 SH       SOLE         1         4,661
BECKMAN COULTER INC                     EQUITY 075811109    7063    124,133 SH       SOLE         1       124,133
BECTON DICKINSON & CO                   EQUITY 075887109      56        930 SH       DEFINED      2                      930
BECTON DICKINSON & CO                   EQUITY 075887109    6644    110,580 SH       SOLE         1       110,580
BED BATH & BEYOND INC                   EQUITY 075896100    3192     88,295 SH       DEFINED      2                   88,295
BED BATH & BEYOND INC                   EQUITY 075896100    5851    161,840 SH       SOLE         1       161,840
BEDFORD PPTY INVS INC                   EQUITY 076446301    1597     72,781 SH       SOLE         1        72,781
BEL FUSE INC                            EQUITY 077347300     274      8,618 SH       SOLE         1         8,618
BELDEN CDT INC                          EQUITY 077454106     857     35,100 SH       SOLE         1        35,100
BELL MICROPRODUCTS INC                  EQUITY 078137106     166     21,750 SH       SOLE         1        21,750
BELLSOUTH CORP                          EQUITY 079860102    6912    255,050 SH       DEFINED      2                  255,050
BELLSOUTH CORP                          EQUITY 079860102     407     15,000 SH       SOLE         4        15,000
BELLSOUTH CORP                          EQUITY 079860102   87216  3,218,286 SH       SOLE         1     3,218,286
BELO CORP                               EQUITY 080555105    4070    190,086 SH       SOLE         1       190,086
BEMIS INC                               EQUITY 081437105    6703    240,494 SH       DEFINED      2                  240,494
BEMIS INC                               EQUITY 081437105    1387     49,755 SH       SOLE         1        49,755
BENCHMARK ELECTRS INC                   EQUITY 08160H101    1052     31,291 SH       SOLE         1        31,291
BENTLEY PHARMACEUTICALS INC             EQUITY 082657107     225     13,702 SH       SOLE         1        13,702
BERKLEY W R CORP                        EQUITY 084423102   10703    224,757 SH       SOLE         1       224,757
BERKSHIRE HILLS BANCORP INC             EQUITY 084680107     194      5,785 SH       SOLE         1         5,785
BERRY PETE CO                           EQUITY 085789105     286      5,000 SH       DEFINED      2                    5,000
BERRY PETE CO                           EQUITY 085789105     737     12,876 SH       SOLE         1        12,876
BEST BUY INC                            EQUITY 086516101      66      1,509 SH       DEFINED      2                    1,509
BEST BUY INC                            EQUITY 086516101   30796    708,288 SH       SOLE         1       708,288
BEVERLY ENTERPRISES INC                 EQUITY 087851309    1309    112,205 SH       SOLE         1       112,205
BEVERLY HILLS BANCORP DEL               EQUITY 087866109     107     10,307 SH       SOLE         1        10,307
BFC FINL CORP                           EQUITY 055384200     100     18,109 SH       SOLE         1        18,109
BIG 5 SPORTING GOODS CORP               EQUITY 08915P101     334     15,252 SH       SOLE         1        15,252
BIG LOTS INC                            EQUITY 089302103       5        420 SH       DEFINED      2                      420
BIG LOTS INC                            EQUITY 089302103    2837    236,182 SH       SOLE         1       236,182
BIMINI MTG MGMT INC                     EQUITY 09031E400     143     15,777 SH       SOLE         1        15,777
BIO RAD LABS INC                        EQUITY 090572207     864     13,205 SH       SOLE         1        13,205
BIOCRYST PHARMACEUTICALS                EQUITY 09058V103     104      6,200 SH       DEFINED      2                    6,200
BIOENVISION INC                         EQUITY 09059N100     198     30,356 SH       SOLE         1        30,356
BIOGEN IDEC INC                         EQUITY 09062X103   13574    299,454 SH       DEFINED      2                  299,454





                                                                                            
BIOGEN IDEC INC                         EQUITY 09062X103    8797    194,285 SH       SOLE         1       194,285
BIOLASE TECHNOLOGY INC                  EQUITY 090911108    1728    216,300 SH       SOLE         3       216,300
BIOMARIN PHARMACEUTICAL INC             EQUITY 09061G101     593     54,993 SH       SOLE         1        54,993
BIOMED REALTY TRUST INC                 EQUITY 09063H107     817     33,489 SH       SOLE         1        33,489
BIOMET INC                              EQUITY 090613100    1211     33,118 SH       DEFINED      2                   33,118
BIOMET INC                              EQUITY 090613100    4983    136,261 SH       SOLE         1       136,261
BIO-REFERENCE LABS INC                  EQUITY 09057G602     143      7,609 SH       SOLE         1         7,609
BIOSCRIP INC                            EQUITY 09069N108     209     27,734 SH       SOLE         1        27,734
BIOSITE INC                             EQUITY 090945106     714     12,684 SH       SOLE         1        12,684
BISYS GROUP INC                         EQUITY 055472104    3391    242,073 SH       SOLE         1       242,073
BJ SVCS CO                              EQUITY 055482103      44      1,191 SH       DEFINED      2                    1,191
BJ SVCS CO                              EQUITY 055482103    2527     68,900 SH       SOLE         3        66,400             2,500
BJ SVCS CO                              EQUITY 055482103   12474    340,174 SH       SOLE         1       340,174
BJS RESTAURANTS INC                     EQUITY 09180C106     246     10,768 SH       SOLE         1        10,768
BJS WHOLESALE CLUB INC                  EQUITY 05548J106    4017    135,879 SH       SOLE         1       135,879
BKF CAP GROUP INC                       EQUITY 05548G102      97      5,104 SH       SOLE         1         5,104
BLACK & DECKER CORP                     EQUITY 091797100      25        288 SH       DEFINED      2                      288
BLACK & DECKER CORP                     EQUITY 091797100    3173     36,493 SH       SOLE         1        36,493
BLACK BOX CORP DEL                      EQUITY 091826107     599     12,643 SH       SOLE         1        12,643
BLACK HILLS CORP                        EQUITY 092113109    3109     89,829 SH       SOLE         1        89,829
BLACKBAUD INC                           EQUITY 09227Q100     132      7,739 SH       SOLE         1         7,739
BLACKBOARD INC                          EQUITY 091935502     469     16,200 SH       DEFINED      2                   16,200
BLACKBOARD INC                          EQUITY 091935502     396     13,649 SH       SOLE         1        13,649
BLACKROCK INC                           EQUITY 09247X101      46        427 SH       SOLE         1           427
BLAIR CORP                              EQUITY 092828102     113      2,896 SH       SOLE         1         2,896
BLOCK H & R INC                         EQUITY 093671105      30      1,209 SH       DEFINED      2                    1,209
BLOCK H & R INC                         EQUITY 093671105    3703    150,821 SH       SOLE         1       150,821
BLOCKBUSTER INC                         EQUITY 093679108     536    142,946 SH       SOLE         1       142,946
BLOUNT INTL INC                         EQUITY 095180105     357     22,383 SH       SOLE         1        22,383
BLUE COAT SYSTEMS INC                   EQUITY 09534T508     430      9,400 SH       DEFINED      2                    9,400
BLUE COAT SYSTEMS INC                   EQUITY 09534T508     523     11,436 SH       SOLE         1        11,436
BLUE NILE INC                           EQUITY 09578R103     448     11,113 SH       SOLE         1        11,113
BLUEGREEN CORP                          EQUITY 096231105     246     15,560 SH       SOLE         1        15,560
BLUELINX HLDGS INC                      EQUITY 09624H109      82      7,274 SH       SOLE         1         7,274
BLYTH INC                               EQUITY 09643P108    1524     72,741 SH       SOLE         1        72,741
BMC SOFTWARE INC                        EQUITY 055921100      16        798 SH       DEFINED      2                      798
BMC SOFTWARE INC                        EQUITY 055921100    2113    103,115 SH       SOLE         1       103,115
BOB EVANS FARMS INC                     EQUITY 096761101    2243     97,250 SH       SOLE         1        97,250
BOEING CO                               EQUITY 097023105   12360    175,972 SH       DEFINED      2                  175,972
BOEING CO                               EQUITY 097023105    2810     40,000 SH       SOLE         4        40,000
BOEING CO                               EQUITY 097023105   24958    355,323 SH       SOLE         1       355,323
BOIS D ARC ENERGY INC                   EQUITY 09738U103     160     10,114 SH       SOLE         1        10,114
BOK FINL CORP                           EQUITY 05561Q201      31        684 SH       SOLE         1           684
BOMBAY CO INC                           EQUITY 097924104      80     26,896 SH       SOLE         1        26,896
BON-TON STORES INC                      EQUITY 09776J101      92      4,806 SH       SOLE         1         4,806
BORDERS GROUP INC                       EQUITY 099709107    2932    135,307 SH       SOLE         1       135,307
BORG WARNER INC                         EQUITY 099724106    6928    114,260 SH       SOLE         1       114,260
BORLAND SOFTWARE CORP                   EQUITY 099849101     390     59,734 SH       SOLE         1        59,734
BOSTON BEER INC                         EQUITY 100557107     181      7,253 SH       SOLE         1         7,253
BOSTON PRIVATE FINL HLDGS IN            EQUITY 101119105     654     21,496 SH       SOLE         1        21,496
BOSTON PROPERTIES INC                   EQUITY 101121101     247      3,333 SH       SOLE         1         3,333
BOSTON SCIENTIFIC CORP                  EQUITY 101137107     837     34,178 SH       DEFINED      2                   34,178
BOSTON SCIENTIFIC CORP                  EQUITY 101137107   14137    577,260 SH       SOLE         1       577,260
BOTTOMLINE TECH DEL INC                 EQUITY 101388106     124     11,285 SH       SOLE         1        11,285
BOWATER INC                             EQUITY 102183100    4684    152,487 SH       SOLE         1       152,487
BOWNE & CO INC                          EQUITY 103043105     381     25,670 SH       SOLE         1        25,670
BOYD GAMING CORP                        EQUITY 103304101    4556     95,600 SH       DEFINED      2                   95,600
BOYD GAMING CORP                        EQUITY 103304101    4163     87,338 SH       SOLE         1        87,338
BOYKIN LODGING CO                       EQUITY 103430104     161     13,164 SH       SOLE         1        13,164
BRADY CORP                              EQUITY 104674106     601     16,600 SH       DEFINED      2                   16,600
BRADY CORP                              EQUITY 104674106    1120     30,949 SH       SOLE         1        30,949
BRANDYWINE RLTY TR SH BEN INT           EQUITY 105368203    1173     42,011 SH       SOLE         1        42,011
BRASIL TELECOM PARTICIPACOES SPON       EQUITY 105530109    3223     86,290 SH       SOLE         1        86,290
BRE PROPERTIES INC                      EQUITY 05564E106      70      1,530 SH       SOLE         1         1,530





                                                                                            
BRIGGS & STRATTON CORP                  EQUITY 109043109    1503     38,736 SH       SOLE         1        38,736
BRIGHAM EXPLORATION CO                  EQUITY 109178103     228     19,195 SH       SOLE         1        19,195
BRIGHT HORIZON FAMILY SOLUTI            EQUITY 109195107     753     20,333 SH       SOLE         1        20,333
BRIGHTPOINT INC                         EQUITY 109473405     283     10,200 SH       DEFINED      2                   10,200
BRIGHTPOINT INC                         EQUITY 109473405    3508    126,500 SH       SOLE         3       126,500
BRIGHTPOINT INC                         EQUITY 109473405     566     20,413 SH       SOLE         1        20,413
BRINKER INTL INC                        EQUITY 109641100    6646    171,909 SH       SOLE         1       171,909
BRINKS CO                               EQUITY 109696104    5627    117,441 SH       SOLE         1       117,441
BRISTOL MYERS SQUIBB CO                 EQUITY 110122108    6471    281,592 SH       DEFINED      2                  281,592
BRISTOL MYERS SQUIBB CO                 EQUITY 110122108   19787    861,048 SH       SOLE         1       861,048
BRISTOL WEST HLDGS INC                  EQUITY 11037M105     248     13,029 SH       SOLE         1        13,029
BROADCOM CORP                           EQUITY 111320107   35988    763,268 SH       DEFINED      2                  763,268
BROADCOM CORP                           EQUITY 111320107    1801     38,200 SH       SOLE         3        36,700             1,500
BROADCOM CORP                           EQUITY 111320107   13564    287,683 SH       SOLE         1       287,683
BROADWING CORP                          EQUITY 11161E101     296     48,931 SH       SOLE         1        48,931
BROCADE COMMUNICATIONS SYS I            EQUITY 111621108     821    201,603 SH       SOLE         1       201,603
BRONCO DRILLING CO INC                  EQUITY 112211107      90      3,918 SH       SOLE         1         3,918
BROOKDALE SR LIVING INC                 EQUITY 112463104     352     11,800 SH       DEFINED      2                   11,800
BROOKDALE SR LIVING INC                 EQUITY 112463104      24        797 SH       SOLE         1           797
BROOKFIELD HOMES CORP                   EQUITY 112723101     547     11,003 SH       SOLE         1        11,003
BROOKLINE BANCORP INC DEL               EQUITY 11373M107     656     46,316 SH       SOLE         1        46,316
BROOKS AUTOMATION * TION INC            EQUITY 114340102     699     55,753 SH       SOLE         1        55,753
BROWN & BROWN INC                       EQUITY 115236101    6786    222,191 SH       SOLE         1       222,191
BROWN FORMAN CORP                       EQUITY 115637209   10007    144,360 SH       DEFINED      2                  144,360
BROWN FORMAN CORP                       EQUITY 115637209    2625     37,865 SH       SOLE         1        37,865
BROWN SHOE INC                          EQUITY 115736100     582     13,712 SH       SOLE         1        13,712
BRUKER BIOSCIENCES CORP                 EQUITY 116794108     136     28,079 SH       SOLE         1        28,079
BRUNSWICK CORP                          EQUITY 117043109      15        357 SH       DEFINED      2                      357
BRUNSWICK CORP                          EQUITY 117043109    1826     44,901 SH       SOLE         1        44,901
BRUSH ENGINEERED MATLS INC              EQUITY 117421107     230     14,436 SH       SOLE         1        14,436
BTU INTL INC                            EQUITY 056032105     257     20,400 SH       DEFINED      2                   20,400
BUCKEYE TECHNOLOGIES INC                EQUITY 118255108     186     23,107 SH       SOLE         1        23,107
BUCKLE INC                              EQUITY 118440106     187      5,788 SH       SOLE         1         5,788
BUCYRUS INTL INC                        EQUITY 118759109    3937     74,700 SH       SOLE         3        74,700
BUCYRUS INTL INC                        EQUITY 118759109     804     15,261 SH       SOLE         1        15,261
BUFFALO WILD WINGS INC                  EQUITY 119848109     172      5,194 SH       SOLE         1         5,194
BUILD A BEAR WORKSHOP                   EQUITY 120076104     302     10,200 SH       DEFINED      2                   10,200
BUILD A BEAR WORKSHOP                   EQUITY 120076104     213      7,176 SH       SOLE         1         7,176
BUILDERS FIRSTSOURCE INC                EQUITY 12008R107     197      9,196 SH       SOLE         1         9,196
BUILDING MATLS HLDG CORP                EQUITY 120113105     713     10,447 SH       SOLE         1        10,447
BUNGE LIMITED                           EQUITY G16962105   11076    195,650 SH       SOLE         1       195,650
BURLINGTON COAT FACTORY                 EQUITY 121579106     501     12,465 SH       SOLE         1        12,465
BURLINGTON NORTHN SANTA FE C            EQUITY 12189T104      98      1,380 SH       DEFINED      2                    1,380
BURLINGTON NORTHN SANTA FE C            EQUITY 12189T104     942     13,300 SH       SOLE         3        13,300
BURLINGTON NORTHN SANTA FE C            EQUITY 12189T104   11669    164,770 SH       SOLE         1       164,770
BURLINGTON RES INC                      EQUITY 122014103   14102    163,595 SH       DEFINED      2                  163,595
BURLINGTON RES INC                      EQUITY 122014103   30572    354,665 SH       SOLE         1       354,665
C COR INC                               EQUITY 125010108     174     35,838 SH       SOLE         1        35,838
C D I CORP                              EQUITY 125071100     257      9,392 SH       SOLE         1         9,392
C D W CORP                              EQUITY 12512N105    7533    130,826 SH       SOLE         1       130,826
C H ROBINSON WORLDWIDE INC              EQUITY 12541W209   13046    352,301 SH       SOLE         1       352,301
C&D TECHNOLOGIES INC                    EQUITY 124661109     145     19,030 SH       SOLE         1        19,030
CABELAS INC                             EQUITY 126804301     384     23,137 SH       SOLE         1        23,137
CABLEVISION SYS CORP                    EQUITY 12686C109     102      4,331 SH       SOLE         1         4,331
CABOT CORP                              EQUITY 127055101    4459    124,553 SH       SOLE         1       124,553
CABOT MICROELECTRONICS CORP             EQUITY 12709P103    1952     66,641 SH       SOLE         1        66,641
CABOT OIL & GAS CORP                    EQUITY 127097103     451     10,000 SH       DEFINED      2                   10,000
CABOT OIL & GAS CORP                    EQUITY 127097103    1657     36,732 SH       SOLE         1        36,732
CACHE INC                               EQUITY 127150308     160      9,256 SH       SOLE         1         9,256
CACI INTL INC                           EQUITY 127190304      39        671 SH       SOLE         1           671
CADENCE DESIGN SYSTEM INC               EQUITY 127387108    9929    586,805 SH       SOLE         1       586,805
CADMUS COMMUNICATIONS CORP              EQUITY 127587103     892     44,300 SH       SOLE         3        44,300
CAL DIVE INTL INC                       EQUITY 127914109     474     13,200 SH       DEFINED      2                   13,200
CAL DIVE INTL INC                       EQUITY 127914109    2087     58,139 SH       SOLE         1        58,139





                                                                                            
CALAMOS ASSET MGMT INC                  EQUITY 12811R104     543     17,269 SH       SOLE         1        17,269
CALGON CARBON CORP                      EQUITY 129603106     144     25,369 SH       SOLE         1        25,369
CALIFORNIA COASTAL CMNTYS IN            EQUITY 129915203     231      5,888 SH       SOLE         1         5,888
CALIFORNIA PIZZA KITCHEN INC            EQUITY 13054D109     463     14,494 SH       SOLE         1        14,494
CALIFORNIA WTR SVC GROUP                EQUITY 130788102     496     12,966 SH       SOLE         1        12,966
CALIPER LIFE SCIENCES INC               EQUITY 130872104     122     20,752 SH       SOLE         1        20,752
CALLAWAY * GOLF CO                      EQUITY 131193104    2591    187,183 SH       SOLE         1       187,183
CALLON PETE CO DEL                      EQUITY 13123X102     180     10,213 SH       SOLE         1        10,213
CAMBREX CORP                            EQUITY 132011107     372     19,817 SH       SOLE         1        19,817
CAMDEN NATL CORP                        EQUITY 133034108     188      5,728 SH       SOLE         1         5,728
CAMDEN PPTY TR SH BEN INT               EQUITY 133131102      81      1,402 SH       SOLE         1         1,402
CAMECO CORP                             EQUITY 13321L108   12640    199,400 SH       DEFINED      2                  199,400
CAMPBELL SOUP CO                        EQUITY 134429109      20        687 SH       DEFINED      2                      687
CAMPBELL SOUP CO                        EQUITY 134429109    2613     87,776 SH       SOLE         1        87,776
CANADIAN NAT RES LTD                    EQUITY 136385101    1863     37,700 SH       DEFINED      1             0     37,700
CANDELA CORP                            EQUITY 136907102     245     16,956 SH       SOLE         1        16,956
CANTEL MEDICAL CORP                     EQUITY 138098108     152      8,458 SH       SOLE         1         8,458
CAPITAL CITY BK GROUP INC               EQUITY 139674105     315      9,185 SH       SOLE         1         9,185
CAPITAL CORP OF THE WEST                EQUITY 140065202     226      6,972 SH       SOLE         1         6,972
CAPITAL CROSSING BK                     EQUITY 140071101     146      4,377 SH       SOLE         1         4,377
CAPITAL LEASE FDG INC                   EQUITY 140288101     191     18,166 SH       SOLE         1        18,166
CAPITAL ONE FINL CORP                   EQUITY 14040H105   10714    124,007 SH       DEFINED      2                  124,007
CAPITAL ONE FINL CORP                   EQUITY 14040H105   23756    274,957 SH       SOLE         1       274,957
CAPITAL SOUTHWEST CORP                  EQUITY 140501107     188      2,073 SH       SOLE         1         2,073
CAPITAL TRUST INC MD                    EQUITY 14052H506     264      9,000 SH       SOLE         1         9,000
CAPITALSOURCE INC                       EQUITY 14055X102    6469    288,800 SH       DEFINED      2                  288,800
CAPITALSOURCE INC                       EQUITY 14055X102      40      1,770 SH       SOLE         1         1,770
CAPITOL BANCORP LTD                     EQUITY 14056D105     350      9,355 SH       SOLE         1         9,355
CAPITOL FED FINL                        EQUITY 14057C106      22        662 SH       SOLE         1           662
CAPTIVA SOFTWARE CORP DEL               EQUITY 14073T109    3957    178,000 SH       SOLE         1       178,000
CARACO PHARMACEUTICAL LABS L            EQUITY 14075T107      65      7,202 SH       SOLE         1         7,202
CARAUSTAR INDS INC                      EQUITY 140909102     188     21,597 SH       SOLE         1        21,597
CARBO CERAMICS INC                      EQUITY 140781105     828     14,644 SH       SOLE         1        14,644
CARDINAL FINL CORP                      EQUITY 14149F109     201     18,247 SH       SOLE         1        18,247
CARDINAL HEALTH INC                     EQUITY 14149Y108   15495    225,381 SH       DEFINED      2                  225,381
CARDINAL HEALTH INC                     EQUITY 14149Y108   27288    396,917 SH       SOLE         1       396,917
CARDIOME PHARMA CORP                    EQUITY 14159U202    1909    189,900 SH       DEFINED      1             0    189,900
CAREER EDUCATION CORP                   EQUITY 141665109    6768    200,705 SH       SOLE         1       200,705
CAREMARK RX INC                         EQUITY 141705103    1329     25,659 SH       DEFINED      2                   25,659
CAREMARK RX INC                         EQUITY 141705103    2573     49,675 SH       SOLE         3        47,768             1,907
CAREMARK RX INC                         EQUITY 141705103   18521    357,616 SH       SOLE         1       357,616
CARLISLE COS INC                        EQUITY 142339100    4225     61,094 SH       SOLE         1        61,094
CARMAX INC                              EQUITY 143130102    5790    209,163 SH       SOLE         1       209,163
CARMIKE CINEMAS INC                     EQUITY 143436400     234      9,242 SH       SOLE         1         9,242
CARNIVAL CORP PAIRED CTF                EQUITY 143658300   17902    334,799 SH       DEFINED      2                  334,799
CARNIVAL CORP PAIRED CTF                EQUITY 143658300   23378    437,213 SH       SOLE         1       437,213
CARPENTER TECHNOLOGY CORP               EQUITY 144285103    1301     18,467 SH       SOLE         1        18,467
CARRAMERICA RLTY CORP                   EQUITY 144418100      58      1,661 SH       SOLE         1         1,661
CARRIZO OIL & CO INC                    EQUITY 144577103     370     14,980 SH       SOLE         1        14,980
CARTER INC                              EQUITY 146229109     400      6,800 SH       DEFINED      2                    6,800
CARTER INC                              EQUITY 146229109    2896     49,213 SH       SOLE         1        49,213
CASCADE BANCORP                         EQUITY 147154108     291     12,643 SH       SOLE         1        12,643
CASCADE CORP                            EQUITY 147195101     431      9,181 SH       SOLE         1         9,181
CASCADE NAT GAS CORP                    EQUITY 147339105     167      8,539 SH       SOLE         1         8,539
CASELLA WASTE SYS INC                   EQUITY 147448104     186     14,513 SH       SOLE         1        14,513
CASEYS GEN STORES INC                   EQUITY 147528103     337     13,600 SH       DEFINED      2                   13,600
CASEYS GEN STORES INC                   EQUITY 147528103     934     37,673 SH       SOLE         1        37,673
CASH AMER INTL INC                      EQUITY 14754D100     510     21,996 SH       SOLE         1        21,996
CASTLE A M & CO                         EQUITY 148411101     172      7,877 SH       SOLE         1         7,877
CASUAL MALE RETAIL GRP INC              EQUITY 148711104     120     19,506 SH       SOLE         1        19,506
CATALINA MARKETING CORP                 EQUITY 148867104    1977     78,000 SH       DEFINED      2                   78,000
CATALINA MARKETING CORP                 EQUITY 148867104    2921    115,242 SH       SOLE         1       115,242
CATAPULT COMMUNICATIONS CORP            EQUITY 149016107     109      7,361 SH       SOLE         1         7,361
CATERPILLAR INC DEL                     EQUITY 149123101     145      2,511 SH       DEFINED      2                    2,511





                                                                                            
CATERPILLAR INC DEL                     EQUITY 149123101    3091     53,500 SH       SOLE         4        53,500
CATERPILLAR INC DEL                     EQUITY 149123101   18153    314,227 SH       SOLE         1       314,227
CATHAY GENERAL BANCORP                  EQUITY 149150104    4792    133,347 SH       SOLE         1       133,347
CATO CORP                               EQUITY 149205106     492     22,939 SH       SOLE         1        22,939
CB RICHARD ELLIS GROUP INC              EQUITY 12497T101      65      1,101 SH       SOLE         1         1,101
CBEYOND COMMUNICATIONS INC              EQUITY 149847105       5        441 SH       SOLE         1           441
CBIZ INC                                EQUITY 124805102     275     45,659 SH       SOLE         1        45,659
CBL & ASSOC PPTYS INC                   EQUITY 124830100      53      1,335 SH       SOLE         1         1,335
CBRL GROUP INC                          EQUITY 12489V106    3295     93,750 SH       SOLE         1        93,750
CCC INFORMATION SVCS GROUP I            EQUITY 12487Q109     165      6,291 SH       SOLE         1         6,291
CCE SPINCO INC                          EQUITY 14985W109    1995    152,306 SH       SOLE         1       152,306
CDN IMPERIAL BK OF COMMERCE COM         EQUITY 136069101    3998     61,000 SH       DEFINED      1             0     61,000
CEC ENTMT INC                           EQUITY 125137109     898     26,378 SH       SOLE         1        26,378
CEDAR SHOPPING CTRS INC                 EQUITY 150602209     218     15,528 SH       SOLE         1        15,528
CELADON GROUP INC                       EQUITY 150838100     328     11,400 SH       DEFINED      2                   11,400
CELANESE CORP DEL                       EQUITY 150870103      29      1,503 SH       SOLE         1         1,503
CELGENE CORP                            EQUITY 151020104    1296     20,000 SH       DEFINED      2                   20,000
CELGENE CORP                            EQUITY 151020104     923     14,250 SH       SOLE         1        14,250
CELL GENESYS INC                        EQUITY 150921104     202     34,088 SH       SOLE         1        34,088
CELL THERAPEUTICS INC                   EQUITY 150934107     107     49,001 SH       SOLE         1        49,001
CEMEX S A SPON                          EQUITY 151290889    9937    167,480 SH       SOLE         1       167,480
CENDANT CORP                            EQUITY 151313103      65      3,783 SH       DEFINED      2                    3,783
CENDANT CORP                            EQUITY 151313103   18958  1,098,991 SH       SOLE         1     1,098,991
CENTENE CORP DEL                        EQUITY 15135B101    6157    234,200 SH       DEFINED      2                  234,200
CENTENE CORP DEL                        EQUITY 15135B101     826     31,402 SH       SOLE         1        31,402
CENTENNIAL BK HLDGS INC DEL             EQUITY 151345303      54      4,390 SH       SOLE         1         4,390
CENTENNIAL COMMUNCTNS CORP N            EQUITY 15133V208     257     16,541 SH       SOLE         1        16,541
CENTER FINL CORP CALIF                  EQUITY 15146E102     211      8,372 SH       SOLE         1         8,372
CENTERPOINT ENERGY INC                  EQUITY 15189T107      15      1,146 SH       DEFINED      2                    1,146
CENTERPOINT ENERGY INC                  EQUITY 15189T107    4150    322,968 SH       SOLE         1       322,968
CENTERPOINT PPTYS TR                    EQUITY 151895109      71      1,425 SH       SOLE         1         1,425
CENTEX CORP                             EQUITY 152312104      34        471 SH       DEFINED      2                      471
CENTEX CORP                             EQUITY 152312104    4234     59,220 SH       SOLE         1        59,220
CENTRAL COAST BANCORP                   EQUITY 153145107     214      8,660 SH       SOLE         1         8,660
CENTRAL EUROPEAN DIST CORP              EQUITY 153435102     329      8,200 SH       DEFINED      2                    8,200
CENTRAL EUROPEAN DIST CORP              EQUITY 153435102     879     21,900 SH       SOLE         3        21,900
CENTRAL EUROPEAN DIST CORP              EQUITY 153435102     429     10,684 SH       SOLE         1        10,684
CENTRAL EUROPEAN MEDIA ENTRP            EQUITY G20045202    1641     28,350 SH       SOLE         1        28,350
CENTRAL GARDEN & PET CO                 EQUITY 153527106     665     14,483 SH       SOLE         1        14,483
CENTRAL PAC FINL CORP                   EQUITY 154760102     819     22,790 SH       SOLE         1        22,790
CENTRAL PKG CORP                        EQUITY 154785109     207     15,066 SH       SOLE         1        15,066
CENTRAL VT PUB SVC CORP                 EQUITY 155771108     166      9,196 SH       SOLE         1         9,196
CENTURY ALUM CO                         EQUITY 156431108     447     17,040 SH       SOLE         1        17,040
CENTURYTEL INC                          EQUITY 156700106   13134    396,083 SH       DEFINED      2                  396,083
CENTURYTEL INC                          EQUITY 156700106    4457    134,422 SH       SOLE         1       134,422
CENVEO INC                              EQUITY 15670S105     488     37,113 SH       SOLE         1        37,113
CEPHALON INC                            EQUITY 156708109    1360     21,000 SH       DEFINED      2                   21,000
CEPHALON INC                            EQUITY 156708109    7514    116,064 SH       SOLE         1       116,064
CEPHEID                                 EQUITY 15670R107     280     31,878 SH       SOLE         1        31,878
CERADYNE INC                            EQUITY 156710105     639     14,600 SH       DEFINED      2                   14,600
CERADYNE INC                            EQUITY 156710105     806     18,394 SH       SOLE         1        18,394
CERES GROUP INC                         EQUITY 156772105     134     25,949 SH       SOLE         1        25,949
CERIDIAN CORP                           EQUITY 156779100    7234    291,101 SH       SOLE         1       291,101
CERNER CORP                             EQUITY 156782104    7036     77,400 SH       DEFINED      2                   77,400
CERNER CORP                             EQUITY 156782104      59        646 SH       SOLE         1           646
CERTEGY * INC                           EQUITY 156880106    5032    124,052 SH       SOLE         1       124,052
CF INDS HLDGS INC                       EQUITY 125269100     472     30,970 SH       SOLE         1        30,970
CH ENERGY GROUP INC                     EQUITY 12541M102     543     11,834 SH       SOLE         1        11,834
CHAMPION ENTERPRISES INC                EQUITY 158496109     774     56,831 SH       SOLE         1        56,831
CHAPARRAL STL CO DEL                    EQUITY 159423102     515     17,028 SH       SOLE         1        17,028
CHARLES & COLVARD LTD                   EQUITY 159765106     185      9,170 SH       SOLE         1         9,170
CHARLES RIV LABS INTL INC               EQUITY 159864107    6134    144,763 SH       SOLE         1       144,763
CHARLOTTE RUSSE HLDG INC                EQUITY 161048103     234     11,215 SH       SOLE         1        11,215
CHARMING SHOPPES INC                    EQUITY 161133103    1183     89,958 SH       SOLE         1        89,958





                                                                                            
CHARTER COMMUNICATIONS INC D            EQUITY 16117M107    4281  3,508,721 SH       SOLE         1     3,508,721
CHARTER FINL CORP WEST PT GA            EQUITY 16122M100     105      2,944 SH       SOLE         1         2,944
CHARTERMAC SH BEN INT                   EQUITY 160908109     641     30,287 SH       SOLE         1        30,287
CHATTEM INC                             EQUITY 162456107     486     13,354 SH       SOLE         1        13,354
CHECK POINT SOFTWARE TECH LT            EQUITY M22465104     306     15,240 SH       SOLE         1        15,240
CHECKFREE CORP                          EQUITY 162813109    8563    186,554 SH       SOLE         1       186,554
CHECKPOINT SYS INC                      EQUITY 162825103     700     28,409 SH       SOLE         1        28,409
CHEESECAKE FACTORY INC                  EQUITY 163072101    5866    156,895 SH       SOLE         1       156,895
CHEMED CORP                             EQUITY 16359R103     943     18,987 SH       SOLE         1        18,987
CHEMICAL FINL CORP                      EQUITY 163731102     601     18,914 SH       SOLE         1        18,914
CHEMTURA CORP                           EQUITY 163893100    6103    480,551 SH       SOLE         1       480,551
CHENIERE ENERGY INC                     EQUITY 16411R208    1338     35,953 SH       SOLE         1        35,953
CHEROKEE INC DEL                        EQUITY 16444H102     181      5,267 SH       SOLE         1         5,267
CHESAPEAKE CORP                         EQUITY 165159104     251     14,796 SH       SOLE         1        14,796
CHESAPEAKE ENERGY CORP                  EQUITY 165167107     289      9,099 SH       SOLE         1         9,099
CHEVRON CORP                            EQUITY 166764100   19982    351,989 SH       DEFINED      2                  351,989
CHEVRON CORP                            EQUITY 166764100   95156  1,676,162 SH       SOLE         1     1,676,162
CHICAGO MERCANTILE HLDGS INC            EQUITY 167760107     747      2,033 SH       SOLE         1         2,033
CHICOS FAS INC                          EQUITY 168615102   16738    381,014 SH       SOLE         1       381,014
CHILDRENS PL RETAIL STORES I            EQUITY 168905107     780     15,785 SH       SOLE         1        15,785
CHINA ENERGY TECHNOLOGY INC             EQUITY 16938W102       8        997 SH       SOLE         1           997
CHINA MOBILE HONG KONG LTD              EQUITY 16941M109    6684    278,040 SH       SOLE         1       278,040
CHINA PETE & CHEM CORP SPON             EQUITY 16941R108    3905     78,720 SH       SOLE         1        78,720
CHIQUITA BRANDS INTL INC                EQUITY 170032809     627     31,312 SH       SOLE         1        31,312
CHIRON CORP                             EQUITY 170040109      18        405 SH       DEFINED      2                      405
CHIRON CORP                             EQUITY 170040109    4891    110,065 SH       SOLE         1       110,065
CHITTENDEN CORP                         EQUITY 170228100     969     34,840 SH       SOLE         1        34,840
CHOICE HOTELS INTL INC                  EQUITY 169905106      26        628 SH       SOLE         1           628
CHOICEPOINT INC                         EQUITY 170388102    8107    182,136 SH       SOLE         1       182,136
CHOLESTECH CORP                         EQUITY 170393102    1245    125,500 SH       SOLE         3       125,500
CHRISTOPHER & BANKS CORP                EQUITY 171046105     505     26,867 SH       SOLE         1        26,867
CHUBB CORP                              EQUITY 171232101   26809    274,538 SH       DEFINED      2                  274,538
CHUBB CORP                              EQUITY 171232101   22775    233,236 SH       SOLE         1       233,236
CHUNGHWA TELECOM CO LTD                 EQUITY 17133Q205     739     40,280 SH       SOLE         1        40,280
CHURCH & DWIGHT INC                     EQUITY 171340102    4244    128,493 SH       SOLE         1       128,493
CHURCHILL DOWNS INC                     EQUITY 171484108     214      5,834 SH       SOLE         1         5,834
CIBER INC                               EQUITY 17163B102     264     39,934 SH       SOLE         1        39,934
CIENA CORP                              EQUITY 171779101       6      2,133 SH       DEFINED      2                    2,133
CIENA CORP                              EQUITY 171779101    2935    988,056 SH       SOLE         1       988,056
CIGNA CORP                              EQUITY 125509109    1504     13,465 SH       DEFINED      2                   13,465
CIGNA CORP                              EQUITY 125509109   10115     90,554 SH       SOLE         1        90,554
CIMAREX ENERGY CO                       EQUITY 171798101    2625     61,029 SH       SOLE         1        61,029
CINCINNATI BELL INC                     EQUITY 171871106    2356    671,217 SH       SOLE         1       671,217
CINCINNATI FINL CORP                    EQUITY 172062101      29        645 SH       DEFINED      2                      645
CINCINNATI FINL CORP                    EQUITY 172062101    5825    130,366 SH       SOLE         1       130,366
CINERGY CORP                            EQUITY 172474108      31        735 SH       DEFINED      2                      735
CINERGY CORP                            EQUITY 172474108    3990     93,974 SH       SOLE         1        93,974
CINTAS CORP                             EQUITY 172908105      21        507 SH       DEFINED      2                      507
CINTAS CORP                             EQUITY 172908105    3141     76,359 SH       SOLE         1        76,359
CIRCOR INTL INC                         EQUITY 17273K109     301     11,740 SH       SOLE         1        11,740
CIRCUIT CITY STORE INC                  EQUITY 172737108      13        579 SH       DEFINED      2                      579
CIRCUIT CITY STORE INC                  EQUITY 172737108    1675     74,127 SH       SOLE         1        74,127
CIRRUS LOGIC INC                        EQUITY 172755100     427     63,885 SH       SOLE         1        63,885
CISCO SYS INC                           EQUITY 17275R102    6885    402,177 SH       DEFINED      2                  402,177
CISCO SYS INC                           EQUITY 17275R102   88702  5,181,179 SH       SOLE         1     5,181,179
CIT GROUP INC                           EQUITY 125581108      38        738 SH       DEFINED      2                      738
CIT GROUP INC                           EQUITY 125581108    4886     94,360 SH       SOLE         1        94,360
CITADEL BROADCASTING CORP               EQUITY 17285T106     442     32,919 SH       SOLE         1        32,919
CITI TRENDS INC                         EQUITY 17306X102     130      3,038 SH       SOLE         1         3,038
CITIGROUP INC                           EQUITY 172967101   39293    809,667 SH       DEFINED      2                  809,667
CITIGROUP INC                           EQUITY 172967101  261328  5,384,883 SH       SOLE         1     5,384,883
CITIZENS & NORTHN CORP                  EQUITY 172922106     160      6,225 SH       SOLE         1         6,225
CITIZENS BKG CORP MICH                  EQUITY 174420109     900     32,416 SH       SOLE         1        32,416
CITIZENS COMMUNICATIONS CO              EQUITY 17453B101      15      1,233 SH       DEFINED      2                    1,233





                                                                                            
CITIZENS COMMUNICATIONS CO              EQUITY 17453B101   19310  1,578,901 SH       SOLE         1     1,578,901
CITIZENS INC                            EQUITY 174740100     138     25,322 SH       SOLE         1        25,322
CITRIX SYS INC                          EQUITY 177376100      19        651 SH       DEFINED      2                      651
CITRIX SYS INC                          EQUITY 177376100    2775     96,601 SH       SOLE         1        96,601
CITY BK LYNNWOOD WASH                   EQUITY 17770A109     208      5,838 SH       SOLE         1         5,838
CITY HLDG CO                            EQUITY 177835105     485     13,496 SH       SOLE         1        13,496
CITY NATL CORP                          EQUITY 178566105    6037     83,339 SH       SOLE         1        83,339
CKE RESTAURANTS INC                     EQUITY 12561E105     599     44,303 SH       SOLE         1        44,303
CKX INC                                 EQUITY 12562M106       6        459 SH       SOLE         1           459
CLAIRES STORES INC                      EQUITY 179584107     438     15,000 SH       DEFINED      2                   15,000
CLAIRES STORES INC                      EQUITY 179584107    5798    198,425 SH       SOLE         1       198,425
CLARCOR INC                             EQUITY 179895107    1149     38,681 SH       SOLE         1        38,681
CLARK INC                               EQUITY 181457102     161     12,144 SH       SOLE         1        12,144
CLEAN HARBORS INC                       EQUITY 184496107     331     11,489 SH       SOLE         1        11,489
CLEAR CHANNEL COMMUNICATIONS            EQUITY 184502102    9098    289,295 SH       DEFINED      2                  289,295
CLEAR CHANNEL COMMUNICATIONS            EQUITY 184502102   45779  1,455,626 SH       SOLE         1     1,455,626
CLECO CORP *                            EQUITY 12561W105     781     37,467 SH       SOLE         1        37,467
CLEVELAND CLIFFS INC                    EQUITY 185896107    1455     16,423 SH       SOLE         1        16,423
CLICK COMMERCE INC                      EQUITY 18681D208     324     15,400 SH       DEFINED      2                   15,400
CLICK COMMERCE INC                      EQUITY 18681D208     130      6,204 SH       SOLE         1         6,204
CLIFTON SVGS BANCORP INC                EQUITY 18712Q103     101     10,085 SH       SOLE         1        10,085
CLOROX CO DEL                           EQUITY 189054109    7845    137,899 SH       DEFINED      2                  137,899
CLOROX CO DEL                           EQUITY 189054109   11249    197,734 SH       SOLE         1       197,734
CMGI INC                                EQUITY 125750109     546    362,149 SH       SOLE         1       362,149
CMS ENERGY CORP                         EQUITY 125896100      12        813 SH       DEFINED      2                      813
CMS ENERGY CORP                         EQUITY 125896100    2094    144,307 SH       SOLE         1       144,307
CNA FINL CORP                           EQUITY 126117100      22        687 SH       SOLE         1           687
CNA SURETY CORP                         EQUITY 12612L108     171     11,725 SH       SOLE         1        11,725
CNET NETWORKS INC                       EQUITY 12613R104    1427     97,169 SH       SOLE         1        97,169
CNF INC                                 EQUITY 12612W104    5831    104,336 SH       SOLE         1       104,336
CNS INC                                 EQUITY 126136100     233     10,628 SH       SOLE         1        10,628
COACH INC                               EQUITY 189754104   35014  1,050,204 SH       DEFINED      2                1,050,204
COACH INC                               EQUITY 189754104    9659    289,714 SH       SOLE         1       289,714
COACHMEN INDS INC                       EQUITY 189873102     126     10,657 SH       SOLE         1        10,657
COASTAL FINL CORP DEL                   EQUITY 19046E105     154     12,009 SH       SOLE         1        12,009
COBIZ INC                               EQUITY 190897108     201     11,010 SH       SOLE         1        11,010
COCA COLA BOTTLING CO CONS              EQUITY 191098102     150      3,492 SH       SOLE         1         3,492
COCA COLA CO                            EQUITY 191216100    7119    176,603 SH       DEFINED      2                  176,603
COCA COLA CO                            EQUITY 191216100   81488  2,021,528 SH       SOLE         1     2,021,528
COCA COLA ENTERPRISES INC               EQUITY 191219104      21      1,119 SH       DEFINED      2                    1,119
COCA COLA ENTERPRISES INC               EQUITY 191219104    2737    142,758 SH       SOLE         1       142,758
COEUR D ALENE MINES CORP IDA            EQUITY 192108108     882    220,600 SH       SOLE         3       220,600
COEUR D ALENE MINES CORP IDA            EQUITY 192108108     721    180,213 SH       SOLE         1       180,213
COGENT COMM GROUP INC                   EQUITY 19239V302      29      5,322 SH       SOLE         1         5,322
COGENT INC                              EQUITY 19239Y108     407     17,964 SH       SOLE         1        17,964
COGNEX CORP                             EQUITY 192422103     936     31,104 SH       SOLE         1        31,104
COGNIZANT TECHNOLOGY SOLUTIO            EQUITY 192446102   14708    292,574 SH       SOLE         1       292,574
COHEN & STEERS INC                      EQUITY 19247A100     117      6,297 SH       SOLE         1         6,297
COHERENT INC                            EQUITY 192479103     686     23,118 SH       SOLE         1        23,118
COHU INC                                EQUITY 192576106     372     16,252 SH       SOLE         1        16,252
COINSTAR INC                            EQUITY 19259P300     435     19,070 SH       SOLE         1        19,070
COLDWATER CREEK INC                     EQUITY 193068103     815     26,697 SH       SOLE         1        26,697
COLE KENNETH PRODTNS INC                EQUITY 193294105     173      6,801 SH       SOLE         1         6,801
COLEY PHARMACEUTICAL GROUP I            EQUITY 19388P106      75      4,933 SH       SOLE         1         4,933
COLGATE PALMOLIVE CO                    EQUITY 194162103   40455    737,557 SH       SOLE         1       737,557
COLLEGIATE FDG SVCS INC                 EQUITY 19458M108    1799     91,069 SH       SOLE         1        91,069
COLONIAL BANCGROUP INC                  EQUITY 195493309    7369    309,375 SH       SOLE         1       309,375
COLONIAL PPTYS TR                       EQUITY 195872106    1261     30,046 SH       SOLE         1        30,046
COLONY BANKCORP INC                     EQUITY 19623P101     103      4,110 SH       SOLE         1         4,110
COLOR KINETICS INC                      EQUITY 19624P100     141      9,798 SH       SOLE         1         9,798
COLUMBIA BANCORP                        EQUITY 197227101     171      4,152 SH       SOLE         1         4,152
COLUMBIA BKG SYS INC                    EQUITY 197236102     335     11,751 SH       SOLE         1        11,751
COLUMBIA EQUITY TR INC                  EQUITY 197627102     168     10,408 SH       SOLE         1        10,408
COLUMBIA SPORTSWEAR CO                  EQUITY 198516106     124      2,603 SH       SOLE         1         2,603





                                                                                            
COLUMBUS MCKINNON CORP N Y              EQUITY 199333105     255     11,600 SH       DEFINED      2                   11,600
COMCAST CORP                            EQUITY 20030N101   33541  1,292,019 SH       DEFINED      2                1,292,019
COMCAST CORP                            EQUITY 20030N101   35693  1,377,033 SH       SOLE         1     1,377,033
COMERICA INC                            EQUITY 200340107      35        609 SH       DEFINED      2                      609
COMERICA INC                            EQUITY 200340107    4434     78,123 SH       SOLE         1        78,123
COMFORT SYS USA INC                     EQUITY 199908104     272     29,608 SH       SOLE         1        29,608
COMMERCE BANCORP INC NJ                 EQUITY 200519106   11947    347,190 SH       SOLE         1       347,190
COMMERCE BANCSHARES INC                 EQUITY 200525103      99      1,895 SH       SOLE         1         1,895
COMMERCE GROUP INC MASS                 EQUITY 200641108      45        784 SH       SOLE         1           784
COMMERCIAL BANKSHARES INC               EQUITY 201607108     124      3,519 SH       SOLE         1         3,519
COMMERCIAL CAP BANCORP INC              EQUITY 20162L105     569     33,225 SH       SOLE         1        33,225
COMMERCIAL METALS CO                    EQUITY 201723103    1704     45,395 SH       SOLE         1        45,395
COMMERCIAL NET LEASE RLTY IN            EQUITY 202218103     798     39,190 SH       SOLE         1        39,190
COMMERCIAL VEH GROUP INC                EQUITY 202608105     205     10,891 SH       SOLE         1        10,891
COMMONWEALTH TEL ENTERPRISES            EQUITY 203349105     537     15,902 SH       SOLE         1        15,902
COMMSCOPE INC                           EQUITY 203372107    2383    118,400 SH       DEFINED      2                  118,400
COMMSCOPE INC                           EQUITY 203372107    3012    149,649 SH       SOLE         1       149,649
COMMUNITY BANCORP NEV                   EQUITY 20343T100     118      3,747 SH       SOLE         1         3,747
COMMUNITY BK SYS INC                    EQUITY 203607106     514     22,790 SH       SOLE         1        22,790
COMMUNITY BKS INC MILLERSBUR            EQUITY 203628102     453     16,174 SH       SOLE         1        16,174
COMMUNITY HEALTH SYS INC                EQUITY 203668108    2070     54,000 SH       SOLE         3        51,800             2,200
COMMUNITY HEALTH SYS INC                EQUITY 203668108    6790    177,091 SH       SOLE         1       177,091
COMMUNITY TR BANCORP INC                EQUITY 204149108     343     11,166 SH       SOLE         1        11,166
COMPANHIA DE BEBIDAS DAS AME SPON       EQUITY 20441W203    5278    138,700 SH       SOLE         1       138,700
COMPANHIA DE SANEAMENTO BASI            EQUITY 20441A102    2149    127,358 SH       SOLE         1       127,358
COMPANHIA VALE DO RIO DOCE              EQUITY 204412209    9064    220,330 SH       SOLE         1       220,330
COMPANIA ANONIMA NACIONL TEL * SPON     EQUITY 204421101      79      5,500 SH       SOLE         1         5,500
COMPANIA CERVECERIAS UNIDAS             EQUITY 204429104     409     16,200 SH       DEFINED      2                   16,200
COMPANIA DE MINAS BUENAVENTU            EQUITY 204448104    1472     52,000 SH       SOLE         1        52,000
COMPASS BANCSHARES INC                  EQUITY 20449H109      22        459 SH       DEFINED      2                      459
COMPASS BANCSHARES INC                  EQUITY 20449H109    2833     58,723 SH       SOLE         1        58,723
COMPASS MINERALS INTL INC               EQUITY 20451N101     371     15,110 SH       SOLE         1        15,110
COMPTON PETE CORP                       EQUITY 204940100    4113    280,400 SH       DEFINED      1             0    280,400
COMPUCREDIT CORP                        EQUITY 20478N100     308      8,000 SH       DEFINED      2                    8,000
COMPUCREDIT CORP                        EQUITY 20478N100     574     14,931 SH       SOLE         1        14,931
COMPUTER ASSOC INTL INC                 EQUITY 204912109      48      1,695 SH       DEFINED      2                    1,695
COMPUTER ASSOC INTL INC                 EQUITY 204912109    6107    216,625 SH       SOLE         1       216,625
COMPUTER PROGRAMS & SYS INC             EQUITY 205306103     215      5,200 SH       DEFINED      2                    5,200
COMPUTER PROGRAMS & SYS INC             EQUITY 205306103    4131     99,700 SH       SOLE         3        99,700
COMPUTER PROGRAMS & SYS INC             EQUITY 205306103     237      5,725 SH       SOLE         1         5,725
COMPUTER SCIENCES CORP                  EQUITY 205363104      35        684 SH       DEFINED      2                      684
COMPUTER SCIENCES CORP                  EQUITY 205363104    8493    167,719 SH       SOLE         1       167,719
COMPUWARE CORP                          EQUITY 205638109      13      1,431 SH       DEFINED      2                    1,431
COMPUWARE CORP                          EQUITY 205638109    1704    189,950 SH       SOLE         1       189,950
COMPX INTERNATIONAL INC                 EQUITY 20563P101      24      1,478 SH       SOLE         1         1,478
COMSTOCK HOMEBUILDING COS IN            EQUITY 205684103      54      3,830 SH       SOLE         1         3,830
COMSTOCK RES INC                        EQUITY 205768203     933     30,565 SH       SOLE         1        30,565
COMSYS IT PARTNERS INC                  EQUITY 20581E104    4595    415,831 SH       SOLE         1       415,831
COMTECH TELECOMMUNICATIONS C            EQUITY 205826209     281      9,200 SH       DEFINED      2                    9,200
COMTECH TELECOMMUNICATIONS C            EQUITY 205826209     497     16,259 SH       SOLE         1        16,259
COMVERSE TECHNOLOGY INC                 EQUITY 205862402      20        747 SH       DEFINED      2                      747
COMVERSE TECHNOLOGY INC                 EQUITY 205862402    2834    106,576 SH       SOLE         1       106,576
CONAGRA FOODS INC                       EQUITY 205887102    4893    241,281 SH       DEFINED      2                  241,281
CONAGRA FOODS INC                       EQUITY 205887102    5815    286,758 SH       SOLE         1       286,758
CONCUR TECHNOLOGIES INC                 EQUITY 206708109     280     21,732 SH       SOLE         1        21,732
CONEXANT SYSTEMS INC                    EQUITY 207142100     800    353,822 SH       SOLE         1       353,822
CONMED CORP                             EQUITY 207410101     522     22,057 SH       SOLE         1        22,057
CONNECTICUT WTR SVC INC                 EQUITY 207797101     148      6,058 SH       SOLE         1         6,058
CONNETICS CORP                          EQUITY 208192104     377     26,122 SH       SOLE         1        26,122
CONNS INC                               EQUITY 208242107     132      3,571 SH       SOLE         1         3,571
CONOCOPHILLIPS                          EQUITY 20825C104     298      5,121 SH       DEFINED      2                    5,121
CONOCOPHILLIPS                          EQUITY 20825C104   60076  1,032,585 SH       SOLE         1     1,032,585
CONOR MEDSYSTEMS INC                    EQUITY 208264101     121      6,258 SH       SOLE         1         6,258
CONSECO INC                             EQUITY 208464883     105      4,546 SH       SOLE         1         4,546





                                                                                            
CONSOL * ENERGY INC                     EQUITY 20854P109     145      2,223 SH       SOLE         1         2,223
CONSOLIDATED COMM HLDGS INC             EQUITY 209034107     153     11,768 SH       SOLE         1        11,768
CONSOLIDATED EDISON INC                 EQUITY 209115104      42        903 SH       DEFINED      2                      903
CONSOLIDATED EDISON INC                 EQUITY 209115104    5376    116,047 SH       SOLE         1       116,047
CONSOLIDATED GRAPHICS INC               EQUITY 209341106     401      8,471 SH       SOLE         1         8,471
CONSOLIDATED TOMOKA LD CO               EQUITY 210226106     301      4,251 SH       SOLE         1         4,251
CONSOLIDATED WATER CO INC               EQUITY G23773107    2668    131,500 SH       SOLE         3       131,500
CONSTELLATION BRANDS INC                EQUITY 21036P108      19        726 SH       DEFINED      2                      726
CONSTELLATION BRANDS INC                EQUITY 21036P108    2419     92,236 SH       SOLE         1        92,236
CONSTELLATION ENERGY GROUP I            EQUITY 210371100      38        660 SH       DEFINED      2                      660
CONSTELLATION ENERGY GROUP I            EQUITY 210371100    7713    133,903 SH       SOLE         1       133,903
CONTINENTAL AIRLS * INC                 EQUITY 210795308    1135     53,304 SH       SOLE         1        53,304
CONVERGYS CORP                          EQUITY 212485106       8        516 SH       DEFINED      2                      516
CONVERGYS CORP                          EQUITY 212485106    1045     65,942 SH       SOLE         1        65,942
COOPER CAMERON CORP                     EQUITY 216640102    2666     64,400 SH       DEFINED      2                   64,400
COOPER CAMERON CORP                     EQUITY 216640102   44438  1,073,386 SH       SOLE         1     1,073,386
COOPER COS INC                          EQUITY 216648402    4125     80,400 SH       DEFINED      2                   80,400
COOPER COS INC                          EQUITY 216648402      54      1,046 SH       SOLE         1         1,046
COOPER INDS LTD                         EQUITY G24182100      25        339 SH       DEFINED      2                      339
COOPER INDS LTD                         EQUITY G24182100    2954     40,463 SH       SOLE         1        40,463
COOPER TIRE & RUBR CO                   EQUITY 216831107       3        225 SH       DEFINED      2                      225
COOPER TIRE & RUBR CO                   EQUITY 216831107    1151     75,109 SH       SOLE         1        75,109
COPART INC                              EQUITY 217204106    3232    140,160 SH       SOLE         1       140,160
CORE MARK HOLDING CO INC                EQUITY 218681104    3241    102,085 SH       SOLE         1       102,085
CORINTHIAN COLLEGES INC                 EQUITY 218868107    2930    248,903 SH       SOLE         1       248,903
CORN PRODS INTL INC                     EQUITY 219023108    1349     56,450 SH       SOLE         1        56,450
CORNING INC                             EQUITY 219350105   10975    558,225 SH       DEFINED      2                  558,225
CORNING INC                             EQUITY 219350105     889     45,200 SH       SOLE         3        45,200
CORNING INC                             EQUITY 219350105   14248    724,745 SH       SOLE         1       724,745
CORPORATE EXECUTIVE BRD CO              EQUITY 21988R102    5139     57,292 SH       SOLE         3        55,927             1,365
CORPORATE EXECUTIVE BRD CO              EQUITY 21988R102    7085     78,990 SH       SOLE         1        78,990
CORPORATE OFFICE PPTYS TR SH BEN INT    EQUITY 22002T108     778     21,904 SH       SOLE         1        21,904
CORRECTIONS CORP AMER  *                EQUITY 22025Y407    7470    166,100 SH       SOLE         3       162,400             3,700
CORRECTIONS CORP AMER  *                EQUITY 22025Y407    1322     29,401 SH       SOLE         1        29,401
CORUS BANKSHARES INC                    EQUITY 220873103     789     14,029 SH       SOLE         1        14,029
CORVEL CORP                             EQUITY 221006109      88      4,617 SH       SOLE         1         4,617
COST PLUS INC CALIF                     EQUITY 221485105     283     16,527 SH       SOLE         1        16,527
COSTAR GROUP INC                        EQUITY 22160N109     527     12,210 SH       SOLE         1        12,210
COSTCO WHSL CORP                        EQUITY 22160K105      86      1,743 SH       DEFINED      2                    1,743
COSTCO WHSL CORP                        EQUITY 22160K105   14251    288,071 SH       SOLE         1       288,071
COTHERIX INC                            EQUITY 22163T103     101      9,557 SH       SOLE         1         9,557
COUNTRYWIDE FINANCIAL CORP              EQUITY 222372104      75      2,205 SH       DEFINED      2                    2,205
COUNTRYWIDE FINANCIAL CORP              EQUITY 222372104    9125    266,897 SH       SOLE         1       266,897
COURIER CORP                            EQUITY 222660102     254      7,402 SH       SOLE         1         7,402
COUSINS PPTYS INC                       EQUITY 222795106     835     29,509 SH       SOLE         1        29,509
COVANCE INC                             EQUITY 222816100    3846     79,216 SH       SOLE         3        77,243             1,973
COVANCE INC                             EQUITY 222816100    6072    125,057 SH       SOLE         1       125,057
COVANSYS CORP                           EQUITY 22281W103     283     20,800 SH       DEFINED      2                   20,800
COVANSYS CORP                           EQUITY 22281W103     315     23,134 SH       SOLE         1        23,134
COVANTA HLDG CORP                       EQUITY 22282E102    1217     80,802 SH       SOLE         1        80,802
COVENANT TRANS INC                      EQUITY 22284P105      88      6,315 SH       SOLE         1         6,315
COVENTRY HEALTH CARE INC                EQUITY 222862104    3759     66,000 SH       DEFINED      2                   66,000
COVENTRY HEALTH CARE INC                EQUITY 222862104    4253     74,673 SH       SOLE         1        74,673
COX RADIO INC                           EQUITY 224051102     406     28,830 SH       SOLE         1        28,830
CRA INTL INC                            EQUITY 12618T105     397      8,332 SH       SOLE         1         8,332
CRANE CO                                EQUITY 224399105    4845    137,368 SH       SOLE         1       137,368
CRAWFORD & CO                           EQUITY 224633107     101     17,506 SH       SOLE         1        17,506
CREDENCE SYS CORP                       EQUITY 225302108    1835    263,707 SH       SOLE         1       263,707
CREE INC                                EQUITY 225447101    3828    151,670 SH       SOLE         1       151,670
CRESCENT REAL ESTATE EQUITIE            EQUITY 225756105    7031    354,735 SH       SOLE         1       354,735
CRESUD S A C I F Y A                    EQUITY 226406106    1739    159,107 SH       SOLE         1       159,107
CRIIMI MAE INC                          EQUITY 226603504     232     11,704 SH       SOLE         1        11,704
CROSS CTRY HEALTHCARE INC               EQUITY 227483104     432     24,202 SH       SOLE         1        24,202
CROSSTEX ENERGY INC                     EQUITY 22765Y104     291      4,617 SH       SOLE         1         4,617





                                                                                            
CROWN CASTLE INTL CORP                  EQUITY 228227104     145      5,394 SH       SOLE         1         5,394
CROWN HOLDINGS INC                      EQUITY 228368106      70      3,579 SH       SOLE         1         3,579
CROWN MEDIA HLDGS INC                   EQUITY 228411104     101     10,986 SH       SOLE         1        10,986
CRYPTOLOGIC INC                         EQUITY 228906103     165      8,400 SH       DEFINED      2                    8,400
CSG SYS INTL INC                        EQUITY 126349109    1866     83,600 SH       DEFINED      2                   83,600
CSG SYS INTL INC                        EQUITY 126349109    2991    134,002 SH       SOLE         1       134,002
CSK AUTO CORP                           EQUITY 125965103     511     33,897 SH       SOLE         1        33,897
CSS INDS INC                            EQUITY 125906107     136      4,436 SH       SOLE         1         4,436
CSX CORP                                EQUITY 126408103      41        801 SH       DEFINED      2                      801
CSX CORP                                EQUITY 126408103    1366     26,900 SH       SOLE         3        25,300             1,600
CSX CORP                                EQUITY 126408103   15743    310,094 SH       SOLE         1       310,094
CT COMMUNICATIONS INC                   EQUITY 126426402     173     14,268 SH       SOLE         1        14,268
CTS CORP                                EQUITY 126501105     305     27,597 SH       SOLE         1        27,597
CUBIC CORP                              EQUITY 229669106     233     11,675 SH       SOLE         1        11,675
CUBIST PHARMACEUTICALS INC              EQUITY 229678107     849     39,969 SH       SOLE         1        39,969
CULLEN FROST BANKERS INC                EQUITY 229899109    5085     94,725 SH       SOLE         1        94,725
CUMMINS INC                             EQUITY 231021106      16        174 SH       DEFINED      2                      174
CUMMINS INC                             EQUITY 231021106    1962     21,865 SH       SOLE         1        21,865
CUMULUS MEDIA INC                       EQUITY 231082108     531     42,761 SH       SOLE         1        42,761
CURAGEN CORP                            EQUITY 23126R101     109     35,413 SH       SOLE         1        35,413
CURIS INC                               EQUITY 231269101     128     35,964 SH       SOLE         1        35,964
CURTISS WRIGHT CORP                     EQUITY 231561101     886     16,228 SH       SOLE         1        16,228
CV * THERAPEUTICS INC                   EQUITY 126667104    2587    104,600 SH       DEFINED      2                  104,600
CV * THERAPEUTICS INC                   EQUITY 126667104     806     32,574 SH       SOLE         1        32,574
CVB FINL CORP                           EQUITY 126600105     718     35,342 SH       SOLE         1        35,342
CVS CORP                                EQUITY 126650100   12180    461,006 SH       DEFINED      2                  461,006
CVS CORP                                EQUITY 126650100    2114     80,000 SH       SOLE         4        80,000
CVS CORP                                EQUITY 126650100   23439    887,182 SH       SOLE         1       887,182
CYBERGUARD CORP                         EQUITY 231910100     140     15,877 SH       SOLE         1        15,877
CYBERONICS INC                          EQUITY 23251P102     516     15,976 SH       SOLE         1        15,976
CYBERSOURCE CORP                        EQUITY 23251J106     133     20,104 SH       SOLE         1        20,104
CYMER INC                               EQUITY 232572107     967     27,237 SH       SOLE         1        27,237
CYPRESS BIOSCIENCES INC                 EQUITY 232674507     132     22,829 SH       SOLE         1        22,829
CYPRESS SEMICONDUCTOR CORP              EQUITY 232806109    1023     71,800 SH       SOLE         3        67,500             4,300
CYPRESS SEMICONDUCTOR CORP              EQUITY 232806109    5222    366,437 SH       SOLE         1       366,437
CYTEC INDS INC                          EQUITY 232820100    3787     79,509 SH       SOLE         1        79,509
CYTYC CORP                              EQUITY 232946103    6427    227,654 SH       SOLE         1       227,654
D R HORTON INC                          EQUITY 23331A109      36      1,005 SH       DEFINED      2                    1,005
D R HORTON INC                          EQUITY 23331A109    4497    125,865 SH       SOLE         1       125,865
DADE BEHRING HLDGS INC                  EQUITY 23342J206      80      1,948 SH       SOLE         1         1,948
DAKTRONICS INC                          EQUITY 234264109     333     11,258 SH       SOLE         1        11,258
DANA CORP                               EQUITY 235811106       4        555 SH       DEFINED      2                      555
DANA CORP                               EQUITY 235811106     510     70,997 SH       SOLE         1        70,997
DANAHER CORP DEL                        EQUITY 235851102   17039    305,476 SH       DEFINED      2                  305,476
DANAHER CORP DEL                        EQUITY 235851102    1952     35,000 SH       SOLE         4        35,000
DANAHER CORP DEL                        EQUITY 235851102    5965    106,942 SH       SOLE         1       106,942
DARDEN RESTAURANTS INC                  EQUITY 237194105      19        483 SH       DEFINED      2                      483
DARDEN RESTAURANTS INC                  EQUITY 237194105    4078    104,881 SH       SOLE         1       104,881
DARLING INTL INC                        EQUITY 237266101     191     47,987 SH       SOLE         1        47,987
DATASCOPE CORP                          EQUITY 238113104     290      8,786 SH       SOLE         1         8,786
DAVE & BUSTERS INC                      EQUITY 23833N104     185     10,528 SH       SOLE         1        10,528
DAVITA INC                              EQUITY 23918K108     110      2,167 SH       SOLE         1         2,167
DEALERTRACK HLDGS INC                   EQUITY 242309102    1049     50,000 SH       SOLE         3        50,000
DEAN FOODS CO                           EQUITY 242370104   10192    270,629 SH       SOLE         1       270,629
DEB SHOPS INC                           EQUITY 242728103      96      3,223 SH       SOLE         1         3,223
DECKERS OUTDOOR CORP                    EQUITY 243537107    2676     96,900 SH       SOLE         3        96,900
DECKERS OUTDOOR CORP                    EQUITY 243537107     211      7,624 SH       SOLE         1         7,624
DECODE GENETICS INC                     EQUITY 243586104     338     40,953 SH       SOLE         1        40,953
DEERE & CO                              EQUITY 244199105      61        891 SH       DEFINED      2                      891
DEERE & CO                              EQUITY 244199105    7239    106,277 SH       SOLE         1       106,277
DEERFIELD TRIARC CAP CORP               EQUITY 244572301     257     18,773 SH       SOLE         1        18,773
DEL MONTE FOODS CO                      EQUITY 24522P103      63      5,997 SH       SOLE         1         5,997
DELIA'S INC                             EQUITY 246911101     114     13,778 SH       SOLE         1        13,778
DELL INC                                EQUITY 24702R101   12060    402,138 SH       DEFINED      2                  402,138





                                                                                            
DELL INC                                EQUITY 24702R101   73449  2,452,388 SH       SOLE         1     2,452,388
DELPHI FINL GROUP INC                   EQUITY 247131105     963     20,923 SH       SOLE         1        20,923
DELTA & PINE LD CO                      EQUITY 247357106     616     26,783 SH       SOLE         1        26,783
DELTA FINANCIAL CORP                    EQUITY 247918105      68      8,088 SH       SOLE         1         8,088
DELTA PETE CORP                         EQUITY 247907207     507     23,311 SH       SOLE         1        23,311
DELTIC TIMBER CORP                      EQUITY 247850100     391      7,541 SH       SOLE         1         7,541
DELUXE CORP                             EQUITY 248019101    3766    124,952 SH       SOLE         1       124,952
DENBURY RES INC                         EQUITY 247916208    5214    228,867 SH       SOLE         1       228,867
DENDREON CORP                           EQUITY 24823Q107    1001    184,718 SH       SOLE         1       184,718
DENDRITE INTL INC                       EQUITY 248239105     461     31,974 SH       SOLE         1        31,974
DENNYS CORP                             EQUITY 24869P104     274     68,089 SH       SOLE         1        68,089
DENTSPLY INTL INC                       EQUITY 249030107    8699    162,025 SH       SOLE         1       162,025
DESIGN WITHIN REACH INC                 EQUITY 250557105      47      8,934 SH       SOLE         1         8,934
DEVELOPERS DIVERSIFIED RLTY             EQUITY 251591103   10272    218,467 SH       SOLE         1       218,467
DEVON ENERGY CORP                       EQUITY 25179M103     103      1,641 SH       DEFINED      2                    1,641
DEVON ENERGY CORP                       EQUITY 25179M103   18741    299,657 SH       SOLE         1       299,657
DEVRY INC DEL                           EQUITY 251893103    3189    159,428 SH       SOLE         1       159,428
DEX MEDIA INC                           EQUITY 25212E100     371     13,688 SH       SOLE         1        13,688
DEXCOM INC                              EQUITY 252131107      52      3,511 SH       SOLE         1         3,511
DHB INDS INC                            EQUITY 23321E103      93     20,764 SH       SOLE         1        20,764
DIAGEO P L C SPON                       EQUITY 25243Q205    9730    166,900 SH       DEFINED      2                  166,900
DIAGNOSTIC PRODS CORP                   EQUITY 252450101     832     17,143 SH       SOLE         1        17,143
DIAMOND FOODS INC                       EQUITY 252603105      90      4,528 SH       SOLE         1         4,528
DIAMOND OFFSHORE DRILLING IN            EQUITY 25271C102   13328    191,600 SH       DEFINED      2                  191,600
DIAMOND OFFSHORE DRILLING IN            EQUITY 25271C102     480      6,894 SH       SOLE         1         6,894
DIAMONDCLUSTER INTL INC                 EQUITY 25278P106     177     22,293 SH       SOLE         1        22,293
DIAMONDROCK HOSPITALITY CO              EQUITY 252784301     233     19,495 SH       SOLE         1        19,495
DICKS SPORTING GOODS INC                EQUITY 253393102      25        763 SH       SOLE         1           763
DIEBOLD INC                             EQUITY 253651103    5271    138,723 SH       SOLE         1       138,723
DIGENE CORP                             EQUITY 253752109     331     11,360 SH       SOLE         1        11,360
DIGI INTL INC                           EQUITY 253798102    2278    217,200 SH       SOLE         3       217,200
DIGI INTL INC                           EQUITY 253798102     178     16,949 SH       SOLE         1        16,949
DIGITAL INSIGHT CORP                    EQUITY 25385P106     838     26,180 SH       SOLE         1        26,180
DIGITAL RIV INC                         EQUITY 25388B104     764     25,683 SH       SOLE         1        25,683
DIGITAL RLTY TR INC                     EQUITY 253868103     192      8,487 SH       SOLE         1         8,487
DIGITAS INC                             EQUITY 25388K104     839     66,980 SH       SOLE         1        66,980
DILLARDS INC                            EQUITY 254067101       6        228 SH       DEFINED      2                      228
DILLARDS INC                            EQUITY 254067101     725     29,222 SH       SOLE         1        29,222
DIME CMNTY BANCSHARES                   EQUITY 253922108     292     19,998 SH       SOLE         1        19,998
DIODES INC                              EQUITY 254543101     345     11,096 SH       SOLE         1        11,096
DIONEX CORP                             EQUITY 254546104     748     15,236 SH       SOLE         1        15,236
DIRECT GEN CORP                         EQUITY 25456W204     201     11,913 SH       SOLE         1        11,913
DISCOVERY HOLDING CO                    EQUITY 25468Y107     228     15,050 SH       SOLE         1        15,050
DISCOVERY LABORATORIES INC N            EQUITY 254668106     271     40,508 SH       SOLE         1        40,508
DISNEY WALT CO                          EQUITY 254687106     170      7,101 SH       DEFINED      2                    7,101
DISNEY WALT CO                          EQUITY 254687106   93405  3,896,731 SH       SOLE         1     3,896,731
DITECH COMMUNICATIONS CORP              EQUITY 25500M103     200     24,008 SH       SOLE         1        24,008
DIVERSA CORP                            EQUITY 255064107      84     17,481 SH       SOLE         1        17,481
DIXIE GROUP INC                         EQUITY 255519100     111      8,047 SH       SOLE         1         8,047
DJ ORTHOPEDICS INC                      EQUITY 23325G104     449     16,291 SH       SOLE         1        16,291
DOBSON COMMUNICATIONS CORP              EQUITY 256069105     647     86,331 SH       SOLE         1        86,331
DOLBY LABORATORIES INC                  EQUITY 25659T107      10        578 SH       SOLE         1           578
DOLLAR GEN CORP                         EQUITY 256669102      22      1,170 SH       DEFINED      2                    1,170
DOLLAR GEN CORP                         EQUITY 256669102    5528    289,905 SH       SOLE         1       289,905
DOLLAR THRIFTY AUTOMOTIVE GP            EQUITY 256743105     681     18,878 SH       SOLE         1        18,878
DOLLAR TREE STORES INC                  EQUITY 256747106    5100    213,034 SH       SOLE         1       213,034
DOMINION RES INC VA                     EQUITY 25746U109      99      1,281 SH       DEFINED      2                    1,281
DOMINION RES INC VA                     EQUITY 25746U109   11827    153,197 SH       SOLE         1       153,197
DOMINOS PIZZA INC                       EQUITY 25754A201    1634     67,501 SH       SOLE         1        67,501
DONALDSON INC                           EQUITY 257651109    4345    136,631 SH       SOLE         1       136,631
DONEGAL GROUP INC                       EQUITY 257701201     165      7,098 SH       SOLE         1         7,098
DONNELLEY R R & SONS CO                 EQUITY 257867101      27        801 SH       DEFINED      2                      801
DONNELLEY R R & SONS CO                 EQUITY 257867101    3503    102,386 SH       SOLE         1       102,386
DORAL FINL CORP                         EQUITY 25811P100     685     64,661 SH       SOLE         1        64,661





                                                                                            
DORCHESTER MINERALS LP                  EQUITY 25820R105     107      4,200 SH       SOLE         1         4,200
DOT HILL SYS CORP                       EQUITY 25848T109     228     32,888 SH       SOLE         1        32,888
DOV PHARMACEUTICAL INC                  EQUITY 259858108     251     17,088 SH       SOLE         1        17,088
DOVER CORP                              EQUITY 260003108   53422  1,319,399 SH       DEFINED      2                1,319,399
DOVER CORP                              EQUITY 260003108    3822     94,389 SH       SOLE         1        94,389
DOVER DOWNS GAMING & ENTMT I            EQUITY 260095104     101      7,157 SH       SOLE         1         7,157
DOVER MOTORSPORTS INC                   EQUITY 260174107      78     12,689 SH       SOLE         1        12,689
DOW CHEM CO                             EQUITY 260543103   13977    318,964 SH       DEFINED      2                  318,964
DOW CHEM CO                             EQUITY 260543103   24597    561,318 SH       SOLE         1       561,318
DOW JONES & CO INC                      EQUITY 260561105       8        219 SH       DEFINED      2                      219
DOW JONES & CO INC                      EQUITY 260561105    1032     29,070 SH       SOLE         1        29,070
DOWNEY FINL CORP                        EQUITY 261018105      43        624 SH       SOLE         1           624
DPL INC                                 EQUITY 233293109    6656    255,907 SH       SOLE         1       255,907
DREAMWORKS ANIMATION SKG INC            EQUITY 26153C103     151      6,135 SH       SOLE         1         6,135
DRESS BARN INC                          EQUITY 261570105     324      8,400 SH       DEFINED      2                    8,400
DRESS BARN INC                          EQUITY 261570105     620     16,053 SH       SOLE         1        16,053
DRESSER-RAND GROUP INC                  EQUITY 261608103    1934     80,000 SH       SOLE         4        80,000
DRESSER-RAND GROUP INC                  EQUITY 261608103      15        608 SH       SOLE         1           608
DREW INDS INC                           EQUITY 26168L205     321     11,388 SH       SOLE         1        11,388
DRIL-QUIP INC                           EQUITY 262037104     250      5,293 SH       SOLE         1         5,293
DRS TECHNOLOGIES INC                    EQUITY 23330X100   14274    277,600 SH       DEFINED      2                  277,600
DRS TECHNOLOGIES INC                    EQUITY 23330X100    1055     20,514 SH       SOLE         1        20,514
DRUGSTORE COM INC                       EQUITY 262241102     146     51,265 SH       SOLE         1        51,265
DSP GROUP INC                           EQUITY 23332B106     533     21,268 SH       SOLE         1        21,268
DST * SYS INC DEL                       EQUITY 233326107    7547    125,970 SH       SOLE         1       125,970
DSW INC                                 EQUITY 23334L102     225      8,581 SH       SOLE         1         8,581
DTE ENERGY CO                           EQUITY 233331107      28        657 SH       DEFINED      2                      657
DTE ENERGY CO                           EQUITY 233331107    3615     83,701 SH       SOLE         1        83,701
DTS INC                                 EQUITY 23335C101     192     12,991 SH       SOLE         1        12,991
DU PONT E I DE NEMOURS & CO             EQUITY 263534109    6254    147,147 SH       DEFINED      2                  147,147
DU PONT E I DE NEMOURS & CO             EQUITY 263534109   17897    421,107 SH       SOLE         1       421,107
DUKE ENERGY CORP                        EQUITY 264399106      94      3,423 SH       DEFINED      2                    3,423
DUKE ENERGY CORP                        EQUITY 264399106   38543  1,404,133 SH       SOLE         1     1,404,133
DUKE REALTY CORP                        EQUITY 264411505     144      4,317 SH       SOLE         1         4,317
DUN & BRADSTREET CORP DEL NE            EQUITY 26483E100    8891    132,775 SH       SOLE         1       132,775
DUQUESNE LT HLDGS INC                   EQUITY 266233105    7980    488,955 SH       SOLE         1       488,955
DURATEK INC                             EQUITY 26658Q102     157     10,484 SH       SOLE         1        10,484
DURECT CORP                             EQUITY 266605104    1973    389,100 SH       SOLE         3       389,100
DURECT CORP                             EQUITY 266605104     139     27,496 SH       SOLE         1        27,496
DUSA PHARMACEUTICALS INC                EQUITY 266898105    1822    169,200 SH       DEFINED      2                  169,200
DUSA PHARMACEUTICALS INC                EQUITY 266898105     137     12,704 SH       SOLE         1        12,704
DYCOM INDS INC                          EQUITY 267475101    2553    116,064 SH       SOLE         1       116,064
DYNAMEX INC                             EQUITY 26784F103     166      8,699 SH       SOLE         1         8,699
DYNAMIC MATLS CORP                      EQUITY 267888105     306     10,200 SH       DEFINED      2                   10,200
DYNAMIC MATLS CORP                      EQUITY 267888105     129      4,286 SH       SOLE         1         4,286
DYNEGY INC                              EQUITY 26816Q101       5      1,113 SH       DEFINED      2                    1,113
DYNEGY INC                              EQUITY 26816Q101     685    141,508 SH       SOLE         1       141,508
E M C CORP MASS                         EQUITY 268648102   68641  5,039,730 SH       DEFINED      2                5,039,730
E M C CORP MASS                         EQUITY 268648102   18194  1,335,852 SH       SOLE         1     1,335,852
E TRADE FINANCIAL CORP                  EQUITY 269246104      31      1,509 SH       DEFINED      2                    1,509
E TRADE FINANCIAL CORP                  EQUITY 269246104    3982    190,913 SH       SOLE         1       190,913
EAGLE MATERIALS INC                     EQUITY 26969P108     404      3,300 SH       DEFINED      2                    3,300
EAGLE MATERIALS INC                     EQUITY 26969P108    1685     13,772 SH       SOLE         1        13,772
EARTHLINK INC                           EQUITY 270321102    1060     95,409 SH       SOLE         1        95,409
EAST WEST BANCORP INC                   EQUITY 27579R104      44      1,206 SH       SOLE         1         1,206
EASTGROUP PPTY INC                      EQUITY 277276101     745     16,505 SH       SOLE         1        16,505
EASTMAN CHEM CO                         EQUITY 277432100      15        300 SH       DEFINED      2                      300
EASTMAN CHEM CO                         EQUITY 277432100    3997     77,468 SH       SOLE         1        77,468
EASTMAN KODAK CO                        EQUITY 277461109      25      1,059 SH       DEFINED      2                    1,059
EASTMAN KODAK CO                        EQUITY 277461109    3166    135,293 SH       SOLE         1       135,293
EATON CORP                              EQUITY 278058102      37        546 SH       DEFINED      2                      546
EATON CORP                              EQUITY 278058102    4785     71,326 SH       SOLE         1        71,326
EATON VANCE CORP                        EQUITY 278265103    7370    269,374 SH       SOLE         1       269,374
EBAY INC                                EQUITY 278642103   18001    416,218 SH       DEFINED      2                  416,218





                                                                                            
EBAY INC                                EQUITY 278642103   32309    747,552 SH       SOLE         1       747,552
ECC CAPITAL CORP                        EQUITY 26826M108      97     42,803 SH       SOLE         1        42,803
ECHELON CORP                            EQUITY 27874N105     174     22,171 SH       SOLE         1        22,171
ECHOSTAR COMMUNICATIONS                 EQUITY 278762109     511     18,794 SH       SOLE         1        18,794
ECLIPSYS CORP                           EQUITY 278856109     544     28,739 SH       SOLE         1        28,739
ECOLAB INC                              EQUITY 278865100      25        681 SH       DEFINED      2                      681
ECOLAB INC                              EQUITY 278865100    3083     84,991 SH       SOLE         1        84,991
ECOLLEGE                                EQUITY 27887E100     239     13,273 SH       SOLE         1        13,273
EDGE PETE CORP DEL                      EQUITY 279862106     320     12,853 SH       SOLE         1        12,853
EDISON INTL                             EQUITY 281020107      52      1,203 SH       DEFINED      2                    1,203
EDISON INTL                             EQUITY 281020107   44243  1,014,524 SH       SOLE         1     1,014,524
EDO CORP                                EQUITY 281347104     322     11,888 SH       SOLE         1        11,888
EDUCATE INC                             EQUITY 28138P100     162     13,748 SH       SOLE         1        13,748
EDUCATION MGMT CORP                     EQUITY 28139T101    4484    133,818 SH       SOLE         1       133,818
EDUCATION RLTY TR INC                   EQUITY 28140H104     215     16,705 SH       SOLE         1        16,705
EDWARDS AG INC                          EQUITY 281760108    7217    154,018 SH       SOLE         1       154,018
EDWARDS LIFESCIENCES CORP               EQUITY 28176E108    4972    119,500 SH       SOLE         1       119,500
EFUNDS CORP                             EQUITY 28224R101     797     34,009 SH       SOLE         1        34,009
EGL INC                                 EQUITY 268484102    1083     28,813 SH       SOLE         1        28,813
EL PASO CORP                            EQUITY 28336L109      30      2,433 SH       DEFINED      2                    2,433
EL PASO CORP                            EQUITY 28336L109    3771    310,109 SH       SOLE         1       310,109
EL PASO ELEC CO                         EQUITY 283677854     754     35,838 SH       SOLE         1        35,838
ELECTRO RENT CORP                       EQUITY 285218103     201     13,475 SH       SOLE         1        13,475
ELECTRO SCIENTIFIC INDS                 EQUITY 285229100     518     21,440 SH       SOLE         1        21,440
ELECTRONIC ARTS INC                     EQUITY 285512109      58      1,110 SH       DEFINED      2                    1,110
ELECTRONIC ARTS INC                     EQUITY 285512109    7898    150,990 SH       SOLE         1       150,990
ELECTRONIC DATA SYS                     EQUITY 285661104      46      1,926 SH       DEFINED      2                    1,926
ELECTRONIC DATA SYS                     EQUITY 285661104    5880    244,592 SH       SOLE         1       244,592
ELECTRONICS FOR IMAGING INC             EQUITY 286082102    1216     45,700 SH       SOLE         3        45,700
ELECTRONICS FOR IMAGING INC             EQUITY 286082102    1081     40,631 SH       SOLE         1        40,631
ELIZABETH ARDEN INC                     EQUITY 28660G106     383     19,100 SH       SOLE         1        19,100
ELKCORP                                 EQUITY 287456107     510     15,139 SH       SOLE         1        15,139
ELLIS PERRY INTL INC                    EQUITY 288853104     135      7,115 SH       SOLE         1         7,115
EMAGEON INC                             EQUITY 29076V109     171     10,782 SH       SOLE         1        10,782
EMC INS GROUP INC                       EQUITY 268664109      94      4,713 SH       SOLE         1         4,713
EMCOR GROUP INC                         EQUITY 29084Q100    1001     14,819 SH       SOLE         1        14,819
EMCORE CORP                             EQUITY 290846104     206     27,804 SH       SOLE         1        27,804
EMDEON CORP                             EQUITY 290849108      68      8,084 SH       SOLE         1         8,084
EMERSON ELEC CO                         EQUITY 291011104    7598    101,708 SH       DEFINED      2                  101,708
EMERSON ELEC CO                         EQUITY 291011104    2241     30,000 SH       SOLE         4        30,000
EMERSON ELEC CO                         EQUITY 291011104   16912    226,399 SH       SOLE         1       226,399
EMMIS COMMUNICATIONS CORP               EQUITY 291525103    1927     96,807 SH       SOLE         1        96,807
EMPIRE DIST ELEC CO                     EQUITY 291641108    1705     83,882 SH       SOLE         1        83,882
EMPRESA NACIONAL DE ELCTRCID            EQUITY 29244T101    4455    145,490 SH       SOLE         1       145,490
EMULEX CORP                             EQUITY 292475209     289     14,600 SH       DEFINED      2                   14,600
EMULEX CORP                             EQUITY 292475209    1235     62,397 SH       SOLE         1        62,397
ENCANA CORP                             EQUITY 292505104   10017    222,200 SH       DEFINED      1             0    222,200
ENCORE ACQUISITION CO                   EQUITY 29255W100    3946    123,153 SH       SOLE         1       123,153
ENCORE CAP GROUP INC                    EQUITY 292554102     191     11,029 SH       SOLE         1        11,029
ENCORE MED CORP                         EQUITY 29256E109     150     30,264 SH       SOLE         1        30,264
ENCORE WIRE CORP                        EQUITY 292562105     273     12,006 SH       SOLE         1        12,006
ENCYSIVE PHARMACEUTICALS INC            EQUITY 29256X107     344     43,628 SH       SOLE         1        43,628
ENDEAVOUR INTL CORP                     EQUITY 29259G101     139     42,158 SH       SOLE         1        42,158
ENDO PHARMACEUTICALS HLDGS I            EQUITY 29264F205     188      6,228 SH       SOLE         1         6,228
ENDWAVE CORP                            EQUITY 29264A206      64      5,429 SH       SOLE         1         5,429
ENERGEN CORP                            EQUITY 29265N108      80      2,205 SH       SOLE         1         2,205
ENERGIZER HLDGS INC                     EQUITY 29266R108    6517    130,884 SH       SOLE         1       130,884
ENERGY CONVERSION DEVICES IN            EQUITY 292659109     628     15,400 SH       DEFINED      2                   15,400
ENERGY CONVERSION DEVICES IN            EQUITY 292659109     617     15,151 SH       SOLE         1        15,151
ENERGY EAST CORP                        EQUITY 29266M109    8617    377,940 SH       SOLE         1       377,940
ENERGY PARTNERS LTD                     EQUITY 29270U105     546     25,080 SH       SOLE         1        25,080
ENERGYSOUTH INC                         EQUITY 292970100     137      5,104 SH       SOLE         1         5,104
ENERSYS                                 EQUITY 29275Y102     450     34,540 SH       SOLE         1        34,540
ENGELHARD CORP                          EQUITY 292845104      13        444 SH       DEFINED      2                      444





                                                                                            
ENGELHARD CORP                          EQUITY 292845104    1707     56,618 SH       SOLE         1        56,618
ENGINEERED SUPPORT SYS INC              EQUITY 292866100    1295     31,101 SH       SOLE         1        31,101
ENNIS INC                               EQUITY 293389102     347     19,085 SH       SOLE         1        19,085
ENPRO INDS INC                          EQUITY 29355X107     423     15,713 SH       SOLE         1        15,713
ENSCO INTL INC                          EQUITY 26874Q100   15274    344,400 SH       DEFINED      2                  344,400
ENSCO INTL INC                          EQUITY 26874Q100    1807     40,749 SH       SOLE         3        39,312             1,437
ENSCO INTL INC                          EQUITY 26874Q100   13595    306,544 SH       SOLE         1       306,544
ENSTAR GROUP INC GA                     EQUITY 29358R107     162      2,441 SH       SOLE         1         2,441
ENTEGRIS INC                            EQUITY 29362U104     838     88,980 SH       SOLE         1        88,980
ENTERCOM COMMUNICATIONS CORP            EQUITY 293639100    3040    102,465 SH       SOLE         1       102,465
ENTERGY CORP                            EQUITY 29364G103      53        765 SH       DEFINED      2                      765
ENTERGY CORP                            EQUITY 29364G103    9489    138,225 SH       SOLE         1       138,225
ENTERPRISE FINL SVCS CORP               EQUITY 293712105     132      5,813 SH       SOLE         1         5,813
ENTERPRISE PRODS PARTNERS L             EQUITY 293792107    2121     88,350 SH       SOLE         4        88,350
ENTERTAINMENT PPTYS TR                  EQUITY 29380T105    1826     44,819 SH       SOLE         1        44,819
ENTRAVISION COMMUNICATIONS C            EQUITY 29382R107     409     57,474 SH       SOLE         1        57,474
ENTRUST INC                             EQUITY 293848107     225     46,527 SH       SOLE         1        46,527
ENZO BIOCHEM INC                        EQUITY 294100102     256     20,626 SH       SOLE         1        20,626
ENZON PHARMACEUTICALS INC               EQUITY 293904108     244     32,930 SH       SOLE         1        32,930
EOG RES INC                             EQUITY 26875P101    2560     34,891 SH       DEFINED      2                   34,891
EOG RES INC                             EQUITY 26875P101    8153    111,128 SH       SOLE         1       111,128
EPICOR SOFTWARE CORP                    EQUITY 29426L108     562     39,790 SH       SOLE         1        39,790
EPIQ SYS INC                            EQUITY 26882D109     185      9,969 SH       SOLE         1         9,969
EPIX PHARMACEUTICALS INC                EQUITY 26881Q101      70     17,408 SH       SOLE         1        17,408
EQUIFAX INC                             EQUITY 294429105      18        480 SH       DEFINED      2                      480
EQUIFAX INC                             EQUITY 294429105    2286     60,116 SH       SOLE         1        60,116
EQUINIX INC                             EQUITY 29444U502     472     11,587 SH       SOLE         1        11,587
EQUITABLE RES INC                       EQUITY 294549100   10537    287,201 SH       SOLE         1       287,201
EQUITY INNS INC                         EQUITY 294703103     549     40,521 SH       SOLE         1        40,521
EQUITY LIFESTYLE PPTYS INC              EQUITY 29472R108     631     14,180 SH       SOLE         1        14,180
EQUITY OFFICE PROPERTIES * TIES TRU     EQUITY 294741103      45      1,500 SH       DEFINED      2                    1,500
EQUITY OFFICE PROPERTIES * TIES TRU     EQUITY 294741103    5809    191,515 SH       SOLE         1       191,515
EQUITY ONE                              EQUITY 294752100     642     27,757 SH       SOLE         1        27,757
EQUITY RESIDENTIAL SH BEN INT           EQUITY 29476L107      42      1,065 SH       DEFINED      2                    1,065
EQUITY RESIDENTIAL SH BEN INT           EQUITY 29476L107    5313    135,821 SH       SOLE         1       135,821
ERESEARCHTECHNOLOGY INC                 EQUITY 29481V108     572     37,906 SH       SOLE         1        37,906
ERICSSON L M TEL CO                     EQUITY 294821608   12554    364,950 SH       SOLE         1       364,950
ERIE INDTY CO                           EQUITY 29530P102      64      1,211 SH       SOLE         1         1,211
ESCALA GROUP INC                        EQUITY 29605W107     243     12,000 SH       DEFINED      2                   12,000
ESCALA GROUP INC                        EQUITY 29605W107      91      4,501 SH       SOLE         1         4,501
ESCALADE INC                            EQUITY 296056104      69      5,890 SH       SOLE         1         5,890
ESCO TECHNOLOGIES INC                   EQUITY 296315104     849     19,085 SH       SOLE         1        19,085
ESPEED INC                              EQUITY 296643109     121     15,719 SH       SOLE         1        15,719
ESSEX CORP                              EQUITY 296744105     219     12,842 SH       SOLE         1        12,842
ESSEX PPTY TR INC                       EQUITY 297178105      64        691 SH       SOLE         1           691
ESTERLINE TECHNOLOGIES CORP             EQUITY 297425100    5526    148,600 SH       DEFINED      2                  148,600
ESTERLINE TECHNOLOGIES CORP             EQUITY 297425100     701     18,837 SH       SOLE         1        18,837
ETHAN ALLEN INTERIORS INC               EQUITY 297602104     957     26,207 SH       SOLE         1        26,207
EUROBANCSHARES INC                      EQUITY 298716101      98      6,912 SH       SOLE         1         6,912
EURONET WORLDWIDE INC                   EQUITY 298736109     648     23,327 SH       SOLE         1        23,327
EV3 INC                                 EQUITY 26928A200    1819    123,400 SH       DEFINED      2                  123,400
EV3 INC                                 EQUITY 26928A200     107      7,264 SH       SOLE         1         7,264
EVEREST RE GROUP LTD                    EQUITY G3223R108   12273    122,300 SH       SOLE         1       122,300
EVERGREEN SOLAR INC                     EQUITY 30033R108     316     29,657 SH       SOLE         1        29,657
EXAR CORP                               EQUITY 300645108     331     26,406 SH       SOLE         1        26,406
EXCEL TECHNOLOGY INC                    EQUITY 30067T103     215      9,050 SH       SOLE         1         9,050
EXELIXIS INC                            EQUITY 30161Q104     587     62,327 SH       SOLE         1        62,327
EXELON CORP                             EQUITY 30161N101     131      2,463 SH       DEFINED      2                    2,463
EXELON CORP                             EQUITY 30161N101   15592    293,421 SH       SOLE         1       293,421
EXIDE TECHNOLOGIES *W EXP 99/99/999     EQUITY 302051123      14     50,176 SH       SOLE         1        50,176
EXPEDIA INC DEL                         EQUITY 30212P105     519     21,660 SH       SOLE         1        21,660
EXPEDITORS INTL WASH INC                EQUITY 302130109   14955    221,522 SH       SOLE         1       221,522
EXPONENT INC                            EQUITY 30214U102     170      5,989 SH       SOLE         1         5,989
EXPRESS SCRIPTS INC                     EQUITY 302182100      45        537 SH       DEFINED      2                      537





                                                                                            
EXPRESS SCRIPTS INC                     EQUITY 302182100    2790     33,296 SH       SOLE         3        32,024             1,272
EXPRESS SCRIPTS INC                     EQUITY 302182100    9432    112,557 SH       SOLE         1       112,557
EXPRESSJET HOLDINGS INC                 EQUITY 30218U108     266     32,843 SH       SOLE         1        32,843
EXTRA SPACE STORAGE INC                 EQUITY 30225T102     432     28,058 SH       SOLE         1        28,058
EXTREME NETWORKS INC                    EQUITY 30226D106     435     91,493 SH       SOLE         1        91,493
EXXON MOBIL CORP                        EQUITY 30231G102   22691    403,977 SH       DEFINED      2                  403,977
EXXON MOBIL CORP                        EQUITY 30231G102    2528     45,000 SH       SOLE         4        45,000
EXXON MOBIL CORP                        EQUITY 30231G102  295912  5,268,155 SH       SOLE         1     5,268,155
F M C CORP                              EQUITY 302491303    4048     76,129 SH       SOLE         1        76,129
F N B CORP VA                           EQUITY 302930102     168      5,468 SH       SOLE         1         5,468
F5 NETWORKS INC                         EQUITY 315616102    4559     79,708 SH       SOLE         1        79,708
FACTSET RESH SYS INC                    EQUITY 303075105    8537    207,400 SH       DEFINED      2                  207,400
FACTSET RESH SYS INC                    EQUITY 303075105    1061     25,769 SH       SOLE         1        25,769
FAIR ISAAC CORP                         EQUITY 303250104    1405     31,800 SH       SOLE         3        29,900             1,900
FAIR ISAAC CORP                         EQUITY 303250104    5795    131,191 SH       SOLE         1       131,191
FAIRCHILD SEMICONDUCTOR INTL            EQUITY 303726103    5534    327,273 SH       SOLE         1       327,273
FAIRPOINT COMMUNICATIONS INC            EQUITY 305560104     211     20,359 SH       SOLE         1        20,359
FALCONSTOR SOFTWARE INC                 EQUITY 306137100     134     18,142 SH       SOLE         1        18,142
FAMILY DLR STORES INC                   EQUITY 307000109      14        573 SH       DEFINED      2                      573
FAMILY DLR STORES INC                   EQUITY 307000109    1788     72,128 SH       SOLE         1        72,128
FARGO ELECTRONICS INC                   EQUITY 30744P102     166      8,600 SH       DEFINED      2                    8,600
FARGO ELECTRONICS INC                   EQUITY 30744P102     183      9,487 SH       SOLE         1         9,487
FARMER BROS CO                          EQUITY 307675108      97      5,041 SH       SOLE         1         5,041
FARMERS CAP BK CORP                     EQUITY 309562106     141      4,572 SH       SOLE         1         4,572
FARO TECHNOLOGIES INC                   EQUITY 311642102     170      8,506 SH       SOLE         1         8,506
FASTENAL CO                             EQUITY 311900104    1912     48,800 SH       DEFINED      2                   48,800
FASTENAL CO                             EQUITY 311900104   10046    256,738 SH       SOLE         1       256,738
FBL FINL GROUP INC                      EQUITY 30239F106     320      9,743 SH       SOLE         1         9,743
FEDERAL AGRIC MTG CORP CL C             EQUITY 313148306     246      8,229 SH       SOLE         1         8,229
FEDERAL HOME LN MTG CORP                EQUITY 313400301     167      2,550 SH       DEFINED      2                    2,550
FEDERAL HOME LN MTG CORP                EQUITY 313400301   99511  1,904,982 SH       SOLE         1     1,904,982
FEDERAL NATL MTG ASSN                   EQUITY 313586109     233      4,764 SH       DEFINED      2                    4,764
FEDERAL NATL MTG ASSN                   EQUITY 313586109   26523    543,383 SH       SOLE         1       543,383
FEDERAL REALTY INVT TR SH BEN INT       EQUITY 313747206      85      1,405 SH       SOLE         1         1,405
FEDERAL SIGNAL CORP                     EQUITY 313855108    1974    131,532 SH       SOLE         1       131,532
FEDERATED DEPT STORES INC DE            EQUITY 31410H101      67      1,005 SH       DEFINED      2                    1,005
FEDERATED DEPT STORES INC DE            EQUITY 31410H101    8476    127,790 SH       SOLE         1       127,790
FEDERATED INVS INC PA *                 EQUITY 314211103      12        312 SH       DEFINED      2                      312
FEDERATED INVS INC PA *                 EQUITY 314211103   12090    326,417 SH       SOLE         1       326,417
FEDEX CORP                              EQUITY 31428X106     116      1,119 SH       DEFINED      2                    1,119
FEDEX CORP                              EQUITY 31428X106   13777    133,253 SH       SOLE         1       133,253
FEI CO                                  EQUITY 30241L109     344     17,933 SH       SOLE         1        17,933
FELCOR LODGING TR INC                   EQUITY 31430F101     646     37,565 SH       SOLE         1        37,565
FERRO CORP                              EQUITY 315405100    2144    114,261 SH       SOLE         1       114,261
FIDELITY BANKSHARES INC                 EQUITY 31604Q107     551     16,842 SH       SOLE         1        16,842
FIDELITY NATL * FINL INC                EQUITY 316326107   12794    347,766 SH       SOLE         1       347,766
FIDELITY NATL TITLE GROUP IN            EQUITY 31620R105      21        852 SH       SOLE         1           852
FIELDSTONE INVT CORP                    EQUITY 31659U300    2967    250,176 SH       SOLE         1       250,176
FIFTH THIRD BANCORP                     EQUITY 316773100      77      2,049 SH       DEFINED      2                    2,049
FIFTH THIRD BANCORP                     EQUITY 316773100   25018    663,243 SH       SOLE         1       663,243
FILENET CORP                            EQUITY 316869106     795     30,737 SH       SOLE         1        30,737
FINANCIAL FED CORP                      EQUITY 317492106     581     13,079 SH       SOLE         1        13,079
FINANCIAL INSTNS INC                    EQUITY 317585404     133      6,783 SH       SOLE         1         6,783
FINISAR                                 EQUITY 31787A101     316    151,846 SH       SOLE         1       151,846
FINISH LINE INC                         EQUITY 317923100     550     31,600 SH       SOLE         1        31,600
FIRST ACCEPTANCE CORP                   EQUITY 318457108     131     12,752 SH       SOLE         1        12,752
FIRST ADVANTAGE CORP                    EQUITY 31845F100      78      2,903 SH       SOLE         1         2,903
FIRST AMERN CORP CALIF                  EQUITY 318522307    8683    191,678 SH       SOLE         1       191,678
FIRST BANCORP N C                       EQUITY 318910106     172      8,547 SH       SOLE         1         8,547
FIRST BANCORP P R                       EQUITY 318672102     638     51,392 SH       SOLE         1        51,392
FIRST BUSEY CORP                        EQUITY 319383105     219     10,493 SH       SOLE         1        10,493
FIRST CASH FINL SVCS INC                EQUITY 31942D107     280      9,588 SH       SOLE         1         9,588
FIRST CHARTER CORP                      EQUITY 319439105     540     22,814 SH       SOLE         1        22,814
FIRST CMNTY BANCORP CALIF               EQUITY 31983B101     541      9,942 SH       SOLE         1         9,942





                                                                                            
FIRST CMNTY BANCSHARES INC N            EQUITY 31983A103     236      7,566 SH       SOLE         1         7,566
FIRST COMWLTH FINL CORP PA              EQUITY 319829107     679     52,511 SH       SOLE         1        52,511
FIRST CTZNS BANCSHARES INC N            EQUITY 31946M103     790      4,528 SH       SOLE         1         4,528
FIRST DATA CORP                         EQUITY 319963104     121      2,820 SH       DEFINED      2                    2,820
FIRST DATA CORP                         EQUITY 319963104   20943    486,940 SH       SOLE         1       486,940
FIRST DEFIANCE FINL CORP                EQUITY 32006W106     143      5,276 SH       SOLE         1         5,276
FIRST FINL BANCORP OH                   EQUITY 320209109     464     26,457 SH       SOLE         1        26,457
FIRST FINL BANKSHARES                   EQUITY 32020R109     484     13,810 SH       SOLE         1        13,810
FIRST FINL CORP IND                     EQUITY 320218100     274     10,130 SH       SOLE         1        10,130
FIRST FINL HLDGS INC                    EQUITY 320239106     285      9,274 SH       SOLE         1         9,274
FIRST HORIZON NATL CORP                 EQUITY 320517105      18        465 SH       DEFINED      2                      465
FIRST HORIZON NATL CORP                 EQUITY 320517105   23540    612,391 SH       SOLE         1       612,391
FIRST HORIZON PHARMACEUTICAL            EQUITY 32051K106     358     20,735 SH       SOLE         1        20,735
FIRST IND CORP                          EQUITY 32054R108     276      8,028 SH       SOLE         1         8,028
FIRST INDUSTRIAL REALTY TRUS            EQUITY 32054K103    1242     32,255 SH       SOLE         1        32,255
FIRST MARBLEHEAD CORP                   EQUITY 320771108      22        683 SH       SOLE         1           683
FIRST MERCHANTS CORP                    EQUITY 320817109     361     13,890 SH       SOLE         1        13,890
FIRST MIDWEST BANCORP DEL               EQUITY 320867104    1203     34,311 SH       SOLE         1        34,311
FIRST NIAGARA FINL GP INC               EQUITY 33582V108    1256     86,809 SH       SOLE         1        86,809
FIRST OAK BROOK BANCSHARES I            EQUITY 335847208     139      4,972 SH       SOLE         1         4,972
FIRST PL FINL CORP                      EQUITY 33610T109     271     11,250 SH       SOLE         1        11,250
FIRST POTOMAC RLTY TR                   EQUITY 33610F109     335     12,579 SH       SOLE         1        12,579
FIRST REGL BANCORP                      EQUITY 33615C101     123      1,818 SH       SOLE         1         1,818
FIRST REP BK SAN FRANCISCO              EQUITY 336158100     602     16,253 SH       SOLE         1        16,253
FIRST SOUTH BANCORP INC VA              EQUITY 33646W100     129      3,641 SH       SOLE         1         3,641
FIRST ST BANCORPORATION                 EQUITY 336453105     277     11,526 SH       SOLE         1        11,526
FIRSTENERGY CORP                        EQUITY 337932107      60      1,218 SH       DEFINED      2                    1,218
FIRSTENERGY CORP                        EQUITY 337932107    7131    145,556 SH       SOLE         1       145,556
FIRSTFED FINL CORP                      EQUITY 337907109     677     12,412 SH       SOLE         1        12,412
FIRSTMERIT CORP                         EQUITY 337915102    4322    166,816 SH       SOLE         1       166,816
FISERV * INC                            EQUITY 337738108      29        681 SH       DEFINED      2                      681
FISERV * INC                            EQUITY 337738108    4317     99,775 SH       SOLE         1        99,775
FISHER COMMUNICATIONS INC               EQUITY 337756209     206      4,965 SH       SOLE         1         4,965
FISHER SCIENTIFIC INTL INC              EQUITY 338032204    2886     46,653 SH       DEFINED      2                   46,653
FISHER SCIENTIFIC INTL INC              EQUITY 338032204    3523     56,945 SH       SOLE         1        56,945
FLAGSTAR BANCORP INC                    EQUITY 337930101    3524    244,708 SH       SOLE         1       244,708
FLANDERS CORP                           EQUITY 338494107    3627    298,287 SH       SOLE         3       298,287
FLANDERS CORP                           EQUITY 338494107     120      9,855 SH       SOLE         1         9,855
FLEETWOOD ENTERPRISES INC               EQUITY 339099103     515     41,720 SH       SOLE         1        41,720
FLEXTRONICS INTL LTD                    EQUITY Y2573F102     411     39,330 SH       SOLE         1        39,330
FLIR SYS INC                            EQUITY 302445101      30      1,323 SH       SOLE         1         1,323
FLORIDA EAST COAST INDS                 EQUITY 340632108    1031     24,324 SH       SOLE         1        24,324
FLORIDA ROCK INDS INC                   EQUITY 341140101      51      1,034 SH       SOLE         1         1,034
FLOWERS FOODS INC                       EQUITY 343498101    1037     37,640 SH       SOLE         1        37,640
FLOWSERVE CORP                          EQUITY 34354P105    5966    150,801 SH       SOLE         1       150,801
FLUOR CORP                              EQUITY 343412102      25        321 SH       DEFINED      2                      321
FLUOR CORP                              EQUITY 343412102   26818    347,119 SH       SOLE         1       347,119
FLUSHING FINL CORP                      EQUITY 343873105     225     14,433 SH       SOLE         1        14,433
FMC TECHNOLOGIES INC                    EQUITY 30249U101    5901    137,495 SH       SOLE         1       137,495
FNB CORP PA                             EQUITY 302520101     733     42,232 SH       SOLE         1        42,232
FNX MNG CO INC                          EQUITY 30253R101    2308    198,000 SH       DEFINED      1             0    198,000
FOOT LOCKER INC                         EQUITY 344849104    7372    312,506 SH       SOLE         1       312,506
FORD MTR CO CAP TR II                   BONDS  345395206    1973     71,500 SH       SOLE         1        71,500
FORD MTR CO DEL                         EQUITY 345370860      53      6,858 SH       DEFINED      2                    6,858
FORD MTR CO DEL                         EQUITY 345370860    8580  1,111,336 SH       SOLE         1     1,111,336
FOREST CITY ENTERPRISES INC             EQUITY 345550107      55      1,451 SH       SOLE         1         1,451
FOREST LABS INC                         EQUITY 345838106      51      1,248 SH       DEFINED      2                    1,248
FOREST LABS INC                         EQUITY 345838106   24414    600,157 SH       SOLE         1       600,157
FOREST OIL CORP                         EQUITY 346091705    4994    109,590 SH       SOLE         1       109,590
FORMFACTOR INC                          EQUITY 346375108     620     25,397 SH       SOLE         1        25,397
FORRESTER RESH INC                      EQUITY 346563109     182      9,725 SH       SOLE         1         9,725
FORTUNE BRANDS INC                      EQUITY 349631101    2195     28,140 SH       DEFINED      2                   28,140
FORTUNE BRANDS INC                      EQUITY 349631101    5256     67,373 SH       SOLE         1        67,373
FORWARD AIR CORP                        EQUITY 349853101     889     24,263 SH       SOLE         1        24,263





                                                                                            
FOSSIL INC                              EQUITY 349882100     782     36,341 SH       SOLE         1        36,341
FOUNDATION COAL HLDGS INC               EQUITY 35039W100     677     17,825 SH       SOLE         1        17,825
FOUNDRY NETWORKS INC                    EQUITY 35063R100    1269     91,882 SH       SOLE         1        91,882
FOXHOLLOW TECHNOLOGIES INC              EQUITY 35166A103     311     10,424 SH       SOLE         1        10,424
FPIC INS GROUP INC                      EQUITY 302563101     265      7,630 SH       SOLE         1         7,630
FPL GROUP INC                           EQUITY 302571104   12179    293,058 SH       DEFINED      2                  293,058
FPL GROUP INC                           EQUITY 302571104    7241    174,226 SH       SOLE         1       174,226
FRANKLIN BK CORP DEL                    EQUITY 352451108    8506    472,800 SH       DEFINED      2                  472,800
FRANKLIN BK CORP DEL                    EQUITY 352451108     273     15,170 SH       SOLE         1        15,170
FRANKLIN ELEC INC                       EQUITY 353514102     660     16,682 SH       SOLE         1        16,682
FRANKLIN RES INC                        EQUITY 354613101      52        549 SH       DEFINED      2                      549
FRANKLIN RES INC                        EQUITY 354613101    6153     65,453 SH       SOLE         1        65,453
FREDS INC                               EQUITY 356108100     486     29,892 SH       SOLE         1        29,892
FREEPORT-MCMORAN COPPER & GO            EQUITY 35671D857      36        678 SH       DEFINED      2                      678
FREEPORT-MCMORAN COPPER & GO            EQUITY 35671D857   24143    448,747 SH       SOLE         1       448,747
FREESCALE SEMICONDUCTOR INC             EQUITY 35687M206      38      1,515 SH       DEFINED      2                    1,515
FREESCALE SEMICONDUCTOR INC             EQUITY 35687M206    4841    192,340 SH       SOLE         1       192,340
FREIGHTCAR AMER INC                     EQUITY 357023100     302      6,287 SH       SOLE         1         6,287
FREMONT * GEN CORP                      EQUITY 357288109    1132     48,739 SH       SOLE         1        48,739
FRIEDMAN BILLINGS RAMSEY GRO            EQUITY 358434108      42      4,250 SH       SOLE         1         4,250
FRONTIER AIRLINES INC                   EQUITY 359065109     247     26,765 SH       SOLE         1        26,765
FRONTIER FINL CORP WASH                 EQUITY 35907K105     592     18,490 SH       SOLE         1        18,490
FRONTIER OIL CORP                       EQUITY 35914P105     428     11,400 SH       DEFINED      2                   11,400
FRONTIER OIL CORP                       EQUITY 35914P105    1544     41,144 SH       SOLE         1        41,144
FROZEN FOOD EXPRESS INDS INC            EQUITY 359360104     124     11,253 SH       SOLE         1        11,253
FTD GROUP INC                           EQUITY 30267U108     104      9,995 SH       SOLE         1         9,995
FTI CONSULTING INC                      EQUITY 302941109     880     32,087 SH       SOLE         1        32,087
FUELCELL ENERGY INC                     EQUITY 35952H106     306     36,179 SH       SOLE         1        36,179
FULLER H B CO                           EQUITY 359694106     693     21,623 SH       SOLE         1        21,623
FULTON FINL CORP PA *                   EQUITY 360271100      84      4,780 SH       SOLE         1         4,780
FURNITURE BRANDS INTL INC               EQUITY 360921100    3068    137,410 SH       SOLE         1       137,410
FX ENERGY INC                           EQUITY 302695101     208     26,014 SH       SOLE         1        26,014
G & K SVCS INC                          EQUITY 361268105     571     14,550 SH       SOLE         1        14,550
G B & T BANCSHARES INC                  EQUITY 361462104     204      9,510 SH       SOLE         1         9,510
GALLAGHER ARTHUR J & CO                 EQUITY 363576109   23095    747,891 SH       SOLE         1       747,891
GAMCO INVESTORS INC                     EQUITY 361438104     233      5,354 SH       SOLE         1         5,354
GAMESTOP CORP                           EQUITY 36467W109    4896    153,872 SH       SOLE         1       153,872
GANNETT INC                             EQUITY 364730101      54        885 SH       DEFINED      2                      885
GANNETT INC                             EQUITY 364730101    7712    127,325 SH       SOLE         1       127,325
GAP INC DEL                             EQUITY 364760108      37      2,118 SH       DEFINED      2                    2,118
GAP INC DEL                             EQUITY 364760108   10652    603,866 SH       SOLE         1       603,866
GARDNER DENVER INC                      EQUITY 365558105     929     18,850 SH       SOLE         1        18,850
GARMIN LTD                              EQUITY G37260109     420      6,330 SH       SOLE         1         6,330
GARTNER INC                             EQUITY 366651107    2014    156,118 SH       SOLE         1       156,118
GASCO ENERGY INC                        EQUITY 367220100     315     48,208 SH       SOLE         1        48,208
GATEWAY INC                             EQUITY 367626108       2        978 SH       DEFINED      2                      978
GATEWAY INC                             EQUITY 367626108     780    310,618 SH       SOLE         1       310,618
GATX CORP                               EQUITY 361448103     419     11,600 SH       DEFINED      2                   11,600
GATX CORP                               EQUITY 361448103    4796    132,934 SH       SOLE         1       132,934
GAYLORD ENTMT CO                        EQUITY 367905106    1314     30,136 SH       SOLE         1        30,136
GEHL CO                                 EQUITY 368483103    3898    148,500 SH       SOLE         3       148,500
GEHL CO                                 EQUITY 368483103     232      8,839 SH       SOLE         1         8,839
GEMSTAR-TV GUIDE INTL INC               EQUITY 36866W106     483    184,880 SH       SOLE         1       184,880
GENCORP INC                             EQUITY 368682100     726     40,886 SH       SOLE         1        40,886
GENENTECH INC                           EQUITY 368710406   30877    333,800 SH       DEFINED      2                  333,800
GENENTECH INC                           EQUITY 368710406    1915     20,708 SH       SOLE         1        20,708
GENERAL * DYNAMICS CORP                 EQUITY 369550108      85        744 SH       DEFINED      2                      744
GENERAL * DYNAMICS CORP                 EQUITY 369550108    2851     25,000 SH       SOLE         4        25,000
GENERAL * DYNAMICS CORP                 EQUITY 369550108   24088    211,208 SH       SOLE         1       211,208
GENERAL CABLE CORP DEL                  EQUITY 369300108     331     16,800 SH       DEFINED      2                   16,800
GENERAL CABLE CORP DEL                  EQUITY 369300108     585     29,687 SH       SOLE         1        29,687
GENERAL COMMUNICATION INC               EQUITY 369385109     430     41,618 SH       SOLE         1        41,618
GENERAL ELECTRIC CO                     EQUITY 369604103   66082  1,885,374 SH       DEFINED      2                1,885,374
GENERAL ELECTRIC CO                     EQUITY 369604103    1928     55,000 SH       SOLE         4        55,000





                                                                                            
GENERAL ELECTRIC CO                     EQUITY 369604103  318909  9,098,675 SH       SOLE         1     9,098,675
GENERAL GROWTH PPTYS INC                EQUITY 370021107     217      4,618 SH       SOLE         1         4,618
GENERAL MLS INC                         EQUITY 370334104      65      1,311 SH       DEFINED      2                    1,311
GENERAL MLS INC                         EQUITY 370334104   31877    646,339 SH       SOLE         1       646,339
GENERAL MTRS CORP                       EQUITY 370442105    3443    177,274 SH       DEFINED      2                  177,274
GENERAL MTRS CORP                       EQUITY 370442105   13582    699,376 SH       SOLE         1       699,376
GENESCO INC                             EQUITY 371532102     372      9,600 SH       DEFINED      2                    9,600
GENESCO INC                             EQUITY 371532102     657     16,948 SH       SOLE         1        16,948
GENESEE & WYO INC                       EQUITY 371559105     656     17,475 SH       SOLE         1        17,475
GENESIS HEALTHCARE CORP                 EQUITY 37184D101     543     14,881 SH       SOLE         1        14,881
GENESIS MICROCHIP INC DEL               EQUITY 37184C103     457     25,240 SH       SOLE         1        25,240
GENITOPE CORP                           EQUITY 37229P507     142     17,898 SH       SOLE         1        17,898
GENLYTE GROUP INC                       EQUITY 372302109     964     18,002 SH       SOLE         1        18,002
GENOMIC HEALTH INC                      EQUITY 37244C101       3        362 SH       SOLE         1           362
GEN-PROBE INC                           EQUITY 36866T103    4988    102,238 SH       SOLE         1       102,238
GENTEX CORP                             EQUITY 371901109    6056    310,589 SH       SOLE         1       310,589
GENTIVA HEALTH SERVICES INC             EQUITY 37247A102     258     17,524 SH       SOLE         1        17,524
GENUINE PARTS CO                        EQUITY 372460105    7043    160,358 SH       DEFINED      2                  160,358
GENUINE PARTS CO                        EQUITY 372460105    3594     81,824 SH       SOLE         1        81,824
GENWORTH FINL INC COM                   EQUITY 37247D106      48      1,389 SH       DEFINED      2                    1,389
GENWORTH FINL INC COM                   EQUITY 37247D106    5982    172,998 SH       SOLE         1       172,998
GENZYME CORP                            EQUITY 372917104   36349    513,554 SH       DEFINED      2                  513,554
GENZYME CORP                            EQUITY 372917104    2575     36,386 SH       SOLE         3        34,766             1,620
GENZYME CORP                            EQUITY 372917104    9478    133,908 SH       SOLE         1       133,908
GEO GROUP INC                           EQUITY 36159R103     165      7,180 SH       SOLE         1         7,180
GEORGIA GULF CORP                       EQUITY 373200203     779     25,619 SH       SOLE         1        25,619
GERON CORP                              EQUITY 374163103     413     47,987 SH       SOLE         1        47,987
GETTY IMAGES INC                        EQUITY 374276103    1279     14,328 SH       SOLE         3        13,496               832
GETTY IMAGES INC                        EQUITY 374276103      95      1,060 SH       SOLE         1         1,060
GETTY RLTY CORP                         EQUITY 374297109     346     13,155 SH       SOLE         1        13,155
GEVITY HR INC                           EQUITY 374393106     534     20,769 SH       SOLE         1        20,769
GFI GROUP INC                           EQUITY 361652209     389      8,200 SH       DEFINED      2                    8,200
GFI GROUP INC                           EQUITY 361652209     209      4,400 SH       SOLE         1         4,400
GIANT INDS INC                          EQUITY 374508109     563     10,830 SH       SOLE         1        10,830
GIBRALTAR INDS INC                      EQUITY 374689107     415     18,086 SH       SOLE         1        18,086
GILDAN ACTIVEWEAR INC                   EQUITY 375916103     488     11,400 SH       DEFINED      2                   11,400
GILEAD SCIENCES INC                     EQUITY 375558103      89      1,689 SH       DEFINED      2                    1,689
GILEAD SCIENCES INC                     EQUITY 375558103   70734  1,345,522 SH       SOLE         1     1,345,522
GLACIER BANCORP INC                     EQUITY 37637Q105     704     23,444 SH       SOLE         1        23,444
GLADSTONE CAPITAL CORP                  EQUITY 376535100     181      8,484 SH       SOLE         1         8,484
GLADSTONE INVT CORP                     EQUITY 376546107     169     12,433 SH       SOLE         1        12,433
GLATFELTER                              EQUITY 377316104    1704    120,118 SH       SOLE         1       120,118
GLENAYRE TECHNOLOGIES INC               EQUITY 377899109     163     50,248 SH       SOLE         1        50,248
GLENBOROUGH RLTY TR INC                 EQUITY 37803P105    1252     69,174 SH       SOLE         1        69,174
GLIMCHER RLTY TR SH BEN INT             EQUITY 379302102    4559    187,476 SH       SOLE         1       187,476
GLOBAL CASH ACCESS HLDGS INC            EQUITY 378967103      17      1,156 SH       SOLE         1         1,156
GLOBAL IMAGING SYSTEMS                  EQUITY 37934A100     610     17,621 SH       SOLE         1        17,621
GLOBAL INDS LTD                         EQUITY 379336100    6488    571,600 SH       DEFINED      2                  571,600
GLOBAL INDS LTD                         EQUITY 379336100     706     62,170 SH       SOLE         1        62,170
GLOBAL PMTS INC                         EQUITY 37940X102     475     10,200 SH       DEFINED      2                   10,200
GLOBAL PMTS INC                         EQUITY 37940X102     128      2,756 SH       SOLE         1         2,756
GLOBAL POWER EQUIPMENT INC              EQUITY 37941P108     121     26,842 SH       SOLE         1        26,842
GLOBAL SIGNAL INC                       EQUITY 37944Q103      13        311 SH       SOLE         1           311
GLOBETEL COMMUNICATIONS CORP            EQUITY 37958F209     190     51,525 SH       SOLE         1        51,525
GMH CMNTYS TR                           EQUITY 36188G102     364     23,474 SH       SOLE         1        23,474
GOLD BANC CORP INC                      EQUITY 379907108     536     29,402 SH       SOLE         1        29,402
GOLD KIST INC                           EQUITY 380614107     578     38,669 SH       SOLE         1        38,669
GOLDCORP INC                            EQUITY 380956409    1934     87,075 SH       DEFINED      1             0     87,075
GOLDEN STAR RES LTD CDA                 EQUITY 38119T104     345    130,000 SH       DEFINED      1             0    130,000
GOLDEN TELECOM INC                      EQUITY 38122G107     894     34,331 SH       SOLE         1        34,331
GOLDEN WEST FINL CORP DEL               EQUITY 381317106      62        942 SH       DEFINED      2                      942
GOLDEN WEST FINL CORP DEL               EQUITY 381317106    7382    111,854 SH       SOLE         1       111,854
GOLDMAN SACHS GROUP INC                 EQUITY 38141G104   30507    238,881 SH       DEFINED      2                  238,881
GOLDMAN SACHS GROUP INC                 EQUITY 38141G104   61422  1,609,410 SH       SOLE         1     1,609,410





                                                                                            
GOLF GALAXY INC                         EQUITY 381639103    1323     69,100 SH       SOLE         3        69,100
GOLF GALAXY INC                         EQUITY 381639103      65      3,403 SH       SOLE         1         3,403
GOODRICH CORP                           EQUITY 382388106   26635    648,053 SH       DEFINED      2                  648,053
GOODRICH CORP                           EQUITY 382388106    2337     56,858 SH       SOLE         1        56,858
GOODRICH PETE CORP                      EQUITY 382410405     193      7,683 SH       SOLE         1         7,683
GOODYEAR TIRE & RUBR CO                 EQUITY 382550101      11        651 SH       DEFINED      2                      651
GOODYEAR TIRE & RUBR CO                 EQUITY 382550101    3010    173,161 SH       SOLE         1       173,161
GOODYS FAMILY CLOTHING INC              EQUITY 382588101       6        654 SH       SOLE         1           654
GOOGLE INC                              EQUITY 38259P508   31778     76,600 SH       DEFINED      2                   76,600
GOOGLE INC                              EQUITY 38259P508   12052     29,050 SH       SOLE         1        29,050
GORMAN RUPP CO                          EQUITY 383082104     152      6,873 SH       SOLE         1         6,873
GOVERNMENT PPTYS TR INC                 EQUITY 38374W107     145     15,542 SH       SOLE         1        15,542
GRACE W R & CO DEL                      EQUITY 38388F108     472     50,232 SH       SOLE         1        50,232
GRACO INC                               EQUITY 384109104    5002    137,106 SH       SOLE         1       137,106
GRAFTECH INTL LTD                       EQUITY 384313102     456     73,278 SH       SOLE         1        73,278
GRAINGER W W INC                        EQUITY 384802104      20        282 SH       DEFINED      2                      282
GRAINGER W W INC                        EQUITY 384802104    2538     35,694 SH       SOLE         1        35,694
GRAMERCY CAP CORP                       EQUITY 384871109     895     39,286 SH       SOLE         1        39,286
GRANITE CONSTR INC                      EQUITY 387328107    3275     91,191 SH       SOLE         1        91,191
GRANT PRIDECO INC                       EQUITY 38821G101   15902    360,437 SH       SOLE         1       360,437
GRAPHIC PACKAGING CORP DEL              EQUITY 388688103     112     48,908 SH       SOLE         1        48,908
GRAY TELEVISION INC                     EQUITY 389375106     319     32,465 SH       SOLE         1        32,465
GREAT AMERN FINL RES INC                EQUITY 389915109     126      6,354 SH       SOLE         1         6,354
GREAT ATLANTIC & PAC TEA INC            EQUITY 390064103     417     13,120 SH       SOLE         1        13,120
GREAT PLAINS ENERGY INC                 EQUITY 391164100    4190    149,844 SH       SOLE         1       149,844
GREAT SOUTHN BANCORP INC                EQUITY 390905107     216      7,816 SH       SOLE         1         7,816
GREAT WOLF RESORTS INC                  EQUITY 391523107     197     19,131 SH       SOLE         1        19,131
GREATBATCH * TCH INC                    EQUITY 39153L106     421     16,203 SH       SOLE         1        16,203
GREATER BAY BANCORP                     EQUITY 391648102    3541    138,216 SH       SOLE         1       138,216
GREEN MTN COFFEE ROASTERS IN            EQUITY 393122106     135      3,315 SH       SOLE         1         3,315
GREENBRIER COS INC                      EQUITY 393657101     133      4,666 SH       SOLE         1         4,666
GREENE CNTY BANCSHARES INC              EQUITY 394361208     137      5,014 SH       SOLE         1         5,014
GREENFIELD ONLINE INC                   EQUITY 395150105      72     12,338 SH       SOLE         1        12,338
GREENHILL & CO INC                      EQUITY 395259104     326      5,800 SH       DEFINED      2                    5,800
GREENHILL & CO INC                      EQUITY 395259104     505      8,984 SH       SOLE         1         8,984
GREIF INC                               EQUITY 397624107     767     11,576 SH       SOLE         1        11,576
GREY WOLF INC                           EQUITY 397888108     261     33,800 SH       DEFINED      2                   33,800
GREY WOLF INC                           EQUITY 397888108    1108    143,298 SH       SOLE         1       143,298
GRIFFON CORP                            EQUITY 398433102     521     21,882 SH       SOLE         1        21,882
GROUP 1 AUTOMOTIVE INC                  EQUITY 398905109     495     15,739 SH       SOLE         1        15,739
GSI COMMERCE INC                        EQUITY 36238G102     370     24,492 SH       SOLE         1        24,492
GTECH HLDGS CORP                        EQUITY 400518106    7939    250,119 SH       SOLE         1       250,119
GTX INC DEL                             EQUITY 40052B108      44      5,825 SH       SOLE         1         5,825
GUESS INC                               EQUITY 401617105     598     16,800 SH       DEFINED      2                   16,800
GUESS INC                               EQUITY 401617105     430     12,082 SH       SOLE         1        12,082
GUIDANT CORP                            EQUITY 401698105      79      1,224 SH       DEFINED      2                    1,224
GUIDANT CORP                            EQUITY 401698105   20127    310,836 SH       SOLE         1       310,836
GUITAR CTR MGMT INC                     EQUITY 402040109     971     19,420 SH       SOLE         1        19,420
GULF ISLAND FABRICATION INC             EQUITY 402307102     170      6,995 SH       SOLE         1         6,995
GULFMARK OFFSHORE INC                   EQUITY 402629109    2147     72,500 SH       SOLE         3        72,500
GULFMARK OFFSHORE INC                   EQUITY 402629109     330     11,132 SH       SOLE         1        11,132
GYMBOREE CORP                           EQUITY 403777105    4268    182,400 SH       SOLE         3       182,400
GYMBOREE CORP                           EQUITY 403777105     548     23,411 SH       SOLE         1        23,411
HAEMONETICS CORP                        EQUITY 405024100     977     20,000 SH       DEFINED      2                   20,000
HAEMONETICS CORP                        EQUITY 405024100     949     19,429 SH       SOLE         1        19,429
HAIN CELESTIAL GROUP INC                EQUITY 405217100     464     21,931 SH       SOLE         1        21,931
HALLIBURTON CO                          EQUITY 406216101     117      1,893 SH       DEFINED      2                    1,893
HALLIBURTON CO                          EQUITY 406216101   13986    225,731 SH       SOLE         1       225,731
HANCOCK HLDG CO                         EQUITY 410120109     759     20,087 SH       SOLE         1        20,087
HANDLEMAN CO DEL                        EQUITY 410252100     202     16,292 SH       SOLE         1        16,292
HANMI FINL CORP                         EQUITY 410495105     535     29,958 SH       SOLE         1        29,958
HANOVER COMPRESSOR CO                   EQUITY 410768105    3516    249,161 SH       SOLE         1       249,161
HANOVER INS GROUP INC                   EQUITY 410867105    4498    107,673 SH       SOLE         1       107,673
HANSEN NAT CORP                         EQUITY 411310105     315      4,000 SH       DEFINED      2                    4,000





                                                                                            
HANSEN NAT CORP                         EQUITY 411310105     883     11,204 SH       SOLE         1        11,204
HARBOR FLA BANCSHARES INC               EQUITY 411901101     579     15,620 SH       SOLE         1        15,620
HARLAND JOHN H CO                       EQUITY 412693103     776     20,626 SH       SOLE         1        20,626
HARLEY DAVIDSON INC                     EQUITY 412822108      52      1,014 SH       DEFINED      2                    1,014
HARLEY DAVIDSON INC                     EQUITY 412822108   13834    268,668 SH       SOLE         1       268,668
HARLEYSVILLE GROUP INC                  EQUITY 412824104     264      9,948 SH       SOLE         1         9,948
HARLEYSVILLE NATL CORP PA               EQUITY 412850109     395     20,691 SH       SOLE         1        20,691
HARMAN INTL INDS INC                    EQUITY 413086109    1252     12,800 SH       DEFINED      2                   12,800
HARMAN INTL INDS INC                    EQUITY 413086109   12893    131,760 SH       SOLE         1       131,760
HARMONIC INC                            EQUITY 413160102     266     54,884 SH       SOLE         1        54,884
HARRAHS ENTMT INC                       EQUITY 413619107      48        678 SH       DEFINED      2                      678
HARRAHS ENTMT INC                       EQUITY 413619107    6078     85,255 SH       SOLE         1        85,255
HARRIS & HARRIS GROUP INC               EQUITY 413833104     184     13,203 SH       SOLE         1        13,203
HARRIS CORP DEL                         EQUITY 413875105   11504    267,475 SH       SOLE         1       267,475
HARRIS INTERACTIVE INC                  EQUITY 414549105     166     38,424 SH       SOLE         1        38,424
HARSCO CORP                             EQUITY 415864107    5627     83,357 SH       SOLE         1        83,357
HARTE-HANKS INC                         EQUITY 416196103    2996    113,526 SH       SOLE         1       113,526
HARTFORD FINL SVCS GROUP INC            EQUITY 416515104      95      1,110 SH       DEFINED      2                    1,110
HARTFORD FINL SVCS GROUP INC            EQUITY 416515104   46043    536,070 SH       SOLE         1       536,070
HARTMARX CORP                           EQUITY 417119104     151     19,368 SH       SOLE         1        19,368
HARVEST NATURAL RESOURCES IN            EQUITY 41754V103     251     28,261 SH       SOLE         1        28,261
HASBRO INC                              EQUITY 418056107      13        657 SH       DEFINED      2                      657
HASBRO INC                              EQUITY 418056107    1685     83,506 SH       SOLE         1        83,506
HAVERTY FURNITURE INC                   EQUITY 419596101     188     14,613 SH       SOLE         1        14,613
HAWAIIAN ELEC INDUSTRIES                EQUITY 419870100    4210    162,532 SH       SOLE         1       162,532
HAYES LEMMERZ INTL INC                  EQUITY 420781304     100     28,430 SH       SOLE         1        28,430
HCA INC                                 EQUITY 404119109      79      1,566 SH       DEFINED      2                    1,566
HCA INC                                 EQUITY 404119109     980     19,400 SH       SOLE         3        19,400
HCA INC                                 EQUITY 404119109    9414    186,420 SH       SOLE         1       186,420
HCC INS HLDGS INC                       EQUITY 404132102    6288    211,876 SH       SOLE         1       211,876
HEADWATERS INC                          EQUITY 42210P102    3601    101,600 SH       DEFINED      2                  101,600
HEADWATERS INC                          EQUITY 42210P102    1100     31,052 SH       SOLE         1        31,052
HEALTH CARE PPTY INVS INC               EQUITY 421915109    2300     90,000 SH       SOLE         4        90,000
HEALTH CARE PPTY INVS INC               EQUITY 421915109     320     12,522 SH       SOLE         1        12,522
HEALTH CARE REIT INC                    EQUITY 42217K106      55      1,610 SH       SOLE         1         1,610
HEALTH GRADES INC                       EQUITY 42218Q102    1191    189,986 SH       SOLE         3       189,986
HEALTH MGMT ASSOC INC                   EQUITY 421933102      20        912 SH       DEFINED      2                      912
HEALTH MGMT ASSOC INC                   EQUITY 421933102    2697    122,803 SH       SOLE         1       122,803
HEALTH NET INC                          EQUITY 42222G108   11812    229,131 SH       SOLE         1       229,131
HEALTHCARE RLTY TR                      EQUITY 421946104    2994     90,000 SH       SOLE         4        90,000
HEALTHCARE RLTY TR                      EQUITY 421946104      48      1,436 SH       SOLE         1         1,436
HEALTHCARE SVCS GRP INC                 EQUITY 421906108     414     19,973 SH       SOLE         1        19,973
HEALTHEXTRAS INC                        EQUITY 422211102     855     34,075 SH       SOLE         1        34,075
HEALTHTRONICS INC                       EQUITY 42222L107     194     25,406 SH       SOLE         1        25,406
HEARST-ARGYLE TELEVISION INC            EQUITY 422317107      21        885 SH       SOLE         1           885
HEARTLAND EXPRESS INC                   EQUITY 422347104     693     34,135 SH       SOLE         1        34,135
HEARTLAND FINL USA INC                  EQUITY 42234Q102     173      7,960 SH       SOLE         1         7,960
HEARTLAND PMT SYS INC                   EQUITY 42235N108    2660    122,800 SH       DEFINED      2                  122,800
HEARTLAND PMT SYS INC                   EQUITY 42235N108      71      3,277 SH       SOLE         1         3,277
HECLA MNG CO                            EQUITY 422704106     361     88,894 SH       SOLE         1        88,894
HEICO CORP                              EQUITY 422806109     418     16,167 SH       SOLE         1        16,167
HEIDRICK & STRUGGLES INTL IN            EQUITY 422819102     378     11,800 SH       DEFINED      2                   11,800
HEIDRICK & STRUGGLES INTL IN            EQUITY 422819102     469     14,646 SH       SOLE         1        14,646
HEINZ H J CO                            EQUITY 423074103      42      1,236 SH       DEFINED      2                    1,236
HEINZ H J CO                            EQUITY 423074103    5268    156,235 SH       SOLE         1       156,235
HELMERICH & PAYNE INC                   EQUITY 423452101    6510    105,157 SH       SOLE         1       105,157
HENRY JACK & ASSOC INC                  EQUITY 426281101    3863    202,373 SH       SOLE         1       202,373
HERCULES INC                            EQUITY 427056106       5        417 SH       DEFINED      2                      417
HERCULES INC                            EQUITY 427056106    1520    134,492 SH       SOLE         1       134,492
HERCULES OFFSHORE INC                   EQUITY 427093109      19        660 SH       SOLE         1           660
HERITAGE COMMERCE CORP                  EQUITY 426927109     192      8,910 SH       SOLE         1         8,910
HERITAGE PPTY INVT TR INC               EQUITY 42725M107     691     20,675 SH       SOLE         1        20,675
HERLEY INDS INC DEL                     EQUITY 427398102     160      9,702 SH       SOLE         1         9,702
HERSHA HOSPITALITY TR SH BEN INT A      EQUITY 427825104     137     15,237 SH       SOLE         1        15,237





                                                                                            
HERSHEY CO                              EQUITY 427866108    1960     35,469 SH       DEFINED      2                   35,469
HERSHEY CO                              EQUITY 427866108    4404     79,713 SH       SOLE         1        79,713
HEWITT ASSOCS INC                       EQUITY 42822Q100      28        991 SH       SOLE         1           991
HEWLETT PACKARD CO                      EQUITY 428236103     303     10,575 SH       DEFINED      2                   10,575
HEWLETT PACKARD CO                      EQUITY 428236103   55982  1,955,356 SH       SOLE         1     1,955,356
HEXCEL CORP                             EQUITY 428291108     792     43,885 SH       SOLE         1        43,885
HIBBETT SPORTING GOODS INC              EQUITY 428565105     763     26,804 SH       SOLE         1        26,804
HIGHLAND HOSPITALITY CORP               EQUITY 430141101     415     37,595 SH       SOLE         1        37,595
HIGHWOODS PPTYS INC                     EQUITY 431284108    4188    147,203 SH       SOLE         1       147,203
HILB ROGAL & HOBBS CO                   EQUITY 431294107     927     24,069 SH       SOLE         1        24,069
HILLENBRAND INDS INC                    EQUITY 431573104    6043    122,309 SH       SOLE         1       122,309
HILTON HOTELS CORP                      EQUITY 432848109      29      1,212 SH       DEFINED      2                    1,212
HILTON HOTELS CORP                      EQUITY 432848109    3680    152,631 SH       SOLE         1       152,631
HI-TECH PHARMACAL INC                   EQUITY 42840B101     171      3,856 SH       SOLE         1         3,856
HITTITE MICROWAVE CORP                  EQUITY 43365Y104      80      3,454 SH       SOLE         1         3,454
HNI CORP                                EQUITY 404251100    6070    110,497 SH       SOLE         1       110,497
HOLLINGER INTL INC                      EQUITY 435569108     397     44,320 SH       SOLE         1        44,320
HOLLY CORP                              EQUITY 435758305     400      6,800 SH       DEFINED      2                    6,800
HOLLY CORP                              EQUITY 435758305     962     16,340 SH       SOLE         1        16,340
HOLOGIC INC                             EQUITY 436440101     629     16,600 SH       DEFINED      2                   16,600
HOLOGIC INC                             EQUITY 436440101    1241     32,716 SH       SOLE         1        32,716
HOME DEPOT INC                          EQUITY 437076102   37154    917,842 SH       DEFINED      2                  917,842
HOME DEPOT INC                          EQUITY 437076102   42291  1,044,748 SH       SOLE         1     1,044,748
HOME PROPERTIES INC                     EQUITY 437306103     965     23,654 SH       SOLE         1        23,654
HOMEBANC CORP GA                        EQUITY 43738R109    1081    144,465 SH       SOLE         1       144,465
HOMESTORE INC                           EQUITY 437852106     564    110,568 SH       SOLE         1       110,568
HONEYWELL INTL INC                      EQUITY 438516106     116      3,111 SH       DEFINED      2                    3,111
HONEYWELL INTL INC                      EQUITY 438516106   15791    423,927 SH       SOLE         1       423,927
HOOKER FURNITURE CORP                   EQUITY 439038100     135      7,853 SH       SOLE         1         7,853
HOOPER HOLMES INC                       EQUITY 439104100     125     48,990 SH       SOLE         1        48,990
HORACE MANN EDUCATORS CORP N            EQUITY 440327104    2222    117,198 SH       SOLE         1       117,198
HORIZON FINL CORP WASH                  EQUITY 44041F105     166      7,599 SH       SOLE         1         7,599
HORIZON HEALTH CORP                     EQUITY 44041Y104    1756     77,600 SH       SOLE         3        77,600
HORIZON HEALTH CORP                     EQUITY 44041Y104     179      7,904 SH       SOLE         1         7,904
HORIZON LINES INC                       EQUITY 44044K101      13      1,034 SH       SOLE         1         1,034
HORMEL FOODS CORP                       EQUITY 440452100    4792    146,629 SH       SOLE         1       146,629
HORNBECK OFFSHORE SVCS INC N            EQUITY 440543106    8005    244,800 SH       DEFINED      2                  244,800
HORNBECK OFFSHORE SVCS INC N            EQUITY 440543106    3989    122,000 SH       SOLE         3       122,000
HORNBECK OFFSHORE SVCS INC N            EQUITY 440543106     362     11,060 SH       SOLE         1        11,060
HOSPIRA INC                             EQUITY 441060100      25        594 SH       DEFINED      2                      594
HOSPIRA INC                             EQUITY 441060100     107      2,500 SH       SOLE         4         2,500
HOSPIRA INC                             EQUITY 441060100    3199     74,773 SH       SOLE         1        74,773
HOSPITALITY PPTYS TR                    EQUITY 44106M102   14735    367,458 SH       SOLE         1       367,458
HOST MARRIOTT CORP                      EQUITY 44107P104     201     10,607 SH       SOLE         1        10,607
HOT TOPIC INC                           EQUITY 441339108     479     33,647 SH       SOLE         1        33,647
HOUSEVALUES INC                         EQUITY 44183Y102      63      4,803 SH       SOLE         1         4,803
HOUSTON EXPL CO                         EQUITY 442120101    1136     21,522 SH       SOLE         1        21,522
HOVNANIAN ENTERPRISES INC               EQUITY 442487203    3550     71,521 SH       SOLE         1        71,521
HRPT PPTYS TR                           EQUITY 40426W101      65      6,314 SH       SOLE         1         6,314
HSBC HLDGS PLC                          BONDS  404280604     866     35,000 SH       SOLE         1        35,000
HUB GROUP INC                           EQUITY 443320106     517     14,631 SH       SOLE         1        14,631
HUBBELL * INC                           EQUITY 443510201    5496    121,819 SH       SOLE         1       121,819
HUDSON CITY BANCORP                     EQUITY 443683107     157     12,937 SH       SOLE         1        12,937
HUDSON HIGHLAND GROUP INC               EQUITY 443792106     313     18,032 SH       SOLE         1        18,032
HUDSON UNITED BANCORP                   EQUITY 444165104    1400     33,600 SH       SOLE         1        33,600
HUGHES SUPPLY INC                       EQUITY 444482103    1788     49,870 SH       SOLE         1        49,870
HUMAN GENOME SCIENCES INC               EQUITY 444903108     840     98,089 SH       SOLE         1        98,089
HUMANA INC                              EQUITY 444859102    2228     41,000 SH       DEFINED      2                   41,000
HUMANA INC                              EQUITY 444859102    4087     75,233 SH       SOLE         1        75,233
HUNGARIAN TEL & CABLE CORP              EQUITY 445542103      45      2,895 SH       SOLE         1         2,895
HUNT J B TRANS SVCS INC                 EQUITY 445658107   14521    641,400 SH       DEFINED      2                  641,400
HUNT J B TRANS SVCS INC                 EQUITY 445658107    5596    247,174 SH       SOLE         1       247,174
HUNTINGTON BANCSHARES INC               EQUITY 446150104      20        843 SH       DEFINED      2                      843
HUNTINGTON BANCSHARES INC               EQUITY 446150104    2557    107,672 SH       SOLE         1       107,672





                                                                                            
HUNTSMAN CORP                           EQUITY 447011107     258     14,987 SH       SOLE         1        14,987
HURON CONSULTING GROUP INC              EQUITY 447462102     120      5,005 SH       SOLE         1         5,005
HUTCHINSON TECHNOLOGY INC               EQUITY 448407106     540     18,966 SH       SOLE         1        18,966
HUTTIG BLDG PRODS INC                   EQUITY 448451104      88     10,520 SH       SOLE         1        10,520
HYDRIL                                  EQUITY 448774109     892     14,249 SH       SOLE         1        14,249
HYPERCOM CORP                           EQUITY 44913M105     252     39,487 SH       SOLE         1        39,487
HYPERION SOLUTIONS CORP                 EQUITY 44914M104    4019    112,200 SH       DEFINED      2                  112,200
HYPERION SOLUTIONS CORP                 EQUITY 44914M104      48      1,339 SH       SOLE         1         1,339
IAC INTERACTIVECORP                     EQUITY 44919P300     597     21,100 SH       SOLE         1        21,100
IBERIABANK CORP                         EQUITY 450828108     367      7,195 SH       SOLE         1         7,195
ICOS CORP                               EQUITY 449295104    1324     47,936 SH       SOLE         1        47,936
ICU MED INC                             EQUITY 44930G107     407     10,381 SH       SOLE         1        10,381
IDACORP INC                             EQUITY 451107106    4599    156,951 SH       SOLE         1       156,951
IDENIX PHARMACEUTICALS INC              EQUITY 45166R204     163      9,504 SH       SOLE         1         9,504
IDENTIX INC                             EQUITY 451906101     334     66,764 SH       SOLE         1        66,764
IDEX CORP                               EQUITY 45167R104   35766    870,000 SH       DEFINED      2                  870,000
IDEX CORP                               EQUITY 45167R104      48      1,178 SH       SOLE         1         1,178
IDEXX LABS INC                          EQUITY 45168D104      51        715 SH       SOLE         1           715
IDT CORP                                EQUITY 448947309     511     43,697 SH       SOLE         1        43,697
IDX SYS CORP                            EQUITY 449491109    1044     23,767 SH       SOLE         1        23,767
I-FLOW CORP                             EQUITY 449520303    1316     90,000 SH       DEFINED      2                   90,000
I-FLOW CORP                             EQUITY 449520303     219     14,970 SH       SOLE         1        14,970
IGATE CORP                              EQUITY 45169U105      77     15,816 SH       SOLE         1        15,816
IHOP CORP                               EQUITY 449623107     702     14,956 SH       SOLE         1        14,956
II VI INC                               EQUITY 902104108     304     17,000 SH       DEFINED      2                   17,000
II VI INC                               EQUITY 902104108     309     17,318 SH       SOLE         1        17,318
IKANOS COMMUNICATIONS                   EQUITY 45173E105       7        459 SH       SOLE         1           459
IKON OFFICE SOLUTIONS INC               EQUITY 451713101     902     86,687 SH       SOLE         1        86,687
ILLINOIS TOOL WKS INC                   EQUITY 452308109      67        756 SH       DEFINED      2                      756
ILLINOIS TOOL WKS INC                   EQUITY 452308109    2200     25,000 SH       SOLE         4        25,000
ILLINOIS TOOL WKS INC                   EQUITY 452308109   14100    160,249 SH       SOLE         1       160,249
ILLUMINA INC                            EQUITY 452327109     380     26,943 SH       SOLE         1        26,943
IMATION CORP                            EQUITY 45245A107    4287     93,054 SH       SOLE         1        93,054
IMAX CORP                               EQUITY 45245E109     797    112,300 SH       DEFINED      1             0    112,300
IMCLONE SYS INC                         EQUITY 45245W109      52      1,531 SH       SOLE         1         1,531
IMMUCOR INC                             EQUITY 452526106     797     34,108 SH       SOLE         1        34,108
IMMUNOGEN INC                           EQUITY 45253H101     158     30,790 SH       SOLE         1        30,790
IMPAC MTG HLDGS INC                     EQUITY 45254P102    5014    532,858 SH       SOLE         1       532,858
IMPERIAL OIL LTD                        EQUITY 453038408    3960     40,000 SH       DEFINED      1             0     40,000
IMS HEALTH INC                          EQUITY 449934108      21        855 SH       DEFINED      2                      855
IMS HEALTH INC                          EQUITY 449934108    2657    106,623 SH       SOLE         1       106,623
INAMED CORP                             EQUITY 453235103    6364     72,581 SH       SOLE         1        72,581
INCO LTD                                EQUITY 453258402    3647     84,200 SH       DEFINED      1             0     84,200
INCYTE CORP                             EQUITY 45337C102     333     62,408 SH       SOLE         1        62,408
INDEPENDENCE CMNTY * BK CORP            EQUITY 453414104    5901    148,526 SH       SOLE         1       148,526
INDEPENDENCE HLDG CO                    EQUITY 453440307      68      3,467 SH       SOLE         1         3,467
INDEPENDENT BANK CORP MASS              EQUITY 453836108     330     11,559 SH       SOLE         1        11,559
INDEPENDENT BANK CORP MICH              EQUITY 453838104     454     16,671 SH       SOLE         1        16,671
INDYMAC BANCORP INC                     EQUITY 456607100    5010    128,390 SH       SOLE         1       128,390
INERGY L P UNIT LTD PTNR                EQUITY 456615103    4024    155,200 SH       DEFINED      2                  155,200
INFINITY PPTY & CAS CORP                EQUITY 45665Q103     578     15,534 SH       SOLE         1        15,534
INFOCROSSING INC                        EQUITY 45664X109     131     15,204 SH       SOLE         1        15,204
INFORMATICA CORP                        EQUITY 45666Q102     782     65,205 SH       SOLE         1        65,205
INFOSPACE INC                           EQUITY 45678T201     640     24,769 SH       SOLE         1        24,769
INFOUSA INC                             EQUITY 456818301     268     24,548 SH       SOLE         1        24,548
INFRASOURCE SVCS INC                    EQUITY 45684P102     127      9,690 SH       SOLE         1         9,690
INGERSOLL-RAND COMPANY LTD              EQUITY G4776G101   13912    344,621 SH       DEFINED      2                  344,621
INGERSOLL-RAND COMPANY LTD              EQUITY G4776G101    5894    146,007 SH       SOLE         1       146,007
INGLES MKTS INC                         EQUITY 457030104     131      8,378 SH       SOLE         1         8,378
INGRAM MICRO INC                        EQUITY 457153104    4633    232,452 SH       SOLE         1       232,452
INLAND REAL ESTATE CORP                 EQUITY 457461200     747     50,475 SH       SOLE         1        50,475
INNKEEPERS USA TR                       EQUITY 4576J0104     514     32,115 SH       SOLE         1        32,115
INNOVATIVE SOLUTIONS & SUPPO            EQUITY 45769N105     128     10,020 SH       SOLE         1        10,020
INNOVO GROUP INC                        EQUITY 457954600      20     19,017 SH       SOLE         1        19,017





                                                                                            
INPHONIC INC                            EQUITY 45772G105     108     12,406 SH       SOLE         1        12,406
INPUT/OUTPUT INC                        EQUITY 457652105     369     52,450 SH       SOLE         1        52,450
INSIGHT ENTERPRISES INC                 EQUITY 45765U103     713     36,345 SH       SOLE         1        36,345
INSITUFORM TECHNOLOGIES INC             EQUITY 457667103     390     20,128 SH       SOLE         1        20,128
INSPIRE PHARMACEUTICALS INC             EQUITY 457733103     160     31,584 SH       SOLE         1        31,584
INSWEB CORP                             EQUITY 45809K202      30      9,194 SH       SOLE         1         9,194
INTEGRA BK CORP                         EQUITY 45814P105     246     11,516 SH       SOLE         1        11,516
INTEGRA LIFESCIENCES HLDGS C            EQUITY 457985208   14758    416,200 SH       DEFINED      2                  416,200
INTEGRA LIFESCIENCES HLDGS C            EQUITY 457985208     547     15,424 SH       SOLE         1        15,424
INTEGRAL SYS INC MD                     EQUITY 45810H107     147      7,790 SH       SOLE         1         7,790
INTEGRATED DEVICE TECHNOLOGY            EQUITY 458118106    7224    548,122 SH       SOLE         1       548,122
INTEGRATED SILICON SOLUTION             EQUITY 45812P107     178     27,654 SH       SOLE         1        27,654
INTEL CORP                              EQUITY 458140100   51719  2,072,061 SH       DEFINED      2                2,072,061
INTEL CORP                              EQUITY 458140100  151080  6,052,866 SH       SOLE         1     6,052,866
INTER PARFUMS INC                       EQUITY 458334109      59      3,262 SH       SOLE         1         3,262
INTER TEL INC                           EQUITY 458372109     315     16,083 SH       SOLE         1        16,083
INTERACTIVE DATA CORP                   EQUITY 45840J107      21        938 SH       SOLE         1           938
INTERCHANGE FINL SVCS S B N             EQUITY 458447109     221     12,830 SH       SOLE         1        12,830
INTERCONTINENTALEXCHANGE INC            EQUITY 45865V100      49      1,354 SH       SOLE         1         1,354
INTERDIGITAL COMMUNICATIONS             EQUITY 45866A105     735     40,127 SH       SOLE         1        40,127
INTERFACE INC                           EQUITY 458665106     282     34,282 SH       SOLE         1        34,282
INTERGRAPH CORP                         EQUITY 458683109     588     11,800 SH       DEFINED      2                   11,800
INTERGRAPH CORP                         EQUITY 458683109    1055     21,190 SH       SOLE         1        21,190
INTERLINE BRANDS INC                    EQUITY 458743101     213      9,376 SH       SOLE         1         9,376
INTERMAGNETICS GEN CORP                 EQUITY 458771102     672     21,069 SH       SOLE         1        21,069
INTERMUNE INC                           EQUITY 45884X103     315     18,770 SH       SOLE         1        18,770
INTERNATIONAL * GAME TECHNOLOG          EQUITY 459902102      38      1,245 SH       DEFINED      2                    1,245
INTERNATIONAL * GAME TECHNOLOG          EQUITY 459902102    4779    155,247 SH       SOLE         1       155,247
INTERNATIONAL BANCSHARES COR            EQUITY 459044103      40      1,373 SH       SOLE         1         1,373
INTERNATIONAL BUSINESS MACHS            EQUITY 459200101   42853    521,332 SH       DEFINED      2                  521,332
INTERNATIONAL BUSINESS MACHS            EQUITY 459200101   97946  1,191,558 SH       SOLE         1     1,191,558
INTERNATIONAL DISPLAYWORKS I            EQUITY 459412102     140     23,639 SH       SOLE         1        23,639
INTERNATIONAL FLAVORS&FRAGRA            EQUITY 459506101      10        297 SH       DEFINED      2                      297
INTERNATIONAL FLAVORS&FRAGRA            EQUITY 459506101    1260     37,617 SH       SOLE         1        37,617
INTERNATIONAL RECTIFIER CORP            EQUITY 460254105    4517    141,593 SH       SOLE         1       141,593
INTERNATIONAL SECS EXCH INC             EQUITY 46031W204     233      8,480 SH       SOLE         1         8,480
INTERNATIONAL SPEEDWAY CORP             EQUITY 460335201    3382     70,611 SH       SOLE         1        70,611
INTERNET CAP GROUP INC                  EQUITY 46059C205     237     28,831 SH       SOLE         1        28,831
INTERNET SEC SYS INC                    EQUITY 46060X107     616     29,392 SH       SOLE         1        29,392
INTERPOOL INC                           EQUITY 46062R108     116      6,121 SH       SOLE         1         6,121
INTERPUBLIC GROUP COS INC               EQUITY 460690100      15      1,590 SH       DEFINED      2                    1,590
INTERPUBLIC GROUP COS INC               EQUITY 460690100    1922    199,184 SH       SOLE         1       199,184
INTERSIL CORP                           EQUITY 46069S109    7694    309,258 SH       SOLE         1       309,258
INTERVIDEO INC                          EQUITY 46114Y101      80      7,623 SH       SOLE         1         7,623
INTERVOICE INC                          EQUITY 461142101     226     28,432 SH       SOLE         1        28,432
INTERWOVEN INC                          EQUITY 46114T508     263     31,019 SH       SOLE         1        31,019
INTEVAC INC                             EQUITY 461148108     202     15,293 SH       SOLE         1        15,293
INTL PAPER CO                           EQUITY 460146103      61      1,812 SH       DEFINED      2                    1,812
INTL PAPER CO                           EQUITY 460146103   23119    687,858 SH       SOLE         1       687,858
INTRADO INC                             EQUITY 46117A100     305     13,253 SH       SOLE         1        13,253
INTRALASE CORP                          EQUITY 461169104     174      9,755 SH       SOLE         1         9,755
INTROGEN THERAPEUTICS INC               EQUITY 46119F107      78     14,886 SH       SOLE         1        14,886
INTUIT                                  EQUITY 461202103      35        654 SH       DEFINED      2                      654
INTUIT                                  EQUITY 461202103    7846    147,212 SH       SOLE         1       147,212
INTUITIVE SURGICAL INC                  EQUITY 46120E602     375      3,200 SH       DEFINED      2                    3,200
INTUITIVE SURGICAL INC                  EQUITY 46120E602   11280     96,187 SH       SOLE         1        96,187
INVACARE CORP                           EQUITY 461203101     721     22,906 SH       SOLE         1        22,906
INVERNESS MED INNOVATIONS IN            EQUITY 46126P106     359     15,129 SH       SOLE         1        15,129
INVESTMENT TECHNOLOGY GRP NE            EQUITY 46145F105     588     16,600 SH       DEFINED      2                   16,600
INVESTMENT TECHNOLOGY GRP NE            EQUITY 46145F105    1055     29,765 SH       SOLE         1        29,765
INVESTORS BANCORP INC                   EQUITY 46146P102      42      3,816 SH       SOLE         1         3,816
INVESTORS FINL SERVICES CORP            EQUITY 461915100    4787    129,963 SH       SOLE         1       129,963
INVESTORS REAL ESTATE TR SH BEN INT     EQUITY 461730103     309     33,428 SH       SOLE         1        33,428
INVITROGEN CORP                         EQUITY 46185R100    1999     30,000 SH       DEFINED      2                   30,000





                                                                                            
INVITROGEN CORP                         EQUITY 46185R100    7049    105,772 SH       SOLE         1       105,772
IONATRON INC                            EQUITY 462070103     183     18,123 SH       SOLE         1        18,123
IOWA TELECOMM SERVICES INC              EQUITY 462594201    2613    168,703 SH       SOLE         1       168,703
IPASS INC                               EQUITY 46261V108     265     40,449 SH       SOLE         1        40,449
IPAYMENT INC                            EQUITY 46262E105     384      9,256 SH       SOLE         1         9,256
IPC HOLDINGS LTD                        EQUITY G4933P101  421570 15,397,000 SH       SOLE         1    15,397,000
IRIS INTL INC                           EQUITY 46270W105     269     12,324 SH       SOLE         1        12,324
IROBOT CORP                             EQUITY 462726100      11        328 SH       SOLE         1           328
IRON MTN INC                            EQUITY 462846106     100      2,378 SH       SOLE         1         2,378
IRWIN FINL CORP                         EQUITY 464119106     293     13,669 SH       SOLE         1        13,669
ISHARES INC MSCI HONG KONG              EQUITY 464286871    2063    163,500 SH       SOLE         1       163,500
ISHARES INC MSCI JAPAN                  EQUITY 464286848   12259    906,700 SH       SOLE         1       906,700
ISHARES TR * S&P GLB100INDX             EQUITY 464287572     145      2,300 SH       SOLE         1         2,300
ISHARES TR 7-10 YR TRS BD               EQUITY 464287440     319      3,800 SH       SOLE         1         3,800
ISHARES TR MSCI EAFE IDX                EQUITY 464287465    7031    118,300 SH       SOLE         1       118,300
ISHARES TR RUSL 2000 GROW               EQUITY 464287648    1526     21,900 SH       SOLE         3        21,900
ISHARES TR RUSSELL 2000                 EQUITY 464287655    3896     58,400 SH       SOLE         1        58,400
ISHARES TR RUSSELL MCP GR               EQUITY 464287481    1682     17,900 SH       SOLE         1        17,900
ISHARES TR RUSSELL MCP VL               EQUITY 464287473    2712     21,800 SH       SOLE         1        21,800
ISHARES TR S&P500/BAR GRW               EQUITY 464287309    2152     36,300 SH       SOLE         1        36,300
ISHARES TR S&P500/BAR VAL               EQUITY 464287408    2609     40,100 SH       SOLE         1        40,100
ISIS PHARMACEUTICALS INC                EQUITY 464330109     232     44,246 SH       SOLE         1        44,246
ISLE OF CAPRI CASINOS INC               EQUITY 464592104     258     10,604 SH       SOLE         1        10,604
ISTA PHARMACEUTICALS INC                EQUITY 45031X204      65     10,215 SH       SOLE         1        10,215
ISTAR FINL INC                          EQUITY 45031U101     121      3,385 SH       SOLE         1         3,385
ITC HLDGS CORP                          EQUITY 465685105     270      9,626 SH       SOLE         1         9,626
ITLA CAP CORP                           EQUITY 450565106     211      4,320 SH       SOLE         1         4,320
ITRON INC                               EQUITY 465741106     472     11,800 SH       DEFINED      2                   11,800
ITRON INC                               EQUITY 465741106     704     17,573 SH       SOLE         1        17,573
ITT EDUCATIONAL SERVICES INC            EQUITY 45068B109    4626     78,257 SH       SOLE         1        78,257
ITT INDS INC IND                        EQUITY 450911102   45156    439,172 SH       DEFINED      2                  439,172
ITT INDS INC IND                        EQUITY 450911102    2488     24,200 SH       SOLE         4        24,200
ITT INDS INC IND                        EQUITY 450911102    8674     84,363 SH       SOLE         1        84,363
IVANHOE MINES LTD                       EQUITY 46579N103    5867    819,150 SH       DEFINED      1             0    819,150
IVAX CORP                               EQUITY 465823102   13697    437,172 SH       SOLE         1       437,172
IVILLAGE INC                            EQUITY 46588H105     285     35,538 SH       SOLE         1        35,538
IXIA                                    EQUITY 45071R109     365     24,672 SH       SOLE         1        24,672
IXYS CORP                               EQUITY 46600W106     217     18,548 SH       SOLE         1        18,548
J & J SNACK FOODS CORP                  EQUITY 466032109     279      4,701 SH       SOLE         1         4,701
J JILL GROUP INC                        EQUITY 466189107     288     15,127 SH       SOLE         1        15,127
J2 GLOBAL COMMUNICATIONS INC            EQUITY 46626E205     761     17,809 SH       SOLE         1        17,809
JABIL CIRCUIT INC                       EQUITY 466313103      24        642 SH       DEFINED      2                      642
JABIL CIRCUIT INC                       EQUITY 466313103   17040    459,413 SH       SOLE         1       459,413
JACK IN THE BOX INC                     EQUITY 466367109     958     27,413 SH       SOLE         1        27,413
JACKSON HEWITT TAX * AX SVCS INC        EQUITY 468202106     783     28,250 SH       SOLE         1        28,250
JACOBS ENGR GROUP INC DEL               EQUITY 469814107    3543     52,200 SH       SOLE         3        50,300             1,900
JACOBS ENGR GROUP INC DEL               EQUITY 469814107    7889    116,241 SH       SOLE         1       116,241
JACUZZI BRANDS INC                      EQUITY 469865109     484     57,584 SH       SOLE         1        57,584
JAKKS PAC INC                           EQUITY 47012E106     396     18,919 SH       SOLE         1        18,919
JAMDAT MOBILE INC                       EQUITY 47023T100     237      8,915 SH       SOLE         1         8,915
JAMES RIV GROUP INC                     EQUITY 470359100      66      3,323 SH       SOLE         1         3,323
JAMES RIVER COAL CO                     EQUITY 470355207     376      9,840 SH       SOLE         1         9,840
JANUS CAP GROUP INC                     EQUITY 47102X105      15        795 SH       DEFINED      2                      795
JANUS CAP GROUP INC                     EQUITY 47102X105    1893    101,602 SH       SOLE         1       101,602
JARDEN CORP                             EQUITY 471109108    6440    213,600 SH       DEFINED      2                  213,600
JARDEN CORP                             EQUITY 471109108    1255     41,618 SH       SOLE         1        41,618
JDA SOFTWARE GROUP INC                  EQUITY 46612K108     371     21,827 SH       SOLE         1        21,827
JDS UNIPHASE CORP                       EQUITY 46612J101      14      6,099 SH       DEFINED      2                    6,099
JDS UNIPHASE CORP                       EQUITY 46612J101    2097    888,580 SH       SOLE         1       888,580
JEFFERIES GROUP INC                     EQUITY 472319102    4464     99,235 SH       SOLE         1        99,235
JEFFERSON PILOT CORP                    EQUITY 475070108      28        495 SH       DEFINED      2                      495
JEFFERSON PILOT CORP                    EQUITY 475070108    3601     63,246 SH       SOLE         1        63,246
JER INVT TR INC                         EQUITY 46614H301     157      9,251 SH       SOLE         1         9,251
JETBLUE AWYS CORP                       EQUITY 477143101    4632    301,201 SH       SOLE         1       301,201





                                                                                            
JLG INDS INC                            EQUITY 466210101    5164    113,100 SH       SOLE         3       110,400             2,700
JLG INDS INC                            EQUITY 466210101    1748     38,273 SH       SOLE         1        38,273
JO-ANN STORES INC                       EQUITY 47758P307     204     17,276 SH       SOLE         1        17,276
JOHNSON & JOHNSON                       EQUITY 478160104   14243    236,983 SH       DEFINED      2                  236,983
JOHNSON & JOHNSON                       EQUITY 478160104    3606     60,000 SH       SOLE         4        60,000
JOHNSON & JOHNSON                       EQUITY 478160104  141978  2,362,369 SH       SOLE         1     2,362,369
JOHNSON CTLS INC                        EQUITY 478366107    8089    110,949 SH       DEFINED      2                  110,949
JOHNSON CTLS INC                        EQUITY 478366107    6600     90,529 SH       SOLE         1        90,529
JONES APPAREL GROUP INC                 EQUITY 480074103      13        432 SH       DEFINED      2                      432
JONES APPAREL GROUP INC                 EQUITY 480074103    1697     55,244 SH       SOLE         1        55,244
JONES LANG LASALLE INC                  EQUITY 48020Q107    1287     25,564 SH       SOLE         1        25,564
JORGENSEN EARLE M CO                    EQUITY 480829100     126     13,623 SH       SOLE         1        13,623
JOS A * BANK CLOTHIERS INC              EQUITY 480838101     439     10,111 SH       SOLE         1        10,111
JOURNAL COMMUNICATIONS INC              EQUITY 481130102     293     20,969 SH       SOLE         1        20,969
JOURNAL REGISTER CO                     EQUITY 481138105     468     31,328 SH       SOLE         1        31,328
JOY GLOBAL INC                          EQUITY 481165108    2068     51,700 SH       SOLE         3        49,700             2,000
JOY GLOBAL INC                          EQUITY 481165108    9715    242,875 SH       SOLE         1       242,875
JP MORGAN CHASE & CO                    EQUITY 46625H100   20464    515,588 SH       DEFINED      2                  515,588
JP MORGAN CHASE & CO                    EQUITY 46625H100  134006  3,376,311 SH       SOLE         1     3,376,311
JUNIPER NETWORKS INC                    EQUITY 48203R104   41234  1,849,060 SH       SOLE         1     1,849,060
JUPITERMEDIA CORP                       EQUITY 48207D101     225     15,209 SH       SOLE         1        15,209
K & F INDS HLDGS INC                    EQUITY 482241106     194     12,660 SH       SOLE         1        12,660
K V PHARMACEUTICAL CO                   EQUITY 482740206     923     44,800 SH       SOLE         3        44,800
K V PHARMACEUTICAL CO                   EQUITY 482740206     555     26,956 SH       SOLE         1        26,956
K2 INC                                  EQUITY 482732104     361     35,707 SH       SOLE         1        35,707
KADANT INC                              EQUITY 48282T104     193     10,437 SH       SOLE         1        10,437
KAMAN CORP                              EQUITY 483548103     327     16,628 SH       SOLE         1        16,628
KANBAY INTL INC                         EQUITY 48369P207     295     18,563 SH       SOLE         1        18,563
KANSAS CITY LIFE INS CO                 EQUITY 484836101     138      2,757 SH       SOLE         1         2,757
KANSAS CITY SOUTHERN                    EQUITY 485170302    1502     61,502 SH       SOLE         1        61,502
KAYDON CORP                             EQUITY 486587108     680     21,147 SH       SOLE         1        21,147
KB HOME                                 EQUITY 48666K109      21        288 SH       DEFINED      2                      288
KB HOME                                 EQUITY 48666K109    2637     36,290 SH       SOLE         1        36,290
KCS ENERGY INC                          EQUITY 482434206     286     11,800 SH       DEFINED      2                   11,800
KCS ENERGY INC                          EQUITY 482434206     906     37,396 SH       SOLE         1        37,396
KEANE INC                               EQUITY 486665102    4334    393,600 SH       DEFINED      2                  393,600
KEANE INC                               EQUITY 486665102     394     35,747 SH       SOLE         1        35,747
KEARNY FINL CORP                        EQUITY 487169104     200     16,383 SH       SOLE         1        16,383
KEITHLEY INSTRS INC                     EQUITY 487584104     134      9,594 SH       SOLE         1         9,594
KELLOGG CO                              EQUITY 487836108      41        948 SH       DEFINED      2                      948
KELLOGG CO                              EQUITY 487836108    4872    112,716 SH       SOLE         1       112,716
KELLWOOD CO                             EQUITY 488044108     498     20,846 SH       SOLE         1        20,846
KELLY SVCS INC                          EQUITY 488152208    1362     51,957 SH       SOLE         1        51,957
KEMET CORP                              EQUITY 488360108    1671    236,341 SH       SOLE         1       236,341
KENEXA CORP                             EQUITY 488879107      91      4,309 SH       SOLE         1         4,309
KENNAMETAL INC                          EQUITY 489170100    5344    104,699 SH       SOLE         1       104,699
KENSEY NASH CORP                        EQUITY 490057106     155      7,018 SH       SOLE         1         7,018
KERR MCGEE CORP                         EQUITY 492386107      39        429 SH       DEFINED      2                      429
KERR MCGEE CORP                         EQUITY 492386107    4962     54,607 SH       SOLE         1        54,607
KERYX BIOPHARMACEUTICALS INC            EQUITY 492515101     966     66,000 SH       DEFINED      2                   66,000
KERYX BIOPHARMACEUTICALS INC            EQUITY 492515101    2064    141,000 SH       SOLE         3       141,000
KERYX BIOPHARMACEUTICALS INC            EQUITY 492515101     303     20,709 SH       SOLE         1        20,709
KEYCORP                                 EQUITY 493267108      50      1,506 SH       DEFINED      2                    1,506
KEYCORP                                 EQUITY 493267108    2140     65,000 SH       SOLE         4        65,000
KEYCORP                                 EQUITY 493267108    7109    215,881 SH       SOLE         1       215,881
KEYNOTE SYS INC                         EQUITY 493308100     160     12,473 SH       SOLE         1        12,473
KEYSPAN CORP                            EQUITY 49337W100      23        645 SH       DEFINED      2                      645
KEYSPAN CORP                            EQUITY 49337W100   21073    590,434 SH       SOLE         1       590,434
KEYSTONE AUTOMOTIVE INDS INC            EQUITY 49338N109     372     11,829 SH       SOLE         1        11,829
KFORCE INC                              EQUITY 493732101     269     24,134 SH       SOLE         1        24,134
KFX INC                                 EQUITY 48245L107     757     44,150 SH       SOLE         1        44,150
KILROY RLTY * CORP                      EQUITY 49427F108    1343     21,694 SH       SOLE         1        21,694
KIMBALL INTL INC                        EQUITY 494274103     178     16,728 SH       SOLE         1        16,728
KIMBERLY CLARK CORP                     EQUITY 494368103     103      1,725 SH       DEFINED      2                    1,725





                                                                                            
KIMBERLY CLARK CORP                     EQUITY 494368103   28873    484,035 SH       SOLE         1       484,035
KIMCO REALTY CORP                       EQUITY 49446R109     192      5,976 SH       SOLE         1         5,976
KINDER MORGAN ENERGY PARTNER UT LTD
  PARTNER                               EQUITY 494550106    2630     55,000 SH       SOLE         4        55,000
KINDER MORGAN INC KANS                  EQUITY 49455P101      36        387 SH       DEFINED      2                      387
KINDER MORGAN INC KANS                  EQUITY 49455P101    2759     30,000 SH       SOLE         4        30,000
KINDER MORGAN INC KANS                  EQUITY 49455P101    9544    103,796 SH       SOLE         1       103,796
KINDRED HEALTHCARE INC                  EQUITY 494580103    4575    177,600 SH       DEFINED      2                  177,600
KINDRED HEALTHCARE INC                  EQUITY 494580103     551     21,379 SH       SOLE         1        21,379
KINETIC CONCEPTS INC                    EQUITY 49460W208    5065    127,400 SH       DEFINED      2                  127,400
KINETIC CONCEPTS INC                    EQUITY 49460W208      42      1,068 SH       SOLE         1         1,068
KING PHARMACEUTICALS INC                EQUITY 495582108      15        894 SH       DEFINED      2                      894
KING PHARMACEUTICALS INC                EQUITY 495582108    2670    157,791 SH       SOLE         1       157,791
KINGSWAY FINL SVCS INC                  EQUITY 496904103    3165    157,000 SH       DEFINED      1             0    157,000
KINROSS GOLD CORP                       EQUITY 496902404    2044    221,900 SH       DEFINED      1             0    221,900
KIRBY CORP                              EQUITY 497266106     853     16,356 SH       SOLE         1        16,356
KITE RLTY GROUP TR                      EQUITY 49803T102     232     14,987 SH       SOLE         1        14,987
KKR FINL CORP                           EQUITY 482476306      25      1,048 SH       SOLE         1         1,048
KLA-TENCOR CORP                         EQUITY 482480100      36        729 SH       DEFINED      2                      729
KLA-TENCOR CORP                         EQUITY 482480100    9635    195,314 SH       SOLE         1       195,314
KMG AMER CORP                           EQUITY 482563103     146     15,875 SH       SOLE         1        15,875
KNBT BANCORP INC                        EQUITY 482921103     400     24,556 SH       SOLE         1        24,556
KNIGHT CAPITAL GROUP INC                EQUITY 499005106     798     80,658 SH       SOLE         1        80,658
KNIGHT RIDDER INC                       EQUITY 499040103      16        255 SH       DEFINED      2                      255
KNIGHT RIDDER INC                       EQUITY 499040103    2081     32,874 SH       SOLE         1        32,874
KNIGHT TRANSN INC                       EQUITY 499064103     890     42,909 SH       SOLE         1        42,909
KNOLL INC                               EQUITY 498904200     141      8,262 SH       SOLE         1         8,262
KOHLS CORP                              EQUITY 500255104   32852    675,972 SH       DEFINED      2                  675,972
KOHLS CORP                              EQUITY 500255104    7351    151,254 SH       SOLE         1       151,254
KOMAG INC                               EQUITY 500453204     754     21,745 SH       SOLE         1        21,745
KOPIN CORP                              EQUITY 500600101     283     52,849 SH       SOLE         1        52,849
KORN FERRY INTL                         EQUITY 500643200    2034    108,843 SH       SOLE         1       108,843
KOS PHARMACEUTICALS INC                 EQUITY 500648100     217      4,200 SH       DEFINED      2                    4,200
KOS PHARMACEUTICALS INC                 EQUITY 500648100      17        332 SH       SOLE         1           332
KRAFT FOODS INC                         EQUITY 50075N104    1207     42,859 SH       SOLE         1        42,859
KRISPY KREME DOUGHNUTS INC              EQUITY 501014104     238     41,497 SH       SOLE         1        41,497
KROGER CO                               EQUITY 501044101      51      2,676 SH       DEFINED      2                    2,676
KROGER CO                               EQUITY 501044101   13033    690,304 SH       SOLE         1       690,304
KRONOS INC                              EQUITY 501052104    1008     24,078 SH       SOLE         1        24,078
KRONOS WORLDWIDE INC                    EQUITY 50105F105      77      2,638 SH       SOLE         1         2,638
K-SWISS INC                             EQUITY 482686102     607     18,725 SH       SOLE         1        18,725
KULICKE & SOFFA INDS INC                EQUITY 501242101     344     38,873 SH       SOLE         1        38,873
KYPHON INC                              EQUITY 501577100     474     11,600 SH       DEFINED      2                   11,600
KYPHON INC                              EQUITY 501577100     891     21,822 SH       SOLE         1        21,822
L-3 COMMUNICATIONS HLDGS INC            EQUITY 502424104   25312    340,444 SH       DEFINED      2                  340,444
L-3 COMMUNICATIONS HLDGS INC            EQUITY 502424104    4149     55,798 SH       SOLE         1        55,798
LA BARGE INC                            EQUITY 502470107     109      7,566 SH       SOLE         1         7,566
LA QUINTA CORP PAIRED CTF               EQUITY 50419U202    7784    698,714 SH       SOLE         1       698,714
LA Z BOY INC                            EQUITY 505336107     531     39,168 SH       SOLE         1        39,168
LABOR READY * INC                       EQUITY 505401208     283     13,600 SH       DEFINED      2                   13,600
LABOR READY * INC                       EQUITY 505401208     855     41,045 SH       SOLE         3        41,045
LABOR READY * INC                       EQUITY 505401208     832     39,961 SH       SOLE         1        39,961
LABORATORY CORP AMER HLDGS              EQUITY 50540R409    1190     22,092 SH       DEFINED      2                   22,092
LABORATORY CORP AMER HLDGS              EQUITY 50540R409    3303     61,341 SH       SOLE         1        61,341
LABRANCHE & CO INC                      EQUITY 505447102    1622    160,410 SH       SOLE         1       160,410
LACLEDE GROUP INC                       EQUITY 505597104     463     15,852 SH       SOLE         1        15,852
LAFARGE NORTH AMERICA INC               EQUITY 505862102      56      1,019 SH       SOLE         1         1,019
LAIDLAW INTL INC                        EQUITY 50730R102   10558    454,496 SH       SOLE         1       454,496
LAKELAND BANCORP INC                    EQUITY 511637100     202     13,714 SH       SOLE         1        13,714
LAKELAND FINL CORP                      EQUITY 511656100     179      4,441 SH       SOLE         1         4,441
LAM RESEARCH CORP                       EQUITY 512807108   10018    280,785 SH       SOLE         1       280,785
LAMAR ADVERTISING CO                    EQUITY 512815101     342      7,417 SH       SOLE         1         7,417
LAMSON & SESSIONS CO                    EQUITY 513696104     320     12,800 SH       DEFINED      2                   12,800
LANCASTER COLONY CORP                   EQUITY 513847103    2586     69,803 SH       SOLE         1        69,803
LANCE INC                               EQUITY 514606102     417     22,395 SH       SOLE         1        22,395





                                                                                            
LANDAMERICA FINL GROUP INC              EQUITY 514936103     847     13,579 SH       SOLE         1        13,579
LANDAUER INC                            EQUITY 51476K103     310      6,728 SH       SOLE         1         6,728
LANDRYS RESTAURANTS INC                 EQUITY 51508L103    2142     80,200 SH       DEFINED      2                   80,200
LANDRYS RESTAURANTS INC                 EQUITY 51508L103     329     12,318 SH       SOLE         1        12,318
LANDSTAR SYS INC                        EQUITY 515098101     551     13,200 SH       DEFINED      2                   13,200
LANDSTAR SYS INC                        EQUITY 515098101      54      1,303 SH       SOLE         1         1,303
LAS VEGAS SANDS CORP                    EQUITY 517834107      20        514 SH       SOLE         1           514
LASALLE HOTEL PPTYS                     EQUITY 517942108     833     22,687 SH       SOLE         1        22,687
LASERSCOPE                              EQUITY 518081104     335     14,912 SH       SOLE         1        14,912
LATTICE SEMICONDUCTOR CORP              EQUITY 518415104    1339    309,901 SH       SOLE         1       309,901
LAUDER ESTEE COS INC                    EQUITY 518439104      99      2,951 SH       SOLE         1         2,951
LAUREATE EDUCATION INC                  EQUITY 518613104    5221     99,426 SH       SOLE         1        99,426
LAWSON PRODS INC                        EQUITY 520776105     130      3,437 SH       SOLE         1         3,437
LAWSON SOFTWARE INC                     EQUITY 520780107   11359  1,545,400 SH       DEFINED      2                1,545,400
LAWSON SOFTWARE INC                     EQUITY 520780107     342     46,597 SH       SOLE         1        46,597
LAYNE CHRISTENSEN CO                    EQUITY 521050104     182      7,145 SH       SOLE         1         7,145
LAZARD LTD                              EQUITY G54050102     530     16,600 SH       DEFINED      2                   16,600
LCA-VISION INC                          EQUITY 501803308     703     14,800 SH       DEFINED      2                   14,800
LCA-VISION INC                          EQUITY 501803308     726     15,276 SH       SOLE         1        15,276
LEADIS TECHNOLOGY INC                   EQUITY 52171N103      70     13,548 SH       SOLE         1        13,548
LEAP WIRELESS INTL INC                  EQUITY 521863308      10        273 SH       SOLE         1           273
LEAPFROG ENTERPRISES INC                EQUITY 52186N106     283     24,329 SH       SOLE         1        24,329
LEAR CORP                               EQUITY 521865105    4515    158,639 SH       SOLE         1       158,639
LEARNING TREE INTL INC                  EQUITY 522015106      86      6,726 SH       SOLE         1         6,726
LECG CORP                               EQUITY 523234102     192     11,054 SH       SOLE         1        11,054
LECROY CORP                             EQUITY 52324W109     142      9,265 SH       SOLE         1         9,265
LEE ENTERPRISES INC                     EQUITY 523768109    3372     91,357 SH       SOLE         1        91,357
LEGG MASON INC                          EQUITY 524901105    1939     16,200 SH       DEFINED      2                   16,200
LEGG MASON INC                          EQUITY 524901105    3842     32,100 SH       SOLE         3        30,800             1,300
LEGG MASON INC                          EQUITY 524901105   29105    243,173 SH       SOLE         1       243,173
LEGGETT & PLATT INC                     EQUITY 524660107      16        678 SH       DEFINED      2                      678
LEGGETT & PLATT INC                     EQUITY 524660107    2058     89,629 SH       SOLE         1        89,629
LEHMAN BROS HLDGS INC                   EQUITY 524908100     127        990 SH       DEFINED      2                      990
LEHMAN BROS HLDGS INC                   EQUITY 524908100   15119    117,960 SH       SOLE         1       117,960
LENNAR CORP                             EQUITY 526057104      31        510 SH       DEFINED      2                      510
LENNAR CORP                             EQUITY 526057104    3886     63,683 SH       SOLE         1        63,683
LENNOX INTL INC                         EQUITY 526107107    1067     37,844 SH       SOLE         1        37,844
LEUCADIA NATL CORP                      EQUITY 527288104    7826    164,892 SH       SOLE         1       164,892
LEVEL 3 COMMUNICATIONS INC              EQUITY 52729NAS9  663694 10,350,000 SH       DEFINED      2               10,350,000
LEVEL 3 COMMUNICATIONS INC              EQUITY 52729N100    1496    521,311 SH       SOLE         1       521,311
LEVITT CORP                             EQUITY 52742P108     280     12,334 SH       SOLE         1        12,334
LEXAR MEDIA INC                         EQUITY 52886P104    6712    817,600 SH       SOLE         3       817,600
LEXAR MEDIA INC                         EQUITY 52886P104     491     59,863 SH       SOLE         1        59,863
LEXICON GENETICS INC                    EQUITY 528872104     174     47,727 SH       SOLE         1        47,727
LEXINGTON CORP PPTYS TR                 EQUITY 529043101    1238     58,112 SH       SOLE         1        58,112
LEXMARK INTL                            EQUITY 529771107      19        429 SH       DEFINED      2                      429
LEXMARK INTL                            EQUITY 529771107    2395     53,429 SH       SOLE         1        53,429
LHC GROUP INC                           EQUITY 50187A107      62      3,585 SH       SOLE         1         3,585
LIBBEY INC                              EQUITY 529898108     106     10,395 SH       SOLE         1        10,395
LIBERTY CORP S C                        EQUITY 530370105     542     11,581 SH       SOLE         1        11,581
LIBERTY GLOBAL INC                      EQUITY 530555101     624     27,734 SH       SOLE         1        27,734
LIBERTY PPTY TR SH BEN INT              EQUITY 531172104    7585    177,020 SH       SOLE         1       177,020
LIFE TIME FITNESS INC                   EQUITY 53217R207     669     17,566 SH       SOLE         1        17,566
LIFECELL * CORP                         EQUITY 531927101     459     24,091 SH       SOLE         1        24,091
LIFELINE SYS INC                        EQUITY 532192101     336      9,197 SH       SOLE         1         9,197
LIFEPOINT HOSPITALS INC                 EQUITY 53219L109    3713     99,000 SH       DEFINED      2                   99,000
LIFEPOINT HOSPITALS INC                 EQUITY 53219L109    4276    114,021 SH       SOLE         1       114,021
LIFETIME BRANDS INC                     EQUITY 53222Q103     113      5,478 SH       SOLE         1         5,478
LILLY ELI & CO                          EQUITY 532457108    1166     20,596 SH       DEFINED      2                   20,596
LILLY ELI & CO                          EQUITY 532457108   34416    608,171 SH       SOLE         1       608,171
LIMITED BRANDS INC                      EQUITY 532716107      29      1,287 SH       DEFINED      2                    1,287
LIMITED BRANDS INC                      EQUITY 532716107    3601    161,128 SH       SOLE         1       161,128
LIN TV CORP                             EQUITY 532774106     227     20,368 SH       SOLE         1        20,368
LINCARE HLDGS INC                       EQUITY 532791100    8404    200,519 SH       SOLE         1       200,519





                                                                                            
LINCOLN EDL SVCS CORP                   EQUITY 533535100      45      3,145 SH       SOLE         1         3,145
LINCOLN ELEC HLDGS INC                  EQUITY 533900106    1093     27,549 SH       SOLE         1        27,549
LINCOLN NATL CORP IND                   EQUITY 534187109      34        639 SH       DEFINED      2                      639
LINCOLN NATL CORP IND                   EQUITY 534187109   15242    287,431 SH       SOLE         1       287,431
LINDSAY MFG CO                          EQUITY 535555106     167      8,709 SH       SOLE         1         8,709
LINEAR TECHNOLOGY CORP                  EQUITY 535678106      41      1,125 SH       DEFINED      2                    1,125
LINEAR TECHNOLOGY CORP                  EQUITY 535678106    6017    166,808 SH       SOLE         1       166,808
LINENS N THINGS INC                     EQUITY 535679104     904     33,975 SH       SOLE         1        33,975
LIONBRIDGE TECHNOLOGIES INC             EQUITY 536252109     229     32,634 SH       SOLE         1        32,634
LITHIA MTRS INC                         EQUITY 536797103     364     11,575 SH       SOLE         1        11,575
LITTELFUSE INC                          EQUITY 537008104     459     16,826 SH       SOLE         1        16,826
LIZ CLAIBORNE INC                       EQUITY 539320101      14        393 SH       DEFINED      2                      393
LIZ CLAIBORNE INC                       EQUITY 539320101    2716     75,831 SH       SOLE         1        75,831
LKQ CORP                                EQUITY 501889208     372     10,759 SH       SOLE         1        10,759
LOCKHEED MARTIN CORP                    EQUITY 539830109      84      1,320 SH       DEFINED      2                    1,320
LOCKHEED MARTIN CORP                    EQUITY 539830109   10041    157,801 SH       SOLE         1       157,801
LODGENET ENTMT CORP                     EQUITY 540211109     169     12,153 SH       SOLE         1        12,153
LODGIAN INC                             EQUITY 54021P403     199     18,554 SH       SOLE         1        18,554
LOEWS CORP                              EQUITY 540424108      48        501 SH       DEFINED      2                      501
LOEWS CORP                              EQUITY 540424108    5681     59,897 SH       SOLE         1        59,897
LOEWS CORP CAROLNA GP STK               EQUITY 540424207     399      9,066 SH       SOLE         1         9,066
LO-JACK CORP                            EQUITY 539451104    2041     84,603 SH       SOLE         1        84,603
LONE STAR STEAKHOUSE SALOON             EQUITY 542307103     318     13,403 SH       SOLE         1        13,403
LONE STAR TECHNOLOGIES INC              EQUITY 542312103    1158     22,410 SH       SOLE         1        22,410
LONGS DRUG STORES CORP                  EQUITY 543162101     840     23,080 SH       SOLE         1        23,080
LONGVIEW FIBRE CO                       EQUITY 543213102    2900    139,349 SH       SOLE         1       139,349
LOUISIANA PAC CORP                      EQUITY 546347105   11356    413,390 SH       DEFINED      2                  413,390
LOUISIANA PAC CORP                      EQUITY 546347105    2399     87,336 SH       SOLE         1        87,336
LOWES COS INC                           EQUITY 548661107     192      2,886 SH       DEFINED      2                    2,886
LOWES COS INC                           EQUITY 548661107   25418    381,302 SH       SOLE         1       381,302
LSI INDS INC                            EQUITY 50216C108     233     14,860 SH       SOLE         1        14,860
LSI LOGIC CORP                          EQUITY 502161102      12      1,446 SH       DEFINED      2                    1,446
LSI LOGIC CORP                          EQUITY 502161102    1464    182,990 SH       SOLE         1       182,990
LTC PPTYS INC                           EQUITY 502175102     366     17,407 SH       SOLE         1        17,407
LTX CORP                                EQUITY 502392103     207     46,070 SH       SOLE         1        46,070
LUBRIZOL CORP                           EQUITY 549271104    5926    136,440 SH       SOLE         1       136,440
LUBYS INC                               EQUITY 549282101     229     17,231 SH       SOLE         1        17,231
LUCENT TECHNOLOGIES INC                 EQUITY 549463107      44     16,410 SH       DEFINED      2                   16,410
LUCENT TECHNOLOGIES INC                 EQUITY 549463107    5560  2,090,213 SH       SOLE         1     2,090,213
LUFKIN INDS INC                         EQUITY 549764108     259      5,200 SH       DEFINED      2                    5,200
LUFKIN INDS INC                         EQUITY 549764108    1895     38,000 SH       SOLE         3        38,000
LUFKIN INDS INC                         EQUITY 549764108     528     10,595 SH       SOLE         1        10,595
LUMINENT MTG CAP INC                    EQUITY 550278303     229     30,449 SH       SOLE         1        30,449
LUMINEX CORP DEL                        EQUITY 55027E102     223     19,164 SH       SOLE         1        19,164
LYON WILLIAM HOMES                      EQUITY 552074106     187      1,850 SH       SOLE         1         1,850
LYONDELL CHEMICAL CO                    EQUITY 552078107    9792    411,098 SH       SOLE         1       411,098
M & F WORLDWIDE CORP                    EQUITY 552541104     132      8,073 SH       SOLE         1         8,073
M & T BK CORP                           EQUITY 55261F104      32        294 SH       DEFINED      2                      294
M & T BK CORP                           EQUITY 55261F104   14152    129,777 SH       SOLE         1       129,777
M D C HLDGS INC                         EQUITY 552676108      49        796 SH       SOLE         1           796
M/I HOMES INC                           EQUITY 55305B101     379      9,323 SH       SOLE         1         9,323
MACATAWA BK CORP                        EQUITY 554225102     278      7,652 SH       SOLE         1         7,652
MACDERMID INC                           EQUITY 554273102     635     22,760 SH       SOLE         1        22,760
MACERICH CO                             EQUITY 554382101    8066    120,140 SH       SOLE         1       120,140
MACK CALI RLTY CORP                     EQUITY 554489104   20646    477,913 SH       SOLE         1       477,913
MACROVISION CORP                        EQUITY 555904101    2317    138,477 SH       SOLE         1       138,477
MADDEN STEVEN LTD                       EQUITY 556269108     287      9,808 SH       SOLE         1         9,808
MAF BANCORP INC                         EQUITY 55261R108    1003     24,241 SH       SOLE         1        24,241
MAGELLAN HEALTH SVCS INC                EQUITY 559079207     636     20,225 SH       SOLE         1        20,225
MAGELLAN MIDSTREAM PRTNRS LP            EQUITY 559080106    2578     80,000 SH       SOLE         4        80,000
MAGMA DESIGN AUTOMATION                 EQUITY 559181102     222     26,362 SH       SOLE         1        26,362
MAGNA ENTMT CORP                        EQUITY 559211107     201     28,131 SH       SOLE         1        28,131
MAGUIRE PPTYS INC                       EQUITY 559775101     803     25,993 SH       SOLE         1        25,993
MAIDENFORM BRANDS INC                   EQUITY 560305104     122      9,628 SH       SOLE         1         9,628





                                                                                            
MAIN STR BKS INC                        EQUITY 56034R102     320     11,755 SH       SOLE         1        11,755
MAINSOURCE FINANCIAL GP INC             EQUITY 56062Y102     159      8,887 SH       SOLE         1         8,887
MAIR HOLDINGS INC                       EQUITY 560635104      43      9,101 SH       SOLE         1         9,101
MAJESCO ENTERTAINMENT CO                EQUITY 560690208      14     12,111 SH       SOLE         1        12,111
MANHATTAN ASSOCS INC                    EQUITY 562750109     448     21,893 SH       SOLE         1        21,893
MANITOWOC INC                           EQUITY 563571108    4018     80,000 SH       SOLE         3        77,800             2,200
MANITOWOC INC                           EQUITY 563571108    1136     22,616 SH       SOLE         1        22,616
MANNATECH INC                           EQUITY 563771104     163     11,835 SH       SOLE         1        11,835
MANNKIND CORP                           EQUITY 56400P201     214     19,028 SH       SOLE         1        19,028
MANOR CARE INC                          EQUITY 564055101      12        291 SH       DEFINED      2                      291
MANOR CARE INC                          EQUITY 564055101    1450     36,464 SH       SOLE         1        36,464
MANPOWER INC                            EQUITY 56418H100    8144    175,133 SH       SOLE         1       175,133
MANTECH INTL CORP                       EQUITY 564563104     326     11,719 SH       SOLE         1        11,719
MANULIFE FINL CORP                      EQUITY 56501R106    7220    123,300 SH       DEFINED      1             0    123,300
MAPINFO CORP                            EQUITY 565105103     195     15,500 SH       SOLE         1        15,500
MARATHON OIL CORP                       EQUITY 565849106   12484    204,753 SH       DEFINED      2                  204,753
MARATHON OIL CORP                       EQUITY 565849106    9853    161,597 SH       SOLE         1       161,597
MARCHEX INC                             EQUITY 56624R108     334     14,863 SH       SOLE         1        14,863
MARCUS CORP                             EQUITY 566330106     358     15,227 SH       SOLE         1        15,227
MARINE PRODS CORP                       EQUITY 568427108     102      9,771 SH       SOLE         1         9,771
MARINEMAX INC                           EQUITY 567908108     318     10,087 SH       SOLE         1        10,087
MARITRANS INC                           EQUITY 570363101     166      6,389 SH       SOLE         1         6,389
MARKEL CORP                             EQUITY 570535104      82        259 SH       SOLE         1           259
MARKETAXESS HLDGS INC                   EQUITY 57060D108    2846    249,000 SH       DEFINED      2                  249,000
MARKETAXESS HLDGS INC                   EQUITY 57060D108     199     56,033 SH       SOLE         1        56,033
MARKWEST HYDROCARBON INC                EQUITY 570762104      93      4,217 SH       SOLE         1         4,217
MARLIN BUSINESS SVCS CORP               EQUITY 571157106     115      4,834 SH       SOLE         1         4,834
MARRIOTT INTL INC                       EQUITY 571903202      41        609 SH       DEFINED      2                      609
MARRIOTT INTL INC                       EQUITY 571903202   24698    368,792 SH       SOLE         1       368,792
MARSH & MCLENNAN COS INC                EQUITY 571748102      64      2,010 SH       DEFINED      2                    2,010
MARSH & MCLENNAN COS INC                EQUITY 571748102   61127  1,924,655 SH       SOLE         1     1,924,655
MARSHALL & ILSLEY CORP                  EQUITY 571834100      33        771 SH       DEFINED      2                      771
MARSHALL & ILSLEY CORP                  EQUITY 571834100    4258     98,927 SH       SOLE         1        98,927
MARSHALL EDWARDS INC                    EQUITY 572322303      35      5,583 SH       SOLE         1         5,583
MARTEK * TEK BIOSCIENCES CORP           EQUITY 572901106    2123     86,283 SH       SOLE         1        86,283
MARTEN TRANS LTD                        EQUITY 573075108     203     11,168 SH       SOLE         1        11,168
MARTHA STEWART LIVING OMNIME            EQUITY 573083102     294     16,851 SH       SOLE         1        16,851
MARTIN MARIETTA MATLS INC               EQUITY 573284106    7111     92,687 SH       SOLE         1        92,687
MARVEL ENTERTAINMENT INC                EQUITY 57383T103      24      1,495 SH       SOLE         1         1,495
MARVELL TECHNOLOGY GROUP LTD            EQUITY G5876H105    5777    103,000 SH       DEFINED      2                  103,000
MARVELL TECHNOLOGY GROUP LTD            EQUITY G5876H105    2596     46,290 SH       SOLE         3        44,475             1,815
MARVELL TECHNOLOGY GROUP LTD            EQUITY G5876H105     961     17,140 SH       SOLE         1        17,140
MASCO CORP                              EQUITY 574599106      47      1,563 SH       DEFINED      2                    1,563
MASCO CORP                              EQUITY 574599106   14413    477,394 SH       SOLE         1       477,394
MASSEY ENERGY CORP                      EQUITY 576206106      62      1,648 SH       SOLE         1         1,648
MASTEC INC                              EQUITY 576323109     213     20,357 SH       SOLE         1        20,357
MATRIA HEALTHCARE INC                   EQUITY 576817209     597     15,403 SH       SOLE         1        15,403
MATRIX SVC CO                           EQUITY 576853105    2436    247,600 SH       SOLE         3       247,600
MATRIXONE INC                           EQUITY 57685P304     202     40,465 SH       SOLE         1        40,465
MATRIXX INITIATIVES INC                 EQUITY 57685L105     218     10,400 SH       DEFINED      2                   10,400
MATTEL INC                              EQUITY 577081102      24      1,491 SH       DEFINED      2                    1,491
MATTEL INC                              EQUITY 577081102    7373    466,029 SH       SOLE         1       466,029
MATTHEWS INTL CORP                      EQUITY 577128101     873     23,986 SH       SOLE         1        23,986
MATTSON TECHNOLOGY INC                  EQUITY 577223100     322     31,965 SH       SOLE         1        31,965
MAUI LD & PINEAPPLE INC                 EQUITY 577345101      87      2,550 SH       SOLE         1         2,550
MAVERICK TUBE CORP                      EQUITY 577914104    1283     32,200 SH       SOLE         1        32,200
MAXIM INTEGRATED PRODS INC              EQUITY 57772K101      44      1,209 SH       DEFINED      2                    1,209
MAXIM INTEGRATED PRODS INC              EQUITY 57772K101    9431    260,234 SH       SOLE         1       260,234
MAXIMUS INC                             EQUITY 577933104     528     14,383 SH       SOLE         1        14,383
MAXTOR CORP                             EQUITY 577729205    1319    190,114 SH       SOLE         1       190,114
MAXYGEN INC                             EQUITY 577776107     144     19,161 SH       SOLE         1        19,161
MAYTAG CORP                             EQUITY 578592107       6        297 SH       DEFINED      2                      297
MAYTAG CORP                             EQUITY 578592107    1790     95,117 SH       SOLE         1        95,117
MB FINANCIAL INC                        EQUITY 55264U108     584     16,488 SH       SOLE         1        16,488





                                                                                            
MBIA INC                                EQUITY 55262C100      30        495 SH       DEFINED      2                      495
MBIA INC                                EQUITY 55262C100    3790     62,998 SH       SOLE         1        62,998
MBNA CORP                               EQUITY 55262L100     126      4,632 SH       DEFINED      2                    4,632
MBNA CORP                               EQUITY 55262L100   48588  1,789,610 SH       SOLE         1     1,789,610
MBT FINL CORP                           EQUITY 578877102     179     11,080 SH       SOLE         1        11,080
MCAFEE INC                              EQUITY 579064106    9092    335,127 SH       SOLE         1       335,127
MCCLATCHY CO                            EQUITY 579489105      36        608 SH       SOLE         1           608
MCCORMICK & CO INC                      EQUITY 579780206    5661    183,091 SH       DEFINED      2                  183,091
MCCORMICK & CO INC                      EQUITY 579780206    3868    125,101 SH       SOLE         1       125,101
MCCORMICK & SCHMICKS SEAFD R            EQUITY 579793100     128      5,692 SH       SOLE         1         5,692
MCDATA CORP                             EQUITY 580031201    1592    418,983 SH       SOLE         1       418,983
MCDONALDS CORP                          EQUITY 580135101     157      4,647 SH       DEFINED      2                    4,647
MCDONALDS CORP                          EQUITY 580135101   35372  1,049,002 SH       SOLE         1     1,049,002
MCG CAPITAL CORP                        EQUITY 58047P107    1955    134,025 SH       SOLE         1       134,025
MCGRATH RENTCORP                        EQUITY 580589109     429     15,449 SH       SOLE         1        15,449
MCGRAW HILL COS INC                     EQUITY 580645109      71      1,383 SH       DEFINED      2                    1,383
MCGRAW HILL COS INC                     EQUITY 580645109    8515    164,931 SH       SOLE         1       164,931
MCI INC                                 EQUITY 552691107     613     31,056 SH       SOLE         1        31,056
MCKESSON CORP                           EQUITY 58155Q103      59      1,137 SH       DEFINED      2                    1,137
MCKESSON CORP                           EQUITY 58155Q103   13113    254,183 SH       SOLE         1       254,183
MCMORAN EXPLORATION CO                  EQUITY 582411104     306     15,495 SH       SOLE         1        15,495
MDU RES GROUP INC                       EQUITY 552690109    7873    240,464 SH       SOLE         1       240,464
MEADWESTVACO CORP                       EQUITY 583334107      19        669 SH       DEFINED      2                      669
MEADWESTVACO CORP                       EQUITY 583334107    4502    160,600 SH       SOLE         1       160,600
MEASUREMENT SPECIALTIES INC             EQUITY 583421102     216      8,872 SH       SOLE         1         8,872
MECHEL OAO                              EQUITY 583840103     435     18,000 SH       SOLE         1        18,000
MEDAREX INC                             EQUITY 583916101    1151     83,097 SH       SOLE         1        83,097
MEDCATH CORP                            EQUITY 58404W109     102      5,499 SH       SOLE         1         5,499
MEDCO HEALTH SOLUTIONS INC              EQUITY 58405U102      63      1,134 SH       DEFINED      2                    1,134
MEDCO HEALTH SOLUTIONS INC              EQUITY 58405U102    7544    135,198 SH       SOLE         1       135,198
MEDIA GEN INC                           EQUITY 584404107    3227     63,643 SH       SOLE         1        63,643
MEDIACOM COMMUNICATIONS CORP            EQUITY 58446K105     254     46,314 SH       SOLE         1        46,314
MEDICAL PPTYS TRUST INC                 EQUITY 58463J304      94      9,633 SH       SOLE         1         9,633
MEDICINES CO                            EQUITY 584688105    5040    288,800 SH       DEFINED      2                  288,800
MEDICINES CO                            EQUITY 584688105     647     37,097 SH       SOLE         1        37,097
MEDICIS PHARMACEUTICAL CORP             EQUITY 584690309    1306     40,742 SH       SOLE         1        40,742
MEDIMMUNE INC                           EQUITY 584699102      32        909 SH       DEFINED      2                      909
MEDIMMUNE INC                           EQUITY 584699102    4552    129,969 SH       SOLE         1       129,969
MEDIS TECHNOLOGIES LTD                  EQUITY 58500P107     164     11,152 SH       SOLE         1        11,152
MEDTRONIC INC                           EQUITY 585055106   33147    575,764 SH       DEFINED      2                  575,764
MEDTRONIC INC                           EQUITY 585055106   46668    810,624 SH       SOLE         1       810,624
MELLON FINL CORP                        EQUITY 58551A108      53      1,545 SH       DEFINED      2                    1,545
MELLON FINL CORP                        EQUITY 58551A108    4706    137,400 SH       SOLE         3       132,100             5,300
MELLON FINL CORP                        EQUITY 58551A108    6733    196,596 SH       SOLE         1       196,596
MEMC ELECTR MATLS INC                   EQUITY 552715104    7387    333,199 SH       SOLE         1       333,199
MENS WEARHOUSE INC                      EQUITY 587118100     353     12,000 SH       DEFINED      2                   12,000
MENS WEARHOUSE INC                      EQUITY 587118100      38      1,289 SH       SOLE         1         1,289
MENTOR CORP MINN                        EQUITY 587188103    1115     24,187 SH       SOLE         1        24,187
MENTOR GRAPHICS CORP                    EQUITY 587200106    2225    215,163 SH       SOLE         1       215,163
MERCANTILE BANK CORP                    EQUITY 587376104     219      5,691 SH       SOLE         1         5,691
MERCANTILE BANKSHARES CORP              EQUITY 587405101    9290    164,592 SH       SOLE         1       164,592
MERCER INTL INC SH BEN INT              EQUITY 588056101     169     21,515 SH       SOLE         1        21,515
MERCK & CO INC                          EQUITY 589331107   13382    420,682 SH       DEFINED      2                  420,682
MERCK & CO INC                          EQUITY 589331107   52219  1,641,598 SH       SOLE         1     1,641,598
MERCURY COMPUTER SYS                    EQUITY 589378108     324     15,723 SH       SOLE         1        15,723
MERCURY GENL CORP                       EQUITY 589400100    4129     70,925 SH       SOLE         1        70,925
MERCURY INTERACTIVE CORP                EQUITY 589405109       9        321 SH       DEFINED      2                      321
MERCURY INTERACTIVE CORP                EQUITY 589405109    1270     45,711 SH       SOLE         1        45,711
MEREDITH CORP                           EQUITY 589433101       8        156 SH       DEFINED      2                      156
MEREDITH CORP                           EQUITY 589433101    1015     19,400 SH       SOLE         1        19,400
MERGE TECHNOLOGIES INC                  EQUITY 589981109    1936     77,300 SH       SOLE         3        77,300
MERGE TECHNOLOGIES INC                  EQUITY 589981109     337     13,451 SH       SOLE         1        13,451
MERIDIAN BIOSCIENCE INC                 EQUITY 589584101     487     24,200 SH       SOLE         3        24,200
MERIDIAN BIOSCIENCE INC                 EQUITY 589584101     279     13,858 SH       SOLE         1        13,858





                                                                                            
MERIDIAN RESOURCE CORP                  EQUITY 58977Q109     273     65,014 SH       SOLE         1        65,014
MERISTAR HOSPITALITY CORP               EQUITY 58984Y103    2911    309,660 SH       SOLE         1       309,660
MERIT MED SYS INC                       EQUITY 589889104     242     19,950 SH       SOLE         1        19,950
MERITAGE HOMES CORP                     EQUITY 59001A102      43        678 SH       SOLE         1           678
MERRILL LYNCH & CO INC                  EQUITY 590188108   27146    400,793 SH       DEFINED      2                  400,793
MERRILL LYNCH & CO INC                  EQUITY 590188108   27686    408,771 SH       SOLE         1       408,771
MESA AIR GROUP INC                      EQUITY 590479101    2362    225,800 SH       DEFINED      2                  225,800
MESA AIR GROUP INC                      EQUITY 590479101     236     22,581 SH       SOLE         1        22,581
MESTEK INC                              EQUITY 590829107      29      2,227 SH       SOLE         1         2,227
METAL MGMT INC                          EQUITY 591097209     379     16,310 SH       SOLE         1        16,310
METHODE ELECTRS INC                     EQUITY 591520200     272     27,308 SH       SOLE         1        27,308
METLIFE INC                             EQUITY 59156R108     137      2,796 SH       DEFINED      2                    2,796
METLIFE INC                             EQUITY 59156R108   24508    500,172 SH       SOLE         1       500,172
METROLOGIC INSTRS INC                   EQUITY 591676101     293     15,200 SH       DEFINED      2                   15,200
METROLOGIC INSTRS INC                   EQUITY 591676101     171      8,860 SH       SOLE         1         8,860
METTLER TOLEDO INTERNATIONAL            EQUITY 592688105      56      1,007 SH       SOLE         1         1,007
MFA MTG INVTS INC                       EQUITY 55272X102     353     61,855 SH       SOLE         1        61,855
MFS MUN INCOME TR SH BEN INT            EQUITY 552738106     138     17,700 SH       SOLE         4        17,700
MGE ENERGY INC                          EQUITY 55277P104     521     15,357 SH       SOLE         1        15,357
MGI PHARMA INC                          EQUITY 552880106   28696  1,672,274 SH       SOLE         1     1,672,274
MGIC INVT CORP WIS                      EQUITY 552848103      22        336 SH       DEFINED      2                      336
MGIC INVT CORP WIS                      EQUITY 552848103    2816     42,782 SH       SOLE         1        42,782
MGM MIRAGE                              EQUITY 552953101      96      2,618 SH       SOLE         1         2,618
MICHAELS STORES INC                     EQUITY 594087108    9532    269,488 SH       SOLE         1       269,488
MICREL INC                              EQUITY 594793101    2037    175,749 SH       SOLE         1       175,749
MICRO THERAPEUTICS INC                  EQUITY 59500W100      56      8,011 SH       SOLE         1         8,011
MICROCHIP TECHNOLOGY INC                EQUITY 595017104    2466     76,700 SH       SOLE         3        73,900             2,800
MICROCHIP TECHNOLOGY INC                EQUITY 595017104   13863    431,202 SH       SOLE         1       431,202
MICROMUSE INC                           EQUITY 595094103    1638    165,576 SH       SOLE         1       165,576
MICRON TECHNOLOGY INC                   EQUITY 595112103      30      2,280 SH       DEFINED      2                    2,280
MICRON TECHNOLOGY INC                   EQUITY 595112103    3827    287,562 SH       SOLE         1       287,562
MICROS SYS INC                          EQUITY 594901100     561     11,600 SH       DEFINED      2                   11,600
MICROS SYS INC                          EQUITY 594901100    1380     28,554 SH       SOLE         1        28,554
MICROSEMI CORP                          EQUITY 595137100    4795    173,360 SH       SOLE         3       169,107             4,253
MICROSEMI CORP                          EQUITY 595137100    1280     46,279 SH       SOLE         1        46,279
MICROSOFT CORP                          EQUITY 594918104   70787  2,706,968 SH       DEFINED      2                2,706,968
MICROSOFT CORP                          EQUITY 594918104  228740  8,747,231 SH       SOLE         1     8,747,231
MICROSTRATEGY INC                       EQUITY 594972119                509 SH       SOLE         1           509
MICROSTRATEGY INC                       EQUITY 594972408     857     10,361 SH       SOLE         1        10,361
MICROTUNE INC DEL                       EQUITY 59514P109     163     39,042 SH       SOLE         1        39,042
MICRUS ENDOVASCULAR CORP                EQUITY 59518V102    1235    141,900 SH       SOLE         3       141,900
MID-AMER APT CMNTYS INC                 EQUITY 59522J103     689     14,196 SH       SOLE         1        14,196
MIDAS GROUP INC                         EQUITY 595626102    3081    167,800 SH       DEFINED      2                  167,800
MIDAS GROUP INC                         EQUITY 595626102     844     45,960 SH       SOLE         1        45,960
MIDCAP SPDR TR UNIT SER 1               EQUITY 595635103   13469    100,000 SH       SOLE         1       100,000
MIDDLEBY CORP                           EQUITY 596278101     330      3,814 SH       SOLE         1         3,814
MIDDLESEX WATER CO                      EQUITY 596680108     148      8,542 SH       SOLE         1         8,542
MIDLAND CO                              EQUITY 597486109     291      8,061 SH       SOLE         1         8,061
MID-STATE BANCSHARES                    EQUITY 595440108     460     17,197 SH       SOLE         1        17,197
MIDWAY GAMES INC                        EQUITY 598148104     254     13,365 SH       SOLE         1        13,365
MIDWEST BANC HOLDINGS INC               EQUITY 598251106     222      9,972 SH       SOLE         1         9,972
MIKOHN GAMING CORP                      EQUITY 59862K108     191     19,301 SH       SOLE         1        19,301
MILLENNIUM PHARMACEUTICALS I            EQUITY 599902103    6280    647,372 SH       SOLE         1       647,372
MILLER HERMAN INC                       EQUITY 600544100    3892    138,047 SH       SOLE         1       138,047
MILLIPORE CORP                          EQUITY 601073109      13        192 SH       DEFINED      2                      192
MILLIPORE CORP                          EQUITY 601073109    1585     24,000 SH       SOLE         1        24,000
MILLS CORP                              EQUITY 601148109   16192    386,074 SH       SOLE         1       386,074
MINDSPEED TECHNOLOGIES INC              EQUITY 602682106                  1 SH       SOLE         1             1
MINE SAFETY APPLIANCES CO               EQUITY 602720104    2675     73,866 SH       SOLE         1        73,866
MINERALS TECHNOLOGIES INC               EQUITY 603158106    3080     55,102 SH       SOLE         1        55,102
MIPS TECHNOLOGIES INC                   EQUITY 604567107     181     31,866 SH       SOLE         1        31,866
MKS INSTRUMENT INC                      EQUITY 55306N104     438     24,496 SH       SOLE         1        24,496
MOBILE MINI INC                         EQUITY 60740F105     526     11,101 SH       SOLE         1        11,101
MOBILE TELESYSTEMS OJSC                 EQUITY 607409109    4004    114,400 SH       SOLE         1       114,400





                                                                                            
MOBILITY ELECTRONICS INC                EQUITY 60741U101     195     20,147 SH       SOLE         1        20,147
MODINE MFG CO                           EQUITY 607828100    3074     94,321 SH       SOLE         1        94,321
MOHAWK INDS INC                         EQUITY 608190104    9217    105,968 SH       SOLE         1       105,968
MOLECULAR DEVICES CORP                  EQUITY 60851C107     368     12,706 SH       SOLE         1        12,706
MOLEX INC                               EQUITY 608554101      14        531 SH       DEFINED      2                      531
MOLEX INC                               EQUITY 608554101    4857    187,164 SH       SOLE         1       187,164
MOLINA HEALTHCARE INC                   EQUITY 60855R100     221      8,308 SH       SOLE         1         8,308
MOLSON COORS BREWING CO                 EQUITY 60871R209      14        207 SH       DEFINED      2                      207
MOLSON COORS BREWING CO                 EQUITY 60871R209    1768     26,390 SH       SOLE         1        26,390
MOMENTA PHARMACEUTICALS INC             EQUITY 60877T100     157      7,132 SH       SOLE         1         7,132
MONACO COACH CORP                       EQUITY 60886R103     260     19,572 SH       SOLE         1        19,572
MONARCH CASINO & RESORT INC             EQUITY 609027107     157      6,942 SH       SOLE         1         6,942
MONEYGRAM INTL INC                      EQUITY 60935Y109     480     18,400 SH       DEFINED      2                   18,400
MONEYGRAM INTL INC                      EQUITY 60935Y109    6083    233,241 SH       SOLE         1       233,241
MONOGRAM BIOSCIENCES INC                EQUITY 60975U108     171     91,313 SH       SOLE         1        91,313
MONOLITHIC PWR SYS INC                  EQUITY 609839105     194     12,916 SH       SOLE         1        12,916
MONRO MUFFLER BRAKE INC                 EQUITY 610236101     239      7,877 SH       SOLE         1         7,877
MONSANTO CO                             EQUITY 61166W101      77        990 SH       DEFINED      2                      990
MONSANTO CO                             EQUITY 61166W101   11156    143,890 SH       SOLE         1       143,890
MONSTER WORLDWIDE INC                   EQUITY 611742107      18        453 SH       DEFINED      2                      453
MONSTER WORLDWIDE INC                   EQUITY 611742107    6566    160,848 SH       SOLE         3       157,102             3,746
MONSTER WORLDWIDE INC                   EQUITY 611742107    4942    121,058 SH       SOLE         1       121,058
MOODYS CORP                             EQUITY 615369105   12279    199,915 SH       DEFINED      2                  199,915
MOODYS CORP                             EQUITY 615369105   14085    229,320 SH       SOLE         1       229,320
MOOG INC                                EQUITY 615394202     721     25,419 SH       SOLE         1        25,419
MORGAN STANLEY                          EQUITY 617446448   12754    224,778 SH       DEFINED      2                  224,778
MORGAN STANLEY                          EQUITY 617446448    1986     35,000 SH       SOLE         4        35,000
MORGAN STANLEY                          EQUITY 617446448   98185  1,730,434 SH       SOLE         1     1,730,434
MORNINGSTAR INC                         EQUITY 617700109     221      6,384 SH       SOLE         1         6,384
MORTGAGEIT HLDGS INC                    EQUITY 61915Q108    2373    173,731 SH       SOLE         1       173,731
MOSAIC CO                               EQUITY 61945A107      57      3,878 SH       SOLE         1         3,878
MOTIVE INC                              EQUITY 61980V107      51     16,494 SH       SOLE         1        16,494
MOTOROLA INC                            EQUITY 620076109   48225  2,134,795 SH       DEFINED      2                2,134,795
MOTOROLA INC                            EQUITY 620076109   26308  1,164,605 SH       SOLE         1     1,164,605
MOVADO GROUP INC                        EQUITY 624580106     252     13,757 SH       SOLE         1        13,757
MOVIE GALLERY INC                       EQUITY 624581104     105     18,803 SH       SOLE         1        18,803
MPS GROUP INC                           EQUITY 553409103    3797    277,731 SH       SOLE         1       277,731
MRO SOFTWARE INC                        EQUITY 55347W105     211     15,009 SH       SOLE         1        15,009
MRV COMMUNICATIONS INC                  EQUITY 553477100     161     78,294 SH       SOLE         1        78,294
MSC INDL DIRECT INC                     EQUITY 553530106    4327    107,595 SH       SOLE         1       107,595
MTC TECHNOLOGIES INC                    EQUITY 55377A106     207      7,555 SH       SOLE         1         7,555
MTR GAMING GROUP INC                    EQUITY 553769100     182     17,525 SH       SOLE         1        17,525
MTS SYS CORP                            EQUITY 553777103     514     14,858 SH       SOLE         1        14,858
MUELLER INDS INC                        EQUITY 624756102     753     27,478 SH       SOLE         1        27,478
MULTI FINELINE ELECTRONIX IN            EQUITY 62541B101     559     11,600 SH       DEFINED      2                   11,600
MULTI FINELINE ELECTRONIX IN            EQUITY 62541B101     291      6,032 SH       SOLE         1         6,032
MULTIMEDIA GAMES INC                    EQUITY 625453105     190     20,588 SH       SOLE         1        20,588
MUNICIPAL HIGH INCOME FD INC            EQUITY 626214100     705     98,900 SH       SOLE         4        98,900
MUNICIPAL MTG & EQUITY L L C GROWTH     EQUITY 62624B101     555     21,490 SH       SOLE         1        21,490
MURPHY OIL CORP                         EQUITY 626717102      33        609 SH       DEFINED      2                      609
MURPHY OIL CORP                         EQUITY 626717102    1080     20,000 SH       SOLE         4        20,000
MURPHY OIL CORP                         EQUITY 626717102    7389    136,867 SH       SOLE         1       136,867
MWI VETERINARY SUPPLY INC               EQUITY 55402X105      93      3,592 SH       SOLE         1         3,592
MYERS INDS INC                          EQUITY 628464109     288     19,737 SH       SOLE         1        19,737
MYLAN LABS INC                          EQUITY 628530107      16        807 SH       DEFINED      2                      807
MYLAN LABS INC                          EQUITY 628530107    2037    102,056 SH       SOLE         1       102,056
MYOGEN INC                              EQUITY 62856E104     468     15,551 SH       SOLE         1        15,551
MYRIAD GENETICS INC                     EQUITY 62855J104     493     23,695 SH       SOLE         1        23,695
NABI BIOPHARMACEUTICALS                 EQUITY 629519109     149     44,180 SH       SOLE         1        44,180
NABORS INDUSTRIES LTD                   EQUITY G6359F103      44        582 SH       DEFINED      2                      582
NABORS INDUSTRIES LTD                   EQUITY G6359F103    6076     80,205 SH       SOLE         1        80,205
NACCO INDS INC                          EQUITY 629579103     456      3,896 SH       SOLE         1         3,896
NALCO HOLDING COMPANY                   EQUITY 62985Q101      32      1,806 SH       SOLE         1         1,806
NANOGEN INC                             EQUITY 630075109      95     36,328 SH       SOLE         1        36,328





                                                                                            
NARA BANCORP INC                        EQUITY 63080P105     249     14,004 SH       SOLE         1        14,004
NASB FINL INC                           EQUITY 628968109      90      2,294 SH       SOLE         1         2,294
NASDAQ 100 TR UNIT SER 1                EQUITY 631100104    9658    239,000 SH       SOLE         1       239,000
NASDAQ STOCK MARKET INC                 EQUITY 631103108    1179     33,509 SH       SOLE         1        33,509
NASH FINCH CO                           EQUITY 631158102     244      9,584 SH       SOLE         1         9,584
NASTECH PHARMACEUTICAL INC              EQUITY 631728409     228     15,476 SH       SOLE         1        15,476
NATCO GROUP INC                         EQUITY 63227W203    2437    119,100 SH       SOLE         3       119,100
NATIONAL BEVERAGE CORP                  EQUITY 635017106      55      5,647 SH       SOLE         1         5,647
NATIONAL CITY CORP                      EQUITY 635405103      68      2,034 SH       DEFINED      2                    2,034
NATIONAL CITY CORP                      EQUITY 635405103   12609    375,608 SH       SOLE         1       375,608
NATIONAL FINL PARTNERS CORP             EQUITY 63607P208    1391     26,479 SH       SOLE         1        26,479
NATIONAL FUEL GAS CO N J                EQUITY 636180101    6717    215,364 SH       SOLE         1       215,364
NATIONAL HEALTH INVS INC                EQUITY 63633D104     457     17,591 SH       SOLE         1        17,591
NATIONAL HEALTH REALTY INC              EQUITY 635905102     101      5,416 SH       SOLE         1         5,416
NATIONAL HEALTHCARE CORP                EQUITY 635906100     177      4,722 SH       SOLE         1         4,722
NATIONAL INSTRS CORP                    EQUITY 636518102    3548    110,697 SH       SOLE         1       110,697
NATIONAL INTERSTATE CORP                EQUITY 63654U100      64      3,378 SH       SOLE         1         3,378
NATIONAL OILWELL VARCO INC              EQUITY 637071101      40        642 SH       DEFINED      2                      642
NATIONAL OILWELL VARCO INC              EQUITY 637071101    2382     37,985 SH       SOLE         3        35,999             1,986
NATIONAL OILWELL VARCO INC              EQUITY 637071101    5069     80,849 SH       SOLE         1        80,849
NATIONAL PENN BANCSHARES INC            EQUITY 637138108     619     32,492 SH       SOLE         1        32,492
NATIONAL PRESTO INDS INC                EQUITY 637215104     158      3,552 SH       SOLE         1         3,552
NATIONAL SEMICONDUCTOR CORP             EQUITY 637640103   20718    797,469 SH       DEFINED      2                  797,469
NATIONAL SEMICONDUCTOR CORP             EQUITY 637640103    4126    158,817 SH       SOLE         1       158,817
NATIONAL WESTN LIFE INS CO              EQUITY 638522102     347      1,675 SH       SOLE         1         1,675
NATIONWIDE FINL SVCS INC                EQUITY 638612101   14036    319,000 SH       DEFINED      2                  319,000
NATIONWIDE FINL SVCS INC                EQUITY 638612101      76      1,717 SH       SOLE         1         1,717
NATIONWIDE HEALTH PPTYS INC             EQUITY 638620104    1078     50,378 SH       SOLE         1        50,378
NATURES SUNSHINE PRODUCTS IN            EQUITY 639027101     152      8,412 SH       SOLE         1         8,412
NAUTILUS INC                            EQUITY 63910B102     466     24,995 SH       SOLE         1        24,995
NAVARRE CORP                            EQUITY 639208107     106     19,233 SH       SOLE         1        19,233
NAVIGANT CONSULTING INC                 EQUITY 63935N107    3002    136,601 SH       SOLE         1       136,601
NAVIGATORS GROUP INC                    EQUITY 638904102     298      6,844 SH       SOLE         1         6,844
NAVISTAR INTL CORP                      EQUITY 63934E108       7        228 SH       DEFINED      2                      228
NAVISTAR INTL CORP                      EQUITY 63934E108    1713     59,863 SH       SOLE         1        59,863
NAVTEQ CORP                             EQUITY 63936L100      86      1,958 SH       SOLE         1         1,958
NBC CAP CORP                            EQUITY 628729105     124      5,205 SH       SOLE         1         5,205
NBT BANCORP INC                         EQUITY 628778102     525     24,338 SH       SOLE         1        24,338
NBTY INC                                EQUITY 628782104     679     41,769 SH       SOLE         1        41,769
NCI BUILDING SYS INC                    EQUITY 628852105     664     15,620 SH       SOLE         1        15,620
NCO GROUP INC                           EQUITY 628858102     408     24,093 SH       SOLE         1        24,093
NCR CORP                                EQUITY 62886E108      23        678 SH       DEFINED      2                      678
NCR CORP                                EQUITY 62886E108    2926     86,197 SH       SOLE         1        86,197
NDCHEALTH CORP                          EQUITY 639480102     521     27,070 SH       SOLE         1        27,070
NDS GROUP PLC                           EQUITY 628891103   11893    289,010 SH       SOLE         1       289,010
NEENAH PAPER INC                        EQUITY 640079109     310     11,085 SH       SOLE         1        11,085
NEKTAR THERAPEUTICS                     EQUITY 640268108    1050     63,792 SH       SOLE         1        63,792
NELNET INC                              EQUITY 64031N108      16        403 SH       SOLE         1           403
NELSON THOMAS INC                       EQUITY 640376109     212      8,614 SH       SOLE         1         8,614
NEOPHARM INC                            EQUITY 640919106     139     12,907 SH       SOLE         1        12,907
NESS TECHNOLOGIES INC                   EQUITY 64104X108     153     14,242 SH       SOLE         1        14,242
NETBANK INC                             EQUITY 640933107     251     34,715 SH       SOLE         1        34,715
NETEASE COM INC                         EQUITY 64110W102    2210     39,360 SH       SOLE         1        39,360
NETFLIX COM INC                         EQUITY 64110L106     319     11,800 SH       DEFINED      2                   11,800
NETFLIX COM INC                         EQUITY 64110L106     744     27,497 SH       SOLE         1        27,497
NETGEAR INC                             EQUITY 64111Q104     460     23,889 SH       SOLE         1        23,889
NETIQ CORP                              EQUITY 64115P102     489     39,794 SH       SOLE         1        39,794
NETLOGIC MICROSYSTEMS INC               EQUITY 64118B100     327     12,000 SH       DEFINED      2                   12,000
NETLOGIC MICROSYSTEMS INC               EQUITY 64118B100    3201    117,500 SH       SOLE         3       117,500
NETLOGIC MICROSYSTEMS INC               EQUITY 64118B100    1210     44,409 SH       SOLE         1        44,409
NETRATINGS INC                          EQUITY 64116M108     132     10,672 SH       SOLE         1        10,672
NETSCOUT SYS INC                        EQUITY 64115T104      97     17,777 SH       SOLE         1        17,777
NETSMART TECHNOLOGIES INC               EQUITY 64114W306    1561    123,800 SH       SOLE         3       123,800
NETWORK APPLIANCE INC                   EQUITY 64120L104    3223    119,374 SH       DEFINED      2                  119,374





                                                                                            
NETWORK APPLIANCE INC                   EQUITY 64120L104    5343    197,873 SH       SOLE         1       197,873
NEUROCRINE BIOSCIENCES INC              EQUITY 64125C109    2133     34,000 SH       DEFINED      2                   34,000
NEUROCRINE BIOSCIENCES INC              EQUITY 64125C109    3500     55,789 SH       SOLE         3        53,552             2,237
NEUROCRINE BIOSCIENCES INC              EQUITY 64125C109    1726     27,510 SH       SOLE         1        27,510
NEUROGEN CORP                           EQUITY 64124E106     112     17,060 SH       SOLE         1        17,060
NEUROMETRIX INC                         EQUITY 641255104     117      4,291 SH       SOLE         1         4,291
NEUSTAR INC                             EQUITY 64126X201     677     22,200 SH       DEFINED      2                   22,200
NEUSTAR INC                             EQUITY 64126X201     553     18,126 SH       SOLE         1        18,126
NEVSUN RES LTD                          EQUITY 64156L101    1163    645,500 SH       DEFINED      1             0    645,500
NEW CENTURY FINANCIAL CORP M            EQUITY 6435EV108    9599    266,121 SH       SOLE         1       266,121
NEW JERSEY RES                          EQUITY 646025106     863     20,598 SH       SOLE         1        20,598
NEW PLAN EXCEL RLTY TR INC              EQUITY 648053106   16937    730,665 SH       SOLE         1       730,665
NEW RIV PHARMACEUTICALS INC             EQUITY 648468205     353      6,800 SH       DEFINED      2                    6,800
NEW RIV PHARMACEUTICALS INC             EQUITY 648468205     236      4,552 SH       SOLE         1         4,552
NEW YORK & CO INC                       EQUITY 649295102     208      9,790 SH       SOLE         1         9,790
NEW YORK CMNTY BANCORP INC              EQUITY 649445103   12494    756,322 SH       SOLE         1       756,322
NEW YORK CMNTY CAP TR V BONUSES         BONDS  64944P307    1074     23,000 SH       SOLE         1        23,000
NEW YORK TIMES CO                       EQUITY 650111107      14        537 SH       DEFINED      2                      537
NEW YORK TIMES CO                       EQUITY 650111107    1803     68,163 SH       SOLE         1        68,163
NEWALLIANCE BANCSHARES INC              EQUITY 650203102    1246     85,711 SH       SOLE         1        85,711
NEWCASTLE INVT CORP                     EQUITY 65105M108    4473    179,989 SH       SOLE         1       179,989
NEWELL RUBBERMAID INC                   EQUITY 651229106      24      1,017 SH       DEFINED      2                    1,017
NEWELL RUBBERMAID INC                   EQUITY 651229106    5882    247,354 SH       SOLE         1       247,354
NEWFIELD EXPL CO                        EQUITY 651290108   12739    254,433 SH       SOLE         1       254,433
NEWKIRK REALTY TR INC                   EQUITY 651497109      17      1,077 SH       SOLE         1         1,077
NEWMARKET CORP                          EQUITY 651587107     312     12,774 SH       SOLE         1        12,774
NEWMONT MINING CORP                     EQUITY 651639106      88      1,650 SH       DEFINED      2                    1,650
NEWMONT MINING CORP                     EQUITY 651639106   10487    196,380 SH       SOLE         1       196,380
NEWPARK RES INC                         EQUITY 651718504     482     63,214 SH       SOLE         1        63,214
NEWPORT CORP                            EQUITY 651824104    1444    106,671 SH       SOLE         1       106,671
NEWS CORP                               EQUITY 65248E104     140      8,982 SH       DEFINED      2                    8,982
NEWS CORP                               EQUITY 65248E104   21351  1,373,028 SH       SOLE         1     1,373,028
NEWTEK BUSINESS SVCS INC                EQUITY 652526104    1563    809,726 SH       SOLE         1       809,726
NEXEN INC                               EQUITY 65334H102    6222    130,900 SH       DEFINED      1             0    130,900
NEXTEL PARTNERS INC                     EQUITY 65333F107      93      3,329 SH       SOLE         1         3,329
NGP CAP RES CO                          EQUITY 62912R107     172     13,064 SH       SOLE         1        13,064
NIC INC                                 EQUITY 62914B100     155     25,156 SH       SOLE         1        25,156
NICOR INC                               EQUITY 654086107       6        162 SH       DEFINED      2                      162
NICOR INC                               EQUITY 654086107     786     20,000 SH       SOLE         4        20,000
NICOR INC                               EQUITY 654086107    2071     52,682 SH       SOLE         1        52,682
NII HLDGS INC                           EQUITY 62913F201    6133    140,400 SH       DEFINED      2                  140,400
NII HLDGS INC                           EQUITY 62913F201     523     11,979 SH       SOLE         1        11,979
NIKE INC                                EQUITY 654106103   72383    834,002 SH       DEFINED      2                  834,002
NIKE INC                                EQUITY 654106103   18709    215,569 SH       SOLE         1       215,569
NISOURCE INC                            EQUITY 65473P105      21      1,005 SH       DEFINED      2                    1,005
NISOURCE INC                            EQUITY 65473P105    5034    241,336 SH       SOLE         1       241,336
NITROMED INC                            EQUITY 654798503     172     12,341 SH       SOLE         1        12,341
NL INDS INC                             EQUITY 629156407      83      5,887 SH       SOLE         1         5,887
NN INC                                  EQUITY 629337106     135     12,697 SH       SOLE         1        12,697
NOBLE CORPORATION                       EQUITY G65422100      36        504 SH       DEFINED      2                      504
NOBLE CORPORATION                       EQUITY G65422100   12595    178,558 SH       SOLE         1       178,558
NOBLE ENERGY INC                        EQUITY 655044105   14140    350,865 SH       SOLE         1       350,865
NOBLE INTL LTD                          EQUITY 655053106     116      5,581 SH       SOLE         1         5,581
NOKIA CORP                              EQUITY 654902204   58659  3,205,400 SH       DEFINED      2                3,205,400
NOKIA CORP                              EQUITY 654902204   30170  1,648,620 SH       SOLE         1     1,648,620
NORDIC AMERICAN TANKER SHIPP            EQUITY G65773106    3727    129,460 SH       SOLE         1       129,460
NORDSON CORP                            EQUITY 655663102    3375     83,307 SH       SOLE         1        83,307
NORDSTROM INC                           EQUITY 655664100      30        807 SH       DEFINED      2                      807
NORDSTROM INC                           EQUITY 655664100    3835    102,547 SH       SOLE         1       102,547
NORFOLK SOUTHERN CORP                   EQUITY 655844108   15489    345,500 SH       DEFINED      2                  345,500
NORFOLK SOUTHERN CORP                   EQUITY 655844108    2466     55,000 SH       SOLE         4        55,000
NORFOLK SOUTHERN CORP                   EQUITY 655844108    8558    190,898 SH       SOLE         1       190,898
NORTEL NETWORKS CORP                    EQUITY 656568102    5226  1,716,300 SH       DEFINED      1             0  1,716,300
NORTH FORK BANCORPORATION NY            EQUITY 659424105    3660    133,755 SH       DEFINED      2                  133,755





                                                                                            
NORTH FORK BANCORPORATION NY            EQUITY 659424105    6137    224,298 SH       SOLE         1       224,298
NORTH PITTSBURGH SYS INC                EQUITY 661562108     213     11,266 SH       SOLE         1        11,266
NORTHEAST UTILS                         EQUITY 664397106    5917    300,494 SH       SOLE         1       300,494
NORTHERN EMPIRE BANCSHARES              EQUITY 665112108     142      5,993 SH       SOLE         1         5,993
NORTHERN ORION RES INC                  EQUITY 665575106    2341    720,000 SH       DEFINED      1             0    720,000
NORTHERN TR CORP                        EQUITY 665859104      35        684 SH       DEFINED      2                      684
NORTHERN TR CORP                        EQUITY 665859104    9224    178,010 SH       SOLE         1       178,010
NORTHFIELD LABS INC                     EQUITY 666135108     236     17,631 SH       SOLE         1        17,631
NORTHROP GRUMMAN CORP                   EQUITY 666807102      79      1,311 SH       DEFINED      2                    1,311
NORTHROP GRUMMAN CORP                   EQUITY 666807102   17548    291,927 SH       SOLE         1       291,927
NORTHSTAR RLTY FIN CORP                 EQUITY 66704R100     146     14,360 SH       SOLE         1        14,360
NORTHWEST BANCORP INC PA                EQUITY 667328108     313     14,729 SH       SOLE         1        14,729
NORTHWEST NAT * GAS CO                  EQUITY 667655104     707     20,686 SH       SOLE         1        20,686
NORTHWESTERN CORP                       EQUITY 668074305     831     26,745 SH       SOLE         1        26,745
NOVARTIS A G                            EQUITY 66987V109    2624     50,000 SH       DEFINED      2                   50,000
NOVASTAR FINL INC                       EQUITY 669947400    1439     51,194 SH       SOLE         1        51,194
NOVATEL WIRELESS INC                    EQUITY 66987M604    3627    299,500 SH       SOLE         3       299,500
NOVATEL WIRELESS INC                    EQUITY 66987M604     264     21,792 SH       SOLE         1        21,792
NOVELL INC                              EQUITY 670006105      12      1,410 SH       DEFINED      2                    1,410
NOVELL INC                              EQUITY 670006105    1669    189,035 SH       SOLE         1       189,035
NOVELLUS SYS INC                        EQUITY 670008101      12        492 SH       DEFINED      2                      492
NOVELLUS SYS INC                        EQUITY 670008101    2446    101,423 SH       SOLE         1       101,423
NOVEN PHARMACEUTICALS INC               EQUITY 670009109     268     17,688 SH       SOLE         1        17,688
NPS PHARMACEUTICALS INC                 EQUITY 62936P103     351     29,653 SH       SOLE         1        29,653
NRG ENERGY INC                          EQUITY 629377508    6822    144,787 SH       SOLE         1       144,787
NS GROUP INC                            EQUITY 628916108     698     16,687 SH       SOLE         1        16,687
NSTAR                                   EQUITY 67019E107    6192    215,761 SH       SOLE         1       215,761
NTL INC DEL                             EQUITY 62940M104    1102     16,183 SH       SOLE         1        16,183
NTN COMMUNUNICATIONS INC                EQUITY 629410309      68     45,639 SH       SOLE         1        45,639
NU SKIN ENTERPRISES INC                 EQUITY 67018T105     743     42,258 SH       SOLE         1        42,258
NUANCE COMMUNICATIONS INC               EQUITY 67020Y100     655     85,804 SH       SOLE         1        85,804
NUCO2 INC                               EQUITY 629428103     225      8,055 SH       SOLE         1         8,055
NUCOR CORP                              EQUITY 670346105      38        573 SH       DEFINED      2                      573
NUCOR CORP                              EQUITY 670346105    7501    112,422 SH       SOLE         1       112,422
NUTRI SYS INC                           EQUITY 67069D108     245      6,800 SH       DEFINED      2                    6,800
NUTRI SYS INC                           EQUITY 67069D108     654     18,170 SH       SOLE         1        18,170
NUVASIVE INC                            EQUITY 670704105     208     11,470 SH       SOLE         1        11,470
NUVEEN INVTS INC                        EQUITY 67090F106      49      1,153 SH       SOLE         1         1,153
NUVELO INC                              EQUITY 67072M301     256     31,548 SH       SOLE         1        31,548
NVIDIA CORP                             EQUITY 67066G104      23        633 SH       DEFINED      2                      633
NVIDIA CORP                             EQUITY 67066G104    3264     89,285 SH       SOLE         1        89,285
NVR INC                                 EQUITY 62944T105      83        118 SH       SOLE         1           118
NXSTAGE MEDICAL INC                     EQUITY 67072V103       5        413 SH       SOLE         1           413
O CHARLEYS INC                          EQUITY 670823103     258     16,627 SH       SOLE         1        16,627
O REILLY AUTOMOTIVE INC                 EQUITY 686091109    7159    223,663 SH       SOLE         1       223,663
OAKLEY INC                              EQUITY 673662102     268     18,259 SH       SOLE         1        18,259
OCCIDENTAL PETE CORP * DEL              EQUITY 674599105     119      1,485 SH       DEFINED      2                    1,485
OCCIDENTAL PETE CORP * DEL              EQUITY 674599105   19526    222,103 SH       SOLE         1       222,103
OCEANEERING INTL INC                    EQUITY 675232102     970     19,491 SH       SOLE         1        19,491
OCEANFIRST FINL CORP                    EQUITY 675234108     153      6,740 SH       SOLE         1         6,740
OCTEL CORP                              EQUITY 675727101     152      9,359 SH       SOLE         1         9,359
OCWEN FINL CORP                         EQUITY 675746101     225     25,819 SH       SOLE         1        25,819
ODYSSEY HEALTHCARE INC                  EQUITY 67611V101     483     25,900 SH       SOLE         1        25,900
ODYSSEY MARINE EXPLORATION I            EQUITY 676118102      96     27,027 SH       SOLE         1        27,027
ODYSSEY RE HLDGS CORP                   EQUITY 67612W108     224      8,917 SH       SOLE         1         8,917
OFFICE DEPOT INC                        EQUITY 676220106      36      1,140 SH       DEFINED      2                    1,140
OFFICE DEPOT INC                        EQUITY 676220106    4563    145,325 SH       SOLE         1       145,325
OFFICEMAX INC DEL                       EQUITY 67622P101       7        261 SH       DEFINED      2                      261
OFFICEMAX INC DEL                       EQUITY 67622P101     846     33,345 SH       SOLE         1        33,345
OFFSHORE LOGISTICS INC                  EQUITY 676255102     511     17,505 SH       SOLE         1        17,505
OGE ENERGY CORP                         EQUITY 670837103    9029    337,017 SH       SOLE         1       337,017
OHIO CAS CORP                           EQUITY 677240103    4894    172,825 SH       SOLE         1       172,825
OIL STS INTL INC                        EQUITY 678026105     968     30,542 SH       SOLE         1        30,542
OLD DOMINION FGHT LINES INC             EQUITY 679580100     570     21,152 SH       SOLE         1        21,152





                                                                                            
OLD NATL BANCORP IND                    EQUITY 680033107    1110     51,295 SH       SOLE         1        51,295
OLD REP INTL CORP                       EQUITY 680223104   25837    983,888 SH       SOLE         1       983,888
OLD SECOND BANCORP INC ILL              EQUITY 680277100     310     10,133 SH       SOLE         1        10,133
OLIN CORP                               EQUITY 680665205    3840    195,137 SH       SOLE         1       195,137
OM GROUP INC                            EQUITY 670872100     401     21,383 SH       SOLE         1        21,383
OMEGA FINL CORP                         EQUITY 682092101     264      9,461 SH       SOLE         1         9,461
OMEGA FLEX INC                          EQUITY 682095104      46      2,637 SH       SOLE         1         2,637
OMEGA HEALTHCARE INVS INC               EQUITY 681936100     487     38,657 SH       SOLE         1        38,657
OMNICARE INC                            EQUITY 681904108     286      5,000 SH       DEFINED      2                    5,000
OMNICARE INC                            EQUITY 681904108   13668    238,873 SH       SOLE         1       238,873
OMNICOM GROUP INC                       EQUITY 681919106   24659    289,666 SH       DEFINED      2                  289,666
OMNICOM GROUP INC                       EQUITY 681919106    7221     84,822 SH       SOLE         1        84,822
OMNIVISION TECHNOLOGIES INC             EQUITY 682128103     852     42,706 SH       SOLE         1        42,706
ON SEMICONDUCTOR CORP                   EQUITY 682189105     594    107,498 SH       SOLE         1       107,498
ONE LIBERTY PPTYS INC                   EQUITY 682406103     106      5,773 SH       SOLE         1         5,773
ONEOK INC                               EQUITY 682680103    5221    196,069 SH       SOLE         1       196,069
ONLINE RES CORP                         EQUITY 68273G101     175     15,863 SH       SOLE         1        15,863
ONYX PHARMACEUTICALS INC                EQUITY 683399109    1800     62,600 SH       DEFINED      2                   62,600
ONYX PHARMACEUTICALS INC                EQUITY 683399109     774     26,863 SH       SOLE         1        26,863
OPEN JT STK CO-VIMPEL COMMUN            EQUITY 68370R109   10824    244,720 SH       SOLE         1       244,720
OPEN SOLUTIONS INC                      EQUITY 68371P102     336     14,650 SH       SOLE         1        14,650
OPENWAVE SYS INC                        EQUITY 683718308    7889    451,600 SH       DEFINED      2                  451,600
OPENWAVE SYS INC                        EQUITY 683718308     908     51,974 SH       SOLE         1        51,974
OPLINK COMMUNICATIONS INC               EQUITY 68375Q403     160     11,022 SH       SOLE         1        11,022
OPSWARE INC                             EQUITY 68383A101     380     55,961 SH       SOLE         1        55,961
OPTICAL COMMUNICATION PRODS             EQUITY 68382T101      26     11,241 SH       SOLE         1        11,241
OPTION CARE INC                         EQUITY 683948103     217     16,258 SH       SOLE         1        16,258
OPTIONSXPRESS HLDGS INC                 EQUITY 684010101     290     11,800 SH       DEFINED      2                   11,800
OPTIONSXPRESS HLDGS INC                 EQUITY 684010101     380     15,479 SH       SOLE         1        15,479
ORACLE CORP                             EQUITY 68389X105   18397  1,506,684 SH       DEFINED      2                1,506,684
ORACLE CORP                             EQUITY 68389X105   46675  3,822,692 SH       SOLE         1     3,822,692
ORASURE TECHNOLOGIES INC                EQUITY 68554V108     296     33,555 SH       SOLE         1        33,555
ORBITAL SCIENCES CORP                   EQUITY 685564106     754     58,687 SH       SOLE         1        58,687
ORCHID CELLMARK INC                     EQUITY 68573C107     140     18,368 SH       SOLE         1        18,368
OREGON STL MLS INC                      EQUITY 686079104     783     26,601 SH       SOLE         1        26,601
ORIENTAL FINL GROUP INC                 EQUITY 68618W100     197     15,912 SH       SOLE         1        15,912
ORIGEN FINL INC                         EQUITY 68619E208      92     12,871 SH       SOLE         1        12,871
ORLEANS HOMEBUILDERS INC                EQUITY 686588104      57      3,079 SH       SOLE         1         3,079
ORMAT TECHNOLOGIES INC                  EQUITY 686688102     141      5,402 SH       SOLE         1         5,402
OSCIENT PHARMACEUTICALS CORP            EQUITY 68812R105    1348    593,768 SH       SOLE         1       593,768
OSHKOSH TRUCK CORP                      EQUITY 688239201     446     10,000 SH       DEFINED      2                   10,000
OSHKOSH TRUCK CORP                      EQUITY 688239201    1353     30,347 SH       SOLE         1        30,347
OSI PHARMACEUTICALS INC                 EQUITY 671040103      33      1,178 SH       SOLE         1         1,178
OSI SYSTEMS INC                         EQUITY 671044105     208     11,292 SH       SOLE         1        11,292
OTTER TAIL CORP                         EQUITY 689648103     634     21,893 SH       SOLE         1        21,893
OUTBACK STEAKHOUSE INC                  EQUITY 689899102    5464    131,323 SH       SOLE         1       131,323
OUTDOOR CHANNEL HLDGS INC               EQUITY 690027206      76      5,653 SH       SOLE         1         5,653
OUTLOOK GROUP CORP                      EQUITY 690113105     478     43,300 SH       SOLE         3        43,300
OVERSEAS SHIPHOLDING GROUP I            EQUITY 690368105    2998     59,493 SH       SOLE         1        59,493
OVERSTOCK COM INC DEL                   EQUITY 690370101     221      7,860 SH       SOLE         1         7,860
OWENS & MINOR INC                       EQUITY 690732102     821     29,804 SH       SOLE         1        29,804
OWENS ILL INC                           EQUITY 690768403      96      4,580 SH       SOLE         1         4,580
OXFORD INDS INC                         EQUITY 691497309     459      8,400 SH       DEFINED      2                    8,400
OXFORD INDS INC                         EQUITY 691497309     574     10,487 SH       SOLE         1        10,487
P A M TRANSN SVCS INC                   EQUITY 693149106      83      4,651 SH       SOLE         1         4,651
P F CHANGS CHINA BISTRO INC             EQUITY 69333Y108     974     19,628 SH       SOLE         1        19,628
PACCAR INC                              EQUITY 693718108      43        624 SH       DEFINED      2                      624
PACCAR INC                              EQUITY 693718108   22256    321,482 SH       SOLE         1       321,482
PACER INTL INC TENN                     EQUITY 69373H106     731     28,043 SH       SOLE         1        28,043
PACIFIC CAP BANCORP                     EQUITY 69404P101    1225     34,407 SH       SOLE         1        34,407
PACIFIC ETHANOL INC                     EQUITY 69423U107      25      2,322 SH       SOLE         1         2,322
PACIFIC SUNWEAR CALIF INC               EQUITY 694873100    5068    203,385 SH       SOLE         1       203,385
PACKAGING CORP AMER                     EQUITY 695156109    4160    181,265 SH       SOLE         1       181,265
PACKETEER INC                           EQUITY 695210104     198     25,441 SH       SOLE         1        25,441





                                                                                            
PACTIV CORP                             EQUITY 695257105      12        528 SH       DEFINED      2                      528
PACTIV CORP                             EQUITY 695257105    1865     84,759 SH       SOLE         1        84,759
PAIN THERAPEUTICS INC                   EQUITY 69562K100     142     20,969 SH       SOLE         1        20,969
PAINCARE HLDGS INC                      EQUITY 69562E104     107     32,669 SH       SOLE         1        32,669
PALL CORP                               EQUITY 696429307      12        459 SH       DEFINED      2                      459
PALL CORP                               EQUITY 696429307    1571     58,506 SH       SOLE         1        58,506
PALM * ALM INC                          EQUITY 696643105     997     31,360 SH       SOLE         1        31,360
PALM HARBOR HOMES                       EQUITY 696639103     135      7,165 SH       SOLE         1         7,165
PALOMAR MED TECHNOLOGIES INC            EQUITY 697529303     294      8,400 SH       DEFINED      2                    8,400
PALOMAR MED TECHNOLOGIES INC            EQUITY 697529303     444     12,667 SH       SOLE         1        12,667
PAN PACIFIC RETAIL PPTYS INC            EQUITY 69806L104      82      1,223 SH       SOLE         1         1,223
PANAMSAT HLDG CORP                      EQUITY 69831Y105      32      1,312 SH       SOLE         1         1,312
PANERA BREAD CO                         EQUITY 69840W108      38        581 SH       SOLE         1           581
PANTRY INC                              EQUITY 698657103     554     11,800 SH       DEFINED      2                   11,800
PANTRY INC                              EQUITY 698657103     600     12,768 SH       SOLE         1        12,768
PAPA JOHNS INTL INC                     EQUITY 698813102     483      8,147 SH       SOLE         1         8,147
PAR PHARMACEUTICAL COS INC              EQUITY 69888P106    5767    184,000 SH       DEFINED      2                  184,000
PAR PHARMACEUTICAL COS INC              EQUITY 69888P106    2926     93,371 SH       SOLE         1        93,371
PAR TECHNOLOGY CORP                     EQUITY 698884103      84      3,018 SH       SOLE         1         3,018
PARALLEL PETE CORP DEL                  EQUITY 699157103     435     25,547 SH       SOLE         1        25,547
PARAMETRIC TECHNOLOGY CORP              EQUITY 699173100    7482  1,226,605 SH       DEFINED      2                1,226,605
PARAMETRIC TECHNOLOGY CORP              EQUITY 699173100    1975    323,820 SH       SOLE         1       323,820
PAREXEL INTL CORP                       EQUITY 699462107     397     19,597 SH       SOLE         1        19,597
PARK ELECTROCHEMICAL CORP               EQUITY 700416209     390     15,001 SH       SOLE         1        15,001
PARK NATL CORP                          EQUITY 700658107     937      9,132 SH       SOLE         1         9,132
PARKER DRILLING CO                      EQUITY 701081101     273     25,200 SH       DEFINED      2                   25,200
PARKER DRILLING CO                      EQUITY 701081101     778     71,879 SH       SOLE         1        71,879
PARKER HANNIFIN CORP                    EQUITY 701094104      29        441 SH       DEFINED      2                      441
PARKER HANNIFIN CORP                    EQUITY 701094104    9593    145,436 SH       SOLE         1       145,436
PARKWAY PPTYS INC                       EQUITY 70159Q104    2425     60,415 SH       SOLE         1        60,415
PARLUX FRAGRANCES INC                   EQUITY 701645103     143      4,682 SH       SOLE         1         4,682
PARTNERS TR FINL GROUP INC N            EQUITY 70213F102     452     37,476 SH       SOLE         1        37,476
PATHMARK STORES INC                     EQUITY 70322A101     376     37,600 SH       SOLE         1        37,600
PATTERSON COMPANIES INC                 EQUITY 703395103      17        510 SH       DEFINED      2                      510
PATTERSON COMPANIES INC                 EQUITY 703395103    2407     72,079 SH       SOLE         1        72,079
PATTERSON UTI ENERGY INC                EQUITY 703481101    1621     49,200 SH       DEFINED      2                   49,200
PATTERSON UTI ENERGY INC                EQUITY 703481101   11745    356,464 SH       SOLE         1       356,464
PAXAR CORP                              EQUITY 704227107     517     26,348 SH       SOLE         1        26,348
PAYCHEX INC                             EQUITY 704326107    8003    209,930 SH       DEFINED      2                  209,930
PAYCHEX INC                             EQUITY 704326107    1353     35,500 SH       SOLE         3        33,300             2,200
PAYCHEX INC                             EQUITY 704326107    6718    176,227 SH       SOLE         1       176,227
PAYLESS * YLESS SHOESOURCE INC          EQUITY 704379106    4669    186,018 SH       SOLE         1       186,018
PDF SOLUTIONS INC                       EQUITY 693282105     225     13,847 SH       SOLE         1        13,847
PEABODY ENERGY CORP                     EQUITY 704549104    4731     57,400 SH       DEFINED      2                   57,400
PEABODY ENERGY CORP                     EQUITY 704549104   21655    262,739 SH       SOLE         1       262,739
PEAPACK-GLADSTONE FINL CORP             EQUITY 704699107     174      6,231 SH       SOLE         1         6,231
PEDIATRIX MED GROUP                     EQUITY 705324101    3986     45,000 SH       DEFINED      2                   45,000
PEDIATRIX MED GROUP                     EQUITY 705324101    1534     17,323 SH       SOLE         1        17,323
PEETS COFFEE & TEA INC                  EQUITY 705560100     311     10,246 SH       SOLE         1        10,246
PEGASUS SOLUTIONS INC                   EQUITY 705906105     139     15,546 SH       SOLE         1        15,546
PEGASYSTEMS INC                         EQUITY 705573103      72      9,898 SH       SOLE         1         9,898
PENN NATL GAMING INC                    EQUITY 707569109     336     10,200 SH       DEFINED      2                   10,200
PENN NATL GAMING INC                    EQUITY 707569109      49      1,489 SH       SOLE         1         1,489
PENN VA CORP                            EQUITY 707882106     798     13,897 SH       SOLE         1        13,897
PENNEY J C INC                          EQUITY 708160106      48        858 SH       DEFINED      2                      858
PENNEY J C INC                          EQUITY 708160106   10565    190,010 SH       SOLE         1       190,010
PENNFED FINL SVCS INC                   EQUITY 708167101     126      6,842 SH       SOLE         1         6,842
PENNSYLVANIA COMM BANCORP IN            EQUITY 708677109     105      3,306 SH       SOLE         1         3,306
PENNSYLVANIA RL ESTATE INVT SH BEN INT  EQUITY 709102107    1023     27,390 SH       SOLE         1        27,390
PENTAIR INC                             EQUITY 709631105    6988    202,433 SH       SOLE         1       202,433
PENWEST PHARMACEUTICALS CO              EQUITY 709754105     318     16,312 SH       SOLE         1        16,312
PEOPLES BANCORP INC                     EQUITY 709789101     200      7,023 SH       SOLE         1         7,023
PEOPLES BK BRIDGEPORT CONN              EQUITY 710198102      41      1,316 SH       SOLE         1         1,316
PEOPLES ENERGY CORP                     EQUITY 711030106       5        141 SH       DEFINED      2                      141





                                                                                            
PEOPLES ENERGY CORP                     EQUITY 711030106    1593     45,431 SH       SOLE         1        45,431
PEOPLESUPPORT INC                       EQUITY 712714302    1737    204,600 SH       DEFINED      2                  204,600
PEOPLESUPPORT INC                       EQUITY 712714302     580     68,288 SH       SOLE         1        68,288
PEP BOYS MANNY MOE & JACK               EQUITY 713278109     618     41,505 SH       SOLE         1        41,505
PEPCO HOLDINGS INC                      EQUITY 713291102   13503    603,611 SH       SOLE         1       603,611
PEPSI BOTTLING GROUP INC                EQUITY 713409100      15        507 SH       DEFINED      2                      507
PEPSI BOTTLING GROUP INC                EQUITY 713409100    1839     64,278 SH       SOLE         1        64,278
PEPSIAMERICAS INC                       EQUITY 71343P200    2874    123,548 SH       SOLE         1       123,548
PEPSICO INC                             EQUITY 713448108   41453    701,650 SH       DEFINED      2                  701,650
PEPSICO INC                             EQUITY 713448108    1772     30,000 SH       SOLE         4        30,000
PEPSICO INC                             EQUITY 713448108  118986  2,013,988 SH       SOLE         1     2,013,988
PERFICIENT INC                          EQUITY 71375U101     153     17,200 SH       DEFINED      2                   17,200
PERFICIENT INC                          EQUITY 71375U101    2106    236,400 SH       SOLE         3       236,400
PERFORMANCE FOOD GROUP CO               EQUITY 713755106     981     34,589 SH       SOLE         1        34,589
PERICOM SEMICONDUCTOR CORP              EQUITY 713831105     158     19,810 SH       SOLE         1        19,810
PERINI CORP                             EQUITY 713839108   58140  2,407,456 SH       SOLE         1     2,407,456
PERKINELMER INC                         EQUITY 714046109      11        483 SH       DEFINED      2                      483
PERKINELMER INC                         EQUITY 714046109    1439     61,063 SH       SOLE         1        61,063
PEROT SYS CORP                          EQUITY 714265105     869     61,483 SH       SOLE         1        61,483
PERRIGO CO                              EQUITY 714290103    3391    227,448 SH       SOLE         1       227,448
PER-SE TECHNOLOGIES INC                 EQUITY 713569309     403     17,273 SH       SOLE         1        17,273
PETCO ANIMAL SUPPLIES                   EQUITY 716016209     949     43,251 SH       SOLE         1        43,251
PETRO-CDA                               EQUITY 71644E102    3897     97,400 SH       DEFINED      1             0     97,400
PETROHAWK ENERGY CORP                   EQUITY 716495106     503     38,075 SH       SOLE         1        38,075
PETROLEO BRASILEIRO SA PETRO            EQUITY 71654V408   15716    220,510 SH       SOLE         1       220,510
PETROLEUM DEV CORP                      EQUITY 716578109     415     12,455 SH       SOLE         1        12,455
PETROQUEST ENERGY INC                   EQUITY 716748108     253     30,582 SH       SOLE         1        30,582
PETSMART * INC                          EQUITY 716768106    7432    289,621 SH       SOLE         1       289,621
PFF BANCORP INC                         EQUITY 69331W104     445     14,589 SH       SOLE         1        14,589
PFIZER INC                              EQUITY 717081103   20660    885,956 SH       DEFINED      2                  885,956
PFIZER INC                              EQUITY 717081103    1166     50,000 SH       SOLE         4        50,000
PFIZER INC                              EQUITY 717081103  161826  6,939,367 SH       SOLE         1     6,939,367
PG&E CORP                               EQUITY 69331C108      47      1,266 SH       DEFINED      2                    1,266
PG&E CORP                               EQUITY 69331C108    9609    258,870 SH       SOLE         1       258,870
PHARMACEUTICAL PROD DEV INC             EQUITY 717124101      73      1,172 SH       SOLE         1         1,172
PHARMION CORP                           EQUITY 71715B409     327     18,422 SH       SOLE         1        18,422
PHASE FORWARD INC                       EQUITY 71721R406    3743    383,900 SH       SOLE         3       383,900
PHASE FORWARD INC                       EQUITY 71721R406     162     16,593 SH       SOLE         1        16,593
PHELPS DODGE CORP                       EQUITY 717265102   24167    167,975 SH       DEFINED      2                  167,975
PHELPS DODGE CORP                       EQUITY 717265102   13701     95,235 SH       SOLE         1        95,235
PHH CORP                                EQUITY 693320202    1106     39,470 SH       SOLE         1        39,470
PHILADELPHIA CONS HLDG CORP             EQUITY 717528103      38        395 SH       SOLE         1           395
PHILLIPS VAN HEUSEN CORP                EQUITY 718592108     376     11,600 SH       DEFINED      2                   11,600
PHILLIPS VAN HEUSEN CORP                EQUITY 718592108     788     24,332 SH       SOLE         1        24,332
PHOENIX COS INC                         EQUITY 71902E109     973     71,333 SH       SOLE         1        71,333
PHOENIX TECHNOLOGY LTD                  EQUITY 719153108     117     18,664 SH       SOLE         1        18,664
PHOTON DYNAMICS INC                     EQUITY 719364101     232     12,699 SH       SOLE         1        12,699
PHOTRONICS INC                          EQUITY 719405102     452     30,007 SH       SOLE         1        30,007
PICO HLDGS INC                          EQUITY 693366205     207      6,415 SH       SOLE         1         6,415
PIEDMONT NAT GAS INC                    EQUITY 720186105      56      2,308 SH       SOLE         1         2,308
PIER 1 IMPORTS INC                      EQUITY 720279108    2061    236,052 SH       SOLE         1       236,052
PIKE ELEC CORP                          EQUITY 721283109     164     10,133 SH       SOLE         1        10,133
PILGRIMS PRIDE CORP                     EQUITY 721467108      15        452 SH       SOLE         1           452
PINNACLE AIRL CORP                      EQUITY 723443107      97     14,554 SH       SOLE         1        14,554
PINNACLE ENTMT INC                      EQUITY 723456109     752     30,416 SH       SOLE         1        30,416
PINNACLE FINL PARTNERS INC              EQUITY 72346Q104     136      5,460 SH       SOLE         1         5,460
PINNACLE WEST CAP CORP                  EQUITY 723484101      15        366 SH       DEFINED      2                      366
PINNACLE WEST CAP CORP                  EQUITY 723484101    1931     46,702 SH       SOLE         1        46,702
PIONEER COS INC                         EQUITY 723643300     254      8,472 SH       SOLE         1         8,472
PIONEER DRILLING CO                     EQUITY 723655106     305     17,000 SH       DEFINED      2                   17,000
PIONEER DRILLING CO                     EQUITY 723655106    4447    248,000 SH       SOLE         3       248,000
PIONEER DRILLING CO                     EQUITY 723655106     266     14,811 SH       SOLE         1        14,811
PIONEER NAT RES CO                      EQUITY 723787107   13507    263,447 SH       SOLE         1       263,447
PIPER JAFFRAY COS                       EQUITY 724078100     623     15,420 SH       SOLE         1        15,420





                                                                                            
PITNEY BOWES INC                        EQUITY 724479100      36        843 SH       DEFINED      2                      843
PITNEY BOWES INC                        EQUITY 724479100    4488    106,235 SH       SOLE         1       106,235
PIXAR                                   EQUITY 725811103     461      8,746 SH       SOLE         1         8,746
PIXELWORKS INC                          EQUITY 72581M107     177     34,910 SH       SOLE         1        34,910
PLACER SIERRA BANCSHARES                EQUITY 726079106     140      5,036 SH       SOLE         1         5,036
PLAINS EXPL& PRODTN CO                  EQUITY 726505100    6225    156,673 SH       SOLE         1       156,673
PLANTRONICS INC                         EQUITY 727493108    3691    130,435 SH       SOLE         1       130,435
PLAYBOY ENTERPRISES INC                 EQUITY 728117300     213     15,366 SH       SOLE         1        15,366
PLAYTEX PRODS INC                       EQUITY 72813P100     415     30,361 SH       SOLE         1        30,361
PLEXUS CORP                             EQUITY 729132100    2700    118,754 SH       SOLE         1       118,754
PLUG POWER INC                          EQUITY 72919P103     195     37,925 SH       SOLE         1        37,925
PLUM CREEK TIMBER CO INC                EQUITY 729251108      24        678 SH       DEFINED      2                      678
PLUM CREEK TIMBER CO INC                EQUITY 729251108    3121     86,582 SH       SOLE         1        86,582
PLX TECHNOLOGY * INC                    EQUITY 693417107     150     17,493 SH       SOLE         1        17,493
PMA CAP CORP                            EQUITY 693419202     218     23,903 SH       SOLE         1        23,903
PMC-SIERRA INC                          EQUITY 69344F106       5        675 SH       DEFINED      2                      675
PMC-SIERRA INC                          EQUITY 69344F106    1667    216,153 SH       SOLE         1       216,153
PMI GROUP INC                           EQUITY 69344M101    7389    179,914 SH       SOLE         1       179,914
PNC FINL SVCS GROUP INC                 EQUITY 693475105      67      1,080 SH       DEFINED      2                    1,080
PNC FINL SVCS GROUP INC                 EQUITY 693475105    7969    128,890 SH       SOLE         1       128,890
PNM RES INC                             EQUITY 69349H107    3850    147,969 SH       SOLE         1       147,969
POGO PRODUCING CO                       EQUITY 730448107    5989    120,236 SH       SOLE         1       120,236
POLARIS INDS INC                        EQUITY 731068102      47        937 SH       SOLE         1           937
POLO RALPH LAUREN CORP                  EQUITY 731572103    1838     32,737 SH       SOLE         3        30,744             1,993
POLO RALPH LAUREN CORP                  EQUITY 731572103    6831    121,672 SH       SOLE         1       121,672
POLYCOM INC                             EQUITY 73172K104    3972    259,588 SH       SOLE         1       259,588
POLYMEDICA CORP                         EQUITY 731738100     606     18,096 SH       SOLE         1        18,096
POLYONE CORP                            EQUITY 73179P106     443     68,956 SH       SOLE         1        68,956
POPULAR INC                             EQUITY 733174106     170      8,036 SH       SOLE         1         8,036
PORTALPLAYER INC                        EQUITY 736187204     464     16,400 SH       DEFINED      2                   16,400
PORTALPLAYER INC                        EQUITY 736187204    3871    136,700 SH       SOLE         3       136,700
PORTALPLAYER INC                        EQUITY 736187204     325     11,459 SH       SOLE         1        11,459
PORTEC TEC RAIL PRODS INC               EQUITY 736212101    2534    193,283 SH       SOLE         3       193,283
PORTFOLIO RECOVERY ASSOCS IN            EQUITY 73640Q105     543     11,698 SH       SOLE         1        11,698
POST PPTYS INC                          EQUITY 737464107    1196     29,932 SH       SOLE         1        29,932
POTLATCH CORP                           EQUITY 737628107    4050     79,447 SH       SOLE         1        79,447
POWELL INDS INC                         EQUITY 739128106      91      5,058 SH       SOLE         1         5,058
POWER INTEGRATIONS INC                  EQUITY 739276103     526     22,072 SH       SOLE         1        22,072
POWER-ONE INC                           EQUITY 739308104     337     55,994 SH       SOLE         1        55,994
POWERWAVE TECHNOLOGIES INC              EQUITY 739363109    2635    209,600 SH       SOLE         3       209,600
POWERWAVE TECHNOLOGIES INC              EQUITY 739363109    3777    300,507 SH       SOLE         1       300,507
POZEN INC                               EQUITY 73941U102     172     17,933 SH       SOLE         1        17,933
PPG INDS INC                            EQUITY 693506107      36        618 SH       DEFINED      2                      618
PPG INDS INC                            EQUITY 693506107    4631     79,982 SH       SOLE         1        79,982
PPL CORP                                EQUITY 69351T106      41      1,404 SH       DEFINED      2                    1,404
PPL CORP                                EQUITY 69351T106    8427    286,619 SH       SOLE         1       286,619
PRA INTL                                EQUITY 69353C101    2508     89,100 SH       SOLE         3        89,100
PRA INTL                                EQUITY 69353C101     237      8,434 SH       SOLE         1         8,434
PRAXAIR INC                             EQUITY 74005P104      63      1,191 SH       DEFINED      2                    1,191
PRAXAIR INC                             EQUITY 74005P104    7510    141,797 SH       SOLE         1       141,797
PRE PAID LEGAL SVCS INC                 EQUITY 740065107     280      7,337 SH       SOLE         1         7,337
PRECISION CASTPARTS CORP                EQUITY 740189105   13802    266,392 SH       SOLE         1       266,392
PREFERRED BK LOS ANGELES CA             EQUITY 740367107     138      3,103 SH       SOLE         1         3,103
PREFORMED LINE PRODS CO                 EQUITY 740444104      79      1,844 SH       SOLE         1         1,844
PREMIERE GLOBAL SVCS INC                EQUITY 740585104     439     54,049 SH       SOLE         1        54,049
PREMIERWEST BANCORP                     EQUITY 740921101     145     10,344 SH       SOLE         1        10,344
PREMIUM STD FARMS INC                   EQUITY 74060C105    3333    222,800 SH       DEFINED      2                  222,800
PREMIUM STD FARMS INC                   EQUITY 74060C105     110      7,382 SH       SOLE         1         7,382
PRENTISS PPTYS TR SH BEN INT            EQUITY 740706106    1380     33,929 SH       SOLE         1        33,929
PRESIDENTIAL LIFE CORP                  EQUITY 740884101     293     15,389 SH       SOLE         1        15,389
PRESSTEK INC                            EQUITY 741113104     198     21,951 SH       SOLE         1        21,951
PRESTIGE BRANDS HLDGS INC               EQUITY 74112D101     263     21,023 SH       SOLE         1        21,023
PRG-SCHULTZ INTERNATIONAL IN            EQUITY 69357C107      19     30,968 SH       SOLE         1        30,968
PRICE COMMUNICATIONS CORP               EQUITY 741437305     512     34,400 SH       SOLE         1        34,400





                                                                                            
PRICE T ROWE GROUP INC                  EQUITY 74144T108      35        483 SH       DEFINED      2                      483
PRICE T ROWE GROUP INC                  EQUITY 74144T108    4343     60,299 SH       SOLE         1        60,299
PRICELINE COM INC                       EQUITY 741503403     250     11,200 SH       DEFINED      2                   11,200
PRICELINE COM INC                       EQUITY 741503403     422     18,890 SH       SOLE         1        18,890
PRIDE INTL INC DEL                      EQUITY 74153Q102    9759    317,373 SH       SOLE         1       317,373
PRIMEDIA INC                            EQUITY 74157K101     178    110,813 SH       SOLE         1       110,813
PRINCIPAL FINANCIAL GROUP IN            EQUITY 74251V102      49      1,035 SH       DEFINED      2                    1,035
PRINCIPAL FINANCIAL GROUP IN            EQUITY 74251V102   18104    266,688 SH       SOLE         1       266,688
PRIVATEBANCORP INC                      EQUITY 742962103     442     12,432 SH       SOLE         1        12,432
PROASSURANCE CORP                       EQUITY 74267C106     399      8,200 SH       DEFINED      2                    8,200
PROASSURANCE CORP                       EQUITY 74267C106    1021     20,998 SH       SOLE         1        20,998
PROCTER & GAMBLE CO                     EQUITY 742718109   33981    587,096 SH       DEFINED      2                  587,096
PROCTER & GAMBLE CO                     EQUITY 742718109    1736     30,000 SH       SOLE         4        30,000
PROCTER & GAMBLE CO                     EQUITY 742718109  129383  2,235,372 SH       SOLE         1     2,235,372
PROGENICS PHARMACEUTICALS IN            EQUITY 743187106     375     15,011 SH       SOLE         1        15,011
PROGRESS ENERGY INC                     EQUITY 743263105      41        930 SH       DEFINED      2                      930
PROGRESS ENERGY INC                     EQUITY 743263105    1757     40,000 SH       SOLE         4        40,000
PROGRESS ENERGY INC                     EQUITY 743263105   18784    427,684 SH       SOLE         1       427,684
PROGRESS SOFTWARE CORP                  EQUITY 743312100     386     13,600 SH       DEFINED      2                   13,600
PROGRESS SOFTWARE CORP                  EQUITY 743312100     798     28,130 SH       SOLE         1        28,130
PROGRESSIVE CORP OHIO                   EQUITY 743315103      85        729 SH       DEFINED      2                      729
PROGRESSIVE CORP OHIO                   EQUITY 743315103   22217    190,243 SH       SOLE         1       190,243
PROLOGIS SH BEN INT                     EQUITY 743410102      42        900 SH       DEFINED      2                      900
PROLOGIS SH BEN INT                     EQUITY 743410102    5454    116,741 SH       SOLE         1       116,741
PROQUEST COMPANY                        EQUITY 74346P102     532     19,050 SH       SOLE         1        19,050
PROSPERITY BANCSHARES INC               EQUITY 743606105     462     16,058 SH       SOLE         1        16,058
PROTECTIVE LIFE CORP                    EQUITY 743674103    6119    139,795 SH       SOLE         1       139,795
PROTEIN DESIGN LABS INC                 EQUITY 74369L103     284     10,000 SH       DEFINED      2                   10,000
PROTEIN DESIGN LABS INC                 EQUITY 74369L103    6411    225,567 SH       SOLE         1       225,567
PROVIDE COMM INC                        EQUITY 74373W103     199      6,001 SH       SOLE         1         6,001
PROVIDENCE SVC CORP                     EQUITY 743815102     204      7,089 SH       SOLE         1         7,089
PROVIDENT  YORK BANCORP                 EQUITY 744028101     336     30,509 SH       SOLE         1        30,509
PROVIDENT BANKSHARES CORP               EQUITY 743859100     836     24,748 SH       SOLE         1        24,748
PROVIDENT FINL HLDGS INC                EQUITY 743868101      97      3,685 SH       SOLE         1         3,685
PROVIDENT FINL SVCS INC                 EQUITY 74386T105    1009     54,498 SH       SOLE         1        54,498
PRUDENTIAL FINL INC                     EQUITY 744320102     136      1,863 SH       DEFINED      2                    1,863
PRUDENTIAL FINL INC                     EQUITY 744320102   16267    222,261 SH       SOLE         1       222,261
PS BUSINESS PKS INC CALIF               EQUITY 69360J107     608     12,360 SH       SOLE         1        12,360
PSS WORLD MED INC                       EQUITY 69366A100     720     48,531 SH       SOLE         1        48,531
PSYCHIATRIC SOLUTIONS INC               EQUITY 74439H108    1123     19,114 SH       SOLE         1        19,114
PUBLIC STORAGE INC                      EQUITY 74460D109      21        306 SH       DEFINED      2                      306
PUBLIC STORAGE INC                      EQUITY 74460D109    2601     38,403 SH       SOLE         1        38,403
PUBLIC SVC ENTERPRISE GROUP             EQUITY 744573106      60        924 SH       DEFINED      2                      924
PUBLIC SVC ENTERPRISE GROUP             EQUITY 744573106    1299     20,000 SH       SOLE         4        20,000
PUBLIC SVC ENTERPRISE GROUP             EQUITY 744573106    7654    117,802 SH       SOLE         1       117,802
PUGET ENERGY INC                        EQUITY 745310102    5220    255,650 SH       SOLE         1       255,650
PULTE HOMES INC                         EQUITY 745867101      31        792 SH       DEFINED      2                      792
PULTE HOMES INC                         EQUITY 745867101    3978    101,062 SH       SOLE         1       101,062
QAD INC                                 EQUITY 74727D108      69      9,095 SH       SOLE         1         9,095
QC HLDGS INC                            EQUITY 74729T101      64      5,531 SH       SOLE         1         5,531
QLOGIC CORP                             EQUITY 747277101      10        297 SH       DEFINED      2                      297
QLOGIC CORP                             EQUITY 747277101    1260     38,758 SH       SOLE         1        38,758
QUALCOMM INC                            EQUITY 747525103   36983    858,469 SH       DEFINED      2                  858,469
QUALCOMM INC                            EQUITY 747525103   89572  2,079,202 SH       SOLE         1     2,079,202
QUALITY SYS INC                         EQUITY 747582104     433      5,641 SH       SOLE         1         5,641
QUANEX CORP                             EQUITY 747620102     941     18,832 SH       SOLE         1        18,832
QUANTA SVCS INC                         EQUITY 74762E102    4226    320,900 SH       SOLE         1       320,900
QUANTUM CORP                            EQUITY 747906204     420    137,698 SH       SOLE         1       137,698
QUANTUM FUEL SYS TECH WORLDW *          EQUITY 74765E109      91     33,827 SH       SOLE         1        33,827
QUEST DIAGNOSTICS INC                   EQUITY 74834L100    1205     23,412 SH       DEFINED      2                   23,412
QUEST DIAGNOSTICS INC                   EQUITY 74834L100    7454    144,785 SH       SOLE         1       144,785
QUEST SOFTWARE INC                      EQUITY 74834T103     702     48,124 SH       SOLE         1        48,124
QUESTAR CORP                            EQUITY 748356102   12935    170,875 SH       SOLE         1       170,875
QUICKSILVER RESOURCES INC               EQUITY 74837R104    5597    133,238 SH       SOLE         1       133,238





                                                                                            
QUIKSILVER INC                          EQUITY 74838C106    6535    472,200 SH       DEFINED      2                  472,200
QUIKSILVER INC                          EQUITY 74838C106      35      2,504 SH       SOLE         1         2,504
QWEST COMMUNICATIONS INTL IN            EQUITY 749121109      32      5,700 SH       DEFINED      2                    5,700
QWEST COMMUNICATIONS INTL IN            EQUITY 749121109    5692  1,007,419 SH       SOLE         1     1,007,419
R & B INC                               EQUITY 749124103      70      7,432 SH       SOLE         1         7,432
R & G FINANCIAL CORP                    EQUITY 749136107     276     20,902 SH       SOLE         1        20,902
RACKABLE SYS INC                        EQUITY 750077109     134      4,690 SH       SOLE         1         4,690
RADIAN GROUP INC                        EQUITY 750236101    9772    166,793 SH       SOLE         1       166,793
RADIANT SYSTEMS INC                     EQUITY 75025N102     209     17,217 SH       SOLE         1        17,217
RADIATION THERAPY SVCS INC              EQUITY 750323206     293      8,306 SH       SOLE         1         8,306
RADIO ONE INC CL D NON VTG              EQUITY 75040P405     650     62,801 SH       SOLE         1        62,801
RADIOSHACK CORP                         EQUITY 750438103      10        498 SH       DEFINED      2                      498
RADIOSHACK CORP                         EQUITY 750438103    1306     62,078 SH       SOLE         1        62,078
RADISYS CORP                            EQUITY 750459109     260     14,978 SH       SOLE         1        14,978
RADYNE CORP                             EQUITY 750611402     152     10,400 SH       DEFINED      2                   10,400
RADYNE CORP                             EQUITY 750611402    3562    244,500 SH       SOLE         3       244,500
RAILAMERICA INC                         EQUITY 750753105     312     28,359 SH       SOLE         1        28,359
RAIT INVT TR                            EQUITY 749227104    1325     51,116 SH       SOLE         1        51,116
RALCORP HLDGS INC                       EQUITY 751028101     888     22,251 SH       SOLE         1        22,251
RAMBUS INC DEL                          EQUITY 750917106    1210     74,708 SH       SOLE         1        74,708
RAMCO-GERSHENSON PPTYS TR               EQUITY 751452202     290     10,894 SH       SOLE         1        10,894
RANGE RES CORP                          EQUITY 75281A109      74      2,827 SH       SOLE         1         2,827
RARE HOSPITALITY INTL INC               EQUITY 753820109     783     25,752 SH       SOLE         1        25,752
RAVEN INDS INC                          EQUITY 754212108     339     11,736 SH       SOLE         1        11,736
RAYMOND JAMES FINANCIAL INC             EQUITY 754730109    4309    114,401 SH       SOLE         1       114,401
RAYONIER INC                            EQUITY 754907103    6064    152,170 SH       SOLE         1       152,170
RAYTHEON CO                             EQUITY 755111507      66      1,650 SH       DEFINED      2                    1,650
RAYTHEON CO                             EQUITY 755111507    7917    197,180 SH       SOLE         1       197,180
RBC BEARINGS INC                        EQUITY 75524B104     105      6,450 SH       SOLE         1         6,450
RC2 CORP                                EQUITY 749388104     479     13,476 SH       SOLE         1        13,476
RCN CORP                                EQUITY 749361200     402     17,159 SH       SOLE         1        17,159
READERS DIGEST ASSN INC                 EQUITY 755267101    4103    269,566 SH       SOLE         1       269,566
REALNETWORKS INC                        EQUITY 75605L104     671     86,474 SH       SOLE         1        86,474
REALTY INCOME CORP                      EQUITY 756109104      54      2,519 SH       SOLE         1         2,519
RECKSON ASSOCS RLTY CORP                EQUITY 75621K106      88      2,457 SH       SOLE         1         2,457
RED HAT INC                             EQUITY 756577102     404     14,832 SH       SOLE         1        14,832
RED ROBIN GOURMET BURGERS IN            EQUITY 75689M101    1804     35,400 SH       SOLE         3        35,400
RED ROBIN GOURMET BURGERS IN            EQUITY 75689M101     542     10,643 SH       SOLE         1        10,643
REDBACK NETWORKS INC                    EQUITY 757209507     442     31,453 SH       SOLE         1        31,453
REDDY ICE HLDGS INC                     EQUITY 75734R105     167      7,651 SH       SOLE         1         7,651
REDWOOD TR INC                          EQUITY 758075402    6063    146,957 SH       SOLE         1       146,957
REEBOK INTL LTD                         EQUITY 758110100      11        195 SH       DEFINED      2                      195
REEBOK INTL LTD                         EQUITY 758110100   10185    174,911 SH       SOLE         1       174,911
REGAL BELOIT CORP                       EQUITY 758750103     654     18,479 SH       SOLE         1        18,479
REGAL ENTMT GROUP                       EQUITY 758766109    5629    295,977 SH       SOLE         1       295,977
REGENCY CTRS CORP                       EQUITY 758849103    8029    136,200 SH       SOLE         1       136,200
REGENERON PHARMACEUTICALS               EQUITY 75886F107     415     26,082 SH       SOLE         1        26,082
REGENT COMMUNICATIONS INC DE            EQUITY 758865109     123     26,590 SH       SOLE         1        26,590
REGIONS FINANCIAL CORP                  EQUITY 7591EP100      58      1,689 SH       DEFINED      2                    1,689
REGIONS FINANCIAL CORP                  EQUITY 7591EP100    6903    202,073 SH       SOLE         1       202,073
REGIS CORP MINN                         EQUITY 758932107    4755    123,279 SH       SOLE         1       123,279
REHABCARE GROUP INC                     EQUITY 759148109     254     12,572 SH       SOLE         1        12,572
REINSURANCE GROUP AMER INC              EQUITY 759351109      42        888 SH       SOLE         1           888
RELIANCE STEEL & ALUMINUM CO            EQUITY 759509102    1317     21,543 SH       SOLE         1        21,543
RELIANT ENERGY INC                      EQUITY 75952B105     370     35,867 SH       SOLE         1        35,867
REMINGTON OIL & GAS CORP                EQUITY 759594302     640     17,521 SH       SOLE         1        17,521
RENAISSANCE LEARNING INC                EQUITY 75968L105     112      5,934 SH       SOLE         1         5,934
RENAL CARE GROUP INC                    EQUITY 759930100    6740    142,465 SH       SOLE         1       142,465
RENASANT CORP                           EQUITY 75970E107     247      7,797 SH       SOLE         1         7,797
RENOVIS INC                             EQUITY 759885106    2001    130,800 SH       DEFINED      2                  130,800
RENOVIS INC                             EQUITY 759885106     225     14,684 SH       SOLE         1        14,684
RENT A CTR INC                          EQUITY 76009N100    2679    142,057 SH       SOLE         1       142,057
RENT WAY INC                            EQUITY 76009U104     126     19,708 SH       SOLE         1        19,708
REPUBLIC AWYS HLDGS INC                 EQUITY 760276105     172     11,347 SH       SOLE         1        11,347





                                                                                            
REPUBLIC BANCORP KY                     EQUITY 760281204     804     63,251 SH       SOLE         1        63,251
REPUBLIC COS GROUP INC                  EQUITY 760349100      70      4,506 SH       SOLE         1         4,506
REPUBLIC SVCS INC                       EQUITY 760759100    9220    245,530 SH       SOLE         1       245,530
RES-CARE INC                            EQUITY 760943100     263     15,167 SH       SOLE         1        15,167
RESMED INC                              EQUITY 761152107      58      1,517 SH       SOLE         1         1,517
RESOURCE AMERICA INC                    EQUITY 761195205     204     11,940 SH       SOLE         1        11,940
RESOURCES CONNECTION INC                EQUITY 76122Q105     933     35,727 SH       SOLE         1        35,727
RESPIRONICS INC                         EQUITY 761230101      58      1,552 SH       SOLE         1         1,552
RESTORATION HARDWARE INC DEL            EQUITY 760981100     136     22,605 SH       SOLE         1        22,605
RETAIL VENTURES INC                     EQUITY 76128Y102     156     12,510 SH       SOLE         1        12,510
REVLON INC                              EQUITY 761525500     338    108,935 SH       SOLE         1       108,935
REYNOLDS & REYNOLDS CO                  EQUITY 761695105    2891    102,997 SH       SOLE         1       102,997
REYNOLDS AMERICAN INC                   EQUITY 761713106      30        315 SH       DEFINED      2                      315
REYNOLDS AMERICAN INC                   EQUITY 761713106    9233     96,857 SH       SOLE         1        96,857
RF MICRODEVICES INC                     EQUITY 749941100    2783    514,497 SH       SOLE         1       514,497
RF MONOLITHICS INC                      EQUITY 74955F106      28      4,973 SH       SOLE         1         4,973
RHODIA                                  EQUITY 762397107    2110  1,000,000 SH       SOLE         1     1,000,000
RIGEL PHARMACEUTICALS INC               EQUITY 766559603     148     17,706 SH       SOLE         1        17,706
RIGHTNOW TECHNOLOGIES INC               EQUITY 76657R106     151      8,202 SH       SOLE         1         8,202
RIMAGE CORP                             EQUITY 766721104    1332     45,959 SH       SOLE         3        45,959
RIMAGE CORP                             EQUITY 766721104     206      7,116 SH       SOLE         1         7,116
RIO TINTO PLC                           EQUITY 767204100    2011     11,000 SH       SOLE         4        11,000
RITE AID CORP                           EQUITY 767754104     105     30,148 SH       SOLE         1        30,148
RIVIERA HLDGS CORP                      EQUITY 769627100     104      6,355 SH       SOLE         1         6,355
RLI CORP                                EQUITY 749607107     844     16,914 SH       SOLE         1        16,914
ROANOKE ELEC STL CORP                   EQUITY 769841107     197      8,342 SH       SOLE         1         8,342
ROBBINS & MYERS INC                     EQUITY 770196103     178      8,729 SH       SOLE         1         8,729
ROBERT HALF INTL INC                    EQUITY 770323103      24        630 SH       DEFINED      2                      630
ROBERT HALF INTL INC                    EQUITY 770323103    2977     78,567 SH       SOLE         1        78,567
ROCK-TENN CO                            EQUITY 772739207     302     22,122 SH       SOLE         1        22,122
ROCKVILLE FINL INC                      EQUITY 774186100      85      6,546 SH       SOLE         1         6,546
ROCKWELL AUTOMATION INC                 EQUITY 773903109   31737    536,460 SH       DEFINED      2                  536,460
ROCKWELL AUTOMATION INC                 EQUITY 773903109   67114  1,134,451 SH       SOLE         1     1,134,451
ROCKWELL COLLINS INC                    EQUITY 774341101      30        639 SH       DEFINED      2                      639
ROCKWELL COLLINS INC                    EQUITY 774341101    6530    140,528 SH       SOLE         1       140,528
ROCKWOOD HLDGS INC                      EQUITY 774415103     303     15,344 SH       SOLE         1        15,344
ROFIN SINAR TECHNOLOGIES INC            EQUITY 775043102     287      6,600 SH       DEFINED      2                    6,600
ROFIN SINAR TECHNOLOGIES INC            EQUITY 775043102     493     11,330 SH       SOLE         1        11,330
ROGERS CORP                             EQUITY 775133101     483     12,340 SH       SOLE         1        12,340
ROHM & HAAS CO                          EQUITY 775371107    7702    159,059 SH       DEFINED      2                  159,059
ROHM & HAAS CO                          EQUITY 775371107   18328    378,515 SH       SOLE         1       378,515
ROLLINS INC                             EQUITY 775711104    1573     79,798 SH       SOLE         1        79,798
ROPER INDS INC                          EQUITY 776696106   56057  1,418,800 SH       DEFINED      2                1,418,800
ROPER INDS INC                          EQUITY 776696106      77      1,954 SH       SOLE         1         1,954
ROSS STORES INC                         EQUITY 778296103    8613    298,039 SH       SOLE         1       298,039
ROSTELECOM OPEN JT STK LNG D            EQUITY 778529107    1242     91,000 SH       SOLE         1        91,000
ROWAN COS INC                           EQUITY 779382100      14        405 SH       DEFINED      2                      405
ROWAN COS INC                           EQUITY 779382100    1929     54,123 SH       SOLE         1        54,123
ROYAL BANCSHARES PA INC                 EQUITY 780081105      80      3,463 SH       SOLE         1         3,463
ROYAL BK CDA MONTREAL QUE               EQUITY 780087102   14145    181,600 SH       DEFINED      1             0    181,600
ROYAL BK SCOTLAND GROUP PLC             BONDS  780097770    3016    120,000 SH       SOLE         1       120,000
ROYAL CARIBBEAN CRUISES LTD             EQUITY V7780T103   14131    313,600 SH       DEFINED      2                  313,600
ROYAL CARIBBEAN CRUISES LTD             EQUITY V7780T103   10545    234,030 SH       SOLE         1       234,030
ROYAL GOLD INC                          EQUITY 780287108     493     14,196 SH       SOLE         1        14,196
RPC INC                                 EQUITY 749660106     436     16,543 SH       SOLE         1        16,543
RPM INTL INC                            EQUITY 749685103    4103    236,236 SH       SOLE         1       236,236
RSA SEC INC                             EQUITY 749719100    2168    193,768 SH       SOLE         1       193,768
RTI INTL METALS INC                     EQUITY 74973W107    2915     76,800 SH       DEFINED      2                   76,800
RTI INTL METALS INC                     EQUITY 74973W107     632     16,643 SH       SOLE         1        16,643
RUBY TUESDAY INC                        EQUITY 781182100    4458    172,194 SH       SOLE         1       172,194
RUDDICK CORP                            EQUITY 781258108    2010     94,457 SH       SOLE         1        94,457
RUDOLPH TECHNOLOGIES INC                EQUITY 781270103     125      9,686 SH       SOLE         1         9,686
RUSH ENTERPRISES INC                    EQUITY 781846209     231     15,512 SH       SOLE         1        15,512
RUSS BERRIE & CO                        EQUITY 782233100     101      8,833 SH       SOLE         1         8,833





                                                                                            
RUSSELL CORP                            EQUITY 782352108     333     24,716 SH       SOLE         1        24,716
RUTHS CHRIS STEAK HSE INC               EQUITY 783332109     177      9,759 SH       SOLE         1         9,759
RYANAIR HLDGS PLC                       EQUITY 783513104     118      2,101 SH       SOLE         1         2,101
RYANS RESTAURANT GROUP INC              EQUITY 783520109     380     31,522 SH       SOLE         1        31,522
RYDER SYS INC                           EQUITY 783549108      10        237 SH       DEFINED      2                      237
RYDER SYS INC                           EQUITY 783549108    1233     30,066 SH       SOLE         1        30,066
RYERSON TULL INC                        EQUITY 78375P107     458     18,845 SH       SOLE         1        18,845
RYLAND GROUP INC                        EQUITY 783764103    6752     93,610 SH       SOLE         1        93,610
S & T BANCORP INC                       EQUITY 783859101     735     19,959 SH       SOLE         1        19,959
S Y BANCORP INC                         EQUITY 785060104     226      9,028 SH       SOLE         1         9,028
S1 CORPORATION                          EQUITY 78463B101     229     52,680 SH       SOLE         1        52,680
SABRE HLDGS CORP                        EQUITY 785905100      12        483 SH       DEFINED      2                      483
SABRE HLDGS CORP                        EQUITY 785905100    1493     61,937 SH       SOLE         1        61,937
SAFECO CORP                             EQUITY 786429100      26        456 SH       DEFINED      2                      456
SAFECO CORP                             EQUITY 786429100    5088     90,058 SH       SOLE         1        90,058
SAFENET INC                             EQUITY 78645R107    6960    216,000 SH       DEFINED      2                  216,000
SAFENET INC                             EQUITY 78645R107     595     18,463 SH       SOLE         1        18,463
SAFETY INS GROUP INC                    EQUITY 78648T100     353      8,737 SH       SOLE         1         8,737
SAFEWAY INC                             EQUITY 786514208      39      1,659 SH       DEFINED      2                    1,659
SAFEWAY INC                             EQUITY 786514208    9834    415,621 SH       SOLE         1       415,621
SAGA COMMUNICATIONS                     EQUITY 786598102     140     12,860 SH       SOLE         1        12,860
SAKS INC                                EQUITY 79377W108    4694    278,387 SH       SOLE         1       278,387
SALEM COMMUNICATIONS CORP DE            EQUITY 794093104     156      8,928 SH       SOLE         1         8,928
SALESFORCE COM INC                      EQUITY 79466L302    6198    193,400 SH       DEFINED      2                  193,400
SALESFORCE COM INC                      EQUITY 79466L302      49      1,517 SH       SOLE         1         1,517
SALIX PHARMACEUTICALS INC               EQUITY 795435106     596     33,927 SH       SOLE         1        33,927
SANDERS MORRIS HARRIS GROUP             EQUITY 80000Q104     156      9,527 SH       SOLE         1         9,527
SANDERSON FARMS INC                     EQUITY 800013104     410     13,435 SH       SOLE         1        13,435
SANDISK CORP                            EQUITY 80004C101    2236     35,600 SH       SOLE         3        34,300             1,300
SANDISK CORP                            EQUITY 80004C101   41028    653,107 SH       SOLE         1       653,107
SANDY SPRING BANCORP INC                EQUITY 800363103     384     10,999 SH       SOLE         1        10,999
SANFILIPPO JOHN B & SON INC             EQUITY 800422107      76      5,899 SH       SOLE         1         5,899
SANMINA SCI CORP                        EQUITY 800907107       8      1,941 SH       DEFINED      2                    1,941
SANMINA SCI CORP                        EQUITY 800907107    1775    416,614 SH       SOLE         1       416,614
SANTANDER BANCORP                       EQUITY 802809103     100      3,992 SH       SOLE         1         3,992
SAPIENT CORP                            EQUITY 803062108     344     60,530 SH       SOLE         1        60,530
SARA LEE CORP                           EQUITY 803111103      53      2,805 SH       DEFINED      2                    2,805
SARA LEE CORP                           EQUITY 803111103    6315    334,145 SH       SOLE         1       334,145
SATYAM COMPUTER SERVICES VICES LTD      EQUITY 804098101    2476     67,659 SH       SOLE         3        65,203             2,456
SAUER-DANFOSS INC                       EQUITY 804137107     142      7,560 SH       SOLE         1         7,560
SAUL CTRS INC                           EQUITY 804395101     296      8,208 SH       SOLE         1         8,208
SAVIENT PHARMACEUTICALS INC             EQUITY 80517Q100     171     45,632 SH       SOLE         1        45,632
SAXON CAP INC                           EQUITY 80556T106    1821    160,753 SH       SOLE         1       160,753
SBA COMMUNICATIONS CORP                 EQUITY 78388J106     394     22,000 SH       DEFINED      2                   22,000
SBA COMMUNICATIONS CORP                 EQUITY 78388J106    1005     56,143 SH       SOLE         1        56,143
SCANA CORP                              EQUITY 80589M102    9515    241,626 SH       SOLE         1       241,626
SCANSOURCE INC                          EQUITY 806037107     520      9,508 SH       SOLE         1         9,508
SCBT FINANCIAL CORP                     EQUITY 78401V102     202      6,047 SH       SOLE         1         6,047
SCHAWK INC                              EQUITY 806373106     194      9,363 SH       SOLE         1         9,363
SCHEIN HENRY INC                        EQUITY 806407102    7607    174,305 SH       SOLE         1       174,305
SCHERING PLOUGH CORP                    EQUITY 806605101   26376  1,265,057 SH       DEFINED      2                1,265,057
SCHERING PLOUGH CORP                    EQUITY 806605101   29826  1,379,964 SH       SOLE         1     1,379,964
SCHLUMBERGER LTD                        EQUITY 806857108    7692     79,175 SH       DEFINED      2                   79,175
SCHLUMBERGER LTD                        EQUITY 806857108    2672     27,500 SH       SOLE         4        27,500
SCHLUMBERGER LTD                        EQUITY 806857108   32933    338,993 SH       SOLE         1       338,993
SCHNITZER STL INDS                      EQUITY 806882106     502     16,424 SH       SOLE         1        16,424
SCHOLASTIC CORP                         EQUITY 807066105    2712     95,113 SH       SOLE         1        95,113
SCHOOL SPECIALTY INC                    EQUITY 807863105     624     17,115 SH       SOLE         1        17,115
SCHULMAN A INC                          EQUITY 808194104     495     23,021 SH       SOLE         1        23,021
SCHWAB CHARLES CORP                     EQUITY 808513105    3715    253,207 SH       DEFINED      2                  253,207
SCHWAB CHARLES CORP                     EQUITY 808513105    6663    454,199 SH       SOLE         1       454,199
SCHWEITZER-MAUDUIT INTL INC             EQUITY 808541106     283     11,406 SH       SOLE         1        11,406
SCIENTIFIC ATLANTA INC                  EQUITY 808655104      24        567 SH       DEFINED      2                      567
SCIENTIFIC ATLANTA INC                  EQUITY 808655104    6254    145,205 SH       SOLE         1       145,205





                                                                                            
SCIENTIFIC GAMES CORP                   EQUITY 80874P109   11741    430,400 SH       DEFINED      2                  430,400
SCIENTIFIC GAMES CORP                   EQUITY 80874P109      35      1,277 SH       SOLE         1         1,277
SCOTTS MIRACLE GRO CO                   EQUITY 810186106    4094     90,492 SH       SOLE         1        90,492
SCP POOL CORP                           EQUITY 784028102      43      1,164 SH       SOLE         1         1,164
SCRIPPS E W CO OHIO                     EQUITY 811054204      15        315 SH       DEFINED      2                      315
SCRIPPS E W CO OHIO                     EQUITY 811054204    1884     39,239 SH       SOLE         1        39,239
SCS TRANSN INC                          EQUITY 81111T102     242     11,391 SH       SOLE         1        11,391
SCUDDER STRATEGIC MUN INCOME            EQUITY 811234103     280     20,000 SH       SOLE         4        20,000
SEABOARD CORP                           EQUITY 811543107     400        265 SH       SOLE         1           265
SEABRIGHT INSURANCE HLDGS IN            EQUITY 811656107     100      6,028 SH       SOLE         1         6,028
SEACHANGE INTL INC                      EQUITY 811699107     151     19,062 SH       SOLE         1        19,062
SEACOAST BKG CORP FLA                   EQUITY 811707306     219      9,522 SH       SOLE         1         9,522
SEACOR HOLDINGS INC                     EQUITY 811904101     920     13,514 SH       SOLE         1        13,514
SEALED AIR CORP                         EQUITY 81211K100      17        300 SH       DEFINED      2                      300
SEALED AIR CORP                         EQUITY 81211K100    2149     38,265 SH       SOLE         1        38,265
SEARS HLDGS CORP                        EQUITY 812350106      43        369 SH       DEFINED      2                      369
SEARS HLDGS CORP                        EQUITY 812350106    6940     60,072 SH       SOLE         1        60,072
SEATTLE GENETICS INC                    EQUITY 812578102      93     19,797 SH       SOLE         1        19,797
SECURE COMPUTING CORP                   EQUITY 813705100     297     24,200 SH       DEFINED      2                   24,200
SECURE COMPUTING CORP                   EQUITY 813705100     331     26,979 SH       SOLE         1        26,979
SECURITY BANK CORP                      EQUITY 814047106     184      7,887 SH       SOLE         1         7,887
SEI INVESTMENTS CO                      EQUITY 784117103    4894    132,265 SH       SOLE         1       132,265
SELECT COMFORT CORP                     EQUITY 81616X103     741     27,095 SH       SOLE         1        27,095
SELECTIVE INS GROUP INC                 EQUITY 816300107     350      6,600 SH       DEFINED      2                    6,600
SELECTIVE INS GROUP INC                 EQUITY 816300107    1131     21,293 SH       SOLE         1        21,293
SEMITOOL INC                            EQUITY 816909105     136     12,483 SH       SOLE         1        12,483
SEMPRA ENERGY                           EQUITY 816851109      43        948 SH       DEFINED      2                      948
SEMPRA ENERGY                           EQUITY 816851109    5435    121,204 SH       SOLE         1       121,204
SEMTECH CORP                            EQUITY 816850101    3642    199,470 SH       SOLE         1       199,470
SENIOR HSG PPTYS TR SH BEN INT          EQUITY 81721M109     758     44,826 SH       SOLE         1        44,826
SENOMYX INC                             EQUITY 81724Q107     194     16,026 SH       SOLE         1        16,026
SENSIENT TECHNOLOGIES CORP              EQUITY 81725T100    2301    128,570 SH       SOLE         1       128,570
SEPRACOR INC                            EQUITY 817315104    1424     27,600 SH       DEFINED      2                   27,600
SEPRACOR INC                            EQUITY 817315104   11274    218,482 SH       SOLE         1       218,482
SEQUA CORPORATION                       EQUITY 817320104    1204     17,434 SH       SOLE         1        17,434
SERENA SOFTWARE INC                     EQUITY 817492101    3204    136,756 SH       SOLE         1       136,756
SEROLOGICALS CORP                       EQUITY 817523103     515     26,111 SH       SOLE         1        26,111
SERVICE CORP INTL                       EQUITY 817565104      76      9,328 SH       SOLE         1         9,328
SERVICEMASTER CO                        EQUITY 81760N109      88      7,361 SH       SOLE         1         7,361
SFBC INTL INC                           EQUITY 784121105     219     13,709 SH       SOLE         1        13,709
SHARPER IMAGE CORP                      EQUITY 820013100      85      8,728 SH       SOLE         1         8,728
SHAW GROUP INC                          EQUITY 820280105    2839     97,600 SH       SOLE         3        94,900             2,700
SHAW GROUP INC                          EQUITY 820280105    1695     58,251 SH       SOLE         1        58,251
SHENANDOAH TELECOMMUNICATION            EQUITY 82312B106     204      5,126 SH       SOLE         1         5,126
SHERWIN WILLIAMS CO                     EQUITY 824348106    7141    157,216 SH       DEFINED      2                  157,216
SHERWIN WILLIAMS CO                     EQUITY 824348106    2360     51,953 SH       SOLE         1        51,953
SHOE CARNIVAL INC                       EQUITY 824889109     123      5,592 SH       SOLE         1         5,592
SHUFFLE MASTER INC                      EQUITY 825549108    1257     50,000 SH       SOLE         3        50,000
SHUFFLE MASTER INC                      EQUITY 825549108     671     26,682 SH       SOLE         1        26,682
SHURGARD STORAGE CTRS INC               EQUITY 82567D104      80      1,404 SH       SOLE         1         1,404
SI INTL INC                             EQUITY 78427V102     223      7,306 SH       SOLE         1         7,306
SIEBEL SYS INC                          EQUITY 826170102      21      1,953 SH       DEFINED      2                    1,953
SIEBEL SYS INC                          EQUITY 826170102   10049    950,748 SH       SOLE         1       950,748
SIERRA BANCORP                          EQUITY 82620P102      92      4,053 SH       SOLE         1         4,053
SIERRA HEALTH SVCS INC                  EQUITY 826322109    3038     38,000 SH       DEFINED      2                   38,000
SIERRA HEALTH SVCS INC                  EQUITY 826322109      46        580 SH       SOLE         1           580
SIERRA PAC RES                          EQUITY 826428104    5941    455,601 SH       SOLE         1       455,601
SIGMA ALDRICH CORP                      EQUITY 826552101      16        249 SH       DEFINED      2                      249
SIGMA ALDRICH CORP                      EQUITY 826552101    4737     74,853 SH       SOLE         1        74,853
SIGMATEL INC                            EQUITY 82661W107     351     26,798 SH       SOLE         1        26,798
SIGNATURE BK  YORK N Y                  EQUITY 82669G104   17768    633,000 SH       DEFINED      2                  633,000
SIGNATURE BK  YORK N Y                  EQUITY 82669G104     247      8,815 SH       SOLE         1         8,815
SILGAN HOLDINGS INC                     EQUITY 827048109     426     11,800 SH       DEFINED      2                   11,800
SILGAN HOLDINGS INC                     EQUITY 827048109     604     16,720 SH       SOLE         1        16,720





                                                                                            
SILICON IMAGE INC                       EQUITY 82705T102     538     59,351 SH       SOLE         1        59,351
SILICON LABORATORIES INC                EQUITY 826919102    4421    120,586 SH       SOLE         1       120,586
SILICON STORAGE TECHNOLOGY I            EQUITY 827057100     334     65,948 SH       SOLE         1        65,948
SIMMONS 1ST NATL CORP                   EQUITY 828730200     299     10,792 SH       SOLE         1        10,792
SIMON PPTY GROUP INC                    EQUITY 828806109      53        687 SH       DEFINED      2                      687
SIMON PPTY GROUP INC                    EQUITY 828806109    6294     82,129 SH       SOLE         1        82,129
SIMPSON MANUFACTURING CO INC            EQUITY 829073105     990     27,241 SH       SOLE         1        27,241
SINCLAIR BROADCAST GROUP INC            EQUITY 829226109     304     33,022 SH       SOLE         1        33,022
SIRF TECHNOLOGY HLDGS INC               EQUITY 82967H101     447     15,000 SH       DEFINED      2                   15,000
SIRF TECHNOLOGY HLDGS INC               EQUITY 82967H101     786     26,376 SH       SOLE         1        26,376
SIRIUS SATELLITE RADIO INC              EQUITY 82966U103    3428    511,602 SH       SOLE         1       511,602
SIRVA INC                               EQUITY 82967Y104     141     17,616 SH       SOLE         1        17,616
SIX FLAGS INC                           EQUITY 83001P109     539     69,906 SH       SOLE         1        69,906
SIZELER PPTY INVS INC                   EQUITY 830137105     178     13,866 SH       SOLE         1        13,866
SJW CORP                                EQUITY 784305104     261      5,741 SH       SOLE         1         5,741
SKECHERS U S A INC                      EQUITY 830566105     257     16,786 SH       SOLE         1        16,786
SKY FINL GROUP INC                      EQUITY 83080P103      80      2,885 SH       SOLE         1         2,885
SKYLINE CORP                            EQUITY 830830105     186      5,115 SH       SOLE         1         5,115
SKYWEST INC                             EQUITY 830879102    5434    202,325 SH       SOLE         1       202,325
SKYWORKS SOLUTIONS INC                  EQUITY 83088M102     602    118,267 SH       SOLE         1       118,267
SL GREEN RLTY CORP                      EQUITY 78440X101      93      1,213 SH       SOLE         1         1,213
SLM CORP                                EQUITY 78442P106      85      1,542 SH       DEFINED      2                    1,542
SLM CORP                                EQUITY 78442P106   36018  1,275,554 SH       SOLE         1     1,275,554
SMART & FINAL INC                       EQUITY 831683107     129      9,984 SH       SOLE         1         9,984
SMITH A O                               EQUITY 831865209     443     12,613 SH       SOLE         1        12,613
SMITH INTL INC                          EQUITY 832110100   24277    654,200 SH       DEFINED      2                  654,200
SMITH INTL INC                          EQUITY 832110100   14874    400,804 SH       SOLE         1       400,804
SMITHFIELD FOODS INC                    EQUITY 832248108   13238    432,600 SH       DEFINED      2                  432,600
SMITHFIELD FOODS INC                    EQUITY 832248108    6062    198,103 SH       SOLE         1       198,103
SMUCKER J M CO                          EQUITY 832696405    5146    116,947 SH       SOLE         1       116,947
SMURFIT-STONE CONTAINER CORP            EQUITY 832727101     935     66,000 SH       DEFINED      2                   66,000
SMURFIT-STONE CONTAINER CORP            EQUITY 832727101     108      7,639 SH       SOLE         1         7,639
SNAP ON INC                             EQUITY 833034101       8        213 SH       DEFINED      2                      213
SNAP ON INC                             EQUITY 833034101    1027     27,330 SH       SOLE         1        27,330
SOHU COM INC                            EQUITY 83408W103     342     18,649 SH       SOLE         1        18,649
SOLECTRON CORP                          EQUITY 834182107      12      3,372 SH       DEFINED      2                    3,372
SOLECTRON CORP                          EQUITY 834182107    3030    827,912 SH       SOLE         1       827,912
SOMANETICS CORP                         EQUITY 834445405     314      9,800 SH       DEFINED      2                    9,800
SOMANETICS CORP                         EQUITY 834445405     244      7,639 SH       SOLE         1         7,639
SONIC AUTOMOTIVE INC                    EQUITY 83545G102     492     22,065 SH       SOLE         1        22,065
SONIC CORP                              EQUITY 835451105      40      1,343 SH       SOLE         1         1,343
SONIC SOLUTIONS                         EQUITY 835460106     275     18,228 SH       SOLE         1        18,228
SONICWALL INC                           EQUITY 835470105     318     40,143 SH       SOLE         1        40,143
SONOCO PRODS CO                         EQUITY 835495102    5847    198,886 SH       SOLE         1       198,886
SONOSITE INC                            EQUITY 83568G104     405     11,570 SH       SOLE         1        11,570
SONUS NETWORKS INC                      EQUITY 835916107     693    186,337 SH       SOLE         1       186,337
SOTHEBYS HLDGS INC                      EQUITY 835898107    2769    150,800 SH       DEFINED      2                  150,800
SOTHEBYS HLDGS INC                      EQUITY 835898107    2128    115,889 SH       SOLE         1       115,889
SOUND FED BANCORP INC                   EQUITY 83607V104     160      8,367 SH       SOLE         1         8,367
SOURCE INTERLINK COS INC                EQUITY 836151209     276     24,779 SH       SOLE         1        24,779
SOURCECORP                              EQUITY 836167106     282     11,763 SH       SOLE         1        11,763
SOUTH FINL GROUP INC                    EQUITY 837841105      60      2,164 SH       SOLE         1         2,164
SOUTH JERSEY INDS INC                   EQUITY 838518108     612     20,988 SH       SOLE         1        20,988
SOUTHERN CO                             EQUITY 842587107      94      2,736 SH       DEFINED      2                    2,736
SOUTHERN CO                             EQUITY 842587107   11296    327,142 SH       SOLE         1       327,142
SOUTHERN COPPER CORP                    EQUITY 84265V105      37        559 SH       SOLE         1           559
SOUTHERN UN CO                          EQUITY 844030106      68      2,879 SH       SOLE         1         2,879
SOUTHSIDE BANCSHARES INC                EQUITY 84470P109     149      7,359 SH       SOLE         1         7,359
SOUTHWEST AIRLS CO                      EQUITY 844741108      42      2,574 SH       DEFINED      2                    2,574
SOUTHWEST AIRLS CO                      EQUITY 844741108    5379    327,379 SH       SOLE         1       327,379
SOUTHWEST BANCORP INC OKLA              EQUITY 844767103     204     10,215 SH       SOLE         1        10,215
SOUTHWEST GAS CORP                      EQUITY 844895102     746     28,254 SH       SOLE         1        28,254
SOUTHWEST WTR CO                        EQUITY 845331107     221     15,427 SH       SOLE         1        15,427
SOUTHWESTERN ENERGY CO                  EQUITY 845467109   11976    333,214 SH       SOLE         1       333,214





                                                                                            
SOVEREIGN BANCORP INC                   EQUITY 845905108      28      1,317 SH       DEFINED      2                    1,317
SOVEREIGN BANCORP INC                   EQUITY 845905108    4434    205,104 SH       SOLE         1       205,104
SOVRAN SELF STORAGE INC                 EQUITY 84610H108     573     12,196 SH       SOLE         1        12,196
SPANISH BROADCASTING SYS INC            EQUITY 846425882     148     28,940 SH       SOLE         1        28,940
SPARTAN STORES INC                      EQUITY 846822104     163     15,612 SH       SOLE         1        15,612
SPARTECH CORP                           EQUITY 847220209     531     24,182 SH       SOLE         1        24,182
SPATIALIGHT INC                         EQUITY 847248101      75     21,727 SH       SOLE         1        21,727
SPDR TR UNIT SER 1                      EQUITY 78462F103     486      3,900 SH       DEFINED      2                    3,900
SPDR TR UNIT SER 1                      EQUITY 78462F103   51527    413,838 SH       SOLE         1       413,838
SPECIALTY LABORATORIES INC              EQUITY 84749R100      75      5,711 SH       SOLE         1         5,711
SPECTRALINK CORP                        EQUITY 847580107     140     11,800 SH       DEFINED      2                   11,800
SPECTRALINK CORP                        EQUITY 847580107     171     14,379 SH       SOLE         1        14,379
SPECTRUM BRANDS INC                     EQUITY 84762L105      17        855 SH       SOLE         1           855
SPEEDWAY MOTORSPORTS INC                EQUITY 847788106     401     11,553 SH       SOLE         1        11,553
SPHERION CORP                           EQUITY 848420105     463     46,287 SH       SOLE         1        46,287
SPIRIT FIN CORP                         EQUITY 848568309     576     50,775 SH       SOLE         1        50,775
SPORTS AUTH INC                         EQUITY 84917U109     605     19,426 SH       SOLE         1        19,426
SPRINT NEXTEL CORP                      EQUITY 852061100   23924  1,024,144 SH       DEFINED      2                1,024,144
SPRINT NEXTEL CORP                      EQUITY 852061100   64454  2,759,171 SH       SOLE         1     2,759,171
SPSS INC                                EQUITY 78462K102     414     13,369 SH       SOLE         1        13,369
SPX CORP                                EQUITY 784635104    6058    132,361 SH       SOLE         1       132,361
SRA INTL INC                            EQUITY 78464R105    2265     74,166 SH       SOLE         1        74,166
SSA GLOBAL TECHNOLOGIES INC             EQUITY 78465P108     186     10,200 SH       DEFINED      2                   10,200
SSA GLOBAL TECHNOLOGIES INC             EQUITY 78465P108     125      6,845 SH       SOLE         1         6,845
ST JOE CO                               EQUITY 790148100     111      1,645 SH       SOLE         1         1,645
ST JUDE MED INC                         EQUITY 790849103      68      1,353 SH       DEFINED      2                    1,353
ST JUDE MED INC                         EQUITY 790849103   30381    605,191 SH       SOLE         1       605,191
ST MARY LD & EXPL CO                    EQUITY 792228108     434     11,800 SH       DEFINED      2                   11,800
ST MARY LD & EXPL CO                    EQUITY 792228108    1582     42,976 SH       SOLE         1        42,976
ST PAUL TRAVELERS INC                   EQUITY 792860108     114      2,556 SH       DEFINED      2                    2,556
ST PAUL TRAVELERS INC                   EQUITY 792860108   92785  2,077,111 SH       SOLE         1     2,077,111
STAGE STORES INC                        EQUITY 85254C305     614     20,605 SH       SOLE         1        20,605
STAMPS COM INC                          EQUITY 852857200    2094     91,200 SH       SOLE         3        91,200
STAMPS COM INC                          EQUITY 852857200     279     12,165 SH       SOLE         1        12,165
STANCORP FINL GROUP INC                 EQUITY 852891100    5478    109,678 SH       SOLE         1       109,678
STANDARD MICROSYSTEMS CORP              EQUITY 853626109     449     15,652 SH       SOLE         1        15,652
STANDARD MTR PRODS INC                  EQUITY 853666105     103     11,184 SH       SOLE         1        11,184
STANDARD PAC CORP                       EQUITY 85375C101      72      1,960 SH       SOLE         1         1,960
STANDARD REGISTER CO                    EQUITY 853887107     203     12,862 SH       SOLE         1        12,862
STANDEX INTL CORP                       EQUITY 854231107     257      9,275 SH       SOLE         1         9,275
STANLEY FURNITURE INC                   EQUITY 854305208     226      9,769 SH       SOLE         1         9,769
STANLEY WKS                             EQUITY 854616109    1051     21,870 SH       DEFINED      2                   21,870
STANLEY WKS                             EQUITY 854616109    1676     34,881 SH       SOLE         1        34,881
STAPLES INC                             EQUITY 855030102      61      2,700 SH       DEFINED      2                    2,700
STAPLES INC                             EQUITY 855030102    8009    352,680 SH       SOLE         1       352,680
STAR SCIENTIFIC INC                     EQUITY 85517P101      64     27,057 SH       SOLE         1        27,057
STARBUCKS CORP                          EQUITY 855244109      85      2,838 SH       DEFINED      2                    2,838
STARBUCKS CORP                          EQUITY 855244109   12362    411,936 SH       SOLE         1       411,936
STARTEK INC                             EQUITY 85569C107     446     24,805 SH       SOLE         1        24,805
STARWOOD HOTELS&RESORTS WRLD PAIRED CTF EQUITY 85590A203    1022     16,010 SH       DEFINED      2                   16,010
STARWOOD HOTELS&RESORTS WRLD PAIRED CTF EQUITY 85590A203    6488    101,604 SH       SOLE         1       101,604
STATE AUTO FINL CORP                    EQUITY 855707105     383     10,513 SH       SOLE         1        10,513
STATE BANCORP INC N.Y                   EQUITY 855716106     124      7,378 SH       SOLE         1         7,378
STATE NATIONAL BANCSHARES IN            EQUITY 857124101       9        348 SH       SOLE         1           348
STATE STR CORP                          EQUITY 857477103      67      1,209 SH       DEFINED      2                    1,209
STATE STR CORP                          EQUITY 857477103    1231     22,200 SH       SOLE         3        22,200
STATE STR CORP                          EQUITY 857477103    8001    144,313 SH       SOLE         1       144,313
STATION CASINOS INC                     EQUITY 857689103      83      1,223 SH       SOLE         1         1,223
STATS CHIPPAC LTD                       EQUITY 85771T104     297     43,742 SH       SOLE         1        43,742
STEAK N SHAKE CO                        EQUITY 857873103     354     20,858 SH       SOLE         1        20,858
STEEL DYNAMICS INC                      EQUITY 858119100    3772    106,229 SH       SOLE         1       106,229
STEEL TECHNOLOGIES INC                  EQUITY 858147101     235      8,381 SH       SOLE         1         8,381
STEELCASE INC                           EQUITY 858155203      27      1,677 SH       SOLE         1         1,677
STEIN MART INC                          EQUITY 858375108     351     19,344 SH       SOLE         1        19,344





                                                                                            
STEINWAY MUSICAL INSTRS INC             EQUITY 858495104   10512    412,079 SH       SOLE         1       412,079
STELLENT INC                            EQUITY 85856W105    4916    495,100 SH       SOLE         3       495,100
STELLENT INC                            EQUITY 85856W105     178     17,957 SH       SOLE         1        17,957
STEMCELLS INC                           EQUITY 85857R105     162     46,931 SH       SOLE         1        46,931
STEPAN CO                               EQUITY 858586100     106      3,958 SH       SOLE         1         3,958
STEREOTAXIS INC                         EQUITY 85916J102      91     10,612 SH       SOLE         1        10,612
STERICYCLE INC                          EQUITY 858912108    3556     60,400 SH       DEFINED      2                   60,400
STERICYCLE INC                          EQUITY 858912108    5197     88,256 SH       SOLE         1        88,256
STERIS CORP                             EQUITY 859152100    4682    187,126 SH       SOLE         1       187,126
STERLING BANCORP                        EQUITY 859158107     285     14,462 SH       SOLE         1        14,462
STERLING BANCSHARES INC                 EQUITY 858907108     524     33,969 SH       SOLE         1        33,969
STERLING FINL CORP                      EQUITY 859317109     380     19,191 SH       SOLE         1        19,191
STERLING FINL CORP WASH                 EQUITY 859319105     649     25,964 SH       SOLE         1        25,964
STEWART * & STEVENSON SVCS INC          EQUITY 860342104     459     21,723 SH       SOLE         1        21,723
STEWART ENTERPRISES INC                 EQUITY 860370105     432     79,810 SH       SOLE         1        79,810
STEWART INFORMATION SVCS COR            EQUITY 860372101     624     12,820 SH       SOLE         1        12,820
STIFEL FINL CORP                        EQUITY 860630102     237      6,315 SH       SOLE         1         6,315
STILLWATER MNG CO                       EQUITY 86074Q102     354     30,604 SH       SOLE         1        30,604
STOLT OFFSHORE S A SP                   EQUITY 861567105     294     25,200 SH       DEFINED      2                   25,200
STONE ENERGY CORP                       EQUITY 861642106     818     17,975 SH       SOLE         1        17,975
STRATAGENE CORP                         EQUITY 86269H107      56      5,563 SH       SOLE         1         5,563
STRATASYS INC                           EQUITY 862685104     196      7,841 SH       SOLE         1         7,841
STRATEGIC HOTEL CAP INC                 EQUITY 86272T106     640     31,111 SH       SOLE         1        31,111
STRATTEC SEC CORP                       EQUITY 863111100     115      2,841 SH       SOLE         1         2,841
STRAYER ED INC                          EQUITY 863236105    1030     10,994 SH       SOLE         1        10,994
STRIDE RITE CORP                        EQUITY 863314100     369     27,186 SH       SOLE         1        27,186
STRYKER CORP                            EQUITY 863667101      48      1,077 SH       DEFINED      2                    1,077
STRYKER CORP                            EQUITY 863667101     889     20,000 SH       SOLE         4        20,000
STRYKER CORP                            EQUITY 863667101    7578    170,559 SH       SOLE         1       170,559
STUDENT LN CORP                         EQUITY 863902102      17         83 SH       SOLE         1            83
STURM RUGER & CO INC                    EQUITY 864159108     112     15,920 SH       SOLE         1        15,920
SUFFOLK BANCORP                         EQUITY 864739107     270      7,981 SH       SOLE         1         7,981
SUMMIT BANCSHARES INC TEX               EQUITY 866011109     139      7,721 SH       SOLE         1         7,721
SUMMIT FINANCIAL GROUP INC              EQUITY 86606G101      88      3,842 SH       SOLE         1         3,842
SUN BANCORP INC                         EQUITY 86663B102     167      8,455 SH       SOLE         1         8,455
SUN COMMUNITIES INC                     EQUITY 866674104     382     12,170 SH       SOLE         1        12,170
SUN HEALTHCARE GROUP INC                EQUITY 866933401    4069    615,583 SH       SOLE         3       615,583
SUN HYDRAULICS CORP                     EQUITY 866942105      98      5,044 SH       SOLE         1         5,044
SUN LIFE FINL INC                       EQUITY 866796105    4056    101,200 SH       DEFINED      1             0    101,200
SUN MICROSYSTEMS INC                    EQUITY 866810104      53     12,603 SH       DEFINED      2                   12,603
SUN MICROSYSTEMS INC                    EQUITY 866810104    7062  1,685,457 SH       SOLE         1     1,685,457
SUNCOM WIRELESS HLDGS INC               EQUITY 86722Q108    2015    727,400 SH       SOLE         1       727,400
SUNOCO INC                              EQUITY 86764P109      40        504 SH       DEFINED      2                      504
SUNOCO INC                              EQUITY 86764P109    5880     75,013 SH       SOLE         1        75,013
SUNPOWER CORP                           EQUITY 867652109     408     12,000 SH       DEFINED      2                   12,000
SUNPOWER CORP                           EQUITY 867652109      19        565 SH       SOLE         1           565
SUNRISE SENIOR LIVING INC               EQUITY 86768K106     838     24,855 SH       SOLE         1        24,855
SUNSTONE HOTEL INVS INC                 EQUITY 867892101    2392     90,008 SH       SOLE         1        90,008
SUNTERRA CORP                           EQUITY 86787D208     208     14,596 SH       SOLE         1        14,596
SUNTRUST BKS INC                        EQUITY 867914103      97      1,335 SH       DEFINED      2                    1,335
SUNTRUST BKS INC                        EQUITY 867914103   11603    159,475 SH       SOLE         1       159,475
SUPERGEN INC                            EQUITY 868059106     194     38,424 SH       SOLE         1        38,424
SUPERIOR ENERGY SVCS INC                EQUITY 868157108    1228     58,323 SH       SOLE         1        58,323
SUPERIOR ESSEX INC                      EQUITY 86815V105     259     12,852 SH       SOLE         1        12,852
SUPERIOR INDS INTL INC                  EQUITY 868168105     371     16,646 SH       SOLE         1        16,646
SUPERIOR WELL SVCS INC                  EQUITY 86837X105     115      4,844 SH       SOLE         1         4,844
SUPERTEX INC                            EQUITY 868532102     332      7,499 SH       SOLE         1         7,499
SUPERVALU INC                           EQUITY 868536103      16        504 SH       DEFINED      2                      504
SUPERVALU INC                           EQUITY 868536103    2085     64,203 SH       SOLE         1        64,203
SUPPORTSOFT INC                         EQUITY 868587106     136     32,277 SH       SOLE         1        32,277
SUREWEST COMMUNICATIONS                 EQUITY 868733106     289     10,954 SH       SOLE         1        10,954
SURMODICS INC                           EQUITY 868873100     420     11,343 SH       SOLE         1        11,343
SUSQUEHANNA BANCSHARES INC P            EQUITY 869099101     829     35,027 SH       SOLE         1        35,027
SVB FINL GROUP                          EQUITY 78486Q101    4531     96,743 SH       SOLE         1        96,743





                                                                                            
SWIFT ENERGY CO                         EQUITY 870738101     959     21,269 SH       SOLE         1        21,269
SWIFT TRANSN CO                         EQUITY 870756103    2127    104,755 SH       SOLE         1       104,755
SWS GROUP INC                           EQUITY 78503N107    2483    118,600 SH       SOLE         3       118,600
SWS GROUP INC                           EQUITY 78503N107     241     11,531 SH       SOLE         1        11,531
SYBASE INC                              EQUITY 871130100    3994    182,700 SH       SOLE         1       182,700
SYBRON DENTAL SPECIALTIES IN            EQUITY 871142105    1198     30,101 SH       SOLE         1        30,101
SYCAMORE NETWORKS INC                   EQUITY 871206108     572    132,505 SH       SOLE         1       132,505
SYKES ENTERPRISES INC                   EQUITY 871237103     258     19,334 SH       SOLE         1        19,334
SYMANTEC CORP                           EQUITY 871503108   14346    819,793 SH       DEFINED      2                  819,793
SYMANTEC CORP                           EQUITY 871503108    9665    552,292 SH       SOLE         1       552,292
SYMBION INC DEL                         EQUITY 871507109     299     13,006 SH       SOLE         1        13,006
SYMBOL TECHNOLOGIES INC                 EQUITY 871508107      12        927 SH       DEFINED      2                      927
SYMBOL TECHNOLOGIES INC                 EQUITY 871508107    1491    116,275 SH       SOLE         1       116,275
SYMMETRICOM INC                         EQUITY 871543104     293     34,624 SH       SOLE         1        34,624
SYMMETRY MED INC                        EQUITY 871546206     121      6,253 SH       SOLE         1         6,253
SYMS CORP                               EQUITY 871551107      70      4,879 SH       SOLE         1         4,879
SYMYX TECHNOLOGIES                      EQUITY 87155S108     668     24,483 SH       SOLE         1        24,483
SYNAPTICS INC                           EQUITY 87157D109     408     16,487 SH       SOLE         1        16,487
SYNERON MEDICAL LTD                     EQUITY M87245102     635     20,000 SH       DEFINED      2                   20,000
SYNIVERSE HLDGS INC                     EQUITY 87163F106     347     16,600 SH       DEFINED      2                   16,600
SYNIVERSE HLDGS INC                     EQUITY 87163F106     276     13,210 SH       SOLE         1        13,210
SYNNEX CORP                             EQUITY 87162W100      98      6,486 SH       SOLE         1         6,486
SYNOPSYS INC                            EQUITY 871607107    5885    293,386 SH       SOLE         1       293,386
SYNOVUS FINL CORP                       EQUITY 87161C105      31      1,152 SH       DEFINED      2                    1,152
SYNOVUS FINL CORP                       EQUITY 87161C105   13217    489,325 SH       SOLE         1       489,325
SYNTEL INC                              EQUITY 87162H103     142      6,800 SH       DEFINED      2                    6,800
SYNTEL INC                              EQUITY 87162H103     122      5,877 SH       SOLE         1         5,877
SYNTROLEUM CORP                         EQUITY 871630109     265     29,321 SH       SOLE         1        29,321
SYPRIS SOLUTIONS INC                    EQUITY 871655106      67      6,675 SH       SOLE         1         6,675
SYSCO CORP                              EQUITY 871829107    5838    188,021 SH       DEFINED      2                  188,021
SYSCO CORP                              EQUITY 871829107    9495    305,808 SH       SOLE         1       305,808
SYSTEMAX INC                            EQUITY 871851101      45      7,217 SH       SOLE         1         7,217
TAIWAN SEMICONDUCTOR MFG LTD            EQUITY 874039100   15733  1,587,600 SH       DEFINED      2                1,587,600
TAKE-TWO INTERACTIVE SOFTWAR            EQUITY 874054109    1940    109,600 SH       DEFINED      2                  109,600
TAKE-TWO INTERACTIVE SOFTWAR            EQUITY 874054109      28      1,610 SH       SOLE         1         1,610
TAL INTL GROUP INC                      EQUITY 874083108      17        827 SH       SOLE         1           827
TALBOTS INC                             EQUITY 874161102     479     17,201 SH       SOLE         1        17,201
TALEO CORP                              EQUITY 87424N104       7        522 SH       SOLE         1           522
TALISMAN ENERGY INC                     EQUITY 87425E103    8015    151,700 SH       DEFINED      1             0    151,700
TALK AMERICA * HLDGS INC                EQUITY 87426R202     193     22,410 SH       SOLE         1        22,410
TALX CORP                               EQUITY 874918105     384      8,400 SH       DEFINED      2                    8,400
TALX CORP                               EQUITY 874918105     653     14,276 SH       SOLE         1        14,276
TANGER FACTORY OUTLET CTRS I            EQUITY 875465106     602     20,954 SH       SOLE         1        20,954
TANOX INC                               EQUITY 87588Q109     301     18,373 SH       SOLE         1        18,373
TARGET CORP                             EQUITY 87612E106     178      3,246 SH       DEFINED      2                    3,246
TARGET CORP                             EQUITY 87612E106   38844    706,640 SH       SOLE         1       706,640
TARRAGON CORP                           EQUITY 876287103     167      8,084 SH       SOLE         1         8,084
TASER INTL INC                          EQUITY 87651B104     319     45,880 SH       SOLE         1        45,880
TAUBMAN CTRS INC                        EQUITY 876664103    1323     38,059 SH       SOLE         1        38,059
TAYLOR CAP GROUP INC                    EQUITY 876851106     137      3,385 SH       SOLE         1         3,385
TCF FINL CORP                           EQUITY 872275102    6190    228,068 SH       SOLE         1       228,068
TD BANKNORTH INC                        EQUITY 87235A101     165      5,680 SH       SOLE         1         5,680
TECH DATA CORP                          EQUITY 878237106    4488    113,311 SH       SOLE         1       113,311
TECHNE CORP                             EQUITY 878377100    2033     36,200 SH       DEFINED      2                   36,200
TECHNE CORP                             EQUITY 878377100    4519     80,583 SH       SOLE         1        80,583
TECHNICAL OLYMPIC USA INC               EQUITY 878483106     251     11,882 SH       SOLE         1        11,882
TECHNITROL INC                          EQUITY 878555101     520     30,385 SH       SOLE         1        30,385
TECHNOLOGY INVT CAP CORP                EQUITY 878717305     151     10,003 SH       SOLE         1        10,003
TECO ENERGY INC                         EQUITY 872375100      13        768 SH       DEFINED      2                      768
TECO ENERGY INC                         EQUITY 872375100    1685     98,075 SH       SOLE         1        98,075
TECUMSEH PRODS CO                       EQUITY 878895200    1123     48,918 SH       SOLE         1        48,918
TEJON RANCH CO DEL                      EQUITY 879080109     260      6,525 SH       SOLE         1         6,525
TEKELEC                                 EQUITY 879101103    5485    394,600 SH       DEFINED      2                  394,600
TEKELEC                                 EQUITY 879101103     590     42,428 SH       SOLE         1        42,428





                                                                                            
TEKTRONIX INC                           EQUITY 879131100       9        309 SH       DEFINED      2                      309
TEKTRONIX INC                           EQUITY 879131100    1104     39,152 SH       SOLE         1        39,152
TELEDYNE TECHNOLOGIES INC               EQUITY 879360105     192      6,600 SH       DEFINED      2                    6,600
TELEDYNE TECHNOLOGIES INC               EQUITY 879360105     727     24,983 SH       SOLE         1        24,983
TELEFLEX INC                            EQUITY 879369106    5277     81,202 SH       SOLE         1        81,202
TELEFONOS DE MEXICO S A SPON            EQUITY 879403780    4685    189,840 SH       SOLE         1       189,840
TELEPHONE & DATA SYS INC                EQUITY 879433100    7587    210,574 SH       SOLE         1       210,574
TELETECH HOLDINGS INC                   EQUITY 879939106     323     26,770 SH       SOLE         1        26,770
TELEWEST GLOBAL INC                     EQUITY 87956T107    1012     42,486 SH       SOLE         1        42,486
TELIK INC                               EQUITY 87959M109     917     54,000 SH       DEFINED      2                   54,000
TELIK INC                               EQUITY 87959M109     663     39,013 SH       SOLE         1        39,013
TELKONET INC                            EQUITY 879604106     111     26,667 SH       SOLE         1        26,667
TELLABS INC                             EQUITY 879664100      18      1,656 SH       DEFINED      2                    1,656
TELLABS INC                             EQUITY 879664100    4091    375,325 SH       SOLE         3       361,762             3,563
TELLABS INC                             EQUITY 879664100    2479    227,443 SH       SOLE         1       227,443
TEMPLE INLAND INC                       EQUITY 879868107      19        414 SH       DEFINED      2                      414
TEMPLE INLAND INC                       EQUITY 879868107    2371     52,856 SH       SOLE         1        52,856
TEMPUR PEDIC INTL INC                   EQUITY 88023U101      10        900 SH       SOLE         1           900
TENARIS S A                             EQUITY 88031M109    4759     41,562 SH       SOLE         1        41,562
TENET HEALTHCARE * THCARE CORP          EQUITY 88033G100      13      1,734 SH       DEFINED      2                    1,734
TENET HEALTHCARE * THCARE CORP          EQUITY 88033G100    2260    295,082 SH       SOLE         1       295,082
TENNANT CO                              EQUITY 880345103     308      5,916 SH       SOLE         1         5,916
TENNECO INC                             EQUITY 880349105     642     32,739 SH       SOLE         1        32,739
TERADYNE INC                            EQUITY 880770102      11        726 SH       DEFINED      2                      726
TERADYNE INC                            EQUITY 880770102    1335     91,644 SH       SOLE         1        91,644
TERAYON COMMUNICATION SYS               EQUITY 880775101     136     58,962 SH       SOLE         1        58,962
TERCICA INC                             EQUITY 88078L105      60      8,345 SH       SOLE         1         8,345
TEREX CORP                              EQUITY 880779103      88      1,487 SH       SOLE         1         1,487
TERRA INDS INC                          EQUITY 880915103    6105  1,090,121 SH       SOLE         1     1,090,121
TERREMARK WORLDWIDE INC                 EQUITY 881448203     104     22,423 SH       SOLE         1        22,423
TESORO CORP                             EQUITY 881609101     107      1,741 SH       SOLE         1         1,741
TESSERA TECHNOLOGIES INC                EQUITY 88164L100     305     11,800 SH       DEFINED      2                   11,800
TESSERA TECHNOLOGIES INC                EQUITY 88164L100     852     32,967 SH       SOLE         1        32,967
TETRA TECH * INC                        EQUITY 88162G103     616     39,290 SH       SOLE         1        39,290
TETRA TECHNOLOGIES INC DEL              EQUITY 88162F105     777     25,461 SH       SOLE         1        25,461
TEVA PHARMACEUTICAL INDS LTD            EQUITY 881624209    1781     41,400 SH       DEFINED      2                   41,400
TEVA PHARMACEUTICAL INDS LTD            EQUITY 881624209    4288     99,700 SH       SOLE         3        95,900             3,800
TEVA PHARMACEUTICAL INDS LTD            EQUITY 881624209    1315     30,580 SH       SOLE         1        30,580
TEXAS CAPITAL BANCSHARES INC            EQUITY 88224Q107     375     16,771 SH       SOLE         1        16,771
TEXAS INDS INC                          EQUITY 882491103     849     17,029 SH       SOLE         1        17,029
TEXAS INSTRS INC                        EQUITY 882508104   68315  2,130,173 SH       DEFINED      2                2,130,173
TEXAS INSTRS INC                        EQUITY 882508104   28243    880,671 SH       SOLE         1       880,671
TEXAS REGL BANCSHARES INC               EQUITY 882673106    3181    112,406 SH       SOLE         1       112,406
TEXAS ROADHOUSE INC                     EQUITY 882681109    2043    131,400 SH       DEFINED      2                  131,400
TEXAS ROADHOUSE INC                     EQUITY 882681109    1218     78,300 SH       SOLE         3        78,300
TEXAS ROADHOUSE INC                     EQUITY 882681109     492     31,615 SH       SOLE         1        31,615
TEXTRON INC                             EQUITY 883203101      38        489 SH       DEFINED      2                      489
TEXTRON INC                             EQUITY 883203101    4751     61,720 SH       SOLE         1        61,720
THERAVANCE INC                          EQUITY 88338T104     531     23,600 SH       DEFINED      2                   23,600
THERMO ELECTRON CORP                    EQUITY 883556102      18        600 SH       DEFINED      2                      600
THERMO ELECTRON CORP                    EQUITY 883556102    2283     75,767 SH       SOLE         1        75,767
THERMOGENESIS CORP                      EQUITY 883623209     166     34,424 SH       SOLE         1        34,424
THOMAS & BETTS CORP                     EQUITY 884315102    4454    106,150 SH       SOLE         1       106,150
THOR INDS INC                           EQUITY 885160101    3781     94,358 SH       SOLE         1        94,358
THORATEC CORP                           EQUITY 885175307    1293     62,500 SH       SOLE         3        62,500
THORATEC CORP                           EQUITY 885175307     750     36,246 SH       SOLE         1        36,246
THORNBURG MTG INC                       EQUITY 885218107   12603    481,028 SH       SOLE         1       481,028
THQ INC                                 EQUITY 872443403    1111     46,595 SH       SOLE         1        46,595
THRESHOLD PHARMACEUTICAL INC            EQUITY 885807107      62      4,284 SH       SOLE         1         4,284
TIBCO SOFTWARE INC                      EQUITY 88632Q103    1210    162,015 SH       SOLE         1       162,015
TIDEWATER INC                           EQUITY 886423102    5390    121,238 SH       SOLE         1       121,238
TIENS BIOTECH GROUP USA INC             EQUITY 88650T104      11      3,097 SH       SOLE         1         3,097
TIERONE CORP                            EQUITY 88650R108     401     13,621 SH       SOLE         1        13,621
TIFFANY & CO                            EQUITY 886547108      20        525 SH       DEFINED      2                      525





                                                                                            
TIFFANY & CO                            EQUITY 886547108    2988     78,024 SH       SOLE         1        78,024
TIMBERLAND CO                           EQUITY 887100105    3590    110,299 SH       SOLE         1       110,299
TIME WARNER INC                         EQUITY 887317105     300     17,211 SH       DEFINED      2                   17,211
TIME WARNER INC                         EQUITY 887317105   84820  4,863,532 SH       SOLE         1     4,863,532
TIME WARNER TELECOM INC                 EQUITY 887319101     371     37,653 SH       SOLE         1        37,653
TIMKEN CO                               EQUITY 887389104    5330    166,467 SH       SOLE         1       166,467
TITAN INTL INC ILL                      EQUITY 88830M102     199     11,549 SH       SOLE         1        11,549
TITANIUM METALS CORP                    EQUITY 888339207     536      8,475 SH       SOLE         1         8,475
TIVO INC                                EQUITY 888706108     219     42,791 SH       SOLE         1        42,791
TJX COS INC                             EQUITY 872540109      40      1,701 SH       DEFINED      2                    1,701
TJX COS INC                             EQUITY 872540109   43362  1,866,640 SH       SOLE         1     1,866,640
TNS INC                                 EQUITY 872960109     154      8,016 SH       SOLE         1         8,016
TODCO                                   EQUITY 88889T107    7612    200,000 SH       DEFINED      2                  200,000
TODCO                                   EQUITY 88889T107    3117     81,900 SH       SOLE         3        80,200             1,700
TODCO                                   EQUITY 88889T107    1353     35,561 SH       SOLE         1        35,561
TOLL BROTHERS INC                       EQUITY 889478103    8183    236,217 SH       SOLE         1       236,217
TOLLGRADE COMMUNICATIONS INC            EQUITY 889542106    1090     99,700 SH       SOLE         3        99,700
TOMPKINSTRUSTCO INC                     EQUITY 890110109     213      4,759 SH       SOLE         1         4,759
TOO INC                                 EQUITY 890333107     378     13,400 SH       DEFINED      2                   13,400
TOO INC                                 EQUITY 890333107     728     25,793 SH       SOLE         1        25,793
TOOTSIE ROLL INDS INC                   EQUITY 890516107    1981     68,490 SH       SOLE         1        68,490
TOPPS INC                               EQUITY 890786106     198     26,639 SH       SOLE         1        26,639
TORCHMARK CORP                          EQUITY 891027104      21        384 SH       DEFINED      2                      384
TORCHMARK CORP                          EQUITY 891027104    6101    109,722 SH       SOLE         1       109,722
TOREADOR RES CORP                       EQUITY 891050106     227     10,767 SH       SOLE         1        10,767
TORO CO                                 EQUITY 891092108     368      8,400 SH       DEFINED      2                    8,400
TORO CO                                 EQUITY 891092108      42        963 SH       SOLE         1           963
TORONTO DOMINION BK ONT                 EQUITY 891160509    9788    186,684 SH       DEFINED      1             0    186,684
TOTAL SYS SVCS INC                      EQUITY 891906109      93      4,717 SH       SOLE         1         4,717
TOWER OWER GROUP INC                    EQUITY 891777104     276     12,576 SH       SOLE         1        12,576
TOWN & CTRY TR SH BEN INT               EQUITY 892081100     446     13,187 SH       SOLE         1        13,187
TRACTOR SUPPLY CO                       EQUITY 892356106    1305     24,652 SH       SOLE         1        24,652
TRADESTATION GROUP INC                  EQUITY 89267P105     186     14,991 SH       SOLE         1        14,991
TRAMMELL CROW CO                        EQUITY 89288R106     672     26,200 SH       SOLE         1        26,200
TRANS WORLD ENTMT CORP                  EQUITY 89336Q100      83     14,504 SH       SOLE         1        14,504
TRANSACTION SYS ARCHITECTS              EQUITY 893416107     334     11,600 SH       DEFINED      2                   11,600
TRANSACTION SYS ARCHITECTS              EQUITY 893416107    2931    101,798 SH       SOLE         1       101,798
TRANSATLANTIC HLDGS INC                 EQUITY 893521104      53        784 SH       SOLE         1           784
TRANSATLANTIC HLDGS INC                 EQUITY 893521104 2627027 39,092,662 SH       SOLE         1    39,092,662
TRANSMONTAIGNE INC                      EQUITY 893934109     209     31,737 SH       SOLE         1        31,737
TRANSOCEAN INC                          EQUITY G90078109   21285    305,418 SH       DEFINED      2                  305,418
TRANSOCEAN INC                          EQUITY G90078109   10124    145,266 SH       SOLE         1       145,266
TRANSWITCH CORP                         EQUITY 894065101     142     77,796 SH       SOLE         1        77,796
TRAVELERS PPTY CAS CORP  NT CV JR 2032  BONDS  89420G307    3348    134,500 SH       SOLE         1       134,500
TRAVELZOO INC                           EQUITY 89421Q106      58      2,615 SH       SOLE         1         2,615
TREDEGAR CORP                           EQUITY 894650100     277     21,518 SH       SOLE         1        21,518
TREEHOUSE FOODS INC                     EQUITY 89469A104      17        912 SH       SOLE         1           912
TREX INC                                EQUITY 89531P105     243      8,650 SH       SOLE         1         8,650
TRI VY CORP                             EQUITY 895735108     130     16,703 SH       SOLE         1        16,703
TRIAD GTY INC                           EQUITY 895925105     295      6,703 SH       SOLE         1         6,703
TRIAD HOSPITALS INC                     EQUITY 89579K109     934     23,800 SH       SOLE         3        22,400             1,400
TRIAD HOSPITALS INC                     EQUITY 89579K109    6767    172,501 SH       SOLE         1       172,501
TRIARC COS INC                          EQUITY 895927309     488     32,884 SH       SOLE         1        32,884
TRIBUNE CO                              EQUITY 896047107      29        966 SH       DEFINED      2                      966
TRIBUNE CO                              EQUITY 896047107   13347    441,088 SH       SOLE         1       441,088
TRICO BANCSHARES                        EQUITY 896095106     212      9,080 SH       SOLE         1         9,080
TRICO MARINE SERVICES INC               EQUITY 896106200   31972  1,229,700 SH       SOLE         1     1,229,700
TRIDENT MICROSYSTEMS INC                EQUITY 895919108     684     38,001 SH       SOLE         1        38,001
TRIMBLE NAVIGATION LTD                  EQUITY 896239100     148      4,177 SH       SOLE         1         4,177
TRIMERIS INC                            EQUITY 896263100     153     13,315 SH       SOLE         1        13,315
TRINITY INDS INC                        EQUITY 896522109    5158    117,049 SH       SOLE         1       117,049
TRIPATH IMAGING INC                     EQUITY 896942109     137     22,699 SH       SOLE         1        22,699
TRIQUINT SEMICONDUCTOR INC              EQUITY 89674K103    1696    381,032 SH       SOLE         1       381,032
TRIUMPH GROUP INC                       EQUITY 896818101     437     11,932 SH       SOLE         1        11,932





                                                                                            
TRIZEC PROPERTIES INC                   EQUITY 89687P107      64      2,775 SH       SOLE         1         2,775
TRIZETTO GROUP INC                      EQUITY 896882107     540     31,810 SH       SOLE         1        31,810
TRM CORP                                EQUITY 872636105      62      8,276 SH       SOLE         1         8,276
TRONOX INC                              EQUITY 897051108      16      1,255 SH       SOLE         1         1,255
TRUE RELIGION APPAREL INC               EQUITY 89784N104     249     16,200 SH       DEFINED      2                   16,200
TRUE RELIGION APPAREL INC               EQUITY 89784N104    3839    249,300 SH       SOLE         3       249,300
TRUSTCO BK CORP N Y                     EQUITY 898349105     702     56,499 SH       SOLE         1        56,499
TRUSTMARK CORP                          EQUITY 898402102     975     35,503 SH       SOLE         1        35,503
TRUSTREET PPTYS INC                     EQUITY 898404108     636     43,472 SH       SOLE         1        43,472
TRW AUTOMOTIVE * OMOTIVE HLDGS CORP     EQUITY 87264S106      34      1,293 SH       SOLE         1         1,293
TTM TECHNOLOGIES INC                    EQUITY 87305R109     291     30,976 SH       SOLE         1        30,976
TUESDAY MORNING CORP                    EQUITY 899035505     406     19,397 SH       SOLE         1        19,397
TUPPERWARE BRANDS CORP                  EQUITY 899896104    3258    145,457 SH       SOLE         1       145,457
TURBOCHEF TECHNOLOGIES INC              EQUITY 900006206     138      9,605 SH       SOLE         1         9,605
TXU CORP                                EQUITY 873168108      89      1,782 SH       DEFINED      2                    1,782
TXU CORP                                EQUITY 873168108   10665    212,494 SH       SOLE         1       212,494
TYCO INTL LTD                           EQUITY 902124106     214      7,431 SH       DEFINED      2                    7,431
TYCO INTL LTD                           EQUITY 902124106   55725  1,930,871 SH       SOLE         1     1,930,871
TYLER TECHNOLOGIES INC                  EQUITY 902252105     233     26,508 SH       SOLE         1        26,508
TYSON FOODS INC                         EQUITY 902494103      16        930 SH       DEFINED      2                      930
TYSON FOODS INC                         EQUITY 902494103    3652    213,589 SH       SOLE         1       213,589
U S B HLDG INC                          EQUITY 902910108     188      8,677 SH       SOLE         1         8,677
U S G CORP                              EQUITY 903293405     227      3,489 SH       SOLE         1         3,489
U S PHYSICAL THERAPY INC                EQUITY 90337L108     165      8,924 SH       SOLE         1         8,924
U S XPRESS ENTERPRISES INC              EQUITY 90338N103     131      7,514 SH       SOLE         1         7,514
U STORE IT TR                           EQUITY 91274F104    2577    122,418 SH       SOLE         1       122,418
UAP HLDG CORP                           EQUITY 903441103     513     25,112 SH       SOLE         1        25,112
UBIQUITEL INC                           EQUITY 903474302     564     57,040 SH       SOLE         1        57,040
UCBH HOLDINGS INC                       EQUITY 90262T308    1228     68,694 SH       SOLE         1        68,694
UGI CORP                                EQUITY 902681105      64      3,121 SH       SOLE         1         3,121
UICI                                    EQUITY 902737105    2005     56,468 SH       SOLE         1        56,468
UIL HLDG CORP                           EQUITY 902748102     506     10,996 SH       SOLE         1        10,996
ULTICOM INC                             EQUITY 903844108      95      9,657 SH       SOLE         1         9,657
ULTIMATE SOFTWARE GROUP INC             EQUITY 90385D107     325     17,065 SH       SOLE         1        17,065
ULTRA PETROLEUM CORP                    EQUITY 903914109    8258    148,000 SH       DEFINED      2                  148,000
ULTRALIFE BATTERIES INC                 EQUITY 903899102     130     10,822 SH       SOLE         1        10,822
ULTRATECH INC                           EQUITY 904034105     295     17,959 SH       SOLE         1        17,959
UMB FINL CORP                           EQUITY 902788108     749     11,725 SH       SOLE         1        11,725
UMPQUA HLDGS CORP                       EQUITY 904214103     952     33,374 SH       SOLE         1        33,374
UNDER ARMOUR INC                        EQUITY 904311107      32        825 SH       SOLE         1           825
UNIBANCO-UNIAO DE BANCOS BRA            EQUITY 90458E107   14062    221,210 SH       SOLE         1       221,210
UNICA CORP                              EQUITY 904583101      43      3,581 SH       SOLE         1         3,581
UNIFIRST CORP MASS                      EQUITY 904708104     217      6,970 SH       SOLE         1         6,970
UNION BANKSHARES CORP                   EQUITY 905399101     283      6,574 SH       SOLE         1         6,574
UNION DRILLING INC                      EQUITY 90653P105       9        633 SH       SOLE         1           633
UNION PAC CORP                          EQUITY 907818108      79        978 SH       DEFINED      2                      978
UNION PAC CORP                          EQUITY 907818108    9410    116,876 SH       SOLE         1       116,876
UNIONBANCAL CORP                        EQUITY 908906100     243      3,533 SH       SOLE         1         3,533
UNISOURCE ENERGY CORP                   EQUITY 909205106     810     25,948 SH       SOLE         1        25,948
UNISYS CORP                             EQUITY 909214108       7      1,260 SH       DEFINED      2                    1,260
UNISYS CORP                             EQUITY 909214108     938    160,847 SH       SOLE         1       160,847
UNIT CORP                               EQUITY 909218109     572     10,400 SH       DEFINED      2                   10,400
UNIT CORP                               EQUITY 909218109     170      3,093 SH       SOLE         1         3,093
UNITED AUTO GROUP INC                   EQUITY 909440109     766     20,062 SH       SOLE         1        20,062
UNITED BANKSHARES INC WEST V            EQUITY 909907107     990     28,094 SH       SOLE         1        28,094
UNITED CAPITAL CORP                     EQUITY 909912107      54      2,173 SH       SOLE         1         2,173
UNITED CMNTY BKS BLAIRSVLE G CAP STK    EQUITY 90984P105     632     23,720 SH       SOLE         1        23,720
UNITED CMNTY FINL CORP OHIO             EQUITY 909839102     240     20,301 SH       SOLE         1        20,301
UNITED DOMINION REALTY TR IN            EQUITY 910197102    6443    274,889 SH       SOLE         1       274,889
UNITED FINANCIAL BANCORP INC            EQUITY 91030R103      69      6,019 SH       SOLE         1         6,019
UNITED FIRE & CAS CO                    EQUITY 910331107     516     12,772 SH       SOLE         1        12,772
UNITED INDL CORP                        EQUITY 910671106     414     10,000 SH       DEFINED      2                   10,000
UNITED INDL CORP                        EQUITY 910671106    1874     45,300 SH       SOLE         3        45,300
UNITED INDL CORP                        EQUITY 910671106     305      7,366 SH       SOLE         1         7,366





                                                                                            
UNITED NAT FOODS INC                    EQUITY 911163103     810     30,684 SH       SOLE         1        30,684
UNITED ONLINE INC                       EQUITY 911268100     654     46,001 SH       SOLE         1        46,001
UNITED PANAM FINANCIAL CP               EQUITY 911301109      97      3,743 SH       SOLE         1         3,743
UNITED PARCEL SERVICE INC               EQUITY 911312106     408      5,432 SH       DEFINED      2                    5,432
UNITED PARCEL SERVICE INC               EQUITY 911312106   53352    709,938 SH       SOLE         1       709,938
UNITED RENTALS INC                      EQUITY 911363109    4277    182,854 SH       SOLE         1       182,854
UNITED SEC BANCSHARES INC               EQUITY 911459105     116      4,338 SH       SOLE         1         4,338
UNITED STATES CELLULAR CORP             EQUITY 911684108    5486    208,928 SH       SOLE         1       208,928
UNITED STATES STL CORP                  EQUITY 912909108      20        420 SH       DEFINED      2                      420
UNITED STATES STL CORP                  EQUITY 912909108    3747     77,946 SH       SOLE         1        77,946
UNITED STATIONERS INC                   EQUITY 913004107    1209     24,929 SH       SOLE         1        24,929
UNITED SURGICAL PARTNERS INT            EQUITY 913016309    4321    134,400 SH       DEFINED      2                  134,400
UNITED SURGICAL PARTNERS INT            EQUITY 913016309    1044     32,467 SH       SOLE         1        32,467
UNITED TECHNOLOGIES CORP                EQUITY 913017109   10302    184,259 SH       DEFINED      2                  184,259
UNITED TECHNOLOGIES CORP                EQUITY 913017109    2236     40,000 SH       SOLE         4        40,000
UNITED TECHNOLOGIES CORP                EQUITY 913017109   25118    449,263 SH       SOLE         1       449,263
UNITED THERAPEUTICS CORP DEL            EQUITY 91307C102     442      6,400 SH       DEFINED      2                    6,400
UNITED THERAPEUTICS CORP DEL            EQUITY 91307C102    1174     16,988 SH       SOLE         1        16,988
UNITEDHEALTH GROUP INC                  EQUITY 91324P102   39466    635,112 SH       DEFINED      2                  635,112
UNITEDHEALTH GROUP INC                  EQUITY 91324P102   59375    955,498 SH       SOLE         1       955,498
UNITRIN INC                             EQUITY 913275103    4112     91,267 SH       SOLE         1        91,267
UNIVERSAL AMERN FINL CORP               EQUITY 913377107     296     19,656 SH       SOLE         1        19,656
UNIVERSAL COMPRESSION HLDGS             EQUITY 913431102     549     13,348 SH       SOLE         1        13,348
UNIVERSAL CORP VA                       EQUITY 913456109    3952     91,141 SH       SOLE         1        91,141
UNIVERSAL DISPLAY CORP                  EQUITY 91347P105     185     17,646 SH       SOLE         1        17,646
UNIVERSAL ELECTRS INC                   EQUITY 913483103     175     10,171 SH       SOLE         1        10,171
UNIVERSAL FST PRODS INC                 EQUITY 913543104     661     11,960 SH       SOLE         1        11,960
UNIVERSAL HEALTH RLTY INCM T SH BEN INT EQUITY 91359E105     277      8,831 SH       SOLE         1         8,831
UNIVERSAL HLTH SVCS INC                 EQUITY 913903100    5096    109,019 SH       SOLE         1       109,019
UNIVERSAL TECHNICAL INST INC            EQUITY 913915104     497     16,060 SH       SOLE         1        16,060
UNIVERSAL TRUCKLOAD SVCS INC            EQUITY 91388P105      96      4,174 SH       SOLE         1         4,174
UNIVEST CORP PA                         EQUITY 915271100     209      8,621 SH       SOLE         1         8,621
UNIVISION COMMUNICATIONS INC            EQUITY 914906102    2405     81,825 SH       DEFINED      2                   81,825
UNIVISION COMMUNICATIONS INC            EQUITY 914906102    7904    268,934 SH       SOLE         1       268,934
UNIZAN FINANCIAL CORP                   EQUITY 91528W101     441     16,593 SH       SOLE         1        16,593
UNUMPROVIDENT CORP                      EQUITY 91529Y106      25      1,101 SH       DEFINED      2                    1,101
UNUMPROVIDENT CORP                      EQUITY 91529Y106    3194    140,409 SH       SOLE         1       140,409
URBAN OUTFITTERS INC                    EQUITY 917047102   18689    738,400 SH       DEFINED      2                  738,400
URBAN OUTFITTERS INC                    EQUITY 917047102    5920    233,910 SH       SOLE         1       233,910
URS CORP                                EQUITY 903236107    1153     30,646 SH       SOLE         1        30,646
URSTADT BIDDLE PPTYS INS                EQUITY 917286205     256     15,804 SH       SOLE         1        15,804
US BANCORP DEL                          EQUITY 902973304   12766    427,105 SH       DEFINED      2                  427,105
US BANCORP DEL                          EQUITY 902973304    1793     60,000 SH       SOLE         4        60,000
US BANCORP DEL                          EQUITY 902973304   52842  1,767,872 SH       SOLE         1     1,767,872
USA MOBILITY INC                        EQUITY 90341G103     562     20,257 SH       SOLE         1        20,257
USA TRUCK INC                           EQUITY 902925106     137      4,697 SH       SOLE         1         4,697
USANA HEALTH SCIENCES INC               EQUITY 90328M107     297      7,730 SH       SOLE         1         7,730
USEC INC                                EQUITY 90333E108     773     64,651 SH       SOLE         1        64,651
USI HLDGS CORP                          EQUITY 90333H101     469     34,039 SH       SOLE         1        34,039
UST INC                                 EQUITY 902911106      25        603 SH       DEFINED      2                      603
UST INC                                 EQUITY 902911106   20030    490,578 SH       SOLE         1       490,578
UTSTARCOM INC                           EQUITY 918076100    2283    283,262 SH       SOLE         1       283,262
V F CORP                                EQUITY 918204108      18        327 SH       DEFINED      2                      327
V F CORP                                EQUITY 918204108    2390     43,184 SH       SOLE         1        43,184
VAIL RESORTS INC                        EQUITY 91879Q109     763     23,103 SH       SOLE         1        23,103
VALASSIS COMMUNICATIONS INC             EQUITY 918866104    3826    131,612 SH       SOLE         1       131,612
VALEANT PHARMACEUTICALS INTL            EQUITY 91911X104    3350    185,262 SH       SOLE         1       185,262
VALENCE TECHNOLOGY INC                  EQUITY 918914102      51     33,054 SH       SOLE         1        33,054
VALERO ENERGY CORP                      EQUITY 91913Y100     117      2,259 SH       DEFINED      2                    2,259
VALERO ENERGY CORP                      EQUITY 91913Y100   15479    299,973 SH       SOLE         1       299,973
VALHI INC                               EQUITY 918905100       5        281 SH       SOLE         1           281
VALLEY NATL BANCORP                     EQUITY 919794107      79      3,265 SH       SOLE         1         3,265
VALMONT INDS INC                        EQUITY 920253101     432     12,918 SH       SOLE         1        12,918
VALOR COMMUNICATIONS GROUP I            EQUITY 920255106    6693    587,140 SH       SOLE         1       587,140





                                                                                            
VALSPAR CORP                            EQUITY 920355104    5014    203,262 SH       SOLE         1       203,262
VALUE LINE INC                          EQUITY 920437100      36      1,009 SH       SOLE         1         1,009
VALUECLICK INC                          EQUITY 92046N102     279     15,400 SH       DEFINED      2                   15,400
VALUECLICK INC                          EQUITY 92046N102    1188     65,582 SH       SOLE         1        65,582
VALUEVISION MEDIA INC                   EQUITY 92047K107     258     20,509 SH       SOLE         1        20,509
VARIAN * ARIAN SEMICONDUCTOR EQUIPMN    EQUITY 922207105    1214     27,641 SH       SOLE         1        27,641
VARIAN INC                              EQUITY 922206107    3409     85,663 SH       SOLE         1        85,663
VARIAN MED SYS INC                      EQUITY 92220P105     272      5,400 SH       SOLE         3         5,100               300
VARIAN MED SYS INC                      EQUITY 92220P105   13240    263,014 SH       SOLE         1       263,014
VASCO DATA SEC INTL INC                 EQUITY 92230Y104    2504    254,000 SH       SOLE         3       254,000
VASCO DATA SEC INTL INC                 EQUITY 92230Y104     177     17,978 SH       SOLE         1        17,978
VCA ANTECH INC                          EQUITY 918194101    4656    165,113 SH       SOLE         1       165,113
VECTOR GROUP LTD                        EQUITY 92240M108     363     19,983 SH       SOLE         1        19,983
VECTREN CORP                            EQUITY 92240G101    7181    264,410 SH       SOLE         1       264,410
VEECO INSTRS INC DEL                    EQUITY 922417100     343     19,772 SH       SOLE         1        19,772
VENTANA MED SYS INC                     EQUITY 92276H106    1814     42,829 SH       SOLE         1        42,829
VENTAS INC                              EQUITY 92276F100      73      2,272 SH       SOLE         1         2,272
VENTIV HEALTH INC                       EQUITY 922793104     298     12,600 SH       DEFINED      2                   12,600
VENTIV HEALTH INC                       EQUITY 922793104     474     20,068 SH       SOLE         1        20,068
VERIFONE HLDGS INC                      EQUITY 92342Y109     472     18,659 SH       SOLE         1        18,659
VERINT SYS INC                          EQUITY 92343X100     339      9,825 SH       SOLE         1         9,825
VERISIGN INC                            EQUITY 92343E102     460     21,019 SH       SOLE         1        21,019
VERITAS DGC INC                         EQUITY 92343P107     298      8,400 SH       DEFINED      2                    8,400
VERITAS DGC INC                         EQUITY 92343P107     902     25,420 SH       SOLE         1        25,420
VERIZON COMMUNICATIONS                  EQUITY 92343V104   11698    388,370 SH       DEFINED      2                  388,370
VERIZON COMMUNICATIONS                  EQUITY 92343V104     753     25,000 SH       SOLE         4        25,000
VERIZON COMMUNICATIONS                  EQUITY 92343V104   90666  3,010,146 SH       SOLE         1     3,010,146
VERTEX PHARMACEUTICALS INC              EQUITY 92532F100     360     13,000 SH       DEFINED      2                   13,000
VERTEX PHARMACEUTICALS INC              EQUITY 92532F100   16558    598,403 SH       SOLE         1       598,403
VERTRUE INC                             EQUITY 92534N101     202      5,717 SH       SOLE         1         5,717
VIACELL INC                             EQUITY 92554J105      33      5,908 SH       SOLE         1         5,908
VIACOM INC                              EQUITY 925524308     186      5,706 SH       DEFINED      2                    5,706
VIACOM INC                              EQUITY 925524308   34578  1,060,671 SH       SOLE         1     1,060,671
VIAD CORP                               EQUITY 92552R406     490     16,719 SH       SOLE         1        16,719
VIASAT INC                              EQUITY 92552V100     433     16,205 SH       SOLE         1        16,205
VIASYS HEALTHCARE INC                   EQUITY 92553Q209     602     23,409 SH       SOLE         1        23,409
VICOR CORP                              EQUITY 925815102     228     14,396 SH       SOLE         1        14,396
VIGNETTE CORP                           EQUITY 926734401     356     21,846 SH       SOLE         1        21,846
VINEYARD NATL BANCORP                   EQUITY 927426106     181      5,854 SH       SOLE         1         5,854
VINTAGE PETE INC                        EQUITY 927460105    3573     66,992 SH       SOLE         1        66,992
VIRAGE LOGIC CORP                       EQUITY 92763R104     101     10,229 SH       SOLE         1        10,229
VIRGINIA COMM BANCORP INC               EQUITY 92778Q109     199      6,852 SH       SOLE         1         6,852
VIRGINIA FINL GROUP INC                 EQUITY 927810101     194      5,378 SH       SOLE         1         5,378
VIROPHARMA INC                          EQUITY 928241108     345     18,600 SH       DEFINED      2                   18,600
VISHAY INTERTECHNOLOGY INC              EQUITY 928298108    5072    368,612 SH       SOLE         1       368,612
VISTACARE INC                           EQUITY 92839Y109     104      8,281 SH       SOLE         1         8,281
VISTEON CORP                            EQUITY 92839U107       3        474 SH       DEFINED      2                      474
VISTEON CORP                            EQUITY 92839U107    1120    178,848 SH       SOLE         1       178,848
VITAL IMAGES INC                        EQUITY 92846N104     241      9,210 SH       SOLE         1         9,210
VITAL SIGNS INC                         EQUITY 928469105     177      4,128 SH       SOLE         1         4,128
VITESSE SEMICONDUCTOR CORP              EQUITY 928497106     315    163,855 SH       SOLE         1       163,855
VNUS MED TECHNOLOGIES INC               EQUITY 928566108      32      3,859 SH       SOLE         1         3,859
VOCUS INC                               EQUITY 92858J108    1697    162,900 SH       SOLE         3       162,900
VOLCOM INC                              EQUITY 92864N101     279      8,200 SH       DEFINED      2                    8,200
VOLCOM INC                              EQUITY 92864N101     120      3,526 SH       SOLE         1         3,526
VOLT INFORMATION SCIENCES IN            EQUITY 928703107     115      6,040 SH       SOLE         1         6,040
VOLTERRA SEMICONDUCTOR CORP             EQUITY 928708106     172     11,439 SH       SOLE         1        11,439
VORNADO RLTY TR SH BEN INT              EQUITY 929042109      36        435 SH       DEFINED      2                      435
VORNADO RLTY TR SH BEN INT              EQUITY 929042109    4641     55,606 SH       SOLE         1        55,606
VULCAN MATLS CO                         EQUITY 929160109      25        375 SH       DEFINED      2                      375
VULCAN MATLS CO                         EQUITY 929160109    3206     47,319 SH       SOLE         1        47,319
W & T OFFSHORE INC                      EQUITY 92922P106     280      9,509 SH       SOLE         1         9,509
W HLDG CO INC                           EQUITY 929251106     675     82,025 SH       SOLE         1        82,025
WABASH NATL CORP                        EQUITY 929566107     445     23,365 SH       SOLE         1        23,365





                                                                                            
WABTEC CORP                             EQUITY 929740108     500     18,600 SH       DEFINED      2                   18,600
WABTEC CORP                             EQUITY 929740108     946     35,168 SH       SOLE         1        35,168
WACHOVIA CORP 2ND                       EQUITY 929903102     303      5,736 SH       DEFINED      2                    5,736
WACHOVIA CORP 2ND                       EQUITY 929903102    2114     40,000 SH       SOLE         4        40,000
WACHOVIA CORP 2ND                       EQUITY 929903102   36592    692,242 SH       SOLE         1       692,242
WADDELL & REED FINL INC                 EQUITY 930059100    4669    222,657 SH       SOLE         1       222,657
WAL MART STORES INC                     EQUITY 931142103   28548    609,996 SH       DEFINED      2                  609,996
WAL MART STORES INC                     EQUITY 931142103   68199  1,457,252 SH       SOLE         1     1,457,252
WALGREEN CO                             EQUITY 931422109     165      3,735 SH       DEFINED      2                    3,735
WALGREEN CO                             EQUITY 931422109   19656    444,095 SH       SOLE         1       444,095
WALTER INDS INC                         EQUITY 93317Q105    1409     28,341 SH       SOLE         1        28,341
WARNACO GROUP INC                       EQUITY 934390402     928     34,726 SH       SOLE         1        34,726
WARNER MUSIC GROUP CORP                 EQUITY 934550104      19        977 SH       SOLE         1           977
WARREN RES INC                          EQUITY 93564A100     257     16,220 SH       SOLE         1        16,220
WASHINGTON FED INC                      EQUITY 938824109    4012    174,520 SH       SOLE         1       174,520
WASHINGTON GROUP INTL INC               EQUITY 938862208    1035     19,541 SH       SOLE         1        19,541
WASHINGTON MUT INC                      EQUITY 939322103     158      3,642 SH       DEFINED      2                    3,642
WASHINGTON MUT INC                      EQUITY 939322103   25340    582,537 SH       SOLE         1       582,537
WASHINGTON POST CO                      EQUITY 939640108    9215     12,046 SH       SOLE         1        12,046
WASHINGTON REAL ESTATE INVT SH BEN INT  EQUITY 939653101     958     31,550 SH       SOLE         1        31,550
WASHINGTON TR BANCORP                   EQUITY 940610108     233      8,897 SH       SOLE         1         8,897
WASTE CONNECTIONS INC                   EQUITY 941053100    1211     35,150 SH       SOLE         1        35,150
WASTE INDUSTRIES USA INC                EQUITY 941057101      57      4,390 SH       SOLE         1         4,390
WASTE MGMT INC DEL                      EQUITY 94106L109      62      2,037 SH       DEFINED      2                    2,037
WASTE MGMT INC DEL                      EQUITY 94106L109   13658    450,000 SH       SOLE         1       450,000
WASTE SERVICES INC DEL                  EQUITY 941075103     160     47,918 SH       SOLE         1        47,918
WATER PIK TECHNOLOGIES INC              EQUITY 94113U100     196      9,142 SH       SOLE         1         9,142
WATERS CORP                             EQUITY 941848103      15        408 SH       DEFINED      2                      408
WATERS CORP                             EQUITY 941848103    1986     52,541 SH       SOLE         1        52,541
WATSCO INC                              EQUITY 942622200     455      7,600 SH       DEFINED      2                    7,600
WATSCO INC                              EQUITY 942622200     963     16,108 SH       SOLE         1        16,108
WATSON PHARMACEUTICALS INC              EQUITY 942683103      12        375 SH       DEFINED      2                      375
WATSON PHARMACEUTICALS INC              EQUITY 942683103    2474     76,092 SH       SOLE         1        76,092
WATSON WYATT & CO HLDGS                 EQUITY 942712100     704     25,223 SH       SOLE         1        25,223
WATTS WATER TECHNOLOGIES INC            EQUITY 942749102     569     18,776 SH       SOLE         1        18,776
WAUSAU PAPER CORP                       EQUITY 943315101     378     31,904 SH       SOLE         1        31,904
WAUWATOSA HLDGS INC                     EQUITY 94348P108       9        765 SH       SOLE         1           765
WCI CMNTYS INC                          EQUITY 92923C104     700     26,063 SH       SOLE         1        26,063
WD-40 CO                                EQUITY 929236107     329     12,517 SH       SOLE         1        12,517
WEATHERFORD INTERNATIONAL LT            EQUITY G95089101      46      1,284 SH       DEFINED      2                    1,284
WEATHERFORD INTERNATIONAL LT            EQUITY G95089101   30066    830,558 SH       SOLE         1       830,558
WEBEX COMMUNICATIONS INC                EQUITY 94767L109     537     24,826 SH       SOLE         1        24,826
WEBMD HEALTH CORP                       EQUITY 94770V102      15        503 SH       SOLE         1           503
WEBMETHODS INC                          EQUITY 94768C108     309     40,032 SH       SOLE         1        40,032
WEBSENSE INC                            EQUITY 947684106    1178     17,944 SH       SOLE         1        17,944
WEBSIDESTORY INC                        EQUITY 947685103     266     14,655 SH       SOLE         1        14,655
WEBSITE PROS INC                        EQUITY 94769V105    1724    197,900 SH       SOLE         3       197,900
WEBSTER FINL CORP CONN                  EQUITY 947890109    5071    108,118 SH       SOLE         1       108,118
WEIGHT WATCHERS INTL INC                EQUITY 948626106      41        824 SH       SOLE         1           824
WEINGARTEN RLTY INVS SH BEN INT         EQUITY 948741103    6099    161,299 SH       SOLE         1       161,299
WEIS MKTS INC                           EQUITY 948849104     459     10,676 SH       SOLE         1        10,676
WELLCARE HEALTH PLANS INC               EQUITY 94946T106     571     13,974 SH       SOLE         1        13,974
WELLMAN INC                             EQUITY 949702104     165     24,360 SH       SOLE         1        24,360
WELLPOINT INC                           EQUITY 94973V107   43241    541,936 SH       DEFINED      2                  541,936
WELLPOINT INC                           EQUITY 94973V107   23252    291,410 SH       SOLE         1       291,410
WELLS FARGO & CO                        EQUITY 949746101   10579    168,374 SH       DEFINED      2                  168,374
WELLS FARGO & CO                        EQUITY 949746101   67546  1,075,065 SH       SOLE         1     1,075,065
WENDYS INTL INC                         EQUITY 950590109      24        429 SH       DEFINED      2                      429
WENDYS INTL INC                         EQUITY 950590109    2989     54,084 SH       SOLE         1        54,084
WERNER ENTERPRISES INC                  EQUITY 950755108    2768    140,498 SH       SOLE         1       140,498
WESBANCO INC                            EQUITY 950810101     518     17,047 SH       SOLE         1        17,047
WESCO FINL CORP                         EQUITY 950817106      19         50 SH       SOLE         1            50
WESCO INTL INC                          EQUITY 95082P105     436     10,200 SH       DEFINED      2                   10,200
WESCO INTL INC                          EQUITY 95082P105    1029     24,087 SH       SOLE         1        24,087





                                                                                            
WEST BANCORPORATION INC CAP STK         EQUITY 95123P106     235     12,541 SH       SOLE         1        12,541
WEST COAST BANCORP ORE                  EQUITY 952145100     294     11,113 SH       SOLE         1        11,113
WEST CORP                               EQUITY 952355105     481     11,400 SH       DEFINED      2                   11,400
WEST CORP                               EQUITY 952355105      19        457 SH       SOLE         1           457
WEST MARINE INC                         EQUITY 954235107     143     10,234 SH       SOLE         1        10,234
WEST PHARMACEUTICAL SVSC INC            EQUITY 955306105     584     23,344 SH       SOLE         1        23,344
WESTAMERICA BANCORPORATION              EQUITY 957090103    4677     88,123 SH       SOLE         1        88,123
WESTAR ENERGY INC                       EQUITY 95709T100    3745    174,207 SH       SOLE         1       174,207
WESTCORP INC                            EQUITY 957907108      44        654 SH       SOLE         1           654
WESTELL TECHNOLOGIES INC                EQUITY 957541105     182     40,532 SH       SOLE         1        40,532
WESTERN ALLIANCE BANCORP                EQUITY 957638109      87      2,901 SH       SOLE         1         2,901
WESTERN DIGITAL CORP                    EQUITY 958102105   13435    721,943 SH       SOLE         1       721,943
WESTERN GAS RES INC                     EQUITY 958259103    5410    114,877 SH       SOLE         1       114,877
WESTERN SIERRA BANCORP                  EQUITY 959522103     182      4,990 SH       SOLE         1         4,990
WESTFIELD FINANCIAL INC                 EQUITY 96008D101      78      3,257 SH       SOLE         1         3,257
WESTLAKE CHEM CORP                      EQUITY 960413102     291     10,100 SH       SOLE         1        10,100
WESTWOOD ONE INC                        EQUITY 961815107    2149    131,861 SH       SOLE         1       131,861
WET SEAL INC                            EQUITY 961840105     187     42,170 SH       SOLE         1        42,170
WEYCO GROUP INC                         EQUITY 962149100      83      4,328 SH       SOLE         1         4,328
WEYERHAEUSER CO                         EQUITY 962166104      60        897 SH       DEFINED      2                      897
WEYERHAEUSER CO                         EQUITY 962166104    7122    107,350 SH       SOLE         1       107,350
WFS FINL INC                            EQUITY 92923B106      15        203 SH       SOLE         1           203
WGL HLDGS INC                           EQUITY 92924F106    3994    132,858 SH       SOLE         1       132,858
W-H ENERGY SVCS INC                     EQUITY 92925E108     694     20,987 SH       SOLE         1        20,987
WHEELING PITTSBURGH CORP                EQUITY 963142302      59      6,552 SH       SOLE         1         6,552
WHIRLPOOL CORP                          EQUITY 963320106      21        249 SH       DEFINED      2                      249
WHIRLPOOL CORP                          EQUITY 963320106    2653     31,679 SH       SOLE         1        31,679
WHITING PETE CORP                       EQUITY 966387102     913     22,813 SH       SOLE         1        22,813
WHITNEY HLDG CORP                       EQUITY 966612103      52      1,893 SH       SOLE         1         1,893
WHOLE FOODS MKT INC                     EQUITY 966837106    5549     71,707 SH       SOLE         1        71,707
WILD OATS MARKETS INC                   EQUITY 96808B107     259     21,459 SH       SOLE         1        21,459
WILEY JOHN & SONS INC                   EQUITY 968223206     167      4,270 SH       SOLE         1         4,270
WILLIAMS CLAYTON ENERGY INC             EQUITY 969490101     176      4,224 SH       SOLE         1         4,224
WILLIAMS COS INC DEL                    EQUITY 969457100      49      2,115 SH       DEFINED      2                    2,115
WILLIAMS COS INC DEL                    EQUITY 969457100    6187    267,021 SH       SOLE         1       267,021
WILLIAMS SCOTSMAN INTL INC              EQUITY 96950G102      19      1,112 SH       SOLE         1         1,112
WILLIAMS SONOMA INC                     EQUITY 969904101    1450     33,600 SH       DEFINED      2                   33,600
WILLIAMS SONOMA INC                     EQUITY 969904101    9955    230,703 SH       SOLE         1       230,703
WILMINGTON TRUST CORP                   EQUITY 971807102    5293    136,032 SH       SOLE         1       136,032
WILSHIRE BANCORP INC                    EQUITY 97186T108     199     11,583 SH       SOLE         1        11,583
WILSONS THE LEATHER EXPERTS             EQUITY 972463103      51     14,178 SH       SOLE         1        14,178
WIMM BILL DANN FOODS OJSC               EQUITY 97263M109     973     40,500 SH       SOLE         1        40,500
WIND RIVER SYSTEMS INC                  EQUITY 973149107    2969    201,042 SH       SOLE         1       201,042
WINNEBAGO INDS INC                      EQUITY 974637100     834     25,062 SH       SOLE         1        25,062
WINSTON HOTELS INC                      EQUITY 97563A102     197     19,906 SH       SOLE         1        19,906
WINTRUST FINANCIAL CORP                 EQUITY 97650W108     967     17,617 SH       SOLE         1        17,617
WIRELESS FACILITIES INC                 EQUITY 97653A103     215     42,186 SH       SOLE         1        42,186
WISCONSIN ENERGY CORP                   EQUITY 976657106    9328    238,801 SH       SOLE         1       238,801
WITNESS SYS INC                         EQUITY 977424100    2022    102,800 SH       SOLE         3       102,800
WITNESS SYS INC                         EQUITY 977424100     398     20,256 SH       SOLE         1        20,256
WMS INDS INC                            EQUITY 929297109     401     15,990 SH       SOLE         1        15,990
WOLVERINE WORLD WIDE INC                EQUITY 978097103     976     43,437 SH       SOLE         1        43,437
WOODWARD GOVERNOR CO                    EQUITY 980745103     635      7,386 SH       SOLE         1         7,386
WORLD ACCEP CORP DEL                    EQUITY 981419104     406     14,260 SH       SOLE         1        14,260
WORLD AIR HLDGS INC                     EQUITY 98142V104     171     17,811 SH       SOLE         1        17,811
WORLD FUEL SVCS CORP                    EQUITY 981475106     283      8,400 SH       DEFINED      2                    8,400
WORLD FUEL SVCS CORP                    EQUITY 981475106     685     20,325 SH       SOLE         1        20,325
WORLD WRESTLING ENTMT INC               EQUITY 98156Q108     224     15,285 SH       SOLE         1        15,285
WORLDSPACE INC                          EQUITY 981579105     129      8,915 SH       SOLE         1         8,915
WORTHINGTON INDS INC                    EQUITY 981811102    3709    193,095 SH       SOLE         1       193,095
WPS RESOURCES CORP                      EQUITY 92931B106    4437     80,229 SH       SOLE         1        80,229
WPT ENTERPRISES INC                     EQUITY 98211W108      26      4,307 SH       SOLE         1         4,307
WRIGHT * EXPRESS CORP                   EQUITY 98233Q105     365     16,600 SH       DEFINED      2                   16,600
WRIGHT * EXPRESS CORP                   EQUITY 98233Q105     664     30,172 SH       SOLE         1        30,172





                                                                                            
WRIGHT MED GROUP INC                    EQUITY 98235T107     877     42,998 SH       SOLE         1        42,998
WRIGLEY WM JR CO                        EQUITY 982526105      44        663 SH       DEFINED      2                      663
WRIGLEY WM JR CO                        EQUITY 982526105    5240     78,811 SH       SOLE         1        78,811
WSFS FINL CORP                          EQUITY 929328102     267      4,361 SH       SOLE         1         4,361
WYETH                                   EQUITY 983024100    1712     37,156 SH       DEFINED      2                   37,156
WYETH                                   EQUITY 983024100   27144    589,185 SH       SOLE         1       589,185
WYNN RESORTS LTD                        EQUITY 983134107     433      7,901 SH       SOLE         1         7,901
XCEL ENERGY INC                         EQUITY 98389B100      27      1,488 SH       DEFINED      2                    1,488
XCEL ENERGY INC                         EQUITY 98389B100    3505    189,852 SH       SOLE         1       189,852
XENOPORT INC                            EQUITY 98411C100      67      3,733 SH       SOLE         1         3,733
XERIUM TECHNOLOGIES INC                 EQUITY 98416J100      84     10,032 SH       SOLE         1        10,032
XEROX CORP                              EQUITY 984121103      52      3,546 SH       DEFINED      2                    3,546
XEROX CORP                              EQUITY 984121103    9494    648,034 SH       SOLE         1       648,034
XILINX INC                              EQUITY 983919101      32      1,287 SH       DEFINED      2                    1,287
XILINX INC                              EQUITY 983919101    8247    327,124 SH       SOLE         1       327,124
XL CAP LTD                              EQUITY G98255105      43        645 SH       DEFINED      2                      645
XL CAP LTD                              EQUITY G98255105   25246    485,175 SH       SOLE         1       485,175
XM SATELLITE RADIO HLDGS INC            EQUITY 983759101    1364     50,013 SH       SOLE         1        50,013
X-RITE INC                              EQUITY 983857103     159     15,877 SH       SOLE         1        15,877
XTO ENERGY INC                          EQUITY 98385X106    2432     55,341 SH       DEFINED      2                   55,341
XTO ENERGY INC                          EQUITY 98385X106    9270    210,980 SH       SOLE         1       210,980
YAHOO INC                               EQUITY 984332106   46486  1,186,462 SH       DEFINED      2                1,186,462
YAHOO INC                               EQUITY 984332106    1626     41,500 SH       SOLE         3        41,500
YAHOO INC                               EQUITY 984332106   29332    748,644 SH       SOLE         1       748,644
YANKEE CANDLE INC                       EQUITY 984757104     873     34,094 SH       SOLE         1        34,094
YARDVILLE NATL BANCORP                  EQUITY 985021104     222      6,413 SH       SOLE         1         6,413
YELLOW ROADWAY CORP                     EQUITY 985577105    5199    116,542 SH       SOLE         1       116,542
YOUNG INNOVATIONS INC                   EQUITY 987520103     121      3,563 SH       SOLE         1         3,563
YUM BRANDS INC                          EQUITY 988498101      49      1,044 SH       DEFINED      2                    1,044
YUM BRANDS INC                          EQUITY 988498101    2696     57,500 SH       SOLE         4        57,500
YUM BRANDS INC                          EQUITY 988498101   12286    262,068 SH       SOLE         1       262,068
ZALE CORP                               EQUITY 988858106     953     37,906 SH       SOLE         1        37,906
ZEBRA TECHNOLOGIES CORP                 EQUITY 989207105    6032    140,775 SH       SOLE         1       140,775
ZENITH NATL INS CORP                    EQUITY 989390109     387      8,400 SH       DEFINED      2                    8,400
ZENITH NATL INS CORP                    EQUITY 989390109     834     18,081 SH       SOLE         1        18,081
ZHONE TECHNOLOGIES INC                  EQUITY 98950P108     175     82,498 SH       SOLE         1        82,498
ZIMMER HLDGS INC                        EQUITY 98956P102      62        915 SH       DEFINED      2                      915
ZIMMER HLDGS INC                        EQUITY 98956P102    8070    119,660 SH       SOLE         1       119,660
ZIONS BANCORPORATION                    EQUITY 989701107      29        384 SH       DEFINED      2                      384
ZIONS BANCORPORATION                    EQUITY 989701107    3679     48,687 SH       SOLE         1        48,687
ZIPREALTY INC                           EQUITY 98974V107      44      5,201 SH       SOLE         1         5,201
ZOLL MED CORP                           EQUITY 989922109     181      7,189 SH       SOLE         1         7,189
ZOLTEK COS INC                          EQUITY 98975W104      70      8,019 SH       SOLE         1         8,019
ZORAN CORP                              EQUITY 98975F101     530     32,670 SH       SOLE         1        32,670
ZUMIEZ INC                              EQUITY 989817101     101      2,345 SH       SOLE         1         2,345
ZYMOGENETICS INC                        EQUITY 98985T109     389     22,841 SH       SOLE         1        22,841