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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: March 31, 2010


Check here if Amendment [ ];


  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:  Monika M. Machon

Title: Senior Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Monika M. Machon               New York, New York        May 13, 2010
-------------------------------    ------------------------  ------------
(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: 6,161

Form 13F Information Table Value Total: $10,318,769(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         NEW                      AIG Asset Management (U.S.), LLC

2         28-2725                  SUNAMERICA ASSET MANAGEMENT CORP.

3         28-11910                 FSC SECURITIES CORPORATION

4         28-12857                 SAGEPOINT FINANCIAL, INC.


                            13F SECURITIES - 1Q 2010



                                                                                                          VOTING AUTHORITY
                                   TITLE OF   CUSIP    VALUE    SHARES/  SH/ PUT/ INVESTMENT OTHER ------------------------------
           ISSUER NAME              CLASS     NUMBER  X $1000  PRINCIPAL PRN CALL DISCRETION  MGRS  SOLE (A)  SHARED (B) NONE (C)
           -----------            --------- --------- ------- ---------- --- ---- ---------- ----- ---------- ---------- --------
                                                                                        
1800FLOWERS.COM INCCL A           EQUITY    68243Q106      54     21,410 SH       SOLE           2     21,410         --       --
1ST SOURCE CORP                   EQUITY    336901103     215     12,270 SH       SOLE           2     12,270         --       --
1ST UNITED BANCORP INC FLA        EQUITY    33740N105       4        500 SH       DEFINED        3         --         --      500
3COM CORP                         EQUITY    885535104       8      1,100 SH       DEFINED        4         --         --    1,100
3COM CORP                         EQUITY    885535104   9,129  1,187,122 SH       SOLE           2  1,187,122         --       --
3D SYSTEMS CORP                   EQUITY    88554D205     197     14,462 SH       SOLE           2     14,462         --       --
3M CO                             FIXED
                                     INCOME 88579YAB7       4          4 PRN      DEFINED        3         --         --        4
3M CO                             EQUITY    88579Y101     232      2,780 SH       DEFINED        3         --         --    2,780
3M CO                             EQUITY    88579Y101     239      2,864 SH       DEFINED        4         --         --    2,864
3M CO                             EQUITY    88579Y101  20,721    247,942 SH       SOLE           2    247,942         --       --
3PAR INC                          EQUITY    88580F109     224     22,435 SH       SOLE           2     22,435         --       --
99 CENTS ONLY STORES              EQUITY    65440K106   2,270    139,258 SH       SOLE           2    139,258         --       --
A C MOORE ARTS & CRAFTS INC       EQUITY    00086T103       5      1,590 SH       DEFINED        4         --         --    1,590
A123 SYS INC                      EQUITY    03739T108       2        111 SH       DEFINED        3         --         --      111
A123 SYS INC                      EQUITY    03739T108       3        200 SH       DEFINED        4         --         --      200
A123 SYSTEMS INC                  EQUITY    03739T108       9        635 SH       SOLE           2        635         --       --
AAON INC                          EQUITY       360206     270     11,933 SH       SOLE           2     11,933         --       --
AAR CORP                          EQUITY       361105     904     36,406 SH       SOLE           2     36,406         --       --
AARONS INC                        EQUITY      2535201      13        380 SH       DEFINED        3         --         --      380
AARONS INC                        EQUITY      2535201   4,079    122,349 SH       SOLE           2    122,349         --       --
ABAXIS INC                        EQUITY      2567105     560     20,610 SH       SOLE           2     20,610         --       --
ABB LTD                           EQUITY       375204      27      1,250 SH       DEFINED        3         --         --    1,250
ABB LTD                           EQUITY       375204      95      4,350 SH       DEFINED        4         --         --    4,350
ABBOTT LABORATORIES               EQUITY      2824100  49,099    932,020 SH       SOLE           2    932,020         --       --
ABBOTT LABS                       EQUITY      2824100     162      3,075 SH       DEFINED        3         --         --    3,075
ABBOTT LABS                       EQUITY      2824100     244      4,635 SH       DEFINED        4         --         --    4,635
ABERCROMBIE & FITCH CO            EQUITY      2896207       3         66 SH       DEFINED        4         --         --       66
ABERCROMBIE + FITCH CO CL         EQUITY      2896207   1,382     30,278 SH       SOLE           2     30,278         --       --
ABERDEEN ASIA PACIFIC INCOM       EQUITY      3009107      26      4,000 SH       DEFINED        4         --         --    4,000
ABERDEEN AUSTRALIA EQTY FD I      EQUITY      3011103      12      1,000 SH       DEFINED        4         --         --    1,000
ABINGTON BANCORP INC              EQUITY    00350L109     141     17,869 SH       SOLE           2     17,869         --       --
ABIOMED INC                       EQUITY      3654100     260     25,142 SH       SOLE           2     25,142         --       --
ABM INDUSTRIES INC                EQUITY       957100     918     43,305 SH       SOLE           2     43,305         --       --
ABOVENET INC                      EQUITY    00374N107     534     10,526 SH       SOLE           2     10,526         --       --
ABOVENET INC                      EQUITY    00374N107   7,610    150,000 SH       SOLE           1     150000         --       --
ABRAXIS BIOSCIENCE INC            EQUITY    00383Y102       7        142 SH       SOLE           2        142         --       --
ACACIA RESEARCH  ACACIA TE        EQUITY      3881307     283     26,111 SH       SOLE           2     26,111         --       --
ACADIA REALTY TRUST               EQUITY      4239109     667     37,341 SH       SOLE           2     37,341         --       --
ACCELRYS INC                      EQUITY    00430U103       1        225 SH       DEFINED        3         --         --      225
ACCELRYS INC                      EQUITY    00430U103     137     22,267 SH       SOLE           2     22,267         --       --
ACCENTURE PLC IRELAND             EQUITY    G1151C101      21        500 SH       DEFINED        3         --         --      500
ACCENTURE PLC IRELAND             EQUITY    G1151C101      25        591 SH       DEFINED        4         --         --      591
ACCO BRANDS CORP                  EQUITY    00081T108     341     44,558 SH       SOLE           2     44,558         --       --
ACCURAY INC                       EQUITY      4397105     197     32,382 SH       SOLE           2     32,382         --       --
ACE LTD                           EQUITY    H0023R105      13        258 SH       DEFINED        4         --         --      258
ACETO CORP                        EQUITY      4446100     122     20,233 SH       SOLE           2     20,233         --       --
ACI WORLDWIDE INC                 EQUITY      4498101       6        300 SH       DEFINED        4         --         --      300
ACI WORLDWIDE INC                 EQUITY      4498101   2,153    104,471 SH       SOLE           2    104,471         --       --
ACME PACKET INC                   EQUITY      4764106      33      1,688 SH       DEFINED        3         --         --    1,688
ACME PACKET INC                   EQUITY      4764106     612     31,741 SH       SOLE           2     31,741         --       --
ACORDA THERAPEUTICS INC           EQUITY    00484M106   1,042     30,463 SH       SOLE           2     30,463         --       --
ACTEL CORP                        EQUITY      4934105     346     24,972 SH       SOLE           2     24,972         --       --
ACTIVIDENTITY CORP                EQUITY    00506P103     106     37,422 SH       SOLE           2     37,422         --       --
ACTIVISION BLIZZARD INC           EQUITY    00507V109      36      2,972 SH       DEFINED        4         --         --    2,972
ACTIVISION BLIZZARD INC           EQUITY    00507V109   2,478    205,504 SH       SOLE           2    205,504         --       --
ACTUANT CORPCL A                  EQUITY    00508X203   1,245     63,661 SH       SOLE           2     63,661         --       --
ACTUATE CORPORATION               EQUITY    00508B102     204     36,512 SH       SOLE           2     36,512         --       --
ACUITY BRANDS INC                 EQUITY    00508Y102       3         60 SH       DEFINED        3         --         --       60
ACUITY BRANDS INC                 EQUITY    00508Y102   1,711     40,546 SH       SOLE           2     40,546         --       --
ACURA PHARMACEUTICALS INC         EQUITY    00509L703      36      6,668 SH       SOLE           2      6,668         --       --
ACXIOM CORP                       EQUITY      5125109   4,153    231,497 SH       SOLE           2    231,497         --       --
ADAPTEC INC                       EQUITY    00651F108     380    116,167 SH       SOLE           2    116,167         --       --
ADC TELECOMMUNICATIONS INC        EQUITY       886309   2,150    294,125 SH       SOLE           2    294,125         --       --
ADMINISTAFF INC                   EQUITY      7094105     433     20,301 SH       SOLE           2     20,301         --       --
ADOBE SYS INC                     EQUITY    00724F101      12        335 SH       DEFINED        3         --         --      335
ADOBE SYS INC                     EQUITY    00724F101      15        424 SH       DEFINED        4         --         --      424
ADOBE SYSTEMS INC                 EQUITY    00724F101  12,788    361,557 SH       SOLE           2    361,557         --       --
ADOLOR CORPORATION                EQUITY    00724X102      68     37,848 SH       SOLE           2     37,848         --       --
ADTRAN INC                        EQUITY    00738A106   4,461    169,279 SH       SOLE           2    169,279         --       --
ADVANCE AMERICA CASH ADVAN        EQUITY    00739W107     218     37,466 SH       SOLE           2     37,466         --       --
ADVANCE AUTO PARTS INC            EQUITY    00751Y106   8,724    208,113 SH       SOLE           2    208,113         --       --
ADVANCED ANALOGIC TECHNOLO        EQUITY    00752J108     122     35,063 SH       SOLE           2     35,063         --       --
ADVANCED BATTERY TECHNOLOG        EQUITY    00752H102     177     45,341 SH       SOLE           2     45,341         --       --
ADVANCED ENERGY INDUSTRIES        EQUITY      7973100     523     31,558 SH       SOLE           2     31,558         --       --
ADVANCED MICRO DEVICES            EQUITY      7903107   2,768    298,552 SH       SOLE           2    298,552         --       --
ADVANCED MICRO DEVICES INC        EQUITY      7903107      11      1,214 SH       DEFINED        3         --         --    1,214
ADVANCED MICRO DEVICES INC        EQUITY      7903107     198     21,394 SH       DEFINED        4         --         --   21,394
ADVANTAGE OIL & GAS LTD           EQUITY    00765F101      14      2,100 SH       DEFINED        3         --         --    2,100
ADVANTAGE OIL & GAS LTD           EQUITY    00765F101      44      6,500 SH       DEFINED        4         --         --    6,500
ADVENT CLAY GBL CONV SEC INC      EQUITY      7639107       9        990 SH       DEFINED        3         --         --      990
ADVENT CLAYMORE CV SECS & IN      EQUITY    00764C109       7        400 SH       DEFINED        3         --         --      400
ADVENT CLAYMORE CV SECS & IN      EQUITY    00764C109      34      2,000 SH       DEFINED        4         --         --    2,000
ADVENT CLAYMORE ENH GRW & IN      EQUITY    7.65E+106      25      2,114 SH       DEFINED        4         --         --    2,114
ADVENT SOFTWARE INC               EQUITY      7974108   2,114     47,248 SH       SOLE           2     47,248         --       --
ADVENTRX PHARMACEUTICALS INC      EQUITY    00764X103       2      8,000 SH       DEFINED        3         --         --    8,000
ADVISORY BOARD CO/THE             EQUITY    00762W107     399     12,655 SH       SOLE           2     12,655         --       --
AECOM TECHNOLOGY CORP             EQUITY    00766T100   7,278    256,550 SH       SOLE           2    256,550         --       --





                                                                                        
AECOM TECHNOLOGY CORP DELAWA      EQUITY    00766T100      10        350 SH       DEFINED        4         --         --      350
AEP INDUSTRIES INC                EQUITY      1031103     114      4,371 SH       SOLE           2      4,371         --       --
AERCAP HOLDINGS NV                EQUITY    N00985106       9        800 SH       DEFINED        3         --         --      800
AERCAP HOLDINGS NV                EQUITY    N00985106      24      2,100 SH       DEFINED        4         --         --    2,100
AEROPOSTALE                       EQUITY      7865108       4        150 SH       DEFINED        4         --         --      150
AEROPOSTALE                       EQUITY      7865108       6        225 SH       DEFINED        3         --         --      225
AEROPOSTALE INC                   EQUITY      7865108   6,436    223,225 SH       SOLE           2    223,225         --       --
AEROVIRONMENT INC                 EQUITY      8073108     337     12,912 SH       SOLE           2     12,912         --       --
AES CORP                          EQUITY    00130H105       2        164 SH       DEFINED        4         --         --      164
AES CORP                          EQUITY    00130H105      10        900 SH       DEFINED        3         --         --      900
AES CORP                          EQUITY    00130H105   3,988    362,588 SH       SOLE           2    362,588         --       --
AES TR III                        EQUITY    00808N202      54      1,200 SH       DEFINED        3         --         --    1,200
AES TR III                        EQUITY    00808N202     283      6,266 SH       DEFINED        4         --         --    6,266
AETNA INC                         EQUITY    00817Y108   6,393    182,075 SH       SOLE           2    182,075         --       --
AETNA INC NEW                     EQUITY    00817Y108       1         29 SH       DEFINED        3         --         --       29
AETNA INC NEW                     EQUITY    00817Y108      22        637 SH       DEFINED        4         --         --      637
AFC ENTERPRISES                   EQUITY    00104Q107     222     20,656 SH       SOLE           2     20,656         --       --
AFFILIATED MANAGERS GROUP         EQUITY      8252108  20,990    265,697 SH       SOLE           2    265,697         --       --
AFFYMAX INC                       EQUITY    00826A109     333     14,217 SH       SOLE           2     14,217         --       --
AFFYMETRIX INC                    EQUITY    00826T108   1,586    216,046 SH       SOLE           2    216,046         --       --
AFLAC INC                         EQUITY      1055102      44        818 SH       DEFINED        3         --         --      818
AFLAC INC                         EQUITY      1055102     117      2,160 SH       DEFINED        4         --         --    2,160
AFLAC INC                         EQUITY      1055102  10,364    190,908 SH       SOLE           2    190,908         --       --
AGA MEDICAL HOLDINGS INC          EQUITY      8368102     182     11,204 SH       SOLE           2     11,204         --       --
AGCO CORP                         EQUITY      1084102       4        100 SH       DEFINED        4         --         --      100
AGCO CORP                         EQUITY      1084102   7,499    209,056 SH       SOLE           2    209,056         --       --
AGFEED INDUSTRIES INC             EQUITY    00846L101       3        700 SH       DEFINED        3         --         --      700
AGFEED INDUSTRIES INC             EQUITY    00846L101       4        800 SH       DEFINED        4         --         --      800
AGFEED INDUSTRIES INC             EQUITY    00846L101      99     22,531 SH       SOLE           2     22,531         --       --
AGILENT TECHNOLOGIES INC          EQUITY    00846U101       3         76 SH       DEFINED        3         --         --       76
AGILENT TECHNOLOGIES INC          EQUITY    00846U101      14        400 SH       DEFINED        4         --         --      400
AGILENT TECHNOLOGIES INC          EQUITY    00846U101   6,005    174,610 SH       SOLE           2    174,610         --       --
AGILYSYS INC                      EQUITY    00847J105     170     15,247 SH       SOLE           2     15,247         --       --
AGL RES INC                       EQUITY      1204106      19        500 SH       DEFINED        3         --         --      500
AGL RES INC                       EQUITY      1204106     100      2,585 SH       DEFINED        4         --         --    2,585
AGL RESOURCES INC                 EQUITY      1204106   6,781    175,452 SH       SOLE           2    175,452         --       --
AGNICO EAGLE MINES LTD            EQUITY      8474108      35        626 SH       DEFINED        4         --         --      626
AGREE REALTY CORP                 EQUITY      8492100     133      5,811 SH       SOLE           2      5,811         --       --
AIR METHODS CORP                  EQUITY      9128307     353     10,382 SH       SOLE           2     10,382         --       --
AIR PRODS & CHEMS INC             EQUITY      9158106       2         33 SH       DEFINED        4         --         --       33
AIR PRODS & CHEMS INC             EQUITY      9158106     211      2,853 SH       DEFINED        3         --         --    2,853
AIR PRODUCTS  CHEMICALS IN        EQUITY      9158106   7,581    102,509 SH       SOLE           2    102,509         --       --
AIR TRANSPORT SERVICES GRO        EQUITY    00922R105     153     45,393 SH       SOLE           2     45,393         --       --
AIRCASTLE LTD                     EQUITY    G0129K104     363     38,316 SH       SOLE           2     38,316         --       --
AIRGAS INC                        EQUITY      9363102   1,938     30,468 SH       SOLE           2     30,468         --       --
AIRTRAN HOLDINGS INC              EQUITY    00949P108   2,077    408,933 SH       SOLE           2    408,933         --       --
AIRVANA INC                       EQUITY    00950V101     157     20,484 SH       SOLE           2     20,484         --       --
AK STEEL HOLDING CORP             EQUITY      1547108     876     38,324 SH       SOLE           2     38,324         --       --
AK STL HLDG CORP                  EQUITY      1547108      39      1,701 SH       DEFINED        4         --         --    1,701
AKAMAI TECHNOLOGIES               EQUITY    00971T101   1,838     58,525 SH       SOLE           2     58,525         --       --
AKAMAI TECHNOLOGIES INC           EQUITY    00971T101       8        244 SH       DEFINED        4         --         --      244
AKAMAI TECHNOLOGIES INC           EQUITY    00971T101      10        320 SH       DEFINED        3         --         --      320
AKORN INC                         EQUITY      9728106      70     46,065 SH       SOLE           2     46,065         --       --
ALAMO GROUP INC                   EQUITY     11311107     123      6,132 SH       SOLE           2      6,132         --       --
ALASKA AIR GROUP INC              EQUITY     11659109   4,492    108,961 SH       SOLE           2    108,961         --       --
ALASKA COMM SYSTEMS GROUP         EQUITY    01167P101     293     36,087 SH       SOLE           2     36,087         --       --
ALBANY INTL CORP                  FIXED
                                     INCOME 012348AC2       2          2 PRN      DEFINED        4         --         --        2
ALBANY INTL CORP                  EQUITY     12348108      11        500 SH       DEFINED        3         --         --      500
ALBANY INTL CORPCL A              EQUITY     12348108     548     25,467 SH       SOLE           2     25,467         --       --
ALBANY MOLECULAR RESEARCH         EQUITY     12423109     159     19,094 SH       SOLE           2     19,094         --       --
ALBEMARLE CORP                    EQUITY     12653101   8,803    206,498 SH       SOLE           2    206,498         --       --
ALBERTOCULVER CO                  EQUITY     13078100   5,054    193,282 SH       SOLE           2    193,282         --       --
ALCATEL-LUCENT                    EQUITY     13904305       3        861 SH       DEFINED        3         --         --      861
ALCATEL-LUCENT                    EQUITY     13904305       8      2,638 SH       DEFINED        4         --         --    2,638
ALCOA INC                         EQUITY     13817101     202     14,207 SH       DEFINED        3         --         --   14,207
ALCOA INC                         EQUITY     13817101     613     43,040 SH       DEFINED        4         --         --   43,040
ALCOA INC                         EQUITY     13817101   4,690    329,338 SH       SOLE           2    329,338         --       --
ALCON INC                         EQUITY    H01301102       9         57 SH       DEFINED        4         --         --       57
ALEXANDER  BALDWIN INC            EQUITY     14482103   3,067     92,785 SH       SOLE           2     92,785         --       --
ALEXANDERS INC                    EQUITY     14752109     492      1,644 SH       SOLE           2      1,644         --       --
ALEXANDRIA REAL ESTATE EQ IN      EQUITY     15271109       1         21 SH       DEFINED        4         --         --       21
ALEXANDRIA REAL ESTATE EQU        EQUITY     15271109   6,775    100,215 SH       SOLE           2    100,215         --       --
ALEXCO RESOURCE CORP              EQUITY    01535P106       4      1,252 SH       DEFINED        3         --         --    1,252
ALEXION PHARMACEUTICALS IN        EQUITY     15351109      91      1,679 SH       SOLE           2      1,679         --       --
ALICO INC                         EQUITY     16230104      73      2,907 SH       SOLE           2      2,907         --       --
ALIGN TECHNOLOGY INC              EQUITY     16255101      17        900 SH       DEFINED        4         --         --      900
ALIGN TECHNOLOGY INC              EQUITY     16255101   1,085     56,093 SH       SOLE           2     56,093         --       --
ALKERMES INC                      EQUITY    01642T108     982     75,736 SH       SOLE           2     75,736         --       --
ALLEGHANY CORP                    EQUITY     17175100      44        151 SH       SOLE           2        151         --       --
ALLEGHENY ENERGY INC              EQUITY     17361106       2         90 SH       DEFINED        3         --         --       90
ALLEGHENY ENERGY INC              EQUITY     17361106   2,143     93,169 SH       SOLE           2     93,169         --       --
ALLEGHENY TECHNOLOGIES INC        EQUITY    01741R102     245      4,529 SH       DEFINED        4         --         --    4,529
ALLEGHENY TECHNOLOGIES INC        EQUITY    01741R102   1,847     34,216 SH       SOLE           2     34,216         --       --
ALLEGIANT TRAVEL CO               EQUITY    01748X102     832     14,384 SH       SOLE           2     14,384         --       --
ALLERGAN INC                      EQUITY     18490102     121      1,851 SH       DEFINED        4         --         --    1,851
ALLERGAN INC                      EQUITY     18490102   8,576    131,298 SH       SOLE           2    131,298         --       --
ALLETE INC                        EQUITY     18522300      10        300 SH       DEFINED        3         --         --      300
ALLETE INC                        EQUITY     18522300     926     27,653 SH       SOLE           2     27,653         --       --
ALLIANCE CALIF MUN INCOME FD      EQUITY     18546101      46      3,500 SH       DEFINED        4         --         --    3,500
ALLIANCE DATA SYSTEMS CORP        EQUITY     18581108       7        104 SH       DEFINED        4         --         --      104
ALLIANCE DATA SYSTEMS CORP        EQUITY     18581108   7,578    118,419 SH       SOLE           2    118,419         --       --
ALLIANCE FINANCIAL CORP           EQUITY     19205103      99      3,352 SH       SOLE           2      3,352         --       --
ALLIANCE HEALTHCARE SERVIC        EQUITY     18606202     120     21,434 SH       SOLE           2     21,434         --       --
ALLIANCE HOLDINGS GP LP           EQUITY    01861G100     109      3,377 SH       DEFINED        4         --         --    3,377





                                                                                        
ALLIANCE ONE INTERNATIONAL        EQUITY     18772103     433     85,022 SH       SOLE           2     85,022         --       --
ALLIANCE ONE INTL INC             EQUITY     18772103     120     23,500 SH       DEFINED        3         --         --   23,500
ALLIANCE RES PARTNER L P          EQUITY    01877R108     344      8,200 SH       DEFINED        4         --         --    8,200
ALLIANCEBERNSTEIN GBL HGH IN      EQUITY    01879R106      16      1,100 SH       DEFINED        3         --         --    1,100
ALLIANCEBERNSTEIN HOLDING LP      EQUITY    01881G106     115      3,757 SH       DEFINED        4         --         --    3,757
ALLIANCEBERNSTEIN HOLDING LP      EQUITY    01881G106     310     10,100 SH       DEFINED        3         --         --   10,100
ALLIANCEBERNSTEIN INCOME FUN      EQUITY    1.88E+104     176     21,665 SH       DEFINED        4         --         --   21,665
ALLIANCEBERNSTEIN INCOME FUN      EQUITY    1.88E+104     264     32,416 SH       DEFINED        3         --         --   32,416
ALLIANCEBERNSTEIN NATL MUNI       EQUITY    01864U106      55      3,915 SH       DEFINED        4         --         --    3,915
ALLIANCEBERNSTEIN NATL MUNI       EQUITY    01864U106   4,337    311,355 SH       DEFINED        3         --         --  311,355
ALLIANT ENERGY CORP               EQUITY     18802108       8        234 SH       DEFINED        3         --         --      234
ALLIANT ENERGY CORP               EQUITY     18802108   8,326    250,342 SH       SOLE           2    250,342         --       --
ALLIANT TECHSYSTEMS INC           EQUITY     18804104   6,060     74,541 SH       SOLE           2     74,541         --       --
ALLIED CAP CORP NEW               EQUITY    01903Q108     205     41,312 SH       DEFINED        4         --         --   41,312
ALLIED CAPITAL CORP               EQUITY    01903Q108     712    143,204 SH       SOLE           2    143,204         --       --
ALLIED HEALTHCARE INTL INC        EQUITY    01923A109     100     36,747 SH       SOLE           2     36,747         --       --
ALLIED HEALTHCARE INTL INC        EQUITY    01923A109   1,336    491,000 SH       SOLE           1     491000         --       --
ALLIED IRISH BKS P L C            EQUITY     19228402       4      1,250 SH       DEFINED        4         --         --    1,250
ALLIED IRISH BKS P L C            EQUITY     19228402       4      1,298 SH       DEFINED        3         --         --    1,298
ALLIED NEVADA GOLD CORP           EQUITY     19344100     732     44,178 SH       SOLE           2     44,178         --       --
ALLIED WORLD ASSURANCE CO         EQUITY    G0219G203      59      1,318 SH       SOLE           2      1,318         --       --
ALLISCHALMERS ENERGY INC          EQUITY     19645506     171     48,211 SH       SOLE           2     48,211         --       --
ALLOS THERAPEUTICS INC            EQUITY     19777101     438     58,948 SH       SOLE           2     58,948         --       --
ALLSCRIPT MISYS HEALTCAR SOL      EQUITY    01988P108      10        525 SH       DEFINED        3         --         --      525
ALLSCRIPT MISYS HEALTCAR SOL      EQUITY    01988P108      16        800 SH       DEFINED        4         --         --      800
ALLSCRIPTSMISYS HEALTHCARE        EQUITY    01988P108      23      1,199 SH       SOLE           2      1,199         --       --
ALLSTATE CORP                     EQUITY     20002101      19        586 SH       DEFINED        4         --         --      586
ALLSTATE CORP                     EQUITY     20002101     216      6,700 SH       DEFINED        3         --         --    6,700
ALLSTATE CORP                     EQUITY     20002101  11,753    363,758 SH       SOLE           2    363,758         --       --
ALMOST FAMILY INC                 EQUITY     20409108       4        100 SH       DEFINED        3         --         --      100
ALMOST FAMILY INC                 EQUITY     20409108     290      7,688 SH       SOLE           2      7,688         --       --
ALNYLAM PHARMACEUTICALS IN        EQUITY    02043Q107     491     28,869 SH       SOLE           2     28,869         --       --
ALON USA ENERGY INC               EQUITY     20520102      48      6,653 SH       SOLE           2      6,653         --       --
ALPHA NATURAL RESOURCES IN        EQUITY    02076X102   5,077    101,761 SH       SOLE           2    101,761         --       --
ALPHA NATURAL RESOURCES INC       EQUITY    02076X102      43        855 SH       DEFINED        3         --         --      855
ALPHA NATURAL RESOURCES INC       EQUITY    02076X102      43        863 SH       DEFINED        4         --         --      863
ALPHATEC HOLDINGS INC             EQUITY    02081G102     171     26,919 SH       SOLE           2     26,919         --       --
ALPINE GLOBAL DYNAMIC DIVD F      EQUITY    2.08E+109       4        338 SH       DEFINED        4         --         --      338
ALPINE GLOBAL DYNAMIC DIVD F      EQUITY    2.08E+109      12      1,100 SH       DEFINED        3         --         --    1,100
ALPINE GLOBAL PREMIER PPTYS       EQUITY    02083A103      30      4,500 SH       DEFINED        4         --         --    4,500
ALPINE TOTAL DYNAMIC DIVID F      EQUITY     21060108      42      4,631 SH       DEFINED        4         --         --    4,631
ALPINE TOTAL DYNAMIC DIVID F      EQUITY     21060108     454     50,189 SH       DEFINED        3         --         --   50,189
ALTERA CORP                       EQUITY     21441100       7        277 SH       DEFINED        4         --         --      277
ALTERA CORPORATION                EQUITY     21441100   3,309    136,098 SH       SOLE           2    136,098         --       --
ALTRA HOLDINGS INC                EQUITY    02208R106     299     21,780 SH       SOLE           2     21,780         --       --
ALTRIA GROUP INC                  EQUITY    02209S103     584     28,467 SH       DEFINED        4         --         --   28,467
ALTRIA GROUP INC                  EQUITY    02209S103     956     46,566 SH       DEFINED        3         --         --   46,566
ALTRIA GROUP INC                  EQUITY    02209S103  22,138  1,078,851 SH       SOLE           2  1,078,851         --       --
ALUMINA LTD                       EQUITY     22205108       5        800 SH       DEFINED        4         --         --      800
ALUMINUM CORP CHINA LTD           EQUITY     22276109      12        477 SH       DEFINED        3         --         --      477
ALZA CORP                         FIXED
                                     INCOME 02261WAB5       3          3 PRN      DEFINED        3         --         --        3
AMAG PHARMACEUTICALS INC          EQUITY    00163U106     587     16,819 SH       SOLE           2     16,819         --       --
AMAZON COM INC                    EQUITY     23135106      16        116 SH       DEFINED        3         --         --      116
AMAZON COM INC                    EQUITY     23135106     111        815 SH       DEFINED        4         --         --      815
AMAZON.COM INC                    EQUITY     23135106  30,677    226,017 SH       SOLE           2    226,017         --       --
AMB PROPERTY CORP                 EQUITY    00163T109   9,190    337,387 SH       SOLE           2    337,387         --       --
AMBAC FINANCIAL GROUP INC         EQUITY     23139108     131    234,721 SH       SOLE           2    234,721         --       --
AMBAC FINL GROUP INC              EQUITY     23139108      54     96,375 SH       DEFINED        4         --         --   96,375
AMBASSADORS GROUP INC             EQUITY     23177108     170     15,355 SH       SOLE           2     15,355         --       --
AMCOL INTERNATIONAL CORP          EQUITY    02341W103     607     22,319 SH       SOLE           2     22,319         --       --
AMDOCS LTD                        EQUITY    G02602103       6        200 SH       DEFINED        3         --         --      200
AMDOCS LTD                        EQUITY    G02602103      11        362 SH       DEFINED        4         --         --      362
AMDOCS LTD                        EQUITY    G02602103   1,697     56,376 SH       SOLE           2     56,376         --       --
AMEDISYS INC                      EQUITY     23436108       6        105 SH       DEFINED        3         --         --      105
AMEDISYS INC                      EQUITY     23436108      11        200 SH       DEFINED        4         --         --      200
AMEDISYS INC                      EQUITY     23436108   1,427     25,837 SH       SOLE           2     25,837         --       --
AMER NATL BNKSHS/DANVILLE         EQUITY     27745108     100      4,983 SH       SOLE           2      4,983         --       --
AMERCO                            EQUITY     23586100     396      7,303 SH       SOLE           2      7,303         --       --
AMEREN CORP                       EQUITY     23608102       6        230 SH       DEFINED        3         --         --      230
AMEREN CORP                       EQUITY     23608102      33      1,247 SH       DEFINED        4         --         --    1,247
AMEREN CORPORATION                EQUITY     23608102   2,159     82,791 SH       SOLE           2     82,791         --       --
AMERICA FIRST TAX EX IVS L P      EQUITY    02364V107       2        300 SH       DEFINED        3         --         --      300
AMERICA MOVIL SAB DE CV           EQUITY    02364W105      70      1,391 SH       DEFINED        4         --         --    1,391
AMERICA MOVIL SAB DE CV           EQUITY    02364W105      73      1,460 SH       DEFINED        3         --         --    1,460
AMERICA SERVICE GROUP INC         EQUITY    02364L109     109      6,748 SH       SOLE           2      6,748         --       --
AMERICAN APPAREL INC              EQUITY     23850100      81     26,632 SH       SOLE           2     26,632         --       --
AMERICAN AXLE  MFG HOLDING        EQUITY     24061103     455     45,542 SH       SOLE           2     45,542         --       --
AMERICAN CAMPUS CMNTYS INC        EQUITY     24835100       8        300 SH       DEFINED        4         --         --      300
AMERICAN CAMPUS COMMUNITIE        EQUITY     24835100   1,157     41,817 SH       SOLE           2     41,817         --       --
AMERICAN CAP LTD                  EQUITY    02503Y103      16      3,193 SH       DEFINED        3         --         --    3,193
AMERICAN CAP LTD                  EQUITY    02503Y103      47      9,293 SH       DEFINED        4         --         --    9,293
AMERICAN CAPITAL AGENCY CO        EQUITY    02503X105     339     13,250 SH       SOLE           2     13,250         --       --
AMERICAN CAPITAL LTD              EQUITY    02503Y103   1,139    224,304 SH       SOLE           2    224,304         --       --
AMERICAN CARESOURCE HOLDIN        EQUITY    02505A103      15      8,641 SH       SOLE           2      8,641         --       --
AMERICAN COMMERCIAL LINES         EQUITY     25195405     186      7,393 SH       SOLE           2      7,393         --       --
AMERICAN DAIRY INC                EQUITY     25334103       2        100 SH       DEFINED        3         --         --      100
AMERICAN DAIRY INC                EQUITY     25334103     153      7,986 SH       SOLE           2      7,986         --       --
AMERICAN DAIRY INC                EQUITY     25334103     434     22,675 SH       DEFINED        4         --         --   22,675
AMERICAN DENTAL PARTNERS I        EQUITY     25353103     163     12,517 SH       SOLE           2     12,517         --       --
AMERICAN EAGLE OUTFITTERS         EQUITY    2.55E+109   8,662    467,733 SH       SOLE           2    467,733         --       --
AMERICAN EAGLE OUTFITTERS NE      EQUITY    2.55E+109       2        125 SH       DEFINED        3         --         --      125
AMERICAN ELEC PWR INC             EQUITY     25537101      78      2,296 SH       DEFINED        3         --         --    2,296
AMERICAN ELEC PWR INC             EQUITY     25537101     110      3,230 SH       DEFINED        4         --         --    3,230
AMERICAN ELECTRIC POWER           EQUITY     25537101   5,274    154,296 SH       SOLE           2    154,296         --       --





                                                                                        
AMERICAN EQUITY INVT LIFE         EQUITY     25676206     506     47,510 SH       SOLE           2     47,510         --       --
AMERICAN EXPRESS CO               EQUITY     25816109      19        453 SH       DEFINED        3         --         --      453
AMERICAN EXPRESS CO               EQUITY     25816109     287      6,961 SH       DEFINED        4         --         --    6,961
AMERICAN EXPRESS CO               EQUITY     25816109  20,349    493,194 SH       SOLE           2    493,194         --       --
AMERICAN FINANCIAL GROUP I        EQUITY     25932104   4,916    172,785 SH       SOLE           2    172,785         --       --
AMERICAN GREETINGS CORP           EQUITY     26375105      13        625 SH       DEFINED        4         --         --      625
AMERICAN GREETINGS CORPCL         EQUITY     26375105   2,496    119,789 SH       SOLE           2    119,789         --       --
AMERICAN INTERNATIONAL GRO        EQUITY     26874784   1,584     46,404 SH       SOLE           2     46,404         --       --
AMERICAN INTERNATIONAL GROUP INC  EQUITY     26874784   3,685    107,951 SH       SOLE           1     107951         --       --
AMERICAN INTL GROUP INC           EQUITY     26874115       2        200 SH       DEFINED        4         --         --      200
AMERICAN INTL GROUP INC           EQUITY     26874784      57      1,678 SH       DEFINED        3         --         --    1,678
AMERICAN INTL GROUP INC           EQUITY     26874784     135      3,967 SH       DEFINED        4         --         --    3,967
AMERICAN ITALIAN PASTA CO         EQUITY     27070101       8        200 SH       DEFINED        4         --         --      200
AMERICAN ITALIAN PASTA COA        EQUITY     27070101     653     16,793 SH       SOLE           2     16,793         --       --
AMERICAN MEDICAL SYS HLDGS        EQUITY    02744M108   1,292     69,561 SH       SOLE           2     69,561         --       --
AMERICAN NATIONAL INSURANC        EQUITY     28591105      48        424 SH       SOLE           2        424         --       --
AMERICAN OIL & GAS INC NEW        EQUITY     28723104       7      1,000 SH       DEFINED        4         --         --    1,000
AMERICAN ORIENTAL BIOENGIN        EQUITY     28731107     206     50,395 SH       SOLE           2     50,395         --       --
AMERICAN PHYSICIANS CAP IN        EQUITY     28884104     269      8,429 SH       SOLE           2      8,429         --       --
AMERICAN PHYSICIANS SVC GP        EQUITY     28882108     130      5,205 SH       SOLE           2      5,205         --       --
AMERICAN PUBLIC EDUCATION         EQUITY    02913V103     796     17,080 SH       SOLE           2     17,080         --       --
AMERICAN RAILCAR INDUSTRIE        EQUITY    02916P103      92      7,534 SH       SOLE           2      7,534         --       --
AMERICAN REALTY INVESTORS         EQUITY     29174109      23      2,111 SH       SOLE           2      2,111         --       --
AMERICAN REPROGRAPHICS CO         EQUITY     29263100     266     29,705 SH       SOLE           2     29,705         --       --
AMERICAN SAFETY INS HOLDIN        EQUITY    G02995101     116      7,021 SH       SOLE           2      7,021         --       --
AMERICAN SCIENCE  ENGINEER        EQUITY     29429107     640      8,545 SH       SOLE           2      8,545         --       --
AMERICAN SCIENCE & ENGR INC       EQUITY     29429107      22        295 SH       DEFINED        3         --         --      295
AMERICAN SELECT PORTFOLIO IN      EQUITY     29570108      18      1,477 SH       DEFINED        3         --         --    1,477
AMERICAN SOFTWARE INC             EQUITY     29683109       1        200 SH       DEFINED        4         --         --      200
AMERICAN SOFTWARE INCCL A         EQUITY     29683109     105     18,131 SH       SOLE           2     18,131         --       --
AMERICAN STATES WATER CO          EQUITY     29899101     603     17,374 SH       SOLE           2     17,374         --       --
AMERICAN STRATEGIC INCM PTFL      EQUITY     30098107      99      7,940 SH       DEFINED        4         --         --    7,940
AMERICAN SUPERCONDUCTOR CO        EQUITY     30111108   1,005     34,792 SH       SOLE           2     34,792         --       --
AMERICAN SUPERCONDUCTOR CORP      EQUITY     30111108      40      1,400 SH       DEFINED        4         --         --    1,400
AMERICAN SUPERCONDUCTOR CORP      EQUITY     30111108     424     14,686 SH       DEFINED        3         --         --   14,686
AMERICAN TOWER CORP               EQUITY     29912201      10        231 SH       DEFINED        3         --         --      231
AMERICAN TOWER CORP               EQUITY     29912201      30        708 SH       DEFINED        4         --         --      708
AMERICAN TOWER CORPCL A           EQUITY     29912201   8,208    192,634 SH       SOLE           2    192,634         --       --
AMERICAN VANGUARD CORP            EQUITY     30371108      33      4,000 SH       DEFINED        3         --         --    4,000
AMERICAN VANGUARD CORP            EQUITY     30371108     153     18,824 SH       SOLE           2     18,824         --       --
AMERICAN WATER WORKS CO IN        EQUITY     30420103      39      1,776 SH       SOLE           2      1,776         --       --
AMERICAN WOODMARK CORP            EQUITY     30506109     163      8,413 SH       SOLE           2      8,413         --       --
AMERICAN WTR WKS CO INC NEW       EQUITY     30420103       9        404 SH       DEFINED        4         --         --      404
AMERICAS CARMART INC              EQUITY    03062T105     195      8,105 SH       SOLE           2      8,105         --       --
AMERICREDIT CORP                  EQUITY    03060R101   5,167    217,470 SH       SOLE           2    217,470         --       --
AMERIGAS PARTNERS L P             EQUITY     30975106      66      1,650 SH       DEFINED        4         --         --    1,650
AMERIGON INC                      EQUITY    03070L300     177     17,466 SH       SOLE           2     17,466         --       --
AMERIGROUP CORP                   EQUITY    03073T102   1,644     49,464 SH       SOLE           2     49,464         --       --
AMERIPRISE FINANCIAL INC          EQUITY    03076C106   5,622    123,952 SH       SOLE           2    123,952         --       --
AMERIPRISE FINL INC               EQUITY    03076C106      21        468 SH       DEFINED        4         --         --      468
AMERIS BANCORP                    EQUITY    03076K108     103     11,353 SH       SOLE           2     11,353         --       --
AMERISAFE INC                     EQUITY    03071H100     295     18,023 SH       SOLE           2     18,023         --       --
AMERISOURCEBERGEN CORP            EQUITY    3.07E+108       4        140 SH       DEFINED        3         --         --      140
AMERISOURCEBERGEN CORP            EQUITY    3.07E+108     122      4,230 SH       DEFINED        4         --         --    4,230
AMERISOURCEBERGEN CORP            EQUITY    3.07E+108   3,181    110,002 SH       SOLE           2    110,002         --       --
AMERISTAR CASINOS INC             EQUITY    03070Q101     381     20,911 SH       SOLE           2     20,911         --       --
AMERON INTERNATIONAL CORP         EQUITY     30710107     464      7,376 SH       SOLE           2      7,376         --       --
AMERON INTL INC                   EQUITY     30710107       9        142 SH       DEFINED        4         --         --      142
AMES NATIONAL CORP                EQUITY     31001100     107      5,340 SH       SOLE           2      5,340         --       --
AMETEK INC                        EQUITY     31100100  13,286    320,458 SH       SOLE           2    320,458         --       --
AMETEK INC NEW                    EQUITY     31100100       5        110 SH       DEFINED        3         --         --      110
AMGEN INC                         EQUITY     31162100      41        688 SH       DEFINED        3         --         --      688
AMGEN INC                         EQUITY     31162100     299      4,997 SH       DEFINED        4         --         --    4,997
AMGEN INC                         EQUITY     31162100  33,822    565,960 SH       SOLE           2    565,960         --       --
AMICAS INC                        EQUITY      1712108     173     28,766 SH       SOLE           2     28,766         --       --
AMICUS THERAPEUTICS INC           EQUITY    03152W109      39     12,374 SH       SOLE           2     12,374         --       --
AMKOR TECHNOLOGY INC              EQUITY     31652100     619     87,570 SH       SOLE           2     87,570         --       --
AMN HEALTHCARE SERVICES IN        EQUITY      1744101     274     31,172 SH       SOLE           2     31,172         --       --
AMPALAMERICAN ISRAEL CORPA        EQUITY     32015109      48     17,149 SH       SOLE           2     17,149         --       --
AMPCOPITTSBURGH CORP              EQUITY     32037103     172      6,941 SH       SOLE           2      6,941         --       --
AMPHENOL CORP NEW                 EQUITY     32095101       3         75 SH       DEFINED        3         --         --       75
AMPHENOL CORP NEW                 EQUITY     32095101      59      1,398 SH       DEFINED        4         --         --    1,398
AMPHENOL CORPCL A                 EQUITY     32095101   3,579     84,833 SH       SOLE           2     84,833         --       --
AMR CORP                          EQUITY      1765106      44      4,780 SH       DEFINED        4         --         --    4,780
AMR CORP                          EQUITY      1765106      58      6,348 SH       SOLE           2      6,348         --       --
AMR CORP.                         EQUITY      1765106     107     11,757 SH       SOLE           1      11757         --       --
AMREP CORP                        EQUITY     32159105      15      1,038 SH       SOLE           2      1,038         --       --
AMSURG CORP                       EQUITY    03232P405     623     28,848 SH       SOLE           2     28,848         --       --
AMTRUST FINANCIAL SERVICES        EQUITY     32359309     259     18,561 SH       SOLE           2     18,561         --       --
AMYLIN PHARMACEUTICALS INC        EQUITY     32346108      22      1,000 SH       DEFINED        4         --         --    1,000
AMYLIN PHARMACEUTICALS INC        EQUITY     32346108      60      2,655 SH       SOLE           2      2,655         --       --
ANADARKO PETE CORP                EQUITY     32511107      12        168 SH       DEFINED        3         --         --      168
ANADARKO PETE CORP                EQUITY     32511107     283      3,890 SH       DEFINED        4         --         --    3,890
ANADARKO PETROLEUM CORP           EQUITY     32511107  11,514    158,099 SH       SOLE           2    158,099         --       --
ANADIGICS INC                     EQUITY     32515108      15      3,000 SH       DEFINED        3         --         --    3,000
ANADIGICS INC                     EQUITY     32515108     251     51,597 SH       SOLE           2     51,597         --       --
ANALOG DEVICES INC                EQUITY     32654105   6,077    210,870 SH       SOLE           2    210,870         --       --
ANALOGIC CORP                     EQUITY     32657207       5        110 SH       DEFINED        4         --         --      110
ANALOGIC CORP                     EQUITY     32657207     523     12,239 SH       SOLE           2     12,239         --       --
ANAREN INC                        EQUITY     32744104     169     11,866 SH       SOLE           2     11,866         --       --
ANCESTRY.COM INC                  EQUITY     32803108     107      6,299 SH       SOLE           2      6,299         --       --
ANDERSONS INC/THE                 EQUITY     34164103     583     17,403 SH       SOLE           2     17,403         --       --
ANGIODYNAMICS INC                 EQUITY    03475V101     312     19,952 SH       SOLE           2     19,952         --       --
ANGLOGOLD ASHANTI LTD             EQUITY     35128206       2         53 SH       DEFINED        3         --         --       53





                                                                                        
ANGLOGOLD ASHANTI LTD             EQUITY     35128206      10        259 SH       DEFINED        4         --         --      259
ANHEUSER BUSCH INBEV SA/NV        EQUITY    03524A108       1         24 SH       DEFINED        4         --         --       24
ANIXTER INTERNATIONAL INC         EQUITY     35290105   1,305     27,858 SH       SOLE           2     27,858         --       --
ANNALY CAP MGMT INC               EQUITY     35710409      19      1,100 SH       DEFINED        3         --         --    1,100
ANNALY CAP MGMT INC               EQUITY     35710409     258     15,022 SH       DEFINED        4         --         --   15,022
ANNALY CAPITAL MANAGEMENT         EQUITY     35710409     249     14,475 SH       SOLE           2     14,475         --       --
ANNTAYLOR STORES CORP             EQUITY     36115103       1         58 SH       DEFINED        4         --         --       58
ANNTAYLOR STORES CORP             EQUITY     36115103   3,689    178,230 SH       SOLE           2    178,230         --       --
ANSYS INC                         EQUITY    03662Q105       2         47 SH       DEFINED        3         --         --       47
ANSYS INC                         EQUITY    03662Q105   8,734    202,458 SH       SOLE           2    202,458         --       --
ANTARES PHARMA INC                EQUITY     36642106      14     10,000 SH       DEFINED        3         --         --   10,000
ANWORTH MORTGAGE ASSET COR        EQUITY     37347101     612     90,873 SH       SOLE           2     90,873         --       --
ANWORTH MORTGAGE ASSET CP         EQUITY     37347101       4        528 SH       DEFINED        4         --         --      528
AOL INC                           EQUITY    00184X105       2         71 SH       DEFINED        3         --         --       71
AOL INC                           EQUITY    00184X105       2         79 SH       DEFINED        4         --         --       79
AOL INC                           EQUITY    00184X105   6,037    238,800 SH       SOLE           2    238,800         --       --
AON CORP                          EQUITY     37389103       2         50 SH       DEFINED        3         --         --       50
AON CORP                          EQUITY     37389103      10        231 SH       DEFINED        4         --         --      231
AON CORP                          EQUITY     37389103   7,197    168,502 SH       SOLE           2    168,502         --       --
APAC CUSTOMER SERVICES INC        EQUITY    1.85E+108     119     20,767 SH       SOLE           2     20,767         --       --
APACHE CORP                       EQUITY     37411105     241      2,378 SH       DEFINED        4         --         --    2,378
APACHE CORP                       EQUITY     37411105     328      3,234 SH       DEFINED        3         --         --    3,234
APACHE CORP                       EQUITY     37411105  24,505    241,425 SH       SOLE           2    241,425         --       --
APARTMENT INVT  MGMT CO A         EQUITY    03748R101     752     40,826 SH       SOLE           2     40,826         --       --
APARTMENT INVT & MGMT CO          EQUITY    03748R101      44      2,408 SH       DEFINED        4         --         --    2,408
APCO OIL AND GAS INTL INC         EQUITY    G0471F109     202      7,455 SH       SOLE           2      7,455         --       --
APOGEE ENTERPRISES INC            EQUITY     37598109     127      8,056 SH       DEFINED        3         --         --    8,056
APOGEE ENTERPRISES INC            EQUITY     37598109     422     26,674 SH       SOLE           2     26,674         --       --
APOLLO COMMERCIAL REAL EST        EQUITY    03762U105     147      8,158 SH       SOLE           2      8,158         --       --
APOLLO GROUP INC                  EQUITY     37604105       6        100 SH       DEFINED        3         --         --      100
APOLLO GROUP INC                  EQUITY     37604105      77      1,264 SH       DEFINED        4         --         --    1,264
APOLLO GROUP INC CL A             EQUITY     37604105   3,255     53,101 SH       SOLE           2     53,101         --       --
APOLLO INVESTMENT CORP            EQUITY    03761U106   6,812    535,119 SH       SOLE           2    535,119         --       --
APOLLO INVT CORP                  EQUITY    03761U106     125      9,839 SH       DEFINED        3         --         --    9,839
APOLLO INVT CORP                  EQUITY    03761U106     732     57,464 SH       DEFINED        4         --         --   57,464
APPLE INC                         EQUITY     37833100   1,306      5,558 SH       DEFINED        3         --         --    5,558
APPLE INC                         EQUITY     37833100   2,259      9,613 SH       DEFINED        4         --         --    9,613
APPLE INC                         EQUITY     37833100 150,595    641,022 SH       SOLE           2    641,022         --       --
APPLIED INDUSTRIAL TECH IN        EQUITY    03820C105     970     39,028 SH       SOLE           2     39,028         --       --
APPLIED MATERIALS INC             EQUITY     38222105  12,488    926,417 SH       SOLE           2    926,417         --       --
APPLIED MATLS INC                 EQUITY     38222105      46      3,450 SH       DEFINED        3         --         --    3,450
APPLIED MATLS INC                 EQUITY     38222105     241     17,888 SH       DEFINED        4         --         --   17,888
APPLIED MICRO CIRCUITS COR        EQUITY    03822W406     464     53,819 SH       SOLE           2     53,819         --       --
APPLIED SIGNAL TECHNOLOGY         EQUITY     38237103     244     12,456 SH       SOLE           2     12,456         --       --
APPROACH RESOURCES INC            EQUITY    03834A103      89      9,805 SH       SOLE           2      9,805         --       --
APTARGROUP INC                    EQUITY     38336103   6,032    153,302 SH       SOLE           2    153,302         --       --
AQUA AMERICA INC                  EQUITY    03836W103      84      4,782 SH       DEFINED        3         --         --    4,782
AQUA AMERICA INC                  EQUITY    03836W103      94      5,361 SH       DEFINED        4         --         --    5,361
AQUA AMERICA INC                  EQUITY    03836W103   5,417    308,335 SH       SOLE           2    308,335         --       --
ARABIAN AMERN DEV CO              EQUITY     38465100       2        797 SH       DEFINED        4         --         --      797
ARBITRON INC                      EQUITY    03875Q108     664     24,905 SH       SOLE           2     24,905         --       --
ARBOR RLTY TR INC                 EQUITY     38923108       2        700 SH       DEFINED        4         --         --      700
ARCH CAP GROUP LTD                EQUITY    G0450A105       3         40 SH       DEFINED        3         --         --       40
ARCH CAPITAL GROUP LTD            EQUITY    G0450A105      99      1,292 SH       SOLE           2      1,292         --       --
ARCH CHEMICALS INC                EQUITY    03937R102     810     23,545 SH       SOLE           2     23,545         --       --
ARCH COAL INC                     EQUITY     39380100      14        620 SH       DEFINED        3         --         --      620
ARCH COAL INC                     EQUITY     39380100     293     12,835 SH       DEFINED        4         --         --   12,835
ARCH COAL INC                     EQUITY     39380100   8,395    367,417 SH       SOLE           2    367,417         --       --
ARCHER DANIELS MIDLAND CO         EQUITY     39483102      90      3,105 SH       DEFINED        4         --         --    3,105
ARCHER DANIELS MIDLAND CO         EQUITY     39483102     533     18,429 SH       DEFINED        3         --         --   18,429
ARCHER DANIELS MIDLAND CO         EQUITY     39483201     958     23,449 SH       DEFINED        4         --         --   23,449
ARCHERDANIELSMIDLAND CO           EQUITY     39483102  11,386    393,989 SH       SOLE           2    393,989         --       --
ARCHIPELAGO LEARNING INC          EQUITY    03956P102      86      5,868 SH       SOLE           2      5,868         --       --
ARCSIGHT INC                      EQUITY     39666102       8        300 SH       DEFINED        3         --         --      300
ARCSIGHT INC                      EQUITY     39666102     423     15,032 SH       SOLE           2     15,032         --       --
ARCTIC CAT INC                    EQUITY     39670104      18      1,692 SH       SOLE           2      1,692         --       --
ARDEA BIOSCIENCES INC             EQUITY    03969P107     212     11,610 SH       SOLE           2     11,610         --       --
ARDEN GROUP INC  CL A             EQUITY     39762109     103        973 SH       SOLE           2        973         --       --
ARENA PHARMACEUTICALS INC         EQUITY     40047102       3      1,000 SH       DEFINED        3         --         --    1,000
ARENA PHARMACEUTICALS INC         EQUITY     40047102       6      2,000 SH       DEFINED        4         --         --    2,000
ARENA PHARMACEUTICALS INC         EQUITY     40047102     235     75,661 SH       SOLE           2     75,661         --       --
ARENA RESOURCES INC               EQUITY     40049108   1,023     30,622 SH       SOLE           2     30,622         --       --
ARES CAP CORP                     EQUITY    04010L103       9        600 SH       DEFINED        4         --         --      600
ARES CAP CORP                     EQUITY    04010L103     131      8,867 SH       DEFINED        3         --         --    8,867
ARES CAPITAL CORP                 EQUITY    04010L103   1,557    104,940 SH       SOLE           2    104,940         --       --
ARGAN INC                         EQUITY    4.01E+112      79      6,053 SH       SOLE           2      6,053         --       --
ARGO GROUP INTERNATIONAL          EQUITY    G0464B107     805     24,703 SH       SOLE           2     24,703         --       --
ARGON ST INC                      EQUITY     40149106      27      1,000 SH       DEFINED        3         --         --    1,000
ARGON ST INC                      EQUITY     40149106     294     11,034 SH       SOLE           2     11,034         --       --
ARIAD PHARMACEUTICALS INC         EQUITY    04033A100     302     88,880 SH       SOLE           2     88,880         --       --
ARIBA INC                         EQUITY    04033V203     900     70,025 SH       SOLE           2     70,025         --       --
ARKANSAS BEST CORP                EQUITY     40790107     710     23,776 SH       SOLE           2     23,776         --       --
ARMSTRONG WORLD INDUSTRIES        EQUITY    04247X102      17        460 SH       SOLE           2        460         --       --
ARQULE INC                        EQUITY    4.27E+110     217     37,719 SH       SOLE           2     37,719         --       --
ARRAY BIOPHARMA INC               EQUITY    04269X105     113     41,312 SH       SOLE           2     41,312         --       --
ARRIS GROUP INC                   EQUITY    04269Q100   7,001    582,912 SH       SOLE           2    582,912         --       --
ARROW ELECTRONICS INC             EQUITY     42735100   8,152    270,559 SH       SOLE           2    270,559         --       --
ARROW FINANCIAL CORP              EQUITY     42744102     206      7,647 SH       SOLE           2      7,647         --       --
ART TECHNOLOGY GROUP INC          EQUITY    04289L107      13      3,000 SH       DEFINED        4         --         --    3,000
ART TECHNOLOGY GROUP INC          EQUITY    04289L107     552    125,186 SH       SOLE           2    125,186         --       --
ARTESIAN RESOURCES CORPCL         EQUITY     43113208      89      5,066 SH       SOLE           2      5,066         --       --
ARTHUR J GALLAGHER + CO           EQUITY    363576109   5,673    231,072 SH       SOLE           2    231,072         --       --
ARTIO GLOBAL INVESTORS INC        EQUITY    04315B107     547     22,126 SH       SOLE           2     22,126         --       --
ARUBA NETWORKS INC                EQUITY     43176106      76      5,541 SH       DEFINED        3         --         --    5,541





                                                                                        
ARUBA NETWORKS INC                EQUITY     43176106     645     47,189 SH       SOLE           2     47,189         --       --
ARVINMERITOR INC                  EQUITY     43353101     792     59,290 SH       SOLE           2     59,290         --       --
ARYX THERAPEUTICS INC             EQUITY     43387109      15     16,992 SH       SOLE           2     16,992         --       --
ASBURY AUTOMOTIVE GROUP           EQUITY     43436104     349     26,272 SH       SOLE           2     26,272         --       --
ASCENT MEDIA CORPA                EQUITY     43632108     313     11,497 SH       SOLE           2     11,497         --       --
ASCENT SOLAR TECHNOLOGIES         EQUITY     43635101      59     15,437 SH       SOLE           2     15,437         --       --
ASHFORD HOSPITALITY TRUST         EQUITY     44103109     309     43,040 SH       SOLE           2     43,040         --       --
ASHLAND INC                       EQUITY     44209104   9,311    176,436 SH       SOLE           2    176,436         --       --
ASHLAND INC NEW                   EQUITY     44209104      11        200 SH       DEFINED        3         --         --      200
ASIAINFO HOLDINGS INC             EQUITY    04518A104     662     24,994 SH       SOLE           2     24,994         --       --
ASML HOLDING N V                  EQUITY    N07059186  10,039    283,600 SH       SOLE           2    283,600         --       --
ASPEN INSURANCE HOLDINGS L        EQUITY    G05384105      64      2,206 SH       SOLE           2      2,206         --       --
ASPEN INSURANCE HOLDINGS LTD      EQUITY    G05384105       6        215 SH       DEFINED        4         --         --      215
ASSET ACCEPTANCE CAPITAL          EQUITY    04543P100      77     12,212 SH       SOLE           2     12,212         --       --
ASSISTED LIVING CONCEPTS I        EQUITY    04544X300     270      8,214 SH       SOLE           2      8,214         --       --
ASSOCIATED BANCCORP               EQUITY     45487105   8,850    641,295 SH       SOLE           2    641,295         --       --
ASSOCIATED ESTATES REALTY         EQUITY     45604105     220     15,956 SH       SOLE           2     15,956         --       --
ASSURANT INC                      EQUITY    04621X108       1         41 SH       DEFINED        4         --         --       41
ASSURANT INC                      EQUITY    04621X108  11,737    341,396 SH       SOLE           2    341,396         --       --
ASSURED GUARANTY LTD              EQUITY    G0585R106   2,165     98,565 SH       SOLE           2     98,565         --       --
ASTEC INDUSTRIES INC              EQUITY     46224101     508     17,537 SH       SOLE           2     17,537         --       --
ASTORIA FINANCIAL CORP            EQUITY     46265104   3,659    252,326 SH       SOLE           2    252,326         --       --
ASTRAZENECA PLC                   EQUITY     46353108      78      1,737 SH       DEFINED        4         --         --    1,737
ASTRONICS CORP                    EQUITY     46433108       5        539 SH       DEFINED        4         --         --      539
ASTRONICS CORP                    EQUITY     46433108      74      7,551 SH       SOLE           2      7,551         --       --
AT&T INC                          EQUITY    00206R102   3,305    127,888 SH       DEFINED        4         --         --  127,888
AT&T INC                          EQUITY    00206R102   3,588    138,851 SH       DEFINED        3         --         --  138,851
ATC TECHNOLOGY CORP               EQUITY    00211W104     325     18,931 SH       SOLE           2     18,931         --       --
ATHENAHEALTH INC                  EQUITY    04685W103     981     26,841 SH       SOLE           2     26,841         --       --
ATHEROS COMMUNICATIONS            EQUITY    04743P108   2,085     53,855 SH       SOLE           2     53,855         --       --
ATHEROS COMMUNICATIONS INC        EQUITY    04743P108     135      3,500 SH       DEFINED        4         --         --    3,500
ATHERSYS INC                      EQUITY    04744L106       7      2,200 SH       DEFINED        3         --         --    2,200
ATLANTIC TELENETWORK INC          EQUITY     49079205     328      7,302 SH       SOLE           2      7,302         --       --
ATLAS AIR WORLDWIDE HOLDIN        EQUITY     49164205   4,988     94,022 SH       SOLE           2     94,022         --       --
ATLAS ENERGY INC                  EQUITY     49298102      11        361 SH       DEFINED        4         --         --      361
ATLAS ENERGY INC                  EQUITY     49298102      25        806 SH       DEFINED        3         --         --      806
ATLAS ENERGY INC                  EQUITY     49298102   9,172    294,731 SH       SOLE           2    294,731         --       --
ATLAS PIPELINE PARTNERS LP        EQUITY     49392103      19      1,381 SH       DEFINED        3         --         --    1,381
ATMEL CORP                        EQUITY     49513104       3        600 SH       DEFINED        3         --         --      600
ATMEL CORP                        EQUITY     49513104   5,178  1,029,402 SH       SOLE           2  1,029,402         --       --
ATMI INC                          EQUITY    00207R101     570     29,503 SH       SOLE           2     29,503         --       --
ATMOS ENERGY CORP                 EQUITY     49560105      81      2,831 SH       DEFINED        4         --         --    2,831
ATMOS ENERGY CORP                 EQUITY     49560105   6,010    210,346 SH       SOLE           2    210,346         --       --
ATP OIL  GAS CORPORATION          EQUITY    00208J108     599     31,828 SH       SOLE           2     31,828         --       --
ATP OIL & GAS CORP                EQUITY    00208J108      11        576 SH       DEFINED        4         --         --      576
ATRION CORPORATION                EQUITY     49904105     176      1,230 SH       SOLE           2      1,230         --       --
ATS MEDICAL INC                   EQUITY      2083103     101     38,713 SH       SOLE           2     38,713         --       --
ATT INC                           EQUITY    00206R102  67,590  2,615,731 SH       SOLE           2  2,615,731         --       --
ATWOOD OCEANICS INC               EQUITY     50095108   4,428    127,861 SH       SOLE           2    127,861         --       --
AUBURN NATL BANCORPORATION        EQUITY     50473107      40      1,916 SH       SOLE           2      1,916         --       --
AUDIOVOX CORP CL A                EQUITY     50757103     129     16,632 SH       SOLE           2     16,632         --       --
AUTHENTEC INC                     EQUITY     52660107       1        500 SH       DEFINED        4         --         --      500
AUTHENTIDATE HLDG CORP            EQUITY     52666104       6      5,500 SH       DEFINED        3         --         --    5,500
AUTODESK INC                      EQUITY     52769106       4        135 SH       DEFINED        3         --         --      135
AUTODESK INC                      EQUITY     52769106   3,351    113,900 SH       SOLE           2    113,900         --       --
AUTOLIV INC                       EQUITY     52800109     117      2,262 SH       SOLE           2      2,262         --       --
AUTOMATIC DATA PROCESSING         EQUITY     53015103  14,975    336,753 SH       SOLE           2    336,753         --       --
AUTOMATIC DATA PROCESSING IN      EQUITY     53015103      39        869 SH       DEFINED        4         --         --      869
AUTOMATIC DATA PROCESSING IN      EQUITY     53015103      62      1,391 SH       DEFINED        3         --         --    1,391
AUTONATION INC                    EQUITY    05329W102     564     31,177 SH       SOLE           2     31,177         --       --
AUTOZONE INC                      EQUITY     53332102      22        128 SH       DEFINED        4         --         --      128
AUTOZONE INC                      EQUITY     53332102   1,747     10,095 SH       SOLE           2     10,095         --       --
AUXILIUM PHARMACEUTICALS I        EQUITY    05334D107   1,155     37,062 SH       SOLE           2     37,062         --       --
AVAGO TECHNOLOGIES LTD            EQUITY    Y0486S104  19,976    971,597 SH       SOLE           2    971,597         --       --
AVALONBAY CMNTYS INC              EQUITY     53484101       9        100 SH       DEFINED        4         --         --      100
AVALONBAY COMMUNITIES INC         EQUITY     53484101   3,236     37,478 SH       SOLE           2     37,478         --       --
AVANIR PHARMACEUTICALS INC        EQUITY    05348P401     122     52,719 SH       SOLE           2     52,719         --       --
AVATAR HOLDINGS INC               EQUITY     53494100     138      6,370 SH       SOLE           2      6,370         --       --
AVERY DENNISON CORP               EQUITY     53611109   1,422     39,049 SH       SOLE           2     39,049         --       --
AVI BIOPHARMA INC                 EQUITY      2346104      93     78,387 SH       SOLE           2     78,387         --       --
AVIAT NETWORKS INC                EQUITY    05366Y102     319     48,184 SH       SOLE           2     48,184         --       --
AVID TECHNOLOGY INC               EQUITY    05367P100     372     26,981 SH       SOLE           2     26,981         --       --
AVIS BUDGET GROUP INC             EQUITY     53774105     938     81,566 SH       SOLE           2     81,566         --       --
AVISTA CORP                       EQUITY    05379B107       4        200 SH       DEFINED        3         --         --      200
AVISTA CORP                       EQUITY    05379B107   1,064     51,381 SH       SOLE           2     51,381         --       --
AVNET INC                         EQUITY     53807103       3        100 SH       DEFINED        4         --         --      100
AVNET INC                         EQUITY     53807103  10,283    342,770 SH       SOLE           2    342,770         --       --
AVON PRODS INC                    EQUITY     54303102       6        187 SH       DEFINED        4         --         --      187
AVON PRODUCTS INC                 EQUITY     54303102   6,578    194,214 SH       SOLE           2    194,214         --       --
AVX CORP                          EQUITY      2444107      17      1,207 SH       SOLE           2      1,207         --       --
AXIS CAPITAL HOLDINGS             EQUITY    G0692U109       1         39 SH       DEFINED        4         --         --       39
AXIS CAPITAL HOLDINGS LTD         EQUITY    G0692U109     102      3,253 SH       SOLE           2      3,253         --       --
AZZ INC                           EQUITY      2474104      93      2,735 SH       DEFINED        3         --         --    2,735
AZZ INC                           EQUITY      2474104     394     11,632 SH       SOLE           2     11,632         --       --
B & G FOODS INC NEW               EQUITY    05508R106      26      2,445 SH       DEFINED        4         --         --    2,445
B & G FOODS INC NEW               EQUITY    05508R106      61      5,824 SH       DEFINED        3         --         --    5,824
BADGER METER INC                  EQUITY     56525108       4        100 SH       DEFINED        4         --         --      100
BADGER METER INC                  EQUITY     56525108     537     13,946 SH       SOLE           2     13,946         --       --
BAIDU INC                         EQUITY     56752108      20         33 SH       DEFINED        3         --         --       33
BAIDU INC                         EQUITY     56752108      97        163 SH       DEFINED        4         --         --      163
BAIDU INC                         EQUITY     56752108     960      1,608 SH       SOLE           2      1,608         --       --
BAKER (MICHAEL) CORP              EQUITY     57149106     221      6,411 SH       SOLE           2      6,411         --       --
BAKER HUGHES INC                  EQUITY     57224107      39        841 SH       DEFINED        4         --         --      841
BAKER HUGHES INC                  EQUITY     57224107   4,689    100,109 SH       SOLE           2    100,109         --       --





                                                                                        
BALCHEM CORP                      EQUITY     57665200       4        150 SH       DEFINED        4         --         --      150
BALCHEM CORP                      EQUITY     57665200     639     25,918 SH       SOLE           2     25,918         --       --
BALDOR ELECTRIC                   EQUITY     57741100   1,613     43,125 SH       SOLE           2     43,125         --       --
BALDWIN  LYONS INC CL B           EQUITY     57755209     160      6,655 SH       SOLE           2      6,655         --       --
BALL CORP                         EQUITY     58498106   2,436     45,637 SH       SOLE           2     45,637         --       --
BALLARD PWR SYS INC NEW           EQUITY     58586108       3      1,110 SH       DEFINED        4         --         --    1,110
BALLY TECHNOLOGIES INC            EQUITY    05874B107       2         45 SH       DEFINED        3         --         --       45
BALLY TECHNOLOGIES INC            EQUITY    05874B107   6,772    167,048 SH       SOLE           2    167,048         --       --
BALTIC TRADING LTD                EQUITY    Y0553W103   2,764    204,000 SH       SOLE           2    204,000         --       --
BANCFIRST CORP                    EQUITY    05945F103     224      5,335 SH       SOLE           2      5,335         --       --
BANCO BILBAO VIZCAYA ARGENTA      EQUITY    05946K101       3        200 SH       DEFINED        4         --         --      200
BANCO BILBAO VIZCAYA ARGENTA      EQUITY    05946K101      25      1,794 SH       DEFINED        3         --         --    1,794
BANCO BRADESCO S A                EQUITY     59460303      20      1,106 SH       DEFINED        4         --         --    1,106
BANCO LATINOAMERICANO COME        EQUITY    P16994132     321     22,373 SH       SOLE           2     22,373         --       --
BANCO SANTANDER BRASIL S A        EQUITY    05967A107      20      1,600 SH       DEFINED        4         --         --    1,600
BANCO SANTANDER SA                EQUITY    05964H105      67      5,041 SH       DEFINED        3         --         --    5,041
BANCO SANTANDER SA                EQUITY    05964H105     133     10,040 SH       DEFINED        4         --         --   10,040
BANCORP INC/THE                   EQUITY    05969A105     145     16,326 SH       SOLE           2     16,326         --       --
BANCORP RHODE ISLAND INC          EQUITY     59690107      81      2,975 SH       SOLE           2      2,975         --       --
BANCORPSOUTH INC                  EQUITY     59692103   6,989    333,421 SH       SOLE           2    333,421         --       --
BANK MUTUAL CORP                  EQUITY     63750103     290     44,593 SH       SOLE           2     44,593         --       --
BANK NOVA SCOTIA HALIFAX          EQUITY     64149107     303      6,050 SH       DEFINED        4         --         --    6,050
BANK OF AMERICA CORP              EQUITY     60505104  91,055  5,101,138 SH       SOLE           2  5,101,138         --       --
BANK OF AMERICA CORPORATION       EQUITY     60505682       4          4 SH       DEFINED        3         --         --        4
BANK OF AMERICA CORPORATION       EQUITY     60505104     192     10,730 SH       DEFINED        3         --         --   10,730
BANK OF AMERICA CORPORATION       EQUITY     60505104   1,219     68,280 SH       DEFINED        4         --         --   68,280
BANK OF AMERICA CORPORATION CALL  OPTION     60505904       1         -1     CALL DEFINED        4         --         --      --1
BANK OF HAWAII CORP               EQUITY     62540109   4,885    108,673 SH       SOLE           2    108,673         --       --
BANK OF KENTUCKY FINL CORP        EQUITY     62896105      50      2,517 SH       SOLE           2      2,517         --       --
BANK OF MARIN BANCORP/CA          EQUITY     63425102     140      4,224 SH       SOLE           2      4,224         --       --
BANK OF NEW YORK MELLON CO        EQUITY     64058100  16,248    526,179 SH       SOLE           2    526,179         --       --
BANK OF NEW YORK MELLON CORP      EQUITY     64058100     119      3,861 SH       DEFINED        3         --         --    3,861
BANK OF NEW YORK MELLON CORP      EQUITY     64058100     124      4,012 SH       DEFINED        4         --         --    4,012
BANK OF THE OZARKS                EQUITY     63904106     438     12,439 SH       SOLE           2     12,439         --       --
BANKATLANTIC BANCORP              EQUITY     65908600      10      5,750 SH       DEFINED        3         --         --    5,750
BANKFINANCIAL CORP                EQUITY    06643P104     161     17,520 SH       SOLE           2     17,520         --       --
BANNER CORPORATION                EQUITY    06652V109      59     15,280 SH       SOLE           2     15,280         --       --
BAR HARBOR BANKSHARES             EQUITY     66849100      92      3,015 SH       SOLE           2      3,015         --       --
BARCLAYS BANK PLC                 EQUITY    06739H206       2         50 SH       DEFINED        3         --         --       50
BARCLAYS BANK PLC                 EQUITY    06739H511       5        200 SH       DEFINED        3         --         --      200
BARCLAYS BANK PLC                 EQUITY    06739H776      10        400 SH       DEFINED        3         --         --      400
BARCLAYS BANK PLC                 EQUITY    06739H776      10        400 SH       DEFINED        4         --         --      400
BARCLAYS BANK PLC                 EQUITY    06739H255      17        425 SH       DEFINED        3         --         --      425
BARCLAYS BANK PLC                 EQUITY    06739H362      26      1,000 SH       DEFINED        4         --         --    1,000
BARCLAYS BANK PLC                 EQUITY    06739H743      26        860 SH       DEFINED        3         --         --      860
BARCLAYS BANK PLC                 EQUITY    06739H511      58      2,300 SH       DEFINED        4         --         --    2,300
BARCLAYS BANK PLC                 EQUITY    06739H362      58      2,266 SH       DEFINED        3         --         --    2,266
BARCLAYS BANK PLC                 EQUITY    06739H750      61      2,575 SH       DEFINED        4         --         --    2,575
BARCLAYS BANK PLC                 EQUITY    06739H743     266      8,890 SH       DEFINED        4         --         --    8,890
BARCLAYS BK PLC                   EQUITY    06738C786       2         77 SH       DEFINED        3         --         --       77
BARCLAYS BK PLC                   EQUITY    06740C527       3        150 SH       DEFINED        3         --         --      150
BARCLAYS BK PLC                   EQUITY    06739F135       9        200 SH       DEFINED        4         --         --      200
BARCLAYS BK PLC                   EQUITY    06739F119      11        300 SH       DEFINED        3         --         --      300
BARCLAYS BK PLC                   EQUITY    06738C778      32        795 SH       DEFINED        3         --         --      795
BARCLAYS BK PLC                   EQUITY    06738C786      41      1,530 SH       DEFINED        4         --         --    1,530
BARCLAYS BK PLC                   EQUITY    06738C778      92      2,315 SH       DEFINED        4         --         --    2,315
BARCLAYS BK PLC                   EQUITY    06739F291     154      2,308 SH       DEFINED        3         --         --    2,308
BARCLAYS BK PLC                   EQUITY    06739F101     297      6,140 SH       DEFINED        3         --         --    6,140
BARCLAYS PLC                      EQUITY    6.74E+207       8        350 SH       DEFINED        3         --         --      350
BARCLAYS PLC                      EQUITY    6.74E+207     226     10,399 SH       DEFINED        4         --         --   10,399
BARD C R INC                      EQUITY     67383109      51        589 SH       DEFINED        3         --         --      589
BARD C R INC                      EQUITY     67383109     154      1,773 SH       DEFINED        4         --         --    1,773
BARNES  NOBLE INC                 EQUITY     67774109   7,895    365,165 SH       SOLE           2    365,165         --       --
BARNES & NOBLE INC                EQUITY     67774109       1         53 SH       DEFINED        3         --         --       53
BARNES GROUP INC                  EQUITY     67806109   3,760    193,329 SH       SOLE           2    193,329         --       --
BARRETT BILL CORP                 EQUITY    06846N104       6        200 SH       DEFINED        3         --         --      200
BARRETT BUSINESS SVCS INC         EQUITY     68463108      85      6,267 SH       SOLE           2      6,267         --       --
BARRICK GOLD CORP                 EQUITY     67901108     174      4,538 SH       DEFINED        4         --         --    4,538
BARRICK GOLD CORP                 EQUITY     67901108     283      7,383 SH       DEFINED        3         --         --    7,383
BASIC ENERGY SERVICES INC         EQUITY    06985P100     167     21,633 SH       SOLE           2     21,633         --       --
BAXTER INTERNATIONAL INC          EQUITY     71813109  11,290    193,982 SH       SOLE           2    193,982         --       --
BAXTER INTL INC                   EQUITY     71813109      11        182 SH       DEFINED        4         --         --      182
BB&T CORP                         EQUITY     54937107     125      3,852 SH       DEFINED        3         --         --    3,852
BB&T CORP                         EQUITY     54937107     246      7,604 SH       DEFINED        4         --         --    7,604
BBT CORP                          EQUITY     54937107  10,416    321,584 SH       SOLE           2    321,584         --       --
BCE INC                           EQUITY    05534B760       2         53 SH       DEFINED        4         --         --       53
BE AEROSPACE INC                  EQUITY     73302101   7,021    230,568 SH       SOLE           2    230,568         --       --
BEACON POWER CORP                 EQUITY     73677106      14     31,000 SH       DEFINED        4         --         --   31,000
BEACON ROOFING SUPPLY INC         EQUITY     73685109     691     36,123 SH       SOLE           2     36,123         --       --
BEAZER HOMES USA INC              EQUITY    07556Q105       6      1,400 SH       DEFINED        3         --         --    1,400
BEAZER HOMES USA INC              EQUITY    07556Q105     231     50,844 SH       SOLE           2     50,844         --       --
BEBE STORES INC                   EQUITY     75571109     174     19,532 SH       SOLE           2     19,532         --       --
BECKMAN COULTER INC               EQUITY     75811109   9,891    157,505 SH       SOLE           2    157,505         --       --
BECTON DICKINSON & CO             EQUITY     75887109       4         53 SH       DEFINED        3         --         --       53
BECTON DICKINSON & CO             EQUITY     75887109      27        347 SH       DEFINED        4         --         --      347
BECTON DICKINSON AND CO           EQUITY     75887109   8,471    107,594 SH       SOLE           2    107,594         --       --
BED BATH  BEYOND INC              EQUITY     75896100   5,813    132,845 SH       SOLE           2    132,845         --       --
BED BATH & BEYOND INC             EQUITY     75896100       3         75 SH       DEFINED        3         --         --       75
BED BATH & BEYOND INC             EQUITY     75896100     179      4,100 SH       DEFINED        4         --         --    4,100
BEL FUSE INCCL B                  EQUITY     77347300     202     10,014 SH       SOLE           2     10,014         --       --
BELDEN INC                        EQUITY     77454106   1,202     43,789 SH       SOLE           2     43,789         --       --
BELO CORPORATIONA                 EQUITY     80555105     497     72,918 SH       SOLE           2     72,918         --       --
BEMIS COMPANY                     EQUITY     81437105   1,091     37,985 SH       SOLE           2     37,985         --       --
BENCHMARK ELECTRONICS INC         EQUITY    08160H101   1,268     61,136 SH       SOLE           2     61,136         --       --





                                                                                        
BENEFICIAL MUTUAL BANCORP         EQUITY    08173R104     253     26,676 SH       SOLE           2     26,676         --       --
BENIHANA INC  CLASS A             EQUITY     82047200      70     10,746 SH       SOLE           2     10,746         --       --
BERKSHIRE HATHAWAY INC DEL        EQUITY     84670108     122          1 SH       DEFINED        3         --         --        1
BERKSHIRE HATHAWAY INC DEL        EQUITY     84670702     421      5,178 SH       DEFINED        3         --         --    5,178
BERKSHIRE HATHAWAY INC DEL        EQUITY     84670702   1,909     23,492 SH       DEFINED        4         --         --   23,492
BERKSHIRE HATHAWAY INCCL B        EQUITY     84670702  43,289    532,651 SH       SOLE           2    532,651         --       --
BERKSHIRE HILLS BANCORP IN        EQUITY     84680107     205     11,196 SH       SOLE           2     11,196         --       --
BERRY PETROLEUM COCLASS A         EQUITY     85789105   1,143     40,583 SH       SOLE           2     40,583         --       --
BEST BUY CO INC                   EQUITY     86516101   5,585    131,285 SH       SOLE           2    131,285         --       --
BEST BUY INC                      EQUITY     86516101     230      5,410 SH       DEFINED        4         --         --    5,410
BG FOODS INCCLASS A               EQUITY    05508R106   4,976    474,773 SH       SOLE           2    474,773         --       --
BGC PARTNERS INCCL A              EQUITY    05541T101     231     37,814 SH       SOLE           2     37,814         --       --
BHP BILLITON LTD                  EQUITY     88606108     108      1,340 SH       DEFINED        4         --         --    1,340
BIG 5 SPORTING GOODS CORP         EQUITY    08915P101     313     20,560 SH       SOLE           2     20,560         --       --
BIG LOTS INC                      EQUITY     89302103      77      2,114 SH       DEFINED        4         --         --    2,114
BIG LOTS INC                      EQUITY     89302103   1,051     28,850 SH       SOLE           2     28,850         --       --
BIGBAND NETWORKS INC              EQUITY     89750509     102     28,987 SH       SOLE           2     28,987         --       --
BILL BARRETT CORP                 EQUITY    06846N104     111      3,600 SH       SOLE           1       3600         --       --
BILL BARRETT CORP                 EQUITY    06846N104   3,602    117,275 SH       SOLE           2    117,275         --       --
BIO RAD LABS INC                  EQUITY     90572207       2         16 SH       DEFINED        3         --         --       16
BIO RAD LABS INC                  EQUITY     90572207     160      1,550 SH       DEFINED        4         --         --    1,550
BIOCRYST PHARMACEUTICALS          EQUITY    09058V103       9      1,300 SH       DEFINED        3         --         --    1,300
BIOCRYST PHARMACEUTICALS          EQUITY    09058V103      58      8,800 SH       DEFINED        4         --         --    8,800
BIOCRYST PHARMACEUTICALS I        EQUITY    09058V103     131     20,015 SH       SOLE           2     20,015         --       --
BIODEL INC                        EQUITY    09064M105      53     12,421 SH       SOLE           2     12,421         --       --
BIODELIVERY SCIENCES INTL         EQUITY    09060J106      32      8,307 SH       SOLE           2      8,307         --       --
BIOGEN IDEC INC                   EQUITY    09062X103       4         75 SH       DEFINED        3         --         --       75
BIOGEN IDEC INC                   EQUITY    09062X103      56        970 SH       DEFINED        4         --         --      970
BIOGEN IDEC INC                   EQUITY    09062X103   5,966    104,014 SH       SOLE           2    104,014         --       --
BIOMARIN PHARMACEUTICAL IN        EQUITY    09061G101      43      1,841 SH       SOLE           2      1,841         --       --
BIOMED REALTY TRUST INC           EQUITY    09063H107       3        200 SH       DEFINED        4         --         --      200
BIOMED REALTY TRUST INC           EQUITY    09063H107   1,527     92,327 SH       SOLE           2     92,327         --       --
BIOMIMETIC THERAPEUTICS IN        EQUITY    09064X101     147     11,142 SH       SOLE           2     11,142         --       --
BIORAD LABORATORIESCL A           EQUITY     90572207   4,491     43,381 SH       SOLE           2     43,381         --       --
BIOREFERENCE LABS INC             EQUITY    09057G602     497     11,310 SH       SOLE           2     11,310         --       --
BIOSCRIP INC                      EQUITY    09069N108     253     31,678 SH       SOLE           2     31,678         --       --
BIOSPECIFICS TECHNOLOGIES         EQUITY     90931106      82      2,948 SH       SOLE           2      2,948         --       --
BIOTECH HOLDRS TR                 EQUITY    09067D201     279      2,700 SH       DEFINED        4         --         --    2,700
BIOTIME INC                       EQUITY    09066L105       1        200 SH       DEFINED        3         --         --      200
BIOVAIL CORP                      EQUITY    09067J109       4        239 SH       DEFINED        4         --         --      239
BJ SERVICES CO                    EQUITY     55482103   3,215    150,233 SH       SOLE           2    150,233         --       --
BJ SVCS CO                        EQUITY     55482103      11        500 SH       DEFINED        4         --         --      500
BJS RESTAURANTS INC               EQUITY    09180C106     441     18,940 SH       SOLE           2     18,940         --       --
BJS WHOLESALE CLUB INC            EQUITY    05548J106   4,657    125,894 SH       SOLE           2    125,894         --       --
BLACK BOX CORP                    EQUITY     91826107     515     16,753 SH       SOLE           2     16,753         --       --
BLACK HILLS CORP                  EQUITY     92113109      86      2,850 SH       DEFINED        4         --         --    2,850
BLACK HILLS CORP                  EQUITY     92113109   3,584    118,093 SH       SOLE           2    118,093         --       --
BLACKBAUD INC                     EQUITY    09227Q100   1,040     41,290 SH       SOLE           2     41,290         --       --
BLACKBOARD INC                    EQUITY     91935502   1,112     26,698 SH       SOLE           2     26,698         --       --
BLACKROCK APEX MUN FD INC         EQUITY    09254H106      41      4,668 SH       DEFINED        4         --         --    4,668
BLACKROCK CALIF MUN INCOME T      EQUITY    9.25E+105      26      2,000 SH       DEFINED        4         --         --    2,000
BLACKROCK CORE BD TR              EQUITY    9.25E+104       2        195 SH       DEFINED        3         --         --      195
BLACKROCK CORPOR HI YLD III       EQUITY    09255M104     252     36,867 SH       DEFINED        4         --         --   36,867
BLACKROCK CORPOR HIGH YLD FD      EQUITY    09255L106      44      6,475 SH       DEFINED        4         --         --    6,475
BLACKROCK CREDIT ALL INC TR       EQUITY     92508100      25      2,044 SH       DEFINED        3         --         --    2,044
BLACKROCK DEBT STRAT FD INC       EQUITY    09255R103      11      2,500 SH       DEFINED        3         --         --    2,500
BLACKROCK DEBT STRAT FD INC       EQUITY    09255R103      48     11,400 SH       DEFINED        4         --         --   11,400
BLACKROCK ECOSOLUTIONS INVT       EQUITY     92546100      27      2,500 SH       DEFINED        4         --         --    2,500
BLACKROCK ENERGY & RES TR         EQUITY    09250U101       5        200 SH       DEFINED        3         --         --      200
BLACKROCK ENERGY & RES TR         EQUITY    09250U101      50      2,000 SH       DEFINED        4         --         --    2,000
BLACKROCK ENH CAP & INC FD I      EQUITY    09256A109      16      1,047 SH       DEFINED        3         --         --    1,047
BLACKROCK ENH CAP & INC FD I      EQUITY    09256A109      21      1,312 SH       DEFINED        4         --         --    1,312
BLACKROCK ENHANCED DIV ACHV       EQUITY    09251A104   1,269    143,259 SH       DEFINED        4         --         --  143,259
BLACKROCK FLOAT RATE OME STR      EQUITY    09255X100      12        800 SH       DEFINED        4         --         --      800
BLACKROCK FLOATING RATE INCO      EQUITY     91941104      69      4,500 SH       DEFINED        4         --         --    4,500
BLACKROCK FLOATING RATE INCO      EQUITY     91941104      88      5,712 SH       DEFINED        3         --         --    5,712
BLACKROCK GLOBAL OPP EQTY TR      EQUITY     92501105      27      1,370 SH       DEFINED        3         --         --    1,370
BLACKROCK GLOBAL OPP EQTY TR      EQUITY     92501105     152      7,760 SH       DEFINED        4         --         --    7,760
BLACKROCK HEALTH SCIENCES TR      EQUITY    09250W107      15        585 SH       DEFINED        3         --         --      585
BLACKROCK HIGH INCOME SHS         EQUITY    9.25E+110      24     12,000 SH       DEFINED        3         --         --   12,000
BLACKROCK HIGH YIELD TR           EQUITY    09248N102       4        580 SH       DEFINED        4         --         --      580
BLACKROCK HIGH YIELD TR           EQUITY    09248N102      32      5,000 SH       DEFINED        3         --         --    5,000
BLACKROCK INC                     EQUITY    09247X101       2          8 SH       DEFINED        3         --         --        8
BLACKROCK INCOME OPP TRUST I      EQUITY     92475102       6        678 SH       DEFINED        4         --         --      678
BLACKROCK INCOME OPP TRUST I      EQUITY     92475102      14      1,500 SH       DEFINED        3         --         --    1,500
BLACKROCK INCOME TR INC           EQUITY    09247F100      13      2,000 SH       DEFINED        4         --         --    2,000
BLACKROCK INSD MUN INCOME TR      EQUITY     92479104      21      1,500 SH       DEFINED        3         --         --    1,500
BLACKROCK INSD MUN TERM TR I      EQUITY     92474105      42      4,197 SH       DEFINED        3         --         --    4,197
BLACKROCK INTL GRWTH & INC T      EQUITY     92524107     257     22,365 SH       DEFINED        4         --         --   22,365
BLACKROCK KELSO CAPITAL CO        EQUITY     92533108     102     10,226 SH       SOLE           2     10,226         --       --
BLACKROCK KELSO CAPITAL CORP      EQUITY     92533108       1        110 SH       DEFINED        3         --         --      110
BLACKROCK LTD DURATION INC T      EQUITY    09249W101      15        900 SH       DEFINED        4         --         --      900
BLACKROCK MUNI INCOME TR II       EQUITY    09249N101      63      4,600 SH       DEFINED        3         --         --    4,600
BLACKROCK MUNIENHANCED FD IN      EQUITY    09253Y100      44      4,135 SH       DEFINED        3         --         --    4,135
BLACKROCK MUNIHLDGS INSD FDI      EQUITY    09254C107      24      1,785 SH       DEFINED        4         --         --    1,785
BLACKROCK MUNIHLDGS INSD FDI      EQUITY    09254C107      63      4,752 SH       DEFINED        3         --         --    4,752
BLACKROCK MUNIHOLDINGS CALIF      EQUITY    09254L107      44      3,260 SH       DEFINED        4         --         --    3,260
BLACKROCK MUNIVEST FD II INC      EQUITY    09253T101      67      4,660 SH       DEFINED        4         --         --    4,660
BLACKROCK MUNIVEST FD INC         EQUITY    09253R105      24      2,550 SH       DEFINED        3         --         --    2,550
BLACKROCK MUNIYIELD CALIF FD      EQUITY    09254M105      25      1,900 SH       DEFINED        4         --         --    1,900
BLACKROCK MUNIYIELD CALIF IN      EQUITY    09254N103      20      1,500 SH       DEFINED        4         --         --    1,500
BLACKROCK MUNIYIELD FD INC        EQUITY    09253W104       5        350 SH       DEFINED        3         --         --      350
BLACKROCK MUNIYIELD INS INV       EQUITY    09254T100       8        600 SH       DEFINED        4         --         --      600
BLACKROCK MUNIYIELD N Y INSD      EQUITY    9.26E+105      12      1,000 SH       DEFINED        4         --         --    1,000





                                                                                        
BLACKROCK MUNYIELD INSD FD I      EQUITY    9.25E+106      13      1,005 SH       DEFINED        4         --         --    1,005
BLACKROCK REAL ASSET EQUITY       EQUITY    09254B109       7        508 SH       DEFINED        3         --         --      508
BLACKROCK SR HIGH INCOME FD       EQUITY    09255T109      21      5,116 SH       DEFINED        3         --         --    5,116
BLACKROCK SR HIGH INCOME FD       EQUITY    09255T109     369     91,501 SH       DEFINED        4         --         --   91,501
BLACKROCK STRAT DIVD ACHIEVE      EQUITY    09249Y107      34      3,531 SH       DEFINED        4         --         --    3,531
BLACKROCK STRATEGIC MUN TR        EQUITY    09248T109       4        308 SH       DEFINED        4         --         --      308
BLACKSTONE GROUP L P              EQUITY    09253U108      18      1,304 SH       DEFINED        4         --         --    1,304
BLACKSTONE GROUP L P              EQUITY    09253U108      19      1,344 SH       DEFINED        3         --         --    1,344
BLDRS INDEX FDS TR                EQUITY    09348R409       8        400 SH       DEFINED        4         --         --      400
BLDRS INDEX FDS TR                EQUITY    09348R300      24        550 SH       DEFINED        3         --         --      550
BLDRS INDEX FDS TR                EQUITY    09348R300     233      5,302 SH       DEFINED        4         --         --    5,302
BLOCK H & R INC                   EQUITY     93671105       5        292 SH       DEFINED        4         --         --      292
BLOUNT INTERNATIONAL INC          EQUITY     95180105     324     31,313 SH       SOLE           2     31,313         --       --
BLUE COAT SYSTEMS INC             EQUITY    09534T508       5        148 SH       DEFINED        4         --         --      148
BLUE COAT SYSTEMS INC             EQUITY    09534T508   1,161     37,417 SH       SOLE           2     37,417         --       --
BLUE NILE INC                     EQUITY    09578R103     669     12,151 SH       SOLE           2     12,151         --       --
BLUEGREEN CORP                    EQUITY     96231105      38     11,725 SH       SOLE           2     11,725         --       --
BLUELINX HOLDINGS INC             EQUITY    09624H109      36      9,472 SH       SOLE           2      9,472         --       --
BLYTH INC                         EQUITY    09643P207     176      5,642 SH       SOLE           2      5,642         --       --
BMC SOFTWARE INC                  EQUITY     55921100      16        411 SH       DEFINED        4         --         --      411
BMC SOFTWARE INC                  EQUITY     55921100   2,843     74,821 SH       SOLE           2     74,821         --       --
BMP SUNSTONE CORP                 EQUITY    05569C105     134     26,445 SH       SOLE           2     26,445         --       --
BOARDWALK PIPELINE PARTNERS       EQUITY     96627104       6        200 SH       DEFINED        4         --         --      200
BOARDWALK PIPELINE PARTNERS       EQUITY     96627104      21        690 SH       DEFINED        3         --         --      690
BOB EVANS FARMS                   EQUITY     96761101   2,862     92,601 SH       SOLE           2     92,601         --       --
BOB EVANS FARMS INC               EQUITY     96761101      12        400 SH       DEFINED        4         --         --      400
BOB EVANS FARMS INC               EQUITY     96761101     152      4,923 SH       DEFINED        3         --         --    4,923
BOEING CO                         EQUITY     97023105     113      1,554 SH       DEFINED        3         --         --    1,554
BOEING CO                         EQUITY     97023105     505      6,950 SH       DEFINED        4         --         --    6,950
BOEING CO                         EQUITY     97023105  26,872    370,092 SH       SOLE           2    370,092         --       --
BOISE INC                         EQUITY    09746Y105     146     23,877 SH       SOLE           2     23,877         --       --
BOK FINANCIAL CORPORATION         EQUITY    05561Q201      26        502 SH       SOLE           2        502         --       --
BOLT TECHNOLOGY CORP              EQUITY     97698104      80      7,062 SH       SOLE           2      7,062         --       --
BON-TON STORES INC                EQUITY    09776J101       8        615 SH       DEFINED        4         --         --      615
BOOKSAMILLION INC                 EQUITY     98570104      42      5,733 SH       SOLE           2      5,733         --       --
BOOTS  COOTS INC                  EQUITY     99469504     155     63,861 SH       SOLE           2     63,861         --       --
BORDERS GROUP INC                 EQUITY     99709107      69     39,932 SH       SOLE           2     39,932         --       --
BORGWARNER INC                    EQUITY     99724106  10,063    263,556 SH       SOLE           2    263,556         --       --
BOSTON BEER COMPANY INCCL         EQUITY    100557107     449      8,588 SH       SOLE           2      8,588         --       --
BOSTON BEER INC                   EQUITY    100557107      52      1,000 SH       DEFINED        3         --         --    1,000
BOSTON PRIVATE FINL HOLDIN        EQUITY    101119105     474     64,368 SH       SOLE           2     64,368         --       --
BOSTON PROPERTIES INC             EQUITY    101121101   4,926     65,291 SH       SOLE           2     65,291         --       --
BOSTON SCIENTIFIC CORP            EQUITY    101137107       4        560 SH       DEFINED        3         --         --      560
BOSTON SCIENTIFIC CORP            EQUITY    101137107      71      9,852 SH       DEFINED        4         --         --    9,852
BOSTON SCIENTIFIC CORP            EQUITY    101137107   4,683    648,591 SH       SOLE           2    648,591         --       --
BOTTOMLINE TECHNOLOGIES IN        EQUITY    101388106     370     21,982 SH       SOLE           2     21,982         --       --
BOULDER GROWTH & INCOME FUND INC  EQUITY    101507101      78     12,348 SH       SOLE           1   12347.97         --       --
BOVIE MEDICAL CORP                EQUITY    10211F100      87     13,905 SH       SOLE           2     13,905         --       --
BOWNE  CO INC                     EQUITY    103043105     411     36,826 SH       SOLE           2     36,826         --       --
BOYD GAMING CORP                  EQUITY    103304101   1,230    124,533 SH       SOLE           2    124,533         --       --
BP PLC                            EQUITY     55622104     534      9,359 SH       DEFINED        3         --         --    9,359
BP PLC                            EQUITY     55622104   2,451     42,947 SH       DEFINED        4         --         --   42,947
BP PRUDHOE BAY RTY TR             EQUITY     55630107     104      1,050 SH       DEFINED        4         --         --    1,050
BP PRUDHOE BAY RTY TR             EQUITY     55630107     331      3,354 SH       DEFINED        3         --         --    3,354
BPZ RESOURCES INC                 EQUITY     55639108     545     74,157 SH       SOLE           2     74,157         --       --
BRADY CORPORATION  CL A           EQUITY    104674106   1,421     45,647 SH       SOLE           2     45,647         --       --
BRANDYWINE REALTY TRUST           EQUITY    105368203      42      3,417 SH       SOLE           2      3,417         --       --
BRANDYWINE RLTY TR                EQUITY    105368203      11        868 SH       DEFINED        3         --         --      868
BRE PROPERTIES INC                EQUITY    5.56E+109   4,463    124,844 SH       SOLE           2    124,844         --       --
BREITBURN ENERGY PARTNERS LP      EQUITY    106776107       3        200 SH       DEFINED        3         --         --      200
BRF-BRASIL FOODS S A              EQUITY    10552T107     110      2,008 SH       DEFINED        3         --         --    2,008
BRIDGE BANCORP INC                EQUITY    108035106     119      5,076 SH       SOLE           2      5,076         --       --
BRIDGEPOINT EDUCATION INC         EQUITY    10807M105     278     11,329 SH       SOLE           2     11,329         --       --
BRIGGS  STRATTON                  EQUITY    109043109     914     46,849 SH       SOLE           2     46,849         --       --
BRIGGS & STRATTON CORP            EQUITY    109043109       1         52 SH       DEFINED        3         --         --       52
BRIGHAM EXPLORATION CO            EQUITY    109178103  13,302    833,991 SH       SOLE           2    833,991         --       --
BRIGHTPOINT INC                   EQUITY    109473405       4        500 SH       DEFINED        3         --         --      500
BRIGHTPOINT INC                   EQUITY    109473405      20      2,700 SH       DEFINED        4         --         --    2,700
BRIGHTPOINT INC                   EQUITY    109473405     381     50,606 SH       SOLE           2     50,606         --       --
BRINKER INTERNATIONAL INC         EQUITY    109641100   4,453    230,953 SH       SOLE           2    230,953         --       --
BRINKER INTL INC                  EQUITY    109641100      20      1,050 SH       DEFINED        4         --         --    1,050
BRINKS CO/THE                     EQUITY    109696104   3,053    108,148 SH       SOLE           2    108,148         --       --
BRINKS HOME SECURITY HOLDI        EQUITY    109699108   4,393    103,239 SH       SOLE           2    103,239         --       --
BRISTOL MYERS SQUIBB CO           EQUITY    110122108     242      9,081 SH       DEFINED        3         --         --    9,081
BRISTOL MYERS SQUIBB CO           EQUITY    110122108     750     28,087 SH       DEFINED        4         --         --   28,087
BRISTOLMYERS SQUIBB CO            EQUITY    110122108  29,930  1,120,984 SH       SOLE           2  1,120,984         --       --
BRISTOW GROUP INC                 EQUITY    110394103   1,273     33,735 SH       SOLE           2     33,735         --       --
BRITISH AMERN TOB PLC             EQUITY    110448107       1         16 SH       DEFINED        3         --         --       16
BRITISH AMERN TOB PLC             EQUITY    110448107       8        117 SH       DEFINED        4         --         --      117
BRITISH SKY BROADCASTING GRO      EQUITY    111013108       4        115 SH       DEFINED        4         --         --      115
BROADCOM CORP                     EQUITY    111320107       7        200 SH       DEFINED        4         --         --      200
BROADCOM CORPCL A                 EQUITY    111320107  21,065    634,883 SH       SOLE           2    634,883         --       --
BROADPOINT GLEACHER SECURI        EQUITY    11134A103   3,579    894,741 SH       SOLE           2    894,741         --       --
BROADRIDGE FINANCIAL SOLUT        EQUITY    11133T103   6,507    304,334 SH       SOLE           2    304,334         --       --
BROADRIDGE FINL SOLUTIONS IN      EQUITY    11133T103       4        202 SH       DEFINED        3         --         --      202
BROADWIND ENERGY INC              EQUITY    11161T108     127     28,325 SH       SOLE           2     28,325         --       --
BROCADE COMMUNICATIONS SYS        EQUITY    111621306      60     10,548 SH       SOLE           2     10,548         --       --
BRONCO DRILLING CO INC            EQUITY    112211107      91     19,341 SH       SOLE           2     19,341         --       --
BROOKDALE SENIOR LIVING IN        EQUITY    112463104      24      1,169 SH       SOLE           2      1,169         --       --
BROOKFIELD ASSET MGMT INC         EQUITY    112585104       5        200 SH       DEFINED        3         --         --      200
BROOKFIELD ASSET MGMT INC         EQUITY    112585104       9        335 SH       DEFINED        4         --         --      335
BROOKFIELD HOMES CORP             EQUITY    112723101      73      8,305 SH       SOLE           2      8,305         --       --
BROOKLINE BANCORP INC             EQUITY    11373M107     590     55,486 SH       SOLE           2     55,486         --       --
BROOKLYN FEDERAL BANCORP I        EQUITY    114039100      21      2,507 SH       SOLE           2      2,507         --       --





                                                                                        
BROOKS AUTOMATION INC             EQUITY    114340102     533     60,473 SH       SOLE           2     60,473         --       --
BROWN  BROWN INC                  EQUITY    115236101   4,764    265,842 SH       SOLE           2    265,842         --       --
BROWN FORMAN CORP                 EQUITY    115637209       7        110 SH       DEFINED        3         --         --      110
BROWN SHOE COMPANY INC            EQUITY    115736100     618     39,893 SH       SOLE           2     39,893         --       --
BROWNFORMAN CORPCLASS B           EQUITY    115637209   2,184     36,733 SH       SOLE           2     36,733         --       --
BRUKER CORP                       EQUITY    116794108     574     39,182 SH       SOLE           2     39,182         --       --
BRUNSWICK CORP                    EQUITY    117043109   1,325     82,940 SH       SOLE           2     82,940         --       --
BRUSH ENGINEERED MATERIALS        EQUITY    117421107     435     19,279 SH       SOLE           2     19,279         --       --
BRYN MAWR BANK CORP               EQUITY    117665109     103      5,671 SH       SOLE           2      5,671         --       --
BRYN MAWR BK CORP                 EQUITY    117665109      75      4,128 SH       DEFINED        3         --         --    4,128
BT GROUP PLC                      EQUITY    5.58E+104      47      2,504 SH       DEFINED        3         --         --    2,504
BUCKEYE GP HOLDINGS LP            EQUITY    118167105     104      3,027 SH       DEFINED        4         --         --    3,027
BUCKEYE PARTNERS L P              EQUITY    118230101       2         30 SH       DEFINED        4         --         --       30
BUCKEYE PARTNERS L P              EQUITY    118230101     274      4,555 SH       DEFINED        3         --         --    4,555
BUCKEYE TECHNOLOGIES INC          EQUITY    118255108     483     36,942 SH       SOLE           2     36,942         --       --
BUCKLE INC                        EQUITY    118440106      53      1,428 SH       DEFINED        4         --         --    1,428
BUCKLE INC/THE                    EQUITY    118440106     881     23,962 SH       SOLE           2     23,962         --       --
BUCYRUS INTERNATIONAL INC         EQUITY    118759109  12,048    182,566 SH       SOLE           2    182,566         --       --
BUCYRUS INTL INC NEW              EQUITY    118759109     255      3,860 SH       DEFINED        4         --         --    3,860
BUFFALO WILD WINGS INC            EQUITY    119848109   8,264    171,775 SH       SOLE           2    171,775         --       --
BUILDABEAR WORKSHOP INC           EQUITY    120076104      98     13,735 SH       SOLE           2     13,735         --       --
BUILDERS FIRSTSOURCE INC          EQUITY    12008R107     109     34,605 SH       SOLE           2     34,605         --       --
BUNGE LIMITED                     EQUITY    G16962105       6        100 SH       DEFINED        3         --         --      100
BUNGE LIMITED                     EQUITY    G16962105       8        135 SH       DEFINED        4         --         --      135
BUNGE LTD                         EQUITY    G16962105     220      3,563 SH       SOLE           2      3,563         --       --
BURGER KING HOLDINGS INC          EQUITY    121208201   4,413    207,567 SH       SOLE           2    207,567         --       --
BWAY HOLDING CO                   EQUITY    12429T104     124      6,156 SH       SOLE           2      6,156         --       --
C H ROBINSON WORLDWIDE INC        EQUITY    12541W209       1         22 SH       DEFINED        3         --         --       22
C H ROBINSON WORLDWIDE INC        EQUITY    12541W209       6         99 SH       DEFINED        4         --         --       99
C.H. ROBINSON WORLDWIDE IN        EQUITY    12541W209   4,849     86,826 SH       SOLE           2     86,826         --       --
CA INC                            EQUITY    12673P105       3        137 SH       DEFINED        3         --         --      137
CA INC                            EQUITY    12673P105      19        790 SH       DEFINED        4         --         --      790
CA INC                            EQUITY    12673P105   5,766    245,665 SH       SOLE           2    245,665         --       --
CABELAS INC                       EQUITY    126804301       4        215 SH       DEFINED        4         --         --      215
CABELAS INC                       EQUITY    126804301     657     37,580 SH       SOLE           2     37,580         --       --
CABLEVISION SYSTEMSNY GRPA        EQUITY    12686C109     151      6,236 SH       SOLE           2      6,236         --       --
CABOT CORP                        EQUITY    127055101   4,491    147,738 SH       SOLE           2    147,738         --       --
CABOT MICROELECTRONICS COR        EQUITY    12709P103     833     22,028 SH       SOLE           2     22,028         --       --
CABOT OIL  GAS CORP               EQUITY    127097103   2,154     58,533 SH       SOLE           2     58,533         --       --
CABOT OIL & GAS CORP              EQUITY    127097103      11        303 SH       DEFINED        4         --         --      303
CACI INTERNATIONAL INC CL         EQUITY    127190304   1,377     28,186 SH       SOLE           2     28,186         --       --
CADENCE DESIGN SYS INC            EQUITY    127387108   4,036    606,039 SH       SOLE           2    606,039         --       --
CADENCE DESIGN SYSTEM INC         EQUITY    127387108       2        275 SH       DEFINED        3         --         --      275
CADENCE PHARMACEUTICALS, I        EQUITY    12738T100     183     20,092 SH       SOLE           2     20,092         --       --
CADIZ INC                         EQUITY    127537207     139     10,850 SH       SOLE           2     10,850         --       --
CAI INTERNATIONAL INC             EQUITY    12477X106      98      7,934 SH       SOLE           2      7,934         --       --
CAL DIVE INTERNATIONAL INC        EQUITY    12802T101     268     36,589 SH       SOLE           2     36,589         --       --
CAL DIVE INTERNATIONAL INC        EQUITY    12802T101   2,943    401,449 SH       SOLE           1     401449         --       --
CAL MAINE FOODS INC               EQUITY    128030202       3        100 SH       DEFINED        3         --         --      100
CALAMOS ASSET MANAGEMENTA         EQUITY    12811R104     230     16,016 SH       SOLE           2     16,016         --       --
CALAMOS CONV & HIGH INCOME F      EQUITY    12811P108   1,061     86,422 SH       DEFINED        4         --         --   86,422
CALAMOS CONV & HIGH INCOME F      EQUITY    12811P108   1,154     93,968 SH       DEFINED        3         --         --   93,968
CALAMOS CONV OPP AND INC FD       EQUITY    128117108      80      6,300 SH       DEFINED        3         --         --    6,300
CALAMOS CONV OPP AND INC FD       EQUITY    128117108     514     40,461 SH       DEFINED        4         --         --   40,461
CALAMOS GBL DYN INCOME FUND       EQUITY    12811L107       6        800 SH       DEFINED        4         --         --      800
CALAMOS GBL DYN INCOME FUND       EQUITY    12811L107      28      3,514 SH       DEFINED        3         --         --    3,514
CALAMOS STRATEGIC TOTL RETN       EQUITY    128125101      17      1,900 SH       DEFINED        4         --         --    1,900
CALAMOS STRATEGIC TOTL RETN       EQUITY    128125101      18      2,000 SH       DEFINED        3         --         --    2,000
CALAVO GROWERS INC                EQUITY    128246105     185     10,132 SH       SOLE           2     10,132         --       --
CALGON CARBON CORP                EQUITY    129603106     884     51,612 SH       SOLE           2     51,612         --       --
CALIFORNIA FIRST NATL BANC        EQUITY    130222102      20      1,498 SH       SOLE           2      1,498         --       --
CALIFORNIA PIZZA KITCHEN I        EQUITY    13054D109     321     19,132 SH       SOLE           2     19,132         --       --
CALIFORNIA WATER SERVICE G        EQUITY    130788102     592     15,744 SH       SOLE           2     15,744         --       --
CALIFORNIA WTR SVC GROUP          EQUITY    130788102       4        104 SH       DEFINED        4         --         --      104
CALLAWAY GOLF COMPANY             EQUITY    131193104     543     61,576 SH       SOLE           2     61,576         --       --
CALLIDUS SOFTWARE INC             EQUITY    13123E500      77     21,078 SH       SOLE           2     21,078         --       --
CALLON PETE CO DEL                EQUITY    13123X102       1        200 SH       DEFINED        4         --         --      200
CALLON PETE CO DEL CALL           OPTION    13123X902     107        200     CALL DEFINED        4         --         --      200
CALMAINE FOODS INC                EQUITY    128030202   4,003    118,104 SH       SOLE           2    118,104         --       --
CALPINE CORP                      EQUITY    131347304       6        524 SH       DEFINED        4         --         --      524
CALPINE CORP                      EQUITY    131347304      90      7,609 SH       SOLE           2      7,609         --       --
CAMBREX CORP                      EQUITY    132011107     113     27,933 SH       SOLE           2     27,933         --       --
CAMDEN NATIONAL CORP              EQUITY    133034108     200      6,242 SH       SOLE           2      6,242         --       --
CAMDEN PROPERTY TRUST             EQUITY    133131102   6,044    145,172 SH       SOLE           2    145,172         --       --
CAMECO CORP                       EQUITY    13321L108      10        375 SH       DEFINED        3         --         --      375
CAMECO CORP                       EQUITY    13321L108      63      2,300 SH       DEFINED        4         --         --    2,300
CAMERON INTERNATIONAL CORP        EQUITY    13342B105      90      2,100 SH       DEFINED        4         --         --    2,100
CAMERON INTERNATIONAL CORP        EQUITY    13342B105   4,980    116,196 SH       SOLE           2    116,196         --       --
CAMPBELL SOUP CO                  EQUITY    134429109      14        394 SH       DEFINED        4         --         --      394
CAMPBELL SOUP CO                  EQUITY    134429109      99      2,800 SH       DEFINED        3         --         --    2,800
CAMPBELL SOUP CO                  EQUITY    134429109   2,296     64,944 SH       SOLE           2     64,944         --       --
CANADIAN NAT RES LTD              EQUITY    136385101       2         25 SH       DEFINED        3         --         --       25
CANADIAN NAT RES LTD              EQUITY    136385101       7        100 SH       DEFINED        4         --         --      100
CANADIAN NATL RY CO               EQUITY    136375102      17        282 SH       DEFINED        4         --         --      282
CANADIAN SOLAR INC                EQUITY    136635109      87      3,567 SH       DEFINED        4         --         --    3,567
CANADIAN SUPERIOR ENERGY INC      EQUITY    136644101       1      2,000 SH       DEFINED        3         --         --    2,000
CANON INC                         EQUITY    138006309       7        145 SH       DEFINED        4         --         --      145
CANTEL MEDICAL CORP               EQUITY    138098108     238     12,006 SH       SOLE           2     12,006         --       --
CAPE BANCORP INC                  EQUITY    139209100      78      9,614 SH       SOLE           2      9,614         --       --
CAPELLA EDUCATION CO              EQUITY    139594105   1,270     13,679 SH       SOLE           2     13,679         --       --
CAPELLA EDUCATION COMPANY         EQUITY    139594105       3         30 SH       DEFINED        3         --         --       30
CAPITAL CITY BANK GROUP IN        EQUITY    139674105     138      9,684 SH       SOLE           2      9,684         --       --
CAPITAL GOLD CORP                 EQUITY    14018Y205       5      1,437 SH       DEFINED        4         --         --    1,437
CAPITAL ONE FINANCIAL CORP        EQUITY    14040H105   8,080    195,111 SH       SOLE           2    195,111         --       --





                                                                                        
CAPITAL ONE FINL CORP             EQUITY    14040H105       4         90 SH       DEFINED        3         --         --       90
CAPITAL ONE FINL CORP             EQUITY    14040H105      77      1,848 SH       DEFINED        4         --         --    1,848
CAPITAL SENIOR LIVING CORP        EQUITY    140475104      97     18,401 SH       SOLE           2     18,401         --       --
CAPITAL SOUTHWEST CORP            EQUITY    140501107     220      2,420 SH       SOLE           2      2,420         --       --
CAPITALSOURCE INC                 EQUITY    14055X102      35      6,260 SH       SOLE           2      6,260         --       --
CAPITALSOURCE INC                 EQUITY    14055X102     177     31,650 SH       DEFINED        4         --         --   31,650
CAPITOL FED FINL                  EQUITY    14057C106      34        900 SH       DEFINED        4         --         --      900
CAPITOL FEDERAL FINANCIAL         EQUITY    14057C106      15        407 SH       SOLE           2        407         --       --
CAPLEASE INC                      EQUITY    140288101     234     42,099 SH       SOLE           2     42,099         --       --
CAPSTEAD MORTGAGE CORP            EQUITY    14067E506     663     55,462 SH       SOLE           2     55,462         --       --
CAPSTONE TURBINE CORP             EQUITY    14067D102       2      1,865 SH       DEFINED        3         --         --    1,865
CARACO PHARM LABS LTD             EQUITY    14075T107      51      8,457 SH       SOLE           2      8,457         --       --
CARBO CERAMICS INC                EQUITY    140781105      28        447 SH       DEFINED        3         --         --      447
CARBO CERAMICS INC                EQUITY    140781105   1,129     18,107 SH       SOLE           2     18,107         --       --
CARDIAC SCIENCE CORP              EQUITY    14141A108       1        800 SH       DEFINED        4         --         --      800
CARDIAC SCIENCE CORP              EQUITY    14141A108      31     16,330 SH       SOLE           2     16,330         --       --
CARDICA INC                       EQUITY    14141R101       2      1,000 SH       DEFINED        3         --         --    1,000
CARDINAL FINANCIAL CORP           EQUITY    14149F109     247     23,119 SH       SOLE           2     23,119         --       --
CARDINAL HEALTH INC               EQUITY    14149Y108      16        449 SH       DEFINED        4         --         --      449
CARDINAL HEALTH INC               EQUITY    14149Y108   5,899    163,735 SH       SOLE           2    163,735         --       --
CARDIONET INC                     EQUITY    14159L103     148     19,403 SH       SOLE           2     19,403         --       --
CARDIOVASCULAR SYS INC DEL        EQUITY    141619106       5      1,000 SH       DEFINED        3         --         --    1,000
CARDIOVASCULAR SYSTEMS INC        EQUITY    141619106      41      7,786 SH       SOLE           2      7,786         --       --
CARDIUM THERAPEUTICS INC          EQUITY    141916106      16     37,277 SH       SOLE           2     37,277         --       --
CARDTRONICS INC                   EQUITY    14161H108     137     10,922 SH       SOLE           2     10,922         --       --
CAREER EDUCATION CORP             EQUITY    141665109   4,860    153,596 SH       SOLE           2    153,596         --       --
CAREFUSION CORP                   EQUITY    14170T101       3         96 SH       DEFINED        4         --         --       96
CAREFUSION CORP                   EQUITY    14170T101   1,735     65,644 SH       SOLE           2     65,644         --       --
CARIBOU COFFEE CO INC             EQUITY    142042209      37      5,585 SH       SOLE           2      5,585         --       --
CARLISLE COS INC                  EQUITY    142339100   5,186    136,125 SH       SOLE           2    136,125         --       --
CARMAX INC                        EQUITY    143130102  12,630    502,791 SH       SOLE           2    502,791         --       --
CARMIKE CINEMAS INC               EQUITY    143436400     124      8,971 SH       SOLE           2      8,971         --       --
CARNIVAL CORP                     EQUITY    143658300      10        255 SH       DEFINED        4         --         --      255
CARNIVAL CORP                     EQUITY    143658300   7,856    202,069 SH       SOLE           2    202,069         --       --
CARPENTER TECHNOLOGY              EQUITY    144285103   3,641     99,481 SH       SOLE           2     99,481         --       --
CARRIZO OIL  GAS INC              EQUITY    144577103     513     22,354 SH       SOLE           2     22,354         --       --
CARROLS RESTAURANT GROUP I        EQUITY    14574X104      63      9,207 SH       SOLE           2      9,207         --       --
CARTERS INC                       EQUITY    146229109   1,616     53,590 SH       SOLE           2     53,590         --       --
CASCADE CORP                      EQUITY    147195101     280      8,678 SH       SOLE           2      8,678         --       --
CASCADE FINL CORP                 EQUITY    147272108       3      1,450 SH       DEFINED        4         --         --    1,450
CASEYS GENERAL STORES INC         EQUITY    147528103   1,501     47,787 SH       SOLE           2     47,787         --       --
CASH AMERICA INTL INC             EQUITY    14754D100   1,096     27,767 SH       SOLE           2     27,767         --       --
CASS INFORMATION SYSTEMS I        EQUITY    14808P109     210      6,728 SH       SOLE           2      6,728         --       --
CASTLE (A.M.)  CO                 EQUITY    148411101     208     15,907 SH       SOLE           2     15,907         --       --
CATALYST HEALTH SOLUTIONS         EQUITY    14888B103   1,437     34,730 SH       SOLE           2     34,730         --       --
CATALYST HEALTH SOLUTIONS INC     EQUITY    14888B103     747     18,041 SH       SOLE           1      18041         --       --
CATERPILLAR INC                   EQUITY    149123101  18,458    293,690 SH       SOLE           2    293,690         --       --
CATERPILLAR INC DEL               EQUITY    149123101     914     14,542 SH       DEFINED        3         --         --   14,542
CATERPILLAR INC DEL               EQUITY    149123101   1,208     19,216 SH       DEFINED        4         --         --   19,216
CATHAY GENERAL BANCORP            EQUITY    149150104   6,569    563,900 SH       SOLE           2    563,900         --       --
CATO CORPCLASS A                  EQUITY    149205106     563     26,264 SH       SOLE           2     26,264         --       --
CAVCO INDUSTRIES INC              EQUITY    149568107     181      5,315 SH       SOLE           2      5,315         --       --
CAVIUM NETWORKS INC               EQUITY    14965A101     722     29,050 SH       SOLE           2     29,050         --       --
CB RICHARD ELLIS GROUP INC        EQUITY    12497T101   1,986    125,319 SH       SOLE           2    125,319         --       --
CBEYOND INC                       EQUITY    149847105     310     22,635 SH       SOLE           2     22,635         --       --
CBIZ INC                          EQUITY    124805102     235     35,798 SH       SOLE           2     35,798         --       --
CBL  ASSOCIATES PROPERTIES        EQUITY    124830100   1,514    110,482 SH       SOLE           2    110,482         --       --
CBS CORP NEW                      EQUITY    124857202       1         97 SH       DEFINED        3         --         --       97
CBS CORPCLASS B NON VOTING        EQUITY    124857202   3,266    234,259 SH       SOLE           2    234,259         --       --
CDC SOFTWARE CORP ADR             EQUITY    12507Y108   5,241    456,570 SH       SOLE           2    456,570         --       --
CDI CORP                          EQUITY    125071100     172     11,712 SH       SOLE           2     11,712         --       --
CEC ENTERTAINMENT INC             EQUITY    125137109     820     21,525 SH       SOLE           2     21,525         --       --
CEDAR FAIR L P                    EQUITY    150185106      14      1,207 SH       DEFINED        3         --         --    1,207
CEDAR FAIR L P                    EQUITY    150185106      82      6,850 SH       DEFINED        4         --         --    6,850
CEDAR SHOPPING CENTERS INC        EQUITY    150602209     351     44,360 SH       SOLE           2     44,360         --       --
CELADON GROUP INC                 EQUITY    150838100     252     18,051 SH       SOLE           2     18,051         --       --
CELANESE CORP DEL                 EQUITY    150870103       8        264 SH       DEFINED        4         --         --      264
CELANESE CORPSERIES A             EQUITY    150870103      88      2,774 SH       SOLE           2      2,774         --       --
CELERA CORP                       EQUITY    1.51E+110     466     65,569 SH       SOLE           2     65,569         --       --
CELGENE CORP                      EQUITY    151020104       2         35 SH       DEFINED        3         --         --       35
CELGENE CORP                      EQUITY    151020104     263      4,251 SH       DEFINED        4         --         --    4,251
CELGENE CORP                      EQUITY    151020104  28,827    465,257 SH       SOLE           2    465,257         --       --
CELL THERAPEUTICS INC             EQUITY    150934503       2      2,830 SH       DEFINED        4         --         --    2,830
CELL THERAPEUTICS INC             EQUITY    150934503       3      5,240 SH       DEFINED        3         --         --    5,240
CELL THERAPEUTICS INC             EQUITY    150934503     249    460,348 SH       SOLE           2    460,348         --       --
CELLCOM ISRAEL LTD                EQUITY    M2196U109       4        104 SH       DEFINED        4         --         --      104
CELLCOM ISRAEL LTD                EQUITY    M2196U109      17        500 SH       DEFINED        3         --         --      500
CELLDEX THERAPEUTICS INC          EQUITY    15117B103     126     20,453 SH       SOLE           2     20,453         --       --
CEMEX SAB DE CV                   EQUITY    151290889       8        744 SH       DEFINED        3         --         --      744
CEMEX SAB DE CV                   EQUITY    151290889     293     28,718 SH       DEFINED        4         --         --   28,718
CENOVUS ENERGY INC                EQUITY    15135U109       8        293 SH       DEFINED        4         --         --      293
CENTENE CORP                      EQUITY    15135B101   4,988    207,505 SH       SOLE           2    207,505         --       --
CENTER BANCORP INC                EQUITY    151408101      84     10,082 SH       SOLE           2     10,082         --       --
CENTERPOINT ENERGY INC            EQUITY    15189T107       6        400 SH       DEFINED        3         --         --      400
CENTERPOINT ENERGY INC            EQUITY    15189T107      67      4,654 SH       DEFINED        4         --         --    4,654
CENTERPOINT ENERGY INC            EQUITY    15189T107   3,934    273,959 SH       SOLE           2    273,959         --       --
CENTERSTATE BANKS INC             EQUITY    15201P109     186     15,166 SH       SOLE           2     15,166         --       --
CENTRAL EURO DISTRIBUTION         EQUITY    153435102      58      1,645 SH       SOLE           2      1,645         --       --
CENTRAL EUROPEAN DIST CORP        EQUITY    153435102      11        300 SH       DEFINED        4         --         --      300
CENTRAL EUROPEAN MEDIA ENT        EQUITY    G20045202      27        911 SH       SOLE           2        911         --       --
CENTRAL EUROPEAN MEDIA ENTRP      EQUITY    G20045202       1         50 SH       DEFINED        4         --         --       50
CENTRAL FD CDA LTD                EQUITY    153501101     234     16,688 SH       DEFINED        3         --         --   16,688
CENTRAL GARDEN  PET CO            EQUITY    153527106   1,413    143,116 SH       SOLE           2    143,116         --       --
CENTRAL GARDEN AND PET COA        EQUITY    153527205     514     56,093 SH       SOLE           2     56,093         --       --





                                                                                        
CENTRAL GOLDTRUST                 EQUITY    153546106     179      4,050 SH       DEFINED        3         --         --    4,050
CENTRAL PACIFIC FINANCIAL         EQUITY    154760102      42     24,774 SH       SOLE           2     24,774         --       --
CENTRAL VERMONT PUBLIC SER        EQUITY    155771108     225     11,139 SH       SOLE           2     11,139         --       --
CENTRAL VT PUB SVC CORP           EQUITY    155771108      40      2,000 SH       DEFINED        4         --         --    2,000
CENTURY ALUM CO                   EQUITY    156431108      22      1,600 SH       DEFINED        4         --         --    1,600
CENTURY ALUMINUM COMPANY          EQUITY    156431108     735     53,404 SH       SOLE           2     53,404         --       --
CENTURY BANCORP INC CL A          EQUITY    156432106      55      2,868 SH       SOLE           2      2,868         --       --
CENTURYTEL INC                    EQUITY    156700106       5        153 SH       DEFINED        3         --         --      153
CENTURYTEL INC                    EQUITY    156700106      21        581 SH       DEFINED        4         --         --      581
CENTURYTEL INC                    EQUITY    156700106  15,037    424,057 SH       SOLE           2    424,057         --       --
CENVEO INC                        EQUITY    15670S105     379     43,737 SH       SOLE           2     43,737         --       --
CEPHALON INC                      EQUITY    156708109   2,030     29,955 SH       SOLE           2     29,955         --       --
CEPHEID                           EQUITY    15670R107       3        190 SH       DEFINED        4         --         --      190
CEPHEID                           EQUITY    15670R107      31      1,800 SH       DEFINED        3         --         --    1,800
CEPHEID INC                       EQUITY    15670R107     812     46,428 SH       SOLE           2     46,428         --       --
CERADYNE INC                      EQUITY    156710105     558     24,589 SH       SOLE           2     24,589         --       --
CERNER CORP                       EQUITY    156782104      11        132 SH       DEFINED        4         --         --      132
CERNER CORP                       EQUITY    156782104  13,451    158,137 SH       SOLE           2    158,137         --       --
CEVA INC                          EQUITY    157210105     186     15,944 SH       SOLE           2     15,944         --       --
CF INDS HLDGS INC                 EQUITY    125269100       1         14 SH       DEFINED        4         --         --       14
CF INDUSTRIES HOLDINGS INC        EQUITY    125269100   1,508     16,534 SH       SOLE           2     16,534         --       --
CH ENERGY GROUP INC               EQUITY    12541M102     606     14,840 SH       SOLE           2     14,840         --       --
CHARLES RIVER LABORATORIES        EQUITY    159864107   5,848    148,759 SH       SOLE           2    148,759         --       --
CHARMING SHOPPES                  EQUITY    161133103     505     92,489 SH       SOLE           2     92,489         --       --
CHART INDUSTRIES INC              EQUITY    16115Q308     464     23,208 SH       SOLE           2     23,208         --       --
CHARTWELL DIVD & INCOME FD I      EQUITY    16139P104       6      1,500 SH       DEFINED        4         --         --    1,500
CHASE CORP                        EQUITY    16150R104      63      4,969 SH       SOLE           2      4,969         --       --
CHECK POINT SOFTWARE TECH         EQUITY    M22465104   2,250     64,170 SH       SOLE           2     64,170         --       --
CHECK POINT SOFTWARE TECH LT      EQUITY    M22465104      11        311 SH       DEFINED        4         --         --      311
CHECKPOINT SYSTEMS INC            EQUITY    162825103     809     36,571 SH       SOLE           2     36,571         --       --
CHEESECAKE FACTORY INC            EQUITY    163072101       7        275 SH       DEFINED        4         --         --      275
CHEESECAKE FACTORY INC/THE        EQUITY    163072101   4,956    183,152 SH       SOLE           2    183,152         --       --
CHELSEA THERAPEUTICS INTER        EQUITY    163428105      76     21,469 SH       SOLE           2     21,469         --       --
CHEMED CORP                       EQUITY    16359R103   1,155     21,248 SH       SOLE           2     21,248         --       --
CHEMICAL FINANCIAL CORP           EQUITY    163731102     410     17,368 SH       SOLE           2     17,368         --       --
CHENIERE ENERGY INC               EQUITY    16411R208     142     45,940 SH       SOLE           2     45,940         --       --
CHENIERE ENERGY PARTNERS LP       EQUITY    16411Q101      60      3,650 SH       DEFINED        3         --         --    3,650
CHENIERE ENERGY PARTNERS LP       EQUITY    16411Q101     146      8,898 SH       DEFINED        4         --         --    8,898
CHEROKEE INC                      EQUITY    16444H102     112      6,213 SH       SOLE           2      6,213         --       --
CHESAPEAKE ENERGY CORP            EQUITY    165167842     109      1,300 SH       DEFINED        4         --         --    1,300
CHESAPEAKE ENERGY CORP            EQUITY    165167107     273     11,569 SH       DEFINED        4         --         --   11,569
CHESAPEAKE ENERGY CORP            EQUITY    165167107     623     26,357 SH       DEFINED        3         --         --   26,357
CHESAPEAKE ENERGY CORP            EQUITY    165167107   7,284    308,106 SH       SOLE           2    308,106         --       --
CHESAPEAKE UTILITIES CORP         EQUITY    165303108     227      7,624 SH       SOLE           2      7,624         --       --
CHESAPEAKE UTILS CORP             EQUITY    165303108      13        450 SH       DEFINED        3         --         --      450
CHEVIOT FINANCIAL CORP            EQUITY    166774109      21      2,281 SH       SOLE           2      2,281         --       --
CHEVRON CORP                      EQUITY    166764100  73,119    964,247 SH       SOLE           2    964,247         --       --
CHEVRON CORP NEW                  EQUITY    166764100     806     10,630 SH       DEFINED        3         --         --   10,630
CHEVRON CORP NEW                  EQUITY    166764100   2,303     30,376 SH       DEFINED        4         --         --   30,376
CHICOPEE BANCORP INC              EQUITY    168565109      67      5,276 SH       SOLE           2      5,276         --       --
CHICOS FAS INC                    EQUITY    168615102      10        693 SH       DEFINED        3         --         --      693
CHICOS FAS INC                    EQUITY    168615102     179     12,429 SH       DEFINED        4         --         --   12,429
CHICOS FAS INC                    EQUITY    168615102   5,787    401,334 SH       SOLE           2    401,334         --       --
CHILDREN S PLACE                  EQUITY    168905107     957     21,487 SH       SOLE           2     21,487         --       --
CHIMERA INVESTMENT CORP           EQUITY    16934Q109      69     17,824 SH       SOLE           2     17,824         --       --
CHIMERA INVT CORP                 EQUITY    16934Q109       4      1,100 SH       DEFINED        4         --         --    1,100
CHINA AGRITECH INC                EQUITY    16937A200      17        700 SH       DEFINED        3         --         --      700
CHINA ARMCO METALS INC            EQUITY    16936C108       9      1,000 SH       DEFINED        3         --         --    1,000
CHINA AUTOMOTIVE SYS INC          EQUITY    16936R105      16        700 SH       DEFINED        3         --         --      700
CHINA AUTOMOTIVE SYSTEMS I        EQUITY    16936R105      81      3,526 SH       SOLE           2      3,526         --       --
CHINA BAK BATTERY INC             EQUITY    16936Y100      82     33,915 SH       SOLE           2     33,915         --       --
CHINA BIOLOGIC PRODS INC          EQUITY    16938C106       3        300 SH       DEFINED        4         --         --      300
CHINA DIRECT INDS INC             EQUITY    169384203       2      1,000 SH       DEFINED        4         --         --    1,000
CHINA FIRE  SECURITY GROUP        EQUITY    16938R103     148     11,447 SH       SOLE           2     11,447         --       --
CHINA FIRE & SEC GROUP INC        EQUITY    16938R103       3        200 SH       DEFINED        3         --         --      200
CHINA GREEN AGRICULTURE IN        EQUITY    16943W105     121      8,631 SH       SOLE           2      8,631         --       --
CHINA GREEN AGRICULTURE INC       EQUITY    16943W105     100      7,130 SH       DEFINED        4         --         --    7,130
CHINA HOUSING  LAND DEVELO        EQUITY    16939V103      80     20,970 SH       SOLE           2     20,970         --       --
CHINA INFORMATION SECURITY        EQUITY    16944F101     111     22,042 SH       SOLE           2     22,042         --       --
CHINA INSONLINE CORP              EQUITY    1.69E+108       4      8,000 SH       DEFINED        4         --         --    8,000
CHINA LIFE INS CO LTD             EQUITY    16939P106       8        105 SH       DEFINED        4         --         --      105
CHINA MARINE FOOD GROUP LTD       EQUITY    16943R106       1        200 SH       DEFINED        4         --         --      200
CHINA MOBILE LIMITED              EQUITY    16941M109      53      1,101 SH       DEFINED        4         --         --    1,101
CHINA NAT GAS INC                 EQUITY    168910206       1        134 SH       DEFINED        3         --         --      134
CHINA NEPSTAR CHAIN DRUGSTOR      EQUITY    16943C109       2        300 SH       DEFINED        4         --         --      300
CHINA PRECISION STEEL INC         EQUITY    16941J106      22     10,700 SH       DEFINED        4         --         --   10,700
CHINA PRECISION STEEL INC         EQUITY    16941J106      53     25,293 SH       SOLE           2     25,293         --       --
CHINA REAL ESTATE INFO CORP       EQUITY    16948Q103       1        100 SH       DEFINED        4         --         --      100
CHINA SECURITY  SURVEILLAN        EQUITY    16942J105     276     35,865 SH       SOLE           2     35,865         --       --
CHINA SKY ONE MEDICAL INC         EQUITY    16941P102     134      8,516 SH       SOLE           2      8,516         --       --
CHINA TELECOM CORP LTD            EQUITY    169426103      24        500 SH       DEFINED        4         --         --      500
CHINA TRANSINFO TECHNOLOGY        EQUITY    169453107      48      7,071 SH       SOLE           2      7,071         --       --
CHINA UNICOM (HONG KONG) LTD      EQUITY    16945R104      35      3,117 SH       DEFINED        4         --         --    3,117
CHINABIOTICS INC                  EQUITY    16937B109     140      7,801 SH       SOLE           2      7,801         --       --
CHINA-BIOTICS INC                 EQUITY    16937B109      12        650 SH       DEFINED        3         --         --      650
CHINACAST EDUCATION CORP          EQUITY    16946T109     203     27,702 SH       SOLE           2     27,702         --       --
CHINAEDU CORP                     EQUITY    16945L107       2        200 SH       DEFINED        4         --         --      200
CHINDEX INTERNATIONAL INC         EQUITY    169467107     128     10,876 SH       SOLE           2     10,876         --       --
CHIPOTLE MEXICAN GRILL INC        EQUITY    169656105       6         50 SH       DEFINED        4         --         --       50
CHIPOTLE MEXICAN GRILL INC        EQUITY    169656105      31        277 SH       DEFINED        3         --         --      277
CHIPOTLE MEXICAN GRILL INC        EQUITY    169656105   8,022     71,196 SH       SOLE           2     71,196         --       --
CHIQUITA BRANDS INTL              EQUITY    170032809     561     35,693 SH       SOLE           2     35,693         --       --
CHIQUITA BRANDS INTL INC          EQUITY    170032809       2        100 SH       DEFINED        4         --         --      100
CHOICE HOTELS INTL INC            EQUITY    169905106      25        715 SH       SOLE           2        715         --       --





                                                                                        
CHORDIANT SOFTWARE INC            EQUITY    170404305     125     24,651 SH       SOLE           2     24,651         --       --
CHRISTOPHER  BANKS CORP           EQUITY    171046105     274     34,285 SH       SOLE           2     34,285         --       --
CHUBB CORP                        EQUITY    171232101      50        971 SH       DEFINED        4         --         --      971
CHUBB CORP                        EQUITY    171232101  11,808    227,740 SH       SOLE           2    227,740         --       --
CHURCH  DWIGHT CO INC             EQUITY    171340102  10,675    159,441 SH       SOLE           2    159,441         --       --
CHURCHILL DOWNS INC               EQUITY    171484108     291      7,762 SH       SOLE           2      7,762         --       --
CIBER INC                         EQUITY    17163B102     246     65,724 SH       SOLE           2     65,724         --       --
CIENA CORP                        EQUITY    171779309      70      4,605 SH       DEFINED        4         --         --    4,605
CIENA CORP                        EQUITY    171779309   3,189    209,234 SH       SOLE           2    209,234         --       --
CIGNA CORP                        EQUITY    125509109      20        551 SH       DEFINED        4         --         --      551
CIGNA CORP                        EQUITY    125509109   4,632    126,631 SH       SOLE           2    126,631         --       --
CIMAREX ENERGY CO                 EQUITY    171798101       9        153 SH       DEFINED        3         --         --      153
CIMAREX ENERGY CO                 EQUITY    171798101      18        300 SH       DEFINED        4         --         --      300
CIMAREX ENERGY CO                 EQUITY    171798101  11,253    189,514 SH       SOLE           2    189,514         --       --
CINCINNATI BELL INC               EQUITY    171871106   2,087    612,067 SH       SOLE           2    612,067         --       --
CINCINNATI FINANCIAL CORP         EQUITY    172062101   4,182    144,699 SH       SOLE           2    144,699         --       --
CINCINNATI FINL CORP              EQUITY    172062101      22        745 SH       DEFINED        4         --         --      745
CINEDIGM DIGITAL CINEMA CORP      EQUITY    172407108       3      1,890 SH       DEFINED        3         --         --    1,890
CINEMARK HOLDINGS INC             EQUITY    17243V102     483     26,332 SH       SOLE           2     26,332         --       --
CINTAS CORP                       EQUITY    172908105      11        400 SH       DEFINED        3         --         --      400
CINTAS CORP                       EQUITY    172908105   1,594     56,735 SH       SOLE           2     56,735         --       --
CIRCOR INTERNATIONAL INC          EQUITY    17273K109     539     16,215 SH       SOLE           2     16,215         --       --
CIRRUS LOGIC INC                  EQUITY    172755100     447     53,292 SH       SOLE           2     53,292         --       --
CISCO SYS INC                     EQUITY    17275R102     810     31,101 SH       DEFINED        4         --         --   31,101
CISCO SYS INC                     EQUITY    17275R102   1,128     43,322 SH       DEFINED        3         --         --   43,322
CISCO SYSTEMS INC                 EQUITY    17275R102  98,597  3,787,814 SH       SOLE           2  3,787,814         --       --
CIT GROUP INC                     EQUITY    125581801       2         60 SH       DEFINED        3         --         --       60
CIT GROUP INC                     EQUITY    125581801      34        882 SH       DEFINED        4         --         --      882
CIT GROUP INC                     EQUITY    125581801   1,123     28,827 SH       SOLE           1      28827         --       --
CITI TRENDS INC                   EQUITY    17306X102     389     11,991 SH       SOLE           2     11,991         --       --
CITIGROUP INC                     EQUITY    172967598       7        200 SH       DEFINED        4         --         --      200
CITIGROUP INC                     EQUITY    172967101     324     80,047 SH       DEFINED        3         --         --   80,047
CITIGROUP INC                     EQUITY    172967101     981    242,123 SH       DEFINED        4         --         --  242,123
CITIGROUP INC                     EQUITY    172967101  34,786  8,589,037 SH       SOLE           2  8,589,037         --       --
CITIZENS  NORTHERN CORP           EQUITY    172922106     124      9,894 SH       SOLE           2      9,894         --       --
CITIZENS HOLDING COMPANY          EQUITY    174715102      80      3,244 SH       SOLE           2      3,244         --       --
CITIZENS INC                      EQUITY    174740100     188     27,191 SH       SOLE           2     27,191         --       --
CITIZENS REPUBLIC BANCORP         EQUITY    174420109     380    322,222 SH       SOLE           2    322,222         --       --
CITRIX SYS INC                    EQUITY    177376100       5        100 SH       DEFINED        4         --         --      100
CITRIX SYS INC                    EQUITY    177376100      31        650 SH       DEFINED        3         --         --      650
CITRIX SYSTEMS INC                EQUITY    177376100   4,248     89,490 SH       SOLE           2     89,490         --       --
CITY HLDG CO                      EQUITY    177835105      45      1,300 SH       DEFINED        4         --         --    1,300
CITY HOLDING CO                   EQUITY    177835105     523     15,241 SH       SOLE           2     15,241         --       --
CITY NATIONAL CORP                EQUITY    178566105  11,719    217,145 SH       SOLE           2    217,145         --       --
CITY TELECOM H K LTD              EQUITY    178677209       4        250 SH       DEFINED        3         --         --      250
CKE RESTAURANTS INC               EQUITY    1.26E+109       2        180 SH       DEFINED        4         --         --      180
CKE RESTAURANTS INC               EQUITY    1.26E+109     526     47,508 SH       SOLE           2     47,508         --       --
CKX INC                           EQUITY    12562M106     291     47,454 SH       SOLE           2     47,454         --       --
CLARCOR INC                       EQUITY    179895107   1,648     47,785 SH       SOLE           2     47,785         --       --
CLARIENT INC                      EQUITY    180489106      64     24,419 SH       SOLE           2     24,419         --       --
CLAYMORE DIVID & INCOME FD        EQUITY    18385J105       3        200 SH       DEFINED        4         --         --      200
CLAYMORE ETF TRUST 2              EQUITY    18383Q853      14        500 SH       DEFINED        4         --         --      500
CLAYMORE ETF TRUST 2              EQUITY    18383Q820      59      4,013 SH       DEFINED        4         --         --    4,013
CLAYMORE ETF TRUST 2              EQUITY    18383Q507      76      4,150 SH       DEFINED        4         --         --    4,150
CLAYMORE ETF TRUST 2              EQUITY    18383Q507     459     24,881 SH       DEFINED        3         --         --   24,881
CLAYMORE EXCHANGE TRADED FD       EQUITY    18383M621       3        400 SH       DEFINED        4         --         --      400
CLAYMORE EXCHANGE TRADED FD       EQUITY    18383M621       7        833 SH       DEFINED        3         --         --      833
CLAYMORE EXCHANGE TRADED FD       EQUITY    18383M100     122      2,850 SH       DEFINED        3         --         --    2,850
CLAYMORE EXCHANGE TRADED FD       EQUITY    18383M506     263     14,034 SH       DEFINED        3         --         --   14,034
CLAYMORE EXCHANGE TRADED FD       EQUITY    18383M100     457     10,699 SH       DEFINED        4         --         --   10,699
CLAYMORE/GUGGENHEIM STR OPP       EQUITY    18385X104      53      2,950 SH       DEFINED        4         --         --    2,950
CLAYTON WILLIAMS ENERGY IN        EQUITY    969490101     168      4,807 SH       SOLE           2      4,807         --       --
CLEAN ENERGY FUELS CORP           EQUITY    184499101       9        375 SH       DEFINED        4         --         --      375
CLEAN ENERGY FUELS CORP           EQUITY    184499101     650     28,555 SH       SOLE           2     28,555         --       --
CLEAN HARBORS INC                 EQUITY    184496107   3,805     68,483 SH       SOLE           2     68,483         --       --
CLEAR CHANNEL OUTDOORCL A         EQUITY    18451C109      11      1,038 SH       SOLE           2      1,038         --       --
CLEARWATER PAPER CORP             EQUITY    18538R103     526     10,675 SH       SOLE           2     10,675         --       --
CLEARWIRE CORPCLASS A             EQUITY    18538Q105      12      1,665 SH       SOLE           2      1,665         --       --
CLECO CORPORATION                 EQUITY    12561W105   4,885    184,006 SH       SOLE           2    184,006         --       --
CLIFFS NATURAL RESOURCES I        EQUITY    18683K101   4,579     64,540 SH       SOLE           2     64,540         --       --
CLIFFS NATURAL RESOURCES INC      EQUITY    18683K101      57        800 SH       DEFINED        4         --         --      800
CLIFFS NATURAL RESOURCES INC      EQUITY    18683K101      78      1,102 SH       DEFINED        3         --         --    1,102
CLIFTON SAVINGS BANCORP IN        EQUITY    18712Q103      70      7,577 SH       SOLE           2      7,577         --       --
CLINICAL DATA INC                 EQUITY    18725U109     211     10,885 SH       SOLE           2     10,885         --       --
CLOROX CO DEL                     EQUITY    189054109      56        868 SH       DEFINED        3         --         --      868
CLOROX CO DEL                     EQUITY    189054109      61        949 SH       DEFINED        4         --         --      949
CLOROX COMPANY                    EQUITY    189054109   4,940     77,022 SH       SOLE           2     77,022         --       --
CLOUD PEAK ENERGY INC             EQUITY    18911Q102      50      3,000 SH       DEFINED        4         --         --    3,000
CLOUD PEAK ENERGY INC             EQUITY    18911Q102     415     24,969 SH       SOLE           2     24,969         --       --
CME GROUP INC                     EQUITY    12572Q105       8         25 SH       DEFINED        4         --         --       25
CME GROUP INC                     EQUITY    12572Q105     303        959 SH       DEFINED        3         --         --      959
CME GROUP INC                     EQUITY    12572Q105   9,528     30,140 SH       SOLE           2     30,140         --       --
CMS ENERGY CORP                   EQUITY    125896100       1         68 SH       DEFINED        4         --         --       68
CMS ENERGY CORP                   EQUITY    125896100       9        606 SH       DEFINED        3         --         --      606
CMS ENERGY CORP                   EQUITY    125896100   1,242     80,312 SH       SOLE           2     80,312         --       --
CNA FINANCIAL CORP                EQUITY    126117100      16        583 SH       SOLE           2        583         --       --
CNA SURETY CORP                   EQUITY    12612L108     244     13,734 SH       SOLE           2     13,734         --       --
CNB FINANCIAL CORP/PA             EQUITY    126128107     109      7,054 SH       SOLE           2      7,054         --       --
CNINSURE INC                      EQUITY    18976M103       5        200 SH       DEFINED        4         --         --      200
CNOOC LTD                         EQUITY    126132109       8         50 SH       DEFINED        4         --         --       50
CNX GAS CORP                      EQUITY    12618H309      19        498 SH       SOLE           2        498         --       --
COACH INC                         EQUITY    189754104     247      6,256 SH       DEFINED        4         --         --    6,256
COACH INC                         EQUITY    189754104   5,270    133,351 SH       SOLE           2    133,351         --       --
COBALT INTL ENERGY INC            EQUITY    19075F106      16      1,200 SH       DEFINED        4         --         --    1,200





                                                                                        
COBIZ FINANCIAL INC               EQUITY    190897108     149     23,964 SH       SOLE           2     23,964         --       --
COCA COLA CO                      EQUITY    191216100     872     15,853 SH       DEFINED        4         --         --   15,853
COCA COLA CO                      EQUITY    191216100   1,066     19,379 SH       DEFINED        3         --         --   19,379
COCA COLA ENTERPRISES INC         EQUITY    191219104      12        423 SH       DEFINED        4         --         --      423
COCA COLA ENTERPRISES INC         EQUITY    191219104      14        500 SH       DEFINED        3         --         --      500
COCACOLA BOTTLING CO CONSO        EQUITY    191098102     201      3,435 SH       SOLE           2      3,435         --       --
COCACOLA CO/THE                   EQUITY    191216100  54,845    997,190 SH       SOLE           2    997,190         --       --
COCACOLA ENTERPRISES              EQUITY    191219104   3,016    109,056 SH       SOLE           2    109,056         --       --
COEUR D ALENE MINES CORP IDA      EQUITY    192108504       4        280 SH       DEFINED        4         --         --      280
COEUR D ALENE MINES CORP IDA      EQUITY    192108504       4        300 SH       DEFINED        3         --         --      300
COEUR DALENE MINES CORP           EQUITY    192108504     978     65,273 SH       SOLE           2     65,273         --       --
COGDELL SPENCER INC               EQUITY    19238U107     181     24,495 SH       SOLE           2     24,495         --       --
COGENT COMMUNICATIONS GROU        EQUITY    19239V302     377     36,196 SH       SOLE           2     36,196         --       --
COGENT INC                        EQUITY    19239Y108   6,123    600,274 SH       SOLE           2    600,274         --       --
COGNEX CORP                       EQUITY    192422103     689     37,277 SH       SOLE           2     37,277         --       --
COGNIZANT TECH SOLUTIONSA         EQUITY    192446102   9,399    184,371 SH       SOLE           2    184,371         --       --
COGNIZANT TECHNOLOGY SOLUTIO      EQUITY    192446102      62      1,224 SH       DEFINED        3         --         --    1,224
COGNIZANT TECHNOLOGY SOLUTIO      EQUITY    192446102      82      1,615 SH       DEFINED        4         --         --    1,615
COGO GROUP INC                    EQUITY    192448108     132     18,832 SH       SOLE           2     18,832         --       --
COHEN  STEERS INC                 EQUITY    19247A100     350     14,042 SH       SOLE           2     14,042         --       --
COHEN & CO INC                    EQUITY    19248U105       6      1,090 SH       DEFINED        4         --         --    1,090
COHEN & STEERS CLOSED END OP      EQUITY    19248P106      19      1,515 SH       DEFINED        3         --         --    1,515
COHEN & STEERS CLOSED END OP      EQUITY    19248P106     197     15,691 SH       DEFINED        4         --         --   15,691
COHEN & STEERS GLOBAL INC BL      EQUITY    19248M103      38      3,446 SH       DEFINED        3         --         --    3,446
COHEN & STEERS INFRASTRUCTUR      EQUITY    19248A109     186     12,518 SH       DEFINED        4         --         --   12,518
COHEN & STEERS QUALITY RLTY       EQUITY    19247L106      36      4,979 SH       DEFINED        3         --         --    4,979
COHEN & STEERS QUALITY RLTY       EQUITY    19247L106     888    124,548 SH       DEFINED        4         --         --  124,548
COHEN & STEERS REIT & PFD IN      EQUITY    19247X100       7        603 SH       DEFINED        3         --         --      603
COHEN & STEERS REIT & PFD IN      EQUITY    19247X100       8        700 SH       DEFINED        4         --         --      700
COHEN & STEERS TOTAL RETURN       EQUITY    19247R103       6        500 SH       DEFINED        3         --         --      500
COHEN & STEERS TOTAL RETURN       EQUITY    19247R103      78      6,885 SH       DEFINED        4         --         --    6,885
COHERENT INC                      EQUITY    192479103     555     17,374 SH       SOLE           2     17,374         --       --
COHU INC                          EQUITY    192576106     308     22,332 SH       SOLE           2     22,332         --       --
COINSTAR INC                      EQUITY    19259P300     926     28,505 SH       SOLE           2     28,505         --       --
COLDWATER CREEK INC               EQUITY    193068103       3        495 SH       DEFINED        4         --         --      495
COLDWATER CREEK INC               EQUITY    193068103   9,068  1,306,582 SH       SOLE           2  1,306,582         --       --
COLFAX CORP                       EQUITY    194014106      19      1,600 SH       DEFINED        3         --         --    1,600
COLFAX CORP                       EQUITY    194014106     228     19,342 SH       SOLE           2     19,342         --       --
COLGATE PALMOLIVE CO              EQUITY    194162103      56        660 SH       DEFINED        3         --         --      660
COLGATE PALMOLIVE CO              EQUITY    194162103     711      8,336 SH       DEFINED        4         --         --    8,336
COLGATEPALMOLIVE CO               EQUITY    194162103  18,494    216,918 SH       SOLE           2    216,918         --       --
COLLECTIVE BRANDS INC             EQUITY    19421W100   4,426    194,642 SH       SOLE           2    194,642         --       --
COLONIAL PROPERTIES TRUST         EQUITY    195872106     803     62,314 SH       SOLE           2     62,314         --       --
COLONY FINANCIAL INC              EQUITY    19624R106     235     11,728 SH       SOLE           2     11,728         --       --
COLUMBIA BANKING SYSTEM IN        EQUITY    197236102     545     26,842 SH       SOLE           2     26,842         --       --
COLUMBIA SPORTSWEAR CO            EQUITY    198516106     493      9,386 SH       SOLE           2      9,386         --       --
COLUMBUS MCKINNON CORP/NY         EQUITY    199333105     247     15,554 SH       SOLE           2     15,554         --       --
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COMCAST CORP NEW                  EQUITY    20030N200      17        943 SH       DEFINED        4         --         --      943
COMCAST CORP NEW                  EQUITY    20030N101      43      2,303 SH       DEFINED        3         --         --    2,303
COMCAST CORP NEW                  EQUITY    20030N101     163      8,662 SH       DEFINED        4         --         --    8,662
COMCAST CORPCLASS A               EQUITY    20030N101  28,224  1,499,672 SH       SOLE           2  1,499,672         --       --
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COMERICA INC                      EQUITY    200340107      85      2,247 SH       DEFINED        4         --         --    2,247
COMERICA INC                      EQUITY    200340107   3,213     84,475 SH       SOLE           2     84,475         --       --
COMFORT SYSTEMS USA INC           EQUITY    199908104     460     36,846 SH       SOLE           2     36,846         --       --
COMMERCE BANCSHARES INC           EQUITY    200525103       2         48 SH       DEFINED        4         --         --       48
COMMERCE BANCSHARES INC           EQUITY    200525103   6,777    164,722 SH       SOLE           2    164,722         --       --
COMMERCIAL METALS CO              EQUITY    201723103   3,847    255,417 SH       SOLE           2    255,417         --       --
COMMSCOPE INC                     EQUITY    203372107   5,974    213,189 SH       SOLE           2    213,189         --       --
COMMUNICATIONS SYSTEMS INC        EQUITY    203900105      65      4,989 SH       SOLE           2      4,989         --       --
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COMMUNITY TRUST BANCORP IN        EQUITY    204149108     335     12,362 SH       SOLE           2     12,362         --       --
COMMVAULT SYSTEMS INC             EQUITY    204166102     838     39,250 SH       SOLE           2     39,250         --       --
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COMPANHIA DE SANEAMENTO BASI      EQUITY    20441A102      11        303 SH       DEFINED        4         --         --      303
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COMPASS DIVERSIFIED HOLDINGS      EQUITY    20451Q104      31      2,054 SH       DEFINED        4         --         --    2,054
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COMPUTER SCIENCES CORP            EQUITY    205363104      25        465 SH       DEFINED        4         --         --      465
COMPUTER SCIENCES CORP            EQUITY    205363104   2,912     53,450 SH       SOLE           2     53,450         --       --
COMPUTER TASK GROUP INC           EQUITY    205477102      89     12,209 SH       SOLE           2     12,209         --       --
COMPUWARE CORP                    EQUITY    205638109     666     79,304 SH       SOLE           2     79,304         --       --
COMSCORE INC                      EQUITY    20564W105     350     20,962 SH       SOLE           2     20,962         --       --
COMSTOCK RESOURCES INC            EQUITY    205768203   3,390    106,613 SH       SOLE           2    106,613         --       --
COMSYS IT PARTNERS INC            EQUITY    2.06E+108     212     12,103 SH       SOLE           2     12,103         --       --
COMTECH TELECOMMUNICATIONS        EQUITY    205826209     846     26,460 SH       SOLE           2     26,460         --       --
COMTECH TELECOMMUNICATIONS C      EQUITY    205826209       2         65 SH       DEFINED        3         --         --       65
COMVERGE INC                      EQUITY    205859101     198     17,465 SH       SOLE           2     17,465         --       --
CONAGRA FOODS INC                 EQUITY    205887102       4        150 SH       DEFINED        3         --         --      150
CONAGRA FOODS INC                 EQUITY    205887102      73      2,926 SH       DEFINED        4         --         --    2,926
CONAGRA FOODS INC                 EQUITY    205887102   5,413    215,918 SH       SOLE           2    215,918         --       --
CONCEPTUS INC                     EQUITY    206016107     488     24,458 SH       SOLE           2     24,458         --       --
CONCHO RES INC                    EQUITY    20605P101     100      1,980 SH       DEFINED        4         --         --    1,980
CONCHO RESOURCES INC              EQUITY    20605P101   6,084    120,802 SH       SOLE           2    120,802         --       --
CONCUR TECHNOLOGIES INC           EQUITY    206708109   1,551     37,831 SH       SOLE           2     37,831         --       --





                                                                                        
CONEXANT SYSTEMS INC              EQUITY    207142308      27      8,029 SH       DEFINED        4         --         --    8,029
CONMED CORP                       EQUITY    207410101     650     27,314 SH       SOLE           2     27,314         --       --
CONNECTICUT WATER SVC INC         EQUITY    207797101     162      6,947 SH       SOLE           2      6,947         --       --
CONNS INC                         EQUITY    208242107      64      8,142 SH       SOLE           2      8,142         --       --
CONOCOPHILLIPS                    EQUITY    20825C104      75      1,461 SH       DEFINED        3         --         --    1,461
CONOCOPHILLIPS                    EQUITY    20825C104   1,033     20,194 SH       DEFINED        4         --         --   20,194
CONOCOPHILLIPS                    EQUITY    20825C104  34,244    669,212 SH       SOLE           2    669,212         --       --
CONS TOMOKA LAND COFLORIDA        EQUITY    210226106     139      4,422 SH       SOLE           2      4,422         --       --
CONSECO INC                       EQUITY    208464883      41      6,608 SH       DEFINED        4         --         --    6,608
CONSECO INC                       EQUITY    208464883   1,254    201,581 SH       SOLE           2    201,581         --       --
CONSOL ENERGY INC                 EQUITY    20854P109      21        500 SH       DEFINED        4         --         --      500
CONSOL ENERGY INC                 EQUITY    20854P109      75      1,755 SH       DEFINED        3         --         --    1,755
CONSOL ENERGY INC                 EQUITY    20854P109   3,158     74,035 SH       SOLE           2     74,035         --       --
CONSOLIDATED COMM HLDGS INC       EQUITY    209034107       8        400 SH       DEFINED        3         --         --      400
CONSOLIDATED COMMUNICATION        EQUITY    209034107     361     19,033 SH       SOLE           2     19,033         --       --
CONSOLIDATED EDISON INC           EQUITY    209115104     207      4,641 SH       DEFINED        4         --         --    4,641
CONSOLIDATED EDISON INC           EQUITY    209115104     211      4,729 SH       DEFINED        3         --         --    4,729
CONSOLIDATED EDISON INC           EQUITY    209115104   4,368     98,069 SH       SOLE           2     98,069         --       --
CONSOLIDATED GRAPHICS INC         EQUITY    209341106     395      9,534 SH       SOLE           2      9,534         --       --
CONSOLIDATED WATER CO INC         EQUITY    G23773107       5        400 SH       DEFINED        3         --         --      400
CONSOLIDATED WATER COORD S        EQUITY    G23773107     161     11,870 SH       SOLE           2     11,870         --       --
CONSTANT CONTACT INC              EQUITY    210313102     454     19,572 SH       SOLE           2     19,572         --       --
CONSTELLATION BRANDS INCA         EQUITY    21036P108   1,143     69,551 SH       SOLE           2     69,551         --       --
CONSTELLATION ENERGY GROUP        EQUITY    210371100   2,411     68,658 SH       SOLE           2     68,658         --       --
CONSTELLATION ENERGY GROUP I      EQUITY    210371100       1         32 SH       DEFINED        4         --         --       32
CONSTELLATION ENERGY GROUP I      EQUITY    210371100       3         80 SH       DEFINED        3         --         --       80
CONTANGO OIL  GAS                 EQUITY    21075N204     496      9,704 SH       SOLE           2      9,704         --       --
CONTANGO OIL & GAS COMPANY        EQUITY    21075N204       5        100 SH       DEFINED        4         --         --      100
CONTINENTAL AIRLINESCLASS         EQUITY    210795308      58      2,656 SH       SOLE           2      2,656         --       --
CONTINENTAL AIRLS INC             EQUITY    210795308      22      1,000 SH       DEFINED        4         --         --    1,000
CONTINENTAL AIRLS INC COM CL B    EQUITY    210795308      42      1,904 SH       SOLE           1       1904         --       --
CONTINENTAL RESOURCES INC/        EQUITY    212015101      31        733 SH       SOLE           2        733         --       --
CONTINUCARE CORP                  EQUITY    212172100      88     23,914 SH       SOLE           2     23,914         --       --
CONVERGYS CORP                    EQUITY    212485106       7        600 SH       DEFINED        4         --         --      600
CONVERGYS CORP                    EQUITY    212485106   3,405    277,724 SH       SOLE           2    277,724         --       --
CONVERTED ORGANICS INC            EQUITY    21254S107      28     33,500 SH       DEFINED        3         --         --   33,500
CONWAY INC                        EQUITY    205944101   3,921    111,644 SH       SOLE           2    111,644         --       --
COOPER COS INC/THE                EQUITY    216648402     291      7,495 SH       SOLE           2      7,495         --       --
COOPER INDUSTRIES PLC             EQUITY    G24140108      90      1,884 SH       DEFINED        4         --         --    1,884
COOPER TIRE  RUBBER               EQUITY    216831107   6,679    351,145 SH       SOLE           2    351,145         --       --
COPA HOLDINGS SA                  EQUITY    P31076105       6        104 SH       DEFINED        4         --         --      104
COPA HOLDINGS SA CLASS A          EQUITY    P31076105      36        585 SH       SOLE           2        585         --       --
COPANO ENERGY L L C               EQUITY    217202100       4        160 SH       DEFINED        3         --         --      160
COPANO ENERGY L L C               EQUITY    217202100      18        750 SH       DEFINED        4         --         --      750
COPART INC                        EQUITY    217204106      11        300 SH       DEFINED        3         --         --      300
COPART INC                        EQUITY    217204106   5,408    151,898 SH       SOLE           2    151,898         --       --
COREMARK HOLDING CO INC           EQUITY    218681104     243      7,931 SH       SOLE           2      7,931         --       --
CORINTHIAN COLLEGES INC           EQUITY    218868107   4,569    259,747 SH       SOLE           2    259,747         --       --
CORN PRODUCTS INTL INC            EQUITY    219023108   5,892    169,984 SH       SOLE           2    169,984         --       --
CORNELL COMPANIES INC             EQUITY    219141108     165      9,016 SH       SOLE           2      9,016         --       --
CORNERSTONE THERAPEUTICS I        EQUITY    21924P103      34      5,319 SH       SOLE           2      5,319         --       --
CORNERSTONE THERAPEUTICS INC      EQUITY    21924P103      51      8,000 SH       DEFINED        3         --         --    8,000
CORNING INC                       EQUITY    219350105      12        610 SH       DEFINED        3         --         --      610
CORNING INC                       EQUITY    219350105     961     47,532 SH       DEFINED        4         --         --   47,532
CORNING INC                       EQUITY    219350105  22,974  1,136,751 SH       SOLE           2  1,136,751         --       --
CORPORATE EXECUTIVE BOARD         EQUITY    21988R102   2,752    103,515 SH       SOLE           2    103,515         --       --
CORPORATE OFFICE PROPERTIE        EQUITY    22002T108   5,302    132,125 SH       SOLE           2    132,125         --       --
CORRECTIONS CORP AMER NEW         EQUITY    22025Y407       6        300 SH       DEFINED        3         --         --      300
CORRECTIONS CORP OF AMERIC        EQUITY    22025Y407   5,205    262,079 SH       SOLE           2    262,079         --       --
CORVEL CORP                       EQUITY    221006109     241      6,745 SH       SOLE           2      6,745         --       --
COSAN LTD                         EQUITY    G25343107       3        355 SH       DEFINED        4         --         --      355
COSTAR GROUP INC                  EQUITY    22160N109     661     15,927 SH       SOLE           2     15,927         --       --
COSTCO COMPANIES INC              FIXED
                                     INCOME 22160QAC6       4          3 PRN      DEFINED        3         --         --        3
COSTCO WHOLESALE CORP             EQUITY    22160K105  10,420    174,509 SH       SOLE           2    174,509         --       --
COSTCO WHSL CORP NEW              EQUITY    22160K105     107      1,793 SH       DEFINED        3         --         --    1,793
COSTCO WHSL CORP NEW              EQUITY    22160K105     160      2,682 SH       DEFINED        4         --         --    2,682
COURIER CORP                      EQUITY    222660102     136      8,240 SH       SOLE           2      8,240         --       --
COUSINS PROPERTIES INC            EQUITY    222795106   2,368    284,914 SH       SOLE           2    284,914         --       --
COVANCE INC                       EQUITY    222816100       5         84 SH       DEFINED        4         --         --       84
COVANCE INC                       EQUITY    222816100   8,890    144,810 SH       SOLE           2    144,810         --       --
COVANTA HOLDING CORP              EQUITY    2.23E+106       2         98 SH       SOLE           1         98         --       --
COVANTA HOLDING CORP              EQUITY    2.23E+106      57      3,432 SH       SOLE           2      3,432         --       --
COVENTRY HEALTH CARE INC          EQUITY    222862104       3        106 SH       DEFINED        3         --         --      106
COVENTRY HEALTH CARE INC          EQUITY    222862104   1,753     70,929 SH       SOLE           2     70,929         --       --
COVIDIEN PLC                      EQUITY    G2554F105      16        325 SH       DEFINED        3         --         --      325
COVIDIEN PLC                      EQUITY    G2554F105     481      9,559 SH       DEFINED        4         --         --    9,559
COWEN GROUP INCCLASS A            EQUITY    223622101      99     17,540 SH       SOLE           2     17,540         --       --
CPFL ENERGIA S A                  EQUITY    126153105     112      1,835 SH       DEFINED        4         --         --    1,835
CPI CORP                          EQUITY    125902106      57      4,097 SH       SOLE           2      4,097         --       --
CPI INTERNATIONAL INC             EQUITY    12618M100      79      5,990 SH       SOLE           2      5,990         --       --
CR BARD INC                       EQUITY     67383109   2,827     32,632 SH       SOLE           2     32,632         --       --
CRA INTERNATIONAL INC             EQUITY    12618T105     204      8,900 SH       SOLE           2      8,900         --       --
CRACKER BARREL OLD COUNTRY        EQUITY    22410J106     987     21,287 SH       SOLE           2     21,287         --       --
CRACKER BARREL OLD CTRY STOR      EQUITY    22410J106       5        100 SH       DEFINED        4         --         --      100
CRANE CO                          EQUITY    224399105   3,754    105,745 SH       SOLE           2    105,745         --       --
CRAWFORD  CO  CL B                EQUITY    224633107      69     16,982 SH       SOLE           2     16,982         --       --
CRAY INC                          EQUITY    225223304     166     27,931 SH       SOLE           2     27,931         --       --
CREDIT ACCEPTANCE CORP            EQUITY    225310101     203      4,913 SH       SOLE           2      4,913         --       --
CREDIT SUISSE ASSET MGMT INC      EQUITY    224916106      10      2,830 SH       DEFINED        3         --         --    2,830
CREDIT SUISSE ASSET MGMT INC      EQUITY    224916106      33      9,025 SH       DEFINED        4         --         --    9,025
CREDIT SUISSE GROUP               EQUITY    225401108       8        155 SH       DEFINED        4         --         --      155
CREDO PETROLEUM CORP              EQUITY    225439207      57      5,738 SH       SOLE           2      5,738         --       --
CREE INC                          EQUITY    225447101      14        200 SH       DEFINED        4         --         --      200
CREE INC                          EQUITY    225447101      56        791 SH       DEFINED        3         --         --      791





                                                                                        
CREE RESEARCH INC                 EQUITY    225447101  16,803    239,286 SH       SOLE           2    239,286         --       --
CREXUS INVESTMENT CORP            EQUITY    226553105     148     11,094 SH       SOLE           2     11,094         --       --
CROCS INC                         EQUITY    227046109      17      1,900 SH       DEFINED        4         --         --    1,900
CROCS INC                         EQUITY    227046109     693     79,013 SH       SOLE           2     79,013         --       --
CROSS COUNTRY HEALTHCARE I        EQUITY    227483104     297     29,412 SH       SOLE           2     29,412         --       --
CROSS TIMBERS RTY TR              EQUITY    22757R109      10        323 SH       DEFINED        3         --         --      323
CROSSTEX ENERGY INC               EQUITY    22765Y104     287     33,050 SH       SOLE           2     33,050         --       --
CROSSTEX ENERGY L P               EQUITY    22765U102      46      4,300 SH       DEFINED        4         --         --    4,300
CROWN CASTLE INTL CORP            EQUITY    228227104       3         85 SH       DEFINED        4         --         --       85
CROWN CASTLE INTL CORP            EQUITY    228227104       4        112 SH       DEFINED        3         --         --      112
CROWN CASTLE INTL CORP            EQUITY    228227104     265      6,933 SH       SOLE           2      6,933         --       --
CROWN HOLDINGS INC                EQUITY    228368106      22        800 SH       DEFINED        3         --         --      800
CROWN HOLDINGS INC                EQUITY    228368106      82      3,050 SH       SOLE           2      3,050         --       --
CROWN MEDIA HOLDINGSCLASS         EQUITY    228411104      17      8,901 SH       SOLE           2      8,901         --       --
CRYOLIFE INC                      EQUITY    228903100     175     27,040 SH       SOLE           2     27,040         --       --
CSG SYSTEMS INTL INC              EQUITY    126349109     694     33,087 SH       SOLE           2     33,087         --       --
CSS INDS INC                      EQUITY    125906107      40      2,000 SH       DEFINED        3         --         --    2,000
CSS INDUSTRIES INC                EQUITY    125906107     123      6,127 SH       SOLE           2      6,127         --       --
CSX CORP                          EQUITY    126408103     175      3,428 SH       DEFINED        4         --         --    3,428
CSX CORP                          EQUITY    126408103   8,931    175,460 SH       SOLE           2    175,460         --       --
CTC MEDIA INC                     EQUITY    12642X106      12        691 SH       SOLE           2        691         --       --
CTS CORP                          EQUITY    126501105     304     32,274 SH       SOLE           2     32,274         --       --
CUBIC CORP                        EQUITY    229669106     528     14,659 SH       SOLE           2     14,659         --       --
CUBIC ENERGY INC                  EQUITY    229675103      23     22,079 SH       SOLE           2     22,079         --       --
CUBIST PHARMACEUTICALS INC        EQUITY    229678107       1         55 SH       DEFINED        4         --         --       55
CUBIST PHARMACEUTICALS INC        EQUITY    229678107   1,222     54,218 SH       SOLE           2     54,218         --       --
CULLEN FROST BANKERS INC          EQUITY    229899109       3         50 SH       DEFINED        4         --         --       50
CULLEN FROST BANKERS INC          EQUITY    229899109      39        700 SH       DEFINED        3         --         --      700
CULLEN/FROST BANKERS INC          EQUITY    229899109   7,560    135,475 SH       SOLE           2    135,475         --       --
CUMBERLAND PHARMACEUTICALS        EQUITY    230770109      70      6,601 SH       SOLE           2      6,601         --       --
CUMMINS INC                       EQUITY    231021106       6        100 SH       DEFINED        3         --         --      100
CUMMINS INC                       EQUITY    231021106       7        112 SH       DEFINED        4         --         --      112
CUMMINS INC                       EQUITY    231021106   6,053     97,714 SH       SOLE           2     97,714         --       --
CURIS INC                         EQUITY    231269101     185     60,261 SH       SOLE           2     60,261         --       --
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CURRENCYSHARES AUSTRALIAN DL      EQUITY    23129U101     192      2,088 SH       DEFINED        3         --         --    2,088
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CURRENCYSHARES EURO TR            EQUITY    23130C108      32        235 SH       DEFINED        4         --         --      235
CURRENCYSHARES SWISS FRANC T      EQUITY    23129V109       2         20 SH       DEFINED        3         --         --       20
CURRENCYSHARES SWISS FRANC T      EQUITY    23129V109       5         50 SH       DEFINED        4         --         --       50
CURTISSWRIGHT CORP                EQUITY    231561101   1,482     42,591 SH       SOLE           2     42,591         --       --
CUSHING MLP TOTAL RETURN FD       EQUITY    231631102      11      1,250 SH       DEFINED        4         --         --    1,250
CUTERA INC                        EQUITY    232109108     113     10,855 SH       SOLE           2     10,855         --       --
CVB FINANCIAL CORP                EQUITY    126600105     676     68,032 SH       SOLE           2     68,032         --       --
CVR ENERGY INC                    EQUITY    12662P108     165     18,810 SH       SOLE           2     18,810         --       --
CVS CAREMARK CORP                 EQUITY    126650100  51,927  1,420,325 SH       SOLE           2  1,420,325         --       --
CVS CAREMARK CORPORATION          EQUITY    126650100      33        905 SH       DEFINED        3         --         --      905
CVS CAREMARK CORPORATION          EQUITY    126650100     236      6,466 SH       DEFINED        4         --         --    6,466
CYBERONICS INC                    EQUITY    23251P102     483     25,218 SH       SOLE           2     25,218         --       --
CYBERSOURCE CORP                  EQUITY    23251J106     157      8,869 SH       DEFINED        4         --         --    8,869
CYBERSOURCE CORP                  EQUITY    23251J106   1,149     65,143 SH       SOLE           2     65,143         --       --
CYMER INC                         EQUITY    232572107   1,043     27,953 SH       SOLE           2     27,953         --       --
CYNOSURE INC CLASS A              EQUITY    232577205      90      7,986 SH       SOLE           2      7,986         --       --
CYPRESS BIOSCIENCE INC            EQUITY    232674507     152     31,088 SH       SOLE           2     31,088         --       --
CYPRESS SEMICONDUCTOR CORP        EQUITY    232806109       2        200 SH       DEFINED        4         --         --      200
CYPRESS SEMICONDUCTOR CORP        EQUITY    232806109     294     25,570 SH       SOLE           2     25,570         --       --
CYPRESS SHARPRIDGE INVESTM        EQUITY    23281A307     180     13,481 SH       SOLE           2     13,481         --       --
CYTEC INDS INC                    EQUITY    232820100       4         75 SH       DEFINED        3         --         --       75
CYTEC INDUSTRIES INC              EQUITY    232820100   5,153    110,254 SH       SOLE           2    110,254         --       --
CYTOKINETICS INC                  EQUITY    23282W100     114     35,696 SH       SOLE           2     35,696         --       --
CYTORI THERAPEUTICS INC           EQUITY    23283K105     109     23,873 SH       SOLE           2     23,873         --       --
CYTRX CORP                        EQUITY    232828301      22     20,000 SH       DEFINED        3         --         --   20,000
DAIMLER AG                        EQUITY    D1668R123       4         78 SH       DEFINED        4         --         --       78
DAIMLER AG                        EQUITY    D1668R123     309      6,576 SH       DEFINED        3         --         --    6,576
DAKTRONICS INC                    EQUITY    234264109       9      1,200 SH       DEFINED        3         --         --    1,200
DAKTRONICS INC                    EQUITY    234264109     245     32,143 SH       SOLE           2     32,143         --       --
DANA HOLDING CORP                 EQUITY    235825205   1,326    111,622 SH       SOLE           2    111,622         --       --
DANAHER CORP                      EQUITY    235851102  14,088    176,299 SH       SOLE           2    176,299         --       --
DANAHER CORP DEL                  EQUITY    235851102      10        125 SH       DEFINED        4         --         --      125
DANAHER CORP DEL                  EQUITY    235851102      32        402 SH       DEFINED        3         --         --      402
DANAOS CORPORATION                EQUITY    Y1968P105       2        500 SH       DEFINED        3         --         --      500
DANAOS CORPORATION                EQUITY    Y1968P105       4      1,000 SH       DEFINED        4         --         --    1,000
DANVERS BANCORP INC               EQUITY    236442109     246     17,823 SH       SOLE           2     17,823         --       --
DARDEN RESTAURANTS INC            EQUITY    237194105      13        295 SH       DEFINED        3         --         --      295
DARDEN RESTAURANTS INC            EQUITY    237194105      14        304 SH       DEFINED        4         --         --      304
DARDEN RESTAURANTS INC            EQUITY    237194105   4,120     92,495 SH       SOLE           2     92,495         --       --
DARLING INTERNATIONAL INC         EQUITY    237266101     692     77,283 SH       SOLE           2     77,283         --       --
DAVITA INC                        EQUITY    23918K108   2,225     35,100 SH       SOLE           2     35,100         --       --
DAWSON GEOPHYSICAL CO             EQUITY    239359102     186      6,371 SH       SOLE           2      6,371         --       --
DCA TOTAL RETURN FD               EQUITY    233066109      34     11,550 SH       DEFINED        4         --         --   11,550
DCP MIDSTREAM PARTNERS LP         EQUITY    23311P100       7        225 SH       DEFINED        4         --         --      225
DCT INDUSTRIAL TRUST INC          EQUITY    233153105       2        407 SH       DEFINED        4         --         --      407
DCT INDUSTRIAL TRUST INC          EQUITY    233153105     129     24,608 SH       DEFINED        3         --         --   24,608
DCT INDUSTRIAL TRUST INC          EQUITY    233153105     856    163,750 SH       SOLE           2    163,750         --       --
DDI CORP                          EQUITY    233162502      66     11,705 SH       SOLE           2     11,705         --       --
DEALERTRACK HOLDINGS INC          EQUITY    242309102     610     35,695 SH       SOLE           2     35,695         --       --
DEAN FOODS CO                     EQUITY    242370104   6,779    432,033 SH       SOLE           2    432,033         --       --
DEAN FOODS CO NEW                 EQUITY    242370104       3        193 SH       DEFINED        3         --         --      193
DEAN FOODS CO NEW                 EQUITY    242370104       3        200 SH       DEFINED        4         --         --      200
DECKERS OUTDOOR CORP              EQUITY    243537107   1,697     12,294 SH       SOLE           2     12,294         --       --
DEERE  CO                         EQUITY    244199105  11,672    196,307 SH       SOLE           2    196,307         --       --
DEERE & CO                        EQUITY    244199105      41        682 SH       DEFINED        3         --         --      682
DEERE & CO                        EQUITY    244199105     304      5,121 SH       DEFINED        4         --         --    5,121
DEL MONTE FOODS CO                EQUITY    24522P103       3        195 SH       DEFINED        4         --         --      195





                                                                                        
DEL MONTE FOODS CO                EQUITY    24522P103      77      5,260 SH       SOLE           2      5,260         --       --
DELAWARE INV MN MUN INC FD I      EQUITY    24610V103      22      1,700 SH       DEFINED        3         --         --    1,700
DELCATH SYSTEMS INC               EQUITY    24661P104     214     26,432 SH       SOLE           2     26,432         --       --
DELEK US HOLDINGS INC             EQUITY    246647101      75     10,348 SH       SOLE           2     10,348         --       --
DELL INC                          EQUITY    24702R101      21      1,414 SH       DEFINED        4         --         --    1,414
DELL INC                          EQUITY    24702R101      43      2,888 SH       DEFINED        3         --         --    2,888
DELL INC                          EQUITY    24702R101  11,887    791,971 SH       SOLE           2    791,971         --       --
DELPHI FINANCIAL GROUPCL A        EQUITY    247131105   1,098     43,660 SH       SOLE           2     43,660         --       --
DELTA AIR LINES INC               EQUITY    247361702     215     14,711 SH       SOLE           2     14,711         --       --
DELTA AIR LINES INC DEL           EQUITY    247361702       8        571 SH       DEFINED        3         --         --      571
DELTA AIR LINES INC DEL           EQUITY    247361702      64      4,393 SH       DEFINED        4         --         --    4,393
DELTA PETROLEUM CORP              EQUITY    247907207     205    145,283 SH       SOLE           2    145,283         --       --
DELTEK INC                        EQUITY    24784L105     114     14,963 SH       SOLE           2     14,963         --       --
DELTIC TIMBER CORP                EQUITY    247850100     440      9,993 SH       SOLE           2      9,993         --       --
DELUXE CORP                       EQUITY    248019101   3,017    155,358 SH       SOLE           2    155,358         --       --
DEMANDTEC INC                     EQUITY    24802R506     114     16,397 SH       SOLE           2     16,397         --       --
DENALI FD INC                     EQUITY    24823A102      16      1,000 SH       DEFINED        4         --         --    1,000
DENBURY RES INC                   EQUITY    247916208       8        500 SH       DEFINED        4         --         --      500
DENBURY RES INC                   EQUITY    247916208      17      1,000 SH       DEFINED        3         --         --    1,000
DENBURY RESOURCES INC             EQUITY    247916208   2,320    137,534 SH       SOLE           2    137,534         --       --
DENDREON CORP                     EQUITY    24823Q107      60      1,650 SH       DEFINED        3         --         --    1,650
DENDREON CORP                     EQUITY    24823Q107      93      2,551 SH       SOLE           2      2,551         --       --
DENDREON CORP                     EQUITY    24823Q107     503     13,788 SH       DEFINED        4         --         --   13,788
DENNYS CORP                       EQUITY    24869P104     301     78,491 SH       SOLE           2     78,491         --       --
DENTSPLY INTERNATIONAL INC        EQUITY    249030107   2,040     58,539 SH       SOLE           2     58,539         --       --
DEPOMED INC                       EQUITY    249908104     149     41,835 SH       SOLE           2     41,835         --       --
DESTINATION MATERNITY CORP        EQUITY    25065D100      99      3,854 SH       SOLE           2      3,854         --       --
DEUTSCHE BANK AG                  EQUITY    D18190898       1         19 SH       DEFINED        4         --         --       19
DEUTSCHE BK AG LDN BRH            EQUITY    25154H483       3         50 SH       DEFINED        3         --         --       50
DEUTSCHE BK AG LDN BRH            EQUITY    25154H475       6        700 SH       DEFINED        4         --         --      700
DEUTSCHE BK AG LDN BRH            EQUITY    25154H459       9        600 SH       DEFINED        4         --         --      600
DEUTSCHE BK AG LDN BRH            EQUITY    25154H749     326     12,043 SH       DEFINED        3         --         --   12,043
DEUTSCHE BK AG LONDON BRH         EQUITY    25154K858      23      1,500 SH       DEFINED        4         --         --    1,500
DEUTSCHE BK AG LONDON BRH         EQUITY    25154K809     270      4,500 SH       DEFINED        4         --         --    4,500
DEUTSCHE TELEKOM AG               EQUITY    251566105      63      4,675 SH       DEFINED        4         --         --    4,675
DEVELOPERS DIVERSIFIED RLT        EQUITY    251591103   2,002    164,509 SH       SOLE           2    164,509         --       --
DEVELOPERS DIVERSIFIED RLTY       EQUITY    251591103      22      1,794 SH       DEFINED        4         --         --    1,794
DEVON ENERGY CORP NEW             EQUITY    25179M103      73      1,140 SH       DEFINED        4         --         --    1,140
DEVON ENERGY CORP NEW             EQUITY    25179M103     105      1,636 SH       DEFINED        3         --         --    1,636
DEVON ENERGY CORPORATION          EQUITY    25179M103  16,101    249,894 SH       SOLE           2    249,894         --       --
DEVRY INC                         EQUITY    251893103   1,367     20,973 SH       SOLE           2     20,973         --       --
DEVRY INC DEL                     EQUITY    251893103       4         65 SH       DEFINED        4         --         --       65
DEXCOM INC                        EQUITY    252131107     394     40,456 SH       SOLE           2     40,456         --       --
DG FASTCHANNEL INC                EQUITY    23326R109     531     16,617 SH       SOLE           2     16,617         --       --
DHT HOLDINGS INC                  EQUITY    Y2065G105     159     40,530 SH       SOLE           2     40,530         --       --
DIAGEO P L C                      EQUITY    25243Q205      59        868 SH       DEFINED        3         --         --      868
DIAGEO P L C                      EQUITY    25243Q205      89      1,313 SH       DEFINED        4         --         --    1,313
DIAMOND FOODS INC                 EQUITY    252603105     678     16,137 SH       SOLE           2     16,137         --       --
DIAMOND HILL INVESTMENT GR        EQUITY    25264R207     126      1,842 SH       SOLE           2      1,842         --       --
DIAMOND HILL INVESTMENT GROU      EQUITY    25264R207       7        100 SH       DEFINED        4         --         --      100
DIAMOND MANAGEMENT  TECHNO        EQUITY    25269L106     153     19,487 SH       SOLE           2     19,487         --       --
DIAMOND OFFSHORE DRILLING         EQUITY    25271C102   3,327     37,457 SH       SOLE           2     37,457         --       --
DIAMOND OFFSHORE DRILLING IN      EQUITY    25271C102       5         54 SH       DEFINED        3         --         --       54
DIAMOND OFFSHORE DRILLING IN      EQUITY    25271C102     586      6,603 SH       DEFINED        4         --         --    6,603
DIAMONDROCK HOSPITALITY CO        EQUITY    252784301   1,209    119,605 SH       SOLE           2    119,605         --       --
DIANA SHIPPING INC                EQUITY    Y2066G104      31      2,050 SH       DEFINED        4         --         --    2,050
DICE HOLDINGS INC                 EQUITY    253017107      98     12,856 SH       SOLE           2     12,856         --       --
DICKS SPORTING GOODS INC          EQUITY    253393102   5,258    201,389 SH       SOLE           2    201,389         --       --
DIEBOLD INC                       EQUITY    253651103   4,747    149,470 SH       SOLE           2    149,470         --       --
DIEDRICH COFFEE INC               EQUITY    253675201      86      2,460 SH       SOLE           2      2,460         --       --
DIGI INTERNATIONAL INC            EQUITY    253798102     250     23,542 SH       SOLE           2     23,542         --       --
DIGI INTL INC                     EQUITY    253798102       2        200 SH       DEFINED        4         --         --      200
DIGITAL REALTY TRUST INC          EQUITY    253868103      78      1,438 SH       SOLE           2      1,438         --       --
DIGITAL RIV INC                   EQUITY    25388B104       6        200 SH       DEFINED        4         --         --      200
DIGITAL RIVER INC                 EQUITY    25388B104   3,542    116,894 SH       SOLE           2    116,894         --       --
DIGITALGLOBE INC                  EQUITY    25389M877      20        710 SH       DEFINED        4         --         --      710
DIGITALGLOBE INC                  EQUITY    25389M877     336     12,022 SH       SOLE           2     12,022         --       --
DILLARDS INC CL A                 EQUITY    254067101     968     41,038 SH       SOLE           2     41,038         --       --
DIME COMMUNITY BANCSHARES         EQUITY    253922108     311     24,621 SH       SOLE           2     24,621         --       --
DINEEQUITY INC                    EQUITY    254423106     651     16,470 SH       SOLE           2     16,470         --       --
DIODES INC                        EQUITY    254543101     712     31,770 SH       SOLE           2     31,770         --       --
DIONEX CORP                       EQUITY    254546104   1,243     16,621 SH       SOLE           2     16,621         --       --
DIRECTV                           EQUITY    25490A101      13        371 SH       DEFINED        4         --         --      371
DIRECTV                           EQUITY    25490A101      27        802 SH       DEFINED        3         --         --      802
DIRECTVCLASS A                    EQUITY    25490A101  15,377    454,813 SH       SOLE           2    454,813         --       --
DIREXION SHS ETF TR               EQUITY    25459W888       8        200 SH       DEFINED        4         --         --      200
DIREXION SHS ETF TR               EQUITY    25459W698      18        500 SH       DEFINED        4         --         --      500
DIREXION SHS ETF TR               EQUITY    25459W771      39      1,000 SH       DEFINED        4         --         --    1,000
DIREXION SHS ETF TR               EQUITY    25459W300      57        430 SH       DEFINED        4         --         --      430
DIREXION SHS ETF TR               EQUITY    25459W854      59      4,209 SH       DEFINED        3         --         --    4,209
DIREXION SHS ETF TR               EQUITY    25459W532     132      2,000 SH       DEFINED        4         --         --    2,000
DIREXION SHS ETF TR               EQUITY    25459W516     457      4,740 SH       DEFINED        4         --         --    4,740
DISCOVER FINANCIAL SERVICE        EQUITY    254709108  21,591  1,449,047 SH       SOLE           2  1,449,047         --       --
DISCOVER FINL SVCS                EQUITY    254709108       3        183 SH       DEFINED        4         --         --      183
DISCOVERY COMMUNICATIONSA         EQUITY    25470F104     197      5,832 SH       SOLE           2      5,832         --       --
DISCOVERY COMMUNICATIONSC         EQUITY    25470F302   2,841     96,615 SH       SOLE           2     96,615         --       --
DISCOVERY COMMUNICATNS NEW        EQUITY    25470F302       2         78 SH       DEFINED        3         --         --       78
DISCOVERY COMMUNICATNS NEW        EQUITY    25470F104       7        198 SH       DEFINED        3         --         --      198
DISCOVERY LABORATORIES INC        EQUITY    254668106      63    121,874 SH       SOLE           2    121,874         --       --
DISH NETWORK CORPA                EQUITY    25470M109     378     18,156 SH       SOLE           2     18,156         --       --
DISNEY WALT CO                    EQUITY    254687106     199      5,712 SH       DEFINED        3         --         --    5,712
DISNEY WALT CO                    EQUITY    254687106     327      9,372 SH       DEFINED        4         --         --    9,372
DIVX INC                          EQUITY    255413106     190     26,482 SH       SOLE           2     26,482         --       --
DJSP ENTERPRISES INC              EQUITY    G7982P104   6,026    518,586 SH       SOLE           2    518,586         --       --





                                                                                        
DNP SELECT INCOME FD              EQUITY    23325P104       9        950 SH       DEFINED        3         --         --      950
DNP SELECT INCOME FD              EQUITY    23325P104      71      7,652 SH       DEFINED        4         --         --    7,652
DOLAN MEDIA COMPANY               EQUITY    25659P402   4,946    455,055 SH       SOLE           2    455,055         --       --
DOLBY LABORATORIES INC            EQUITY    25659T107       3         44 SH       DEFINED        3         --         --       44
DOLBY LABORATORIES INC            EQUITY    25659T107       6        100 SH       DEFINED        4         --         --      100
DOLBY LABORATORIES INCCL A        EQUITY    25659T107      60      1,017 SH       SOLE           2      1,017         --       --
DOLE FOOD CO INC                  EQUITY    256603101     346     29,188 SH       SOLE           2     29,188         --       --
DOLE FOOD CO INC NEW              EQUITY    256603101       2        150 SH       DEFINED        4         --         --      150
DOLLAR FINANCIAL CORP             EQUITY    256664103     464     19,303 SH       SOLE           2     19,303         --       --
DOLLAR GEN CORP NEW               EQUITY    256677105       3        100 SH       DEFINED        4         --         --      100
DOLLAR GEN CORP NEW               EQUITY    256677105       6        220 SH       DEFINED        3         --         --      220
DOLLAR GENERAL CORP               EQUITY    256677105       9        373 SH       SOLE           2        373         --       --
DOLLAR THRIFTY AUTOMOTIVE         EQUITY    256743105     733     22,828 SH       SOLE           2     22,828         --       --
DOLLAR THRIFTY AUTOMOTIVE GP      EQUITY    256743105       6        200 SH       DEFINED        4         --         --      200
DOLLAR TREE INC                   EQUITY    256746108     116      1,960 SH       DEFINED        4         --         --    1,960
DOLLAR TREE INC                   EQUITY    256746108  11,791    199,112 SH       SOLE           2    199,112         --       --
DOMINION RES BLACK WARRIOR T      EQUITY    25746Q108      52      3,768 SH       DEFINED        3         --         --    3,768
DOMINION RES INC VA NEW           EQUITY    25746U109      49      1,198 SH       DEFINED        3         --         --    1,198
DOMINION RES INC VA NEW           EQUITY    25746U109     454     11,045 SH       DEFINED        4         --         --   11,045
DOMINION RESOURCES INC/VA         EQUITY    25746U109   7,966    193,769 SH       SOLE           2    193,769         --       --
DOMINOS PIZZA INC                 EQUITY    25754A201     410     30,083 SH       SOLE           2     30,083         --       --
DOMTAR CORP                       EQUITY    257559203   2,144     33,282 SH       SOLE           2     33,282         --       --
DONALDSON CO INC                  EQUITY    257651109   7,848    173,945 SH       SOLE           2    173,945         --       --
DONALDSON INC                     EQUITY    257651109      37        815 SH       DEFINED        4         --         --      815
DONEGAL GROUP INCCL A             EQUITY    257701201     137      9,471 SH       SOLE           2      9,471         --       --
DORAL FINANCIAL CORP              EQUITY    25811P886      22      5,069 SH       SOLE           2      5,069         --       --
DORCHESTER MINERALS LP            EQUITY    25820R105      89      4,200 SH       SOLE           1       4200         --       --
DORMAN PRODUCTS INC               EQUITY    258278100     176      9,270 SH       SOLE           2      9,270         --       --
DOUBLETAKE SOFTWARE INC           EQUITY    258598101     125     13,996 SH       SOLE           2     13,996         --       --
DOUGLAS EMMETT INC                EQUITY    25960P109      50      3,231 SH       SOLE           2      3,231         --       --
DOVER CORP                        EQUITY    260003108      12        267 SH       DEFINED        4         --         --      267
DOVER CORP                        EQUITY    260003108   2,988     63,904 SH       SOLE           2     63,904         --       --
DOVER DOWNS GAMING + ENTER        EQUITY    260095104      46     11,551 SH       SOLE           2     11,551         --       --
DOW 30 PREMIUM & DIV INC FD       EQUITY    260582101       9        600 SH       DEFINED        3         --         --      600
DOW CHEM CO                       EQUITY    260543103     188      6,359 SH       DEFINED        3         --         --    6,359
DOW CHEM CO                       EQUITY    260543103     284      9,609 SH       DEFINED        4         --         --    9,609
DOW CHEMICAL                      EQUITY    260543103  10,981    371,368 SH       SOLE           2    371,368         --       --
DPL INC                           EQUITY    233293109      20        728 SH       DEFINED        4         --         --      728
DPL INC                           EQUITY    233293109      65      2,387 SH       DEFINED        3         --         --    2,387
DPL INC                           EQUITY    233293109   7,349    270,290 SH       SOLE           2    270,290         --       --
DR HORTON INC                     EQUITY    23331A109   1,219     96,761 SH       SOLE           2     96,761         --       --
DR PEPPER SNAPPLE GROUP IN        EQUITY    2.61E+113   4,354    123,796 SH       SOLE           2    123,796         --       --
DR PEPPER SNAPPLE GROUP INC       EQUITY    2.61E+113       3         75 SH       DEFINED        4         --         --       75
DR PEPPER SNAPPLE GROUP INC       EQUITY    2.61E+113       6        182 SH       DEFINED        3         --         --      182
DR REDDYS LABS LTD                EQUITY    256135203      14        505 SH       DEFINED        4         --         --      505
DREAMWORKS ANIMATION SKG INC      EQUITY    26153C103      81      2,055 SH       DEFINED        3         --         --    2,055
DREAMWORKS ANIMATION SKGA         EQUITY    26153C103   6,737    171,025 SH       SOLE           2    171,025         --       --
DRESS BARN INC                    EQUITY    261570105   1,402     53,592 SH       SOLE           2     53,592         --       --
DRESSERRAND GROUP INC             EQUITY    261608103      50      1,604 SH       SOLE           2      1,604         --       --
DRESSER-RAND GROUP INC            EQUITY    261608103      69      2,200 SH       DEFINED        4         --         --    2,200
DREW INDUSTRIES INC               EQUITY    26168L205     388     17,609 SH       SOLE           2     17,609         --       --
DREYFUS MUN INCOME INC            EQUITY    26201R102      31      3,508 SH       DEFINED        3         --         --    3,508
DREYFUS STRATEGIC MUN BD FD       EQUITY    26202F107     477     58,177 SH       DEFINED        4         --         --   58,177
DREYFUS STRATEGIC MUNS INC        EQUITY    261932107      11      1,350 SH       DEFINED        3         --         --    1,350
DRILQUIP INC                      EQUITY    262037104   8,703    143,055 SH       SOLE           2    143,055         --       --
DRIL-QUIP INC                     EQUITY    262037104      21        350 SH       DEFINED        4         --         --      350
DRUGSTORE COM INC                 EQUITY    262241102       4      1,000 SH       DEFINED        4         --         --    1,000
DRUGSTORE.COM INC                 EQUITY    262241102     253     70,919 SH       SOLE           2     70,919         --       --
DRYSHIPS INC                      EQUITY    Y2109Q101      22      3,700 SH       DEFINED        3         --         --    3,700
DRYSHIPS INC                      EQUITY    Y2109Q101      62     10,600 SH       DEFINED        4         --         --   10,600
DSP GROUP INC                     EQUITY    23332B106     181     21,743 SH       SOLE           2     21,743         --       --
DST SYS INC DEL                   EQUITY    233326107       2         46 SH       DEFINED        4         --         --       46
DST SYSTEMS INC                   EQUITY    233326107   3,610     87,085 SH       SOLE           2     87,085         --       --
DSW INCCLASS A                    EQUITY    23334L102     253      9,905 SH       SOLE           2      9,905         --       --
DTE ENERGY CO                     EQUITY    233331107       4        100 SH       DEFINED        4         --         --      100
DTE ENERGY CO                     EQUITY    233331107     121      2,707 SH       DEFINED        3         --         --    2,707
DTE ENERGY COMPANY                EQUITY    233331107   2,567     57,565 SH       SOLE           2     57,565         --       --
DTF TAX-FREE INCOME INC           EQUITY    23334J107       8        550 SH       DEFINED        3         --         --      550
DTS INC                           EQUITY    23335C101     566     16,624 SH       SOLE           2     16,624         --       --
DU PONT (E.I.) DE NEMOURS         EQUITY    263534109  29,374    788,768 SH       SOLE           2    788,768         --       --
DU PONT E I DE NEMOURS & CO       EQUITY    263534109     236      6,342 SH       DEFINED        3         --         --    6,342
DU PONT E I DE NEMOURS & CO       EQUITY    263534109     336      9,028 SH       DEFINED        4         --         --    9,028
DUCOMMUN INC                      EQUITY    264147109     179      8,535 SH       SOLE           2      8,535         --       --
DUFF  PHELPS CORPCL A             EQUITY    26433B107     222     13,238 SH       SOLE           2     13,238         --       --
DUFF & PHELPS UTIL CORP BD T      EQUITY    26432K108       1         90 SH       DEFINED        3         --         --       90
DUFF & PHELPS UTIL CORP BD T      EQUITY    26432K108      15      1,200 SH       DEFINED        4         --         --    1,200
DUKE ENERGY CORP                  EQUITY    26441C105   6,898    422,661 SH       SOLE           2    422,661         --       --
DUKE ENERGY CORP NEW              EQUITY    26441C105     137      8,394 SH       DEFINED        3         --         --    8,394
DUKE ENERGY CORP NEW              EQUITY    26441C105     421     25,817 SH       DEFINED        4         --         --   25,817
DUKE REALTY CORP                  EQUITY    264411505     251     20,281 SH       DEFINED        4         --         --   20,281
DUKE REALTY CORP                  EQUITY    264411505   6,287    507,051 SH       SOLE           2    507,051         --       --
DUN & BRADSTREET CORP DEL NE      EQUITY    2.65E+104       2         33 SH       DEFINED        4         --         --       33
DUN + BRADSTREET CORP             EQUITY    2.65E+104   1,293     17,374 SH       SOLE           2     17,374         --       --
DUNCAN ENERGY PARTNERS LP         EQUITY    265026104      22        810 SH       DEFINED        3         --         --      810
DUOYUAN GLOBAL WTR INC            EQUITY    266043108       6        200 SH       DEFINED        4         --         --      200
DUOYUAN PRINTING INC              EQUITY    26605B109      72      6,647 SH       SOLE           2      6,647         --       --
DUOYUAN PRTG INC                  EQUITY    26605B109       2        200 SH       DEFINED        4         --         --      200
DUPONT FABROS TECHNOLOGY          EQUITY    26613Q106     467     21,614 SH       SOLE           2     21,614         --       --
DURECT CORPORATION                EQUITY    266605104     213     70,861 SH       SOLE           2     70,861         --       --
DWS DREMAN VAL INCOME EDGE F      EQUITY    23339M204      43      3,325 SH       DEFINED        4         --         --    3,325
DWS GLOBAL COMMODITIES STK F      EQUITY    23338Y100      17      2,000 SH       DEFINED        4         --         --    2,000
DWS HIGH INCOME TR                EQUITY    23337C208      58      6,350 SH       DEFINED        4         --         --    6,350
DWS MULTI MKT INCOME TR           EQUITY    23338L108      28      3,024 SH       DEFINED        3         --         --    3,024
DWS MULTI MKT INCOME TR           EQUITY    23338L108     219     23,527 SH       DEFINED        4         --         --   23,527





                                                                                        
DWS RREEF REAL ESTATE FD II       EQUITY    23338X102       1      1,000 SH       DEFINED        4         --         --    1,000
DWS STRATEGIC INCOME TR           EQUITY    23338N104      11        947 SH       DEFINED        3         --         --      947
DXP ENTERPRISES INC               EQUITY    233377407      81      6,318 SH       SOLE           2      6,318         --       --
DYAX CORP                         EQUITY    2.67E+107      51     15,000 SH       DEFINED        4         --         --   15,000
DYAX CORP                         EQUITY    2.67E+107     200     58,694 SH       SOLE           2     58,694         --       --
DYCOM INDUSTRIES INC              EQUITY    267475101     327     37,278 SH       SOLE           2     37,278         --       --
DYNAMEX INC                       EQUITY    26784F103     136      7,932 SH       SOLE           2      7,932         --       --
DYNAMIC MATERIALS CORP            EQUITY    267888105     164     10,497 SH       SOLE           2     10,497         --       --
DYNAMIC MATLS CORP                EQUITY    267888105      32      2,025 SH       DEFINED        4         --         --    2,025
DYNAMICS RESEARCH CORP            EQUITY    268057106      79      7,053 SH       SOLE           2      7,053         --       --
DYNAVAX TECHNOLOGIES CORP         EQUITY    268158102       4      3,000 SH       DEFINED        3         --         --    3,000
DYNCORP INTERNATIONAL INCA        EQUITY    26817C101     232     20,207 SH       SOLE           2     20,207         --       --
DYNCORP INTL INC                  EQUITY    26817C101       4        380 SH       DEFINED        3         --         --      380
DYNEGY INC DEL                    EQUITY    26817G102       2      1,805 SH       DEFINED        4         --         --    1,805
DYNEGY INCCL A                    EQUITY    26817G102   1,437  1,140,839 SH       SOLE           2  1,140,839         --       --
DYNEX CAP INC                     EQUITY    26817Q506       2        260 SH       DEFINED        4         --         --      260
DYNEX CAP INC                     EQUITY    26817Q605       9        852 SH       DEFINED        4         --         --      852
DYNEX CAPITAL INC                 EQUITY    26817Q506      88      9,798 SH       SOLE           2      9,798         --       --
E M C CORP MASS                   EQUITY    268648102      71      3,940 SH       DEFINED        3         --         --    3,940
E M C CORP MASS                   EQUITY    268648102     263     14,576 SH       DEFINED        4         --         --   14,576
E TRADE FINANCIAL CORP            EQUITY    269246104       7      4,500 SH       DEFINED        4         --         --    4,500
E TRADE FINANCIAL CORP            EQUITY    269246104       9      5,242 SH       DEFINED        3         --         --    5,242
EAGLE BANCORP INC                 EQUITY    268948106     146     12,357 SH       SOLE           2     12,357         --       --
EAGLE BULK SHIPPING INC           EQUITY    Y2187A101      23      4,424 SH       DEFINED        4         --         --    4,424
EAGLE BULK SHIPPING INC           EQUITY    Y2187A101     161     30,352 SH       DEFINED        3         --         --   30,352
EAGLE BULK SHIPPING INC           EQUITY    Y2187A101     269     50,619 SH       SOLE           2     50,619         --       --
EAGLE MATERIALS INC               EQUITY    26969P108     184      6,930 SH       SOLE           2      6,930         --       --
EAGLE ROCK ENERGY PARTNERS L      EQUITY    26985R104       1        200 SH       DEFINED        3         --         --      200
EARTHLINK INC                     EQUITY    270321102     723     84,705 SH       SOLE           2     84,705         --       --
EAST WEST BANCORP INC             EQUITY    27579R104       7        406 SH       DEFINED        3         --         --      406
EAST WEST BANCORP INC             EQUITY    27579R104  10,350    594,145 SH       SOLE           2    594,145         --       --
EASTERN AMERN NAT GAS TR          EQUITY    276217106      23      1,000 SH       DEFINED        4         --         --    1,000
EASTERN CO/THE                    EQUITY    276317104      66      4,873 SH       SOLE           2      4,873         --       --
EASTERN INSURANCE HOLDINGS        EQUITY    276534104      65      6,396 SH       SOLE           2      6,396         --       --
EASTGROUP PROPERTIES INC          EQUITY    277276101     903     23,918 SH       SOLE           2     23,918         --       --
EASTMAN CHEM CO                   EQUITY    277432100       2         26 SH       DEFINED        3         --         --       26
EASTMAN CHEMICAL COMPANY          EQUITY    277432100   2,484     39,002 SH       SOLE           2     39,002         --       --
EASTMAN KODAK CO                  EQUITY    277461109      19      3,220 SH       DEFINED        4         --         --    3,220
EASTMAN KODAK CO                  EQUITY    277461109   1,747    301,665 SH       SOLE           2    301,665         --       --
EATON CORP                        EQUITY    278058102      27        350 SH       DEFINED        3         --         --      350
EATON CORP                        EQUITY    278058102      31        410 SH       DEFINED        4         --         --      410
EATON CORP                        EQUITY    278058102   4,381     57,819 SH       SOLE           2     57,819         --       --
EATON VANCE CORP                  EQUITY    278265103      25        739 SH       DEFINED        4         --         --      739
EATON VANCE CORP                  EQUITY    278265103   8,888    264,997 SH       SOLE           2    264,997         --       --
EATON VANCE ENH EQTY INC FD       EQUITY    278277108      15      1,125 SH       DEFINED        4         --         --    1,125
EATON VANCE ENH EQTY INC FD       EQUITY    278277108      26      1,900 SH       DEFINED        3         --         --    1,900
EATON VANCE ENHANCED EQ INC       EQUITY    278274105      25      1,768 SH       DEFINED        3         --         --    1,768
EATON VANCE ENHANCED EQ INC       EQUITY    278274105      96      6,851 SH       DEFINED        4         --         --    6,851
EATON VANCE FLTING RATE INC       EQUITY    278279104       8        500 SH       DEFINED        4         --         --      500
EATON VANCE FLTING RATE INC       EQUITY    278279104      21      1,300 SH       DEFINED        3         --         --    1,300
EATON VANCE INS CA MUN BD FD      EQUITY    27828A100     167     13,756 SH       DEFINED        4         --         --   13,756
EATON VANCE INS MUN BD FD         EQUITY    27827X101     283     21,904 SH       DEFINED        3         --         --   21,904
EATON VANCE INS MUN BD FD II      EQUITY    27827K109      23      1,700 SH       DEFINED        3         --         --    1,700
EATON VANCE LTD DUR INCOME F      EQUITY    27828H105      20      1,250 SH       DEFINED        4         --         --    1,250
EATON VANCE LTD DUR INCOME F      EQUITY    27828H105      80      5,000 SH       DEFINED        3         --         --    5,000
EATON VANCE MUNI INCOME TRUS      EQUITY    27826U108       5        372 SH       DEFINED        4         --         --      372
EATON VANCE MUNI INCOME TRUS      EQUITY    27826U108     410     32,800 SH       DEFINED        3         --         --   32,800
EATON VANCE NATL MUN OPPORT       EQUITY    27829L105      59      2,896 SH       DEFINED        3         --         --    2,896
EATON VANCE PA MUNI INCOME T      EQUITY    27826T101      13      1,000 SH       DEFINED        4         --         --    1,000
EATON VANCE RISK MNGD DIV EQ      EQUITY    27829G106      28      1,654 SH       DEFINED        3         --         --    1,654
EATON VANCE SH TM DR DIVR IN      EQUITY    27828V104      10        599 SH       DEFINED        3         --         --      599
EATON VANCE SR FLTNG RTE TR       EQUITY    27828Q105      56      3,346 SH       DEFINED        3         --         --    3,346
EATON VANCE SR FLTNG RTE TR       EQUITY    27828Q105     362     21,815 SH       DEFINED        4         --         --   21,815
EATON VANCE SR INCOME TR          EQUITY    27826S103      10      1,450 SH       DEFINED        3         --         --    1,450
EATON VANCE TAX ADVT DIV INC      EQUITY    27828G107      65      4,027 SH       DEFINED        3         --         --    4,027
EATON VANCE TAX ADVT DIV INC      EQUITY    27828G107     128      7,887 SH       DEFINED        4         --         --    7,887
EATON VANCE TAX MNG GBL DV E      EQUITY    27829F108      46      3,810 SH       DEFINED        4         --         --    3,810
EATON VANCE TAX MNG GBL DV E      EQUITY    27829F108      75      6,197 SH       DEFINED        3         --         --    6,197
EATON VANCE TAX MNGED BUY WR      EQUITY    27828X100      19      1,200 SH       DEFINED        4         --         --    1,200
EATON VANCE TX ADV GLB DIV O      EQUITY    27828U106      47      2,296 SH       DEFINED        3         --         --    2,296
EATON VANCE TX ADV GLBL DIV       EQUITY    27828S101      28      2,009 SH       DEFINED        4         --         --    2,009
EATON VANCE TX ADV GLBL DIV       EQUITY    27828S101      32      2,297 SH       DEFINED        3         --         --    2,297
EATON VANCE TX MGD DIV EQ IN      EQUITY    27828N102      34      2,536 SH       DEFINED        3         --         --    2,536
EATON VANCE TX MGD DIV EQ IN      EQUITY    27828N102      55      4,163 SH       DEFINED        4         --         --    4,163
EATON VANCE TX MNG BY WRT OP      EQUITY    27828Y108     635     43,998 SH       DEFINED        4         --         --   43,998
EATON VANCE TX MNG BY WRT OP      EQUITY    27828Y108   4,149    287,357 SH       DEFINED        3         --         --  287,357
EATON VANCE TXMGD GL BUYWR O      EQUITY    27829C105      34      2,549 SH       DEFINED        3         --         --    2,549
EATON VANCE TXMGD GL BUYWR O      EQUITY    27829C105      49      3,658 SH       DEFINED        4         --         --    3,658
EBAY INC                          EQUITY    278642103      34      1,270 SH       DEFINED        3         --         --    1,270
EBAY INC                          EQUITY    278642103     228      8,473 SH       DEFINED        4         --         --    8,473
EBAY INC                          EQUITY    278642103  16,822    624,204 SH       SOLE           2    624,204         --       --
EBIX INC                          EQUITY    278715206     361     22,604 SH       SOLE           2     22,604         --       --
ECHELON CORP                      EQUITY    27874N105       4        500 SH       DEFINED        4         --         --      500
ECHELON CORP                      EQUITY    27874N105     186     20,728 SH       DEFINED        3         --         --   20,728
ECHELON CORP                      EQUITY    27874N105     238     26,503 SH       SOLE           2     26,503         --       --
ECHO GLOBAL LOGISTICS INC         EQUITY    27875T101      60      4,649 SH       SOLE           2      4,649         --       --
ECHOSTAR CORPA                    EQUITY    278768106      20        990 SH       SOLE           2        990         --       --
ECLIPSYS CORP                     EQUITY    278856109   1,053     52,943 SH       SOLE           2     52,943         --       --
ECOLAB INC                        EQUITY    278865100       4         86 SH       DEFINED        3         --         --       86
ECOLAB INC                        EQUITY    278865100      17        390 SH       DEFINED        4         --         --      390
ECOLAB INC                        EQUITY    278865100   4,807    109,377 SH       SOLE           2    109,377         --       --
EDISON INTERNATIONAL              EQUITY    281020107   3,889    113,801 SH       SOLE           2    113,801         --       --
EDISON INTL                       EQUITY    281020107       5        154 SH       DEFINED        4         --         --      154
EDISON INTL                       EQUITY    281020107      10        292 SH       DEFINED        3         --         --      292





                                                                                        
EDUCATION MANAGEMENT CORP         EQUITY    28140M103      12        533 SH       SOLE           2        533         --       --
EDUCATION REALTY TRUST INC        EQUITY    28140H104     266     46,314 SH       SOLE           2     46,314         --       --
EDUCATION RLTY TR INC             EQUITY    28140H104       2        331 SH       DEFINED        3         --         --      331
EDWARDS LIFESCIENCES CORP         EQUITY    2.82E+112       1         14 SH       DEFINED        4         --         --       14
EDWARDS LIFESCIENCES CORP         EQUITY    2.82E+112  12,624    127,672 SH       SOLE           2    127,672         --       --
EGA EMERGING GLOBAL SHS TR        EQUITY    268461100       5         93 SH       DEFINED        4         --         --       93
EHEALTH INC                       EQUITY    28238P109     352     22,319 SH       SOLE           2     22,319         --       --
EINSTEIN NOAH RESTAURANT G        EQUITY    28257U104      47      3,902 SH       SOLE           2      3,902         --       --
EL PASO CORP                      EQUITY    28336L109       1        116 SH       DEFINED        4         --         --      116
EL PASO CORP                      EQUITY    28336L109       9        809 SH       DEFINED        3         --         --      809
EL PASO CORP                      EQUITY    28336L109   4,574    421,970 SH       SOLE           2    421,970         --       --
EL PASO ELECTRIC CO               EQUITY    283677854     867     42,092 SH       SOLE           2     42,092         --       --
EL PASO PIPELINE PARTNERS L       EQUITY    283702108      31      1,100 SH       DEFINED        4         --         --    1,100
ELAN PLC                          EQUITY    284131208      32      4,200 SH       DEFINED        4         --         --    4,200
ELBIT SYS LTD                     EQUITY    M3760D101       6        100 SH       DEFINED        3         --         --      100
ELDORADO GOLD CORP NEW            EQUITY    284902103       9        732 SH       DEFINED        3         --         --      732
ELDORADO GOLD CORP NEW            EQUITY    284902103      12      1,000 SH       DEFINED        4         --         --    1,000
ELECTRO RENT CORP                 EQUITY    285218103     192     14,633 SH       SOLE           2     14,633         --       --
ELECTRO SCIENTIFIC INDS IN        EQUITY    285229100     335     26,134 SH       SOLE           2     26,134         --       --
ELECTRONIC ARTS INC               EQUITY    285512109       2        125 SH       DEFINED        3         --         --      125
ELECTRONIC ARTS INC               EQUITY    285512109       4        200 SH       DEFINED        4         --         --      200
ELECTRONIC ARTS INC               EQUITY    285512109   2,445    131,029 SH       SOLE           2    131,029         --       --
ELECTRONICS FOR IMAGING           EQUITY    286082102     412     35,392 SH       SOLE           2     35,392         --       --
ELECTROOPTICAL SCIENCES IN        EQUITY    285192100     135     18,173 SH       SOLE           2     18,173         --       --
ELI LILLY  CO                     EQUITY    532457108  28,619    790,150 SH       SOLE           2    790,150         --       --
ELIZABETH ARDEN INC               EQUITY    28660G106     355     19,747 SH       SOLE           2     19,747         --       --
ELOYALTY CORP                     EQUITY    290151307      30      5,339 SH       SOLE           2      5,339         --       --
EMC CORP/MASS                     EQUITY    268648102  27,005  1,496,948 SH       SOLE           2  1,496,948         --       --
EMC INS GROUP INC                 EQUITY    268664109      90      3,999 SH       SOLE           2      3,999         --       --
EMCOR GROUP INC                   EQUITY    29084Q100   5,525    224,318 SH       SOLE           2    224,318         --       --
EMCORE CORP                       EQUITY    290846104       4      3,000 SH       DEFINED        4         --         --    3,000
EMCORE CORP                       EQUITY    290846104      74     61,498 SH       SOLE           2     61,498         --       --
EMDEON INC                        EQUITY    29084T104      21      1,300 SH       DEFINED        4         --         --    1,300
EMDEON INCCLASS A                 EQUITY    29084T104       7        397 SH       SOLE           2        397         --       --
EMERGENCY MEDICAL SERVICES        EQUITY    29100P102   1,315     23,260 SH       SOLE           2     23,260         --       --
EMERGENT BIOSOLUTIONS INC         EQUITY    29089Q105       3        200 SH       DEFINED        4         --         --      200
EMERGENT BIOSOLUTIONS INC         EQUITY    29089Q105     262     15,628 SH       SOLE           2     15,628         --       --
EMERITUS CORP                     EQUITY    291005106     329     16,178 SH       SOLE           2     16,178         --       --
EMERSON ELEC CO                   EQUITY    291011104      99      1,976 SH       DEFINED        4         --         --    1,976
EMERSON ELEC CO                   EQUITY    291011104     162      3,224 SH       DEFINED        3         --         --    3,224
EMERSON ELECTRIC CO               EQUITY    291011104  16,731    332,355 SH       SOLE           2    332,355         --       --
EMPIRE DIST ELEC CO               EQUITY    291641108      34      1,900 SH       DEFINED        3         --         --    1,900
EMPIRE DISTRICT ELECTRIC C        EQUITY    291641108     553     30,696 SH       SOLE           2     30,696         --       --
EMPLOYERS HOLDINGS INC            EQUITY    292218104     614     41,361 SH       SOLE           2     41,361         --       --
EMS TECHNOLOGIES INC              EQUITY    26873N108     241     14,539 SH       SOLE           2     14,539         --       --
EMULEX CORP                       EQUITY    292475209       1         82 SH       DEFINED        4         --         --       82
EMULEX CORP                       EQUITY    292475209     883     66,470 SH       SOLE           2     66,470         --       --
ENBRIDGE ENERGY MANAGEMENT L      EQUITY    29250X103       3         67 SH       DEFINED        3         --         --       67
ENBRIDGE ENERGY PARTNERS L P      EQUITY    29250R106     173      3,415 SH       DEFINED        3         --         --    3,415
ENBRIDGE ENERGY PARTNERS L P      EQUITY    29250R106     369      7,300 SH       DEFINED        4         --         --    7,300
ENBRIDGE INC                      EQUITY    29250N105       5        100 SH       DEFINED        3         --         --      100
ENCANA CORP                       EQUITY    292505104      18        573 SH       DEFINED        3         --         --      573
ENCANA CORP                       EQUITY    292505104      32      1,040 SH       DEFINED        4         --         --    1,040
ENCORE CAPITAL GROUP INC          EQUITY    292554102     181     11,001 SH       SOLE           2     11,001         --       --
ENCORE WIRE CORP                  EQUITY    292562105     363     17,472 SH       SOLE           2     17,472         --       --
ENDEAVOUR INTERNATIONAL CO        EQUITY    29259G101     118     92,989 SH       SOLE           2     92,989         --       --
ENDO PHARMACEUT HLDGS INC         EQUITY    29264F205   6,290    265,513 SH       SOLE           2    265,513         --       --
ENDOLOGIX INC                     EQUITY    29266S106     159     39,437 SH       SOLE           2     39,437         --       --
ENDURANCE SPECIALTY HLDGS LT      EQUITY    G30397106      10        280 SH       DEFINED        4         --         --      280
ENDURANCE SPECIALTY HOLDIN        EQUITY    G30397106      45      1,200 SH       SOLE           2      1,200         --       --
ENER1 INC                         EQUITY    29267A203      14      3,000 SH       DEFINED        4         --         --    3,000
ENER1 INC                         EQUITY    29267A203     197     41,653 SH       SOLE           2     41,653         --       --
ENERGEN CORP                      EQUITY    29265N108       2         43 SH       DEFINED        4         --         --       43
ENERGEN CORP                      EQUITY    29265N108   7,557    162,407 SH       SOLE           2    162,407         --       --
ENERGIZER HLDGS INC               EQUITY    29266R108       5         76 SH       DEFINED        4         --         --       76
ENERGIZER HOLDINGS INC            EQUITY    29266R108   9,884    157,485 SH       SOLE           2    157,485         --       --
ENERGY CONVERSION DEVICES         EQUITY    292659109     293     37,365 SH       SOLE           2     37,365         --       --
ENERGY CONVERSION DEVICES IN      EQUITY    292659109     578     73,919 SH       DEFINED        3         --         --   73,919
ENERGY INCOME & GROWTH FD         EQUITY    292697109      15        600 SH       DEFINED        4         --         --      600
ENERGY INCOME & GROWTH FD         EQUITY    292697109      48      1,963 SH       DEFINED        3         --         --    1,963
ENERGY RECOVERY INC               EQUITY    29270J100     173     27,404 SH       SOLE           2     27,404         --       --
ENERGY TRANSFER EQUITY L P        EQUITY    29273V100      15        440 SH       DEFINED        4         --         --      440
ENERGY TRANSFER PRTNRS L P        EQUITY    29273R109     497     10,599 SH       DEFINED        3         --         --   10,599
ENERGY TRANSFER PRTNRS L P        EQUITY    29273R109   1,489     31,777 SH       DEFINED        4         --         --   31,777
ENERGYSOLUTIONS INCDEP SHS        EQUITY    292756202     389     60,507 SH       SOLE           2     60,507         --       --
ENERNOC INC                       EQUITY    292764107       4        150 SH       DEFINED        4         --         --      150
ENERNOC INC                       EQUITY    292764107     340     11,460 SH       SOLE           2     11,460         --       --
ENERPLUS RES FD                   EQUITY    29274D604      33      1,393 SH       DEFINED        4         --         --    1,393
ENERPLUS RES FD                   EQUITY    29274D604     238     10,017 SH       DEFINED        3         --         --   10,017
ENERSYS                           EQUITY    29275Y102     797     32,334 SH       SOLE           2     32,334         --       --
ENGLOBAL CORP                     EQUITY    293306106       2        600 SH       DEFINED        4         --         --      600
ENGLOBAL CORP                     EQUITY    293306106      42     15,183 SH       SOLE           2     15,183         --       --
ENI S P A                         EQUITY    26874R108       9        200 SH       DEFINED        3         --         --      200
ENI S P A                         EQUITY    26874R108      26        561 SH       DEFINED        4         --         --      561
ENNIS INC                         EQUITY    293389102     344     21,142 SH       SOLE           2     21,142         --       --
ENPRO INDUSTRIES INC              EQUITY    29355X107     556     19,120 SH       SOLE           2     19,120         --       --
ENSCO INTL PLC                    EQUITY    29358Q109     152      3,399 SH       DEFINED        3         --         --    3,399
ENSIGN GROUP INC/THE              EQUITY    29358P101     156      8,978 SH       SOLE           2      8,978         --       --
ENSTAR GROUP LTD                  EQUITY    G3075P101     377      5,449 SH       SOLE           2      5,449         --       --
ENTEGRIS INC                      EQUITY    29362U104       3        500 SH       DEFINED        3         --         --      500
ENTEGRIS INC                      EQUITY    29362U104  12,733  2,526,380 SH       SOLE           2  2,526,380         --       --
ENTERGY CORP                      EQUITY    29364G103  15,066    185,195 SH       SOLE           2    185,195         --       --
ENTERGY CORP NEW                  EQUITY    29364G103      51        631 SH       DEFINED        3         --         --      631
ENTEROMEDICS INC                  EQUITY    29365M109       9     18,390 SH       SOLE           2     18,390         --       --





                                                                                        
ENTERPRISE BANCORP INC            EQUITY    293668109      50      4,123 SH       SOLE           2      4,123         --       --
ENTERPRISE FINANCIAL SERVI        EQUITY    293712105     103      9,288 SH       SOLE           2      9,288         --       --
ENTERPRISE GP HLDGS L P           EQUITY    293716106      11        253 SH       DEFINED        4         --         --      253
ENTERPRISE PRODS PARTNERS L       EQUITY    293792107     182      5,261 SH       DEFINED        3         --         --    5,261
ENTERPRISE PRODS PARTNERS L       EQUITY    293792107     780     22,555 SH       DEFINED        4         --         --   22,555
ENTERRA ENERGY TR                 EQUITY    29381P102      22      8,100 SH       DEFINED        4         --         --    8,100
ENTERTAINMENT PROPERTIES T        EQUITY    29380T105   1,629     39,600 SH       SOLE           2     39,600         --       --
ENTROPIC COMMUNICATIONS IN        EQUITY    29384R105     219     43,109 SH       SOLE           2     43,109         --       --
ENZO BIOCHEM INC                  EQUITY    294100102     190     31,527 SH       SOLE           2     31,527         --       --
ENZON PHARMACEUTICALS INC         EQUITY    293904108     377     37,002 SH       SOLE           2     37,002         --       --
EOG RES INC                       EQUITY    26875P101       5         50 SH       DEFINED        4         --         --       50
EOG RESOURCES INC                 EQUITY    26875P101  10,839    116,619 SH       SOLE           2    116,619         --       --
EPICOR SOFTWARE CORP              EQUITY    29426L108   1,615    168,958 SH       SOLE           2    168,958         --       --
EPIQ SYS INC                      EQUITY    26882D109       2        200 SH       DEFINED        4         --         --      200
EPIQ SYSTEMS INC                  EQUITY    26882D109     385     30,955 SH       SOLE           2     30,955         --       --
EPLUS INC                         EQUITY    294268107      53      3,012 SH       SOLE           2      3,012         --       --
EPOCH HOLDING CORP                EQUITY    29428R103     117     10,381 SH       SOLE           2     10,381         --       --
EQT CORP                          EQUITY    26884L109     205      5,000 SH       DEFINED        4         --         --    5,000
EQT CORP                          EQUITY    26884L109   4,179    101,926 SH       SOLE           2    101,926         --       --
EQUIFAX INC                       EQUITY    294429105      18        498 SH       DEFINED        3         --         --      498
EQUIFAX INC                       EQUITY    294429105   2,178     60,847 SH       SOLE           2     60,847         --       --
EQUINIX INC                       EQUITY    29444U502  20,181    207,322 SH       SOLE           2    207,322         --       --
EQUITY LIFESTYLE PROPERTIE        EQUITY    29472R108   1,091     20,246 SH       SOLE           2     20,246         --       --
EQUITY ONE                        EQUITY    294752100      20      1,050 SH       DEFINED        3         --         --    1,050
EQUITY ONE                        EQUITY    294752100      23      1,200 SH       DEFINED        4         --         --    1,200
EQUITY ONE INC                    EQUITY    294752100   1,884     99,713 SH       SOLE           2     99,713         --       --
EQUITY RESIDENTIAL                EQUITY    29476L107      41      1,060 SH       DEFINED        3         --         --    1,060
EQUITY RESIDENTIAL                EQUITY    29476L107   5,173    132,121 SH       SOLE           2    132,121         --       --
ERESEARCH TECHNOLOGY INC          EQUITY    29481V108     281     40,614 SH       SOLE           2     40,614         --       --
ERESEARCHTECHNOLOGY INC           EQUITY    29481V108       2        300 SH       DEFINED        4         --         --      300
ERICSSON L M TEL CO               EQUITY    294821608       6        546 SH       DEFINED        4         --         --      546
ERIE INDEMNITY COMPANYCL A        EQUITY    29530P102      28        658 SH       SOLE           2        658         --       --
ESB FINANCIAL CORP                EQUITY    26884F102      97      7,506 SH       SOLE           2      7,506         --       --
ESCO TECHNOLOGIES INC             EQUITY    296315104     785     24,668 SH       SOLE           2     24,668         --       --
ESSA BANCORP INC                  EQUITY    29667D104     156     12,414 SH       SOLE           2     12,414         --       --
ESSEX PROPERTY TRUST INC          EQUITY    297178105   5,925     65,875 SH       SOLE           2     65,875         --       --
ESTEE LAUDER COMPANIESCL A        EQUITY    518439104   3,371     51,958 SH       SOLE           2     51,958         --       --
ESTERLINE TECHNOLOGIES COR        EQUITY    297425100   1,380     27,926 SH       SOLE           2     27,926         --       --
ETFS GOLD TR                      EQUITY    26922Y105      17        150 SH       DEFINED        4         --         --      150
ETFS GOLD TR                      EQUITY    26922Y105      31        280 SH       DEFINED        3         --         --      280
ETFS PALLADIUM TR                 EQUITY    26923A106      38        791 SH       DEFINED        3         --         --      791
ETFS SILVER TR                    EQUITY    26922X107      23      1,300 SH       DEFINED        4         --         --    1,300
ETHAN ALLEN INTERIORS INC         EQUITY    297602104     489     23,685 SH       SOLE           2     23,685         --       --
ETRADE FINANCIAL CORP             EQUITY    269246104   3,380  2,048,185 SH       SOLE           2  2,048,185         --       --
EURONET WORLDWIDE INC             EQUITY    298736109     718     38,985 SH       SOLE           2     38,985         --       --
EV ENERGY PARTNERS LP             EQUITY    26926V107       6        200 SH       DEFINED        3         --         --      200
EV ENERGY PARTNERS LP             EQUITY    26926V107      17        540 SH       DEFINED        4         --         --      540
EV3 INC                           EQUITY    26928A200   7,699    485,406 SH       SOLE           2    485,406         --       --
EVERCORE PARTNERS INCCL A         EQUITY    29977A105     355     11,825 SH       SOLE           2     11,825         --       --
EVEREST RE GROUP LTD              EQUITY    G3223R108  10,856    134,136 SH       SOLE           2    134,136         --       --
EVERGREEN ENERGY INC              EQUITY    30024B104      19    106,520 SH       SOLE           2    106,520         --       --
EVERGREEN GBL DIVID OPP FUND      EQUITY    30024H101      25      2,426 SH       DEFINED        4         --         --    2,426
EVERGREEN INCOME ADVANTAGE F      EQUITY    30023Y105       2        216 SH       DEFINED        4         --         --      216
EVERGREEN INCOME ADVANTAGE F      EQUITY    30023Y105      76      7,923 SH       DEFINED        3         --         --    7,923
EVERGREEN INTL BALANCED INCO      EQUITY    30024R109       2        175 SH       DEFINED        4         --         --      175
EVERGREEN MULTI SECT INC FUN      EQUITY    30024Y104      11        755 SH       DEFINED        4         --         --      755
EVERGREEN SOLAR INC               EQUITY    30033R108       2      1,500 SH       DEFINED        4         --         --    1,500
EVERGREEN SOLAR INC               EQUITY    30033R108     173    153,395 SH       SOLE           2    153,395         --       --
EVERGREEN UTLS & HIGH INCM F      EQUITY    30034Q109       4        350 SH       DEFINED        3         --         --      350
EVERGREEN UTLS & HIGH INCM F      EQUITY    30034Q109      26      2,184 SH       DEFINED        4         --         --    2,184
EW SCRIPPS COCL A                 EQUITY    811054402     232     27,414 SH       SOLE           2     27,414         --       --
EXACTECH INC                      EQUITY    3.01E+113     139      6,642 SH       SOLE           2      6,642         --       --
EXAR CORP                         EQUITY    300645108     246     34,827 SH       SOLE           2     34,827         --       --
EXCO RESOURCES INC                EQUITY    269279402      50      2,728 SH       SOLE           2      2,728         --       --
EXCO RESOURCES INC                EQUITY    269279402  73,036  3,973,678 SH       SOLE           1    3973678         --       --
EXELIXIS INC                      EQUITY    30161Q104      12      2,000 SH       DEFINED        3         --         --    2,000
EXELIXIS INC                      EQUITY    30161Q104     518     85,308 SH       SOLE           2     85,308         --       --
EXELON CORP                       EQUITY    30161N101     161      3,671 SH       DEFINED        3         --         --    3,671
EXELON CORP                       EQUITY    30161N101     185      4,219 SH       DEFINED        4         --         --    4,219
EXELON CORP                       EQUITY    30161N101   9,318    212,684 SH       SOLE           2    212,684         --       --
EXIDE TECHNOLOGIES                EQUITY    302051206     236     40,999 SH       SOLE           2     40,999         --       --
EXLSERVICE HOLDINGS INC           EQUITY    302081104     203     12,191 SH       SOLE           2     12,191         --       --
EXPEDIA INC                       EQUITY    30212P105   3,098    124,127 SH       SOLE           2    124,127         --       --
EXPEDIA INC DEL                   EQUITY    30212P105       2         95 SH       DEFINED        3         --         --       95
EXPEDITORS INTL WASH INC          EQUITY    302130109      34        915 SH       DEFINED        3         --         --      915
EXPEDITORS INTL WASH INC          EQUITY    302130109      85      2,307 SH       DEFINED        4         --         --    2,307
EXPEDITORS INTL WASH INC          EQUITY    302130109   4,591    124,355 SH       SOLE           2    124,355         --       --
EXPONENT INC                      EQUITY    30214U102     371     13,022 SH       SOLE           2     13,022         --       --
EXPRESS SCRIPTS INC               EQUITY    302182100      15        144 SH       DEFINED        3         --         --      144
EXPRESS SCRIPTS INC               EQUITY    302182100      42        417 SH       DEFINED        4         --         --      417
EXPRESS SCRIPTS INC               EQUITY    302182100  20,652    202,944 SH       SOLE           2    202,944         --       --
EXPRESSJET HOLDINGS INC           FIXED
                                     INCOME 30218UAB4       2          2 PRN      DEFINED        4         --         --        2
EXTERRAN HOLDINGS INC             EQUITY    30225X103   3,412    141,178 SH       SOLE           2    141,178         --       --
EXTRA SPACE STORAGE INC           EQUITY    30225T102   1,030     81,244 SH       SOLE           2     81,244         --       --
EXTREME NETWORKS INC              EQUITY    30226D106     223     72,533 SH       SOLE           2     72,533         --       --
EXXON MOBIL CORP                  EQUITY    30231G102   1,522     22,726 SH       DEFINED        3         --         --   22,726
EXXON MOBIL CORP                  EQUITY    30231G102   7,557    112,818 SH       DEFINED        4         --         --  112,818
EXXON MOBIL CORP                  EQUITY    30231G102 115,446  1,723,583 SH       SOLE           2  1,723,583         --       --
EZCORP INCCL A                    EQUITY    302301106     886     43,010 SH       SOLE           2     43,010         --       --
F M C CORP                        EQUITY    302491303       2         40 SH       DEFINED        3         --         --       40
F M C CORP                        EQUITY    302491303       4         60 SH       DEFINED        4         --         --       60
F5 NETWORKS INC                   EQUITY    315616102     148      2,400 SH       DEFINED        4         --         --    2,400
F5 NETWORKS INC                   EQUITY    315616102  11,017    179,115 SH       SOLE           2    179,115         --       --
FACET BIOTECH CORP                EQUITY    30303Q103       2         80 SH       DEFINED        3         --         --       80





                                                                                        
FACET BIOTECH CORP                EQUITY    30303Q103     541     20,053 SH       SOLE           2     20,053         --       --
FACTSET RESEARCH SYSTEMS I        EQUITY    303075105   6,931     94,470 SH       SOLE           2     94,470         --       --
FACTSET RESH SYS INC              EQUITY    303075105     121      1,650 SH       DEFINED        4         --         --    1,650
FAIR ISAAC CORP                   EQUITY    303250104   3,625    143,052 SH       SOLE           2    143,052         --       --
FAIRCHILD SEMICON INTERNAT        EQUITY    303726103   2,995    281,193 SH       SOLE           2    281,193         --       --
FALCONSTOR SOFTWARE INC           EQUITY    306137100      98     28,079 SH       SOLE           2     28,079         --       --
FAMILY DLR STORES INC             EQUITY    307000109      23        633 SH       DEFINED        4         --         --      633
FAMILY DLR STORES INC             EQUITY    307000109     285      7,790 SH       DEFINED        3         --         --    7,790
FAMILY DOLLAR STORES              EQUITY    307000109   1,737     47,452 SH       SOLE           2     47,452         --       --
FARMER BROS CO                    EQUITY    307675108     102      5,462 SH       SOLE           2      5,462         --       --
FARMERS CAPITAL BANK CORP         EQUITY    309562106      45      5,244 SH       SOLE           2      5,244         --       --
FARO TECHNOLOGIES INC             EQUITY    311642102     410     15,918 SH       SOLE           2     15,918         --       --
FASTENAL CO                       EQUITY    311900104      27        566 SH       DEFINED        4         --         --      566
FASTENAL CO                       EQUITY    311900104     517     10,768 SH       DEFINED        3         --         --   10,768
FASTENAL CO                       EQUITY    311900104   3,492     72,766 SH       SOLE           2     72,766         --       --
FBL FINANCIAL GROUP INCCL         EQUITY    30239F106     259     10,582 SH       SOLE           2     10,582         --       --
FBR CAPITAL MARKETS CORP          EQUITY    30247C301      67     14,792 SH       SOLE           2     14,792         --       --
FEDERAL HOME LN MTG CORP          EQUITY    313400301       4      3,000 SH       DEFINED        3         --         --    3,000
FEDERAL HOME LN MTG CORP          EQUITY    313400301      12      9,303 SH       DEFINED        4         --         --    9,303
FEDERAL MOGUL CORP                EQUITY    313549404       8        429 SH       SOLE           2        429         --       --
FEDERAL NATL MTG ASSN             EQUITY    313586109      13     12,330 SH       DEFINED        4         --         --   12,330
FEDERAL NATL MTG ASSN             EQUITY    313586109      14     13,000 SH       DEFINED        3         --         --   13,000
FEDERAL REALTY INVS TRUST         EQUITY    313747206  10,086    138,524 SH       SOLE           2    138,524         --       --
FEDERAL SIGNAL CORP               EQUITY    313855108   1,337    148,377 SH       SOLE           2    148,377         --       --
FEDERATED INVESTORS INCCL         EQUITY    314211103     794     30,099 SH       SOLE           2     30,099         --       --
FEDEX CORP                        EQUITY    31428X106      17        180 SH       DEFINED        4         --         --      180
FEDEX CORP                        EQUITY    31428X106      28        300 SH       DEFINED        3         --         --      300
FEDEX CORP                        EQUITY    31428X106   9,432    100,985 SH       SOLE           2    100,985         --       --
FEI COMPANY                       EQUITY    30241L109     807     35,208 SH       SOLE           2     35,208         --       --
FELCOR LODGING TRUST INC          EQUITY    31430F101     301     52,842 SH       SOLE           2     52,842         --       --
FEMALE HEALTH COMPANY             EQUITY    314462102      93     12,967 SH       SOLE           2     12,967         --       --
FERRELLGAS PARTNERS L.P.          EQUITY    315293100      92      4,037 SH       DEFINED        3         --         --    4,037
FERRO CORP                        EQUITY    315405100     606     68,955 SH       SOLE           2     68,955         --       --
FIBERTOWER CORP                   EQUITY    31567R209      20      4,231 SH       SOLE           1       4231         --       --
FIDELITY COMWLTH TR               EQUITY    315912808      28        300 SH       DEFINED        4         --         --      300
FIDELITY NATIONAL FINLA           EQUITY    31620R105   7,722    521,030 SH       SOLE           2    521,030         --       --
FIDELITY NATIONAL INFORMAT        EQUITY    31620M106   3,929    167,625 SH       SOLE           2    167,625         --       --
FIDUCIARY CLAYMORE MLP OPP F      EQUITY    31647Q106       2        102 SH       DEFINED        4         --         --      102
FIDUCIARY CLAYMORE MLP OPP F      EQUITY    31647Q106   1,540     79,933 SH       DEFINED        3         --         --   79,933
FIFTH STREET FINANCE CORP         EQUITY    31678A103     369     31,741 SH       SOLE           2     31,741         --       --
FIFTH THIRD BANCORP               EQUITY    316773100       3        248 SH       DEFINED        4         --         --      248
FIFTH THIRD BANCORP               EQUITY    316773100      18      1,339 SH       DEFINED        3         --         --    1,339
FIFTH THIRD BANCORP               EQUITY    316773100   3,775    277,809 SH       SOLE           2    277,809         --       --
FINANCIAL INSTITUTIONS INC        EQUITY    317585404     129      8,826 SH       SOLE           2      8,826         --       --
FINISAR CORP                      EQUITY    31787A507       8        487 SH       DEFINED        4         --         --      487
FINISH LINE/THE  CL A             EQUITY    317923100     692     42,378 SH       SOLE           2     42,378         --       --
FIRST ACCEPTANCE CORP             EQUITY    318457108      28     13,729 SH       SOLE           2     13,729         --       --
FIRST AMERICAN CORPORATION        EQUITY    318522307   7,920    234,045 SH       SOLE           2    234,045         --       --
FIRST AMERN CORP CALIF            EQUITY    318522307      24        700 SH       DEFINED        4         --         --      700
FIRST BANCORP INC/ME              EQUITY    31866P102     113      7,113 SH       SOLE           2      7,113         --       --
FIRST BANCORP N C                 EQUITY    318910106      22      1,650 SH       DEFINED        3         --         --    1,650
FIRST BANCORP PUERTO RICO         EQUITY    318672102     183     76,133 SH       SOLE           2     76,133         --       --
FIRST BANCORP/NC                  EQUITY    318910106     163     12,025 SH       SOLE           2     12,025         --       --
FIRST BUS FINL SVCS INC WIS       EQUITY    319390100       3        300 SH       DEFINED        3         --         --      300
FIRST BUSEY CORP                  EQUITY    319383105     174     39,287 SH       SOLE           2     39,287         --       --
FIRST CALIFORNIA FINANCIAL        EQUITY    319395109      12      4,609 SH       SOLE           2      4,609         --       --
FIRST CASH FINL SVCS INC          EQUITY    31942D107     484     22,440 SH       SOLE           2     22,440         --       --
FIRST CITIZENS BCSHS  CL A        EQUITY    31946M103      32        161 SH       SOLE           2        161         --       --
FIRST COMMONWEALTH FINL CO        EQUITY    319829107     537     80,037 SH       SOLE           2     80,037         --       --
FIRST COMMUNITY BANCSHARES        EQUITY    31983A103     149     12,073 SH       SOLE           2     12,073         --       --
FIRST DEFIANCE FINL CORP          EQUITY    32006W106      67      6,630 SH       SOLE           2      6,630         --       --
FIRST FINANCIAL BANCORP           EQUITY    320209109     945     53,125 SH       SOLE           2     53,125         --       --
FIRST FINANCIAL CORP INDIA        EQUITY    320218100     279      9,643 SH       SOLE           2      9,643         --       --
FIRST FINANCIAL HOLDINGS I        EQUITY    320239106     196     12,983 SH       SOLE           2     12,983         --       --
FIRST FINANCIAL NORTHWEST         EQUITY    32022K102      94     13,792 SH       SOLE           2     13,792         --       --
FIRST FINANCIAL SERVICE CO        EQUITY    32022D108      29      3,298 SH       SOLE           2      3,298         --       --
FIRST FINL BANKSHARES INC         EQUITY    32020R109   1,008     19,562 SH       SOLE           2     19,562         --       --
FIRST HORIZON NATIONAL COR        EQUITY    320517105   1,497    106,571 SH       SOLE           2    106,571         --       --
FIRST HORIZON NATL CORP           EQUITY    320517105      30      2,107 SH       DEFINED        3         --         --    2,107
FIRST INDUSTRIAL REALTY TR        EQUITY    32054K103     335     43,189 SH       SOLE           2     43,189         --       --
FIRST MARBLEHEAD CORP/THE         EQUITY    320771108     143     50,444 SH       SOLE           2     50,444         --       --
FIRST MERCHANTS CORP              EQUITY    320817109     120     17,200 SH       SOLE           2     17,200         --       --
FIRST MERCURY FINANCIAL CO        EQUITY    320841109     152     11,673 SH       SOLE           2     11,673         --       --
FIRST MIDWEST BANCORP INC/        EQUITY    320867104     944     69,676 SH       SOLE           2     69,676         --       --
FIRST NIAGARA FINANCIAL GR        EQUITY    33582V108   6,059    426,104 SH       SOLE           2    426,104         --       --
FIRST NIAGARA FINL GP INC         EQUITY    33582V108      23      1,625 SH       DEFINED        4         --         --    1,625
FIRST NIAGARA FINL GP INC         EQUITY    33582V108      29      2,041 SH       DEFINED        3         --         --    2,041
FIRST OF LONG ISLAND CORP         EQUITY    320734106     106      4,414 SH       SOLE           2      4,414         --       --
FIRST POTOMAC REALTY TRUST        EQUITY    33610F109     369     24,544 SH       SOLE           2     24,544         --       --
FIRST POTOMAC RLTY TR             EQUITY    33610F109      93      6,207 SH       DEFINED        3         --         --    6,207
FIRST SOLAR INC                   EQUITY    336433107      13        103 SH       DEFINED        3         --         --      103
FIRST SOLAR INC                   EQUITY    336433107      71        580 SH       DEFINED        4         --         --      580
FIRST SOLAR INC                   EQUITY    336433107   2,756     22,473 SH       SOLE           2     22,473         --       --
FIRST SOUTH BANCORP INC /N        EQUITY    33646W100      83      6,657 SH       SOLE           2      6,657         --       --
FIRST TR ABERDEEN GLBL OPP F      EQUITY    337319107       3        206 SH       DEFINED        3         --         --      206
FIRST TR ABERDEEN GLBL OPP F      EQUITY    337319107   1,134     69,253 SH       DEFINED        4         --         --   69,253
FIRST TR ENHANCED EQTY INC F      EQUITY    337318109      24      2,000 SH       DEFINED        4         --         --    2,000
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X150       2        148 SH       DEFINED        4         --         --      148
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X176       3        159 SH       DEFINED        4         --         --      159
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X200      12        570 SH       DEFINED        4         --         --      570
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X143      16        672 SH       DEFINED        4         --         --      672
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X119      27      1,405 SH       DEFINED        4         --         --    1,405
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X184      31      2,052 SH       DEFINED        4         --         --    2,052
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X127      44      2,555 SH       DEFINED        4         --         --    2,555





                                                                                        
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X150     105      6,489 SH       DEFINED        3         --         --    6,489
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X168     213     10,244 SH       DEFINED        4         --         --   10,244
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X101     215     12,647 SH       DEFINED        4         --         --   12,647
FIRST TR EXCHANGE TRADED FD       EQUITY    3.37E+306     219      8,199 SH       DEFINED        4         --         --    8,199
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X135     219     16,133 SH       DEFINED        4         --         --   16,133
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X143     271     11,369 SH       DEFINED        3         --         --   11,369
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X101     284     16,677 SH       DEFINED        3         --         --   16,677
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X135     368     27,104 SH       DEFINED        3         --         --   27,104
FIRST TR EXCHANGE TRADED FD       EQUITY    3.37E+207     377     10,149 SH       DEFINED        3         --         --   10,149
FIRST TR EXCHANGE TRADED FD       EQUITY    33734X168     407     19,594 SH       DEFINED        3         --         --   19,594
FIRST TR EXCHANGE TRADED FD       EQUITY    3.37E+306     658     24,672 SH       DEFINED        3         --         --   24,672
FIRST TR EXCHANGE TRADED FD       EQUITY    33733E401   1,483     77,145 SH       DEFINED        3         --         --   77,145
FIRST TR EXCHANGE TRADED FD       EQUITY    3.37E+207   3,147     84,698 SH       DEFINED        4         --         --   84,698
FIRST TR ISE CHINDIA INDEX F      EQUITY    33733A102      18        806 SH       DEFINED        3         --         --      806
FIRST TR ISE REVERE NAT GAS       EQUITY    33734J102      32      1,840 SH       DEFINED        3         --         --    1,840
FIRST TR ISE REVERE NAT GAS       EQUITY    33734J102     129      7,456 SH       DEFINED        4         --         --    7,456
FIRST TR MORNINGSTAR DIV LEA      EQUITY    336917109       6        400 SH       DEFINED        4         --         --      400
FIRST TR MULTI CP VAL ALPHA       EQUITY    33733C108     109      4,225 SH       DEFINED        3         --         --    4,225
FIRST TR NAS100 EQ WEIGHTED       EQUITY    337344105   1,182     56,289 SH       DEFINED        3         --         --   56,289
FIRST TR NASDAQ100 TECH INDE      EQUITY    337345102     171      7,805 SH       DEFINED        3         --         --    7,805
FIRST TR NASDAQ100 TECH INDE      EQUITY    337345102     215      9,835 SH       DEFINED        4         --         --    9,835
FIRST TR S&P REIT INDEX FD        EQUITY    33734G108     127      9,841 SH       DEFINED        3         --         --    9,841
FIRST TR STRTGC HIGH INCM FD      EQUITY    337347108       3      1,050 SH       DEFINED        3         --         --    1,050
FIRST TR STRTGC HIGH INCM FD      EQUITY    337347108      10      3,000 SH       DEFINED        4         --         --    3,000
FIRST TR VALUE LINE 100 ETF       EQUITY    33735G107       2        213 SH       DEFINED        4         --         --      213
FIRST TR VALUE LINE DIVID IN      EQUITY    33734H106      28      2,000 SH       DEFINED        4         --         --    2,000
FIRSTENERGY CORP                  EQUITY    337932107       6        150 SH       DEFINED        3         --         --      150
FIRSTENERGY CORP                  EQUITY    337932107      27        700 SH       DEFINED        4         --         --      700
FIRSTENERGY CORP                  EQUITY    337932107   3,848     98,430 SH       SOLE           2     98,430         --       --
FIRSTMERIT CORP                   EQUITY    337915102  10,128    469,553 SH       SOLE           2    469,553         --       --
FISERV INC                        EQUITY    337738108       3         65 SH       DEFINED        3         --         --       65
FISERV INC                        EQUITY    337738108      29        567 SH       DEFINED        4         --         --      567
FISERV INC                        EQUITY    337738108   4,320     85,116 SH       SOLE           2     85,116         --       --
FISHER COMMUNICATIONS INC         EQUITY    337756209      67      4,746 SH       SOLE           2      4,746         --       --
FLAGSTAR BANCORP INC              EQUITY    337930101       1      2,200 SH       DEFINED        4         --         --    2,200
FLAGSTAR BANCORP INC              EQUITY    337930101      33     54,705 SH       SOLE           2     54,705         --       --
FLAGSTONE REINSURANCE HOLD        EQUITY    G3529T105     366     31,957 SH       SOLE           2     31,957         --       --
FLAHERTY & CRMN/CLYMR PFD SE      EQUITY    338478100     619     40,500 SH       DEFINED        4         --         --   40,500
FLAHERTY & CRMRN CLYMRE T R       EQUITY    338479108      17      1,057 SH       DEFINED        4         --         --    1,057
FLAHERTY & CRUMRINE PFD INC       EQUITY    338480106   2,245    198,319 SH       DEFINED        3         --         --  198,319
FLEXTRONICS INTL LTD              EQUITY    Y2573F102   2,170    276,777 SH       SOLE           2    276,777         --       --
FLIR SYS INC                      EQUITY    302445101      14        497 SH       DEFINED        3         --         --      497
FLIR SYS INC                      EQUITY    302445101     110      3,900 SH       DEFINED        4         --         --    3,900
FLIR SYSTEMS INC                  EQUITY    302445101   1,731     61,390 SH       SOLE           2     61,390         --       --
FLOTEK INDS INC DEL               EQUITY    343389102      44     34,500 SH       DEFINED        3         --         --   34,500
FLOW INTL CORP                    EQUITY    343468104   3,251  1,080,076 SH       SOLE           2  1,080,076         --       --
FLOWERS FOODS INC                 EQUITY    343498101       3        105 SH       DEFINED        3         --         --      105
FLOWERS FOODS INC                 EQUITY    343498101       4        155 SH       DEFINED        4         --         --      155
FLOWERS FOODS INC                 EQUITY    343498101   4,303    173,927 SH       SOLE           2    173,927         --       --
FLOWSERVE CORP                    EQUITY    34354P105       3         29 SH       DEFINED        4         --         --       29
FLOWSERVE CORP                    EQUITY    34354P105   3,049     27,654 SH       SOLE           2     27,654         --       --
FLUOR CORP                        EQUITY    343412102   2,842     61,098 SH       SOLE           2     61,098         --       --
FLUOR CORP NEW                    EQUITY    343412102       2         48 SH       DEFINED        4         --         --       48
FLUSHING FINANCIAL CORP           EQUITY    343873105     311     24,599 SH       SOLE           2     24,599         --       --
FMC CORP                          EQUITY    302491303   1,497     24,735 SH       SOLE           2     24,735         --       --
FMC TECHNOLOGIES INC              EQUITY    30249U101   3,695     57,166 SH       SOLE           2     57,166         --       --
FNB CORP                          EQUITY    302520101     741     91,333 SH       SOLE           2     91,333         --       --
FNB CORP PA                       EQUITY    302520101      39      4,838 SH       DEFINED        4         --         --    4,838
FOOT LOCKER INC                   EQUITY    344849104  11,757    781,711 SH       SOLE           2    781,711         --       --
FORCE PROTECTION INC              EQUITY    345203202      19      3,150 SH       DEFINED        4         --         --    3,150
FORCE PROTECTION INC              EQUITY    345203202   8,019  1,332,000 SH       SOLE           2  1,332,000         --       --
FORD MOTOR CO                     EQUITY    345370860  13,646  1,085,600 SH       SOLE           2  1,085,600         --       --
FORD MTR CO CAP TR II             EQUITY    345395206     232      5,000 SH       DEFINED        4         --         --    5,000
FORD MTR CO DEL                   EQUITY    345370860     736     58,523 SH       DEFINED        3         --         --   58,523
FORD MTR CO DEL                   EQUITY    345370860   1,410    112,164 SH       DEFINED        4         --         --  112,164
FOREST CITY ENTERPRISESCL         EQUITY    345550107      42      2,914 SH       SOLE           2      2,914         --       --
FOREST LABORATORIES INC           EQUITY    345838106   4,031    128,550 SH       SOLE           2    128,550         --       --
FOREST LABS INC                   EQUITY    345838106       6        203 SH       DEFINED        4         --         --      203
FOREST OIL CORP                   EQUITY    346091705   6,554    253,844 SH       SOLE           2    253,844         --       --
FORESTAR GROUP INC                EQUITY    346233109     638     33,777 SH       SOLE           2     33,777         --       --
FORMFACTOR INC                    EQUITY    346375108     702     39,544 SH       SOLE           2     39,544         --       --
FORRESTER RESEARCH INC            EQUITY    346563109     445     14,806 SH       SOLE           2     14,806         --       --
FORTINET INC                      EQUITY    3.50E+113     179     10,197 SH       SOLE           2     10,197         --       --
FORTUNE BRANDS INC                EQUITY    349631101       2         51 SH       DEFINED        4         --         --       51
FORTUNE BRANDS INC                EQUITY    349631200       4         14 SH       DEFINED        4         --         --       14
FORTUNE BRANDS INC                EQUITY    349631101       5        110 SH       DEFINED        3         --         --      110
FORTUNE BRANDS INC                EQUITY    349631101   2,573     53,044 SH       SOLE           2     53,044         --       --
FORWARD AIR CORPORATION           EQUITY    349853101     716     27,207 SH       SOLE           2     27,207         --       --
FOSSIL INC                        EQUITY    349882100   5,487    145,390 SH       SOLE           2    145,390         --       --
FOSTER (LB) CO CL A               EQUITY    350060109     239      8,283 SH       SOLE           2      8,283         --       --
FOSTER WHEELER AG                 EQUITY    H27178104      68      2,515 SH       DEFINED        4         --         --    2,515
FOSTER WHEELER AG                 EQUITY    H27178104     215      7,925 SH       SOLE           2      7,925         --       --
FOX CHASE BANCORP INC             EQUITY    35137P106      48      4,400 SH       SOLE           2      4,400         --       --
FPIC INSURANCE GROUP INC          EQUITY    302563101     235      8,650 SH       SOLE           2      8,650         --       --
FPL GROUP INC                     EQUITY    302571104      47        979 SH       DEFINED        3         --         --      979
FPL GROUP INC                     EQUITY    302571104      53      1,102 SH       DEFINED        4         --         --    1,102
FPL GROUP INC                     EQUITY    302571104  17,048    352,738 SH       SOLE           2    352,738         --       --
FRANCE TELECOM                    EQUITY    35177Q105      14        600 SH       DEFINED        4         --         --      600
FRANKLIN COVEY CO                 EQUITY    353469109      83     10,416 SH       SOLE           2     10,416         --       --
FRANKLIN ELECTRIC CO INC          EQUITY    353514102     554     18,483 SH       SOLE           2     18,483         --       --
FRANKLIN RES INC                  EQUITY    354613101       6         54 SH       DEFINED        4         --         --       54
FRANKLIN RES INC                  EQUITY    354613101      10         90 SH       DEFINED        3         --         --       90
FRANKLIN RESOURCES INC            EQUITY    354613101   7,028     63,372 SH       SOLE           2     63,372         --       --
FRANKLIN STREET PPTYS CORP        EQUITY    35471R106      15      1,016 SH       DEFINED        4         --         --    1,016





                                                                                        
FRANKLIN STREET PROPERTIES        EQUITY    35471R106     908     62,897 SH       SOLE           2     62,897         --       --
FRANKLIN TEMPLETON LTD DUR I      EQUITY    35472T101      53      3,973 SH       DEFINED        3         --         --    3,973
FRANKLIN UNVL TR                  EQUITY    355145103      13      2,205 SH       DEFINED        4         --         --    2,205
FRANKLIN UNVL TR                  EQUITY    355145103      26      4,451 SH       DEFINED        3         --         --    4,451
FREDS INCCLASS A                  EQUITY    356108100     458     38,201 SH       SOLE           2     38,201         --       --
FREEPORTMCMORAN COPPER            EQUITY    35671D857  28,855    345,403 SH       SOLE           2    345,403         --       --
FREEPORT-MCMORAN COPPER & GO      EQUITY    35671D857      35        414 SH       DEFINED        3         --         --      414
FREEPORT-MCMORAN COPPER & GO      EQUITY    35671D782     133      1,151 SH       DEFINED        4         --         --    1,151
FREEPORT-MCMORAN COPPER & GO      EQUITY    35671D857     338      4,041 SH       DEFINED        4         --         --    4,041
FREIGHTCAR AMER INC               EQUITY    357023100       4        150 SH       DEFINED        3         --         --      150
FREIGHTCAR AMERICA INC            EQUITY    357023100     235      9,739 SH       SOLE           2      9,739         --       --
FRESH DEL MONTE PRODUCE IN        EQUITY    G36738105     665     32,850 SH       SOLE           2     32,850         --       --
FRISCHS RESTAURANTS INC           EQUITY    358748101      40      1,815 SH       SOLE           2      1,815         --       --
FRONTEER DEVELOPMENT GROUP        EQUITY    35903Q106   7,445  1,445,619 SH       SOLE           2  1,445,619         --       --
FRONTIER COMMUNICATIONS CO        EQUITY    35906A108   2,208    296,760 SH       SOLE           2    296,760         --       --
FRONTIER COMMUNICATIONS CORP      EQUITY    35906A108      28      3,739 SH       DEFINED        4         --         --    3,739
FRONTIER COMMUNICATIONS CORP      EQUITY    35906A108      91     12,226 SH       DEFINED        3         --         --   12,226
FRONTIER OIL CORP                 EQUITY    35914P105      29      2,165 SH       DEFINED        4         --         --    2,165
FRONTIER OIL CORP                 EQUITY    35914P105   3,191    236,343 SH       SOLE           2    236,343         --       --
FRONTLINE LTD                     EQUITY    G3682E127      10        330 SH       DEFINED        3         --         --      330
FRONTLINE LTD                     EQUITY    G3682E127      42      1,370 SH       SOLE           2      1,370         --       --
FRONTLINE LTD                     EQUITY    G3682E127      85      2,774 SH       DEFINED        4         --         --    2,774
FTI CONSULTING INC                EQUITY    302941109  11,170    284,087 SH       SOLE           2    284,087         --       --
FUEL SYS SOLUTIONS INC            EQUITY    35952W103       2         50 SH       DEFINED        4         --         --       50
FUEL SYSTEMS SOLUTIONS INC        EQUITY    35952W103   5,880    183,975 SH       SOLE           2    183,975         --       --
FUEL TECH INC                     EQUITY    359523107      12      1,450 SH       DEFINED        3         --         --    1,450
FUEL TECH INC                     EQUITY    359523107      46      5,675 SH       DEFINED        4         --         --    5,675
FUEL TECH INC                     EQUITY    359523107     116     14,443 SH       SOLE           2     14,443         --       --
FUELCELL ENERGY INC               EQUITY    35952H106     168     59,615 SH       SOLE           2     59,615         --       --
FULTON FINANCIAL CORP             EQUITY    360271100   4,066    398,972 SH       SOLE           2    398,972         --       --
FULTON FINL CORP PA               EQUITY    360271100      20      2,000 SH       DEFINED        4         --         --    2,000
FULTON FINL CORP PA               EQUITY    360271100      93      9,120 SH       DEFINED        3         --         --    9,120
FUQI INTERNATIONAL INC            EQUITY    36102A207      11      1,000 SH       DEFINED        4         --         --    1,000
FUQI INTERNATIONAL INC            EQUITY    36102A207     109      9,997 SH       SOLE           2      9,997         --       --
FURMANITE CORP                    EQUITY    361086101     155     29,900 SH       SOLE           2     29,900         --       --
FURNITURE BRANDS INTL INC         EQUITY    360921100     218     33,899 SH       SOLE           2     33,899         --       --
FUSHI COPPERWELD INC              EQUITY    3.61E+111   3,681    328,069 SH       SOLE           2    328,069         --       --
FX ENERGY INC                     EQUITY    302695101     119     34,677 SH       SOLE           2     34,677         --       --
G  K SERVICES INC CL A            EQUITY    361268105     457     17,677 SH       SOLE           2     17,677         --       --
GABELLI DIVD & INCOME TR          EQUITY    36242H104      34      2,500 SH       DEFINED        4         --         --    2,500
GABELLI EQUITY TR INC             EQUITY    362397101       2        472 SH       DEFINED        3         --         --      472
GABELLI EQUITY TR INC             EQUITY    362397101      12      2,325 SH       DEFINED        4         --         --    2,325
GABELLI GLB GLD NAT RES & IN      EQUITY    36244N109       8        444 SH       DEFINED        4         --         --      444
GABELLI GLB GLD NAT RES & IN      EQUITY    36244N109     356     20,221 SH       DEFINED        3         --         --   20,221
GABELLI GLOBAL MULTIMEDIA TR      EQUITY    36239Q109       1        144 SH       DEFINED        4         --         --      144
GABELLI HLTHCARE & WELLNESS       EQUITY    36246K103      15      2,116 SH       DEFINED        4         --         --    2,116
GABELLI UTIL TR                   EQUITY    36240A101      28      3,594 SH       DEFINED        4         --         --    3,594
GAFISA S A                        EQUITY    362607301     111      8,090 SH       DEFINED        3         --         --    8,090
GAIAM INCCLASS A                  EQUITY    36268Q103     109     13,161 SH       SOLE           2     13,161         --       --
GALLAGHER ARTHUR J & CO           EQUITY    363576109      58      2,347 SH       DEFINED        3         --         --    2,347
GAMCO INVESTORS INCA              EQUITY    361438104     265      5,825 SH       SOLE           2      5,825         --       --
GAMESTOP CORP NEW                 EQUITY    36467W109     432     19,733 SH       DEFINED        4         --         --   19,733
GAMESTOP CORPCLASS A              EQUITY    36467W109   1,233     56,263 SH       SOLE           2     56,263         --       --
GANNETT CO                        EQUITY    364730101   1,366     82,672 SH       SOLE           2     82,672         --       --
GAP INC DEL                       EQUITY    364760108      18        774 SH       DEFINED        4         --         --      774
GAP INC DEL                       EQUITY    364760108      65      2,800 SH       DEFINED        3         --         --    2,800
GAP INC/THE                       EQUITY    364760108   4,243    183,607 SH       SOLE           2    183,607         --       --
GARDNER DENVER INC                EQUITY    365558105       4        100 SH       DEFINED        3         --         --      100
GARDNER DENVER INC                EQUITY    365558105     379      8,612 SH       SOLE           2      8,612         --       --
GARMIN LTD                        EQUITY    G37260109      39        998 SH       DEFINED        4         --         --      998
GARMIN LTD                        EQUITY    G37260109     512     13,309 SH       SOLE           2     13,309         --       --
GARTNER INC                       EQUITY    366651107   4,200    188,858 SH       SOLE           2    188,858         --       --
GATX CORP                         EQUITY    361448103   2,986    104,220 SH       SOLE           2    104,220         --       --
GAYLORD ENTERTAINMENT CO          EQUITY    367905106     931     31,776 SH       SOLE           2     31,776         --       --
GAYLORD ENTMT CO NEW              EQUITY    367905106       2         75 SH       DEFINED        3         --         --       75
GEEKNET INC                       EQUITY    36846Q104       6      4,000 SH       DEFINED        3         --         --    4,000
GENCO SHIPPING  TRADING LT        EQUITY    Y2685T107     436     20,634 SH       SOLE           2     20,634         --       --
GENCO SHIPPING & TRADING LTD      EQUITY    Y2685T107      21      1,003 SH       DEFINED        4         --         --    1,003
GENCORP INC                       EQUITY    368682100     278     48,195 SH       SOLE           2     48,195         --       --
GENERAL AMERN INVS INC            EQUITY    368802104       3        113 SH       DEFINED        3         --         --      113
GENERAL CABLE CORP                EQUITY    369300108      37      1,384 SH       SOLE           2      1,384         --       --
GENERAL CABLE CORP DEL NEW        EQUITY    369300108       3        100 SH       DEFINED        4         --         --      100
GENERAL CABLE CORP DEL NEW        EQUITY    369300108       4        150 SH       DEFINED        3         --         --      150
GENERAL COMMUNICATION INCA        EQUITY    369385109     234     40,518 SH       SOLE           2     40,518         --       --
GENERAL DYNAMICS CORP             EQUITY    369550108      24        316 SH       DEFINED        4         --         --      316
GENERAL DYNAMICS CORP             EQUITY    369550108      48        620 SH       DEFINED        3         --         --      620
GENERAL DYNAMICS CORP             EQUITY    369550108  13,226    171,322 SH       SOLE           2    171,322         --       --
GENERAL ELECTRIC CO               EQUITY    369604103   1,219     66,969 SH       DEFINED        3         --         --   66,969
GENERAL ELECTRIC CO               EQUITY    369604103   3,401    186,846 SH       DEFINED        4         --         --  186,846
GENERAL ELECTRIC CO               EQUITY    369604103  77,061  4,234,124 SH       SOLE           2  4,234,124         --       --
GENERAL GROWTH PPTYS INC          EQUITY    370021107     117      7,250 SH       DEFINED        4         --         --    7,250
GENERAL MARITIME CORP             EQUITY    Y2693R101     286     39,836 SH       SOLE           2     39,836         --       --
GENERAL MARITIME CORP NEW         EQUITY    Y2693R101      40      5,546 SH       DEFINED        3         --         --    5,546
GENERAL MARITIME CORP NEW         EQUITY    Y2693R101     151     21,005 SH       DEFINED        4         --         --   21,005
GENERAL MILLS INC                 EQUITY    370334104  10,809    152,691 SH       SOLE           2    152,691         --       --
GENERAL MLS INC                   EQUITY    370334104     191      2,705 SH       DEFINED        3         --         --    2,705
GENERAL MLS INC                   EQUITY    370334104     607      8,568 SH       DEFINED        4         --         --    8,568
GENERAL MOLY INC                  EQUITY    370373102      13      4,000 SH       DEFINED        4         --         --    4,000
GENERAL MOLY INC                  EQUITY    370373102     173     52,030 SH       SOLE           2     52,030         --       --
GENERAL STEEL HOLDINGS INC        EQUITY    370853103       4      1,000 SH       DEFINED        3         --         --    1,000
GENERAL STEEL HOLDINGS INC        EQUITY    370853103       7      1,800 SH       DEFINED        4         --         --    1,800
GENERAL STEEL HOLDINGS INC        EQUITY    370853103      69     16,789 SH       SOLE           2     16,789         --       --
GENESCO INC                       EQUITY    371532102     666     21,462 SH       SOLE           2     21,462         --       --
GENESEE  WYOMING INCCL A          EQUITY    371559105   1,015     29,750 SH       SOLE           2     29,750         --       --





                                                                                        
GENOMIC HEALTH INC                EQUITY    37244C101      26      1,500 SH       DEFINED        4         --         --    1,500
GENOMIC HEALTH INC                EQUITY    37244C101     202     11,489 SH       SOLE           2     11,489         --       --
GENOPTIX INC                      EQUITY    37243V100     564     15,902 SH       SOLE           2     15,902         --       --
GENPACT LTD                       EQUITY    G3922B107      20      1,172 SH       SOLE           2      1,172         --       --
GENPROBE INC                      EQUITY    36866T103   5,540    110,790 SH       SOLE           2    110,790         --       --
GENTEX CORP                       EQUITY    371901109   6,081    313,155 SH       SOLE           2    313,155         --       --
GENTIVA HEALTH SERVICES           EQUITY    37247A102     771     27,253 SH       SOLE           2     27,253         --       --
GENUINE PARTS CO                  EQUITY    372460105   5,859    138,698 SH       SOLE           2    138,698         --       --
GENWORTH FINANCIAL INCCL A        EQUITY    37247D106   4,232    230,736 SH       SOLE           2    230,736         --       --
GENWORTH FINL INC                 EQUITY    37247D106       4        200 SH       DEFINED        3         --         --      200
GENZYME CORP                      EQUITY    372917104       3         50 SH       DEFINED        4         --         --       50
GENZYME CORP                      EQUITY    372917104       5        100 SH       DEFINED        3         --         --      100
GENZYME CORP                      EQUITY    372917104   5,465    105,442 SH       SOLE           2    105,442         --       --
GEO GROUP INC/THE                 EQUITY    36159R103     954     48,124 SH       SOLE           2     48,124         --       --
GEOEYE INC                        EQUITY    37250W108   6,130    207,800 SH       SOLE           1     207800         --       --
GEOEYE INC                        EQUITY    37250W108   6,917    234,481 SH       SOLE           2    234,481         --       --
GEOKINETICS INC                   EQUITY    372910307      48      6,720 SH       SOLE           2      6,720         --       --
GEORESOURCES INC                  EQUITY    372476101     110      7,173 SH       SOLE           2      7,173         --       --
GERBER SCIENTIFIC INC             EQUITY    373730100      22      3,494 SH       SOLE           2      3,494         --       --
GERDAU S A                        EQUITY    373737105      42      2,575 SH       DEFINED        4         --         --    2,575
GERMAN AMERICAN BANCORP           EQUITY    373865104     137      9,045 SH       SOLE           2      9,045         --       --
GERMAN AMERN BANCORP INC          EQUITY    373865104       3        203 SH       DEFINED        3         --         --      203
GERON CORP                        EQUITY    374163103      15      2,700 SH       DEFINED        4         --         --    2,700
GERON CORP                        EQUITY    374163103     413     72,743 SH       SOLE           2     72,743         --       --
GETTY REALTY CORP                 EQUITY    374297109     334     14,282 SH       SOLE           2     14,282         --       --
GETTY RLTY CORP NEW               EQUITY    374297109      95      4,072 SH       DEFINED        4         --         --    4,072
GFI GROUP INC                     EQUITY    361652209     306     52,989 SH       SOLE           2     52,989         --       --
GIBRALTAR INDS INC                EQUITY    374689107       3        203 SH       DEFINED        4         --         --      203
GIBRALTAR INDUSTRIES INC          EQUITY    374689107     331     26,234 SH       SOLE           2     26,234         --       --
GIGAMEDIA LTD                     EQUITY    Y2711Y104     132     41,250 SH       DEFINED        4         --         --   41,250
GIII APPAREL GROUP LTD            EQUITY    36237H101     327     11,848 SH       SOLE           2     11,848         --       --
GILEAD SCIENCES INC               EQUITY    375558103      22        478 SH       DEFINED        3         --         --      478
GILEAD SCIENCES INC               EQUITY    375558103      93      2,054 SH       DEFINED        4         --         --    2,054
GILEAD SCIENCES INC               EQUITY    375558103  42,237    928,692 SH       SOLE           2    928,692         --       --
GLACIER BANCORP INC               EQUITY    37637Q105     881     57,833 SH       SOLE           2     57,833         --       --
GLADSTONE CAPITAL CORP            EQUITY    376535100      71      5,992 SH       DEFINED        3         --         --    5,992
GLADSTONE CAPITAL CORP            EQUITY    376535100     203     17,226 SH       SOLE           2     17,226         --       --
GLADSTONE COMMERCIAL CORP         EQUITY    376536108     101      6,995 SH       SOLE           2      6,995         --       --
GLADSTONE INVESTMENT CORP         EQUITY    376546107     108     18,036 SH       SOLE           2     18,036         --       --
GLATFELTER                        EQUITY    377316104     529     36,478 SH       SOLE           2     36,478         --       --
GLAXOSMITHKLINE PLC               EQUITY    37733W105      32        842 SH       DEFINED        3         --         --      842
GLAXOSMITHKLINE PLC               EQUITY    37733W105     100      2,595 SH       DEFINED        4         --         --    2,595
GLG PARTNERS INC                  EQUITY    37929X107      12      3,872 SH       SOLE           2      3,872         --       --
GLIMCHER REALTY TRUST             EQUITY    379302102     256     50,399 SH       SOLE           2     50,399         --       --
GLOBAL CASH ACCESS HLDGS INC      EQUITY    378967103       2        300 SH       DEFINED        3         --         --      300
GLOBAL CASH ACCESS HOLDING        EQUITY    378967103     250     30,612 SH       SOLE           2     30,612         --       --
GLOBAL CROSSING LTD               EQUITY    G3921A175     359     23,703 SH       SOLE           2     23,703         --       --
GLOBAL DEFENSE TECHNOLOGY         EQUITY    37950B107      50      3,754 SH       SOLE           2      3,754         --       --
GLOBAL HIGH INCOME FUND INC       EQUITY    37933G108      33      2,358 SH       DEFINED        4         --         --    2,358
GLOBAL INDUSTRIES LTD             EQUITY    379336100     513     79,949 SH       SOLE           2     79,949         --       --
GLOBAL PAYMENTS INC               EQUITY    37940X102  15,166    332,958 SH       SOLE           2    332,958         --       --
GLOBAL SOURCES LTD                EQUITY    G39300101      86     13,208 SH       SOLE           2     13,208         --       --
GLOBE SPECIALTY METALS INC        EQUITY    37954N206       2        200 SH       DEFINED        4         --         --      200
GLOBECOMM SYSTEMS INC             EQUITY    37956X103     131     17,023 SH       SOLE           2     17,023         --       --
GMX RESOURCES INC                 EQUITY    38011M108     210     25,498 SH       SOLE           2     25,498         --       --
GOLAR LNG LTD                     EQUITY    G9456A100     309     26,414 SH       SOLE           2     26,414         --       --
GOLAR LNG LTD BERMUDA             EQUITY    G9456A100       2        200 SH       DEFINED        4         --         --      200
GOLDCORP INC NEW                  EQUITY    380956409       7        200 SH       DEFINED        4         --         --      200
GOLDCORP INC NEW                  EQUITY    380956409      40      1,079 SH       DEFINED        3         --         --    1,079
GOLDMAN SACHS GROUP INC           EQUITY    38141G104     110        642 SH       DEFINED        3         --         --      642
GOLDMAN SACHS GROUP INC           EQUITY    38141G104     305      1,790 SH       DEFINED        4         --         --    1,790
GOLDMAN SACHS GROUP INC           EQUITY    38141G104  50,808    297,765 SH       SOLE           2    297,765         --       --
GOODRICH CORP                     EQUITY    382388106   2,995     42,472 SH       SOLE           2     42,472         --       --
GOODRICH PETROLEUM CORP           EQUITY    382410405     307     19,627 SH       SOLE           2     19,627         --       --
GOODYEAR TIRE  RUBBER CO          EQUITY    382550101   1,047     82,821 SH       SOLE           2     82,821         --       --
GOOGLE INC                        EQUITY    38259P508     113        200 SH       DEFINED        3         --         --      200
GOOGLE INC                        EQUITY    38259P508     821      1,448 SH       DEFINED        4         --         --    1,448
GOOGLE INCCL A                    EQUITY    38259P508 110,925    195,631 SH       SOLE           2    195,631         --       --
GORMANRUPP CO                     EQUITY    383082104     298     11,723 SH       SOLE           2     11,723         --       --
GOVERNMENT PROPERTIES INCO        EQUITY    38376A103     356     13,684 SH       SOLE           2     13,684         --       --
GP STRATEGIES CORP                EQUITY    36225V104     108     12,874 SH       SOLE           2     12,874         --       --
GRACO INC                         EQUITY    384109104      13        400 SH       DEFINED        4         --         --      400
GRACO INC                         EQUITY    384109104   4,340    135,640 SH       SOLE           2    135,640         --       --
GRAFTECH INTERNATIONAL LTD        EQUITY    384313102   1,317     96,376 SH       SOLE           2     96,376         --       --
GRAFTECH INTL LTD                 EQUITY    384313102       3        200 SH       DEFINED        4         --         --      200
GRAHAM CORP                       EQUITY    384556106      16        890 SH       DEFINED        4         --         --      890
GRAHAM CORP                       EQUITY    384556106     148      8,250 SH       SOLE           2      8,250         --       --
GRAINGER W W INC                  EQUITY    384802104       8         73 SH       DEFINED        4         --         --       73
GRAMERCY CAPITAL CORP             EQUITY    384871109      97     34,793 SH       SOLE           2     34,793         --       --
GRAN TIERRA ENERGY INC            EQUITY    38500T101      51      8,600 SH       DEFINED        3         --         --    8,600
GRAN TIERRA ENERGY INC            EQUITY    38500T101     963    163,261 SH       SOLE           2    163,261         --       --
GRAND CANYON EDUCATION INC        EQUITY    38526M106     337     12,892 SH       SOLE           2     12,892         --       --
GRANITE CONSTRUCTION INC          EQUITY    387328107   3,096    102,460 SH       SOLE           2    102,460         --       --
GRAPHIC PACKAGING HLDG CO         EQUITY    388689101      44     12,200 SH       DEFINED        3         --         --   12,200
GRAPHIC PACKAGING HOLDING         EQUITY    388689101     329     91,229 SH       SOLE           2     91,229         --       --
GRAY TELEVISION INC               EQUITY    389375106       5      2,000 SH       DEFINED        4         --         --    2,000
GREAT ATLANTIC  PAC TEA CO        EQUITY    390064103     240     31,311 SH       SOLE           2     31,311         --       --
GREAT LAKES DREDGE  DOCK C        EQUITY    390607109     172     32,683 SH       SOLE           2     32,683         --       --
GREAT PLAINS ENERGY INC           EQUITY    391164100       5        250 SH       DEFINED        3         --         --      250
GREAT PLAINS ENERGY INC           EQUITY    391164100       6        300 SH       DEFINED        4         --         --      300
GREAT PLAINS ENERGY INC           EQUITY    391164100   5,684    306,091 SH       SOLE           2    306,091         --       --
GREAT SOUTHERN BANCORP INC        EQUITY    390905107     184      8,200 SH       SOLE           2      8,200         --       --
GREAT WOLF RESORTS INC            EQUITY    391523107      72     22,698 SH       SOLE           2     22,698         --       --
GREATBATCH INC                    EQUITY    39153L106       7        325 SH       DEFINED        4         --         --      325





                                                                                        
GREATBATCH INC                    EQUITY    39153L106     469     22,156 SH       SOLE           2     22,156         --       --
GREEN MOUNTAIN COFFEE ROAS        EQUITY    393122106   7,636     78,871 SH       SOLE           2     78,871         --       --
GREEN MTN COFFEE ROASTERS IN      EQUITY    393122106      29        300 SH       DEFINED        4         --         --      300
GREEN MTN COFFEE ROASTERS IN      EQUITY    393122106      33        340 SH       DEFINED        3         --         --      340
GREEN PLAINS RENEWABLE ENE        EQUITY    393222104     108      7,597 SH       SOLE           2      7,597         --       --
GREENBRIER COMPANIES INC          EQUITY    393657101     150     13,653 SH       SOLE           2     13,653         --       --
GREENHAVEN CONT CMDTY INDEX       EQUITY    395258106      17        688 SH       DEFINED        4         --         --      688
GREENHAVEN CONT CMDTY INDEX       EQUITY    395258106   1,047     41,759 SH       DEFINED        3         --         --   41,759
GREENHILL  CO INC                 EQUITY    395259104   3,793     46,208 SH       SOLE           2     46,208         --       --
GREENLIGHT CAPITAL RE LTDA        EQUITY    G4095J109     602     22,567 SH       SOLE           2     22,567         --       --
GREIF INC                         EQUITY    397624107       8        137 SH       DEFINED        4         --         --      137
GREIF INCCL A                     EQUITY    397624107   4,272     77,783 SH       SOLE           2     77,783         --       --
GRIFFIN LAND  NURSERIES           EQUITY    398231100      78      2,669 SH       SOLE           2      2,669         --       --
GRIFFON CORPORATION               EQUITY    398433102     518     41,599 SH       SOLE           2     41,599         --       --
GROUP 1 AUTOMOTIVE INC            EQUITY    398905109     723     22,679 SH       SOLE           2     22,679         --       --
GRUPO AEROPORTUARIO DEL SURE      EQUITY    4.01E+206     108      2,090 SH       DEFINED        4         --         --    2,090
GSE SYSTEMS INC                   EQUITY    36227K106      84     15,455 SH       SOLE           2     15,455         --       --
GSI COMMERCE INC                  EQUITY    36238G102       3        125 SH       DEFINED        3         --         --      125
GSI COMMERCE INC                  EQUITY    36238G102     672     24,300 SH       SOLE           2     24,300         --       --
GSI TECHNOLOGY INC                EQUITY    36241U106      70     15,058 SH       SOLE           2     15,058         --       --
GT SOLAR INTERNATIONAL INC        EQUITY    3.62E+212     134     25,711 SH       SOLE           2     25,711         --       --
GTX INC                           EQUITY    40052B108      52     15,588 SH       SOLE           2     15,588         --       --
GUARANTY BANCORP                  EQUITY    40075T102      68     42,855 SH       SOLE           2     42,855         --       --
GUESS INC                         EQUITY    401617105   6,160    131,109 SH       SOLE           2    131,109         --       --
GULF ISLAND FABRICATION IN        EQUITY    402307102     260     11,973 SH       SOLE           2     11,973         --       --
GULF RESOURCES INC                EQUITY    40251W309       2        200 SH       DEFINED        4         --         --      200
GULFMARK OFFSHORE INCCL A         EQUITY    402629208     484     18,236 SH       SOLE           2     18,236         --       --
GULFPORT ENERGY CORP              EQUITY    402635304     241     21,430 SH       SOLE           2     21,430         --       --
GYMBOREE CORP                     EQUITY    403777105   6,203    120,139 SH       SOLE           2    120,139         --       --
H & Q HEALTHCARE FD               EQUITY    404052102       7        537 SH       DEFINED        4         --         --      537
H & Q LIFE SCIENCES INVS          EQUITY    404053100       2        200 SH       DEFINED        4         --         --      200
H.B. FULLER CO.                   EQUITY    359694106   1,060     45,686 SH       SOLE           2     45,686         --       --
HACKETT GROUP INC/THE             EQUITY    404609109      87     31,461 SH       SOLE           2     31,461         --       --
HAEMONETICS CORP/MASS             EQUITY    405024100   1,373     24,018 SH       SOLE           2     24,018         --       --
HAIN CELESTIAL GROUP INC          EQUITY    405217100       5        270 SH       DEFINED        4         --         --      270
HAIN CELESTIAL GROUP INC          EQUITY    405217100     664     38,262 SH       SOLE           2     38,262         --       --
HALLIBURTON CO                    EQUITY    406216101      54      1,809 SH       DEFINED        3         --         --    1,809
HALLIBURTON CO                    EQUITY    406216101      69      2,291 SH       DEFINED        4         --         --    2,291
HALLIBURTON CO                    EQUITY    406216101  14,323    475,387 SH       SOLE           2    475,387         --       --
HALLMARK FINL SERVICES INC        EQUITY    40624Q203      69      7,720 SH       SOLE           2      7,720         --       --
HALOZYME THERAPEUTICS INC         EQUITY    40637H109     442     55,260 SH       SOLE           2     55,260         --       --
HAMPTON ROADS BANKSHARES I        EQUITY    409321106      23     15,062 SH       SOLE           2     15,062         --       --
HANCOCK HOLDING CO                EQUITY    410120109   1,112     26,586 SH       SOLE           2     26,586         --       --
HANCOCK JOHN PATRIOT PREM II      EQUITY    41013T105     495     46,511 SH       DEFINED        4         --         --   46,511
HANCOCK JOHN PFD INCOME FD        EQUITY    41013W108     255     13,891 SH       DEFINED        4         --         --   13,891
HANCOCK JOHN PFD INCOME FD I      EQUITY    41013X106      15        810 SH       DEFINED        3         --         --      810
HANCOCK JOHN PFD INCOME FD I      EQUITY    41021P103     145      9,004 SH       DEFINED        4         --         --    9,004
HANCOCK JOHN PFD INCOME FD I      EQUITY    41013X106     214     11,780 SH       DEFINED        4         --         --   11,780
HANESBRANDS INC                   EQUITY    410345102      30      1,071 SH       DEFINED        4         --         --    1,071
HANESBRANDS INC                   EQUITY    410345102   5,981    214,981 SH       SOLE           2    214,981         --       --
HANGER ORTHOPEDIC GROUP IN        EQUITY    41043F208     455     25,040 SH       SOLE           2     25,040         --       --
HANMI FINANCIAL CORPORATIO        EQUITY    410495105      17      7,095 SH       SOLE           2      7,095         --       --
HANOVER COMPRESSOR CO             FIXED
                                     INCOME 410768AE5      10         10 PRN      DEFINED        4         --         --       10
HANOVER INS GROUP INC             EQUITY    410867105       3         65 SH       DEFINED        3         --         --       65
HANOVER INSURANCE GROUP IN        EQUITY    410867105   4,934    113,138 SH       SOLE           2    113,138         --       --
HANSEN MEDICAL INC                EQUITY    411307101      47     20,701 SH       SOLE           2     20,701         --       --
HANSEN NAT CORP                   EQUITY    411310105       3         62 SH       DEFINED        3         --         --       62
HANSEN NAT CORP                   EQUITY    411310105      12        270 SH       DEFINED        4         --         --      270
HANSEN NATURAL CORPORATION        EQUITY    411310105   6,890    158,839 SH       SOLE           2    158,839         --       --
HARBIN ELECTRIC INC               EQUITY    41145W109     265     12,285 SH       SOLE           2     12,285         --       --
HARBINGER GROUP INC               EQUITY    41146A106      50      7,384 SH       SOLE           2      7,384         --       --
HARLEY DAVIDSON INC               EQUITY    412822108       7        255 SH       DEFINED        3         --         --      255
HARLEY DAVIDSON INC               EQUITY    412822108      96      3,405 SH       DEFINED        4         --         --    3,405
HARLEYDAVIDSON INC                EQUITY    412822108   3,134    111,664 SH       SOLE           2    111,664         --       --
HARLEYSVILLE GROUP INC            EQUITY    412824104     363     10,760 SH       SOLE           2     10,760         --       --
HARLEYSVILLE NATIONAL CORP        EQUITY    412850109     236     35,211 SH       SOLE           2     35,211         --       --
HARMAN INTERNATIONAL              EQUITY    413086109   1,661     35,512 SH       SOLE           2     35,512         --       --
HARMONIC INC                      EQUITY    413160102      19      3,000 SH       DEFINED        4         --         --    3,000
HARMONIC INC                      EQUITY    413160102     568     90,039 SH       SOLE           2     90,039         --       --
HARRIS  HARRIS GROUP INC          EQUITY    413833104     116     25,203 SH       SOLE           2     25,203         --       --
HARRIS & HARRIS GROUP INC         EQUITY    413833104       2        400 SH       DEFINED        3         --         --      400
HARRIS CORP                       EQUITY    413875105   2,130     44,844 SH       SOLE           2     44,844         --       --
HARRIS CORP DEL                   EQUITY    413875105      19        397 SH       DEFINED        4         --         --      397
HARSCO CORP                       EQUITY    415864107       2         65 SH       DEFINED        4         --         --       65
HARSCO CORP                       EQUITY    415864107   5,786    181,140 SH       SOLE           2    181,140         --       --
HARTEHANKS INC                    EQUITY    416196103   1,494    116,194 SH       SOLE           2    116,194         --       --
HARTFORD FINANCIAL SVCS GR        EQUITY    416515104   5,072    178,467 SH       SOLE           2    178,467         --       --
HARTFORD FINL SVCS GROUP INC      EQUITY    416515104     119      4,172 SH       DEFINED        4         --         --    4,172
HARTFORD FINL SVCS GROUP INC      EQUITY    416515104     151      5,326 SH       DEFINED        3         --         --    5,326
HARVARD BIOSCIENCE INC            EQUITY    416906105      78     20,043 SH       SOLE           2     20,043         --       --
HARVEST NATURAL RESOURCES         EQUITY    41754V103     203     26,950 SH       SOLE           2     26,950         --       --
HASBRO INC                        EQUITY    418056107   1,614     42,159 SH       SOLE           2     42,159         --       --
HATTERAS FINL CORP                EQUITY    41902R103      50      1,929 SH       DEFINED        3         --         --    1,929
HATTERAS FINL CORP                EQUITY    41902R103      63      2,430 SH       DEFINED        4         --         --    2,430
HATTERAS FINL CORP                EQUITY    41902R103     747     29,004 SH       SOLE           2     29,004         --       --
HAVERTY FURNITURE                 EQUITY    419596101     278     17,054 SH       SOLE           2     17,054         --       --
HAWAIIAN ELEC INDUSTRIES          EQUITY    419870100       4        200 SH       DEFINED        4         --         --      200
HAWAIIAN ELEC INDUSTRIES          EQUITY    419870100      18        800 SH       DEFINED        3         --         --      800
HAWAIIAN ELECTRIC INDS            EQUITY    419870100   4,672    208,116 SH       SOLE           2    208,116         --       --
HAWAIIAN HOLDINGS INC             EQUITY    419879101     311     42,150 SH       SOLE           2     42,150         --       --
HAWK CORP  CLASS A                EQUITY    420089104      87      4,479 SH       SOLE           2      4,479         --       --
HAWKINS INC                       EQUITY    420261109     172      7,119 SH       SOLE           2      7,119         --       --
HAYNES INTERNATIONAL INC          EQUITY    420877201     349      9,833 SH       SOLE           2      9,833         --       --
HAYNES INTERNATIONAL INV          EQUITY    420877201   6,107    171,876 SH       SOLE           1     171876         --       --





                                                                                        
HCC INSURANCE HOLDINGS INC        EQUITY    404132102   7,159    259,384 SH       SOLE           2    259,384         --       --
HCP INC                           EQUITY    40414L109      42      1,262 SH       DEFINED        3         --         --    1,262
HCP INC                           EQUITY    40414L109     172      5,219 SH       DEFINED        4         --         --    5,219
HCP INC                           EQUITY    40414L109   4,515    136,821 SH       SOLE           2    136,821         --       --
HDFC BANK LTD                     EQUITY    40415F101       2         16 SH       DEFINED        4         --         --       16
HE EQUIPMENT SERVICES INC         EQUITY    404030108     240     22,301 SH       SOLE           2     22,301         --       --
HEADWATERS INC                    EQUITY    42210P102     264     57,586 SH       SOLE           2     57,586         --       --
HEALTH CARE REIT INC              EQUITY    42217K106      11        242 SH       DEFINED        4         --         --      242
HEALTH CARE REIT INC              EQUITY    42217K106     621     13,738 SH       DEFINED        3         --         --   13,738
HEALTH CARE REIT INC              EQUITY    42217K106   2,135     47,209 SH       SOLE           2     47,209         --       --
HEALTH GRADES INC                 EQUITY    42218Q102     123     19,417 SH       SOLE           2     19,417         --       --
HEALTH MGMT ASSOC INC NEW         EQUITY    421933102      62      7,200 SH       DEFINED        4         --         --    7,200
HEALTH MGMT ASSOCIATES INC        EQUITY    421933102   4,842    563,070 SH       SOLE           2    563,070         --       --
HEALTH NET INC                    EQUITY    42222G108   5,637    226,661 SH       SOLE           2    226,661         --       --
HEALTHCARE REALTY TRUST IN        EQUITY    421946104   1,305     56,037 SH       SOLE           2     56,037         --       --
HEALTHCARE SERVICES GROUP         EQUITY    421906108     863     38,562 SH       SOLE           2     38,562         --       --
HEALTHSOUTH CORP                  EQUITY    421924309   1,398     74,775 SH       SOLE           2     74,775         --       --
HEALTHSPRING INC                  EQUITY    42224N101     810     46,010 SH       SOLE           2     46,010         --       --
HEALTHWAYS INC                    EQUITY    422245100     509     31,683 SH       SOLE           2     31,683         --       --
HEARTLAND EXPRESS INC             EQUITY    422347104     787     47,697 SH       SOLE           2     47,697         --       --
HEARTLAND FINANCIAL USA IN        EQUITY    42234Q102     172     10,781 SH       SOLE           2     10,781         --       --
HEARTLAND PAYMENT SYSTEMS         EQUITY    42235N108     655     35,219 SH       SOLE           2     35,219         --       --
HEARTWARE INTERNATIONAL IN        EQUITY    422368100     259      5,815 SH       SOLE           2      5,815         --       --
HECKMANN CORP                     EQUITY    422680108     420     72,487 SH       SOLE           2     72,487         --       --
HECLA MINING CO                   EQUITY    422704106   1,037    189,605 SH       SOLE           2    189,605         --       --
HECLA MNG CO                      EQUITY    422704205       2         40 SH       DEFINED        3         --         --       40
HECLA MNG CO                      EQUITY    422704106      55     10,050 SH       DEFINED        4         --         --   10,050
HEICO CORP                        EQUITY    422806109     954     18,511 SH       SOLE           2     18,511         --       --
HEIDRICK  STRUGGLES INTL          EQUITY    422819102     455     16,220 SH       SOLE           2     16,220         --       --
HEINZ H J CO                      EQUITY    423074103      45        987 SH       DEFINED        3         --         --      987
HEINZ H J CO                      EQUITY    423074103     459     10,074 SH       DEFINED        4         --         --   10,074
HELEN OF TROY LTD                 EQUITY    G4388N106     733     28,137 SH       SOLE           2     28,137         --       --
HELIOS HIGH YIELD FD              EQUITY    42328Q109     379     46,573 SH       DEFINED        4         --         --   46,573
HELIOS TOTAL RETURN FD INC        EQUITY    42327V109       6      1,040 SH       DEFINED        4         --         --    1,040
HELIX ENERGY SOLUTIONS GRO        EQUITY    42330P107   2,708    207,838 SH       SOLE           2    207,838         --       --
HELMERICH  PAYNE                  EQUITY    423452101   1,889     49,617 SH       SOLE           2     49,617         --       --
HELMERICH & PAYNE INC             EQUITY    423452101       9        235 SH       DEFINED        3         --         --      235
HEMISPHERX BIOPHARMA INC          EQUITY    42366C103       3      4,500 SH       DEFINED        3         --         --    4,500
HEMISPHERX BIOPHARMA INC          EQUITY    42366C103      75    100,892 SH       SOLE           2    100,892         --       --
HENRY JACK & ASSOC INC            EQUITY    426281101      38      1,600 SH       DEFINED        4         --         --    1,600
HENRY SCHEIN INC                  EQUITY    806407102  12,352    209,707 SH       SOLE           2    209,707         --       --
HERBALIFE LTD                     EQUITY    G4412G101      55      1,192 SH       SOLE           2      1,192         --       --
HERCULES OFFSHORE INC             EQUITY    427093109     396     91,878 SH       SOLE           2     91,878         --       --
HERCULES TECH GROWTH CAP INC      EQUITY    427096508     105      9,898 SH       DEFINED        3         --         --    9,898
HERCULES TECH GROWTH CAP INC      EQUITY    427096508     476     44,933 SH       DEFINED        4         --         --   44,933
HERCULES TECHNOLOGY GROWTH        EQUITY    427096508     306     28,857 SH       SOLE           2     28,857         --       --
HERITAGE FINANCIAL CORP           EQUITY    42722X106     113      7,499 SH       SOLE           2      7,499         --       --
HERITAGE FINANCIAL GROUP          EQUITY    42725U109      20      1,632 SH       SOLE           2      1,632         --       --
HERITAGECRYSTAL CLEAN INC         EQUITY    42726M106      24      2,087 SH       SOLE           2      2,087         --       --
HERLEY INDUSTRIES INC             EQUITY    427398102     162     11,076 SH       SOLE           2     11,076         --       --
HERMAN MILLER INC                 EQUITY    600544100   3,036    168,105 SH       SOLE           2    168,105         --       --
HERSHA HOSPITALITY TRUST          EQUITY    427825104     409     78,931 SH       SOLE           2     78,931         --       --
HERSHEY CO                        EQUITY    427866108      26        610 SH       DEFINED        3         --         --      610
HERSHEY CO                        EQUITY    427866108      27        637 SH       DEFINED        4         --         --      637
HERSHEY CO/THE                    EQUITY    427866108   4,095     95,656 SH       SOLE           2     95,656         --       --
HERTZ GLOBAL HOLDINGS INC         EQUITY    42805T105      50      4,969 SH       SOLE           2      4,969         --       --
HESS CORP                         EQUITY    42809H107       7        115 SH       DEFINED        3         --         --      115
HESS CORP                         EQUITY    42809H107  15,384    245,951 SH       SOLE           2    245,951         --       --
HEWITT ASSOCIATES INCCL A         EQUITY    42822Q100   7,501    188,567 SH       SOLE           2    188,567         --       --
HEWITT ASSOCS INC                 EQUITY    42822Q100       3         76 SH       DEFINED        3         --         --       76
HEWLETT PACKARD CO                EQUITY    428236103     131      2,474 SH       DEFINED        3         --         --    2,474
HEWLETT PACKARD CO                EQUITY    428236103     308      5,790 SH       DEFINED        4         --         --    5,790
HEWLETTPACKARD CO                 EQUITY    428236103  96,187  1,809,732 SH       SOLE           2  1,809,732         --       --
HEXCEL CORP                       EQUITY    428291108   8,311    575,566 SH       SOLE           2    575,566         --       --
HEXCEL CORP NEW                   EQUITY    428291108       1        100 SH       DEFINED        3         --         --      100
HEXCEL CORP NEW                   EQUITY    428291108       3        209 SH       DEFINED        4         --         --      209
HHGREGG INC                       EQUITY    42833L108     262     10,398 SH       SOLE           2     10,398         --       --
HIBBETT SPORTS INC                EQUITY    428567101     687     26,868 SH       SOLE           2     26,868         --       --
HICKORYTECH CORP                  EQUITY    429060106      94     10,653 SH       SOLE           2     10,653         --       --
HIGHLAND CR STRATEGIES FD         EQUITY    43005Q107      18      2,250 SH       DEFINED        4         --         --    2,250
HIGHWOODS PPTYS INC               EQUITY    431284108       5        150 SH       DEFINED        4         --         --      150
HIGHWOODS PROPERTIES INC          EQUITY    431284108   6,862    216,268 SH       SOLE           2    216,268         --       --
HILL INTERNATIONAL INC            EQUITY    431466101     118     20,304 SH       SOLE           2     20,304         --       --
HILLENBRAND INC                   EQUITY    431571108   7,941    361,098 SH       SOLE           2    361,098         --       --
HILLROM HOLDINGS INC              EQUITY    431475102   3,864    142,007 SH       SOLE           2    142,007         --       --
HILLTOP HOLDINGS INC              EQUITY    432748101     380     32,377 SH       SOLE           2     32,377         --       --
HITECH PHARMACAL CO INC           EQUITY    42840B101     155      7,017 SH       SOLE           2      7,017         --       --
HITTITE MICROWAVE CORP            EQUITY    43365Y104     885     20,131 SH       SOLE           2     20,131         --       --
HJ HEINZ CO                       EQUITY    423074103  23,309    511,052 SH       SOLE           2    511,052         --       --
HMS HOLDINGS CORP                 EQUITY    40425J101   1,239     24,293 SH       SOLE           2     24,293         --       --
HNI CORP                          EQUITY    404251100   3,639    136,668 SH       SOLE           2    136,668         --       --
HOLLY CORP                        EQUITY    435758305     191      6,843 SH       SOLE           2      6,843         --       --
HOLLY ENERGY PARTNERS L P         EQUITY    435763107       3         80 SH       DEFINED        3         --         --       80
HOLLY ENERGY PARTNERS L P         EQUITY    435763107      12        286 SH       DEFINED        4         --         --      286
HOLOGIC INC                       EQUITY    436440101  21,603  1,165,220 SH       SOLE           2  1,165,220         --       --
HOME BANCORP INC                  EQUITY    4.37E+111     102      7,292 SH       SOLE           2      7,292         --       --
HOME BANCSHARES INC               EQUITY    436893200     450     17,009 SH       SOLE           2     17,009         --       --
HOME DEPOT INC                    EQUITY    437076102     183      5,658 SH       DEFINED        3         --         --    5,658
HOME DEPOT INC                    EQUITY    437076102     752     23,238 SH       DEFINED        4         --         --   23,238
HOME DEPOT INC                    EQUITY    437076102  27,402    847,052 SH       SOLE           2    847,052         --       --
HOME FEDERAL BANCORP INC/M        EQUITY    43710G105     198     13,640 SH       SOLE           2     13,640         --       --
HOME INNS & HOTELS MGMT INC       EQUITY    43713W107       7        200 SH       DEFINED        4         --         --      200
HOME PROPERTIES INC               EQUITY    437306103   1,527     32,618 SH       SOLE           2     32,618         --       --
HONDA MOTOR LTD                   EQUITY    438128308      21        600 SH       DEFINED        3         --         --      600





                                                                                        
HONEYWELL INTERNATIONAL IN        EQUITY    438516106  11,114    245,501 SH       SOLE           2    245,501         --       --
HONEYWELL INTL INC                EQUITY    438516106     115      2,545 SH       DEFINED        3         --         --    2,545
HONEYWELL INTL INC                EQUITY    438516106     441      9,736 SH       DEFINED        4         --         --    9,736
HOOKER FURNITURE CORP             EQUITY    439038100     141      8,799 SH       SOLE           2      8,799         --       --
HORACE MANN EDUCATORS             EQUITY    440327104   1,803    119,695 SH       SOLE           2    119,695         --       --
HORIZON LINES INCCL A             EQUITY    44044K101     134     24,649 SH       SOLE           2     24,649         --       --
HORMEL FOODS CORP                 EQUITY    440452100     256      6,092 SH       DEFINED        3         --         --    6,092
HORMEL FOODS CORP                 EQUITY    440452100   1,016     24,176 SH       SOLE           2     24,176         --       --
HORNBECK OFFSHORE SERVICES        EQUITY    440543106     407     21,913 SH       SOLE           2     21,913         --       --
HORSEHEAD HOLDING CORP            EQUITY    440694305     419     35,388 SH       SOLE           2     35,388         --       --
HOSPIRA INC                       EQUITY    441060100       3         50 SH       DEFINED        4         --         --       50
HOSPIRA INC                       EQUITY    441060100       4         70 SH       DEFINED        3         --         --       70
HOSPIRA INC                       EQUITY    441060100   4,227     74,610 SH       SOLE           2     74,610         --       --
HOSPITALITY PPTYS TR              EQUITY    44106M102      12        500 SH       DEFINED        3         --         --      500
HOSPITALITY PPTYS TR              EQUITY    44106M102     179      7,491 SH       DEFINED        4         --         --    7,491
HOSPITALITY PROPERTIES TRU        EQUITY    44106M102   6,683    279,047 SH       SOLE           2    279,047         --       --
HOST HOTELS  RESORTS INC          EQUITY    44107P104   4,453    303,982 SH       SOLE           2    303,982         --       --
HOST HOTELS & RESORTS INC         EQUITY    44107P104       3        204 SH       DEFINED        3         --         --      204
HOT TOPIC INC                     EQUITY    441339108   7,307  1,124,184 SH       SOLE           2  1,124,184         --       --
HOUSTON WIRE  CABLE CO            EQUITY    44244K109     167     14,415 SH       SOLE           2     14,415         --       --
HOVNANIAN ENTERPRISES INC         EQUITY    442487203       4      1,032 SH       DEFINED        3         --         --    1,032
HOVNANIAN ENTERPRISES INC         EQUITY    442487203     306     70,450 SH       DEFINED        4         --         --   70,450
HOVNANIAN ENTERPRISESA            EQUITY    442487203     184     42,358 SH       SOLE           2     42,358         --       --
HQ SUSTAINABLE MARITIME IN        EQUITY    40426A208      52      8,704 SH       SOLE           2      8,704         --       --
HR BLOCK INC                      EQUITY     93671105   9,571    537,715 SH       SOLE           2    537,715         --       --
HRPT PPTYS TR                     EQUITY    40426W101       8      1,000 SH       DEFINED        4         --         --    1,000
HRPT PPTYS TR                     EQUITY    40426W101      52      6,633 SH       DEFINED        3         --         --    6,633
HRPT PROPERTIES TRUST             EQUITY    40426W101      46      5,946 SH       SOLE           2      5,946         --       --
HSBC HLDGS PLC                    EQUITY    404280406      12        239 SH       DEFINED        4         --         --      239
HSBC HLDGS PLC                    EQUITY    404280604      42      1,845 SH       DEFINED        4         --         --    1,845
HSBC HLDGS PLC                    EQUITY    404280406      99      1,952 SH       DEFINED        3         --         --    1,952
HSBC USA INC                      EQUITY    4042EP602     134     15,880 SH       DEFINED        4         --         --   15,880
HSN INC                           EQUITY    404303109      66      2,249 SH       DEFINED        3         --         --    2,249
HSN INC                           EQUITY    404303109   1,100     37,353 SH       SOLE           2     37,353         --       --
HUANENG PWR INTL INC              EQUITY    443304100       5        200 SH       DEFINED        3         --         --      200
HUANENG PWR INTL INC              EQUITY    443304100       9        380 SH       DEFINED        4         --         --      380
HUB GROUP INCCL A                 EQUITY    443320106   2,791     99,748 SH       SOLE           2     99,748         --       --
HUBBELL INC CL B                  EQUITY    443510201  13,825    274,143 SH       SOLE           2    274,143         --       --
HUDSON CITY BANCORP               EQUITY    443683107       7        500 SH       DEFINED        3         --         --      500
HUDSON CITY BANCORP               EQUITY    443683107     167     11,798 SH       DEFINED        4         --         --   11,798
HUDSON CITY BANCORP INC           EQUITY    443683107   4,037    285,100 SH       SOLE           2    285,100         --       --
HUGHES COMMUNICATIONS INC         EQUITY    444398101     202      7,270 SH       SOLE           2      7,270         --       --
HUGOTON RTY TR TEX                EQUITY    444717102      19      1,130 SH       DEFINED        3         --         --    1,130
HUMAN GENOME SCIENCES INC         EQUITY    444903108     352     11,664 SH       DEFINED        4         --         --   11,664
HUMAN GENOME SCIENCES INC         EQUITY    444903108   4,425    146,526 SH       SOLE           2    146,526         --       --
HUMANA INC                        EQUITY    444859102       5        100 SH       DEFINED        4         --         --      100
HUMANA INC                        EQUITY    444859102      31        658 SH       DEFINED        3         --         --      658
HUMANA INC                        EQUITY    444859102   3,454     73,858 SH       SOLE           2     73,858         --       --
HUNT (JB) TRANSPRT SVCS IN        EQUITY    445658107   7,369    205,391 SH       SOLE           2    205,391         --       --
HUNTINGTON BANCSHARES INC         EQUITY    446150104       2        337 SH       DEFINED        3         --         --      337
HUNTINGTON BANCSHARES INC         EQUITY    446150104      12      2,200 SH       DEFINED        4         --         --    2,200
HUNTINGTON BANCSHARES INC         EQUITY    446150401      50         51 SH       DEFINED        4         --         --       51
HUNTINGTON BANCSHARES INC         EQUITY    446150104   1,892    352,387 SH       SOLE           2    352,387         --       --
HUNTSMAN CORP                     EQUITY    447011107      10        800 SH       DEFINED        4         --         --      800
HUNTSMAN CORP                     EQUITY    447011107   8,280    687,119 SH       SOLE           2    687,119         --       --
HURCO COMPANIES INC               EQUITY    447324104      88      5,245 SH       SOLE           2      5,245         --       --
HURON CONSULTING GROUP INC        EQUITY    447462102     357     17,581 SH       SOLE           2     17,581         --       --
HUTCHINSON TECH                   EQUITY    448407106      20      3,237 SH       SOLE           2      3,237         --       --
HYATT HOTELS CORP  CL A           EQUITY    448579102      40      1,029 SH       SOLE           2      1,029         --       --
IAC/INTERACTIVECORP               EQUITY    44919P508      52      2,284 SH       SOLE           2      2,284         --       --
IBERIABANK CORP                   EQUITY    450828108       2         26 SH       DEFINED        3         --         --       26
IBERIABANK CORP                   EQUITY    450828108     989     16,483 SH       SOLE           2     16,483         --       --
IBERO-AMERICA FD INC              EQUITY    45082X103       4        600 SH       DEFINED        4         --         --      600
ICF INTERNATIONAL INC             EQUITY    44925C103     225      9,077 SH       SOLE           2      9,077         --       --
ICICI BK LTD                      EQUITY    45104G104       4        100 SH       DEFINED        3         --         --      100
ICICI BK LTD                      EQUITY    45104G104      20        480 SH       DEFINED        4         --         --      480
ICO INC                           EQUITY    449293109     182     22,511 SH       SOLE           2     22,511         --       --
ICONIX BRAND GROUP INC            EQUITY    451055107   5,847    380,635 SH       SOLE           2    380,635         --       --
ICU MEDICAL INC                   EQUITY    44930G107     397     11,519 SH       SOLE           2     11,519         --       --
ICX TECHNOLOGIES INC              EQUITY    44934T105      65      9,344 SH       SOLE           2      9,344         --       --
IDACORP INC                       EQUITY    451107106       3        100 SH       DEFINED        4         --         --      100
IDACORP INC                       EQUITY    451107106   5,009    144,682 SH       SOLE           2    144,682         --       --
IDENIX PHARMACEUTICALS INC        EQUITY    45166R204      72     25,464 SH       SOLE           2     25,464         --       --
IDERA PHARMACEUTICALS INC         EQUITY    45168K306     110     17,661 SH       SOLE           2     17,661         --       --
IDEX CORP                         EQUITY    45167R104   6,051    182,819 SH       SOLE           2    182,819         --       --
IDEXX LABORATORIES INC            EQUITY    45168D104   7,534    130,905 SH       SOLE           2    130,905         --       --
IDEXX LABS INC                    EQUITY    45168D104       3         50 SH       DEFINED        3         --         --       50
IGATE CORP                        EQUITY    45169U105       7        700 SH       DEFINED        4         --         --      700
IGATE CORP                        EQUITY    45169U105     180     18,549 SH       SOLE           2     18,549         --       --
IHS INC                           EQUITY    451734107       3         57 SH       DEFINED        3         --         --       57
IHS INC CLASS A                   EQUITY    451734107      50        930 SH       SOLE           2        930         --       --
IIVI INC                          EQUITY    902104108     796     23,524 SH       SOLE           2     23,524         --       --
ILLINOIS TOOL WKS INC             EQUITY    452308109       3         53 SH       DEFINED        4         --         --       53
ILLINOIS TOOL WORKS               EQUITY    452308109   7,419    156,655 SH       SOLE           2    156,655         --       --
ILLUMINA INC                      EQUITY    452327109      16        400 SH       DEFINED        3         --         --      400
ILLUMINA INC                      EQUITY    452327109     365      9,377 SH       SOLE           2      9,377         --       --
IMATION CORP                      EQUITY    45245A107     267     24,260 SH       SOLE           2     24,260         --       --
IMERGENT INC                      EQUITY    45247Q100      43      6,397 SH       SOLE           2      6,397         --       --
IMMERSION CORPORATION             EQUITY    452521107     114     22,837 SH       SOLE           2     22,837         --       --
IMMUCOR INC                       EQUITY    452526106   4,761    212,648 SH       SOLE           2    212,648         --       --
IMMUNOGEN INC                     EQUITY    45253H101     377     46,608 SH       SOLE           2     46,608         --       --
IMMUNOMEDICS INC                  EQUITY    452907108     177     53,335 SH       SOLE           2     53,335         --       --
IMPAC MTG HLDGS INC               EQUITY    45254P508     119     30,010 SH       DEFINED        4         --         --   30,010
IMPAX LABORATORIES INC            EQUITY    45256B101     869     48,611 SH       SOLE           2     48,611         --       --





                                                                                        
IMPERIAL OIL LTD                  EQUITY    453038408       8        200 SH       DEFINED        4         --         --      200
IMPERIAL SUGAR CO                 EQUITY    453096208     155      9,974 SH       SOLE           2      9,974         --       --
INCONTACT INC                     EQUITY    4.53E+113      63     22,114 SH       SOLE           2     22,114         --       --
INCYTE CORP                       EQUITY    45337C102       3        200 SH       DEFINED        4         --         --      200
INCYTE CORP                       EQUITY    45337C102   7,976    571,328 SH       SOLE           2    571,328         --       --
INDEPENDENCE HOLDING CO           EQUITY    453440307      50      5,314 SH       SOLE           2      5,314         --       --
INDEPENDENT BANK CORP MASS        EQUITY    453836108      15        600 SH       DEFINED        4         --         --      600
INDEPENDENT BANK CORP MICH        EQUITY    453838104       7     10,000 SH       DEFINED        4         --         --   10,000
INDEPENDENT BANK CORP/MA          EQUITY    453836108     493     19,982 SH       SOLE           2     19,982         --       --
INDEXIQ ETF TR                    EQUITY    45409B107      27      1,000 SH       DEFINED        3         --         --    1,000
INDIA FD INC                      EQUITY    454089103       3        100 SH       DEFINED        3         --         --      100
INDIA FD INC                      EQUITY    454089103      41      1,290 SH       DEFINED        4         --         --    1,290
INERGY HLDGS L P                  EQUITY    45661Q107       4         60 SH       DEFINED        4         --         --       60
INERGY L P                        EQUITY    456615103       6        150 SH       DEFINED        4         --         --      150
INERGY L P                        EQUITY    456615103      46      1,222 SH       DEFINED        3         --         --    1,222
INFINERA CORP                     EQUITY    45667G103     573     67,279 SH       SOLE           2     67,279         --       --
INFINITY PHARMACEUTICALS I        EQUITY    45665G303      89     14,635 SH       SOLE           2     14,635         --       --
INFINITY PROPERTY  CASUALT        EQUITY    45665Q103     595     13,086 SH       SOLE           2     13,086         --       --
INFOGROUP INC                     EQUITY    45670G108     218     27,899 SH       SOLE           2     27,899         --       --
INFORMATICA CORP                  EQUITY    45666Q102      17        622 SH       DEFINED        3         --         --      622
INFORMATICA CORP                  EQUITY    45666Q102   7,309    272,132 SH       SOLE           2    272,132         --       --
INFORMATION SERVICES GROUP        EQUITY    45675Y104      66     19,385 SH       SOLE           2     19,385         --       --
INFOSPACE INC                     EQUITY    45678T300     370     33,492 SH       SOLE           2     33,492         --       --
INFOSYS TECHNOLOGIES LTD          EQUITY    456788108       3         48 SH       DEFINED        4         --         --       48
INFOSYS TECHNOLOGIES SP AD        EQUITY    456788108     386      6,561 SH       SOLE           2      6,561         --       --
ING CLARION GLB RE EST INCM       EQUITY    44982G104      17      2,253 SH       DEFINED        3         --         --    2,253
ING CLARION GLB RE EST INCM       EQUITY    44982G104     843    111,531 SH       DEFINED        4         --         --  111,531
ING GLBL ADV & PREM OPP FUND      EQUITY    44982N109      30      2,000 SH       DEFINED        3         --         --    2,000
ING GLOBAL EQTY DIV & PREM O      EQUITY    4.57E+111      30      2,300 SH       DEFINED        3         --         --    2,300
ING GLOBAL EQTY DIV & PREM O      EQUITY    4.57E+111     203     15,619 SH       DEFINED        4         --         --   15,619
ING GROEP N V                     EQUITY    456837103       4        448 SH       DEFINED        4         --         --      448
ING GROEP N V                     EQUITY    456837103      49      4,900 SH       DEFINED        3         --         --    4,900
ING PRIME RATE TR                 EQUITY    44977W106       7      1,073 SH       DEFINED        3         --         --    1,073
ING RISK MANAGED NAT RES FD       EQUITY    449810100      50      2,900 SH       DEFINED        4         --         --    2,900
INGERSOLL-RAND PLC                EQUITY    G47791101       7        198 SH       DEFINED        3         --         --      198
INGERSOLL-RAND PLC                EQUITY    G47791101     126      3,614 SH       DEFINED        4         --         --    3,614
INGLES MARKETS INCCLASS A         EQUITY    457030104     156     10,392 SH       SOLE           2     10,392         --       --
INGRAM MICRO INCCL A              EQUITY    457153104   6,492    369,905 SH       SOLE           2    369,905         --       --
INLAND REAL ESTATE CORP           EQUITY    457461200       3        365 SH       DEFINED        4         --         --      365
INLAND REAL ESTATE CORP           EQUITY    457461200      17      1,900 SH       DEFINED        3         --         --    1,900
INLAND REAL ESTATE CORP           EQUITY    457461200     606     66,211 SH       SOLE           2     66,211         --       --
INNERWORKINGS INC                 EQUITY    45773Y105     104     20,088 SH       SOLE           2     20,088         --       --
INNODATA ISOGEN INC               EQUITY    457642205      71     17,499 SH       SOLE           2     17,499         --       --
INNOPHOS HOLDINGS INC             EQUITY    45774N108     393     14,072 SH       SOLE           2     14,072         --       --
INNOSPEC INC                      EQUITY    45768S105     219     19,305 SH       SOLE           2     19,305         --       --
INOVIO BIOMEDICAL CORP            EQUITY    45773H102      12      8,800 SH       DEFINED        3         --         --    8,800
INSIGHT ENTERPRISES INC           EQUITY    45765U103     629     43,809 SH       SOLE           2     43,809         --       --
INSITUFORM TECHNOLOGIESCL         EQUITY    457667103     972     36,544 SH       SOLE           2     36,544         --       --
INSMED INC                        EQUITY    457669208     120    102,083 SH       SOLE           2    102,083         --       --
INSPIRE PHARMACEUTICALS IN        EQUITY    457733103     313     50,133 SH       SOLE           2     50,133         --       --
INSTEEL INDUSTRIES INC            EQUITY    45774W108     153     14,316 SH       SOLE           2     14,316         --       --
INSULET CORP                      EQUITY    45784P101      14        950 SH       DEFINED        3         --         --      950
INSULET CORP                      EQUITY    45784P101     434     28,755 SH       SOLE           2     28,755         --       --
INTEGRA LIFESCIENCES HOLDI        EQUITY    457985208     787     17,951 SH       SOLE           2     17,951         --       --
INTEGRAL SYSTEMS INC/MD           EQUITY    45810H107     159     16,541 SH       SOLE           2     16,541         --       --
INTEGRATED DEVICE TECH INC        EQUITY    458118106   2,297    374,778 SH       SOLE           2    374,778         --       --
INTEGRATED ELECTRICAL SERV        EQUITY    4.58E+305      26      4,609 SH       SOLE           2      4,609         --       --
INTEGRYS ENERGY GROUP INC         EQUITY    45822P105     158      3,337 SH       DEFINED        4         --         --    3,337
INTEGRYS ENERGY GROUP INC         EQUITY    45822P105   1,261     26,617 SH       SOLE           2     26,617         --       --
INTEL CORP                        EQUITY    458140100     329     14,776 SH       DEFINED        3         --         --   14,776
INTEL CORP                        EQUITY    458140100   2,727    122,356 SH       DEFINED        4         --         --  122,356
INTEL CORP                        EQUITY    458140100  57,354  2,576,550 SH       SOLE           2  2,576,550         --       --
INTER PARFUMS INC                 EQUITY    458334109     172     11,614 SH       SOLE           2     11,614         --       --
INTERACTIVE BROKERS GROCL         EQUITY    45841N107      17      1,063 SH       SOLE           2      1,063         --       --
INTERACTIVE DATA CORP             EQUITY    45840J107      27        834 SH       SOLE           2        834         --       --
INTERACTIVE INTELLIGENCE I        EQUITY    45839M103     226     12,075 SH       SOLE           2     12,075         --       --
INTERCLICK INC                    EQUITY    458483203      15      4,000 SH       DEFINED        3         --         --    4,000
INTERCONTINENTAL HTLS GRP PL      EQUITY    45857P301       1         82 SH       DEFINED        4         --         --       82
INTERCONTINENTALEXCHANGE I        EQUITY    45865V100   3,378     30,108 SH       SOLE           2     30,108         --       --
INTERCONTINENTALEXCHANGE INC      EQUITY    45865V100       2         17 SH       DEFINED        3         --         --       17
INTERCONTINENTALEXCHANGE INC      EQUITY    45865V100      59        523 SH       DEFINED        4         --         --      523
INTERDIGITAL INC                  EQUITY    45867G101       4        150 SH       DEFINED        4         --         --      150
INTERDIGITAL INC                  EQUITY    45867G101     976     35,029 SH       SOLE           2     35,029         --       --
INTERFACE INCCLASS A              EQUITY    458665106     549     47,450 SH       SOLE           2     47,450         --       --
INTERLINE BRANDS INC              EQUITY    458743101     498     26,007 SH       SOLE           2     26,007         --       --
INTERMEC INC                      EQUITY    458786100       4        300 SH       DEFINED        4         --         --      300
INTERMEC INC                      EQUITY    458786100     802     56,549 SH       SOLE           2     56,549         --       --
INTERMUNE INC                     EQUITY    45884X103   1,589     35,657 SH       SOLE           2     35,657         --       --
INTERNAP NETWORK SERVICES         EQUITY    45885A300     232     41,471 SH       SOLE           2     41,471         --       --
INTERNATIONAL BANCSHARES C        EQUITY    459044103   3,621    157,484 SH       SOLE           2    157,484         --       --
INTERNATIONAL BUSINESS MACHS      EQUITY    459200101     709      5,527 SH       DEFINED        4         --         --    5,527
INTERNATIONAL BUSINESS MACHS      EQUITY    459200101   1,574     12,273 SH       DEFINED        3         --         --   12,273
INTERNATIONAL COAL GROUP I        EQUITY    45928H106   6,482  1,418,328 SH       SOLE           2  1,418,328         --       --
INTERNATIONAL GAME TECHNOLOG      EQUITY    459902102      16        850 SH       DEFINED        4         --         --      850
INTERNATIONAL PAPER CO            EQUITY    460146103   3,714    150,920 SH       SOLE           2    150,920         --       --
INTERNATIONAL RECTIFIER CORP      EQUITY    460254105       2        100 SH       DEFINED        3         --         --      100
INTERNATIONAL SPEEDWAY CORP       EQUITY    460335201       3        100 SH       DEFINED        4         --         --      100
INTERNET BRANDS INC               EQUITY    460608102      70      7,629 SH       SOLE           1       7629         --       --
INTERNET BRANDS INCCL A           EQUITY    460608102     206     22,387 SH       SOLE           2     22,387         --       --
INTERNET CAPITAL GROUP INC        EQUITY    46059C205     253     29,994 SH       SOLE           2     29,994         --       --
INTEROIL CORP                     EQUITY    460951106       9        140 SH       DEFINED        3         --         --      140
INTERPUBLIC GROUP OF COS I        EQUITY    460690100   1,411    169,592 SH       SOLE           2    169,592         --       --
INTERSIL CORP CL A                EQUITY    46069S109   4,097    277,584 SH       SOLE           2    277,584         --       --
INTERVAL LEISURE GROUP            EQUITY    46113M108     550     37,800 SH       SOLE           2     37,800         --       --





                                                                                        
INTERVAL LEISURE GROUP INC        EQUITY    46113M108       3        179 SH       DEFINED        3         --         --      179
INTEVAC INC                       EQUITY    461148108     290     20,989 SH       SOLE           2     20,989         --       --
INTL ASSETS HOLDING CORP          EQUITY    459028106     158     10,550 SH       SOLE           2     10,550         --       --
INTL BUSINESS MACHINES COR        EQUITY    459200101  68,157    531,437 SH       SOLE           2    531,437         --       --
INTL FLAVORS + FRAGRANCES         EQUITY    459506101   2,633     55,240 SH       SOLE           2     55,240         --       --
INTL GAME TECHNOLOGY              EQUITY    459902102   1,873    101,529 SH       SOLE           2    101,529         --       --
INTL PAPER CO                     EQUITY    460146103      14        585 SH       DEFINED        4         --         --      585
INTL PAPER CO                     EQUITY    460146103      52      2,123 SH       DEFINED        3         --         --    2,123
INTL RECTIFIER CORP               EQUITY    460254105   3,676    160,509 SH       SOLE           2    160,509         --       --
INTL SHIPHOLDING CORP             EQUITY    460321201     132      4,484 SH       SOLE           2      4,484         --       --
INTL SPEEDWAY CORPCL A            EQUITY    460335201   1,778     68,994 SH       SOLE           2     68,994         --       --
INTREPID POTASH INC               EQUITY    46121Y102       6        200 SH       DEFINED        4         --         --      200
INTREPID POTASH INC               EQUITY    46121Y102   2,821     93,018 SH       SOLE           2     93,018         --       --
INTUIT                            EQUITY    461202103       9        253 SH       DEFINED        4         --         --      253
INTUIT INC                        EQUITY    461202103   4,488    130,683 SH       SOLE           2    130,683         --       --
INTUITIVE SURGICAL INC            EQUITY    46120E602      30         85 SH       DEFINED        3         --         --       85
INTUITIVE SURGICAL INC            EQUITY    46120E602      81        233 SH       DEFINED        4         --         --      233
INTUITIVE SURGICAL INC            EQUITY    46120E602   6,770     19,447 SH       SOLE           2     19,447         --       --
INVACARE CORP                     EQUITY    461203101      41      1,529 SH       DEFINED        3         --         --    1,529
INVACARE CORP                     EQUITY    461203101     733     27,633 SH       SOLE           2     27,633         --       --
INVENTIV HEALTH INC               EQUITY    4.61E+109     707     31,488 SH       SOLE           2     31,488         --       --
INVERNESS MEDICAL INNOVATI        EQUITY    46126P106      74      1,898 SH       SOLE           2      1,898         --       --
INVESCO LTD                       EQUITY    G491BT108       5        225 SH       DEFINED        4         --         --      225
INVESCO LTD                       EQUITY    G491BT108       9        400 SH       DEFINED        3         --         --      400
INVESCO LTD                       EQUITY    G491BT108  15,531    708,872 SH       SOLE           2    708,872         --       --
INVESCO MORTGAGE CAPITAL          EQUITY    46131B100     316     13,724 SH       SOLE           2     13,724         --       --
INVESTMENT TECHNOLOGY GROU        EQUITY    46145F105     121      7,229 SH       SOLE           2      7,229         --       --
INVESTORS BANCORP INC             EQUITY    46146P102     507     38,402 SH       SOLE           2     38,402         --       --
INVESTORS REAL ESTATE TRUS        EQUITY    461730103     528     58,493 SH       SOLE           2     58,493         --       --
ION GEOPHYSICAL CORP              EQUITY    462044108     499    101,524 SH       SOLE           2    101,524         --       --
IOWA TELECOMM SERVICES INC        EQUITY    462594201      45      2,700 SH       DEFINED        4         --         --    2,700
IOWA TELECOMMUNICATIONS SE        EQUITY    462594201     522     31,275 SH       SOLE           2     31,275         --       --
IPASS INC                         EQUITY    46261V108      47     41,127 SH       SOLE           2     41,127         --       --
IPC THE HOSPITALIST CO            EQUITY    44984A105     519     14,784 SH       SOLE           2     14,784         --       --
IPG PHOTONICS CORP                EQUITY    44980X109     279     18,864 SH       SOLE           2     18,864         --       --
IRELAND BK                        EQUITY    46267Q103      50      5,600 SH       DEFINED        4         --         --    5,600
IRIS INTERNATIONAL INC            EQUITY    46270W105     150     14,646 SH       SOLE           2     14,646         --       --
IROBOT CORP                       EQUITY    462726100     240     15,861 SH       SOLE           2     15,861         --       --
IRON MOUNTAIN INC                 EQUITY    462846106   2,900    105,824 SH       SOLE           2    105,824         --       --
ISHARES COMEX GOLD TR             EQUITY    464285105     184      1,687 SH       DEFINED        4         --         --    1,687
ISHARES COMEX GOLD TR             EQUITY    464285105   3,024     27,738 SH       DEFINED        3         --         --   27,738
ISHARES DIVERSIFIED ALTR TR       EQUITY    464294107       5        100 SH       DEFINED        4         --         --      100
ISHARES INC                       EQUITY    464286764       2         37 SH       DEFINED        4         --         --       37
ISHARES INC                       EQUITY    464286822       2         38 SH       DEFINED        4         --         --       38
ISHARES INC                       EQUITY    464286749       2        101 SH       DEFINED        4         --         --      101
ISHARES INC                       EQUITY    464286806       2        110 SH       DEFINED        4         --         --      110
ISHARES INC                       EQUITY    464286830       3        242 SH       DEFINED        4         --         --      242
ISHARES INC                       EQUITY    464286632       3         50 SH       DEFINED        4         --         --       50
ISHARES INC                       EQUITY    464286202       4        200 SH       DEFINED        4         --         --      200
ISHARES INC                       EQUITY    464286673       5        400 SH       DEFINED        3         --         --      400
ISHARES INC                       EQUITY    464286871       5        300 SH       DEFINED        3         --         --      300
ISHARES INC                       EQUITY    464286632       5         92 SH       DEFINED        3         --         --       92
ISHARES INC                       EQUITY    464286756       6        236 SH       DEFINED        3         --         --      236
ISHARES INC                       EQUITY    464286608       8        228 SH       DEFINED        3         --         --      228
ISHARES INC                       EQUITY    464286509       8        300 SH       DEFINED        4         --         --      300
ISHARES INC                       EQUITY    464286665       9        200 SH       DEFINED        3         --         --      200
ISHARES INC                       EQUITY    464286582       9        205 SH       DEFINED        3         --         --      205
ISHARES INC                       EQUITY    464286715      11        190 SH       DEFINED        4         --         --      190
ISHARES INC                       EQUITY    464286780      12        200 SH       DEFINED        3         --         --      200
ISHARES INC                       EQUITY    464286624      13        268 SH       DEFINED        4         --         --      268
ISHARES INC                       EQUITY    464286731      18      1,395 SH       DEFINED        3         --         --    1,395
ISHARES INC                       EQUITY    464286509      22        800 SH       DEFINED        3         --         --      800
ISHARES INC                       EQUITY    464286673      35      3,069 SH       DEFINED        4         --         --    3,069
ISHARES INC                       EQUITY    464286871      39      2,388 SH       DEFINED        4         --         --    2,388
ISHARES INC                       EQUITY    464286657      41        883 SH       DEFINED        3         --         --      883
ISHARES INC                       EQUITY    464286848      48      4,605 SH       DEFINED        3         --         --    4,605
ISHARES INC                       EQUITY    464286103      51      2,121 SH       DEFINED        3         --         --    2,121
ISHARES INC                       EQUITY    464286103      52      2,175 SH       DEFINED        4         --         --    2,175
ISHARES INC                       EQUITY    464286848      63      6,027 SH       DEFINED        4         --         --    6,027
ISHARES INC                       EQUITY    464286624      79      1,642 SH       DEFINED        3         --         --    1,642
ISHARES INC                       EQUITY    464286715      85      1,480 SH       DEFINED        3         --         --    1,480
ISHARES INC                       EQUITY    464286657      87      1,875 SH       DEFINED        4         --         --    1,875
ISHARES INC                       EQUITY    464286772     143      2,862 SH       DEFINED        4         --         --    2,862
ISHARES INC                       EQUITY    464286665     199      4,641 SH       DEFINED        4         --         --    4,641
ISHARES INC                       EQUITY    464286640     284      5,165 SH       DEFINED        3         --         --    5,165
ISHARES INC                       EQUITY    464286400     311      4,224 SH       DEFINED        3         --         --    4,224
ISHARES INC                       EQUITY    464286772     557     11,135 SH       DEFINED        3         --         --   11,135
ISHARES INC                       EQUITY    464286400     697      9,467 SH       DEFINED        4         --         --    9,467
ISHARES RUSSELL                   EQUITY    464287630   2,292     35,900 SH       SOLE           2     35,900         --       --
ISHARES S&P GSCI COMMODITY I      EQUITY    46428R107      74      2,364 SH       DEFINED        4         --         --    2,364
ISHARES S+P 500 GROWTH IND        EQUITY    464287309   1,947     32,500 SH       SOLE           2     32,500         --       --
ISHARES S+P 500 INDEX FUND        EQUITY    464287200     176      1,500 SH       SOLE           2      1,500         --       --
ISHARES S+P 500 VALUE INDE        EQUITY    464287408   2,665     47,200 SH       SOLE           2     47,200         --       --
ISHARES SILVER TRUST              EQUITY    46428Q109     207     12,099 SH       DEFINED        4         --         --   12,099
ISHARES SILVER TRUST              EQUITY    46428Q109   1,456     84,919 SH       DEFINED        3         --         --   84,919
ISHARES TR                        EQUITY    464288828       2         35 SH       DEFINED        4         --         --       35
ISHARES TR                        EQUITY    464289883       2         79 SH       DEFINED        3         --         --       79
ISHARES TR                        EQUITY    464288638       3         25 SH       DEFINED        3         --         --       25
ISHARES TR                        EQUITY    464288604       3         44 SH       DEFINED        3         --         --       44
ISHARES TR                        EQUITY    464288711       3         76 SH       DEFINED        3         --         --       76
ISHARES TR                        EQUITY    464288307       4         46 SH       DEFINED        3         --         --       46
ISHARES TR                        EQUITY    464288406       5         65 SH       DEFINED        3         --         --       65
ISHARES TR                        EQUITY    464288778       5        210 SH       DEFINED        3         --         --      210
ISHARES TR                        EQUITY    464288224       6        300 SH       DEFINED        4         --         --      300





                                                                                        
ISHARES TR                        EQUITY    464288794       6        200 SH       DEFINED        4         --         --      200
ISHARES TR                        EQUITY    464288620       7         65 SH       DEFINED        3         --         --       65
ISHARES TR                        EQUITY    464288851       7        136 SH       DEFINED        4         --         --      136
ISHARES TR                        EQUITY    464288588       8         74 SH       DEFINED        3         --         --       74
ISHARES TR                        EQUITY    464288620      10        100 SH       DEFINED        4         --         --      100
ISHARES TR                        EQUITY    464288174      10        250 SH       DEFINED        4         --         --      250
ISHARES TR                        EQUITY    464288406      11        149 SH       DEFINED        4         --         --      149
ISHARES TR                        EQUITY    464288653      11        100 SH       DEFINED        3         --         --      100
ISHARES TR                        EQUITY    464288208      11        146 SH       DEFINED        4         --         --      146
ISHARES TR                        EQUITY    464288604      11        158 SH       DEFINED        4         --         --      158
ISHARES TR                        EQUITY    464288844      12        272 SH       DEFINED        4         --         --      272
ISHARES TR                        EQUITY    464288778      12        500 SH       DEFINED        4         --         --      500
ISHARES TR                        EQUITY    464288760      12        215 SH       DEFINED        3         --         --      215
ISHARES TR                        EQUITY    464288703      12        168 SH       DEFINED        4         --         --      168
ISHARES TR                        EQUITY    464288448      14        440 SH       DEFINED        3         --         --      440
ISHARES TR                        EQUITY    464288877      16        317 SH       DEFINED        3         --         --      317
ISHARES TR                        EQUITY    464289842      17        500 SH       DEFINED        4         --         --      500
ISHARES TR                        EQUITY    464288109      18        326 SH       DEFINED        4         --         --      326
ISHARES TR                        EQUITY    464288273      19        500 SH       DEFINED        4         --         --      500
ISHARES TR                        EQUITY    464288182      19        340 SH       DEFINED        4         --         --      340
ISHARES TR                        EQUITY    464288745      20        428 SH       DEFINED        4         --         --      428
ISHARES TR                        EQUITY    464288307      21        253 SH       DEFINED        4         --         --      253
ISHARES TR                        EQUITY    464288836      24        400 SH       DEFINED        4         --         --      400
ISHARES TR                        EQUITY    464288869      24        570 SH       DEFINED        3         --         --      570
ISHARES TR                        EQUITY    464288851      27        500 SH       DEFINED        3         --         --      500
ISHARES TR                        EQUITY    464288737      28        470 SH       DEFINED        4         --         --      470
ISHARES TR                        EQUITY    464288182      38        667 SH       DEFINED        3         --         --      667
ISHARES TR                        EQUITY    464288505      38        496 SH       DEFINED        4         --         --      496
ISHARES TR                        EQUITY    464288158      40        377 SH       DEFINED        3         --         --      377
ISHARES TR                        EQUITY    464288869      54      1,246 SH       DEFINED        4         --         --    1,246
ISHARES TR                        EQUITY    464288885      56        985 SH       DEFINED        4         --         --      985
ISHARES TR                        EQUITY    464288695      59        932 SH       DEFINED        4         --         --      932
ISHARES TR                        EQUITY    464288752      64      4,717 SH       DEFINED        4         --         --    4,717
ISHARES TR                        EQUITY    464288570      65      1,448 SH       DEFINED        3         --         --    1,448
ISHARES TR                        EQUITY    464288414      92        891 SH       DEFINED        4         --         --      891
ISHARES TR                        EQUITY    464288356      99        929 SH       DEFINED        4         --         --      929
ISHARES TR                        EQUITY    464289875     112      3,895 SH       DEFINED        3         --         --    3,895
ISHARES TR                        EQUITY    464288448     114      3,612 SH       DEFINED        4         --         --    3,612
ISHARES TR                        EQUITY    464288661     122      1,096 SH       DEFINED        4         --         --    1,096
ISHARES TR                        EQUITY    464289875     126      4,400 SH       DEFINED        4         --         --    4,400
ISHARES TR                        EQUITY    464288372     138      4,047 SH       DEFINED        3         --         --    4,047
ISHARES TR                        EQUITY    464288117     140      1,399 SH       DEFINED        3         --         --    1,399
ISHARES TR                        EQUITY    464288836     144      2,414 SH       DEFINED        3         --         --    2,414
ISHARES TR                        EQUITY    464288679     146      1,325 SH       DEFINED        3         --         --    1,325
ISHARES TR                        EQUITY    464288745     155      3,310 SH       DEFINED        3         --         --    3,310
ISHARES TR                        EQUITY    464288695     159      2,505 SH       DEFINED        3         --         --    2,505
ISHARES TR                        EQUITY    464288679     160      1,450 SH       DEFINED        4         --         --    1,450
ISHARES TR                        EQUITY    464288661     192      1,725 SH       DEFINED        3         --         --    1,725
ISHARES TR                        EQUITY    464288281     211      2,021 SH       DEFINED        4         --         --    2,021
ISHARES TR                        EQUITY    464288885     234      4,140 SH       DEFINED        3         --         --    4,140
ISHARES TR                        EQUITY    464288877     267      5,275 SH       DEFINED        4         --         --    5,275
ISHARES TR                        EQUITY    464288638     274      2,638 SH       DEFINED        4         --         --    2,638
ISHARES TR                        EQUITY    464288828     301      5,779 SH       DEFINED        3         --         --    5,779
ISHARES TR                        EQUITY    464288711     326      7,140 SH       DEFINED        4         --         --    7,140
ISHARES TR                        EQUITY    464289883     360     12,931 SH       DEFINED        4         --         --   12,931
ISHARES TR                        EQUITY    464288372     411     12,000 SH       DEFINED        4         --         --   12,000
ISHARES TR                        EQUITY    464288646     488      4,662 SH       DEFINED        4         --         --    4,662
ISHARES TR                        EQUITY    464288729     504     10,404 SH       DEFINED        4         --         --   10,404
ISHARES TR                        EQUITY    464288505     660      8,614 SH       DEFINED        3         --         --    8,614
ISHARES TR                        EQUITY    464288737     661     11,230 SH       DEFINED        3         --         --   11,230
ISHARES TR                        EQUITY    464288513   1,169     13,234 SH       DEFINED        4         --         --   13,234
ISHARES TR                        EQUITY    464288281   1,268     12,159 SH       DEFINED        3         --         --   12,159
ISHARES TR                        EQUITY    464288646   1,690     16,158 SH       DEFINED        3         --         --   16,158
ISHARES TR                        EQUITY    464288414   1,806     17,484 SH       DEFINED        3         --         --   17,484
ISHARES TR                        EQUITY    464288513   3,374     38,182 SH       DEFINED        3         --         --   38,182
ISHARES TR                        EQUITY    464288687   4,322    111,613 SH       DEFINED        3         --         --  111,613
ISHARES TR                        EQUITY    464288687   8,315    214,743 SH       DEFINED        4         --         --  214,743
ISHARES TR                        EQUITY    464287481  10,286    192,000 SH       SOLE           2    192,000         --       --
ISHARES TR INDEX                  EQUITY    464287325       2         35 SH       DEFINED        3         --         --       35
ISHARES TR INDEX                  EQUITY    464287549       3         50 SH       DEFINED        3         --         --       50
ISHARES TR INDEX                  EQUITY    464287762       5         75 SH       DEFINED        4         --         --       75
ISHARES TR INDEX                  EQUITY    464287754       6        105 SH       DEFINED        4         --         --      105
ISHARES TR INDEX                  EQUITY    464287523       7        136 SH       DEFINED        3         --         --      136
ISHARES TR INDEX                  EQUITY    464287663       8        100 SH       DEFINED        4         --         --      100
ISHARES TR INDEX                  EQUITY    464287861       8        221 SH       DEFINED        3         --         --      221
ISHARES TR INDEX                  EQUITY    464287333       9        182 SH       DEFINED        3         --         --      182
ISHARES TR INDEX                  EQUITY    464287770       9        150 SH       DEFINED        4         --         --      150
ISHARES TR INDEX                  EQUITY    464287861       9        235 SH       DEFINED        4         --         --      235
ISHARES TR INDEX                  EQUITY    464287580      10        170 SH       DEFINED        4         --         --      170
ISHARES TR INDEX                  EQUITY    464287788      11        186 SH       DEFINED        3         --         --      186
ISHARES TR INDEX                  EQUITY    464287572      11        180 SH       DEFINED        3         --         --      180
ISHARES TR INDEX                  EQUITY    464287143      12        175 SH       DEFINED        3         --         --      175
ISHARES TR INDEX                  EQUITY    464287440      13        141 SH       DEFINED        3         --         --      141
ISHARES TR INDEX                  EQUITY    464287697      14        189 SH       DEFINED        4         --         --      189
ISHARES TR INDEX                  EQUITY    464287812      15        250 SH       DEFINED        3         --         --      250
ISHARES TR INDEX                  EQUITY    464287572      15        250 SH       DEFINED        4         --         --      250
ISHARES TR INDEX                  EQUITY    464287556      15        170 SH       DEFINED        3         --         --      170
ISHARES TR INDEX                  EQUITY    464287531      16        575 SH       DEFINED        3         --         --      575
ISHARES TR INDEX                  EQUITY    464287879      17        265 SH       DEFINED        3         --         --      265
ISHARES TR INDEX                  EQUITY    464287630      17        270 SH       DEFINED        3         --         --      270
ISHARES TR INDEX                  EQUITY    464287499      18        200 SH       DEFINED        3         --         --      200
ISHARES TR INDEX                  EQUITY    464287648      18        250 SH       DEFINED        3         --         --      250
ISHARES TR INDEX                  EQUITY    464287390      19        388 SH       DEFINED        4         --         --      388
ISHARES TR INDEX                  EQUITY    464287887      21        342 SH       DEFINED        3         --         --      342





                                                                                        
ISHARES TR INDEX                  EQUITY    464287713      22      1,105 SH       DEFINED        3         --         --    1,105
ISHARES TR INDEX                  EQUITY    464287101      23        425 SH       DEFINED        4         --         --      425
ISHARES TR INDEX                  EQUITY    464287838      23        360 SH       DEFINED        3         --         --      360
ISHARES TR INDEX                  EQUITY    464287291      23        403 SH       DEFINED        3         --         --      403
ISHARES TR INDEX                  EQUITY    464287721      24        410 SH       DEFINED        4         --         --      410
ISHARES TR INDEX                  EQUITY    464287515      24        495 SH       DEFINED        3         --         --      495
ISHARES TR INDEX                  EQUITY    464287119      25        419 SH       DEFINED        3         --         --      419
ISHARES TR INDEX                  EQUITY    464287127      25        377 SH       DEFINED        4         --         --      377
ISHARES TR INDEX                  EQUITY    464287119      26        434 SH       DEFINED        4         --         --      434
ISHARES TR INDEX                  EQUITY    464287333      26        561 SH       DEFINED        4         --         --      561
ISHARES TR INDEX                  EQUITY    464287127      27        405 SH       DEFINED        3         --         --      405
ISHARES TR INDEX                  EQUITY    464287432      31        347 SH       DEFINED        4         --         --      347
ISHARES TR INDEX                  EQUITY    464287697      33        454 SH       DEFINED        3         --         --      454
ISHARES TR INDEX                  EQUITY    464287325      39        740 SH       DEFINED        4         --         --      740
ISHARES TR INDEX                  EQUITY    464287705      43        605 SH       DEFINED        3         --         --      605
ISHARES TR INDEX                  EQUITY    464287275      44        825 SH       DEFINED        3         --         --      825
ISHARES TR INDEX                  EQUITY    464287796      46      1,394 SH       DEFINED        3         --         --    1,394
ISHARES TR INDEX                  EQUITY    464287788      52        906 SH       DEFINED        4         --         --      906
ISHARES TR INDEX                  EQUITY    464287101      53        989 SH       DEFINED        3         --         --      989
ISHARES TR INDEX                  EQUITY    464287622      53        824 SH       DEFINED        3         --         --      824
ISHARES TR INDEX                  EQUITY    464287150      59      1,121 SH       DEFINED        4         --         --    1,121
ISHARES TR INDEX                  EQUITY    464287887      63      1,034 SH       DEFINED        4         --         --    1,034
ISHARES TR INDEX                  EQUITY    464287408      64      1,137 SH       DEFINED        4         --         --    1,137
ISHARES TR INDEX                  EQUITY    464287309      65      1,080 SH       DEFINED        4         --         --    1,080
ISHARES TR INDEX                  EQUITY    464287671      70      1,645 SH       DEFINED        4         --         --    1,645
ISHARES TR INDEX                  EQUITY    464287796      74      2,227 SH       DEFINED        4         --         --    2,227
ISHARES TR INDEX                  EQUITY    464287440      86        957 SH       DEFINED        4         --         --      957
ISHARES TR INDEX                  EQUITY    464287606     100      1,178 SH       DEFINED        4         --         --    1,178
ISHARES TR INDEX                  EQUITY    464287879     101      1,577 SH       DEFINED        4         --         --    1,577
ISHARES TR INDEX                  EQUITY    464287374     103      2,978 SH       DEFINED        4         --         --    2,978
ISHARES TR INDEX                  EQUITY    464287846     125      2,150 SH       DEFINED        3         --         --    2,150
ISHARES TR INDEX                  EQUITY    464287838     127      2,005 SH       DEFINED        4         --         --    2,005
ISHARES TR INDEX                  EQUITY    464287341     139      3,946 SH       DEFINED        3         --         --    3,946
ISHARES TR INDEX                  EQUITY    464287762     149      2,242 SH       DEFINED        3         --         --    2,242
ISHARES TR INDEX                  EQUITY    464287150     182      3,441 SH       DEFINED        3         --         --    3,441
ISHARES TR INDEX                  EQUITY    464287689     192      2,785 SH       DEFINED        3         --         --    2,785
ISHARES TR INDEX                  EQUITY    464287374     195      5,650 SH       DEFINED        3         --         --    5,650
ISHARES TR INDEX                  EQUITY    464287499     196      2,196 SH       DEFINED        4         --         --    2,196
ISHARES TR INDEX                  EQUITY    464287630     206      3,230 SH       DEFINED        4         --         --    3,230
ISHARES TR INDEX                  EQUITY    464287648     240      3,275 SH       DEFINED        4         --         --    3,275
ISHARES TR INDEX                  EQUITY    464287275     245      4,610 SH       DEFINED        4         --         --    4,610
ISHARES TR INDEX                  EQUITY    464287549     272      4,900 SH       DEFINED        4         --         --    4,900
ISHARES TR INDEX                  EQUITY    464287143     273      4,000 SH       DEFINED        4         --         --    4,000
ISHARES TR INDEX                  EQUITY    464287309     286      4,777 SH       DEFINED        3         --         --    4,777
ISHARES TR INDEX                  EQUITY    464287291     288      4,970 SH       DEFINED        4         --         --    4,970
ISHARES TR INDEX                  EQUITY    464287812     300      5,085 SH       DEFINED        4         --         --    5,085
ISHARES TR INDEX                  EQUITY    464287564     302      5,271 SH       DEFINED        3         --         --    5,271
ISHARES TR INDEX                  EQUITY    464287341     316      8,943 SH       DEFINED        4         --         --    8,943
ISHARES TR INDEX                  EQUITY    464287168     321      6,966 SH       DEFINED        3         --         --    6,966
ISHARES TR INDEX                  EQUITY    464287184     383      9,108 SH       DEFINED        4         --         --    9,108
ISHARES TR INDEX                  EQUITY    464287234     395      9,380 SH       DEFINED        3         --         --    9,380
ISHARES TR INDEX                  EQUITY    464287473     459     11,380 SH       DEFINED        4         --         --   11,380
ISHARES TR INDEX                  EQUITY    464287739     517     10,391 SH       DEFINED        4         --         --   10,391
ISHARES TR INDEX                  EQUITY    464287481     521     10,740 SH       DEFINED        4         --         --   10,740
ISHARES TR INDEX                  EQUITY    464287507     542      6,891 SH       DEFINED        4         --         --    6,891
ISHARES TR INDEX                  EQUITY    464287705     560      7,845 SH       DEFINED        4         --         --    7,845
ISHARES TR INDEX                  EQUITY    464287655     565      8,336 SH       DEFINED        4         --         --    8,336
ISHARES TR INDEX                  EQUITY    464287598     573      9,376 SH       DEFINED        4         --         --    9,376
ISHARES TR INDEX                  EQUITY    464287200     586      4,997 SH       DEFINED        4         --         --    4,997
ISHARES TR INDEX                  EQUITY    464287614     601     11,571 SH       DEFINED        4         --         --   11,571
ISHARES TR INDEX                  EQUITY    464287846     626     10,724 SH       DEFINED        4         --         --   10,724
ISHARES TR INDEX                  EQUITY    464287564     645     11,260 SH       DEFINED        4         --         --   11,260
ISHARES TR INDEX                  EQUITY    464287606     656      7,738 SH       DEFINED        3         --         --    7,738
ISHARES TR INDEX                  EQUITY    464287804     689     11,586 SH       DEFINED        4         --         --   11,586
ISHARES TR INDEX                  EQUITY    464287556     693      7,619 SH       DEFINED        4         --         --    7,619
ISHARES TR INDEX                  EQUITY    464287457     722      8,662 SH       DEFINED        4         --         --    8,662
ISHARES TR INDEX                  EQUITY    464287614     764     14,705 SH       DEFINED        3         --         --   14,705
ISHARES TR INDEX                  EQUITY    464287689     775     11,265 SH       DEFINED        4         --         --   11,265
ISHARES TR INDEX                  EQUITY    464287432     800      8,934 SH       DEFINED        3         --         --    8,934
ISHARES TR INDEX                  EQUITY    464287390     821     17,001 SH       DEFINED        3         --         --   17,001
ISHARES TR INDEX                  EQUITY    464287804     877     14,744 SH       DEFINED        3         --         --   14,744
ISHARES TR INDEX                  EQUITY    464287242     904      8,543 SH       DEFINED        4         --         --    8,543
ISHARES TR INDEX                  EQUITY    464287655     966     14,245 SH       DEFINED        3         --         --   14,245
ISHARES TR INDEX                  EQUITY    464287739     966     19,406 SH       DEFINED        3         --         --   19,406
ISHARES TR INDEX                  EQUITY    464287473   1,045     25,908 SH       DEFINED        3         --         --   25,908
ISHARES TR INDEX                  EQUITY    464287481   1,049     21,621 SH       DEFINED        3         --         --   21,621
ISHARES TR INDEX                  EQUITY    464287184   1,149     27,292 SH       DEFINED        3         --         --   27,292
ISHARES TR INDEX                  EQUITY    464287168   1,336     29,037 SH       DEFINED        4         --         --   29,037
ISHARES TR INDEX                  EQUITY    464287721   1,485     25,435 SH       DEFINED        3         --         --   25,435
ISHARES TR INDEX                  EQUITY    464287226   1,569     15,053 SH       DEFINED        4         --         --   15,053
ISHARES TR INDEX                  EQUITY    464287200   1,657     14,123 SH       DEFINED        3         --         --   14,123
ISHARES TR INDEX                  EQUITY    464287465   1,912     34,161 SH       DEFINED        3         --         --   34,161
ISHARES TR INDEX                  EQUITY    464287234   1,918     45,534 SH       DEFINED        4         --         --   45,534
ISHARES TR INDEX                  EQUITY    464287465   1,968     35,164 SH       DEFINED        4         --         --   35,164
ISHARES TR INDEX                  EQUITY    464287507   2,097     26,645 SH       DEFINED        3         --         --   26,645
ISHARES TR INDEX                  EQUITY    464287598   2,148     35,176 SH       DEFINED        3         --         --   35,176
ISHARES TR INDEX                  EQUITY    464287226   3,113     29,879 SH       DEFINED        3         --         --   29,879
ISHARES TR INDEX                  EQUITY    464287176   3,863     37,182 SH       DEFINED        4         --         --   37,182
ISHARES TR INDEX                  EQUITY    464287457   5,073     60,845 SH       DEFINED        3         --         --   60,845
ISHARES TR INDEX                  EQUITY    464287242   5,262     49,748 SH       DEFINED        3         --         --   49,748
ISHARES TR INDEX                  EQUITY    464287176   5,991     57,665 SH       DEFINED        3         --         --   57,665
ISILON SYSTEMS INC                EQUITY    46432L104     182     21,107 SH       SOLE           2     21,107         --       --
ISIS PHARMACEUTICALS INC          EQUITY    464330109       9        780 SH       DEFINED        4         --         --      780
ISIS PHARMACEUTICALS INC          EQUITY    464330109      24      2,200 SH       DEFINED        3         --         --    2,200





                                                                                        
ISIS PHARMACEUTICALS INC          EQUITY    464330109     815     74,631 SH       SOLE           2     74,631         --       --
ISLE OF CAPRI CASINOS             EQUITY    464592104      99     12,665 SH       SOLE           2     12,665         --       --
ISRAMCO INC                       EQUITY    465141406      58        879 SH       SOLE           2        879         --       --
ISTA PHARMACEUTICALS INC.         EQUITY    45031X204     110     27,129 SH       SOLE           2     27,129         --       --
ISTAR FINANCIAL INC               EQUITY    45031U101     353     76,960 SH       SOLE           2     76,960         --       --
ISTAR FINL INC                    EQUITY    45031U101       3        700 SH       DEFINED        3         --         --      700
ISTAR FINL INC                    EQUITY    45031U101      13      2,902 SH       DEFINED        4         --         --    2,902
ITAU UNIBANCO HLDG SA             EQUITY    465562106      18        838 SH       DEFINED        4         --         --      838
ITC HLDGS CORP                    EQUITY    465685105       1         23 SH       DEFINED        3         --         --       23
ITC HLDGS CORP                    EQUITY    465685105      45        820 SH       DEFINED        4         --         --      820
ITC HOLDINGS CORP                 EQUITY    465685105      53        968 SH       SOLE           2        968         --       --
ITRON INC                         EQUITY    465741106       7        100 SH       DEFINED        4         --         --      100
ITRON INC                         EQUITY    465741106     798     10,994 SH       DEFINED        3         --         --   10,994
ITRON INC                         EQUITY    465741106   6,574     90,583 SH       SOLE           2     90,583         --       --
ITT CORP                          EQUITY    450911102   3,400     63,429 SH       SOLE           2     63,429         --       --
ITT CORP NEW                      EQUITY    450911102      12        217 SH       DEFINED        4         --         --      217
ITT CORP NEW                      EQUITY    450911102     133      2,488 SH       DEFINED        3         --         --    2,488
ITT EDUCATIONAL SERVICES I        EQUITY    45068B109   7,567     67,270 SH       SOLE           2     67,270         --       --
ITT EDUCATIONAL SERVICES INC      EQUITY    45068B109      14        128 SH       DEFINED        4         --         --      128
IVANHOE MINES LTD                 EQUITY    46579N103      31      1,800 SH       DEFINED        4         --         --    1,800
IXIA                              EQUITY    45071R109     238     25,640 SH       SOLE           2     25,640         --       --
IXYS CORPORATION                  EQUITY    46600W106     165     19,343 SH       SOLE           2     19,343         --       --
J  J SNACK FOODS CORP             EQUITY    466032109     579     13,317 SH       SOLE           2     13,317         --       --
J CREW GROUP INC                  EQUITY    46612H402   7,587    165,296 SH       SOLE           2    165,296         --       --
J.C. PENNEY CO INC                EQUITY    708160106  20,267    629,992 SH       SOLE           2    629,992         --       --
J2 GLOBAL COMMUNICATIONS I        EQUITY    4.66E+209     983     42,014 SH       SOLE           2     42,014         --       --
JABIL CIRCUIT INC                 EQUITY    466313103   1,660    102,545 SH       SOLE           2    102,545         --       --
JACK HENRY  ASSOCIATES INC        EQUITY    426281101   6,161    256,053 SH       SOLE           2    256,053         --       --
JACK IN THE BOX INC               EQUITY    466367109   1,258     53,402 SH       SOLE           2     53,402         --       --
JACKSON HEWITT TAX SERVICE        EQUITY    468202106      47     23,519 SH       SOLE           2     23,519         --       --
JACOBS ENGINEERING GROUP I        EQUITY    469814107   1,924     42,565 SH       SOLE           2     42,565         --       --
JACOBS ENGR GROUP INC DEL         EQUITY    469814107     176      3,895 SH       DEFINED        4         --         --    3,895
JAGUAR MNG INC                    EQUITY    47009M103      21      2,269 SH       DEFINED        3         --         --    2,269
JAKKS PACIFIC INC                 EQUITY    4.70E+110     348     26,678 SH       SOLE           2     26,678         --       --
JAMES RIVER COAL CO               EQUITY    470355207       8        500 SH       DEFINED        4         --         --      500
JAMES RIVER COAL CO               EQUITY    470355207     359     22,551 SH       SOLE           2     22,551         --       --
JANUS CAPITAL GROUP INC           EQUITY    47102X105   1,295     90,625 SH       SOLE           2     90,625         --       --
JARDEN CORP                       EQUITY    471109108       5        153 SH       DEFINED        3         --         --      153
JARDEN CORP                       EQUITY    471109108      78      2,336 SH       SOLE           2      2,336         --       --
JAVELIN PHARMACEUTICALS IN        EQUITY    471894105      56     43,193 SH       SOLE           2     43,193         --       --
JAZZ PHARMACEUTICALS INC          EQUITY    472147107       4        400 SH       DEFINED        4         --         --      400
JDA SOFTWARE GROUP INC            EQUITY    46612K108       3        125 SH       DEFINED        4         --         --      125
JDA SOFTWARE GROUP INC            EQUITY    46612K108      37      1,317 SH       DEFINED        3         --         --    1,317
JDA SOFTWARE GROUP INC            EQUITY    46612K108     880     31,637 SH       SOLE           2     31,637         --       --
JDS UNIPHASE CORP                 EQUITY    46612J507      24      1,933 SH       DEFINED        3         --         --    1,933
JDS UNIPHASE CORP                 EQUITY    46612J507     297     23,724 SH       DEFINED        4         --         --   23,724
JDS UNIPHASE CORP                 EQUITY    46612J507   1,468    117,147 SH       SOLE           2    117,147         --       --
JEFFERIES GROUP INC (NEW)         EQUITY    472319102   6,500    274,619 SH       SOLE           2    274,619         --       --
JEFFERIES GROUP INC NEW           EQUITY    472319102       2         78 SH       DEFINED        4         --         --       78
JETBLUE AIRWAYS CORP              EQUITY    477143101      75     13,488 SH       DEFINED        4         --         --   13,488
JETBLUE AIRWAYS CORP              EQUITY    477143101   3,720    666,695 SH       SOLE           2    666,695         --       --
JM SMUCKER CO/THE                 EQUITY    832696405   3,328     55,223 SH       SOLE           2     55,223         --       --
JMP GROUP INC                     EQUITY    46629U107     102     11,949 SH       SOLE           2     11,949         --       --
JOANN STORES INC                  EQUITY    47758P307   1,046     24,911 SH       SOLE           2     24,911         --       --
JO-ANN STORES INC                 EQUITY    47758P307      29        680 SH       DEFINED        4         --         --      680
JOHN BEAN TECHNOLOGIES COR        EQUITY    477839104     463     26,399 SH       SOLE           2     26,399         --       --
JOHNSON & JOHNSON                 EQUITY    478160104     817     12,536 SH       DEFINED        3         --         --   12,536
JOHNSON & JOHNSON                 EQUITY    478160104   2,396     36,752 SH       DEFINED        4         --         --   36,752
JOHNSON + JOHNSON                 EQUITY    478160104  80,723  1,238,080 SH       SOLE           2  1,238,080         --       --
JOHNSON CONTROLS INC              EQUITY    478366107   7,154    216,858 SH       SOLE           2    216,858         --       --
JOHNSON CTLS INC                  EQUITY    478366107      10        296 SH       DEFINED        3         --         --      296
JOHNSON CTLS INC                  EQUITY    478366107      20        600 SH       DEFINED        4         --         --      600
JONES APPAREL GROUP INC           EQUITY    480074103   1,302     68,438 SH       SOLE           2     68,438         --       --
JONES LANG LASALLE INC            EQUITY    48020Q107   6,911     94,810 SH       SOLE           2     94,810         --       --
JONES SODA CO                     EQUITY    48023P106       1      2,100 SH       DEFINED        4         --         --    2,100
JOS A BANK CLOTHIERS INC          EQUITY    480838101     940     17,194 SH       SOLE           2     17,194         --       --
JOURNAL COMMUNICATIONS INC        EQUITY    481130102     141     33,550 SH       SOLE           2     33,550         --       --
JOY GLOBAL INC                    EQUITY    481165108      60      1,067 SH       DEFINED        4         --         --    1,067
JOY GLOBAL INC                    EQUITY    481165108  13,481    238,176 SH       SOLE           2    238,176         --       --
JPMORGAN CHASE  CO                EQUITY    46625H100  98,650  2,204,477 SH       SOLE           2  2,204,477         --       --
JPMORGAN CHASE & CO               EQUITY    46625H365      24        800 SH       DEFINED        3         --         --      800
JPMORGAN CHASE & CO               EQUITY    46625H365     180      5,900 SH       DEFINED        4         --         --    5,900
JPMORGAN CHASE & CO               EQUITY    46625H100     336      7,498 SH       DEFINED        3         --         --    7,498
JPMORGAN CHASE & CO               EQUITY    46625H100     825     18,439 SH       DEFINED        4         --         --   18,439
JUNIPER NETWORKS INC              EQUITY    48203R104       3        100 SH       DEFINED        3         --         --      100
JUNIPER NETWORKS INC              EQUITY    48203R104      92      2,989 SH       DEFINED        4         --         --    2,989
JUNIPER NETWORKS INC              EQUITY    48203R104   7,081    230,795 SH       SOLE           2    230,795         --       --
K12 INC                           EQUITY    48273U102     428     19,283 SH       SOLE           2     19,283         --       --
KADANT INC                        EQUITY    48282T104     144     10,019 SH       SOLE           2     10,019         --       --
KAISER ALUMINUM CORP              EQUITY    483007704     476     12,352 SH       SOLE           2     12,352         --       --
KAMAN CORP                        EQUITY    483548103     603     24,119 SH       SOLE           2     24,119         --       --
KANSAS CITY LIFE INS CO           EQUITY    484836101     109      3,453 SH       SOLE           2      3,453         --       --
KANSAS CITY SOUTHERN              EQUITY    485170302      29        800 SH       DEFINED        4         --         --      800
KANSAS CITY SOUTHERN              EQUITY    485170302   7,883    217,944 SH       SOLE           2    217,944         --       --
KAPSTONE PAPER AND PACKAGI        EQUITY    48562P103     319     26,857 SH       SOLE           2     26,857         --       --
KAYDON CORP                       EQUITY    486587108   1,176     31,274 SH       SOLE           2     31,274         --       --
KAYNE ANDERSON ENERGY DEV         EQUITY    48660Q102     133      8,253 SH       SOLE           2      8,253         --       --
KAYNE ANDERSON ENERGY DEV CO      EQUITY    48660Q102      46      2,870 SH       DEFINED        3         --         --    2,870
KAYNE ANDERSON MLP INVSMNT C      EQUITY    486606106      29      1,097 SH       DEFINED        4         --         --    1,097
KB HOME                           EQUITY    48666K109       8        495 SH       DEFINED        4         --         --      495
KB HOME                           EQUITY    48666K109   2,806    167,527 SH       SOLE           2    167,527         --       --
KBR INC                           EQUITY    48242W106       3        157 SH       DEFINED        4         --         --      157
KBR INC                           EQUITY    48242W106   8,041    362,867 SH       SOLE           2    362,867         --       --
KBW INC                           EQUITY    482423100     751     27,923 SH       SOLE           2     27,923         --       --





                                                                                        
KEARNY FINANCIAL CORP             EQUITY    487169104     155     14,823 SH       SOLE           2     14,823         --       --
KEITHLEY INSTRUMENTS INC          EQUITY    487584104      12      1,879 SH       SOLE           2      1,879         --       --
KELLOGG CO                        EQUITY    487836108      74      1,377 SH       DEFINED        3         --         --    1,377
KELLOGG CO                        EQUITY    487836108     170      3,182 SH       DEFINED        4         --         --    3,182
KELLOGG CO                        EQUITY    487836108   8,814    164,972 SH       SOLE           2    164,972         --       --
KELLY SERVICES INC CL A           EQUITY    488152208     418     25,061 SH       SOLE           2     25,061         --       --
KENDLE INTERNATIONAL INC          EQUITY    48880L107     248     14,191 SH       SOLE           2     14,191         --       --
KENEXA CORP                       EQUITY    488879107     253     18,398 SH       SOLE           2     18,398         --       --
KENNAMETAL INC                    EQUITY    489170100      14        500 SH       DEFINED        4         --         --      500
KENNAMETAL INC                    EQUITY    489170100   5,184    184,360 SH       SOLE           2    184,360         --       --
KENNETH COLE PRODUCTIONSA         EQUITY    193294105      79      6,202 SH       SOLE           2      6,202         --       --
KENSEY NASH CORP                  EQUITY    490057106     194      8,220 SH       SOLE           2      8,220         --       --
KENTUCKY FIRST FEDERAL BAN        EQUITY    491292108      26      2,480 SH       SOLE           2      2,480         --       --
KERYX BIOPHARMACEUTICALS INC      EQUITY    492515101      11      4,000 SH       DEFINED        4         --         --    4,000
KEY ENERGY SERVICES INC           EQUITY    492914106     946     99,044 SH       SOLE           2     99,044         --       --
KEYCORP                           EQUITY    493267108   3,384    436,686 SH       SOLE           2    436,686         --       --
KEYCORP NEW                       EQUITY    493267108       4        580 SH       DEFINED        3         --         --      580
KEYCORP NEW                       EQUITY    493267108       9      1,142 SH       DEFINED        4         --         --    1,142
KEYCORP NEW                       EQUITY    493267405      52        550 SH       DEFINED        4         --         --      550
KEYNOTE SYSTEMS INC               EQUITY    493308100     115     10,054 SH       SOLE           2     10,054         --       --
KFED BANCORP                      EQUITY    48246S101      29      3,271 SH       SOLE           2      3,271         --       --
KFORCE INC                        EQUITY    493732101     356     23,386 SH       SOLE           2     23,386         --       --
KHD HUMBOLDT WEDAG INTL LTD       EQUITY    482462108       6        450 SH       DEFINED        4         --         --      450
KID BRANDS INC                    EQUITY    49375T100      20      2,353 SH       SOLE           2      2,353         --       --
KILROY REALTY CORP                EQUITY    49427F108   1,251     40,552 SH       SOLE           2     40,552         --       --
KIMBALL INTERNATIONALB            EQUITY    494274103     182     26,162 SH       SOLE           2     26,162         --       --
KIMBERLY CLARK CORP               EQUITY    494368103     238      3,792 SH       DEFINED        3         --         --    3,792
KIMBERLY CLARK CORP               EQUITY    494368103     342      5,444 SH       DEFINED        4         --         --    5,444
KIMBERLYCLARK CORP                EQUITY    494368103  13,184    209,673 SH       SOLE           2    209,673         --       --
KIMCO REALTY CORP                 EQUITY    49446R109      42      2,713 SH       DEFINED        3         --         --    2,713
KIMCO REALTY CORP                 EQUITY    49446R109   2,936    187,744 SH       SOLE           2    187,744         --       --
KINDER MORGAN ENERGY PARTNER      EQUITY    494550106   1,089     16,648 SH       DEFINED        4         --         --   16,648
KINDER MORGAN ENERGY PARTNER      EQUITY    494550106   1,806     27,601 SH       DEFINED        3         --         --   27,601
KINDRED HEALTHCARE INC            EQUITY    494580103   2,145    118,860 SH       SOLE           2    118,860         --       --
KINETIC CONCEPTS INC              EQUITY    49460W208   6,703    140,200 SH       SOLE           2    140,200         --       --
KING PHARMACEUTICALS INC          EQUITY    495582108   1,021     86,835 SH       SOLE           2     86,835         --       --
KINROSS GOLD CORP                 EQUITY    496902404      19      1,100 SH       DEFINED        4         --         --    1,100
KINROSS GOLD CORP                 EQUITY    496902404     499     29,220 SH       DEFINED        3         --         --   29,220
KIRBY CORP                        EQUITY    497266106   4,641    121,662 SH       SOLE           2    121,662         --       --
KIRKLANDS INC                     EQUITY    497498105     213     10,135 SH       SOLE           2     10,135         --       --
KITE REALTY GROUP TRUST           EQUITY    49803T102     220     46,528 SH       SOLE           2     46,528         --       --
KLATENCOR CORPORATION             EQUITY    482480100   2,850     92,180 SH       SOLE           2     92,180         --       --
KNIGHT CAPITAL GROUP INCA         EQUITY    499005106   1,136     74,499 SH       SOLE           2     74,499         --       --
KNIGHT TRANSPORTATION INC         EQUITY    499064103   6,361    301,603 SH       SOLE           2    301,603         --       --
KNIGHTSBRIDGE TANKERS LTD         EQUITY    G5299G106      55      3,236 SH       DEFINED        3         --         --    3,236
KNIGHTSBRIDGE TANKERS LTD         EQUITY    G5299G106     237     13,968 SH       SOLE           2     13,968         --       --
KNOLL INC                         EQUITY    498904200     432     38,408 SH       SOLE           2     38,408         --       --
KNOLOGY INC                       EQUITY    499183804     326     24,259 SH       SOLE           2     24,259         --       --
KNOT INC/THE                      EQUITY    499184109     224     28,704 SH       SOLE           2     28,704         --       --
KODIAK OIL & GAS CORP             EQUITY    50015Q100     153     44,850 SH       DEFINED        3         --         --   44,850
KOHLBERG CAPITAL CORP             EQUITY    500233101      58     10,166 SH       DEFINED        3         --         --   10,166
KOHLBERG CAPITAL CORP             EQUITY    500233101      85     14,936 SH       SOLE           2     14,936         --       --
KOHLS CORP                        EQUITY    500255104       5        100 SH       DEFINED        3         --         --      100
KOHLS CORP                        EQUITY    500255104      29        524 SH       DEFINED        4         --         --      524
KOHLS CORP                        EQUITY    500255104   5,853    106,854 SH       SOLE           2    106,854         --       --
KONINKLIJKE PHILIPS ELECTRS       EQUITY    500472303       5        148 SH       DEFINED        3         --         --      148
KOPIN CORP                        EQUITY    500600101     238     64,291 SH       SOLE           2     64,291         --       --
KOPPERS HOLDINGS INC              EQUITY    50060P106     464     16,376 SH       SOLE           2     16,376         --       --
KORN/FERRY INTERNATIONAL          EQUITY    500643200   2,438    138,140 SH       SOLE           2    138,140         --       --
KRAFT FOODS INC                   EQUITY    50075N104     355     11,735 SH       DEFINED        3         --         --   11,735
KRAFT FOODS INC                   EQUITY    50075N104     463     15,323 SH       DEFINED        4         --         --   15,323
KRAFT FOODS INCAW/I               EQUITY    50075N104  42,043  1,390,315 SH       SOLE           2  1,390,315         --       --
KRISPY KREME DOUGHNUTS INC        EQUITY    501014104     192     47,752 SH       SOLE           2     47,752         --       --
KROGER CO                         EQUITY    501044101      12        561 SH       DEFINED        3         --         --      561
KROGER CO                         EQUITY    501044101      22      1,026 SH       DEFINED        4         --         --    1,026
KROGER CO                         EQUITY    501044101   4,545    209,829 SH       SOLE           2    209,829         --       --
KSWISS INC  CL A                  EQUITY    482686102     263     25,137 SH       SOLE           2     25,137         --       --
KTRON INTERNATIONAL INC           EQUITY    482730108     304      2,029 SH       SOLE           2      2,029         --       --
KULICKE  SOFFA INDUSTRIES         EQUITY    501242101     475     65,466 SH       SOLE           2     65,466         --       --
KV PHARMACEUTICAL CO CL A         EQUITY    482740206      54     30,436 SH       SOLE           2     30,436         --       --
KVH INDUSTRIES INC                EQUITY    482738101     151     11,412 SH       SOLE           2     11,412         --       --
L1 IDENTITY SOLUTIONS INC         EQUITY    50212A106     546     61,094 SH       SOLE           2     61,094         --       --
L-1 IDENTITY SOLUTIONS INC        EQUITY    50212A106      13      1,400 SH       DEFINED        4         --         --    1,400
L3 COMMUNICATIONS HLDGS IN        EQUITY    502424104   3,706     40,449 SH       SOLE           2     40,449         --       --
L-3 COMMUNICATIONS HLDGS INC      EQUITY    502424104      14        150 SH       DEFINED        3         --         --      150
L-3 COMMUNICATIONS HLDGS INC      EQUITY    502424104      26        284 SH       DEFINED        4         --         --      284
LABARGE INC                       EQUITY    502470107     114     10,301 SH       SOLE           2     10,301         --       --
LABORATORY CORP AMER HLDGS        EQUITY    50540R409      11        139 SH       DEFINED        4         --         --      139
LABORATORY CORP AMER HLDGS        EQUITY    50540R409      14        184 SH       DEFINED        3         --         --      184
LABORATORY CRP OF AMER HLD        EQUITY    50540R409   2,696     35,613 SH       SOLE           2     35,613         --       --
LABRANCHE  CO INCW/D              EQUITY    505447102      31      5,929 SH       SOLE           2      5,929         --       --
LACLEDE GROUP INC                 EQUITY    505597104       2         66 SH       DEFINED        4         --         --       66
LACLEDE GROUP INC/THE             EQUITY    505597104     703     20,835 SH       SOLE           2     20,835         --       --
LADISH CO INC                     EQUITY    505754200     262     12,989 SH       SOLE           2     12,989         --       --
LAKELAND BANCORP INC              EQUITY    511637100     148     16,709 SH       SOLE           2     16,709         --       --
LAKELAND FINANCIAL CORP           EQUITY    511656100     247     12,941 SH       SOLE           2     12,941         --       --
LAKES ENTERTAINMENT INC           EQUITY    51206P109      35     15,291 SH       SOLE           2     15,291         --       --
LAM RESEARCH CORP                 EQUITY    512807108      10        270 SH       DEFINED        4         --         --      270
LAM RESEARCH CORP                 EQUITY    512807108  11,053    296,168 SH       SOLE           2    296,168         --       --
LAMAR ADVERTISING COCL A          EQUITY    512815101   4,147    120,716 SH       SOLE           2    120,716         --       --
LANCASTER COLONY CORP             EQUITY    513847103   3,477     58,980 SH       SOLE           2     58,980         --       --
LANCE INC                         EQUITY    514606102     618     26,697 SH       SOLE           2     26,697         --       --
LANDAUER INC                      EQUITY    51476K103     573      8,792 SH       SOLE           2      8,792         --       --
LANDEC CORP                       EQUITY    514766104     142     21,433 SH       SOLE           2     21,433         --       --





                                                                                        
LANDRYS RESTAURANTS INC           EQUITY    51508L103     127      7,091 SH       SOLE           2      7,091         --       --
LANDSTAR SYSTEM INC               EQUITY    515098101   4,761    113,423 SH       SOLE           2    113,423         --       --
LANNETT CO INC                    EQUITY    516012101      35      8,250 SH       SOLE           2      8,250         --       --
LAS VEGAS SANDS CORP              EQUITY    517834107      11        500 SH       DEFINED        3         --         --      500
LAS VEGAS SANDS CORP              EQUITY    517834107     575     27,196 SH       DEFINED        4         --         --   27,196
LAS VEGAS SANDS CORP              EQUITY    517834107  16,797    794,168 SH       SOLE           2    794,168         --       --
LASALLE HOTEL PROPERTIES          EQUITY    517942108   1,410     60,494 SH       SOLE           2     60,494         --       --
LATIN AMER EQUITY FD INC NEW      EQUITY    51827Q106      60      1,500 SH       DEFINED        4         --         --    1,500
LATTICE SEMICONDUCTOR CORP        EQUITY    518415104      15      4,000 SH       DEFINED        4         --         --    4,000
LATTICE SEMICONDUCTOR CORP        EQUITY    518415104     345     94,139 SH       SOLE           2     94,139         --       --
LAUDER ESTEE COS INC              EQUITY    518439104      14        219 SH       DEFINED        4         --         --      219
LAWSON PRODUCTS INC               EQUITY    520776105      59      3,833 SH       SOLE           2      3,833         --       --
LAWSON SOFTWARE INC               EQUITY    52078P102   6,199    937,796 SH       SOLE           2    937,796         --       --
LAYNE CHRISTENSEN COMPANY         EQUITY    521050104     424     15,889 SH       SOLE           2     15,889         --       --
LAZARD LTD                        EQUITY    G54050102       1         34 SH       DEFINED        3         --         --       34
LAZARD LTD                        EQUITY    G54050102       1         36 SH       DEFINED        4         --         --       36
LAZARD LTDCL A                    EQUITY    G54050102   6,867    192,344 SH       SOLE           2    192,344         --       --
LAZBOY INC                        EQUITY    505336107     607     48,397 SH       SOLE           2     48,397         --       --
LCAVISION INC                     EQUITY    501803308     133     16,028 SH       SOLE           2     16,028         --       --
LEAP WIRELESS INTL INC            EQUITY    521863308       5        279 SH       SOLE           1        279         --       --
LEAP WIRELESS INTL INC            EQUITY    521863308       8        500 SH       DEFINED        4         --         --      500
LEAP WIRELESS INTL INC            EQUITY    521863308      21      1,259 SH       SOLE           2      1,259         --       --
LEAPFROG ENTERPRISES INC          EQUITY    52186N106     182     27,746 SH       SOLE           2     27,746         --       --
LEAR CORP                         EQUITY    521865204       6         75 SH       DEFINED        4         --         --       75
LEAR CORP                         EQUITY    521865204   3,372     42,500 SH       SOLE           2     42,500         --       --
LEARNING TREE INTERNATIONA        EQUITY    522015106      86      6,120 SH       SOLE           2      6,120         --       --
LEGACY BANCORP INC                EQUITY    52463G105      57      6,019 SH       SOLE           2      6,019         --       --
LEGACY RESERVES LP                EQUITY    524707304      12        500 SH       DEFINED        3         --         --      500
LEGG MASON INC                    EQUITY    524901105   2,389     83,326 SH       SOLE           2     83,326         --       --
LEGGETT + PLATT INC               EQUITY    524660107   1,518     70,143 SH       SOLE           2     70,143         --       --
LENDER PROCESSING SERVICES        EQUITY    5.26E+106   8,120    215,112 SH       SOLE           2    215,112         --       --
LENNAR CORP                       EQUITY    526057104      15        887 SH       DEFINED        3         --         --      887
LENNAR CORP                       EQUITY    526057104      35      2,055 SH       DEFINED        4         --         --    2,055
LENNAR CORPCL A                   EQUITY    526057104     975     56,633 SH       SOLE           2     56,633         --       --
LENNOX INTERNATIONAL INC          EQUITY    526107107   4,891    110,361 SH       SOLE           2    110,361         --       --
LEUCADIA NATIONAL CORP            EQUITY    527288104   2,449     98,706 SH       SOLE           2     98,706         --       --
LEUCADIA NATL CORP                EQUITY    527288104      30      1,207 SH       DEFINED        4         --         --    1,207
LEVEL 3 COMMUNICATIONS INC        EQUITY    52729N100      70     43,275 SH       SOLE           2     43,275         --       --
LEXICON PHARMACEUTICALS IN        EQUITY    528872104     126     84,950 SH       SOLE           2     84,950         --       --
LEXINGTON REALTY TRUST            EQUITY    529043101   1,817    279,089 SH       SOLE           2    279,089         --       --
LEXMARK INTERNATIONAL INCA        EQUITY    529771107     985     27,298 SH       SOLE           2     27,298         --       --
LEXMARK INTL NEW                  EQUITY    529771107       4        100 SH       DEFINED        3         --         --      100
LEXMARK INTL NEW                  EQUITY    529771107       5        125 SH       DEFINED        4         --         --      125
LHC GROUP INC                     EQUITY    50187A107     485     14,478 SH       SOLE           2     14,478         --       --
LIBERTY ALL STAR EQUITY FD        EQUITY    530158104       4        807 SH       DEFINED        4         --         --      807
LIBERTY GLOBAL INC                EQUITY    530555101       4        136 SH       DEFINED        4         --         --      136
LIBERTY GLOBAL INCA               EQUITY    530555101     206      7,075 SH       SOLE           2      7,075         --       --
LIBERTY MEDIA CORP NEW            EQUITY    53071M302       1         32 SH       DEFINED        4         --         --       32
LIBERTY MEDIA CORP NEW            EQUITY    53071M708       2         31 SH       DEFINED        3         --         --       31
LIBERTY MEDIA CORP NEW            EQUITY    53071M104       2        150 SH       DEFINED        4         --         --      150
LIBERTY MEDIA CORP NEW            EQUITY    53071M302       3         78 SH       DEFINED        3         --         --       78
LIBERTY MEDIA CORP NEW            FIXED
                                     INCOME 530718AF2       3          3 PRN      DEFINED        3         --         --        3
LIBERTY MEDIA CORP NEW            EQUITY    53071M104       6        393 SH       DEFINED        3         --         --      393
LIBERTY MEDIA CORPCAP SER         EQUITY    53071M302      78      2,133 SH       SOLE           2      2,133         --       --
LIBERTY MEDIA CORPINTER A         EQUITY    53071M104     741     48,419 SH       SOLE           2     48,419         --       --
LIBERTY MEDIASTARZ SERIES         EQUITY    53071M708   8,443    154,401 SH       SOLE           2    154,401         --       --
LIBERTY PPTY TR                   EQUITY    531172104       8        250 SH       DEFINED        3         --         --      250
LIBERTY PROPERTY TRUST            EQUITY    531172104   8,660    255,168 SH       SOLE           2    255,168         --       --
LIFE PARTNERS HOLDINGS INC        EQUITY    53215T106       2        100 SH       DEFINED        3         --         --      100
LIFE PARTNERS HOLDINGS INC        EQUITY    53215T106     133      6,001 SH       SOLE           2      6,001         --       --
LIFE TECHNOLOGIES CORP            EQUITY    53217V109   4,693     89,782 SH       SOLE           2     89,782         --       --
LIFE TIME FITNESS INC             EQUITY    53217R207   3,506    124,772 SH       SOLE           2    124,772         --       --
LIFEPOINT HOSPITALS INC           EQUITY    53219L109       8        215 SH       DEFINED        3         --         --      215
LIFEPOINT HOSPITALS INC           EQUITY    53219L109   4,566    124,146 SH       SOLE           2    124,146         --       --
LIFEWAY FOODS INC                 EQUITY    531914109      47      3,957 SH       SOLE           2      3,957         --       --
LIFEWAY FOODS INC                 EQUITY    531914109     142     12,000 SH       DEFINED        3         --         --   12,000
LIGAND PHARMACEUTICALSCL B        EQUITY    53220K207     162     92,551 SH       SOLE           2     92,551         --       --
LIHUA INTERNATIONAL INC           EQUITY    532352101      23      2,540 SH       SOLE           2      2,540         --       --
LILLY ELI & CO                    EQUITY    532457108     118      3,267 SH       DEFINED        3         --         --    3,267
LILLY ELI & CO                    EQUITY    532457108     285      7,881 SH       DEFINED        4         --         --    7,881
LIMELIGHT NETWORKS INC            EQUITY    53261M104      98     26,838 SH       SOLE           2     26,838         --       --
LIMITED BRANDS INC                EQUITY    532716107       8        311 SH       DEFINED        3         --         --      311
LIMITED BRANDS INC                EQUITY    532716107      44      1,790 SH       DEFINED        4         --         --    1,790
LIN TV CORPCL A                   EQUITY    532774106     126     21,960 SH       SOLE           2     21,960         --       --
LINCARE HOLDINGS INC              EQUITY    532791100   6,655    148,277 SH       SOLE           2    148,277         --       --
LINCOLN EDUCATIONAL SERVIC        EQUITY    533535100     200      7,912 SH       SOLE           2      7,912         --       --
LINCOLN ELECTRIC HOLDINGS         EQUITY    533900106   5,234     96,329 SH       SOLE           2     96,329         --       --
LINCOLN NATIONAL CORP             EQUITY    534187109   4,138    134,797 SH       SOLE           2    134,797         --       --
LINCOLN NATL CORP IND             EQUITY    534187109       5        150 SH       DEFINED        3         --         --      150
LINCOLN NATL CORP IND             EQUITY    534187109     168      5,483 SH       DEFINED        4         --         --    5,483
LINDSAY CORP                      EQUITY    535555106       4        100 SH       DEFINED        4         --         --      100
LINDSAY CORP                      EQUITY    535555106     488     11,781 SH       SOLE           2     11,781         --       --
LINEAR TECHNOLOGY CORP            EQUITY    535678106   5,531    195,573 SH       SOLE           2    195,573         --       --
LINN ENERGY LLC                   EQUITY    536020100     252      9,782 SH       DEFINED        4         --         --    9,782
LINN ENERGY LLC                   EQUITY    536020100   1,375     53,453 SH       DEFINED        3         --         --   53,453
LIONBRIDGE TECHNOLOGIES IN        EQUITY    536252109     170     46,876 SH       SOLE           2     46,876         --       --
LIQUIDITY SERVICES INC            EQUITY    53635B107     142     12,262 SH       SOLE           2     12,262         --       --
LITHIA MOTORS INCCL A             EQUITY    536797103     126     19,735 SH       SOLE           2     19,735         --       --
LITTELFUSE INC                    EQUITY    537008104     777     20,435 SH       SOLE           2     20,435         --       --
LIVE NATION ENTERTAINMENT IN      EQUITY    538034109       4        259 SH       DEFINED        3         --         --      259
LIVE NATION ENTERTAINW/D          EQUITY    538034109   1,915    132,078 SH       SOLE           2    132,078         --       --
LIVEPERSON INC                    EQUITY    538146101      15      1,935 SH       DEFINED        3         --         --    1,935
LIVEPERSON INC                    EQUITY    538146101     259     33,709 SH       SOLE           2     33,709         --       --
LIZ CLAIBORNE INC                 EQUITY    539320101     675     90,806 SH       SOLE           2     90,806         --       --





                                                                                        
LKQ CORP                          EQUITY    501889208   6,474    318,939 SH       SOLE           2    318,939         --       --
LLOYDS BANKING GROUP PLC          EQUITY    539439109      73     19,058 SH       DEFINED        4         --         --   19,058
LMI AEROSPACE INC                 EQUITY    502079106       1         60 SH       DEFINED        3         --         --       60
LMI AEROSPACE INC                 EQUITY    502079106     130      7,012 SH       SOLE           2      7,012         --       --
LMP CAP & INCOME FD INC           EQUITY    50208A102      12      1,146 SH       DEFINED        4         --         --    1,146
LOCKHEED MARTIN CORP              EQUITY    539830109      36        435 SH       DEFINED        3         --         --      435
LOCKHEED MARTIN CORP              EQUITY    539830109     104      1,246 SH       DEFINED        4         --         --    1,246
LOCKHEED MARTIN CORP              EQUITY    539830109  17,068    205,094 SH       SOLE           2    205,094         --       --
LODGENET INTERACTIVE CORP         EQUITY    540211109     115     16,526 SH       SOLE           2     16,526         --       --
LOEWS CORP                        EQUITY    540424108       4        118 SH       DEFINED        3         --         --      118
LOEWS CORP                        EQUITY    540424108      17        468 SH       DEFINED        4         --         --      468
LOEWS CORP                        EQUITY    540424108   6,697    179,652 SH       SOLE           2    179,652         --       --
LOGITECH INTERNATIONALREG         EQUITY    H50430232     167     10,218 SH       SOLE           2     10,218         --       --
LOGMEIN INC                       EQUITY    54142L109     125      6,059 SH       SOLE           2      6,059         --       --
LOJACK CORPORATION                EQUITY    539451104      10      2,514 SH       SOLE           2      2,514         --       --
LONGTOP FINL TECHNOLOGIES LT      EQUITY    54318P108      35      1,100 SH       DEFINED        4         --         --    1,100
LOOPNET INC                       EQUITY    543524300     185     16,446 SH       SOLE           2     16,446         --       --
LORAL SPACE  COMMUNICATION        EQUITY    543881106     307      8,745 SH       SOLE           2      8,745         --       --
LORAL SPACE & COMMUNICATIONS LTD  EQUITY    543881106   6,732    191,676 SH       SOLE           1     191676         --       --
LORILLARD INC                     EQUITY    544147101      15        195 SH       DEFINED        3         --         --      195
LORILLARD INC                     EQUITY    544147101      24        325 SH       DEFINED        4         --         --      325
LORILLARD INC                     EQUITY    544147101   9,849    130,899 SH       SOLE           2    130,899         --       --
LOUISIANA PAC CORP                EQUITY    546347105       3        300 SH       DEFINED        4         --         --      300
LOUISIANA PAC CORP                EQUITY    546347105      17      1,922 SH       DEFINED        3         --         --    1,922
LOUISIANAPACIFIC CORP             EQUITY    546347105   3,476    384,114 SH       SOLE           2    384,114         --       --
LOWES COS INC                     EQUITY    548661107      56      2,309 SH       DEFINED        3         --         --    2,309
LOWES COS INC                     EQUITY    548661107     168      6,910 SH       DEFINED        4         --         --    6,910
LOWES COS INC                     EQUITY    548661107  18,715    772,067 SH       SOLE           2    772,067         --       --
LSB INDUSTRIES INC                EQUITY    502160104     215     14,087 SH       SOLE           2     14,087         --       --
LSI CORP                          EQUITY    502161102   1,857    303,389 SH       SOLE           2    303,389         --       --
LSI CORPORATION                   EQUITY    502161102      41      6,641 SH       DEFINED        4         --         --    6,641
LSI INDUSTRIES INC                EQUITY    50216C108     105     15,346 SH       SOLE           2     15,346         --       --
LTC PPTYS INC                     EQUITY    502175102      13        468 SH       DEFINED        4         --         --      468
LTC PROPERTIES INC                EQUITY    502175102     590     21,802 SH       SOLE           2     21,802         --       --
LTD BRANDS INC                    EQUITY    532716107   2,261     91,831 SH       SOLE           2     91,831         --       --
LUBRIZOL CORP                     EQUITY    549271104  14,140    154,163 SH       SOLE           2    154,163         --       --
LUBYS INC                         EQUITY    549282101      65     16,496 SH       SOLE           2     16,496         --       --
LUFKIN INDUSTRIES INC             EQUITY    549764108   1,106     13,977 SH       SOLE           2     13,977         --       --
LULULEMON ATHLETICA INC           EQUITY    550021109       8        185 SH       DEFINED        3         --         --      185
LULULEMON ATHLETICA INC           EQUITY    550021109   1,352     32,577 SH       SOLE           2     32,577         --       --
LUMBER LIQUIDATORS HLDGS INC      EQUITY    55003T107       1         50 SH       DEFINED        4         --         --       50
LUMBER LIQUIDATORS HOLDING        EQUITY    55003T107     372     13,948 SH       SOLE           2     13,948         --       --
LUMINEX CORP                      EQUITY    5.50E+106     559     33,188 SH       SOLE           2     33,188         --       --
LYDALL INC                        EQUITY    550819106      19      2,369 SH       SOLE           2      2,369         --       --
M  F WORLDWIDE CORP               EQUITY    552541104     268      8,765 SH       SOLE           2      8,765         --       --
M  T BANK CORP                    EQUITY    55261F104   3,540     44,601 SH       SOLE           2     44,601         --       --
M & T BK CORP                     EQUITY    55261F104      20        250 SH       DEFINED        4         --         --      250
M/I HOMES INC                     EQUITY    55305B101     258     17,584 SH       SOLE           2     17,584         --       --
MACERICH CO/THE                   EQUITY    554382101   8,497    221,800 SH       SOLE           2    221,800         --       --
MACGRAY CORP                      EQUITY    554153106     106      9,359 SH       SOLE           2      9,359         --       --
MAC-GRAY CORP                     EQUITY    554153106      11      1,000 SH       DEFINED        4         --         --    1,000
MACKCALI REALTY CORP              EQUITY    554489104   6,313    179,079 SH       SOLE           2    179,079         --       --
MACKINAC FINL CORP                EQUITY    554571109      14      3,174 SH       DEFINED        4         --         --    3,174
MACYS INC                         EQUITY    55616P104       2         94 SH       DEFINED        3         --         --       94
MACYS INC                         EQUITY    55616P104      16        735 SH       DEFINED        4         --         --      735
MACYS INC                         EQUITY    55616P104   3,732    171,410 SH       SOLE           2    171,410         --       --
MADISON CLAYMORE CALL &EQTY       EQUITY    556582104     137     14,526 SH       DEFINED        4         --         --   14,526
MADISON SQUARE GAR INCA           EQUITY    55826P100      34      1,553 SH       SOLE           2      1,553         --       --
MADISON STRTG SECTOR PREM FD      EQUITY    558268108     226     17,819 SH       DEFINED        4         --         --   17,819
MAGELLAN HEALTH SERVICES I        EQUITY    559079207   1,438     33,073 SH       SOLE           2     33,073         --       --
MAGELLAN HEALTH SVCS INC          EQUITY    559079207       3         75 SH       DEFINED        4         --         --       75
MAGELLAN MIDSTREAM PRTNRS LP      EQUITY    559080106       5        100 SH       DEFINED        3         --         --      100
MAGELLAN MIDSTREAM PRTNRS LP      EQUITY    559080106      24        500 SH       DEFINED        4         --         --      500
MAGNETEK INC                      EQUITY    559424106       7      4,307 SH       SOLE           2      4,307         --       --
MAIDEN HOLDINGS LTD               EQUITY    G5753U112     301     40,764 SH       SOLE           2     40,764         --       --
MAIDENFORM BRANDS INC             EQUITY    560305104     396     18,102 SH       SOLE           2     18,102         --       --
MAIN STREET CAPITAL CORP          EQUITY    56035L104     127      8,126 SH       SOLE           2      8,126         --       --
MAINSOURCE FINANCIAL GROUP        EQUITY    56062Y102     111     16,448 SH       SOLE           2     16,448         --       --
MAJESCO ENTERTAINMENT CO          EQUITY    560690208       3      3,300 SH       DEFINED        3         --         --    3,300
MAKO SURGICAL CORP                EQUITY    560879108     191     14,149 SH       SOLE           2     14,149         --       --
MANHATTAN ASSOCIATES INC          EQUITY    562750109     559     21,952 SH       SOLE           2     21,952         --       --
MANITOWOC COMPANY INC             EQUITY    563571108      45      3,465 SH       SOLE           2      3,465         --       --
MANITOWOC INC                     EQUITY    563571108       7        500 SH       DEFINED        3         --         --      500
MANITOWOC INC                     EQUITY    563571108     231     17,793 SH       DEFINED        4         --         --   17,793
MANNATECH INC                     EQUITY    563771104      50     15,003 SH       SOLE           2     15,003         --       --
MANNKIND CORP                     EQUITY    56400P201       9      1,430 SH       DEFINED        3         --         --    1,430
MANNKIND CORP                     EQUITY    56400P201     304     46,317 SH       SOLE           2     46,317         --       --
MANPOWER INC WIS                  EQUITY    56418H100  10,161    177,882 SH       SOLE           2    177,882         --       --
MANTECH INTERNATIONAL CORP        EQUITY    564563104   3,283     67,242 SH       SOLE           2     67,242         --       --
MANULIFE FINL CORP                EQUITY    56501R106      17        838 SH       DEFINED        3         --         --      838
MAP PHARMACEUTICALS INC           EQUITY    56509R108     117      7,377 SH       SOLE           2      7,377         --       --
MARATHON OIL CORP                 EQUITY    565849106      22        694 SH       DEFINED        3         --         --      694
MARATHON OIL CORP                 EQUITY    565849106      70      2,219 SH       DEFINED        4         --         --    2,219
MARATHON OIL CORP                 EQUITY    565849106  22,630    715,244 SH       SOLE           2    715,244         --       --
MARCHEX INCCLASS B                EQUITY    56624R108      82     16,089 SH       SOLE           2     16,089         --       --
MARCUS CORPORATION                EQUITY    566330106     251     19,288 SH       SOLE           2     19,288         --       --
MARINE PRODUCTS CORP              EQUITY    568427108      48      8,078 SH       SOLE           2      8,078         --       --
MARINEMAX INC                     EQUITY    567908108      33      3,040 SH       SOLE           2      3,040         --       --
MARINER ENERGY INC                EQUITY    56845T305   3,435    229,486 SH       SOLE           2    229,486         --       --
MARKEL CORP                       EQUITY    570535104       2          6 SH       DEFINED        3         --         --        6
MARKEL CORP                       EQUITY    570535104      98        261 SH       SOLE           2        261         --       --
MARKET 2000+ HOLDRS TR            EQUITY    57059Y204       5        100 SH       DEFINED        4         --         --      100
MARKET VECTORS ETF TR             EQUITY    57060U845       2         76 SH       DEFINED        3         --         --       76
MARKET VECTORS ETF TR             EQUITY    57060U878       2         53 SH       DEFINED        3         --         --       53





                                                                                        
MARKET VECTORS ETF TR             EQUITY    57060U704       3        120 SH       DEFINED        3         --         --      120
MARKET VECTORS ETF TR             EQUITY    57060U407       5        200 SH       DEFINED        3         --         --      200
MARKET VECTORS ETF TR             EQUITY    57060U811       5        370 SH       DEFINED        4         --         --      370
MARKET VECTORS ETF TR             EQUITY    57060U308       7        100 SH       DEFINED        4         --         --      100
MARKET VECTORS ETF TR             EQUITY    57060U753      13        185 SH       DEFINED        4         --         --      185
MARKET VECTORS ETF TR             EQUITY    57060U613      15        325 SH       DEFINED        4         --         --      325
MARKET VECTORS ETF TR             EQUITY    57060U308      18        261 SH       DEFINED        3         --         --      261
MARKET VECTORS ETF TR             EQUITY    57060U837      21        570 SH       DEFINED        4         --         --      570
MARKET VECTORS ETF TR             EQUITY    57060U506      41      1,200 SH       DEFINED        4         --         --    1,200
MARKET VECTORS ETF TR             EQUITY    57060U209      42        950 SH       DEFINED        3         --         --      950
MARKET VECTORS ETF TR             EQUITY    57060U407      44      1,900 SH       DEFINED        4         --         --    1,900
MARKET VECTORS ETF TR             EQUITY    57060U613      46      1,000 SH       DEFINED        3         --         --    1,000
MARKET VECTORS ETF TR             EQUITY    57060U589      51      2,000 SH       DEFINED        4         --         --    2,000
MARKET VECTORS ETF TR             EQUITY    57060U738      72      2,886 SH       DEFINED        4         --         --    2,886
MARKET VECTORS ETF TR             EQUITY    57060U738      75      3,000 SH       DEFINED        3         --         --    3,000
MARKET VECTORS ETF TR             EQUITY    57060U886      76      4,132 SH       DEFINED        4         --         --    4,132
MARKET VECTORS ETF TR             EQUITY    57060U803      76      4,406 SH       DEFINED        4         --         --    4,406
MARKET VECTORS ETF TR             EQUITY    57060U845      88      4,135 SH       DEFINED        4         --         --    4,135
MARKET VECTORS ETF TR             EQUITY    57060U605     169      3,750 SH       DEFINED        4         --         --    3,750
MARKET VECTORS ETF TR             EQUITY    57060U589     237      9,212 SH       DEFINED        3         --         --    9,212
MARKET VECTORS ETF TR             EQUITY    57060U100     844     18,997 SH       DEFINED        4         --         --   18,997
MARKET VECTORS ETF TR             EQUITY    57060U753     928     13,296 SH       DEFINED        3         --         --   13,296
MARKET VECTORS ETF TR             EQUITY    57060U605     953     21,128 SH       DEFINED        3         --         --   21,128
MARKET VECTORS ETF TR             EQUITY    57060U100     960     21,610 SH       DEFINED        3         --         --   21,610
MARKET VECTORS ETF TR             EQUITY    57060U506   1,134     33,006 SH       DEFINED        3         --         --   33,006
MARKETAXESS HOLDINGS INC          EQUITY    57060D108     408     25,911 SH       SOLE           2     25,911         --       --
MARKWEST ENERGY PARTNERS L P      EQUITY    570759100       5        150 SH       DEFINED        3         --         --      150
MARKWEST ENERGY PARTNERS L P      EQUITY    570759100      14        450 SH       DEFINED        4         --         --      450
MARRIOTT INTERNATIONALCL A        EQUITY    571903202   2,799     88,814 SH       SOLE           2     88,814         --       --
MARRIOTT INTL INC NEW             EQUITY    571903202      57      1,818 SH       DEFINED        4         --         --    1,818
MARSH & MCLENNAN COS INC          EQUITY    571748102      19        763 SH       DEFINED        4         --         --      763
MARSH + MCLENNAN COS              EQUITY    571748102   7,957    325,836 SH       SOLE           2    325,836         --       --
MARSHALL  ILSLEY CORP             EQUITY    571837103   2,224    276,324 SH       SOLE           2    276,324         --       --
MARSHALL & ILSLEY CORP NEW        EQUITY    571837103      16      2,000 SH       DEFINED        3         --         --    2,000
MARTEK BIOSCIENCES CORP           EQUITY    572901106  10,833    481,248 SH       SOLE           2    481,248         --       --
MARTEN TRANSPORT LTD              EQUITY    573075108     247     12,557 SH       SOLE           2     12,557         --       --
MARTHA STEWART LIVING CL A        EQUITY    573083102     121     21,637 SH       SOLE           2     21,637         --       --
MARTHA STEWART LIVING OMNIME      EQUITY    573083102       1        200 SH       DEFINED        3         --         --      200
MARTIN MARIETTA MATERIALS         EQUITY    573284106   8,544    102,261 SH       SOLE           2    102,261         --       --
MARTIN MIDSTREAM PRTNRS L P       EQUITY    573331105      15        475 SH       DEFINED        4         --         --      475
MARTIN MIDSTREAM PRTNRS L P       EQUITY    573331105      25        790 SH       DEFINED        3         --         --      790
MARVELL TECHNOLOGY GROUP L        EQUITY    G5876H105   2,182    107,047 SH       SOLE           2    107,047         --       --
MARVELL TECHNOLOGY GROUP LTD      EQUITY    G5876H105      22      1,075 SH       DEFINED        3         --         --    1,075
MARVELL TECHNOLOGY GROUP LTD      EQUITY    G5876H105      85      4,180 SH       DEFINED        4         --         --    4,180
MASCO CORP                        EQUITY    574599106   1,925    124,034 SH       SOLE           2    124,034         --       --
MASIMO CORPORATION                EQUITY    574795100   4,183    157,548 SH       SOLE           2    157,548         --       --
MASSEY ENERGY CO                  EQUITY    576206106   1,691     32,339 SH       SOLE           2     32,339         --       --
MASTEC INC                        EQUITY    576323109     526     41,739 SH       SOLE           2     41,739         --       --
MASTERCARD INC                    EQUITY    57636Q104      22         85 SH       DEFINED        3         --         --       85
MASTERCARD INC                    EQUITY    57636Q104     226        890 SH       DEFINED        4         --         --      890
MASTERCARD INCCLASS A             EQUITY    57636Q104  10,121     39,846 SH       SOLE           2     39,846         --       --
MATRIX SERVICE CO                 EQUITY    576853105     269     25,006 SH       SOLE           2     25,006         --       --
MATRIXX INITIATIVES INC           EQUITY    57685L105      39      7,725 SH       SOLE           2      7,725         --       --
MATTEL INC                        EQUITY    577081102   4,316    189,817 SH       SOLE           2    189,817         --       --
MATTEL, INC.                      EQUITY    577081102     149      6,562 SH       SOLE           1       6562         --       --
MATTHEWS INTL CORP                EQUITY    577128101      71      2,000 SH       DEFINED        3         --         --    2,000
MATTHEWS INTL CORPCLASS A         EQUITY    577128101   3,280     92,389 SH       SOLE           2     92,389         --       --
MAX CAPITAL GROUP LTD             EQUITY    G6052F103     850     36,976 SH       SOLE           2     36,976         --       --
MAXIM INTEGRATED PRODS INC        EQUITY    57772K101      42      2,187 SH       DEFINED        3         --         --    2,187
MAXIM INTEGRATED PRODUCTS         EQUITY    57772K101     466     24,030 SH       SOLE           2     24,030         --       --
MAXIMUS INC                       EQUITY    577933104   1,001     16,431 SH       SOLE           2     16,431         --       --
MAXWELL TECHNOLOGIES INC          EQUITY    577767106      28      2,300 SH       DEFINED        4         --         --    2,300
MAXWELL TECHNOLOGIES INC          EQUITY    577767106     227     18,328 SH       SOLE           2     18,328         --       --
MAXYGEN INC                       EQUITY    577776107       2        300 SH       DEFINED        4         --         --      300
MAXYGEN INC                       EQUITY    577776107     136     20,648 SH       SOLE           2     20,648         --       --
MB FINANCIAL INC                  EQUITY    55264U108     906     40,231 SH       SOLE           2     40,231         --       --
MBIA INC                          EQUITY    55262C100       2        285 SH       DEFINED        4         --         --      285
MBIA INC                          EQUITY    55262C100      22      3,488 SH       SOLE           2      3,488         --       --
MBIA INC                          EQUITY    55262C100      31      5,000 SH       DEFINED        3         --         --    5,000
MCAFEE INC                        EQUITY    579064106       4         92 SH       DEFINED        4         --         --       92
MCAFEE INC                        EQUITY    579064106   4,353    108,478 SH       SOLE           2    108,478         --       --
MCCORMICK  CONON VTG SHRS         EQUITY    579780206   3,385     88,247 SH       SOLE           2     88,247         --       --
MCCORMICK  SCHMICKS SEAFOO        EQUITY    579793100     122     12,123 SH       SOLE           2     12,123         --       --
MCCORMICK & CO INC                EQUITY    579780107       1         33 SH       DEFINED        3         --         --       33
MCCORMICK & CO INC                EQUITY    579780206       8        200 SH       DEFINED        3         --         --      200
MCCORMICK & CO INC                EQUITY    579780206       8        204 SH       DEFINED        4         --         --      204
MCDERMOTT INTL INC                EQUITY    580037109     119      4,413 SH       SOLE           2      4,413         --       --
MCDONALDS CORP                    EQUITY    580135101     321      4,809 SH       DEFINED        3         --         --    4,809
MCDONALDS CORP                    EQUITY    580135101   1,860     27,873 SH       DEFINED        4         --         --   27,873
MCDONALDS CORP                    EQUITY    580135101  46,248    693,167 SH       SOLE           2    693,167         --       --
MCG CAPITAL CORP                  EQUITY    58047P107      10      2,000 SH       DEFINED        4         --         --    2,000
MCG CAPITAL CORP                  EQUITY    58047P107     278     53,403 SH       SOLE           2     53,403         --       --
MCGRATH RENTCORP                  EQUITY    580589109     470     19,381 SH       SOLE           2     19,381         --       --
MCGRAWHILL COMPANIES INC          EQUITY    580645109  11,393    319,574 SH       SOLE           2    319,574         --       --
MCKESSON CORP                     EQUITY    58155Q103      18        280 SH       DEFINED        3         --         --      280
MCKESSON CORP                     EQUITY    58155Q103      26        389 SH       DEFINED        4         --         --      389
MCKESSON CORP                     EQUITY    58155Q103   5,714     86,940 SH       SOLE           2     86,940         --       --
MCMORAN EXPLORATION CO            EQUITY    582411104     890     60,857 SH       SOLE           2     60,857         --       --
MDC HOLDINGS INC                  EQUITY    552676108   2,942     85,002 SH       SOLE           2     85,002         --       --
MDRNA INC                         EQUITY    55276N100       2      2,070 SH       DEFINED        3         --         --    2,070
MDU RES GROUP INC                 EQUITY    552690109      10        467 SH       DEFINED        3         --         --      467
MDU RES GROUP INC                 EQUITY    552690109      52      2,414 SH       DEFINED        4         --         --    2,414
MDU RESOURCES GROUP INC           EQUITY    552690109   9,167    424,791 SH       SOLE           2    424,791         --       --
MEAD JOHNSON NUTRITION CO         EQUITY    582839106   4,666     89,674 SH       SOLE           2     89,674         --       --





                                                                                        
MEADOWBROOK INSURANCE GROU        EQUITY    58319P108     371     46,926 SH       SOLE           2     46,926         --       --
MEADWESTVACO CORP                 EQUITY    583334107       3        120 SH       DEFINED        3         --         --      120
MEADWESTVACO CORP                 EQUITY    583334107   1,520     59,480 SH       SOLE           2     59,480         --       --
MEASUREMENT SPECIALTIES IN        EQUITY    583421102     174     11,826 SH       SOLE           2     11,826         --       --
MEDALLION FINANCIAL CORP          EQUITY    583928106      97     12,153 SH       SOLE           2     12,153         --       --
MEDASSETS INC                     EQUITY    584045108     664     31,601 SH       SOLE           2     31,601         --       --
MEDCATH CORPORATION               EQUITY    58404W109     160     15,326 SH       SOLE           2     15,326         --       --
MEDCO HEALTH SOLUTIONS INC        EQUITY    58405U102      29        453 SH       DEFINED        3         --         --      453
MEDCO HEALTH SOLUTIONS INC        EQUITY    58405U102     149      2,301 SH       DEFINED        4         --         --    2,301
MEDCO HEALTH SOLUTIONS INC        EQUITY    58405U102  12,146    188,141 SH       SOLE           2    188,141         --       --
MEDIACOM COMMUNICATIONSCL         EQUITY    58446K105     191     32,077 SH       SOLE           2     32,077         --       --
MEDICAL ACTION IND INC            EQUITY    58449L100     142     11,534 SH       SOLE           2     11,534         --       --
MEDICAL PPTYS TRUST INC           EQUITY    58463J304      43      4,134 SH       DEFINED        4         --         --    4,134
MEDICAL PROPERTIES TRUST I        EQUITY    58463J304     790     75,370 SH       SOLE           2     75,370         --       --
MEDICINES COMPANY                 EQUITY    584688105     338     43,077 SH       SOLE           2     43,077         --       --
MEDICIS PHARMACEUTICALCL A        EQUITY    584690309   4,452    176,959 SH       SOLE           2    176,959         --       --
MEDIDATA SOLUTIONS INC            EQUITY    58471A105      90      5,923 SH       SOLE           2      5,923         --       --
MEDIFAST INC                      EQUITY    58470H101     117      4,664 SH       DEFINED        3         --         --    4,664
MEDIFAST INC                      EQUITY    58470H101     143      5,700 SH       DEFINED        4         --         --    5,700
MEDIFAST INC                      EQUITY    58470H101     266     10,595 SH       SOLE           2     10,595         --       --
MEDIVATION INC                    EQUITY    58501N101       5        500 SH       DEFINED        3         --         --      500
MEDIVATION INC                    EQUITY    58501N101     241     23,001 SH       SOLE           2     23,001         --       --
MEDNAX INC                        EQUITY    58502B106     445      7,648 SH       SOLE           2      7,648         --       --
MEDQUIST INC                      EQUITY    584949101      58      7,485 SH       SOLE           2      7,485         --       --
MEDTRONIC INC                     FIXED
                                     INCOME 585055AL0      25         25 PRN      DEFINED        3         --         --       25
MEDTRONIC INC                     EQUITY    585055106      35        779 SH       DEFINED        4         --         --      779
MEDTRONIC INC                     EQUITY    585055106      97      2,153 SH       DEFINED        3         --         --    2,153
MEDTRONIC INC                     FIXED
                                     INCOME 585055AM8     164        155 PRN      DEFINED        4         --         --      155
MEDTRONIC INC                     EQUITY    585055106  33,458    743,005 SH       SOLE           2    743,005         --       --
MELCO CROWN ENTMT LTD             EQUITY    585464100       1        250 SH       DEFINED        3         --         --      250
MEMC ELECTR MATLS INC             EQUITY    552715104       3        202 SH       DEFINED        3         --         --      202
MEMC ELECTRONIC MATERIALS         EQUITY    552715104   1,189     77,584 SH       SOLE           2     77,584         --       --
MEMSIC INC                        EQUITY    586264103      40     12,660 SH       SOLE           2     12,660         --       --
MENS WEARHOUSE INC/THE            EQUITY    587118100   1,173     48,994 SH       SOLE           2     48,994         --       --
MENTOR GRAPHICS CORP              EQUITY    587200106   2,467    307,635 SH       SOLE           2    307,635         --       --
MERCADOLIBRE INC                  EQUITY    58733R102      96      2,000 SH       DEFINED        3         --         --    2,000
MERCADOLIBRE INC                  EQUITY    58733R102     998     20,698 SH       SOLE           2     20,698         --       --
MERCER INSURANCE GROUP INC        EQUITY    587902107      82      4,563 SH       SOLE           2      4,563         --       --
MERCHANTS BANCSHARES INC          EQUITY    588448100      85      3,903 SH       SOLE           2      3,903         --       --
MERCK  CO INC                     EQUITY    58933Y105  56,436  1,510,995 SH       SOLE           2  1,510,995         --       --
MERCK & CO INC NEW                EQUITY    58933Y204      89        350 SH       DEFINED        4         --         --      350
MERCK & CO INC NEW                EQUITY    58933Y105     124      3,326 SH       DEFINED        4         --         --    3,326
MERCK & CO INC NEW                EQUITY    58933Y105     208      5,567 SH       DEFINED        3         --         --    5,567
MERCURY COMPUTER SYSTEMS I        EQUITY    589378108     299     21,767 SH       SOLE           2     21,767         --       --
MERCURY GENERAL CORP              EQUITY    589400100   3,511     80,298 SH       SOLE           2     80,298         --       --
MEREDITH CORP                     EQUITY    589433101   9,040    262,714 SH       SOLE           2    262,714         --       --
MERGE HEALTHCARE INC              EQUITY    589499102      58     28,075 SH       SOLE           2     28,075         --       --
MERIDIAN BIOSCIENCE INC           EQUITY    589584101       1         52 SH       DEFINED        3         --         --       52
MERIDIAN BIOSCIENCE INC           EQUITY    589584101     776     38,096 SH       SOLE           2     38,096         --       --
MERIDIAN INTERSTATE BANCOR        EQUITY    58964Q104      83      7,970 SH       SOLE           2      7,970         --       --
MERIT MEDICAL SYSTEMS INC         EQUITY    589889104     407     26,699 SH       SOLE           2     26,699         --       --
MERITAGE HOMES CORP               EQUITY    59001A102     620     29,515 SH       SOLE           2     29,515         --       --
METABOLIX INC                     EQUITY    591018809     222     18,266 SH       SOLE           2     18,266         --       --
METALICO INC                      EQUITY    591176102     162     27,065 SH       SOLE           2     27,065         --       --
METHODE ELECTRONICS INC           EQUITY    591520200     356     36,005 SH       SOLE           2     36,005         --       --
METLIFE INC                       EQUITY    59156R108       2         53 SH       DEFINED        3         --         --       53
METLIFE INC                       EQUITY    59156R108     185      4,269 SH       DEFINED        4         --         --    4,269
METLIFE INC                       EQUITY    59156R108  28,487    657,282 SH       SOLE           2    657,282         --       --
METPRO CORP                       EQUITY    590876306     117     11,926 SH       SOLE           2     11,926         --       --
METRO BANCORP INC                 EQUITY    59161R101     108      7,851 SH       SOLE           2      7,851         --       --
METRO HEALTH NETWORKS INC         EQUITY    592142103      97     29,958 SH       SOLE           2     29,958         --       --
METROPCS COMMUNICATIONS IN        EQUITY    591708102     904    127,640 SH       SOLE           2    127,640         --       --
METROPCS COMMUNICATIONS INC       EQUITY    591708102       2        299 SH       DEFINED        3         --         --      299
METROPCS COMMUNICATIONS INC       EQUITY    591708102     120     16,896 SH       SOLE           1      16896         --       --
METTLERTOLEDO INTERNATIONA        EQUITY    592688105   8,314     76,133 SH       SOLE           2     76,133         --       --
MF GLOBAL HLDGS LTD               EQUITY    55277J108      44      5,500 SH       DEFINED        4         --         --    5,500
MF GLOBAL HOLDINGS LTD            EQUITY    55277J108     626     77,555 SH       SOLE           2     77,555         --       --
MFA FINANCIAL INC                 EQUITY    55272X102   5,808    789,110 SH       SOLE           2    789,110         --       --
MFS CALIF INSD MUN FD             EQUITY    59318C106      26      2,315 SH       DEFINED        4         --         --    2,315
MFS GOVT MKTS INCOME TR           EQUITY    552939100       8      1,000 SH       DEFINED        4         --         --    1,000
MFS INTER INCOME TR               EQUITY    55273C107      25      3,700 SH       DEFINED        3         --         --    3,700
MFS INTER INCOME TR               EQUITY    55273C107      43      6,300 SH       DEFINED        4         --         --    6,300
MFS MULTIMARKET INCOME TR         EQUITY    552737108       5        700 SH       DEFINED        3         --         --      700
MFS MUN INCOME TR                 EQUITY    552738106       2        312 SH       DEFINED        3         --         --      312
MFS SPL VALUE TR                  EQUITY    5.53E+106       6        839 SH       DEFINED        4         --         --      839
MGE ENERGY INC                    EQUITY    55277P104     654     18,501 SH       SOLE           2     18,501         --       --
MGIC INVESTMENT CORP              EQUITY    552848103   1,100    100,251 SH       SOLE           2    100,251         --       --
MGM MIRAGE                        EQUITY    552953101      17      1,450 SH       DEFINED        3         --         --    1,450
MGM MIRAGE                        EQUITY    552953101      54      4,495 SH       SOLE           2      4,495         --       --
MGM MIRAGE                        EQUITY    552953101     237     19,747 SH       DEFINED        4         --         --   19,747
MICREL INC                        EQUITY    594793101     458     42,969 SH       SOLE           2     42,969         --       --
MICROCHIP TECHNOLOGY INC          EQUITY    595017104      51      1,800 SH       DEFINED        4         --         --    1,800
MICROCHIP TECHNOLOGY INC          EQUITY    595017104   3,853    136,814 SH       SOLE           2    136,814         --       --
MICROMET INC                      EQUITY    59509C105     379     46,849 SH       SOLE           2     46,849         --       --
MICRON TECHNOLOGY INC             EQUITY    595112103      32      3,086 SH       DEFINED        4         --         --    3,086
MICRON TECHNOLOGY INC             EQUITY    595112103   3,068    295,257 SH       SOLE           2    295,257         --       --
MICROS SYSTEMS INC                EQUITY    594901100   5,904    179,561 SH       SOLE           2    179,561         --       --
MICROSEMI CORP                    EQUITY    595137100      61      3,500 SH       DEFINED        3         --         --    3,500
MICROSEMI CORP                    EQUITY    595137100   1,327     76,539 SH       SOLE           2     76,539         --       --
MICROSOFT CORP                    EQUITY    594918104     627     21,420 SH       DEFINED        3         --         --   21,420
MICROSOFT CORP                    EQUITY    594918104   1,604     54,771 SH       DEFINED        4         --         --   54,771
MICROSOFT CORP                    EQUITY    594918104 134,262  4,587,015 SH       SOLE           2  4,587,015         --       --
MICROSTRATEGY INCCL A             EQUITY    594972408     617      7,252 SH       SOLE           2      7,252         --       --
MICROTUNE INC                     EQUITY    59514P109     116     42,551 SH       SOLE           2     42,551         --       --





                                                                                        
MICROVISION INC                   EQUITY    594960106     204     72,410 SH       SOLE           2     72,410         --       --
MICROVISION INC DEL               EQUITY    594960106      17      6,000 SH       DEFINED        4         --         --    6,000
MICROVISION INC DEL               EQUITY    594960106      21      7,500 SH       DEFINED        3         --         --    7,500
MICRUS ENDOVASCULAR CORP          EQUITY    59518V102     254     12,866 SH       SOLE           2     12,866         --       --
MIDAMERICA APARTMENT COMM         EQUITY    59522J103   1,380     26,647 SH       SOLE           2     26,647         --       --
MIDAS INC                         EQUITY    595626102     151     13,429 SH       SOLE           2     13,429         --       --
MIDAS, INC.                       EQUITY    595626102     383     33,947 SH       SOLE           1      33947         --       --
MIDDLEBROOK PHARMACEUTICAL        EQUITY    596087106       9     29,740 SH       SOLE           2     29,740         --       --
MIDDLEBY CORP                     EQUITY    596278101       1         26 SH       DEFINED        4         --         --       26
MIDDLEBY CORP                     EQUITY    596278101     753     13,081 SH       SOLE           2     13,081         --       --
MIDDLESEX WATER CO                EQUITY    596680108       5        300 SH       DEFINED        3         --         --      300
MIDDLESEX WATER CO                EQUITY    596680108     187     10,969 SH       SOLE           2     10,969         --       --
MIDSOUTH BANCORP INC              EQUITY    598039105      88      5,361 SH       SOLE           2      5,361         --       --
MILLER INDS INC TENN              EQUITY    600551204       6        500 SH       DEFINED        3         --         --      500
MILLER INDUSTRIES INC/TENN        EQUITY    600551204     102      8,221 SH       SOLE           2      8,221         --       --
MILLICOM INTL CELLULAR S A        EQUITY    L6388F110       4         41 SH       DEFINED        4         --         --       41
MILLICOM INTL CELLULAR S.A        EQUITY    L6388F110     558      6,257 SH       SOLE           2      6,257         --       --
MILLIPORE CORP                    EQUITY    601073109      82        775 SH       DEFINED        4         --         --      775
MILLIPORE CORP                    EQUITY    601073109   2,015     19,079 SH       SOLE           2     19,079         --       --
MINDSPEED TECHNOLOGIES INC        EQUITY    602682205       2        220 SH       DEFINED        4         --         --      220
MINE SAFETY APPLIANCES CO         EQUITY    602720104   2,488     88,970 SH       SOLE           2     88,970         --       --
MINERALS TECHNOLOGIES INC         EQUITY    603158106   2,945     56,807 SH       SOLE           2     56,807         --       --
MIPS TECHNOLOGIES INC             EQUITY    604567107     164     36,763 SH       SOLE           2     36,763         --       --
MIRANT CORP                       EQUITY    60467R100   4,570    420,800 SH       SOLE           1     420800         --       --
MISSION WEST PROPERTIES           EQUITY    605203108      99     14,425 SH       SOLE           2     14,425         --       --
MISTRAS GROUP INC                 EQUITY    60649T107      81      8,157 SH       SOLE           2      8,157         --       --
MITSUBISHI UFJ FINL GROUP IN      EQUITY    606822104       2        338 SH       DEFINED        3         --         --      338
MKS INSTRUMENTS INC               EQUITY    55306N104     908     46,359 SH       SOLE           2     46,359         --       --
MOBILE MINI INC                   EQUITY    60740F105     527     33,994 SH       SOLE           2     33,994         --       --
MODINE MANUFACTURING CO           EQUITY    607828100     430     38,227 SH       SOLE           2     38,227         --       --
MODUSLINK GLOBAL SOLUTIONS        EQUITY    60786L107     315     37,317 SH       SOLE           2     37,317         --       --
MOHAWK INDUSTRIES INC             EQUITY    608190104   6,900    126,877 SH       SOLE           2    126,877         --       --
MOLECULAR INSIGHT PHARMACE        EQUITY    60852M104      18     13,853 SH       SOLE           2     13,853         --       --
MOLEX INC                         EQUITY    608554101      10        500 SH       DEFINED        3         --         --      500
MOLEX INC                         EQUITY    608554101   1,427     68,421 SH       SOLE           2     68,421         --       --
MOLINA HEALTHCARE INC             EQUITY    60855R100     318     12,647 SH       SOLE           2     12,647         --       --
MOLSON COORS BREWING CO           EQUITY    60871R209       5        120 SH       DEFINED        3         --         --      120
MOLSON COORS BREWING CO           EQUITY    60871R209      13        300 SH       DEFINED        4         --         --      300
MOLSON COORS BREWING CO B         EQUITY    60871R209   2,289     54,432 SH       SOLE           2     54,432         --       --
MOMENTA PHARMACEUTICALS IN        EQUITY    60877T100     480     32,056 SH       SOLE           2     32,056         --       --
MONARCH CASINO  RESORT INC        EQUITY    609027107      76      8,859 SH       SOLE           2      8,859         --       --
MONEYGRAM INTERNATIONAL IN        EQUITY    60935Y109     257     67,411 SH       SOLE           2     67,411         --       --
MONEYGRAM INTL INC                EQUITY    60935Y109       2        500 SH       DEFINED        3         --         --      500
MONMOUTH REIT CLASS A             EQUITY    609720107     150     17,800 SH       SOLE           2     17,800         --       --
MONOLITHIC POWER SYSTEMS I        EQUITY    609839105     605     27,139 SH       SOLE           2     27,139         --       --
MONOTYPE IMAGING HOLDINGS         EQUITY    61022P100     172     17,697 SH       SOLE           2     17,697         --       --
MONOTYPE IMAGING HOLDINGS IN      EQUITY    61022P100       2        200 SH       DEFINED        3         --         --      200
MONRO MUFFLER BRAKE INC           EQUITY    610236101     576     16,120 SH       SOLE           2     16,120         --       --
MONSANTO CO                       EQUITY    61166W101  21,587    302,250 SH       SOLE           2    302,250         --       --
MONSANTO CO NEW                   EQUITY    61166W101      33        462 SH       DEFINED        4         --         --      462
MONSANTO CO NEW                   EQUITY    61166W101      92      1,283 SH       DEFINED        3         --         --    1,283
MONSTER WORLDWIDE INC             EQUITY    611742107     895     53,878 SH       SOLE           2     53,878         --       --
MONTPELIER RE HOLDINGS LTD        EQUITY    G62185106       6        339 SH       DEFINED        4         --         --      339
MONTPELIER RE HOLDINGS LTD        EQUITY    G62185106   1,078     64,112 SH       SOLE           2     64,112         --       --
MOODYS CORP                       EQUITY    615369105      12        393 SH       DEFINED        4         --         --      393
MOODYS CORP                       EQUITY    615369105   2,388     80,268 SH       SOLE           2     80,268         --       --
MOOG INCCLASS A                   EQUITY    615394202   1,508     42,588 SH       SOLE           2     42,588         --       --
MORGAN STANLEY                    EQUITY    61745P668       5        350 SH       DEFINED        3         --         --      350
MORGAN STANLEY                    EQUITY    61745P437       5        616 SH       DEFINED        4         --         --      616
MORGAN STANLEY                    EQUITY    61745P866       7        526 SH       DEFINED        4         --         --      526
MORGAN STANLEY                    EQUITY    61745P866       8        550 SH       DEFINED        3         --         --      550
MORGAN STANLEY                    EQUITY    61745P791       9        640 SH       DEFINED        3         --         --      640
MORGAN STANLEY                    EQUITY    61745P668      19      1,444 SH       DEFINED        4         --         --    1,444
MORGAN STANLEY                    EQUITY    617446448      20        685 SH       DEFINED        4         --         --      685
MORGAN STANLEY                    EQUITY    61745P585      65      4,850 SH       DEFINED        4         --         --    4,850
MORGAN STANLEY                    EQUITY    61745P734      68      5,415 SH       DEFINED        4         --         --    5,415
MORGAN STANLEY                    EQUITY    617446448  16,458    561,885 SH       SOLE           2    561,885         --       --
MORGAN STANLEY EM MKTS DM DE      EQUITY    617477104      59      3,950 SH       DEFINED        4         --         --    3,950
MORGAN STANLEY EMER MKTS DEB      EQUITY    61744H105     394     37,739 SH       DEFINED        4         --         --   37,739
MORGAN STANLEY HIGH YIELD FD      EQUITY    61744M104      15      2,500 SH       DEFINED        4         --         --    2,500
MORGAN STANLEY INDIA INVS FD      EQUITY    61745C105     133      5,704 SH       DEFINED        4         --         --    5,704
MORGANS HOTEL GROUP CO            EQUITY    61748W108     114     17,738 SH       SOLE           2     17,738         --       --
MORNINGSTAR INC                   EQUITY    617700109      18        367 SH       SOLE           2        367         --       --
MOSAIC CO                         EQUITY    61945A107      19        317 SH       DEFINED        3         --         --      317
MOSAIC CO                         EQUITY    61945A107      62      1,020 SH       DEFINED        4         --         --    1,020
MOTOROLA INC                      EQUITY    620076109      25      3,505 SH       DEFINED        3         --         --    3,505
MOTOROLA INC                      EQUITY    620076109     161     22,927 SH       DEFINED        4         --         --   22,927
MOTOROLA INC                      EQUITY    620076109   5,242    746,693 SH       SOLE           2    746,693         --       --
MOVADO GROUP INC                  EQUITY    624580106     177     15,708 SH       SOLE           2     15,708         --       --
MOVE INC                          EQUITY    62458M108     263    125,970 SH       SOLE           2    125,970         --       --
MSC INDUSTRIAL DIRECT COA         EQUITY    553530106   5,056     99,687 SH       SOLE           2     99,687         --       --
MSCI INC                          EQUITY    55354G100       2         60 SH       DEFINED        3         --         --       60
MSCI INCA                         EQUITY    55354G100   8,540    236,566 SH       SOLE           2    236,566         --       --
MTS SYSTEMS CORP                  EQUITY    553777103     464     15,971 SH       SOLE           2     15,971         --       --
MUELLER INDUSTRIES INC            EQUITY    624756102     937     34,983 SH       SOLE           2     34,983         --       --
MUELLER WATER PRODUCTS INC        EQUITY    624758108       9      1,862 SH       SOLE           1       1862         --       --
MUELLER WATER PRODUCTS INC        EQUITY    624758108     589    123,249 SH       SOLE           2    123,249         --       --
MUELLER WTR PRODS INC             EQUITY    624758108       1        300 SH       DEFINED        3         --         --      300
MULTICOLOR CORP                   EQUITY    625383104     101      8,455 SH       SOLE           2      8,455         --       --
MULTIFINELINE ELECTRONIX I        EQUITY    62541B101   7,517    291,812 SH       SOLE           2    291,812         --       --
MULTIMEDIA GAMES INC              EQUITY    625453105     100     25,548 SH       SOLE           2     25,548         --       --
MURPHY OIL CORP                   EQUITY    626717102       3         47 SH       DEFINED        3         --         --       47
MURPHY OIL CORP                   EQUITY    626717102   8,017    142,685 SH       SOLE           2    142,685         --       --
MVC CAPITAL INC                   EQUITY    553829102     240     17,664 SH       SOLE           2     17,664         --       --





                                                                                        
MWI VETERINARY SUPPLY INC         EQUITY    55402X105       8        200 SH       DEFINED        4         --         --      200
MWI VETERINARY SUPPLY INC         EQUITY    55402X105     424     10,492 SH       SOLE           2     10,492         --       --
MYERS INDUSTRIES INC              EQUITY    628464109     311     29,637 SH       SOLE           2     29,637         --       --
MYLAN INC                         EQUITY    628530107       7        300 SH       DEFINED        3         --         --      300
MYLAN INC                         EQUITY    628530107      27      1,210 SH       DEFINED        4         --         --    1,210
MYLAN INC                         EQUITY    628530206     123         90 SH       DEFINED        4         --         --       90
MYLAN INC                         EQUITY    628530107  27,067  1,191,833 SH       SOLE           2  1,191,833         --       --
MYR GROUP INC/DELAWARE            EQUITY    55405W104     230     14,074 SH       SOLE           2     14,074         --       --
MYRIAD GENETICS INC               EQUITY    62855J104      45      1,860 SH       SOLE           2      1,860         --       --
MYRIAD PHARMACEUTICALS            EQUITY    62856H107      88     19,502 SH       SOLE           2     19,502         --       --
N B T BANCORP INC                 EQUITY    628778102     736     32,218 SH       SOLE           2     32,218         --       --
NABI BIOPHARMACEUTICALS           EQUITY    629519109     230     42,048 SH       SOLE           2     42,048         --       --
NABORS INDS INC                   FIXED
                                     INCOME 629568AP1       3          3 PRN      DEFINED        4         --         --        3
NABORS INDUSTRIES LTD             EQUITY    G6359F103       2         87 SH       DEFINED        4         --         --       87
NABORS INDUSTRIES LTD             EQUITY    G6359F103       8        430 SH       DEFINED        3         --         --      430
NABORS INDUSTRIES LTD             EQUITY    G6359F103   2,810    143,130 SH       SOLE           2    143,130         --       --
NACCO INDUSTRIESCL A              EQUITY    629579103     325      4,380 SH       SOLE           2      4,380         --       --
NALCO HOLDING CO                  EQUITY    62985Q101      64      2,642 SH       SOLE           2      2,642         --       --
NAM TAI ELECTRS INC               EQUITY    629865205      20      4,000 SH       DEFINED        4         --         --    4,000
NANOSPHERE INC                    EQUITY    63009F105      50     10,456 SH       SOLE           2     10,456         --       --
NARA BANCORP INC                  EQUITY    63080P105     276     31,455 SH       SOLE           2     31,455         --       --
NASB FINANCIAL INC                EQUITY    628968109      65      2,815 SH       SOLE           2      2,815         --       --
NASDAQ OMX GROUP INC              EQUITY    631103108      11        535 SH       DEFINED        3         --         --      535
NASDAQ OMX GROUP INC              EQUITY    631103108      21      1,000 SH       DEFINED        4         --         --    1,000
NASDAQ OMX GROUP/THE              EQUITY    631103108   1,426     67,535 SH       SOLE           2     67,535         --       --
NASDAQ PREM INCM & GRW FD IN      EQUITY    63110R105      37      2,648 SH       DEFINED        3         --         --    2,648
NASDAQ PREM INCM & GRW FD IN      EQUITY    63110R105      48      3,471 SH       DEFINED        4         --         --    3,471
NASH FINCH CO                     EQUITY    631158102     412     12,245 SH       SOLE           2     12,245         --       --
NATIONAL BANKSHARES INC/VA        EQUITY    634865109     154      5,660 SH       SOLE           2      5,660         --       --
NATIONAL BEVERAGE CORP            EQUITY    635017106      99      8,868 SH       SOLE           2      8,868         --       --
NATIONAL CINEMEDIA INC            EQUITY    635309107     583     33,754 SH       SOLE           2     33,754         --       --
NATIONAL FINANCIAL PARTNER        EQUITY    63607P208     555     39,351 SH       SOLE           2     39,351         --       --
NATIONAL FUEL GAS CO              EQUITY    636180101   9,260    183,182 SH       SOLE           2    183,182         --       --
NATIONAL FUEL GAS CO N J          EQUITY    636180101     100      1,980 SH       DEFINED        4         --         --    1,980
NATIONAL GRID PLC                 EQUITY    636274300      10        209 SH       DEFINED        4         --         --      209
NATIONAL HEALTH INVS INC          EQUITY    63633D104      93      2,395 SH       DEFINED        4         --         --    2,395
NATIONAL HEALTHCARE CORP          EQUITY    635906100     231      6,532 SH       SOLE           2      6,532         --       --
NATIONAL INSTRS CORP              EQUITY    636518102       7        200 SH       DEFINED        3         --         --      200
NATIONAL INSTRUMENTS CORP         EQUITY    636518102   4,303    129,024 SH       SOLE           2    129,024         --       --
NATIONAL INTERSTATE CORP          EQUITY    63654U100     103      4,989 SH       SOLE           2      4,989         --       --
NATIONAL OILWELL VARCO INC        EQUITY    637071101      11        264 SH       DEFINED        3         --         --      264
NATIONAL OILWELL VARCO INC        EQUITY    637071101     257      6,329 SH       DEFINED        4         --         --    6,329
NATIONAL PENN BANCSHARES INC      EQUITY    637138108      19      2,753 SH       DEFINED        3         --         --    2,753
NATIONAL PRESTO INDS INC          EQUITY    637215104     536      4,505 SH       SOLE           2      4,505         --       --
NATIONAL RESEARCH CORP            EQUITY    637372103      34      1,354 SH       SOLE           2      1,354         --       --
NATIONAL RETAIL PROPERTIES        EQUITY    637417106   1,725     75,542 SH       SOLE           2     75,542         --       --
NATIONAL RETAIL PROPERTIES I      EQUITY    637417106     699     30,626 SH       DEFINED        3         --         --   30,626
NATIONAL SEMICONDUCTOR COR        EQUITY    637640103   2,182    151,014 SH       SOLE           2    151,014         --       --
NATIONAL SEMICONDUCTOR CORP       EQUITY    637640103       1        100 SH       DEFINED        4         --         --      100
NATIONALOILWELL VARCO INC         EQUITY    637071101   7,939    195,638 SH       SOLE           2    195,638         --       --
NATIONWIDE HEALTH PPTYS IN        EQUITY    638620104   9,305    264,735 SH       SOLE           2    264,735         --       --
NATL HEALTH INVESTORS INC         EQUITY    63633D104     806     20,800 SH       SOLE           2     20,800         --       --
NATL PENN BCSHS INC               EQUITY    637138108     819    118,725 SH       SOLE           2    118,725         --       --
NATL WESTERN LIFE INSCL A         EQUITY    638522102     340      1,842 SH       SOLE           2      1,842         --       --
NATURAL GAS SERVICES GROUP        EQUITY    63886Q109     157      9,879 SH       SOLE           2      9,879         --       --
NATURAL RESOURCE PARTNERS L       EQUITY    63900P103       5        200 SH       DEFINED        4         --         --      200
NATURAL RESOURCE PARTNERS L       EQUITY    63900P103       8        300 SH       DEFINED        3         --         --      300
NATUS MEDICAL INC                 EQUITY    639050103     426     26,791 SH       SOLE           2     26,791         --       --
NAUTILUS INC                      EQUITY    63910B102       9      2,854 SH       SOLE           2      2,854         --       --
NAVIGANT CONSULTING INC           EQUITY    63935N107   1,840    151,690 SH       SOLE           2    151,690         --       --
NAVIGATORS GROUP INC              EQUITY    638904102     466     11,849 SH       SOLE           2     11,849         --       --
NAVIOS MARITIME PARTNERS L P      EQUITY    Y62267102       9        500 SH       DEFINED        4         --         --      500
NAVISTAR INTERNATIONAL            EQUITY    6.39E+112   1,902     42,522 SH       SOLE           2     42,522         --       --
NAVISTAR INTL CORP NEW            EQUITY    6.39E+112     358      8,000 SH       DEFINED        3         --         --    8,000
NBTY INC                          EQUITY    628782104       6        129 SH       DEFINED        4         --         --      129
NBTY INC                          EQUITY    628782104   6,830    142,351 SH       SOLE           2    142,351         --       --
NCI BUILDING SYSTEMS INC          EQUITY    628852204     190     17,235 SH       SOLE           2     17,235         --       --
NCI INCCLASS A                    EQUITY    62886K104     189      6,267 SH       SOLE           2      6,267         --       --
NCR CORP NEW                      EQUITY    6.29E+112      10        702 SH       DEFINED        4         --         --      702
NCR CORPORATION                   EQUITY    6.29E+112   4,951    358,753 SH       SOLE           2    358,753         --       --
NEENAH PAPER INC                  EQUITY    640079109     222     13,998 SH       SOLE           2     13,998         --       --
NEKTAR THERAPEUTICS               EQUITY    640268108   1,128     74,172 SH       SOLE           2     74,172         --       --
NELNET INCCL A                    EQUITY    64031N108     292     15,735 SH       SOLE           2     15,735         --       --
NEOGEN CORP                       EQUITY    640491106     484     19,283 SH       SOLE           2     19,283         --       --
NESS TECHNOLOGIES INC             EQUITY    64104X108     199     31,611 SH       SOLE           2     31,611         --       --
NET 1 UEPS TECHNOLOGIES IN        EQUITY    64107N206     458     24,895 SH       SOLE           2     24,895         --       --
NET 1 UEPS TECHNOLOGIES INC       EQUITY    64107N206       5        285 SH       DEFINED        3         --         --      285
NETAPP INC                        EQUITY    64110D104      10        300 SH       DEFINED        3         --         --      300
NETAPP INC                        EQUITY    64110D104   5,771    177,236 SH       SOLE           2    177,236         --       --
NETEZZA CORP                      EQUITY    64111N101     493     38,514 SH       SOLE           2     38,514         --       --
NETFLIX INC                       EQUITY    64110L106      15        200 SH       DEFINED        4         --         --      200
NETFLIX INC                       EQUITY    64110L106      70        950 SH       DEFINED        3         --         --      950
NETFLIX INC                       EQUITY    64110L106   7,025     95,271 SH       SOLE           2     95,271         --       --
NETGEAR INC                       EQUITY    64111Q104      13        500 SH       DEFINED        3         --         --      500
NETGEAR INC                       EQUITY    64111Q104     845     32,384 SH       SOLE           2     32,384         --       --
NETLOGIC MICROSYSTEMS INC         EQUITY    64118B100      63      2,148 SH       DEFINED        3         --         --    2,148
NETLOGIC MICROSYSTEMS INC         EQUITY    64118B100   1,109     37,696 SH       SOLE           2     37,696         --       --
NETSCOUT SYS INC                  EQUITY    64115T104      14        954 SH       DEFINED        3         --         --      954
NETSCOUT SYSTEMS INC              EQUITY    64115T104     368     24,902 SH       SOLE           2     24,902         --       --
NETSUITE INC                      EQUITY    64118Q107     198     13,628 SH       SOLE           2     13,628         --       --
NETWORK EQUIPMENT TECH INC        EQUITY    641208103     154     27,992 SH       SOLE           2     27,992         --       --
NEUBERGER BERMAN INTER MUNI       EQUITY    64124P101       2        150 SH       DEFINED        3         --         --      150
NEUBERGER BERMAN NY INT MUN       EQUITY    64124K102      22      1,500 SH       DEFINED        3         --         --    1,500
NEUBERGER BERMAN RE ES SEC F      EQUITY    64190A103       5      1,500 SH       DEFINED        4         --         --    1,500





                                                                                        
NEURALSTEM INC                    EQUITY    64127R302      16      8,000 SH       DEFINED        3         --         --    8,000
NEUROCRINE BIOSCIENCES INC        EQUITY    64125C109      81     31,902 SH       SOLE           2     31,902         --       --
NEUROGESX INC                     EQUITY    641252101      79      8,438 SH       SOLE           2      8,438         --       --
NEUSTAR INCCLASS A                EQUITY    64126X201   4,232    167,939 SH       SOLE           2    167,939         --       --
NEUTRAL TANDEM INC                EQUITY    64128B108      18      1,100 SH       DEFINED        3         --         --    1,100
NEUTRAL TANDEM INC                EQUITY    64128B108     495     30,956 SH       SOLE           2     30,956         --       --
NEW AMER HIGH INCOME FD INC       EQUITY    641876800     207     21,921 SH       DEFINED        4         --         --   21,921
NEW GERMANY FD INC                EQUITY    644465106       6        500 SH       DEFINED        4         --         --      500
NEW JERSEY RES                    EQUITY    646025106      13        350 SH       DEFINED        4         --         --      350
NEW JERSEY RESOURCES CORP         EQUITY    646025106   1,484     39,510 SH       SOLE           2     39,510         --       --
NEW ORIENTAL ED & TECH GRP I      EQUITY    647581107       9        100 SH       DEFINED        4         --         --      100
NEW ORIENTAL ED & TECH GRP I      EQUITY    647581107     566      6,624 SH       DEFINED        3         --         --    6,624
NEW YORK  CO                      EQUITY    649295102      98     20,469 SH       SOLE           2     20,469         --       --
NEW YORK CMNTY BANCORP INC        EQUITY    649445103     178     10,750 SH       DEFINED        3         --         --   10,750
NEW YORK CMNTY BANCORP INC        EQUITY    649445103     286     17,305 SH       DEFINED        4         --         --   17,305
NEW YORK COMMUNITY BANCORP        EQUITY    649445103  16,205    979,753 SH       SOLE           2    979,753         --       --
NEW YORK TIMES COCL A             EQUITY    650111107     553     49,682 SH       SOLE           2     49,682         --       --
NEWALLIANCE BANCSHARES INC        EQUITY    650203102   4,076    322,982 SH       SOLE           2    322,982         --       --
NEWCASTLE INVT CORP               EQUITY    65105M108       6      2,000 SH       DEFINED        4         --         --    2,000
NEWELL RUBBERMAID INC             EQUITY    651229106       5        300 SH       DEFINED        3         --         --      300
NEWELL RUBBERMAID INC             EQUITY    651229106   2,127    139,962 SH       SOLE           2    139,962         --       --
NEWFIELD EXPL CO                  EQUITY    651290108      27        517 SH       DEFINED        3         --         --      517
NEWFIELD EXPLORATION CO           EQUITY    651290108  15,642    300,525 SH       SOLE           2    300,525         --       --
NEWMARKET CORP                    EQUITY    651587107     998      9,690 SH       SOLE           2      9,690         --       --
NEWMONT MINING CORP               EQUITY    651639106       8        149 SH       DEFINED        3         --         --      149
NEWMONT MINING CORP               EQUITY    651639106      13        246 SH       DEFINED        4         --         --      246
NEWMONT MINING CORP               EQUITY    651639106   8,025    157,572 SH       SOLE           2    157,572         --       --
NEWPARK RES INC                   EQUITY    651718504       2        340 SH       DEFINED        4         --         --      340
NEWPARK RESOURCES INC             EQUITY    651718504     380     72,419 SH       SOLE           2     72,419         --       --
NEWPORT CORP                      EQUITY    651824104     432     34,569 SH       SOLE           2     34,569         --       --
NEWS CORP                         EQUITY    6.52E+108       5        374 SH       DEFINED        3         --         --      374
NEWS CORP                         EQUITY    6.52E+108      11        794 SH       DEFINED        4         --         --      794
NEWS CORPCL A                     EQUITY    6.52E+108  15,106  1,048,282 SH       SOLE           2  1,048,282         --       --
NEWSTAR FINANCIAL INC             EQUITY    65251F105     144     22,605 SH       SOLE           2     22,605         --       --
NEWTEK BUSINESS SERVICES INC      EQUITY    652526104   1,592  1,273,417 SH       SOLE           1    1273417         --       --
NFJ DIVID INT & PREM STRTGY       EQUITY    65337H109       9        555 SH       DEFINED        3         --         --      555
NFJ DIVID INT & PREM STRTGY       EQUITY    65337H109     535     33,817 SH       DEFINED        4         --         --   33,817
NGAS RESOURCES INC                EQUITY    62912T103       2      1,030 SH       DEFINED        3         --         --    1,030
NGP CAPITAL RESOURCES CO          EQUITY    62912R107     151     17,667 SH       SOLE           2     17,667         --       --
NIC INC                           EQUITY    62914B100      79     10,000 SH       DEFINED        4         --         --   10,000
NIC INC                           EQUITY    62914B100     324     41,168 SH       SOLE           2     41,168         --       --
NICE SYS LTD                      EQUITY    653656108      42      1,319 SH       DEFINED        4         --         --    1,319
NICHOLAS APPLEGATE CV&INC FD      EQUITY    65370G109      21      2,265 SH       DEFINED        3         --         --    2,265
NICHOLAS APPLEGATE CV&INC FD      EQUITY    65370G109      38      4,071 SH       DEFINED        4         --         --    4,071
NICHOLAS-APPLEGATE CV & INC       EQUITY    65370F101     428     43,427 SH       DEFINED        4         --         --   43,427
NICHOLAS-APPLEGATE CV & INC       EQUITY    65370F101   3,578    363,267 SH       DEFINED        3         --         --  363,267
NICHOLAS-APPLGT INTL & PRM S      EQUITY    65370C108       8        500 SH       DEFINED        3         --         --      500
NICOR INC                         EQUITY    654086107   3,806     90,797 SH       SOLE           2     90,797         --       --
NIGHTHAWK RADIOLOGY HLDGS IN      EQUITY    65411N105     157     49,350 SH       DEFINED        4         --         --   49,350
NIGHTHAWK RADIOLOGY HOLDIN        EQUITY    65411N105      49     15,346 SH       SOLE           2     15,346         --       --
NII HLDGS INC                     EQUITY    62913F201       5        130 SH       DEFINED        3         --         --      130
NII HLDGS INC                     EQUITY    62913F201      17        400 SH       DEFINED        4         --         --      400
NII HOLDINGS INC                  EQUITY    62913F201     583     13,999 SH       SOLE           2     13,999         --       --
NIKE INC                          EQUITY    654106103      32        429 SH       DEFINED        4         --         --      429
NIKE INC                          EQUITY    654106103      55        744 SH       DEFINED        3         --         --      744
NIKE INC CL B                     EQUITY    654106103  11,947    162,539 SH       SOLE           2    162,539         --       --
NISOURCE INC                      EQUITY    65473P105      22      1,400 SH       DEFINED        4         --         --    1,400
NISOURCE INC                      EQUITY    65473P105   3,865    244,613 SH       SOLE           2    244,613         --       --
NIVS INTELLIMEDIA TECHNOLO        EQUITY    62914U108      26      6,679 SH       SOLE           2      6,679         --       --
NL INDUSTRIES                     EQUITY    629156407      48      5,558 SH       SOLE           2      5,558         --       --
NOBEL LEARNING CMNTYS INC         EQUITY    654889104       2        234 SH       DEFINED        3         --         --      234
NOBEL LEARNING COMMUNITIES        EQUITY    654889104      26      3,334 SH       SOLE           2      3,334         --       --
NOBLE CORP                        EQUITY    H5833N103   2,446     58,500 SH       SOLE           2     58,500         --       --
NOBLE CORPORATION BAAR            EQUITY    H5833N103      10        230 SH       DEFINED        3         --         --      230
NOBLE CORPORATION BAAR            EQUITY    H5833N103     958     22,905 SH       DEFINED        4         --         --   22,905
NOBLE ENERGY INC                  EQUITY    655044105       6         86 SH       DEFINED        3         --         --       86
NOBLE ENERGY INC                  EQUITY    655044105   6,876     94,191 SH       SOLE           2     94,191         --       --
NOKIA CORP                        EQUITY    654902204      26      1,674 SH       DEFINED        3         --         --    1,674
NOKIA CORP                        EQUITY    654902204     200     12,842 SH       DEFINED        4         --         --   12,842
NORDIC AMER TANKER SHIPPIN        EQUITY    G65773106   1,138     37,585 SH       SOLE           2     37,585         --       --
NORDIC AMERICAN TANKER SHIPP      EQUITY    G65773106      49      1,627 SH       DEFINED        3         --         --    1,627
NORDIC AMERICAN TANKER SHIPP      EQUITY    G65773106     817     26,986 SH       DEFINED        4         --         --   26,986
NORDSON CORP                      EQUITY    655663102   6,950    102,320 SH       SOLE           2    102,320         --       --
NORDSTROM INC                     EQUITY    655664100       8        196 SH       DEFINED        3         --         --      196
NORDSTROM INC                     EQUITY    655664100      50      1,222 SH       DEFINED        4         --         --    1,222
NORDSTROM INC                     EQUITY    655664100   2,992     73,234 SH       SOLE           2     73,234         --       --
NORFOLK SOUTHERN CORP             EQUITY    655844108      13        227 SH       DEFINED        3         --         --      227
NORFOLK SOUTHERN CORP             EQUITY    655844108      87      1,552 SH       DEFINED        4         --         --    1,552
NORFOLK SOUTHERN CORP             EQUITY    655844108  10,270    183,762 SH       SOLE           2    183,762         --       --
NORTH AMERICAN GALVANIZING        EQUITY    65686Y109      58     10,380 SH       SOLE           2     10,380         --       --
NORTH EUROPEAN OIL RTY TR         EQUITY    659310106      13        450 SH       DEFINED        3         --         --      450
NORTHEAST COMMUNITY BANCOR        EQUITY    664112109      35      4,807 SH       SOLE           2      4,807         --       --
NORTHEAST UTILITIES               EQUITY    664397106   6,037    218,403 SH       SOLE           2    218,403         --       --
NORTHEAST UTILS                   EQUITY    664397106       3        105 SH       DEFINED        4         --         --      105
NORTHERN DYNASTY MINERALS LT      EQUITY    66510M204      12      1,213 SH       DEFINED        3         --         --    1,213
NORTHERN OIL AND GAS INC          EQUITY    665531109     463     29,222 SH       SOLE           2     29,222         --       --
NORTHERN TR CORP                  EQUITY    665859104       6        108 SH       DEFINED        4         --         --      108
NORTHERN TRUST CORP               EQUITY    665859104   7,183    129,978 SH       SOLE           2    129,978         --       --
NORTHFIELD BANCORP INC NEW        EQUITY    66611L105      52      3,600 SH       DEFINED        4         --         --    3,600
NORTHFIELD BANCORP INC/NJ         EQUITY    66611L105     229     15,821 SH       SOLE           2     15,821         --       --
NORTHGATE MINERALS CORP           EQUITY    666416102       7      2,250 SH       DEFINED        4         --         --    2,250
NORTHRIM BANCORP INC              EQUITY    666762109      88      5,172 SH       SOLE           2      5,172         --       --
NORTHROP GRUMMAN CORP             EQUITY    666807102     342      5,221 SH       DEFINED        4         --         --    5,221
NORTHROP GRUMMAN CORP             EQUITY    666807102  14,306    218,172 SH       SOLE           2    218,172         --       --





                                                                                        
NORTHSTAR REALTY FINANCE C        EQUITY    66704R100     228     54,189 SH       SOLE           2     54,189         --       --
NORTHWEST BANCSHARES INC          EQUITY    667340103   5,853    498,510 SH       SOLE           2    498,510         --       --
NORTHWEST NAT GAS CO              EQUITY    667655104     103      2,206 SH       DEFINED        3         --         --    2,206
NORTHWEST NATURAL GAS CO          EQUITY    667655104   1,161     24,915 SH       SOLE           2     24,915         --       --
NORTHWEST PIPE COMPANY            EQUITY    667746101     165      7,544 SH       SOLE           2      7,544         --       --
NORTHWESTERN CORP                 EQUITY    668074305     772     28,800 SH       SOLE           2     28,800         --       --
NORWOOD FINANCIAL CORP            EQUITY    669549107      41      1,530 SH       SOLE           2      1,530         --       --
NOVAMED INC                       EQUITY    66986W108      55     16,313 SH       SOLE           2     16,313         --       --
NOVARTIS A G                      EQUITY    66987V109      25        459 SH       DEFINED        3         --         --      459
NOVARTIS A G                      EQUITY    66987V109     140      2,593 SH       DEFINED        4         --         --    2,593
NOVATEL WIRELESS INC              EQUITY    66987M604     196     29,132 SH       SOLE           2     29,132         --       --
NOVAVAX INC                       EQUITY    670002104       8      3,600 SH       DEFINED        4         --         --    3,600
NOVAVAX INC                       EQUITY    670002104     135     58,523 SH       SOLE           2     58,523         --       --
NOVELL INC                        EQUITY    670006105     723    120,680 SH       SOLE           2    120,680         --       --
NOVELLUS SYS INC                  EQUITY    670008101      10        400 SH       DEFINED        4         --         --      400
NOVELLUS SYSTEMS INC              EQUITY    670008101     826     33,056 SH       SOLE           2     33,056         --       --
NOVO-NORDISK A S                  EQUITY    670100205      13        164 SH       DEFINED        4         --         --      164
NPS PHARMACEUTICALS INC           EQUITY    62936P103     196     38,804 SH       SOLE           2     38,804         --       --
NRG ENERGY INC                    EQUITY    629377508      10        500 SH       DEFINED        4         --         --      500
NRG ENERGY INC                    EQUITY    629377508   1,909     91,348 SH       SOLE           2     91,348         --       --
NRG ENERGY INC                    EQUITY    629377508   5,372    257,046 SH       SOLE           1     257046         --       --
NSTAR                             EQUITY    6.70E+111       1         40 SH       DEFINED        3         --         --       40
NSTAR                             EQUITY    6.70E+111      51      1,450 SH       DEFINED        4         --         --    1,450
NSTAR                             EQUITY    6.70E+111   8,566    241,852 SH       SOLE           2    241,852         --       --
NTELOS HOLDINGS CORP              EQUITY    67020Q107     504     28,335 SH       SOLE           2     28,335         --       --
NTT DOCOMO INC                    EQUITY    62942M201       5        348 SH       DEFINED        4         --         --      348
NU SKIN ENTERPRISES INC           EQUITY    67018T105      12        401 SH       DEFINED        3         --         --      401
NU SKIN ENTERPRISES INC  A        EQUITY    67018T105   1,153     39,611 SH       SOLE           2     39,611         --       --
NUANCE COMMUNICATIONS INC         EQUITY    67020Y100       8        500 SH       DEFINED        4         --         --      500
NUANCE COMMUNICATIONS INC         EQUITY    67020Y100  10,283    617,972 SH       SOLE           2    617,972         --       --
NUCOR CORP                        EQUITY    670346105      65      1,434 SH       DEFINED        4         --         --    1,434
NUCOR CORP                        EQUITY    670346105      89      1,958 SH       DEFINED        3         --         --    1,958
NUCOR CORP                        EQUITY    670346105   4,596    101,279 SH       SOLE           2    101,279         --       --
NUSTAR ENERGY LP                  EQUITY    67058H102      73      1,200 SH       DEFINED        3         --         --    1,200
NUSTAR ENERGY LP                  EQUITY    67058H102      85      1,400 SH       DEFINED        4         --         --    1,400
NUSTAR GP HOLDINGS LLC            EQUITY    67059L102      23        790 SH       DEFINED        3         --         --      790
NUTRACEUTICAL INTL CORP           EQUITY    67060Y101     133      8,900 SH       SOLE           2      8,900         --       --
NUTRI SYS INC NEW                 EQUITY    67069D108       4        235 SH       DEFINED        4         --         --      235
NUTRISYSTEM INC                   EQUITY    67069D108     515     28,899 SH       SOLE           2     28,899         --       --
NUVASIVE INC                      EQUITY    670704105   6,863    151,826 SH       SOLE           2    151,826         --       --
NUVEEN ARIZ DIVID ADVANTAGE       EQUITY    67071P107      42      3,136 SH       DEFINED        4         --         --    3,136
NUVEEN CALIF MUN VALUE FD         EQUITY    67062C107       8        900 SH       DEFINED        3         --         --      900
NUVEEN CORE EQUITY ALPHA FUN      EQUITY    67090X107      31      2,545 SH       DEFINED        4         --         --    2,545
NUVEEN DIVERSIFIED DIV INCM       EQUITY    6706EP105      17      1,614 SH       DEFINED        4         --         --    1,614
NUVEEN ENHANCED MUN VALUE FD      EQUITY    67074M101      19      1,333 SH       DEFINED        4         --         --    1,333
NUVEEN EQTY PRM OPPORTUNITYF      EQUITY    6706EM102       7        500 SH       DEFINED        3         --         --      500
NUVEEN EQTY PRM OPPORTUNITYF      EQUITY    6706EM102      49      3,666 SH       DEFINED        4         --         --    3,666
NUVEEN EQUITY PREM ADV FD         EQUITY    6706ET107       1        100 SH       DEFINED        3         --         --      100
NUVEEN EQUITY PREM ADV FD         EQUITY    6706ET107       3        250 SH       DEFINED        4         --         --      250
NUVEEN EQUITY PREM INCOME FD      EQUITY    6706ER101      10        750 SH       DEFINED        4         --         --      750
NUVEEN FLOATING RATE INCOME       EQUITY    67072T108      10        800 SH       DEFINED        4         --         --      800
NUVEEN FLTNG RTE INCM OPP FD      EQUITY    6706EN100       6        500 SH       DEFINED        3         --         --      500
NUVEEN FLTNG RTE INCM OPP FD      EQUITY    6706EN100      43      3,500 SH       DEFINED        4         --         --    3,500
NUVEEN GA DIV ADV MUN FD 2        EQUITY    67072B107      10        733 SH       DEFINED        4         --         --      733
NUVEEN GA PREM INCOME MUN FD      EQUITY    67060F102      37      2,660 SH       DEFINED        3         --         --    2,660
NUVEEN GBL VL OPPORTUNITIES       EQUITY    6706EH103      12        634 SH       DEFINED        4         --         --      634
NUVEEN GLB GOVT ENHANCED IN       EQUITY    67073C104      14        808 SH       DEFINED        4         --         --      808
NUVEEN INSD CA PREM INCOME 2      EQUITY    67061U108       7        560 SH       DEFINED        4         --         --      560
NUVEEN INSD MUN OPPORTUNITY       EQUITY    670984103      25      1,800 SH       DEFINED        3         --         --    1,800
NUVEEN INSD PREM INCOME MUN       EQUITY    6706D8104      15      1,150 SH       DEFINED        4         --         --    1,150
NUVEEN INSD PREM INCOME MUN       EQUITY    6706D8104      32      2,500 SH       DEFINED        3         --         --    2,500
NUVEEN INSD QUALITY MUN FD I      EQUITY    67062N103       9        611 SH       DEFINED        3         --         --      611
NUVEEN MICH PREM INCOME MUN       EQUITY    67101Q109      13      1,000 SH       DEFINED        4         --         --    1,000
NUVEEN MICH QUALITY INCOME M      EQUITY    670979103      43      3,335 SH       DEFINED        4         --         --    3,335
NUVEEN MULT CURR ST GV INCM       EQUITY    67090N109       3        200 SH       DEFINED        4         --         --      200
NUVEEN MULTI STRAT INC & GR       EQUITY    67073B106       7        844 SH       DEFINED        4         --         --      844
NUVEEN MULTI STRAT INC & GR       EQUITY    67073B106      60      7,600 SH       DEFINED        3         --         --    7,600
NUVEEN MULTI STRAT INC GR FD      EQUITY    67073D102     153     18,565 SH       DEFINED        4         --         --   18,565
NUVEEN MULTI STRAT INC GR FD      EQUITY    67073D102     310     37,480 SH       DEFINED        3         --         --   37,480
NUVEEN MUN VALUE FD INC           EQUITY    670928100      25      2,511 SH       DEFINED        4         --         --    2,511
NUVEEN N C DIV ADV FD 2           EQUITY    67071D104      93      5,845 SH       DEFINED        3         --         --    5,845
NUVEEN N C PREM INCOME MUN F      EQUITY    67060P100     120      8,000 SH       DEFINED        3         --         --    8,000
NUVEEN NC DIV ADV MUN FD 3        EQUITY    67072D103     135      9,000 SH       DEFINED        3         --         --    9,000
NUVEEN NC DIVID ADVANTAGE MU      EQUITY    67069N106     197     11,750 SH       DEFINED        3         --         --   11,750
NUVEEN NY DIVID ADVNTG MUN F      EQUITY    67066X107       4        260 SH       DEFINED        4         --         --      260
NUVEEN OHIO QUALITY INCOME M      EQUITY    670980101       8        519 SH       DEFINED        3         --         --      519
NUVEEN PA PREM INCOME MUN FD      EQUITY    67061F101       9        700 SH       DEFINED        3         --         --      700
NUVEEN PERFORMANCE PLUS MUN       EQUITY    67062P108       6        400 SH       DEFINED        3         --         --      400
NUVEEN PREM INCOME MUN FD         EQUITY    67062T100       4        325 SH       DEFINED        3         --         --      325
NUVEEN PREM INCOME MUN FD 2       EQUITY    67063W102      27      2,000 SH       DEFINED        4         --         --    2,000
NUVEEN PREMIER INSD MUN INCO      EQUITY    670987106      12        826 SH       DEFINED        4         --         --      826
NUVEEN PREMIER INSD MUN INCO      EQUITY    670987106     458     31,650 SH       DEFINED        3         --         --   31,650
NUVEEN QUALITY INCOME MUN FD      EQUITY    670977107      11        757 SH       DEFINED        3         --         --      757
NUVEEN QUALITY INCOME MUN FD      EQUITY    670977107     104      7,300 SH       DEFINED        4         --         --    7,300
NUVEEN QUALITY PFD INCOME FD      EQUITY    67071S101       1        200 SH       DEFINED        3         --         --      200
NUVEEN QUALITY PFD INCOME FD      EQUITY    67072C105      15      1,885 SH       DEFINED        3         --         --    1,885
NUVEEN QUALITY PFD INCOME FD      EQUITY    67072C105      28      3,554 SH       DEFINED        4         --         --    3,554
NUVEEN QUALITY PFD INCOME FD      EQUITY    67071S101      56      7,666 SH       DEFINED        4         --         --    7,666
NUVEEN SELECT TAX FREE INCM       EQUITY    67063X100       3        189 SH       DEFINED        3         --         --      189
NUVEEN SELECT TAX FREE INCM       EQUITY    67062F100       9        600 SH       DEFINED        4         --         --      600
NUVEEN SR INCOME FD               EQUITY    67067Y104       5        664 SH       DEFINED        4         --         --      664
NV ENERGY INC                     EQUITY    67073Y106   6,545    530,844 SH       SOLE           2    530,844         --       --
NVE CORP                          EQUITY    629445206       9        200 SH       DEFINED        4         --         --      200
NVE CORP                          EQUITY    629445206     173      3,814 SH       SOLE           2      3,814         --       --





                                                                                        
NVIDIA CORP                       EQUITY    67066G104      22      1,258 SH       DEFINED        3         --         --    1,258
NVIDIA CORP                       EQUITY    67066G104      60      3,433 SH       DEFINED        4         --         --    3,433
NVIDIA CORP                       EQUITY    67066G104   4,798    276,065 SH       SOLE           2    276,065         --       --
NVR INC                           EQUITY    62944T105  10,060     13,847 SH       SOLE           2     13,847         --       --
NXSTAGE MEDICAL INC               EQUITY    67072V103     215     18,794 SH       SOLE           2     18,794         --       --
NYMAGIC INC                       EQUITY    629484106      83      3,914 SH       SOLE           2      3,914         --       --
NYSE EURONEXT                     EQUITY    629491101      33      1,100 SH       DEFINED        4         --         --    1,100
NYSE EURONEXT                     EQUITY    629491101     743     25,099 SH       DEFINED        3         --         --   25,099
NYSE EURONEXT                     EQUITY    629491101   4,309    145,538 SH       SOLE           2    145,538         --       --
O REILLY AUTOMOTIVE INC           EQUITY    686091109      55      1,310 SH       DEFINED        4         --         --    1,310
OBAGI MEDICAL PRODUCTS INC        EQUITY    67423R108     172     14,100 SH       SOLE           2     14,100         --       --
OCCIDENTAL PETE CORP DEL          EQUITY    674599105     131      1,554 SH       DEFINED        3         --         --    1,554
OCCIDENTAL PETE CORP DEL          EQUITY    674599105     282      3,333 SH       DEFINED        4         --         --    3,333
OCCIDENTAL PETROLEUM CORP         EQUITY    674599105  38,080    450,436 SH       SOLE           2    450,436         --       --
OCEANEERING INTL INC              EQUITY    675232102       1         16 SH       DEFINED        3         --         --       16
OCEANEERING INTL INC              EQUITY    675232102       3         50 SH       DEFINED        4         --         --       50
OCEANEERING INTL INC              EQUITY    675232102   7,855    123,720 SH       SOLE           2    123,720         --       --
OCEANFIRST FINANCIAL CORP         EQUITY    675234108     122     10,697 SH       SOLE           2     10,697         --       --
OCHARLEYS INC                     EQUITY    670823103     150     16,757 SH       SOLE           2     16,757         --       --
OCLARO INC                        EQUITY    67555N107       6      2,256 SH       DEFINED        4         --         --    2,256
OCULUS INNOVATIVE SCIENCES I      EQUITY    67575P108       2      1,000 SH       DEFINED        4         --         --    1,000
OCULUS INNOVATIVE SCIENCES I      EQUITY    67575P108       7      3,380 SH       DEFINED        3         --         --    3,380
OCWEN FINANCIAL CORP              EQUITY    675746309     507     45,708 SH       SOLE           2     45,708         --       --
ODYSSEY HEALTHCARE INC            EQUITY    67611V101     570     31,480 SH       SOLE           2     31,480         --       --
ODYSSEY MARINE EXPLORATION        EQUITY    676118102      68     51,812 SH       SOLE           2     51,812         --       --
ODYSSEY MARINE EXPLORATION I      EQUITY    676118102       4      2,748 SH       DEFINED        4         --         --    2,748
OFFICE DEPOT INC                  EQUITY    676220106     146     18,246 SH       DEFINED        4         --         --   18,246
OFFICE DEPOT INC                  EQUITY    676220106   1,175    147,297 SH       SOLE           2    147,297         --       --
OFFICEMAX INC                     EQUITY    67622P101   1,196     72,867 SH       SOLE           2     72,867         --       --
OGE ENERGY CORP                   EQUITY    670837103      11        271 SH       DEFINED        4         --         --      271
OGE ENERGY CORP                   EQUITY    670837103      35        900 SH       DEFINED        3         --         --      900
OGE ENERGY CORP                   EQUITY    670837103   8,549    219,554 SH       SOLE           2    219,554         --       --
OHIO VALLEY BANC CORP             EQUITY    677719106      70      3,254 SH       SOLE           2      3,254         --       --
OIL DRI CORP AMER                 EQUITY    677864100       5        250 SH       DEFINED        3         --         --      250
OIL STATES INTERNATIONAL I        EQUITY    678026105     374      8,238 SH       SOLE           2      8,238         --       --
OIL SVC HOLDRS TR                 EQUITY    678002106     282      2,300 SH       DEFINED        3         --         --    2,300
OILDRI CORP OF AMERICA            EQUITY    677864100      81      4,199 SH       SOLE           2      4,199         --       --
OILSANDS QUEST INC                EQUITY    678046103     134    181,466 SH       SOLE           2    181,466         --       --
OLD DOMINION FREIGHT LINE         EQUITY    679580100     874     26,165 SH       SOLE           2     26,165         --       --
OLD MUTUAL CLAYMORE LNG SHT       EQUITY    68003N103       7        746 SH       DEFINED        3         --         --      746
OLD MUTUAL CLAYMORE LNG SHT       EQUITY    68003N103      24      2,744 SH       DEFINED        4         --         --    2,744
OLD NATL BANCORP/IN               EQUITY    680033107     979     81,940 SH       SOLE           2     81,940         --       --
OLD POINT FINANCIAL CORP          EQUITY    680194107      24      1,639 SH       SOLE           2      1,639         --       --
OLD REPUBLIC INTL CORP            EQUITY    680223104   6,902    544,296 SH       SOLE           2    544,296         --       --
OLD SECOND BANCORP INC            EQUITY    680277100      58      8,752 SH       SOLE           2      8,752         --       --
OLIN CORP                         EQUITY    680665205       4        200 SH       DEFINED        4         --         --      200
OLIN CORP                         EQUITY    680665205   4,667    237,847 SH       SOLE           2    237,847         --       --
OLYMPIC STEEL INC                 EQUITY    68162K106     282      8,648 SH       SOLE           2      8,648         --       --
OM GROUP INC                      EQUITY    670872100       2         50 SH       DEFINED        3         --         --       50
OM GROUP INC                      EQUITY    670872100     973     28,729 SH       SOLE           2     28,729         --       --
OMEGA FLEX INC                    EQUITY    682095104      24      2,250 SH       SOLE           2      2,250         --       --
OMEGA HEALTHCARE INVESTORS        EQUITY    681936100   5,150    264,242 SH       SOLE           2    264,242         --       --
OMEGA HEALTHCARE INVS INC         EQUITY    681936100      17        850 SH       DEFINED        4         --         --      850
OMEGA NAVIGATION ENTERPRISES      EQUITY    Y6476R105       2        650 SH       DEFINED        4         --         --      650
OMEGA NAVIGATION ENTERPRISES      EQUITY    Y6476R105       6      2,052 SH       DEFINED        3         --         --    2,052
OMEGA PROTEIN CORP                EQUITY    68210P107      64     11,100 SH       DEFINED        3         --         --   11,100
OMEGA PROTEIN CORP                EQUITY    68210P107      88     15,285 SH       SOLE           2     15,285         --       --
OMEROS CORP                       EQUITY    682143102      39      5,574 SH       SOLE           2      5,574         --       --
OMNICARE INC                      FIXED
                                     INCOME 681904AL2       2          2 PRN      DEFINED        4         --         --        2
OMNICARE INC                      EQUITY    681904108       2         77 SH       DEFINED        4         --         --       77
OMNICARE INC                      EQUITY    681904108  20,848    736,927 SH       SOLE           2    736,927         --       --
OMNICELL INC                      EQUITY    68213N109     425     30,273 SH       SOLE           2     30,273         --       --
OMNICOM GROUP                     EQUITY    681919106   5,722    147,445 SH       SOLE           2    147,445         --       --
OMNIVISION TECHNOLOGIES IN        EQUITY    682128103     689     40,110 SH       SOLE           2     40,110         --       --
OMNIVISION TECHNOLOGIES INC       EQUITY    682128103      12        700 SH       DEFINED        3         --         --      700
OMNOVA SOLUTIONS INC              EQUITY    682129101     281     35,804 SH       SOLE           2     35,804         --       --
ON ASSIGNMENT INC                 EQUITY    682159108     246     34,517 SH       SOLE           2     34,517         --       --
ON SEMICONDUCTOR CORP             EQUITY    682189105       2        304 SH       DEFINED        4         --         --      304
ON SEMICONDUCTOR CORPORATI        EQUITY    682189105      63      7,884 SH       SOLE           2      7,884         --       --
ONCOGENEX PHARMACEUTICAL I        EQUITY    68230A106      73      3,555 SH       SOLE           2      3,555         --       --
ONEBEACON INSURANCE GROUPA        EQUITY    G67742109      11        619 SH       SOLE           2        619         --       --
ONEOK INC                         EQUITY    682680103   3,172     69,479 SH       SOLE           2     69,479         --       --
ONEOK INC NEW                     EQUITY    682680103     289      6,326 SH       DEFINED        4         --         --    6,326
ONEOK PARTNERS LP                 EQUITY    68268N103      49        800 SH       DEFINED        3         --         --      800
ONEOK PARTNERS LP                 EQUITY    68268N103     193      3,145 SH       DEFINED        4         --         --    3,145
ONLINE RESOURCES CORP             EQUITY    68273G101      84     20,749 SH       SOLE           2     20,749         --       --
ONYX PHARMACEUTICALS INC          EQUITY    683399109   1,498     49,461 SH       SOLE           2     49,461         --       --
OPEN JT STK CO-VIMPEL COMMUN      EQUITY    68370R109       2        100 SH       DEFINED        3         --         --      100
OPENTABLE INC                     EQUITY    68372A104      94      2,453 SH       SOLE           2      2,453         --       --
OPENWAVE SYSTEMS INC              EQUITY    683718308     157     68,047 SH       SOLE           2     68,047         --       --
OPKO HEALTH INC                   EQUITY    68375N103      71     35,705 SH       SOLE           2     35,705         --       --
OPLINK COMMUNICATIONS INC         EQUITY    68375Q403     310     16,723 SH       SOLE           2     16,723         --       --
OPNET TECHNOLOGIES INC            EQUITY    683757108     173     10,701 SH       SOLE           2     10,701         --       --
OPNEXT INC                        EQUITY    68375V105      54     22,709 SH       SOLE           2     22,709         --       --
OPPENHEIMER HOLDINGSCL A          EQUITY    683797104     197      7,718 SH       SOLE           2      7,718         --       --
OPTIMER PHARMACEUTICALS IN        EQUITY    68401H104     287     23,394 SH       SOLE           2     23,394         --       --
OPTIONSXPRESS HLDGS INC           EQUITY    684010101       2        100 SH       DEFINED        4         --         --      100
OPTIONSXPRESS HOLDINGS INC        EQUITY    684010101     647     39,734 SH       SOLE           2     39,734         --       --
ORACLE CORP                       EQUITY    68389X105     267     10,373 SH       DEFINED        3         --         --   10,373
ORACLE CORP                       EQUITY    68389X105     630     24,497 SH       DEFINED        4         --         --   24,497
ORACLE CORP                       EQUITY    68389X105  59,538  2,317,538 SH       SOLE           2  2,317,538         --       --
ORASURE TECHNOLOGIES INC          EQUITY    68554V108       3        495 SH       DEFINED        4         --         --      495
ORASURE TECHNOLOGIES INC          EQUITY    68554V108     222     37,469 SH       SOLE           2     37,469         --       --
ORBCOMM INC                       EQUITY    68555P100      15      7,090 SH       SOLE           1       7090         --       --





                                                                                        
ORBITAL SCIENCES CORP             FIXED
                                     INCOME 685564AN6       2          2 PRN      DEFINED        4         --         --        2
ORBITAL SCIENCES CORP             EQUITY    685564106   1,010     53,105 SH       SOLE           2     53,105         --       --
ORBITAL SCIENCES CORP.            EQUITY    685564106     323     16,972 SH       SOLE           1      16972         --       --
ORBITZ WORLDWIDE INC              EQUITY    68557K109     212     29,757 SH       SOLE           2     29,757         --       --
ORCHIDS PAPER PRODUCTS CO         EQUITY    68572N104      73      4,464 SH       SOLE           2      4,464         --       --
OREILLY AUTOMOTIVE INC            EQUITY    686091109   2,289     54,883 SH       SOLE           2     54,883         --       --
OREXIGEN THERAPEUTICS INC         EQUITY    686164104       2        300 SH       DEFINED        4         --         --      300
OREXIGEN THERAPEUTICS INC         EQUITY    686164104     128     21,696 SH       SOLE           2     21,696         --       --
ORIENT EXPRESS HOTELS LTD         EQUITY    G67743107   1,030     72,642 SH       SOLE           2     72,642         --       --
ORIENTAL FINANCIAL GROUP          EQUITY    68618W100     267     19,789 SH       SOLE           2     19,789         --       --
ORION ENERGY SYSTEMS INC          EQUITY    686275108      70     14,245 SH       SOLE           2     14,245         --       --
ORION MARINE GROUP INC            EQUITY    68628V308     387     21,446 SH       SOLE           2     21,446         --       --
ORITANI FINANCIAL CORP            EQUITY    686323106     133      8,256 SH       SOLE           2      8,256         --       --
ORMAT TECHNOLOGIES INC            EQUITY    686688102      11        399 SH       SOLE           2        399         --       --
ORMAT TECHNOLOGIES INC            EQUITY    686688102      17        600 SH       DEFINED        3         --         --      600
ORRSTOWN FINL SERVICES INC        EQUITY    687380105     106      4,183 SH       SOLE           2      4,183         --       --
ORTHOFIX INTERNATIONAL NV         EQUITY    N6748L102     508     13,971 SH       SOLE           2     13,971         --       --
ORTHOVITA INC                     EQUITY    68750U102      14      3,400 SH       DEFINED        3         --         --    3,400
ORTHOVITA INC                     EQUITY    68750U102     230     54,008 SH       SOLE           2     54,008         --       --
OSHKOSH CORP                      EQUITY    688239201      30        750 SH       DEFINED        3         --         --      750
OSHKOSH CORP                      EQUITY    688239201   8,164    202,377 SH       SOLE           2    202,377         --       --
OSI PHARMACEUTICALS INC           EQUITY    671040103      30        500 SH       DEFINED        3         --         --      500
OSI PHARMACEUTICALS INC           EQUITY    671040103   7,828    131,455 SH       SOLE           2    131,455         --       --
OSI SYSTEMS INC                   EQUITY    671044105     357     12,715 SH       SOLE           2     12,715         --       --
OSIRIS THERAPEUTICS INC           EQUITY    68827R108       7      1,000 SH       DEFINED        4         --         --    1,000
OSIRIS THERAPEUTICS INC           EQUITY    68827R108     101     13,682 SH       SOLE           2     13,682         --       --
OSTEOTECH INC                     EQUITY    688582105      10      2,497 SH       SOLE           2      2,497         --       --
OTTER TAIL CORP                   EQUITY    689648103      32      1,453 SH       DEFINED        4         --         --    1,453
OTTER TAIL CORP                   EQUITY    689648103     624     28,422 SH       SOLE           2     28,422         --       --
OUTDOOR CHANNEL HOLDINGS I        EQUITY    690027206      78     11,879 SH       SOLE           2     11,879         --       --
OVERHILL FARMS INC                EQUITY    690212105      75     12,925 SH       SOLE           2     12,925         --       --
OVERSEAS SHIPHOLDING GROUP        EQUITY    690368105   2,343     59,716 SH       SOLE           2     59,716         --       --
OVERSEAS SHIPHOLDING GROUP I      EQUITY    690368105      12        300 SH       DEFINED        4         --         --      300
OVERSTOCK.COM INC                 EQUITY    690370101     208     12,802 SH       SOLE           2     12,802         --       --
OWENS  MINOR INC                  EQUITY    690732102   5,909    127,379 SH       SOLE           2    127,379         --       --
OWENS & MINOR INC NEW             EQUITY    690732102      40        860 SH       DEFINED        4         --         --      860
OWENS CORNING                     EQUITY    690742101      51      1,988 SH       SOLE           2      1,988         --       --
OWENS CORNING INC                 EQUITY    690742101   7,632    300,000 SH       SOLE           1     300000         --       --
OWENS CORNING NEW                 EQUITY    690742101       3        120 SH       DEFINED        4         --         --      120
OWENS ILL INC                     EQUITY    690768403       3         91 SH       DEFINED        4         --         --       91
OWENSILLINOIS INC                 EQUITY    690768403   2,787     78,415 SH       SOLE           2     78,415         --       --
OXFORD INDUSTRIES INC             EQUITY    691497309     248     12,190 SH       SOLE           2     12,190         --       --
OXIGENE INC                       EQUITY    691828107      37     30,098 SH       SOLE           2     30,098         --       --
OYO GEOSPACE CORP                 EQUITY    671074102     157      3,287 SH       SOLE           2      3,287         --       --
P G  E CORP                       EQUITY    69331C108   7,505    176,920 SH       SOLE           2    176,920         --       --
PACCAR INC                        EQUITY    693718108      21        485 SH       DEFINED        4         --         --      485
PACCAR INC                        EQUITY    693718108   7,939    183,178 SH       SOLE           2    183,178         --       --
PACER INTERNATIONAL INC           EQUITY    69373H106     172     28,533 SH       SOLE           2     28,533         --       --
PACIFIC CAPITAL BANCORP           EQUITY    69404P101      69     38,132 SH       SOLE           2     38,132         --       --
PACIFIC CONTINENTAL CORP          EQUITY    69412V108     158     15,024 SH       SOLE           2     15,024         --       --
PACIFIC ETHANOL INC               EQUITY    69423U107      14     13,000 SH       DEFINED        4         --         --   13,000
PACIFIC SUNWEAR OF CALIF          EQUITY    694873100     285     53,689 SH       SOLE           2     53,689         --       --
PACKAGING CORP OF AMERICA         EQUITY    695156109   5,733    232,958 SH       SOLE           2    232,958         --       --
PACTIV CORP                       EQUITY    695257105       1         50 SH       DEFINED        4         --         --       50
PACTIV CORP                       EQUITY    695257105     134      5,310 SH       DEFINED        3         --         --    5,310
PACTIV CORPORATION                EQUITY    695257105   1,510     59,980 SH       SOLE           2     59,980         --       --
PACWEST BANCORP                   EQUITY    695263103   2,007     87,955 SH       SOLE           2     87,955         --       --
PAETEC HOLDING CORP               EQUITY    695459107     469    100,275 SH       SOLE           2    100,275         --       --
PAIN THERAPEUTICS INC             EQUITY    69562K100     178     28,379 SH       SOLE           2     28,379         --       --
PALL CORP                         EQUITY    696429307   2,200     54,328 SH       SOLE           2     54,328         --       --
PALM INC                          EQUITY    696643105   1,907    507,096 SH       SOLE           2    507,096         --       --
PALOMAR MEDICAL TECHNOLOGI        EQUITY    697529303     188     17,303 SH       SOLE           2     17,303         --       --
PAN AMERICAN SILVER CORP          EQUITY    697900108       7        300 SH       DEFINED        4         --         --      300
PAN AMERICAN SILVER CORP          EQUITY    697900108   4,233    182,860 SH       SOLE           2    182,860         --       --
PANERA BREAD CO                   EQUITY    69840W108      57        745 SH       DEFINED        4         --         --      745
PANERA BREAD COMPANYCLASS         EQUITY    69840W108   5,477     71,609 SH       SOLE           2     71,609         --       --
PANHANDLE OIL AND GAS INC         EQUITY    698477106       5        207 SH       DEFINED        3         --         --      207
PANHANDLE OIL AND GAS INCA        EQUITY    698477106     138      5,844 SH       SOLE           2      5,844         --       --
PANTRY INC                        EQUITY    698657103   5,209    417,046 SH       SOLE           2    417,046         --       --
PAPA JOHNS INTL INC               EQUITY    698813102     533     20,743 SH       SOLE           2     20,743         --       --
PAR PHARMACEUTICAL COS INC        EQUITY    69888P106     811     32,716 SH       SOLE           2     32,716         --       --
PAR TECHNOLOGY CORP/DEL           EQUITY    698884103      40      6,638 SH       SOLE           2      6,638         --       --
PARAGON SHIPPING INC              EQUITY    69913R309       4        900 SH       DEFINED        4         --         --      900
PARAMETRIC TECHNOLOGY CORP        EQUITY    699173209   6,402    354,662 SH       SOLE           2    354,662         --       --
PARAMOUNT GOLD AND SILVER         EQUITY    69924P102      88     63,627 SH       SOLE           2     63,627         --       --
PAREXEL INTERNATIONAL CORP        EQUITY    699462107   1,262     54,155 SH       SOLE           2     54,155         --       --
PARK ELECTROCHEMICAL CORP         EQUITY    700416209       2         65 SH       DEFINED        4         --         --       65
PARK ELECTROCHEMICAL CORP         EQUITY    700416209     562     19,568 SH       SOLE           2     19,568         --       --
PARK NATIONAL CORP                EQUITY    700658107     549      8,811 SH       SOLE           2      8,811         --       --
PARK NATL CORP                    EQUITY    700658107     116      1,862 SH       DEFINED        4         --         --    1,862
PARKER DRILLING CO                EQUITY    701081101       7      1,500 SH       DEFINED        4         --         --    1,500
PARKER DRILLING CO                EQUITY    701081101     459     93,013 SH       SOLE           2     93,013         --       --
PARKER HANNIFIN CORP              EQUITY    701094104      23        352 SH       DEFINED        4         --         --      352
PARKER HANNIFIN CORP              EQUITY    701094104   5,505     85,033 SH       SOLE           2     85,033         --       --
PARKERVISION INC                  EQUITY    701354102      51     29,899 SH       SOLE           2     29,899         --       --
PARKVALE FINL CORP                EQUITY    701492100      45      6,009 SH       DEFINED        4         --         --    6,009
PARKWAY PPTYS INC                 EQUITY    70159Q104       4        218 SH       DEFINED        3         --         --      218
PARKWAY PROPERTIES INC            EQUITY    70159Q104     388     20,649 SH       SOLE           2     20,649         --       --
PARTNERRE LTD                     EQUITY    G6852T105     175      2,196 SH       SOLE           2      2,196         --       --
PATRIOT COAL CORP                 EQUITY    70336T104       1         64 SH       DEFINED        3         --         --       64
PATRIOT COAL CORP                 EQUITY    70336T104     111      5,440 SH       DEFINED        4         --         --    5,440
PATRIOT COAL CORP                 EQUITY    70336T104   4,659    227,707 SH       SOLE           2    227,707         --       --
PATRIOT TRANSPORTATION HLD        EQUITY    70337B102      88      1,046 SH       SOLE           2      1,046         --       --
PATTERSON COMPANIES INC           EQUITY    703395103      10        335 SH       DEFINED        3         --         --      335





                                                                                        
PATTERSON COS INC                 EQUITY    703395103   1,210     38,972 SH       SOLE           2     38,972         --       --
PATTERSON UTI ENERGY INC          EQUITY    703481101       6        450 SH       DEFINED        4         --         --      450
PATTERSONUTI ENERGY INC           EQUITY    703481101   4,850    347,139 SH       SOLE           2    347,139         --       --
PAYCHEX INC                       EQUITY    704326107       8        245 SH       DEFINED        3         --         --      245
PAYCHEX INC                       EQUITY    704326107      17        555 SH       DEFINED        4         --         --      555
PAYCHEX INC                       EQUITY    704326107   7,553    246,019 SH       SOLE           2    246,019         --       --
PC CONNECTION INC                 EQUITY    69318J100      48      7,712 SH       SOLE           2      7,712         --       --
PC MALL INC                       EQUITY    69323K100      43      8,438 SH       SOLE           2      8,438         --       --
PCM FUND INC                      EQUITY    69323T101       5        500 SH       DEFINED        4         --         --      500
PCM FUND INC                      EQUITY    69323T101     288     30,120 SH       DEFINED        3         --         --   30,120
PCTEL INC                         EQUITY    69325Q105     111     17,978 SH       SOLE           2     17,978         --       --
PDL BIOPHARMA INC                 EQUITY    69329Y104       2        400 SH       DEFINED        3         --         --      400
PDL BIOPHARMA INC                 EQUITY    69329Y104       9      1,500 SH       DEFINED        4         --         --    1,500
PDL BIOPHARMA INC                 EQUITY    69329Y104     595     95,742 SH       SOLE           2     95,742         --       --
PEABODY ENERGY CORP               EQUITY    704549104      33        721 SH       DEFINED        4         --         --      721
PEABODY ENERGY CORP               EQUITY    704549104      43        950 SH       DEFINED        3         --         --      950
PEABODY ENERGY CORP               EQUITY    704549104   3,946     86,346 SH       SOLE           2     86,346         --       --
PEAPACK GLADSTONE FINL COR        EQUITY    704699107     112      7,119 SH       SOLE           2      7,119         --       --
PEETS COFFEE  TEA INC             EQUITY    705560100     440     11,105 SH       SOLE           2     11,105         --       --
PEETS COFFEE & TEA INC            EQUITY    705560100      76      1,915 SH       DEFINED        4         --         --    1,915
PEGASYSTEMS INC                   EQUITY    705573103     454     12,262 SH       SOLE           2     12,262         --       --
PENFORD CORP                      EQUITY    707051108      16      1,576 SH       SOLE           2      1,576         --       --
PENGROWTH ENERGY TR               EQUITY    706902509     126     10,831 SH       DEFINED        3         --         --   10,831
PENGROWTH ENERGY TR               EQUITY    706902509     192     16,430 SH       DEFINED        4         --         --   16,430
PENN NATIONAL GAMING INC          EQUITY    707569109      49      1,777 SH       SOLE           2      1,777         --       --
PENN REAL ESTATE INVEST TS        EQUITY    709102107     462     37,032 SH       SOLE           2     37,032         --       --
PENN VA CORP                      EQUITY    707882106       2         67 SH       DEFINED        4         --         --       67
PENN VA RESOURCES PARTNERS L      EQUITY    707884102      12        500 SH       DEFINED        4         --         --      500
PENN VA RESOURCES PARTNERS L      EQUITY    707884102      15        630 SH       DEFINED        3         --         --      630
PENN VIRGINIA CORP                EQUITY    707882106   1,045     42,663 SH       SOLE           2     42,663         --       --
PENN WEST ENERGY TR               EQUITY    707885109     169      8,016 SH       DEFINED        3         --         --    8,016
PENN WEST ENERGY TR               EQUITY    707885109     432     20,474 SH       DEFINED        4         --         --   20,474
PENNANTPARK INVESTMENT COR        EQUITY    708062104     215     20,722 SH       SOLE           2     20,722         --       --
PENNANTPARK INVT CORP             EQUITY    708062104       1        110 SH       DEFINED        3         --         --      110
PENNEY J C INC                    EQUITY    708160106      14        434 SH       DEFINED        4         --         --      434
PENNICHUCK CORP                   EQUITY    708254206      89      3,769 SH       SOLE           2      3,769         --       --
PENNS WOODS BANCORP INC           EQUITY    708430103     105      3,131 SH       SOLE           2      3,131         --       --
PENNSYLVANIA RL ESTATE INVT       EQUITY    709102107       2        150 SH       DEFINED        4         --         --      150
PENNYMAC MORTGAGE INVESTME        EQUITY    70931T103     200     12,020 SH       SOLE           2     12,020         --       --
PENSKE AUTO GROUP INC             EQUITY    70959W103      15      1,017 SH       SOLE           2      1,017         --       --
PENSKE AUTOMOTIVE GRP INC         EQUITY    70959W103       1        100 SH       DEFINED        4         --         --      100
PENSON WORLDWIDE INC              EQUITY    709600100     160     15,933 SH       SOLE           2     15,933         --       --
PENTAIR INC                       EQUITY    709631105   7,916    222,242 SH       SOLE           2    222,242         --       --
PEOPLES BANCORP INC               EQUITY    709789101     141      8,542 SH       SOLE           2      8,542         --       --
PEOPLES FINANCIAL CORP/MIS        EQUITY    71103B102      46      3,091 SH       SOLE           2      3,091         --       --
PEOPLES UNITED FINANCIAL          EQUITY    712704105   2,030    129,792 SH       SOLE           2    129,792         --       --
PEOPLES UNITED FINANCIAL INC      EQUITY    712704105       3        202 SH       DEFINED        4         --         --      202
PEOPLES UNITED FINANCIAL INC      EQUITY    712704105      28      1,785 SH       DEFINED        3         --         --    1,785
PEP BOYS MANNY MOE & JACK         EQUITY    713278109      20      2,000 SH       DEFINED        4         --         --    2,000
PEP BOYSMANNY MOE  JACK           EQUITY    713278109     465     46,226 SH       SOLE           2     46,226         --       --
PEPCO HOLDINGS INC                EQUITY    713291102      18      1,050 SH       DEFINED        4         --         --    1,050
PEPCO HOLDINGS INC                EQUITY    713291102      91      5,331 SH       DEFINED        3         --         --    5,331
PEPCO HOLDINGS INC                EQUITY    713291102   4,020    234,396 SH       SOLE           2    234,396         --       --
PEPSICO INC                       EQUITY    713448108   1,023     15,470 SH       DEFINED        3         --         --   15,470
PEPSICO INC                       EQUITY    713448108   1,910     28,873 SH       DEFINED        4         --         --   28,873
PEPSICO INC                       EQUITY    713448108  69,949  1,057,270 SH       SOLE           2  1,057,270         --       --
PEREGRINE PHARMACEUTICALS IN      EQUITY    713661304       3      1,000 SH       DEFINED        3         --         --    1,000
PERFECT WORLD CO LTD              EQUITY    71372U104       7        200 SH       DEFINED        4         --         --      200
PERFICIENT INC                    EQUITY    71375U101     310     27,528 SH       SOLE           2     27,528         --       --
PERICOM SEMICONDUCTOR CORP        EQUITY    713831105     259     24,219 SH       SOLE           2     24,219         --       --
PERKINELMER INC                   EQUITY    714046109     977     40,859 SH       SOLE           2     40,859         --       --
PERMAFIX ENVIRONMENTAL SVC        EQUITY    714157104      99     44,125 SH       SOLE           2     44,125         --       --
PERMA-FIX ENVIRONMENTAL SVCS      EQUITY    714157104      50     22,500 SH       DEFINED        3         --         --   22,500
PERMIAN BASIN RTY TR              EQUITY    714236106      77      4,352 SH       DEFINED        3         --         --    4,352
PERMIAN BASIN RTY TR              EQUITY    714236106     264     15,019 SH       DEFINED        4         --         --   15,019
PERRIGO CO                        EQUITY    714290103  10,652    181,398 SH       SOLE           2    181,398         --       --
PERRY ELLIS INTERNATIONAL         EQUITY    288853104     205      9,056 SH       SOLE           2      9,056         --       --
PERVASIVE SOFTWARE INC            EQUITY    715710109      63     12,544 SH       SOLE           2     12,544         --       --
PETMED EXPRESS INC                EQUITY    716382106      38      1,700 SH       DEFINED        4         --         --    1,700
PETMED EXPRESS INC                EQUITY    716382106     493     22,229 SH       SOLE           2     22,229         --       --
PETROCHINA CO LTD                 EQUITY    7.16E+104      24        204 SH       DEFINED        4         --         --      204
PETROHAWK ENERGY CORP             EQUITY    716495106       8        375 SH       DEFINED        3         --         --      375
PETROHAWK ENERGY CORP             EQUITY    716495106      10        500 SH       DEFINED        4         --         --      500
PETROHAWK ENERGY CORP             EQUITY    716495106     116      5,736 SH       SOLE           2      5,736         --       --
PETROLEO BRASILEIRO SA PETRO      EQUITY    71654V101       2         42 SH       DEFINED        3         --         --       42
PETROLEO BRASILEIRO SA PETRO      EQUITY    71654V101       2         45 SH       DEFINED        4         --         --       45
PETROLEO BRASILEIRO SA PETRO      EQUITY    71654V408     140      3,140 SH       DEFINED        3         --         --    3,140
PETROLEO BRASILEIRO SA PETRO      EQUITY    71654V408     598     13,440 SH       DEFINED        4         --         --   13,440
PETROLEUM DEVELOPMENT CORP        EQUITY    716578109     425     18,364 SH       SOLE           2     18,364         --       --
PETROQUEST ENERGY INC             EQUITY    716748108      25      5,000 SH       DEFINED        4         --         --    5,000
PETROQUEST ENERGY INC             EQUITY    716748108     247     49,166 SH       SOLE           2     49,166         --       --
PETSMART INC                      EQUITY    716768106     748     23,419 SH       DEFINED        4         --         --   23,419
PETSMART INC                      EQUITY    716768106   8,906    278,674 SH       SOLE           2    278,674         --       --
PF CHANGS CHINA BISTRO INC        EQUITY    69333Y108     979     22,180 SH       SOLE           2     22,180         --       --
PFIZER INC                        EQUITY    717081103     369     21,493 SH       DEFINED        3         --         --   21,493
PFIZER INC                        EQUITY    717081103     970     56,588 SH       DEFINED        4         --         --   56,588
PFIZER INC                        EQUITY    717081103  61,822  3,604,810 SH       SOLE           2  3,604,810         --       --
PG&E CORP                         EQUITY    69331C108      32        745 SH       DEFINED        3         --         --      745
PG&E CORP                         EQUITY    69331C108      88      2,080 SH       DEFINED        4         --         --    2,080
PHARMACEUTICAL PRODUCT DEV        EQUITY    717124101   6,342    267,041 SH       SOLE           2    267,041         --       --
PHARMASSET INC                    EQUITY    71715N106     491     18,326 SH       SOLE           2     18,326         --       --
PHARMERICA CORP                   EQUITY    71714F104       3        183 SH       DEFINED        4         --         --      183
PHARMERICA CORP                   EQUITY    71714F104     531     29,147 SH       SOLE           2     29,147         --       --
PHASE FORWARD INC                 EQUITY    71721R406       2        135 SH       DEFINED        3         --         --      135





                                                                                        
PHASE FORWARD INC                 EQUITY    71721R406     530     40,563 SH       SOLE           2     40,563         --       --
PHH CORP                          EQUITY    693320202   1,027     43,588 SH       SOLE           2     43,588         --       --
PHI INCNON VOTING                 EQUITY    69336T205     229     10,812 SH       SOLE           2     10,812         --       --
PHILIP MORRIS INTERNATIONA        EQUITY    718172109  45,933    880,617 SH       SOLE           2    880,617         --       --
PHILIP MORRIS INTL INC            EQUITY    718172109     513      9,827 SH       DEFINED        3         --         --    9,827
PHILIP MORRIS INTL INC            EQUITY    718172109   1,142     21,896 SH       DEFINED        4         --         --   21,896
PHILLIPSVAN HEUSEN                EQUITY    718592108   6,695    116,725 SH       SOLE           2    116,725         --       --
PHOENIX COMPANIES INC             EQUITY    7.19E+113     229     94,428 SH       SOLE           2     94,428         --       --
PHOENIX TECHNOLOGIES LTD          EQUITY    719153108     108     33,451 SH       SOLE           2     33,451         --       --
PHOTRONICS INC                    EQUITY    719405102     220     43,263 SH       SOLE           2     43,263         --       --
PICO HLDGS INC                    EQUITY    693366205       4        100 SH       DEFINED        4         --         --      100
PICO HOLDINGS INC                 EQUITY    693366205     673     18,108 SH       SOLE           2     18,108         --       --
PIEDMONT NAT GAS INC              EQUITY    720186105     237      8,598 SH       DEFINED        3         --         --    8,598
PIEDMONT NATURAL GAS CO           EQUITY    720186105   1,904     69,020 SH       SOLE           2     69,020         --       --
PIEDMONT OFFICE REALTY TR IN      EQUITY    720190206     448     22,559 SH       DEFINED        4         --         --   22,559
PIEDMONT OFFICE REALTY TR IN      EQUITY    720190206     680     34,280 SH       DEFINED        3         --         --   34,280
PIER 1 IMPORTS INC                EQUITY    720279108      17      2,700 SH       DEFINED        4         --         --    2,700
PIER 1 IMPORTS INC                EQUITY    720279108     588     92,333 SH       SOLE           2     92,333         --       --
PIKE ELECTRIC CORP                EQUITY    721283109     126     13,546 SH       SOLE           2     13,546         --       --
PILGRIMS PRIDE CORP               EQUITY    72147K108   6,520    612,820 SH       SOLE           2    612,820         --       --
PILGRIMS PRIDE CORP NEW           EQUITY    72147K108      89      8,350 SH       DEFINED        3         --         --    8,350
PIMCO CORPORATE INCOME FD         EQUITY    72200U100     163     10,865 SH       DEFINED        3         --         --   10,865
PIMCO CORPORATE OPP FD            EQUITY    72201B101     152      9,223 SH       DEFINED        4         --         --    9,223
PIMCO CORPORATE OPP FD            EQUITY    72201B101     214     12,935 SH       DEFINED        3         --         --   12,935
PIMCO ETF TR                      EQUITY    72201R205     103      2,000 SH       DEFINED        4         --         --    2,000
PIMCO ETF TR                      EQUITY    72201R833   6,611     65,947 SH       DEFINED        3         --         --   65,947
PIMCO GLOBAL STOCKSPLS INCM       EQUITY    722011103      19      1,000 SH       DEFINED        4         --         --    1,000
PIMCO HIGH INCOME FD              EQUITY    722014107     209     17,112 SH       DEFINED        4         --         --   17,112
PIMCO HIGH INCOME FD              EQUITY    722014107     451     36,864 SH       DEFINED        3         --         --   36,864
PIMCO INCOME OPPORTUNITY FD       EQUITY    72202B100     701     29,263 SH       DEFINED        4         --         --   29,263
PIMCO INCOME STRATEGY FUND        EQUITY    72201H108      19      1,700 SH       DEFINED        4         --         --    1,700
PIMCO INCOME STRATEGY FUND        EQUITY    72201H108      43      3,800 SH       DEFINED        3         --         --    3,800
PIMCO INCOME STRATEGY FUND I      EQUITY    72201J104      84      8,759 SH       DEFINED        3         --         --    8,759
PIMCO STRATEGIC GBL GOV FD I      EQUITY    72200X104      36      3,500 SH       DEFINED        3         --         --    3,500
PIMCO STRATEGIC GBL GOV FD I      EQUITY    72200X104      38      3,684 SH       DEFINED        4         --         --    3,684
PINNACLE ENTERTAINMENT INC        EQUITY    723456109     559     57,389 SH       SOLE           2     57,389         --       --
PINNACLE FINANCIAL PARTNER        EQUITY    72346Q104     476     31,513 SH       SOLE           2     31,513         --       --
PINNACLE WEST CAP CORP            EQUITY    723484101       9        250 SH       DEFINED        3         --         --      250
PINNACLE WEST CAPITAL             EQUITY    723484101   1,334     35,357 SH       SOLE           2     35,357         --       --
PIONEER DRILLING COMPANY          EQUITY    723655106     318     45,213 SH       SOLE           2     45,213         --       --
PIONEER FLOATING RATE TR          EQUITY    72369J102       9        720 SH       DEFINED        3         --         --      720
PIONEER HIGH INCOME TR            EQUITY    72369H106       6        400 SH       DEFINED        3         --         --      400
PIONEER HIGH INCOME TR            EQUITY    72369H106     259     16,827 SH       DEFINED        4         --         --   16,827
PIONEER NAT RES CO                EQUITY    723787107       3         54 SH       DEFINED        3         --         --       54
PIONEER NAT RES CO                EQUITY    723787107      76      1,342 SH       DEFINED        4         --         --    1,342
PIONEER NATURAL RESOURCES         EQUITY    723787107   3,301     58,610 SH       SOLE           2     58,610         --       --
PIPER JAFFRAY COS                 EQUITY    724078100     724     17,971 SH       SOLE           2     17,971         --       --
PITNEY BOWES INC                  EQUITY    724479100       2         72 SH       DEFINED        3         --         --       72
PITNEY BOWES INC                  EQUITY    724479100      99      4,035 SH       DEFINED        4         --         --    4,035
PITNEY BOWES INC                  EQUITY    724479100   3,951    161,609 SH       SOLE           2    161,609         --       --
PITTSBURGH & W VA RR              EQUITY    724819107       7        701 SH       DEFINED        4         --         --      701
PIXELWORKS INC                    EQUITY    72581M305       7      1,180 SH       DEFINED        4         --         --    1,180
PLAINS ALL AMER PIPELINE LP       EQUITY    726503105   5,423     95,312 SH       SOLE           1      95312         --       --
PLAINS ALL AMERN PIPELINE L       EQUITY    726503105      82      1,446 SH       DEFINED        4         --         --    1,446
PLAINS ALL AMERN PIPELINE L       EQUITY    726503105     140      2,453 SH       DEFINED        3         --         --    2,453
PLAINS EXPLORATION  PRODUC        EQUITY    726505100   9,438    314,709 SH       SOLE           2    314,709         --       --
PLANTRONICS INC                   EQUITY    727493108   4,601    147,082 SH       SOLE           2    147,082         --       --
PLATINUM UNDERWRITERS HLDG        EQUITY    G7127P100   1,520     41,002 SH       SOLE           2     41,002         --       --
PLAYBOY ENTERPRISES INC           EQUITY    728117300       1        370 SH       DEFINED        4         --         --      370
PLAYBOY ENTERPRISESCLASS B        EQUITY    728117300      64     17,481 SH       SOLE           2     17,481         --       --
PLEXUS CORP                       EQUITY    729132100       9        250 SH       DEFINED        3         --         --      250
PLEXUS CORP                       EQUITY    729132100   1,338     37,130 SH       SOLE           2     37,130         --       --
PLUM CREEK TIMBER CO              EQUITY    729251108   3,441     88,440 SH       SOLE           2     88,440         --       --
PLUM CREEK TIMBER CO INC          EQUITY    729251108      61      1,574 SH       DEFINED        3         --         --    1,574
PLUM CREEK TIMBER CO INC          EQUITY    729251108      76      1,957 SH       DEFINED        4         --         --    1,957
PLX TECHNOLOGY INC                EQUITY    693417107     159     30,233 SH       SOLE           2     30,233         --       --
PMA CAPITAL CORPORATIONCL         EQUITY    693419202     162     26,311 SH       SOLE           2     26,311         --       --
PMC  SIERRA INC                   EQUITY    69344F106   1,272    142,629 SH       SOLE           2    142,629         --       --
PMFG INC                          EQUITY    69345P103       5        400 SH       DEFINED        4         --         --      400
PMFG INC                          EQUITY    69345P103     141     10,684 SH       SOLE           2     10,684         --       --
PMI GROUP INC/THE                 EQUITY    69344M101     323     59,587 SH       SOLE           2     59,587         --       --
PNC FINANCIAL SERVICES GRO        EQUITY    693475105  12,897    216,035 SH       SOLE           2    216,035         --       --
PNC FINL SVCS GROUP INC           EQUITY    693475501      12        124 SH       DEFINED        3         --         --      124
PNC FINL SVCS GROUP INC           EQUITY    693475105      23        387 SH       DEFINED        3         --         --      387
PNC FINL SVCS GROUP INC           EQUITY    693475105     126      2,109 SH       DEFINED        4         --         --    2,109
PNM RES INC                       EQUITY    69349H107       1         80 SH       DEFINED        4         --         --       80
PNM RES INC                       EQUITY    69349H107      47      3,740 SH       DEFINED        3         --         --    3,740
PNM RESOURCES INC                 EQUITY    69349H107   3,297    263,118 SH       SOLE           2    263,118         --       --
POLARIS INDS INC                  EQUITY    731068102      15        285 SH       DEFINED        4         --         --      285
POLARIS INDUSTRIES INC            EQUITY    731068102   1,488     29,090 SH       SOLE           2     29,090         --       --
POLO RALPH LAUREN CORP            EQUITY    731572103       8         90 SH       DEFINED        4         --         --       90
POLO RALPH LAUREN CORP            EQUITY    731572103   1,649     19,386 SH       SOLE           2     19,386         --       --
POLYCOM INC                       EQUITY    73172K104   7,807    255,283 SH       SOLE           2    255,283         --       --
POLYONE CORPORATION               EQUITY    73179P106     889     86,863 SH       SOLE           2     86,863         --       --
POLYPORE INTERNATIONAL INC        EQUITY    73179V103     323     18,487 SH       SOLE           2     18,487         --       --
PONIARD PHARMACEUTICALS IN        EQUITY    732449301      26     22,823 SH       SOLE           2     22,823         --       --
PONIARD PHARMACEUTICALS INC       EQUITY    732449301       2      2,000 SH       DEFINED        3         --         --    2,000
POOL CORP                         EQUITY    73278L105   1,032     45,574 SH       SOLE           2     45,574         --       --
POOL CORPORATION                  EQUITY    73278L105       2        100 SH       DEFINED        4         --         --      100
POPULAR INC                       EQUITY    733174106       3      1,000 SH       DEFINED        4         --         --    1,000
POPULAR INC                       EQUITY    733174106      49     17,007 SH       SOLE           2     17,007         --       --
PORTEC RAIL PRODUCTS INC          EQUITY    736212101      63      5,427 SH       SOLE           2      5,427         --       --
PORTER BANCORP INC                EQUITY    736233107      30      2,295 SH       SOLE           2      2,295         --       --
PORTFOLIO RECOVERY ASSOCIA        EQUITY    73640Q105     873     15,915 SH       SOLE           2     15,915         --       --





                                                                                        
PORTFOLIO RECOVERY ASSOCS IN      EQUITY    73640Q105      15        275 SH       DEFINED        3         --         --      275
PORTLAND GENERAL ELECTRIC         EQUITY    736508847   1,163     60,211 SH       SOLE           2     60,211         --       --
POSCO                             EQUITY    693483109       2         17 SH       DEFINED        3         --         --       17
POSCO                             EQUITY    693483109      23        200 SH       DEFINED        4         --         --      200
POST PROPERTIES INC               EQUITY    737464107   1,003     45,554 SH       SOLE           2     45,554         --       --
POTASH CORP OF SASKATCHEWA        EQUITY    73755L107   1,019      8,538 SH       SOLE           2      8,538         --       --
POTASH CORP SASK INC              EQUITY    73755L107      16        135 SH       DEFINED        3         --         --      135
POTASH CORP SASK INC              EQUITY    73755L107      53        445 SH       DEFINED        4         --         --      445
POTLATCH CORP                     EQUITY    737630103   4,238    120,950 SH       SOLE           2    120,950         --       --
POTLATCH CORP NEW                 EQUITY    737630103      11        307 SH       DEFINED        4         --         --      307
POWELL INDUSTRIES INC             EQUITY    739128106     246      7,559 SH       SOLE           2      7,559         --       --
POWER INTEGRATIONS INC            EQUITY    739276103     786     19,084 SH       SOLE           2     19,084         --       --
POWERONE INC                      EQUITY    739308104     265     62,879 SH       SOLE           2     62,879         --       --
POWERSECURE INTERNATIONAL         EQUITY    73936N105     111     14,029 SH       SOLE           2     14,029         --       --
POWERSHARES ACTIVE MNG ETF T      EQUITY    73935B201       5        273 SH       DEFINED        4         --         --      273
POWERSHARES ACTIVE MNG ETF T      EQUITY    73935B508     282      6,944 SH       DEFINED        3         --         --    6,944
POWERSHARES ACTIVE MNG ETF T      EQUITY    73935B409     495     19,545 SH       DEFINED        4         --         --   19,545
POWERSHARES DB CMDTY IDX TRA      EQUITY    73935S105      86      3,663 SH       DEFINED        3         --         --    3,663
POWERSHARES DB CMDTY IDX TRA      EQUITY    73935S105     275     11,692 SH       DEFINED        4         --         --   11,692
POWERSHARES DB G10 CURCY HAR      EQUITY    73935Y102      21        888 SH       DEFINED        4         --         --      888
POWERSHARES ETF TR II             EQUITY    73937B209      11        250 SH       DEFINED        4         --         --      250
POWERSHARES ETF TR II             EQUITY    73937B407      20        800 SH       DEFINED        3         --         --      800
POWERSHARES ETF TR II             EQUITY    73937B407     299     12,004 SH       DEFINED        4         --         --   12,004
POWERSHARES ETF TRUST             EQUITY    73935X591       1        100 SH       DEFINED        4         --         --      100
POWERSHARES ETF TRUST             EQUITY    73935X849       2        100 SH       DEFINED        4         --         --      100
POWERSHARES ETF TRUST             EQUITY    73935X773       2         89 SH       DEFINED        4         --         --       89
POWERSHARES ETF TRUST             EQUITY    73935X435       2        100 SH       DEFINED        4         --         --      100
POWERSHARES ETF TRUST             EQUITY    73935X153       3        129 SH       DEFINED        3         --         --      129
POWERSHARES ETF TRUST             EQUITY    73935X633       3        300 SH       DEFINED        4         --         --      300
POWERSHARES ETF TRUST             EQUITY    73935X567       4         66 SH       DEFINED        4         --         --       66
POWERSHARES ETF TRUST             EQUITY    73935X666       4        300 SH       DEFINED        3         --         --      300
POWERSHARES ETF TRUST             EQUITY    73935X385       5        165 SH       DEFINED        4         --         --      165
POWERSHARES ETF TRUST             EQUITY    73935X104       5        122 SH       DEFINED        4         --         --      122
POWERSHARES ETF TRUST             EQUITY    73935X351       5        200 SH       DEFINED        4         --         --      200
POWERSHARES ETF TRUST             EQUITY    73935X690       6        300 SH       DEFINED        3         --         --      300
POWERSHARES ETF TRUST             EQUITY    73935X815       6        300 SH       DEFINED        4         --         --      300
POWERSHARES ETF TRUST             EQUITY    73935X161       7        270 SH       DEFINED        3         --         --      270
POWERSHARES ETF TRUST             EQUITY    73935X278       9        356 SH       DEFINED        3         --         --      356
POWERSHARES ETF TRUST             EQUITY    73935X864      10        749 SH       DEFINED        3         --         --      749
POWERSHARES ETF TRUST             EQUITY    73935X674      14        745 SH       DEFINED        3         --         --      745
POWERSHARES ETF TRUST             EQUITY    73935X740      15      1,442 SH       DEFINED        3         --         --    1,442
POWERSHARES ETF TRUST             EQUITY    73935X658      19      1,100 SH       DEFINED        3         --         --    1,100
POWERSHARES ETF TRUST             EQUITY    73935X732      20      1,520 SH       DEFINED        4         --         --    1,520
POWERSHARES ETF TRUST             EQUITY    73935X856      24      1,246 SH       DEFINED        3         --         --    1,246
POWERSHARES ETF TRUST             EQUITY    73935X583      24        474 SH       DEFINED        3         --         --      474
POWERSHARES ETF TRUST             EQUITY    73935X609      25      1,680 SH       DEFINED        3         --         --    1,680
POWERSHARES ETF TRUST             EQUITY    73935X708      25      1,409 SH       DEFINED        4         --         --    1,409
POWERSHARES ETF TRUST             EQUITY    73935X880      25      1,690 SH       DEFINED        4         --         --    1,690
POWERSHARES ETF TRUST             EQUITY    73935X500      26      2,600 SH       DEFINED        3         --         --    2,600
POWERSHARES ETF TRUST             EQUITY    73935X856      28      1,450 SH       DEFINED        4         --         --    1,450
POWERSHARES ETF TRUST             EQUITY    73935X716      28      1,969 SH       DEFINED        3         --         --    1,969
POWERSHARES ETF TRUST             EQUITY    73935X625      36      2,140 SH       DEFINED        4         --         --    2,140
POWERSHARES ETF TRUST             EQUITY    73935X807      37      2,030 SH       DEFINED        4         --         --    2,030
POWERSHARES ETF TRUST             EQUITY    73935X104      41      1,032 SH       DEFINED        3         --         --    1,032
POWERSHARES ETF TRUST             EQUITY    73935X807      42      2,277 SH       DEFINED        3         --         --    2,277
POWERSHARES ETF TRUST             EQUITY    73935X500      42      4,225 SH       DEFINED        4         --         --    4,225
POWERSHARES ETF TRUST             EQUITY    73935X609      43      2,909 SH       DEFINED        4         --         --    2,909
POWERSHARES ETF TRUST             EQUITY    73935X336      47      3,500 SH       DEFINED        4         --         --    3,500
POWERSHARES ETF TRUST             EQUITY    73935X401      47      1,910 SH       DEFINED        4         --         --    1,910
POWERSHARES ETF TRUST             EQUITY    73935X575      56      3,240 SH       DEFINED        3         --         --    3,240
POWERSHARES ETF TRUST             EQUITY    73935X153      65      3,185 SH       DEFINED        4         --         --    3,185
POWERSHARES ETF TRUST             EQUITY    73935X575      71      4,046 SH       DEFINED        4         --         --    4,046
POWERSHARES ETF TRUST             EQUITY    73935X641      72      4,668 SH       DEFINED        4         --         --    4,668
POWERSHARES ETF TRUST             EQUITY    73935X278      86      3,500 SH       DEFINED        4         --         --    3,500
POWERSHARES ETF TRUST             EQUITY    73935X302     112     13,654 SH       DEFINED        4         --         --   13,654
POWERSHARES ETF TRUST             EQUITY    73935X351     202      7,980 SH       DEFINED        3         --         --    7,980
POWERSHARES ETF TRUST             EQUITY    73935X716     238     16,674 SH       DEFINED        4         --         --   16,674
POWERSHARES ETF TRUST             EQUITY    73935X468     249     11,445 SH       DEFINED        3         --         --   11,445
POWERSHARES ETF TRUST             EQUITY    73935X229     294     16,956 SH       DEFINED        4         --         --   16,956
POWERSHARES ETF TRUST             EQUITY    73935X229     330     19,037 SH       DEFINED        3         --         --   19,037
POWERSHARES ETF TRUST             EQUITY    73935X567     426      7,636 SH       DEFINED        3         --         --    7,636
POWERSHARES ETF TRUST             EQUITY    73935X823   2,341    180,059 SH       DEFINED        4         --         --  180,059
POWERSHARES ETF TRUST II          EQUITY    73936Q504      20      1,661 SH       DEFINED        3         --         --    1,661
POWERSHARES ETF TRUST II          EQUITY    73936Q603      40      2,900 SH       DEFINED        4         --         --    2,900
POWERSHARES ETF TRUST II          EQUITY    73936Q876      40      1,060 SH       DEFINED        4         --         --    1,060
POWERSHARES ETF TRUST II          EQUITY    73936Q702     145      5,300 SH       DEFINED        4         --         --    5,300
POWERSHARES ETF TRUST II          EQUITY    73936Q702     721     26,350 SH       DEFINED        3         --         --   26,350
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T763       6        263 SH       DEFINED        3         --         --      263
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T524       7        250 SH       DEFINED        3         --         --      250
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T623       9        500 SH       DEFINED        4         --         --      500
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T524      13        500 SH       DEFINED        4         --         --      500
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T557      23      1,285 SH       DEFINED        4         --         --    1,285
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T474      24      1,000 SH       DEFINED        3         --         --    1,000
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T615      25      1,719 SH       DEFINED        3         --         --    1,719
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T557      41      2,292 SH       DEFINED        3         --         --    2,292
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T474      43      1,800 SH       DEFINED        4         --         --    1,800
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T573      47      1,805 SH       DEFINED        3         --         --    1,805
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T615      47      3,200 SH       DEFINED        4         --         --    3,200
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T573      65      2,477 SH       DEFINED        4         --         --    2,477
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T441      74      3,136 SH       DEFINED        4         --         --    3,136
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T565      84      6,000 SH       DEFINED        3         --         --    6,000
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T458     108      4,650 SH       DEFINED        4         --         --    4,650
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T433     162      6,488 SH       DEFINED        3         --         --    6,488
POWERSHARES GLOBAL ETF TRUST      EQUITY    73936T565     692     49,626 SH       DEFINED        4         --         --   49,626





                                                                                        
POWERSHARES INDIA ETF TR          EQUITY    73935L100      12        525 SH       DEFINED        3         --         --      525
POWERSHARES INDIA ETF TR          EQUITY    73935L100      49      2,142 SH       DEFINED        4         --         --    2,142
POWERSHARES QQQ TRUST             EQUITY    73935A104   1,534     31,842 SH       DEFINED        4         --         --   31,842
POWERSHARES QQQ TRUST             EQUITY    73935A104   1,901     39,479 SH       DEFINED        3         --         --   39,479
POWERSHS DB MULTI SECT COMM       EQUITY    73936B705      24      1,074 SH       DEFINED        4         --         --    1,074
POWERSHS DB MULTI SECT COMM       EQUITY    73936B507      37      1,315 SH       DEFINED        4         --         --    1,315
POWERSHS DB MULTI SECT COMM       EQUITY    73936B200      59      1,553 SH       DEFINED        4         --         --    1,553
POWERSHS DB MULTI SECT COMM       EQUITY    73936B101      83      3,218 SH       DEFINED        4         --         --    3,218
POWERSHS DB MULTI SECT COMM       EQUITY    73936B408     101      4,181 SH       DEFINED        4         --         --    4,181
POWERSHS DB MULTI SECT COMM       EQUITY    73936B408     120      4,965 SH       DEFINED        3         --         --    4,965
POWERSHS DB MULTI SECT COMM       EQUITY    73936B200     184      4,818 SH       DEFINED        3         --         --    4,818
POWERSHS DB MULTI SECT COMM       EQUITY    73936B507     252      8,957 SH       DEFINED        3         --         --    8,957
POWERSHS DB MULTI SECT COMM       EQUITY    73936B705     980     43,520 SH       DEFINED        3         --         --   43,520
POWERSHS DB US DOLLAR INDEX       EQUITY    73936D206      22        841 SH       DEFINED        3         --         --      841
POWERSHS DB US DOLLAR INDEX       EQUITY    73936D107      73      3,050 SH       DEFINED        4         --         --    3,050
POWERSHS DB US DOLLAR INDEX       EQUITY    73936D107     196      8,234 SH       DEFINED        3         --         --    8,234
POWERWAVE TECHNOLOGIES INC        EQUITY    739363109     135    107,806 SH       SOLE           2    107,806         --       --
POZEN INC                         EQUITY    73941U102       5        500 SH       DEFINED        4         --         --      500
POZEN INC                         EQUITY    73941U102     205     21,357 SH       SOLE           2     21,357         --       --
PPG INDS INC                      EQUITY    693506107      39        600 SH       DEFINED        3         --         --      600
PPG INDS INC                      EQUITY    693506107     323      4,942 SH       DEFINED        4         --         --    4,942
PPG INDUSTRIES INC                EQUITY    693506107   3,780     57,803 SH       SOLE           2     57,803         --       --
PPL CORP                          EQUITY    69351T106      16        570 SH       DEFINED        4         --         --      570
PPL CORP                          EQUITY    69351T106     968     34,922 SH       DEFINED        3         --         --   34,922
PPL CORPORATION                   EQUITY    69351T106   3,572    128,889 SH       SOLE           2    128,889         --       --
PRAXAIR INC                       EQUITY    74005P104       9        108 SH       DEFINED        4         --         --      108
PRAXAIR INC                       EQUITY    74005P104      17        210 SH       DEFINED        3         --         --      210
PRAXAIR INC                       EQUITY    74005P104  15,878    191,298 SH       SOLE           2    191,298         --       --
PRECISION CASTPARTS CORP          EQUITY    740189105      26        202 SH       DEFINED        4         --         --      202
PRECISION CASTPARTS CORP          EQUITY    740189105   8,605     67,910 SH       SOLE           2     67,910         --       --
PREFORMED LINE PRODUCTS CO        EQUITY    740444104      70      1,823 SH       SOLE           2      1,823         --       --
PREMIERE GLOBAL SERVICES I        EQUITY    740585104   6,491    785,820 SH       SOLE           2    785,820         --       --
PREMIERWEST BANCORP               EQUITY    740921101       8     17,702 SH       SOLE           2     17,702         --       --
PREPAID LEGAL SERVICES INC        EQUITY    740065107     245      6,469 SH       SOLE           2      6,469         --       --
PRESIDENTIAL LIFE                 EQUITY    740884101     198     19,851 SH       SOLE           2     19,851         --       --
PRESSTEK INC                      EQUITY    741113104       4      1,000 SH       DEFINED        4         --         --    1,000
PRESTIGE BRANDS HOLDINGS I        EQUITY    74112D101     249     27,655 SH       SOLE           2     27,655         --       --
PRICE T ROWE GROUP INC            EQUITY    74144T108       4         77 SH       DEFINED        4         --         --       77
PRICELINE COM INC                 EQUITY    741503403      23         89 SH       DEFINED        4         --         --       89
PRICELINE.COM INC                 EQUITY    741503403   5,684     22,291 SH       SOLE           2     22,291         --       --
PRICESMART INC                    EQUITY    741511109     303     13,048 SH       SOLE           2     13,048         --       --
PRIDE INTERNATIONAL INC           EQUITY    74153Q102  11,937    396,435 SH       SOLE           2    396,435         --       --
PRIDE INTL INC DEL                EQUITY    74153Q102      77      2,567 SH       DEFINED        4         --         --    2,567
PRIMEDIA INC                      EQUITY    74157K846      47     13,636 SH       SOLE           2     13,636         --       --
PRIMEENERGY CORP                  EQUITY    7.42E+108      12        457 SH       SOLE           2        457         --       --
PRIMORIS SERVICES CORP            EQUITY    74164F103      52      6,658 SH       SOLE           2      6,658         --       --
PRIMUS GUARANTY LTD               EQUITY    G72457107      60     14,316 SH       SOLE           2     14,316         --       --
PRINCETON REVIEW INC              EQUITY    742352107      42     11,898 SH       SOLE           2     11,898         --       --
PRINCIPAL FINANCIAL GROUP         EQUITY    74251V102   4,209    144,104 SH       SOLE           2    144,104         --       --
PRINCIPAL FINL GROUP INC          EQUITY    74251V102       7        251 SH       DEFINED        4         --         --      251
PRIVATEBANCORP INC                EQUITY    742962103     704     51,381 SH       SOLE           2     51,381         --       --
PROASSURANCE CORP                 EQUITY    74267C106       1         25 SH       DEFINED        3         --         --       25
PROASSURANCE CORP                 EQUITY    74267C106   1,815     31,005 SH       SOLE           2     31,005         --       --
PROCTER  GAMBLE CO                EQUITY    742718109  94,902  1,499,948 SH       SOLE           2  1,499,948         --       --
PROCTER & GAMBLE CO               EQUITY    742718109   1,326     20,955 SH       DEFINED        4         --         --   20,955
PROCTER & GAMBLE CO               EQUITY    742718109   2,313     36,557 SH       DEFINED        3         --         --   36,557
PROGENICS PHARMACEUTICALS         EQUITY    743187106     116     21,843 SH       SOLE           2     21,843         --       --
PROGRESS ENERGY INC               EQUITY    743263105      44      1,129 SH       DEFINED        3         --         --    1,129
PROGRESS ENERGY INC               EQUITY    743263105     100      2,545 SH       DEFINED        4         --         --    2,545
PROGRESS ENERGY INC               EQUITY    743263105   3,907     99,253 SH       SOLE           2     99,253         --       --
PROGRESS SOFTWARE CORP            EQUITY    743312100   1,185     37,689 SH       SOLE           2     37,689         --       --
PROGRESSIVE CORP                  EQUITY    743315103   6,782    355,244 SH       SOLE           2    355,244         --       --
PROGRESSIVE CORP OHIO             EQUITY    743315103      28      1,445 SH       DEFINED        4         --         --    1,445
PROLOGIS                          EQUITY    743410102       4        300 SH       DEFINED        3         --         --      300
PROLOGIS                          EQUITY    743410102      30      2,254 SH       SOLE           1       2254         --       --
PROLOGIS                          EQUITY    743410102   3,237    245,223 SH       SOLE           2    245,223         --       --
PROS HOLDINGS INC                 EQUITY    74346Y103     154     15,572 SH       SOLE           2     15,572         --       --
PROSHARES TR                      EQUITY    74347R636       2         50 SH       DEFINED        4         --         --       50
PROSHARES TR                      EQUITY    74347R339       2         50 SH       DEFINED        3         --         --       50
PROSHARES TR                      EQUITY    74347R818       2         50 SH       DEFINED        4         --         --       50
PROSHARES TR                      EQUITY    74347R719       2         58 SH       DEFINED        3         --         --       58
PROSHARES TR                      EQUITY    74347R206       3         45 SH       DEFINED        4         --         --       45
PROSHARES TR                      EQUITY    74347R495       3        109 SH       DEFINED        4         --         --      109
PROSHARES TR                      EQUITY    74347R230       4        100 SH       DEFINED        4         --         --      100
PROSHARES TR                      EQUITY    74347R552       4        700 SH       DEFINED        3         --         --      700
PROSHARES TR                      EQUITY    74347R321       5        600 SH       DEFINED        4         --         --      600
PROSHARES TR                      EQUITY    74347R800       5        122 SH       DEFINED        3         --         --      122
PROSHARES TR                      EQUITY    74347R677       6        686 SH       DEFINED        3         --         --      686
PROSHARES TR                      EQUITY    74347R354       6        600 SH       DEFINED        4         --         --      600
PROSHARES TR                      EQUITY    74347R552       6      1,000 SH       DEFINED        4         --         --    1,000
PROSHARES TR                      EQUITY    74347R503       6        125 SH       DEFINED        4         --         --      125
PROSHARES TR                      EQUITY    74347X401       6        280 SH       DEFINED        4         --         --      280
PROSHARES TR                      EQUITY    74347R628       7        347 SH       DEFINED        4         --         --      347
PROSHARES TR                      EQUITY    74347R651       7      1,000 SH       DEFINED        4         --         --    1,000
PROSHARES TR                      EQUITY    74347R537       7        175 SH       DEFINED        4         --         --      175
PROSHARES TR                      EQUITY    74347R735       8        150 SH       DEFINED        3         --         --      150
PROSHARES TR                      EQUITY    74347R735       9        160 SH       DEFINED        4         --         --      160
PROSHARES TR                      EQUITY    74347R487      10        269 SH       DEFINED        3         --         --      269
PROSHARES TR                      EQUITY    74347R404      10        202 SH       DEFINED        3         --         --      202
PROSHARES TR                      EQUITY    74347R743      11      1,654 SH       DEFINED        3         --         --    1,654
PROSHARES TR                      EQUITY    74347R701      14        285 SH       DEFINED        3         --         --      285
PROSHARES TR                      EQUITY    74347R602      16        400 SH       DEFINED        4         --         --      400
PROSHARES TR                      EQUITY    74347R404      17        350 SH       DEFINED        4         --         --      350
PROSHARES TR                      EQUITY    74347R107      22        529 SH       DEFINED        3         --         --      529





                                                                                        
PROSHARES TR                      EQUITY    74347R701      32        650 SH       DEFINED        4         --         --      650
PROSHARES TR                      EQUITY    74347R305      36        750 SH       DEFINED        4         --         --      750
PROSHARES TR                      EQUITY    74347R743      44      6,500 SH       DEFINED        4         --         --    6,500
PROSHARES TR                      EQUITY    74347R719      51      1,500 SH       DEFINED        4         --         --    1,500
PROSHARES TR                      EQUITY    74347R669      62      1,800 SH       DEFINED        4         --         --    1,800
PROSHARES TR                      EQUITY    74347R867      63      2,400 SH       DEFINED        4         --         --    2,400
PROSHARES TR                      EQUITY    74347R693      77      1,410 SH       DEFINED        4         --         --    1,410
PROSHARES TR                      EQUITY    74347R297      79      1,630 SH       DEFINED        4         --         --    1,630
PROSHARES TR                      EQUITY    74347R834      82      3,986 SH       DEFINED        3         --         --    3,986
PROSHARES TR                      EQUITY    74347R859      83      4,580 SH       DEFINED        3         --         --    4,580
PROSHARES TR                      EQUITY    74347R875      84      5,000 SH       DEFINED        4         --         --    5,000
PROSHARES TR                      EQUITY    74347R875     117      6,967 SH       DEFINED        3         --         --    6,967
PROSHARES TR                      EQUITY    74347R826     191      4,759 SH       DEFINED        3         --         --    4,759
PROSHARES TR                      EQUITY    74347X849     195      3,902 SH       DEFINED        3         --         --    3,902
PROSHARES TR                      EQUITY    74347R651     204     28,812 SH       DEFINED        3         --         --   28,812
PROSHARES TR                      EQUITY    74347R230     211      5,325 SH       DEFINED        3         --         --    5,325
PROSHARES TR                      EQUITY    74347R883     234      7,535 SH       DEFINED        4         --         --    7,535
PROSHARES TR                      EQUITY    74347R602     235      5,724 SH       DEFINED        3         --         --    5,724
PROSHARES TR                      EQUITY    74347R107     327      7,787 SH       DEFINED        4         --         --    7,787
PROSHARES TR                      EQUITY    74347R206     504      7,709 SH       DEFINED        3         --         --    7,709
PROSHARES TR                      EQUITY    74347R321     562     71,550 SH       DEFINED        3         --         --   71,550
PROSHARES TR                      EQUITY    74347R776     907     25,358 SH       DEFINED        4         --         --   25,358
PROSHARES TR                      EQUITY    74347R867   1,011     38,291 SH       DEFINED        3         --         --   38,291
PROSHARES TR                      EQUITY    74347R503   1,068     21,577 SH       DEFINED        3         --         --   21,577
PROSHARES TR                      EQUITY    74347R883   1,446     46,648 SH       DEFINED        3         --         --   46,648
PROSHARES TR                      EQUITY    74347R297   2,167     44,510 SH       DEFINED        3         --         --   44,510
PROSHARES TR II                   EQUITY    74347W700       6        600 SH       DEFINED        4         --         --      600
PROSHARES TR II                   EQUITY    74347W882       8        369 SH       DEFINED        4         --         --      369
PROSHARES TR II                   EQUITY    74347W874      13        500 SH       DEFINED        3         --         --      500
PROSHARES TR II                   EQUITY    74347W809      18      1,500 SH       DEFINED        4         --         --    1,500
PROSHARES TR II                   EQUITY    74347W601      45      1,000 SH       DEFINED        4         --         --    1,000
PROSHARES TR II                   EQUITY    74347W882     155      7,441 SH       DEFINED        3         --         --    7,441
PROSPECT CAPITAL CORP             EQUITY    74348T102     613     50,435 SH       SOLE           2     50,435         --       --
PROSPECT CAPITAL CORPORATION      EQUITY    74348T102      28      2,300 SH       DEFINED        4         --         --    2,300
PROSPECT CAPITAL CORPORATION      EQUITY    74348T102      83      6,822 SH       DEFINED        3         --         --    6,822
PROSPERITY BANCSHARES INC         EQUITY    743606105   5,779    140,950 SH       SOLE           2    140,950         --       --
PROTALIX BIOTHERAPEUTICS I        EQUITY    74365A101     185     28,255 SH       SOLE           2     28,255         --       --
PROTECTIVE LIFE CORP              EQUITY    743674103   4,257    193,574 SH       SOLE           2    193,574         --       --
PROVIDENCE SERVICE CORP           EQUITY    743815102     131      8,620 SH       SOLE           2      8,620         --       --
PROVIDENT ENERGY TR               EQUITY    74386K104     192     24,908 SH       DEFINED        4         --         --   24,908
PROVIDENT ENERGY TR               EQUITY    74386K104   1,136    147,387 SH       DEFINED        3         --         --  147,387
PROVIDENT FINANCIAL SERVIC        EQUITY    74386T105     571     47,952 SH       SOLE           2     47,952         --       --
PROVIDENT NEW YORK BANCORP        EQUITY    744028101     268     28,274 SH       SOLE           2     28,274         --       --
PRUDENTIAL BANCORP INC OF         EQUITY    744319104      26      3,055 SH       SOLE           2      3,055         --       --
PRUDENTIAL FINANCIAL INC          EQUITY    744320102  11,596    191,671 SH       SOLE           2    191,671         --       --
PRUDENTIAL FINL INC               EQUITY    744320102      81      1,334 SH       DEFINED        3         --         --    1,334
PRUDENTIAL FINL INC               EQUITY    744320102     163      2,687 SH       DEFINED        4         --         --    2,687
PRUDENTIAL PLC                    EQUITY    74435K204       5        304 SH       DEFINED        4         --         --      304
PRUDENTIAL PLC                    EQUITY    G7293H114      24      1,000 SH       DEFINED        4         --         --    1,000
PRUDENTIAL PLC                    EQUITY    G7293H189      32      1,320 SH       DEFINED        3         --         --    1,320
PRUDENTIAL PLC                    EQUITY    G7293H114      52      2,138 SH       DEFINED        3         --         --    2,138
PS BUSINESS PARKS INC/CA          EQUITY    69360J107     899     16,832 SH       SOLE           2     16,832         --       --
PSS WORLD MED INC                 EQUITY    69366A100      63      2,670 SH       DEFINED        3         --         --    2,670
PSS WORLD MEDICAL INC             EQUITY    69366A100   8,964    381,272 SH       SOLE           2    381,272         --       --
PSYCHIATRIC SOLUTIONS INC         EQUITY    74439H108   5,092    170,868 SH       SOLE           2    170,868         --       --
PUBLIC SERVICE ENTERPRISE         EQUITY    744573106   4,822    163,332 SH       SOLE           2    163,332         --       --
PUBLIC STORAGE                    EQUITY    74460D729       2        100 SH       DEFINED        3         --         --      100
PUBLIC STORAGE                    EQUITY    74460D109      15        162 SH       DEFINED        4         --         --      162
PUBLIC STORAGE                    EQUITY    74460D109     151      1,643 SH       DEFINED        3         --         --    1,643
PUBLIC STORAGE                    EQUITY    74460D109   5,207     56,609 SH       SOLE           2     56,609         --       --
PUBLIC SVC ENTERPRISE GROUP       EQUITY    744573106     166      5,635 SH       DEFINED        3         --         --    5,635
PUBLIC SVC ENTERPRISE GROUP       EQUITY    744573106     236      7,982 SH       DEFINED        4         --         --    7,982
PUDA COAL INC                     EQUITY    744674300      13      1,500 SH       DEFINED        3         --         --    1,500
PULTE GROUP INC                   EQUITY    745867101   1,251    111,169 SH       SOLE           2    111,169         --       --
PULTE HOMES INC                   EQUITY    745867101       1        100 SH       DEFINED        4         --         --      100
PUTMAN HIGH INCOME SEC FUND       EQUITY    746779107      25      3,050 SH       DEFINED        3         --         --    3,050
PUTNAM MANAGED MUN INCOM TR       EQUITY    746823103      67      9,309 SH       DEFINED        4         --         --    9,309
PUTNAM MUN OPPORTUNITIES TR       EQUITY    746922103       4        355 SH       DEFINED        3         --         --      355
PUTNAM PREMIER INCOME TR          EQUITY    746853100      20      3,100 SH       DEFINED        3         --         --    3,100
PUTNAM PREMIER INCOME TR          EQUITY    746853100     386     59,270 SH       DEFINED        4         --         --   59,270
PZENA INVESTMENT MANAGMCL         EQUITY    74731Q103      48      6,292 SH       SOLE           2      6,292         --       --
QAD INC                           EQUITY    74727D108      54     10,249 SH       SOLE           2     10,249         --       --
QC HOLDINGS INC                   EQUITY    74729T101      14      2,796 SH       SOLE           2      2,796         --       --
QIAGEN N V                        EQUITY    N72482107       6        259 SH       DEFINED        4         --         --      259
QIAGEN N.V.                       EQUITY    N72482107     321     13,969 SH       SOLE           2     13,969         --       --
QIAO XING UNIVERSAL TELEPHON      EQUITY    G7303A109     131     67,625 SH       DEFINED        4         --         --   67,625
QLOGIC CORP                       EQUITY    747277101   9,506    468,274 SH       SOLE           2    468,274         --       --
QUAKER CHEMICAL CORP              EQUITY    747316107     285     10,527 SH       SOLE           2     10,527         --       --
QUALCOMM INC                      EQUITY    747525103     233      5,548 SH       DEFINED        3         --         --    5,548
QUALCOMM INC                      EQUITY    747525103     468     11,152 SH       DEFINED        4         --         --   11,152
QUALCOMM INC                      EQUITY    747525103  66,912  1,593,513 SH       SOLE           2  1,593,513         --       --
QUALITY SYSTEMS INC               EQUITY    747582104   1,322     21,516 SH       SOLE           2     21,516         --       --
QUANEX BUILDING PRODUCTS          EQUITY    747619104     585     35,417 SH       SOLE           2     35,417         --       --
QUANTA SERVICES INC               EQUITY    7.48E+106   6,536    341,119 SH       SOLE           2    341,119         --       --
QUANTA SVCS INC                   EQUITY    7.48E+106      81      4,250 SH       DEFINED        4         --         --    4,250
QUANTUM CORP                      EQUITY    747906204       1        500 SH       DEFINED        3         --         --      500
QUANTUM CORP                      EQUITY    747906204     443    168,456 SH       SOLE           2    168,456         --       --
QUEST CAP CORP NEW                EQUITY    74835U109       3      2,000 SH       DEFINED        4         --         --    2,000
QUEST DIAGNOSTICS                 EQUITY    74834L100   3,297     56,562 SH       SOLE           2     56,562         --       --
QUEST DIAGNOSTICS INC             EQUITY    74834L100       3         58 SH       DEFINED        3         --         --       58
QUEST DIAGNOSTICS INC             EQUITY    74834L100      36        616 SH       DEFINED        4         --         --      616
QUEST SOFTWARE INC                EQUITY    74834T103   3,360    188,892 SH       SOLE           2    188,892         --       --
QUESTAR CORP                      EQUITY    748356102      13        300 SH       DEFINED        3         --         --      300
QUESTAR CORP                      EQUITY    748356102     112      2,592 SH       DEFINED        4         --         --    2,592





                                                                                        
QUESTAR CORP                      EQUITY    748356102   4,910    113,659 SH       SOLE           2    113,659         --       --
QUESTCOR PHARMACEUTICALS          EQUITY    74835Y101     386     46,883 SH       SOLE           2     46,883         --       --
QUICKLOGIC CORP                   EQUITY    74837P108      12      4,000 SH       DEFINED        4         --         --    4,000
QUICKSILVER RESOURCES INC         EQUITY    74837R104      14      1,000 SH       DEFINED        3         --         --    1,000
QUICKSILVER RESOURCES INC         EQUITY    74837R104     313     22,268 SH       DEFINED        4         --         --   22,268
QUICKSILVER RESOURCES INC         EQUITY    74837R104   3,756    266,919 SH       SOLE           2    266,919         --       --
QUIDEL CORP                       EQUITY    74838J101     306     21,041 SH       SOLE           2     21,041         --       --
QUIKSILVER INC                    EQUITY    74838C106      48     10,048 SH       DEFINED        4         --         --   10,048
QUIKSILVER INC                    EQUITY    74838C106     579    122,450 SH       SOLE           2    122,450         --       --
QWEST COMMUNICATIONS INTL         EQUITY    749121109   5,353  1,025,448 SH       SOLE           2  1,025,448         --       --
QWEST COMMUNICATIONS INTL IN      EQUITY    749121109       3        560 SH       DEFINED        3         --         --      560
QWEST COMMUNICATIONS INTL IN      EQUITY    749121109      35      6,775 SH       DEFINED        4         --         --    6,775
RACKSPACE HOSTING INC             EQUITY    750086100     424     22,642 SH       DEFINED        3         --         --   22,642
RACKSPACE HOSTING INC             EQUITY    750086100     997     53,211 SH       SOLE           2     53,211         --       --
RADIAN GROUP INC                  EQUITY    750236101      13        800 SH       DEFINED        4         --         --      800
RADIAN GROUP INC                  EQUITY    750236101   1,027     65,636 SH       SOLE           2     65,636         --       --
RADIANT SYSTEMS INC               EQUITY    75025N102     374     26,230 SH       SOLE           2     26,230         --       --
RADIOSHACK CORP                   EQUITY    750438103   1,030     45,508 SH       SOLE           2     45,508         --       --
RADISYS CORP                      EQUITY    750459109     200     22,358 SH       SOLE           2     22,358         --       --
RADNET INC                        EQUITY    750491102      76     23,824 SH       SOLE           2     23,824         --       --
RAE SYSTEMS INC                   EQUITY    75061P102      27     33,164 SH       SOLE           2     33,164         --       --
RAILAMERICA INC                   EQUITY    750753402     212     17,967 SH       SOLE           2     17,967         --       --
RAIT FINANCIAL TRUST              EQUITY    749227104       6      2,955 SH       DEFINED        4         --         --    2,955
RAIT FINANCIAL TRUST              EQUITY    749227104     120     60,790 SH       SOLE           2     60,790         --       --
RALCORP HLDGS INC NEW             EQUITY    751028101      11        160 SH       DEFINED        4         --         --      160
RALCORP HOLDINGS INC              EQUITY    751028101   8,412    124,107 SH       SOLE           2    124,107         --       --
RAMBUS INC                        EQUITY    750917106      44      2,021 SH       SOLE           2      2,021         --       --
RAMBUS INC DEL                    EQUITY    750917106     277     12,700 SH       DEFINED        4         --         --   12,700
RAMCOGERSHENSON PROPERTIES        EQUITY    751452202     239     21,223 SH       SOLE           2     21,223         --       --
RANDGOLD RES LTD                  EQUITY    752344309      38        500 SH       DEFINED        4         --         --      500
RANGE RES CORP                    EQUITY    75281A109       5        100 SH       DEFINED        4         --         --      100
RANGE RES CORP                    EQUITY    75281A109      11        230 SH       DEFINED        3         --         --      230
RANGE RESOURCES CORP              EQUITY    75281A109   3,873     82,626 SH       SOLE           2     82,626         --       --
RASER TECHNOLOGIES INC            EQUITY    754055101       5      4,500 SH       DEFINED        4         --         --    4,500
RASER TECHNOLOGIES INC            EQUITY    754055101      53     53,262 SH       SOLE           2     53,262         --       --
RAVEN INDUSTRIES INC              EQUITY    754212108     386     13,079 SH       SOLE           2     13,079         --       --
RAYMOND JAMES FINANCIAL IN        EQUITY    754730109   5,998    224,302 SH       SOLE           2    224,302         --       --
RAYONIER INC                      EQUITY    754907103       5        110 SH       DEFINED        3         --         --      110
RAYONIER INC                      EQUITY    754907103      36        800 SH       DEFINED        4         --         --      800
RAYONIER INC                      EQUITY    754907103   8,203    180,566 SH       SOLE           2    180,566         --       --
RAYTHEON CO                       EQUITY    755111507      80      1,403 SH       DEFINED        4         --         --    1,403
RAYTHEON CO                       EQUITY    755111507     275      4,817 SH       DEFINED        3         --         --    4,817
RAYTHEON COMPANY                  EQUITY    755111507  23,012    402,871 SH       SOLE           2    402,871         --       --
RBC BEARINGS INC                  EQUITY    75524B104       6        185 SH       DEFINED        4         --         --      185
RBC BEARINGS INC                  EQUITY    75524B104     554     17,396 SH       SOLE           2     17,396         --       --
RC2 CORP                          EQUITY    749388104     305     20,404 SH       SOLE           2     20,404         --       --
RCN CORP                          EQUITY    749361200      18      1,185 SH       SOLE           1       1185         --       --
RCN CORP                          EQUITY    749361200     449     29,791 SH       SOLE           2     29,791         --       --
READING INTERNATIONAL INCA        EQUITY    755408101      60     14,146 SH       SOLE           2     14,146         --       --
REALNETWORKS INC                  EQUITY    75605L104     327     67,747 SH       SOLE           2     67,747         --       --
REALTY INCOME CORP                EQUITY    756109104     580     18,892 SH       DEFINED        4         --         --   18,892
REALTY INCOME CORP                EQUITY    756109104   1,034     33,690 SH       DEFINED        3         --         --   33,690
REALTY INCOME CORP                EQUITY    756109104   7,251    236,274 SH       SOLE           2    236,274         --       --
RED HAT INC                       EQUITY    756577102       3        100 SH       DEFINED        4         --         --      100
RED HAT INC                       EQUITY    756577102   2,319     79,218 SH       SOLE           2     79,218         --       --
RED LION HOTELS CORP              EQUITY    756764106       1        200 SH       DEFINED        3         --         --      200
RED LION HOTELS CORP              EQUITY    756764106      78     10,867 SH       SOLE           2     10,867         --       --
RED ROBIN GOURMET BURGERS         EQUITY    75689M101     363     14,846 SH       SOLE           2     14,846         --       --
REDWOOD TR INC                    EQUITY    758075402       2        100 SH       DEFINED        4         --         --      100
REDWOOD TRUST INC                 EQUITY    758075402     958     62,106 SH       SOLE           2     62,106         --       --
REGAL BELOIT CORP                 EQUITY    758750103   6,678    112,403 SH       SOLE           2    112,403         --       --
REGAL ENTERTAINMENT GROUPA        EQUITY    758766109      29      1,672 SH       SOLE           2      1,672         --       --
REGAL ENTMT GROUP                 EQUITY    758766109       2        112 SH       DEFINED        4         --         --      112
REGENCY CENTERS CORP              EQUITY    758849103   6,920    184,680 SH       SOLE           2    184,680         --       --
REGENCY ENERGY PARTNERS L P       EQUITY    75885Y107     215      9,778 SH       DEFINED        4         --         --    9,778
REGENERON PHARMACEUTICALS         EQUITY    75886F107   1,575     59,453 SH       SOLE           2     59,453         --       --
REGIONS FINANCIAL CORP            EQUITY    7591EP100   4,845    617,177 SH       SOLE           2    617,177         --       --
REGIONS FINANCIAL CORP NEW        EQUITY    7591EP100       6        764 SH       DEFINED        4         --         --      764
REGIONS FINANCIAL CORP NEW        EQUITY    7591EP100      25      3,225 SH       DEFINED        3         --         --    3,225
REGIS CORP                        EQUITY    758932107   3,240    173,465 SH       SOLE           2    173,465         --       --
REGIS CORP MINN                   EQUITY    758932107       2        100 SH       DEFINED        3         --         --      100
REHABCARE GROUP INC               EQUITY    759148109     632     23,178 SH       SOLE           2     23,178         --       --
REINSURANCE GROUP AMER INC        EQUITY    759351604       3         59 SH       DEFINED        3         --         --       59
REINSURANCE GROUP AMER INC        EQUITY    759351604       8        152 SH       DEFINED        4         --         --      152
REINSURANCE GROUP OF AMERI        EQUITY    759351604   8,666    165,000 SH       SOLE           2    165,000         --       --
RELIANCE STEEL  ALUMINUM          EQUITY    759509102   7,147    145,171 SH       SOLE           2    145,171         --       --
RELIANCE STEEL & ALUMINUM CO      EQUITY    759509102      10        200 SH       DEFINED        4         --         --      200
RENAISSANCE LEARNING INC          EQUITY    75968L105      86      5,301 SH       SOLE           2      5,301         --       --
RENAISSANCERE HOLDINGS LTD        EQUITY    G7496G103      94      1,657 SH       SOLE           2      1,657         --       --
RENASANT CORP                     EQUITY    7.60E+111     279     17,213 SH       SOLE           2     17,213         --       --
RENESOLA LTD                      EQUITY    75971T103       1        200 SH       DEFINED        4         --         --      200
RENTACENTER INC                   EQUITY    76009N100   4,728    199,912 SH       SOLE           2    199,912         --       --
RENTECH INC                       EQUITY    760112102       4      3,500 SH       DEFINED        4         --         --    3,500
RENTRAK CORP                      EQUITY    760174102     166      7,715 SH       SOLE           2      7,715         --       --
REPLIGEN CORP                     EQUITY    759916109     102     25,071 SH       SOLE           2     25,071         --       --
REPROS THERAPEUTICS INC           EQUITY    76028H100       9     12,995 SH       SOLE           2     12,995         --       --
REPSOL YPF S A                    EQUITY    76026T205       5        200 SH       DEFINED        3         --         --      200
REPUBLIC AIRWAYS HOLDINGS         EQUITY    760276105     167     28,140 SH       SOLE           2     28,140         --       --
REPUBLIC BANCORP INCCLASS         EQUITY    760281204     144      7,660 SH       SOLE           2      7,660         --       --
REPUBLIC FIRST BANCORP INC        EQUITY    760416107      23      5,857 SH       SOLE           2      5,857         --       --
REPUBLIC SERVICES INC             EQUITY    760759100   3,250    111,987 SH       SOLE           2    111,987         --       --
REPUBLIC SVCS INC                 EQUITY    760759100       7        225 SH       DEFINED        3         --         --      225
RESCARE INC                       EQUITY    760943100     289     24,130 SH       SOLE           2     24,130         --       --
RESEARCH IN MOTION                EQUITY    760975102   9,039    122,233 SH       SOLE           2    122,233         --       --





                                                                                        
RESEARCH IN MOTION LTD            EQUITY    760975102     633      8,555 SH       DEFINED        4         --         --    8,555
RESEARCH IN MOTION LTD            EQUITY    760975102     669      9,045 SH       DEFINED        3         --         --    9,045
RESMED INC                        EQUITY    761152107  10,791    169,534 SH       SOLE           2    169,534         --       --
RESOURCE AMERICA INCCL A          EQUITY    761195205      48     10,075 SH       SOLE           2     10,075         --       --
RESOURCE CAPITAL CORP             EQUITY    76120W302     168     24,892 SH       SOLE           2     24,892         --       --
RESOURCES CONNECTION INC          EQUITY    76122Q105   5,243    273,489 SH       SOLE           2    273,489         --       --
RETAIL VENTURES INC               EQUITY    76128Y102     193     20,345 SH       SOLE           2     20,345         --       --
REVENUESHARES ETF TR              EQUITY    761396209       2         86 SH       DEFINED        4         --         --       86
REVENUESHARES ETF TR              EQUITY    761396100       2        104 SH       DEFINED        4         --         --      104
REVENUESHARES ETF TR              EQUITY    761396605       5        123 SH       DEFINED        4         --         --      123
REVLON INCCLASS A                 EQUITY    761525609     236     15,909 SH       SOLE           2     15,909         --       --
REWARDS NETWORK INC               EQUITY    761557206      86      6,428 SH       SOLE           2      6,428         --       --
REX ENERGY CORP                   EQUITY    761565100     280     24,568 SH       SOLE           2     24,568         --       --
REX STORES CORP                   EQUITY    761624105      96      5,905 SH       SOLE           2      5,905         --       --
REYNOLDS AMERICAN INC             EQUITY    761713106      14        266 SH       DEFINED        3         --         --      266
REYNOLDS AMERICAN INC             EQUITY    761713106      21        386 SH       DEFINED        4         --         --      386
REYNOLDS AMERICAN INC             EQUITY    761713106   9,764    180,887 SH       SOLE           2    180,887         --       --
RF MICRO DEVICES INC              EQUITY    749941100  13,095  2,629,584 SH       SOLE           2  2,629,584         --       --
RF MICRODEVICES INC               EQUITY    749941100       4        837 SH       DEFINED        4         --         --      837
RF MONOLITHICS INC COM
   (OXFORD PTNRS LP)              EQUITY    74955F106       6      4,973 SH       SOLE           1       4973         --       --
RIGEL PHARMACEUTICALS INC         EQUITY    766559603     324     40,686 SH       SOLE           2     40,686         --       --
RIGHTNOW TECHNOLOGIES INC         EQUITY    76657R106     318     17,800 SH       SOLE           2     17,800         --       --
RIMAGE CORP                       EQUITY    766721104     111      7,649 SH       SOLE           2      7,649         --       --
RINO INTERNATIONAL CORPORATI      EQUITY    766883102      17        700 SH       DEFINED        3         --         --      700
RINO INTERNATIONAL CORPORATI      EQUITY    766883102     183      7,700 SH       DEFINED        4         --         --    7,700
RIO TINTO PLC                     EQUITY    767204100      24        100 SH       DEFINED        4         --         --      100
RISKMETRICS GROUP INC             EQUITY    767735103     406     17,974 SH       SOLE           2     17,974         --       --
RITCHIE BROS AUCTIONEERS          EQUITY    767744105       3        147 SH       DEFINED        4         --         --      147
RITE AID CORP                     EQUITY    767754104      13      8,500 SH       DEFINED        4         --         --    8,500
RITE AID CORP                     EQUITY    767754104      16     10,500 SH       DEFINED        3         --         --   10,500
RITE AID CORP                     EQUITY    767754104      23     15,544 SH       SOLE           2     15,544         --       --
RIVERBED TECHNOLOGY INC           EQUITY    768573107      72      2,527 SH       DEFINED        4         --         --    2,527
RIVERBED TECHNOLOGY INC           EQUITY    768573107   1,246     43,863 SH       SOLE           2     43,863         --       --
RIVERVIEW BANCORP INC             EQUITY    769397100       2      1,000 SH       DEFINED        4         --         --    1,000
RLI CORP                          EQUITY    749607107       4         70 SH       DEFINED        4         --         --       70
RLI CORP                          EQUITY    749607107     990     17,370 SH       SOLE           2     17,370         --       --
ROBBINS  MYERS INC                EQUITY    770196103     615     25,811 SH       SOLE           2     25,811         --       --
ROBERT HALF INTL INC              EQUITY    770323103   2,251     73,989 SH       SOLE           2     73,989         --       --
ROCHESTER MED CORP                EQUITY    771497104       1        100 SH       DEFINED        4         --         --      100
ROCHESTER MEDICAL CORP            EQUITY    771497104     105      8,179 SH       SOLE           2      8,179         --       --
ROCK-TENN CO                      EQUITY    772739207       3         55 SH       DEFINED        3         --         --       55
ROCKTENN COMPANY CL A             EQUITY    772739207   1,646     36,112 SH       SOLE           2     36,112         --       --
ROCKVILLE FINANCIAL INC           EQUITY    774186100      82      6,741 SH       SOLE           2      6,741         --       --
ROCKWELL AUTOMATION INC           EQUITY    773903109      11        196 SH       DEFINED        4         --         --      196
ROCKWELL AUTOMATION INC           EQUITY    773903109     102      1,816 SH       DEFINED        3         --         --    1,816
ROCKWELL AUTOMATION INC           EQUITY    773903109   2,804     49,752 SH       SOLE           2     49,752         --       --
ROCKWELL COLLINS INC              EQUITY    774341101       5         81 SH       DEFINED        4         --         --       81
ROCKWELL COLLINS INC              EQUITY    774341101     100      1,600 SH       DEFINED        3         --         --    1,600
ROCKWELL COLLINS INC.             EQUITY    774341101   3,348     53,490 SH       SOLE           2     53,490         --       --
ROCKWELL MEDICAL TECH INC         EQUITY    774374102      81     13,936 SH       SOLE           2     13,936         --       --
ROCKWOOD HLDGS INC                EQUITY    774415103       9        328 SH       DEFINED        4         --         --      328
ROCKWOOD HOLDINGS INC             EQUITY    774415103   1,051     39,479 SH       SOLE           2     39,479         --       --
ROFINSINAR TECHNOLOGIES IN        EQUITY    775043102     524     23,170 SH       SOLE           2     23,170         --       --
ROGERS CORP                       EQUITY    775133101     434     14,976 SH       SOLE           2     14,976         --       --
ROLLINS INC                       EQUITY    775711104   2,889    133,240 SH       SOLE           2    133,240         --       --
ROMA FINANCIAL CORP               EQUITY    77581P109      85      6,786 SH       SOLE           2      6,786         --       --
ROPER INDS INC NEW                EQUITY    776696106       2         26 SH       DEFINED        3         --         --       26
ROPER INDUSTRIES INC              EQUITY    776696106   3,051     52,757 SH       SOLE           2     52,757         --       --
ROSETTA RESOURCES INC             EQUITY    777779307     987     41,890 SH       SOLE           2     41,890         --       --
ROSETTA STONE INC                 EQUITY    777780107       1         50 SH       DEFINED        4         --         --       50
ROSETTA STONE INC                 EQUITY    777780107     122      5,111 SH       SOLE           2      5,111         --       --
ROSS STORES INC                   EQUITY    778296103       4         75 SH       DEFINED        3         --         --       75
ROSS STORES INC                   EQUITY    778296103      27        500 SH       DEFINED        4         --         --      500
ROSS STORES INC                   EQUITY    778296103   2,656     49,665 SH       SOLE           2     49,665         --       --
ROVI CORP                         EQUITY    779376102   8,728    235,063 SH       SOLE           2    235,063         --       --
ROWAN COMPANIES INC               EQUITY    779382100   1,147     39,396 SH       SOLE           2     39,396         --       --
ROWAN COS INC                     EQUITY    779382100      12        402 SH       DEFINED        3         --         --      402
ROYAL BK CDA MONTREAL QUE         EQUITY    780087102     121      2,074 SH       DEFINED        3         --         --    2,074
ROYAL BK SCOTLAND GROUP PLC       EQUITY    780097713       3        200 SH       DEFINED        3         --         --      200
ROYAL BK SCOTLAND GROUP PLC       EQUITY    780097879       6        300 SH       DEFINED        4         --         --      300
ROYAL BK SCOTLAND GROUP PLC       EQUITY    780097788       7        425 SH       DEFINED        3         --         --      425
ROYAL BK SCOTLAND GROUP PLC       EQUITY    780097739       9        700 SH       DEFINED        4         --         --      700
ROYAL BK SCOTLAND GROUP PLC       EQUITY    780097754      13      1,000 SH       DEFINED        4         --         --    1,000
ROYAL BK SCOTLAND GROUP PLC       EQUITY    780097796     145     11,400 SH       DEFINED        4         --         --   11,400
ROYAL BK SCOTLAND GROUP PLC       EQUITY    780097762     258     20,400 SH       DEFINED        4         --         --   20,400
ROYAL BK SCOTLAND GROUP PLC       EQUITY    780097788     660     41,125 SH       DEFINED        4         --         --   41,125
ROYAL BK SCOTLAND GROUP PLC       EQUITY    780097713     709     49,611 SH       DEFINED        4         --         --   49,611
ROYAL CARIBBEAN CRUISES LT        EQUITY    V7780T103     105      3,168 SH       SOLE           2      3,168         --       --
ROYAL CARIBBEAN CRUISES LTD       EQUITY    V7780T103     133      4,030 SH       DEFINED        3         --         --    4,030
ROYAL DUTCH SHELL PLC             EQUITY    780259107       4         78 SH       DEFINED        3         --         --       78
ROYAL DUTCH SHELL PLC             EQUITY    780259107      12        215 SH       DEFINED        4         --         --      215
ROYAL DUTCH SHELL PLC             EQUITY    780259206      19        336 SH       DEFINED        3         --         --      336
ROYAL DUTCH SHELL PLC             EQUITY    780259206      64      1,108 SH       DEFINED        4         --         --    1,108
ROYAL GOLD INC                    EQUITY    780287108      17        377 SH       DEFINED        3         --         --      377
ROYAL GOLD INC                    EQUITY    780287108      48      1,042 SH       SOLE           2      1,042         --       --
ROYALE ENERGY INC                 EQUITY    78074G200       1        550 SH       DEFINED        3         --         --      550
ROYCE MICRO-CAP TR INC            EQUITY    780915104       9      1,086 SH       DEFINED        3         --         --    1,086
ROYCE VALUE TR INC                EQUITY    780910105       2        210 SH       DEFINED        4         --         --      210
RPC INC                           EQUITY    749660106     256     22,994 SH       SOLE           2     22,994         --       --
RPM INTERNATIONAL INC             EQUITY    749685103   6,240    292,430 SH       SOLE           2    292,430         --       --
RPM INTL INC                      EQUITY    749685103       5        250 SH       DEFINED        3         --         --      250
RR DONNELLEY  SONS CO             EQUITY    257867101   2,428    113,722 SH       SOLE           2    113,722         --       --
RRI ENERGY INC                    EQUITY    74971X107       1        383 SH       DEFINED        3         --         --      383
RRI ENERGY INC                    EQUITY    74971X107      34      9,270 SH       SOLE           2      9,270         --       --





                                                                                        
RRI ENERGY INC                    EQUITY    74971X107      74     20,000 SH       SOLE           1      20000         --       --
RSC HOLDINGS INC                  EQUITY    74972L102     319     40,040 SH       SOLE           2     40,040         --       --
RTI BIOLOGICS INC                 EQUITY    74975N105     192     44,315 SH       SOLE           2     44,315         --       --
RTI INTERNATIONAL METALS I        EQUITY    74973W107     856     28,223 SH       SOLE           2     28,223         --       --
RTI INTL METALS INC               EQUITY    74973W107       2         59 SH       DEFINED        4         --         --       59
RUBICON TECHNOLOGY INC            EQUITY    78112T107     207     10,247 SH       SOLE           2     10,247         --       --
RUBY TUESDAY INC                  EQUITY    781182100     656     62,058 SH       SOLE           2     62,058         --       --
RUDDICK CORP                      EQUITY    781258108       3         95 SH       DEFINED        3         --         --       95
RUDDICK CORP                      EQUITY    781258108   3,982    125,847 SH       SOLE           2    125,847         --       --
RUDOLPH TECHNOLOGIES INC          EQUITY    781270103     253     29,485 SH       SOLE           2     29,485         --       --
RUE21 INC                         EQUITY    781295100     191      5,522 SH       SOLE           2      5,522         --       --
RUSH ENTERPRISES INCCL A          EQUITY    781846209     345     26,094 SH       SOLE           2     26,094         --       --
RUTHS HOSPITALITY GROUP IN        EQUITY    783332109     156     29,472 SH       SOLE           2     29,472         --       --
RUTHS HOSPITALITY GROUP INC       EQUITY    783332109       3        500 SH       DEFINED        4         --         --      500
RXI PHARMACEUTICALS CORP          EQUITY    74978T109       5      1,000 SH       DEFINED        3         --         --    1,000
RYANAIR HLDGS PLC                 EQUITY    783513104       5        200 SH       DEFINED        4         --         --      200
RYDER SYSTEM INC                  EQUITY    783549108     726     18,729 SH       SOLE           2     18,729         --       --
RYDEX ETF TRUST                   EQUITY    78355W783       3         75 SH       DEFINED        4         --         --       75
RYDEX ETF TRUST                   EQUITY    78355W866       4         84 SH       DEFINED        3         --         --       84
RYDEX ETF TRUST                   EQUITY    78355W767       5        100 SH       DEFINED        4         --         --      100
RYDEX ETF TRUST                   EQUITY    78355W825       8        147 SH       DEFINED        4         --         --      147
RYDEX ETF TRUST                   EQUITY    78355W403      16        425 SH       DEFINED        4         --         --      425
RYDEX ETF TRUST                   EQUITY    78355W601      41        646 SH       DEFINED        4         --         --      646
RYDEX ETF TRUST                   EQUITY    78355W726      55      1,397 SH       DEFINED        3         --         --    1,397
RYDEX ETF TRUST                   EQUITY    78355W759      56      1,248 SH       DEFINED        3         --         --    1,248
RYDEX ETF TRUST                   EQUITY    78355W783      56      1,559 SH       DEFINED        3         --         --    1,559
RYDEX ETF TRUST                   EQUITY    78355W205      71        819 SH       DEFINED        4         --         --      819
RYDEX ETF TRUST                   EQUITY    78355W106      71      1,668 SH       DEFINED        4         --         --    1,668
RYDEX ETF TRUST                   EQUITY    78355W502     596     18,786 SH       DEFINED        4         --         --   18,786
RYDEX ETF TRUST                   EQUITY    78355W700   1,134     30,827 SH       DEFINED        3         --         --   30,827
RYDEX ETF TRUST                   EQUITY    78355W403   1,172     32,024 SH       DEFINED        3         --         --   32,024
RYDEX ETF TRUST                   EQUITY    78355W825   1,210     21,672 SH       DEFINED        3         --         --   21,672
RYDEX ETF TRUST                   EQUITY    78355W700   1,410     38,313 SH       DEFINED        4         --         --   38,313
RYDEX ETF TRUST                   EQUITY    78355W882   1,763     42,925 SH       DEFINED        3         --         --   42,925
RYDEX ETF TRUST                   EQUITY    78355W601   2,629     41,252 SH       DEFINED        3         --         --   41,252
RYDEX ETF TRUST                   EQUITY    78355W106   7,458    175,205 SH       DEFINED        3         --         --  175,205
RYLAND GROUP INC                  EQUITY    783764103   2,971    132,395 SH       SOLE           2    132,395         --       --
S  T BANCORP INC                  EQUITY    783859101     472     22,570 SH       SOLE           2     22,570         --       --
S.Y. BANCORP INC                  EQUITY    785060104     213      9,349 SH       SOLE           2      9,349         --       --
S1 CORPORATION                    EQUITY    78463B101   5,602    949,549 SH       SOLE           2    949,549         --       --
SABA SOFTWARE INC                 EQUITY    784932600      99     20,081 SH       SOLE           2     20,081         --       --
SABINE ROYALTY TR                 EQUITY    785688102       7        154 SH       DEFINED        4         --         --      154
SABINE ROYALTY TR                 EQUITY    785688102      59      1,284 SH       DEFINED        3         --         --    1,284
SAFEGUARD SCIENTIFICS INC         EQUITY    786449207     216     16,613 SH       SOLE           2     16,613         --       --
SAFETY INSURANCE GROUP INC        EQUITY    78648T100     486     12,912 SH       SOLE           2     12,912         --       --
SAFEWAY INC                       EQUITY    786514208       6        240 SH       DEFINED        3         --         --      240
SAFEWAY INC                       EQUITY    786514208       9        354 SH       DEFINED        4         --         --      354
SAFEWAY INC                       EQUITY    786514208   3,749    150,798 SH       SOLE           2    150,798         --       --
SAIA INC                          EQUITY    78709Y105     153     11,036 SH       SOLE           2     11,036         --       --
SAIC INC                          EQUITY    78390X101      28      1,600 SH       DEFINED        3         --         --    1,600
SAIC INC                          EQUITY    78390X101   1,887    106,605 SH       SOLE           2    106,605         --       --
SAKS INC                          EQUITY    79377W108       3        350 SH       DEFINED        3         --         --      350
SAKS INC                          EQUITY    79377W108   3,937    457,794 SH       SOLE           2    457,794         --       --
SALESFORCE.COM INC                EQUITY    79466L302   5,217     70,080 SH       SOLE           2     70,080         --       --
SALIX PHARMACEUTICALS LTD         EQUITY    795435106   1,944     52,184 SH       SOLE           2     52,184         --       --
SALLY BEAUTY HOLDINGS INC         EQUITY    7.95E+108     672     75,285 SH       SOLE           2     75,285         --       --
SAN JUAN BASIN RTY TR             EQUITY    798241105      16        760 SH       DEFINED        4         --         --      760
SAN JUAN BASIN RTY TR             EQUITY    798241105     441     21,139 SH       DEFINED        3         --         --   21,139
SANDERS MORRIS HARRIS GRP         EQUITY    80000Q104      97     15,712 SH       SOLE           2     15,712         --       --
SANDERSON FARMS INC               EQUITY    800013104   1,003     18,716 SH       SOLE           2     18,716         --       --
SANDISK CORP                      EQUITY    80004C101       6        165 SH       DEFINED        3         --         --      165
SANDISK CORP                      EQUITY    80004C101      31        900 SH       DEFINED        4         --         --      900
SANDISK CORP                      EQUITY    80004C101   4,111    118,706 SH       SOLE           2    118,706         --       --
SANDRIDGE ENERGY INC              EQUITY    80007P307       3        330 SH       DEFINED        3         --         --      330
SANDRIDGE ENERGY INC              EQUITY    80007P307      28      3,701 SH       SOLE           2      3,701         --       --
SANDY SPRING BANCORP INC          EQUITY    800363103     202     13,437 SH       SOLE           2     13,437         --       --
SANGAMO BIOSCIENCES INC           EQUITY    800677106       6      1,100 SH       DEFINED        3         --         --    1,100
SANGAMO BIOSCIENCES INC           EQUITY    800677106      24      4,500 SH       DEFINED        4         --         --    4,500
SANGAMO BIOSCIENCES INC           EQUITY    800677106     196     36,159 SH       SOLE           2     36,159         --       --
SANMINA SCI CORP                  EQUITY    800907206       4        249 SH       DEFINED        4         --         --      249
SANMINASCI CORP                   EQUITY    800907206   8,060    488,500 SH       SOLE           2    488,500         --       --
SANOFI AVENTIS                    EQUITY    80105N105       4        106 SH       DEFINED        3         --         --      106
SANOFI AVENTIS                    EQUITY    80105N105      49      1,319 SH       DEFINED        4         --         --    1,319
SANTANDER BANCORP                 EQUITY    802809103      43      3,543 SH       SOLE           2      3,543         --       --
SANTARUS INC                      EQUITY    802817304     228     42,340 SH       SOLE           2     42,340         --       --
SAP AG                            EQUITY    803054204      10        200 SH       DEFINED        3         --         --      200
SAP AG                            EQUITY    803054204      24        500 SH       DEFINED        4         --         --      500
SAPIENT CORPORATION               EQUITY    803062108     618     67,593 SH       SOLE           2     67,593         --       --
SARA LEE CORP                     EQUITY    803111103     118      8,487 SH       DEFINED        4         --         --    8,487
SARA LEE CORP                     EQUITY    803111103   5,021    360,447 SH       SOLE           2    360,447         --       --
SATCON TECHNOLOGY CORP            EQUITY    803893106     139     57,368 SH       SOLE           2     57,368         --       --
SAUERDANFOSS INC                  EQUITY    804137107     122      9,166 SH       SOLE           2      9,166         --       --
SAUL CENTERS INC                  EQUITY    804395101     217      5,244 SH       SOLE           2      5,244         --       --
SAVIENT PHARMACEUTICALS IN        EQUITY    80517Q100     905     62,652 SH       SOLE           2     62,652         --       --
SAVIENT PHARMACEUTICALS INC       EQUITY    80517Q100       5        335 SH       DEFINED        3         --         --      335
SAVVIS INC                        EQUITY    805423308     478     28,960 SH       SOLE           2     28,960         --       --
SBA COMMUNICATIONS CORP           EQUITY    78388J106       4        102 SH       DEFINED        3         --         --      102
SBA COMMUNICATIONS CORP           EQUITY    78388J106       4        113 SH       DEFINED        4         --         --      113
SBA COMMUNICATIONS CORPCL         EQUITY    78388J106      80      2,207 SH       SOLE           2      2,207         --       --
SCANA CORP                        EQUITY    80589M102   1,474     39,213 SH       SOLE           2     39,213         --       --
SCANA CORP NEW                    EQUITY    80589M102       6        165 SH       DEFINED        4         --         --      165
SCANA CORP NEW                    EQUITY    80589M102     112      2,989 SH       DEFINED        3         --         --    2,989
SCANSOURCE INC                    EQUITY    806037107     718     24,945 SH       SOLE           2     24,945         --       --
SCBT FINANCIAL CORP               EQUITY    78401V102     382     10,326 SH       SOLE           2     10,326         --       --





                                                                                        
SCHAWK INC                        EQUITY    806373106     222     12,249 SH       SOLE           2     12,249         --       --
SCHEIN HENRY INC                  EQUITY    806407102     167      2,831 SH       DEFINED        4         --         --    2,831
SCHIFF NUTRITION INTERNATI        EQUITY    806693107      75      9,209 SH       SOLE           2      9,209         --       --
SCHLUMBERGER LTD                  EQUITY    806857108      20        322 SH       DEFINED        3         --         --      322
SCHLUMBERGER LTD                  EQUITY    806857108     387      6,092 SH       DEFINED        4         --         --    6,092
SCHLUMBERGER LTD                  EQUITY    806857108  58,015    914,198 SH       SOLE           2    914,198         --       --
SCHNITZER STEEL INDS INCA         EQUITY    806882106      22        427 SH       SOLE           2        427         --       --
SCHNITZER STL INDS                EQUITY    806882106      11        200 SH       DEFINED        3         --         --      200
SCHOLASTIC CORP                   EQUITY    807066105   2,099     74,954 SH       SOLE           2     74,954         --       --
SCHOOL SPECIALTY INC              EQUITY    807863105     399     17,570 SH       SOLE           2     17,570         --       --
SCHULMAN (A.) INC                 EQUITY    808194104     555     22,698 SH       SOLE           2     22,698         --       --
SCHWAB (CHARLES) CORP             EQUITY    808513105  15,978    854,897 SH       SOLE           2    854,897         --       --
SCHWAB CHARLES CORP NEW           EQUITY    808513105      19      1,031 SH       DEFINED        3         --         --    1,031
SCHWAB CHARLES CORP NEW           EQUITY    808513105      24      1,279 SH       DEFINED        4         --         --    1,279
SCHWEITZERMAUDUIT INTL INC        EQUITY    808541106     791     16,633 SH       SOLE           2     16,633         --       --
SCICLONE PHARMACEUTICALS I        EQUITY    80862K104     103     29,184 SH       SOLE           2     29,184         --       --
SCIENTIFIC GAMES CORPA            EQUITY    80874P109   2,060    146,298 SH       SOLE           2    146,298         --       --
SCOTTS MIRACLE GRO CO             EQUITY    810186106       4         86 SH       DEFINED        4         --         --       86
SCOTTS MIRACLEGRO COCL A          EQUITY    810186106   4,719    101,817 SH       SOLE           2    101,817         --       --
SCRIPPS NETWORKS INTERCL A        EQUITY    811065101   2,027     45,712 SH       SOLE           2     45,712         --       --
SEABOARD CORP                     EQUITY    811543107     351        270 SH       SOLE           2        270         --       --
SEABRIDGE GOLD INC                EQUITY    811916105       5        200 SH       DEFINED        4         --         --      200
SEABRIDGE GOLD INC                EQUITY    811916105   7,922    325,200 SH       SOLE           2    325,200         --       --
SEABRIGHT INSURANCE HOLDIN        EQUITY    811656107     195     17,713 SH       SOLE           2     17,713         --       --
SEACHANGE INTERNATIONAL IN        EQUITY    811699107     187     26,000 SH       SOLE           2     26,000         --       --
SEACOR HOLDINGS INC               EQUITY    811904101     301      3,735 SH       SOLE           2      3,735         --       --
SEACOR HOLDINGS INC               EQUITY    811904101     415      5,140 SH       SOLE           1       5140         --       --
SEAGATE TECHNOLOGY                EQUITY    G7945J104       2        125 SH       DEFINED        3         --         --      125
SEAGATE TECHNOLOGY                EQUITY    G7945J104      16        881 SH       DEFINED        4         --         --      881
SEAGATE TECHNOLOGY                EQUITY    G7945J104     718     39,320 SH       SOLE           2     39,320         --       --
SEAHAWK DRILLING INC              EQUITY    81201R107      36      1,928 SH       SOLE           2      1,928         --       --
SEALED AIR CORP                   EQUITY    81211K100   1,857     88,105 SH       SOLE           2     88,105         --       --
SEALED AIR CORP NEW               EQUITY    81211K100       9        430 SH       DEFINED        4         --         --      430
SEALY CORP                        EQUITY    812139301     129     36,869 SH       SOLE           2     36,869         --       --
SEARS HLDGS CORP                  EQUITY    812350106       8         70 SH       DEFINED        3         --         --       70
SEARS HLDGS CORP                  EQUITY    812350106       8         77 SH       DEFINED        4         --         --       77
SEARS HOLDINGS CORP               EQUITY    812350106     306      2,825 SH       SOLE           1       2825         --       --
SEARS HOLDINGS CORP               EQUITY    812350106   2,615     24,114 SH       SOLE           2     24,114         --       --
SEASPAN CORP                      EQUITY    Y75638109       1        100 SH       DEFINED        3         --         --      100
SEASPAN CORP                      EQUITY    Y75638109       3        300 SH       DEFINED        4         --         --      300
SEATTLE GENETICS INC              EQUITY    812578102     796     66,687 SH       SOLE           2     66,687         --       --
SEI INVESTMENTS CO                EQUITY    784117103       1         65 SH       DEFINED        3         --         --       65
SEI INVESTMENTS COMPANY           EQUITY    784117103   6,388    290,738 SH       SOLE           2    290,738         --       --
SELECT MEDICAL HOLDINGS CO        EQUITY    81619Q105     232     27,509 SH       SOLE           2     27,509         --       --
SELECT SECTOR SPDR TR             EQUITY    81369Y704      22        701 SH       DEFINED        4         --         --      701
SELECT SECTOR SPDR TR             EQUITY    81369Y100      24        694 SH       DEFINED        4         --         --      694
SELECT SECTOR SPDR TR             EQUITY    81369Y886      45      1,527 SH       DEFINED        4         --         --    1,527
SELECT SECTOR SPDR TR             EQUITY    81369Y209      51      1,582 SH       DEFINED        4         --         --    1,582
SELECT SECTOR SPDR TR             EQUITY    81369Y100      55      1,612 SH       DEFINED        3         --         --    1,612
SELECT SECTOR SPDR TR             EQUITY    81369Y803      71      3,068 SH       DEFINED        4         --         --    3,068
SELECT SECTOR SPDR TR             EQUITY    81369Y704      74      2,358 SH       DEFINED        3         --         --    2,358
SELECT SECTOR SPDR TR             EQUITY    81369Y407      74      2,252 SH       DEFINED        3         --         --    2,252
SELECT SECTOR SPDR TR             EQUITY    81369Y308     183      6,548 SH       DEFINED        4         --         --    6,548
SELECT SECTOR SPDR TR             EQUITY    81369Y605     282     17,688 SH       DEFINED        4         --         --   17,688
SELECT SECTOR SPDR TR             EQUITY    81369Y209     301      9,356 SH       DEFINED        3         --         --    9,356
SELECT SECTOR SPDR TR             EQUITY    81369Y506     366      6,362 SH       DEFINED        3         --         --    6,362
SELECT SECTOR SPDR TR             EQUITY    81369Y803     527     22,824 SH       DEFINED        3         --         --   22,824
SELECT SECTOR SPDR TR             EQUITY    81369Y506     752     13,078 SH       DEFINED        4         --         --   13,078
SELECT SECTOR SPDR TR             EQUITY    81369Y605   1,014     63,592 SH       DEFINED        3         --         --   63,592
SELECT SECTOR SPDR TR             EQUITY    81369Y886   1,073     36,178 SH       DEFINED        3         --         --   36,178
SELECT SECTOR SPDR TR             EQUITY    81369Y308   1,200     42,974 SH       DEFINED        3         --         --   42,974
SELECT SECTOR SPDR TR             EQUITY    81369Y407   2,600     79,170 SH       DEFINED        4         --         --   79,170
SELECT SECTOR SPDR TR             EQUITY    81369Y605  19,844    707,369 SH       SOLE           2    707,369         --       --
SELECT SECTOR SPDR TR PUT         OPTION    81369Y955       1        102     PUT  DEFINED        4         --         --      102
SELECTIVE INSURANCE GROUP         EQUITY    816300107     825     49,698 SH       SOLE           2     49,698         --       --
SEMICONDUCTOR MFG INTL CORP       EQUITY    81663N206       6      1,015 SH       DEFINED        4         --         --    1,015
SEMPRA ENERGY                     EQUITY    816851109       7        150 SH       DEFINED        3         --         --      150
SEMPRA ENERGY                     EQUITY    816851109      79      1,590 SH       DEFINED        4         --         --    1,590
SEMPRA ENERGY                     EQUITY    816851109   4,306     86,300 SH       SOLE           2     86,300         --       --
SEMTECH CORP                      EQUITY    816850101   3,254    186,706 SH       SOLE           2    186,706         --       --
SENECA FOODS CORP  CL A           EQUITY    817070501     222      7,637 SH       SOLE           2      7,637         --       --
SENIOR HOUSING PROP TRUST         EQUITY    81721M109   6,379    287,976 SH       SOLE           2    287,976         --       --
SENIOR HSG PPTYS TR               EQUITY    81721M109      19        862 SH       DEFINED        4         --         --      862
SENORX INC                        EQUITY    81724W104   4,566    623,750 SH       SOLE           1     623750         --       --
SENSIENT TECHNOLOGIES CORP        EQUITY    81725T100   4,331    149,039 SH       SOLE           2    149,039         --       --
SEQUENOM INC                      EQUITY    817337405      32      5,150 SH       DEFINED        4         --         --    5,150
SEQUENOM INC                      EQUITY    817337405     315     49,937 SH       SOLE           2     49,937         --       --
SERVICE CORP INTERNATIONAL        EQUITY    817565104   5,274    574,538 SH       SOLE           2    574,538         --       --
SFN GROUP INC                     EQUITY    784153108     396     49,443 SH       SOLE           2     49,443         --       --
SHARPS COMPLIANCE CORP            EQUITY    820017101       3        500 SH       DEFINED        3         --         --      500
SHARPS COMPLIANCE CORP            EQUITY    820017101       6        900 SH       DEFINED        4         --         --      900
SHARPS COMPLIANCE CORP            EQUITY    820017101   3,035    464,078 SH       SOLE           2    464,078         --       --
SHAW GROUP INC                    EQUITY    820280105      10        300 SH       DEFINED        3         --         --      300
SHAW GROUP INC                    EQUITY    820280105   6,488    188,486 SH       SOLE           2    188,486         --       --
SHENANDOAH TELECOMMUNICATI        EQUITY    82312B106     363     19,307 SH       SOLE           2     19,307         --       --
SHENGDATECH INC                   EQUITY    823213103     172     22,978 SH       SOLE           2     22,978         --       --
SHERWINWILLIAMS CO/THE            EQUITY    824348106   3,505     51,793 SH       SOLE           2     51,793         --       --
SHINHAN FINANCIAL GROUP CO L      EQUITY    824596100       8        100 SH       DEFINED        3         --         --      100
SHINHAN FINANCIAL GROUP CO L      EQUITY    824596100      16        207 SH       DEFINED        4         --         --      207
SHIP FINANCE INTERNATIONAL L      EQUITY    G81075106      18      1,016 SH       DEFINED        3         --         --    1,016
SHIP FINANCE INTERNATIONAL L      EQUITY    G81075106     645     36,309 SH       DEFINED        4         --         --   36,309
SHIP FINANCE INTL LTD             EQUITY    G81075106     626     35,267 SH       SOLE           2     35,267         --       --
SHIRE PLC                         EQUITY    82481R106       3         44 SH       DEFINED        4         --         --       44
SHOE CARNIVAL INC                 EQUITY    824889109     168      7,333 SH       SOLE           2      7,333         --       --





                                                                                        
SHORE BANCSHARES INC              EQUITY    825107105      98      6,866 SH       SOLE           2      6,866         --       --
SHORETEL INC                      EQUITY    825211105     239     36,113 SH       SOLE           2     36,113         --       --
SHUFFLE MASTER INC                EQUITY    825549108     420     51,245 SH       SOLE           2     51,245         --       --
SHUTTERFLY INC                    EQUITY    82568P304     408     16,922 SH       SOLE           2     16,922         --       --
SIEMENS A G                       EQUITY    826197501      37        368 SH       DEFINED        4         --         --      368
SIEMENS A G                       EQUITY    826197501      54        540 SH       DEFINED        3         --         --      540
SIERRA BANCORP                    EQUITY    82620P102      92      7,167 SH       SOLE           2      7,167         --       --
SIGA TECHNOLOGIES INC             EQUITY    826917106     165     24,865 SH       SOLE           2     24,865         --       --
SIGMA ALDRICH CORP                EQUITY    826552101      20        382 SH       DEFINED        4         --         --      382
SIGMA DESIGNS INC                 EQUITY    826565103       2        200 SH       DEFINED        4         --         --      200
SIGMA DESIGNS INC                 EQUITY    826565103     338     28,819 SH       SOLE           2     28,819         --       --
SIGMAALDRICH                      EQUITY    826552101   3,127     58,276 SH       SOLE           2     58,276         --       --
SIGNATURE BANK                    EQUITY    82669G104   8,345    225,249 SH       SOLE           2    225,249         --       --
SIGNATURE BK NEW YORK N Y         EQUITY    82669G104       1         40 SH       DEFINED        3         --         --       40
SIGNET JEWELERS LTD               EQUITY    G81276100      73      2,267 SH       SOLE           2      2,267         --       --
SILGAN HOLDINGS INC               EQUITY    827048109       4         66 SH       DEFINED        3         --         --       66
SILGAN HOLDINGS INC               EQUITY    827048109   4,904     81,421 SH       SOLE           2     81,421         --       --
SILICON GRAPHICS INTERNATI        EQUITY    82706L108     261     24,401 SH       SOLE           2     24,401         --       --
SILICON IMAGE INC                 EQUITY    82705T102       3        900 SH       DEFINED        4         --         --      900
SILICON IMAGE INC                 EQUITY    82705T102     184     61,066 SH       SOLE           2     61,066         --       --
SILICON LABORATORIES INC          EQUITY    826919102   4,930    103,428 SH       SOLE           2    103,428         --       --
SILICON STORAGE TECHNOLOGY        EQUITY    827057100     197     64,914 SH       SOLE           2     64,914         --       --
SILICONWARE PRECISION INDS L      EQUITY    827084864       3        468 SH       DEFINED        4         --         --      468
SILVER WHEATON CORP               EQUITY    828336107      18      1,173 SH       DEFINED        3         --         --    1,173
SILVER WHEATON CORP               EQUITY    828336107     118      7,514 SH       DEFINED        4         --         --    7,514
SIMMONS FIRST NATL CORPCL         EQUITY    828730200     435     15,774 SH       SOLE           2     15,774         --       --
SIMON PPTY GROUP INC NEW          EQUITY    828806109       8         96 SH       DEFINED        4         --         --       96
SIMON PROPERTY GROUP INC          EQUITY    828806109  10,316    122,952 SH       SOLE           2    122,952         --       --
SIMPSON MANUFACTURING CO I        EQUITY    829073105     996     35,882 SH       SOLE           2     35,882         --       --
SINCLAIR BROADCAST GROUP INC      FIXED
                                     INCOME 829226AV1      38         40 PRN      DEFINED        4         --         --       40
SINCLAIR BROADCAST GROUPA         EQUITY    829226109     178     34,969 SH       SOLE           2     34,969         --       --
SINGAPORE FD INC                  EQUITY    82929L109       1        100 SH       DEFINED        3         --         --      100
SINOPEC SHANGHAI PETROCHEMIC      EQUITY    82935M109     316      7,968 SH       DEFINED        3         --         --    7,968
SINOVAC BIOTECH LTD               EQUITY    P8696W104      27      4,600 SH       DEFINED        4         --         --    4,600
SIRIUS XM RADIO INC               EQUITY    82967N108      13     15,015 SH       DEFINED        3         --         --   15,015
SIRIUS XM RADIO INC               EQUITY    82967N108     236    271,290 SH       DEFINED        4         --         --  271,290
SIRONA DENTAL SYSTEMS INC         EQUITY    82966C103       4        100 SH       DEFINED        4         --         --      100
SIRONA DENTAL SYSTEMS INC         EQUITY    82966C103     517     13,584 SH       SOLE           2     13,584         --       --
SJW CORP                          EQUITY    784305104     268     10,550 SH       SOLE           2     10,550         --       --
SKECHERS USA INCCL A              EQUITY    830566105   1,133     31,198 SH       SOLE           2     31,198         --       --
SKILLED HEALTHCARE GROUCL         EQUITY    83066R107      98     15,866 SH       SOLE           2     15,866         --       --
SKILLSOFT PLC                     EQUITY    830928107       5        447 SH       DEFINED        4         --         --      447
SKYLINE CORP                      EQUITY    830830105     121      6,514 SH       SOLE           2      6,514         --       --
SKYWEST INC                       EQUITY    830879102       4        283 SH       DEFINED        4         --         --      283
SKYWEST INC                       EQUITY    830879102     748     52,351 SH       SOLE           2     52,351         --       --
SKYWORKS SOLUTIONS INC            EQUITY    83088M102      41      2,640 SH       DEFINED        4         --         --    2,640
SKYWORKS SOLUTIONS INC            EQUITY    83088M102   2,473    158,539 SH       SOLE           2    158,539         --       --
SL GREEN REALTY CORP              EQUITY    78440X101  10,082    176,042 SH       SOLE           2    176,042         --       --
SLM CORP                          EQUITY    78442P106   2,963    236,666 SH       SOLE           2    236,666         --       --
SMALL CAP PREM & DIV INCM FD      EQUITY    83165P101      42      4,136 SH       DEFINED        4         --         --    4,136
SMART BALANCE INC                 EQUITY    83169Y108       3        450 SH       DEFINED        3         --         --      450
SMART BALANCE INC                 EQUITY    83169Y108      13      2,000 SH       DEFINED        4         --         --    2,000
SMART BALANCE INC                 EQUITY    83169Y108     332     51,160 SH       SOLE           2     51,160         --       --
SMART MODULAR TECHNOLOGIES        EQUITY    G82245104     231     29,960 SH       SOLE           2     29,960         --       --
SMARTHEAT INC                     EQUITY    83172F104      79      7,335 SH       SOLE           2      7,335         --       --
SMITH  WESSON HOLDING CORP        EQUITY    831756101     184     48,558 SH       SOLE           2     48,558         --       --
SMITH & WESSON HLDG CORP          EQUITY    831756101       2        500 SH       DEFINED        4         --         --      500
SMITH (A.O.) CORP                 EQUITY    831865209   1,091     20,745 SH       SOLE           2     20,745         --       --
SMITH INTERNATIONAL INC           EQUITY    832110100   4,698    109,706 SH       SOLE           2    109,706         --       --
SMITH INTL INC                    EQUITY    832110100       9        200 SH       DEFINED        4         --         --      200
SMITH MICRO SOFTWARE INC          EQUITY    832154108     241     27,306 SH       SOLE           2     27,306         --       --
SMITHFIELD FOODS INC              EQUITY    832248108       1         65 SH       DEFINED        4         --         --       65
SMITHFIELD FOODS INC              EQUITY    832248108   6,629    319,618 SH       SOLE           2    319,618         --       --
SMITHTOWN BANCORP INC             EQUITY    832449102      49     11,974 SH       SOLE           2     11,974         --       --
SMUCKER J M CO                    EQUITY    832696405      11        189 SH       DEFINED        3         --         --      189
SMUCKER J M CO                    EQUITY    832696405     186      3,085 SH       DEFINED        4         --         --    3,085
SNAP ON INC                       EQUITY    833034101       2         50 SH       DEFINED        3         --         --       50
SNAPON INC                        EQUITY    833034101   1,241     28,641 SH       SOLE           2     28,641         --       --
SOCIEDAD QUIMICA MINERA DE C      EQUITY    833635105      19        500 SH       DEFINED        3         --         --      500
SOCIEDAD QUIMICA MINERA DE C      EQUITY    833635105      39      1,048 SH       DEFINED        4         --         --    1,048
SOHU COM INC                      EQUITY    83408W103       3         48 SH       DEFINED        3         --         --       48
SOHU COM INC                      EQUITY    83408W103       6        106 SH       DEFINED        4         --         --      106
SOHU.COM INC                      EQUITY    83408W103      33        600 SH       SOLE           2        600         --       --
SOLARFUN POWER HOLDINGS CO L      EQUITY    83415U108       2        200 SH       DEFINED        3         --         --      200
SOLARFUN POWER HOLDINGS CO L      EQUITY    83415U108       4        500 SH       DEFINED        4         --         --      500
SOLARWINDS INC                    EQUITY    83416B109      32      1,500 SH       DEFINED        4         --         --    1,500
SOLARWINDS INC                    EQUITY    83416B109     215      9,909 SH       SOLE           2      9,909         --       --
SOLERA HOLDINGS INC               EQUITY    83421A104       2         50 SH       DEFINED        3         --         --       50
SOLERA HOLDINGS INC               EQUITY    83421A104   8,186    211,809 SH       SOLE           2    211,809         --       --
SOLUTIA INC                       EQUITY    834376501       2        105 SH       DEFINED        3         --         --      105
SOLUTIA INC                       EQUITY    834376501   1,537     95,391 SH       SOLE           2     95,391         --       --
SOMANETICS CORP                   EQUITY    834445405     188      9,841 SH       SOLE           2      9,841         --       --
SONIC AUTOMOTIVE INCCLASS         EQUITY    83545G102     337     30,614 SH       SOLE           2     30,614         --       --
SONIC CORP                        EQUITY    835451105      13      1,135 SH       DEFINED        3         --         --    1,135
SONIC CORP                        EQUITY    835451105      16      1,420 SH       DEFINED        4         --         --    1,420
SONIC CORP                        EQUITY    835451105     642     58,067 SH       SOLE           2     58,067         --       --
SONIC SOLUTIONS                   EQUITY    835460106      40      4,226 SH       SOLE           2      4,226         --       --
SONICWALL INC                     EQUITY    835470105       9      1,000 SH       DEFINED        4         --         --    1,000
SONICWALL INC                     EQUITY    835470105     382     43,948 SH       SOLE           2     43,948         --       --
SONOCO PRODS CO                   EQUITY    835495102      36      1,162 SH       DEFINED        4         --         --    1,162
SONOCO PRODS CO                   EQUITY    835495102      47      1,533 SH       DEFINED        3         --         --    1,533
SONOCO PRODUCTS CO                EQUITY    835495102   6,979    226,654 SH       SOLE           2    226,654         --       --
SONOSITE INC                      EQUITY    83568G104     449     13,994 SH       SOLE           2     13,994         --       --
SONUS NETWORKS INC                EQUITY    835916107     440    168,458 SH       SOLE           2    168,458         --       --





                                                                                        
SONY CORP                         EQUITY    835699307       4        100 SH       DEFINED        3         --         --      100
SOTHEBY S                         EQUITY    835898107   6,348    204,183 SH       SOLE           2    204,183         --       --
SOURCEFIRE INC                    EQUITY    83616T108     415     18,083 SH       SOLE           2     18,083         --       --
SOUTH FINANCIAL GROUP             EQUITY    837841105     142    205,780 SH       SOLE           2    205,780         --       --
SOUTH JERSEY INDS INC             EQUITY    838518108     226      5,382 SH       DEFINED        3         --         --    5,382
SOUTH JERSEY INDUSTRIES           EQUITY    838518108  10,191    242,694 SH       SOLE           2    242,694         --       --
SOUTHERN CO                       EQUITY    842587107     201      6,057 SH       DEFINED        4         --         --    6,057
SOUTHERN CO                       EQUITY    842587107     541     16,312 SH       DEFINED        3         --         --   16,312
SOUTHERN CO                       EQUITY    842587107   8,782    264,852 SH       SOLE           2    264,852         --       --
SOUTHERN COPPER CORP              EQUITY    84265V105      25        800 SH       DEFINED        3         --         --      800
SOUTHERN COPPER CORP              EQUITY    84265V105      92      2,900 SH       DEFINED        4         --         --    2,900
SOUTHERN UNION CO                 EQUITY    844030106   7,130    281,058 SH       SOLE           2    281,058         --       --
SOUTHSIDE BANCSHARES INC          EQUITY    84470P109     232     10,756 SH       SOLE           2     10,756         --       --
SOUTHWEST AIRLINES CO             EQUITY    844741108   4,746    359,012 SH       SOLE           2    359,012         --       --
SOUTHWEST AIRLS CO                EQUITY    844741108      56      4,200 SH       DEFINED        3         --         --    4,200
SOUTHWEST AIRLS CO                EQUITY    844741108      94      7,120 SH       DEFINED        4         --         --    7,120
SOUTHWEST BANCORP INC/OKLA        EQUITY    844767103      99     11,954 SH       SOLE           2     11,954         --       --
SOUTHWEST GAS CORP                EQUITY    844895102   1,260     42,097 SH       SOLE           2     42,097         --       --
SOUTHWEST WATER CO                EQUITY    845331107     210     20,088 SH       SOLE           2     20,088         --       --
SOUTHWEST WTR CO                  EQUITY    845331107       3        300 SH       DEFINED        3         --         --      300
SOUTHWEST WTR CO                  EQUITY    845331107       7        700 SH       DEFINED        4         --         --      700
SOUTHWESTERN ENERGY CO            EQUITY    845467109      71      1,751 SH       DEFINED        4         --         --    1,751
SOUTHWESTERN ENERGY CO            EQUITY    845467109   6,654    163,398 SH       SOLE           2    163,398         --       --
SOVRAN SELF STORAGE INC           EQUITY    84610H108      21        614 SH       DEFINED        3         --         --      614
SOVRAN SELF STORAGE INC           EQUITY    84610H108      25        723 SH       DEFINED        4         --         --      723
SOVRAN SELF STORAGE INC           EQUITY    84610H108     901     25,844 SH       SOLE           2     25,844         --       --
SPARTAN MOTORS INC                EQUITY    846819100     174     31,062 SH       SOLE           2     31,062         --       --
SPARTAN STORES INC                EQUITY    846822104     156     10,811 SH       DEFINED        3         --         --   10,811
SPARTAN STORES INC                EQUITY    846822104     307     21,256 SH       SOLE           2     21,256         --       --
SPARTECH CORP                     EQUITY    847220209     292     24,965 SH       SOLE           2     24,965         --       --
SPDR DOW JONES INDL AVRG ETF      EQUITY    78467X109      13        122 SH       DEFINED        3         --         --      122
SPDR DOW JONES INDL AVRG ETF      EQUITY    78467X109     224      2,058 SH       DEFINED        4         --         --    2,058
SPDR GOLD TRUST                   EQUITY    78463V107   2,177     19,978 SH       DEFINED        4         --         --   19,978
SPDR GOLD TRUST                   EQUITY    78463V107   5,535     50,802 SH       DEFINED        3         --         --   50,802
SPDR INDEX SHS FDS                EQUITY    78463X202       1         26 SH       DEFINED        4         --         --       26
SPDR INDEX SHS FDS                EQUITY    78463X822       4        104 SH       DEFINED        4         --         --      104
SPDR INDEX SHS FDS                EQUITY    78463X400       4         60 SH       DEFINED        4         --         --       60
SPDR INDEX SHS FDS                EQUITY    78463X400       5         73 SH       DEFINED        3         --         --       73
SPDR INDEX SHS FDS                EQUITY    78463X863       9        256 SH       DEFINED        4         --         --      256
SPDR INDEX SHS FDS                EQUITY    78463X608      10        215 SH       DEFINED        4         --         --      215
SPDR INDEX SHS FDS                EQUITY    78463X756      11        232 SH       DEFINED        4         --         --      232
SPDR INDEX SHS FDS                EQUITY    78463X103      14        400 SH       DEFINED        4         --         --      400
SPDR INDEX SHS FDS                EQUITY    78463X756      20        400 SH       DEFINED        3         --         --      400
SPDR INDEX SHS FDS                EQUITY    78463X798      42      1,647 SH       DEFINED        4         --         --    1,647
SPDR INDEX SHS FDS                EQUITY    78463X863      46      1,309 SH       DEFINED        3         --         --    1,309
SPDR INDEX SHS FDS                EQUITY    78463X822     156      3,857 SH       DEFINED        3         --         --    3,857
SPDR INDEX SHS FDS                EQUITY    78463X798     236      9,300 SH       DEFINED        3         --         --    9,300
SPDR INDEX SHS FDS                EQUITY    78463X301     407      5,415 SH       DEFINED        3         --         --    5,415
SPDR INDEX SHS FDS                EQUITY    78463X608     757     16,608 SH       DEFINED        3         --         --   16,608
SPDR INDEX SHS FDS                EQUITY    78463X871   1,068     39,924 SH       DEFINED        3         --         --   39,924
SPDR S&P 500 ETF TR               EQUITY    78462F103     627      5,360 SH       DEFINED        3         --         --    5,360
SPDR S&P 500 ETF TR               EQUITY    78462F103     875      7,479 SH       DEFINED        4         --         --    7,479
SPDR S&P 500 ETF TRUST            EQUITY    78462F103   1,968     16,762 SH       SOLE           1      16762         --       --
SPDR S&P MIDCAP 400 ETF TR        EQUITY    78467Y107      94        654 SH       DEFINED        4         --         --      654
SPDR S&P MIDCAP 400 ETF TR        EQUITY    78467Y107   1,523     10,639 SH       DEFINED        3         --         --   10,639
SPDR SERIES TRUST                 EQUITY    78464A300       1         17 SH       DEFINED        4         --         --       17
SPDR SERIES TRUST                 EQUITY    78464A508       1         23 SH       DEFINED        4         --         --       23
SPDR SERIES TRUST                 EQUITY    78464A409       2         43 SH       DEFINED        4         --         --       43
SPDR SERIES TRUST                 EQUITY    78464A755       3         50 SH       DEFINED        3         --         --       50
SPDR SERIES TRUST                 EQUITY    78464A888       3        200 SH       DEFINED        4         --         --      200
SPDR SERIES TRUST                 EQUITY    78464A656       5        101 SH       DEFINED        3         --         --      101
SPDR SERIES TRUST                 EQUITY    78464A359       8        200 SH       DEFINED        4         --         --      200
SPDR SERIES TRUST                 EQUITY    78464A201       9         93 SH       DEFINED        4         --         --       93
SPDR SERIES TRUST                 EQUITY    78464A292      10        223 SH       DEFINED        4         --         --      223
SPDR SERIES TRUST                 EQUITY    78464A870      10        167 SH       DEFINED        3         --         --      167
SPDR SERIES TRUST                 EQUITY    78464A821      13        200 SH       DEFINED        3         --         --      200
SPDR SERIES TRUST                 EQUITY    78464A730      13        303 SH       DEFINED        3         --         --      303
SPDR SERIES TRUST                 EQUITY    78464A672      14        242 SH       DEFINED        4         --         --      242
SPDR SERIES TRUST                 EQUITY    78464A748      16        535 SH       DEFINED        4         --         --      535
SPDR SERIES TRUST                 EQUITY    78464A771      16        435 SH       DEFINED        4         --         --      435
SPDR SERIES TRUST                 EQUITY    78464A714      18        432 SH       DEFINED        4         --         --      432
SPDR SERIES TRUST                 EQUITY    78464A722      19        445 SH       DEFINED        4         --         --      445
SPDR SERIES TRUST                 EQUITY    78464A789      19        464 SH       DEFINED        4         --         --      464
SPDR SERIES TRUST                 EQUITY    78464A607      20        370 SH       DEFINED        4         --         --      370
SPDR SERIES TRUST                 EQUITY    78464A805      22        250 SH       DEFINED        3         --         --      250
SPDR SERIES TRUST                 EQUITY    78464A813      22        380 SH       DEFINED        4         --         --      380
SPDR SERIES TRUST                 EQUITY    78464A763      22        450 SH       DEFINED        4         --         --      450
SPDR SERIES TRUST                 EQUITY    78464A102      23        380 SH       DEFINED        4         --         --      380
SPDR SERIES TRUST                 EQUITY    78464A680      23        497 SH       DEFINED        4         --         --      497
SPDR SERIES TRUST                 EQUITY    78464A516      31        550 SH       DEFINED        4         --         --      550
SPDR SERIES TRUST                 EQUITY    78464A490      31        560 SH       DEFINED        3         --         --      560
SPDR SERIES TRUST                 EQUITY    78464A490      31        561 SH       DEFINED        4         --         --      561
SPDR SERIES TRUST                 EQUITY    78464A607      36        674 SH       DEFINED        3         --         --      674
SPDR SERIES TRUST                 EQUITY    78464A425      43      1,780 SH       DEFINED        4         --         --    1,780
SPDR SERIES TRUST                 EQUITY    78464A458      62      2,738 SH       DEFINED        4         --         --    2,738
SPDR SERIES TRUST                 EQUITY    78464A367      64      1,800 SH       DEFINED        3         --         --    1,800
SPDR SERIES TRUST                 EQUITY    78464A797      69      2,659 SH       DEFINED        4         --         --    2,659
SPDR SERIES TRUST                 EQUITY    78464A763     117      2,373 SH       DEFINED        3         --         --    2,373
SPDR SERIES TRUST                 EQUITY    78464A417     137      3,452 SH       DEFINED        4         --         --    3,452
SPDR SERIES TRUST                 EQUITY    78464A698     149      5,687 SH       DEFINED        3         --         --    5,687
SPDR SERIES TRUST                 EQUITY    78464A870     180      2,995 SH       DEFINED        4         --         --    2,995
SPDR SERIES TRUST                 EQUITY    78464A334     210      5,918 SH       DEFINED        4         --         --    5,918
SPDR SERIES TRUST                 EQUITY    78464A375     225      6,963 SH       DEFINED        4         --         --    6,963
SPDR SERIES TRUST                 EQUITY    78464A755     362      6,375 SH       DEFINED        4         --         --    6,375





                                                                                        
SPDR SERIES TRUST                 EQUITY    78464A698     386     14,723 SH       DEFINED        4         --         --   14,723
SPDR SERIES TRUST                 EQUITY    78464A862     444      9,256 SH       DEFINED        3         --         --    9,256
SPDR SERIES TRUST                 EQUITY    78464A714   1,352     32,727 SH       DEFINED        3         --         --   32,727
SPDR SERIES TRUST                 EQUITY    78464A862   1,838     38,308 SH       DEFINED        4         --         --   38,308
SPDR SERIES TRUST                 EQUITY    78464A417   2,435     61,187 SH       DEFINED        3         --         --   61,187
SPECTRA ENERGY CORP               EQUITY    847560109      58      2,579 SH       DEFINED        3         --         --    2,579
SPECTRA ENERGY CORP               EQUITY    847560109     289     12,844 SH       DEFINED        4         --         --   12,844
SPECTRA ENERGY CORP               EQUITY    847560109   8,114    360,143 SH       SOLE           2    360,143         --       --
SPECTRA ENERGY PARTNERS LP        EQUITY    84756N109      15        500 SH       DEFINED        3         --         --      500
SPECTRA ENERGY PARTNERS LP        EQUITY    84756N109      23        750 SH       DEFINED        4         --         --      750
SPECTRANETICS CORP                EQUITY    84760C107     182     26,281 SH       SOLE           2     26,281         --       --
SPECTRUM CONTROL INC              EQUITY    847615101     120     10,269 SH       SOLE           2     10,269         --       --
SPECTRUM PHARMACEUTICALS I        EQUITY    84763A108     163     35,290 SH       SOLE           2     35,290         --       --
SPECTRUM PHARMACEUTICALS INC      EQUITY    84763A108      10      2,125 SH       DEFINED        3         --         --    2,125
SPECTRUM PHARMACEUTICALS INC      EQUITY    84763A108      14      3,000 SH       DEFINED        4         --         --    3,000
SPEEDWAY MOTORSPORTS INC          EQUITY    847788106     166     10,656 SH       SOLE           2     10,656         --       --
SPIRIT AEROSYSTEMS HLDGS INC      EQUITY    848574109      37      1,600 SH       DEFINED        4         --         --    1,600
SPIRIT AEROSYSTEMS HOLDCL         EQUITY    848574109   4,860    207,877 SH       SOLE           2    207,877         --       --
SPORT SUPPLY GROUP INC            EQUITY    84916A104     101      7,517 SH       SOLE           2      7,517         --       --
SPRINT NEXTEL CORP                EQUITY    852061100       4      1,161 SH       DEFINED        3         --         --    1,161
SPRINT NEXTEL CORP                EQUITY    852061100       9      2,388 SH       DEFINED        4         --         --    2,388
SPRINT NEXTEL CORP                EQUITY    852061100   5,727  1,507,108 SH       SOLE           2  1,507,108         --       --
SPX CORP                          EQUITY    784635104       6         94 SH       DEFINED        4         --         --       94
SPX CORP                          EQUITY    784635104   7,474    112,703 SH       SOLE           2    112,703         --       --
SRA INTERNATIONAL INCCL A         EQUITY    78464R105   2,694    129,599 SH       SOLE           2    129,599         --       --
SRS LABS INC                      EQUITY    78464M106      94      9,481 SH       SOLE           2      9,481         --       --
ST JOE CO                         EQUITY    790148100      36      1,125 SH       DEFINED        3         --         --    1,125
ST JOE CO/THE                     EQUITY    790148100      58      1,805 SH       SOLE           2      1,805         --       --
ST JUDE MED INC                   EQUITY    790849103      12        300 SH       DEFINED        3         --         --      300
ST JUDE MED INC                   EQUITY    790849103     106      2,586 SH       DEFINED        4         --         --    2,586
ST JUDE MEDICAL INC               EQUITY    790849103  11,775    286,846 SH       SOLE           2    286,846         --       --
ST MARY LAND  EXPLORATION         EQUITY    792228108     356     10,221 SH       SOLE           2     10,221         --       --
STAGE STORES INC                  EQUITY    85254C305     558     36,280 SH       SOLE           2     36,280         --       --
STAMPS.COM INC                    EQUITY    852857200     106     10,540 SH       SOLE           2     10,540         --       --
STANCORP FINANCIAL GROUP          EQUITY    852891100   5,087    106,799 SH       SOLE           2    106,799         --       --
STANCORP FINANCIAL GROUP, INC.    EQUITY    852891100     271      5,700 SH       SOLE           1       5700         --       --
STANDARD MICROSYSTEMS CORP        EQUITY    853626109     490     21,032 SH       SOLE           2     21,032         --       --
STANDARD MOTOR PRODS              EQUITY    853666105     173     17,423 SH       SOLE           2     17,423         --       --
STANDARD PACIFIC CORP             EQUITY    85375C101     434     96,040 SH       SOLE           2     96,040         --       --
STANDARD PARKING CORP             EQUITY    853790103     100      6,112 SH       SOLE           2      6,112         --       --
STANDARD REGISTER CO              EQUITY    853887107      86     16,065 SH       SOLE           2     16,065         --       --
STANDEX INTERNATIONAL CORP        EQUITY    854231107     305     11,821 SH       SOLE           2     11,821         --       --
STANLEY BLACK  DECKER INC         EQUITY    854502101   4,099     71,402 SH       SOLE           2     71,402         --       --
STANLEY BLACK & DECKER INC        EQUITY    854502101      10        172 SH       DEFINED        3         --         --      172
STANLEY FURNITURE CO INC          EQUITY    854305208      86      8,440 SH       SOLE           2      8,440         --       --
STANLEY INC                       EQUITY    854532108   8,075    285,420 SH       SOLE           2    285,420         --       --
STAPLES INC                       EQUITY    855030102       3        112 SH       DEFINED        3         --         --      112
STAPLES INC                       EQUITY    855030102      12        500 SH       DEFINED        4         --         --      500
STAPLES INC                       EQUITY    855030102   7,851    335,656 SH       SOLE           2    335,656         --       --
STAR SCIENTIFIC INC               EQUITY    85517P101     167     65,589 SH       SOLE           2     65,589         --       --
STARBUCKS CORP                    EQUITY    855244109      41      1,704 SH       DEFINED        3         --         --    1,704
STARBUCKS CORP                    EQUITY    855244109     720     29,651 SH       DEFINED        4         --         --   29,651
STARBUCKS CORP                    EQUITY    855244109   9,028    372,000 SH       SOLE           2    372,000         --       --
STARTEK INC                       EQUITY    85569C107      79     11,378 SH       SOLE           2     11,378         --       --
STARWOOD HOTELS  RESORTS          EQUITY    85590A401   4,066     87,174 SH       SOLE           2     87,174         --       --
STARWOOD PROPERTY TRUST IN        EQUITY    85571B105     718     37,218 SH       SOLE           2     37,218         --       --
STATE AUTO FINANCIAL CORP         EQUITY    855707105     210     11,688 SH       SOLE           2     11,688         --       --
STATE BANCORP INC                 EQUITY    855716106     105     13,341 SH       SOLE           2     13,341         --       --
STATE STR CORP                    EQUITY    857477103      47      1,037 SH       DEFINED        4         --         --    1,037
STATE STREET CORP                 EQUITY    857477103   9,445    209,248 SH       SOLE           2    209,248         --       --
STATOIL ASA                       EQUITY    85771P102       5        200 SH       DEFINED        4         --         --      200
STEAK N SHAKE CO/THE              EQUITY    857873202     443      1,163 SH       SOLE           2      1,163         --       --
STEC INC                          EQUITY    784774101     651     54,328 SH       DEFINED        4         --         --   54,328
STEC INC                          EQUITY    784774101   6,516    543,882 SH       SOLE           2    543,882         --       --
STEC INC CALL                     OPTION    784774901       1         48     CALL DEFINED        4         --         --       48
STEEL DYNAMICS INC                EQUITY    858119100      18      1,050 SH       DEFINED        3         --         --    1,050
STEEL DYNAMICS INC                EQUITY    858119100     400     22,869 SH       DEFINED        4         --         --   22,869
STEEL DYNAMICS INC                EQUITY    858119100   8,548    489,318 SH       SOLE           2    489,318         --       --
STEELCASE INCCL A                 EQUITY    858155203     377     58,332 SH       SOLE           2     58,332         --       --
STEIN MART INC                    EQUITY    858375108     221     24,487 SH       SOLE           2     24,487         --       --
STEINER LEISURE LTD               EQUITY    P8744Y102     517     11,671 SH       SOLE           2     11,671         --       --
STEINWAY MUSICAL INSTRUMEN        EQUITY    858495104     104      5,506 SH       SOLE           2      5,506         --       --
STEINWAY MUSICAL INSTRUMENTS      EQUITY    858495104   3,138    166,671 SH       SOLE           1     166671         --       --
STELLARONE CORP                   EQUITY    85856G100     248     18,543 SH       SOLE           2     18,543         --       --
STEMCELLS INC                     EQUITY    85857R105     112     96,674 SH       SOLE           2     96,674         --       --
STEPAN CO                         EQUITY    858586100     394      7,053 SH       SOLE           2      7,053         --       --
STEREOTAXIS INC                   EQUITY    85916J102     127     25,255 SH       SOLE           2     25,255         --       --
STERICYCLE INC                    EQUITY    858912108       1         20 SH       DEFINED        3         --         --       20
STERICYCLE INC                    EQUITY    858912108      79      1,449 SH       DEFINED        4         --         --    1,449
STERICYCLE INC                    EQUITY    858912108   3,017     55,353 SH       SOLE           2     55,353         --       --
STERIS CORP                       EQUITY    859152100       3        100 SH       DEFINED        3         --         --      100
STERIS CORP                       EQUITY    859152100   6,023    178,949 SH       SOLE           2    178,949         --       --
STERLING BANCORPN Y               EQUITY    859158107   6,341    630,900 SH       SOLE           2    630,900         --       --
STERLING BANCSHARES INC/TX        EQUITY    858907108     452     81,029 SH       SOLE           2     81,029         --       --
STERLING CONSTRUCTION CO          EQUITY    859241101     206     13,108 SH       SOLE           2     13,108         --       --
STERLING FINL CORP/SPOKANE        EQUITY    859319105      24     42,804 SH       SOLE           2     42,804         --       --
STERLITE INDS INDIA LTD           EQUITY    859737207      27      1,433 SH       DEFINED        4         --         --    1,433
STEVEN MADDEN LTD                 EQUITY    556269108     612     12,533 SH       SOLE           2     12,533         --       --
STEWART ENTERPRISES INCCL         EQUITY    860370105     410     65,664 SH       SOLE           2     65,664         --       --
STEWART INFORMATION SERVIC        EQUITY    860372101     228     16,540 SH       SOLE           2     16,540         --       --
STIFEL FINANCIAL CORP             EQUITY    860630102   1,525     28,365 SH       SOLE           2     28,365         --       --
STILLWATER MINING CO              EQUITY    86074Q102     425     32,742 SH       SOLE           2     32,742         --       --
STONE ENERGY CORP                 EQUITY    861642106       7        416 SH       DEFINED        4         --         --      416
STONE ENERGY CORP                 EQUITY    861642106     696     39,217 SH       SOLE           2     39,217         --       --





                                                                                        
STONERIDGE INC                    EQUITY    86183P102     122     12,298 SH       SOLE           2     12,298         --       --
STR HOLDINGS INC                  EQUITY    78478V100     236     10,024 SH       SOLE           2     10,024         --       --
STRATASYS INC                     EQUITY    862685104     471     19,325 SH       SOLE           2     19,325         --       --
STRATEGIC GLOBAL INCOME FD        EQUITY    862719101      31      2,828 SH       DEFINED        3         --         --    2,828
STRATEGIC HOTELS  RESORTS         EQUITY    86272T106     260     61,234 SH       SOLE           2     61,234         --       --
STRAYER ED INC                    EQUITY    863236105       9         36 SH       DEFINED        4         --         --       36
STRAYER EDUCATION INC             EQUITY    863236105   7,689     31,575 SH       SOLE           2     31,575         --       --
STRYKER CORP                      EQUITY    863667101      40        702 SH       DEFINED        4         --         --      702
STRYKER CORP                      EQUITY    863667101      54        942 SH       DEFINED        3         --         --      942
STRYKER CORP                      EQUITY    863667101   7,131    124,624 SH       SOLE           2    124,624         --       --
STUDENT LOAN CORP                 EQUITY    863902102       4        119 SH       SOLE           2        119         --       --
STURM RUGER  CO INC               EQUITY    864159108     218     18,200 SH       SOLE           2     18,200         --       --
SUBURBAN PROPANE PARTNERS L       EQUITY    864482104     121      2,540 SH       DEFINED        3         --         --    2,540
SUBURBAN PROPANE PARTNERS L       EQUITY    864482104     322      6,783 SH       DEFINED        4         --         --    6,783
SUCAMPO PHARMACEUTICALSCL         EQUITY    864909106      31      8,784 SH       SOLE           2      8,784         --       --
SUCCESSFACTORS INC                EQUITY    864596101      38      2,004 SH       DEFINED        3         --         --    2,004
SUCCESSFACTORS INC                EQUITY    864596101     705     37,035 SH       SOLE           2     37,035         --       --
SUFFOLK BANCORP                   EQUITY    864739107     241      7,841 SH       SOLE           2      7,841         --       --
SULPHCO INC                       EQUITY    865378103      18     62,726 SH       SOLE           2     62,726         --       --
SUN BANCORP INCNJ                 EQUITY    86663B102      44     11,076 SH       SOLE           2     11,076         --       --
SUN COMMUNITIES INC               EQUITY    866674104     340     13,490 SH       SOLE           2     13,490         --       --
SUN HEALTHCARE GROUP INC          EQUITY    866933401   7,123    746,684 SH       SOLE           2    746,684         --       --
SUN HYDRAULICS CORP               EQUITY    866942105     263     10,131 SH       SOLE           2     10,131         --       --
SUN LIFE FINL INC                 EQUITY    866796105      14        435 SH       DEFINED        3         --         --      435
SUNCOR ENERGY INC NEW             EQUITY    867224107      34      1,050 SH       DEFINED        3         --         --    1,050
SUNCOR ENERGY INC NEW             EQUITY    867224107     536     16,466 SH       DEFINED        4         --         --   16,466
SUNOCO INC                        EQUITY    86764P109      16        545 SH       DEFINED        4         --         --      545
SUNOCO INC                        EQUITY    86764P109   8,752    294,595 SH       SOLE           2    294,595         --       --
SUNOCO LOGISTICS PRTNRS L P       EQUITY    86764L108     132      1,925 SH       DEFINED        4         --         --    1,925
SUNPOWER CORP                     EQUITY    867652307       1         81 SH       DEFINED        4         --         --       81
SUNPOWER CORP                     EQUITY    867652109      27      1,460 SH       DEFINED        4         --         --    1,460
SUNPOWER CORPCLASS A              EQUITY    867652109      35      1,871 SH       SOLE           2      1,871         --       --
SUNRISE SENIOR LIVING INC         EQUITY    86768K106       6      1,125 SH       DEFINED        4         --         --    1,125
SUNRISE SENIOR LIVING INC         EQUITY    86768K106     189     36,955 SH       SOLE           2     36,955         --       --
SUNSTONE HOTEL INVESTORS I        EQUITY    867892101     879     78,667 SH       SOLE           2     78,667         --       --
SUNTECH PWR HLDGS CO LTD          EQUITY    86800C104      10        700 SH       DEFINED        3         --         --      700
SUNTECH PWR HLDGS CO LTD          EQUITY    86800C104      18      1,316 SH       DEFINED        4         --         --    1,316
SUNTRUST BANKS INC                EQUITY    867914103   6,157    229,807 SH       SOLE           2    229,807         --       --
SUNTRUST BKS INC                  EQUITY    867914103     192      7,169 SH       DEFINED        3         --         --    7,169
SUPER MICRO COMPUTER INC          EQUITY    86800U104     323     18,706 SH       SOLE           2     18,706         --       --
SUPERGEN INC                      EQUITY    868059106     154     48,264 SH       SOLE           2     48,264         --       --
SUPERIOR ENERGY SERVICES I        EQUITY    868157108   3,735    177,677 SH       SOLE           2    177,677         --       --
SUPERIOR ENERGY SVCS INC          EQUITY    868157108       5        225 SH       DEFINED        3         --         --      225
SUPERIOR ENERGY SVCS INC          EQUITY    868157108       7        335 SH       DEFINED        4         --         --      335
SUPERIOR INDUSTRIES INTL          EQUITY    868168105     355     22,101 SH       SOLE           2     22,101         --       --
SUPERIOR WELL SERVICES INC        EQUITY    86837X105     231     17,250 SH       SOLE           2     17,250         --       --
SUPERTEX INC                      EQUITY    868532102   1,290     50,419 SH       SOLE           2     50,419         --       --
SUPERVALU INC                     EQUITY    868536103     265     15,877 SH       DEFINED        3         --         --   15,877
SUPERVALU INC                     EQUITY    868536103   1,235     74,051 SH       SOLE           2     74,051         --       --
SUPPORT.COM INC                   EQUITY    86858W101     124     37,868 SH       SOLE           2     37,868         --       --
SUREWEST COMMUNICATIONS           EQUITY    868733106     100     11,665 SH       SOLE           2     11,665         --       --
SURMODICS INC                     EQUITY    868873100     314     15,003 SH       SOLE           2     15,003         --       --
SUSQUEHANNA BANCSHARES INC        EQUITY    869099101     796     81,097 SH       SOLE           2     81,097         --       --
SUSSER HOLDINGS CORP              EQUITY    869233106      53      6,255 SH       SOLE           2      6,255         --       --
SUTOR TECHNOLOGY GROUP LTD        EQUITY    869362103      18      6,201 SH       SOLE           2      6,201         --       --
SVB FINANCIAL GROUP               EQUITY    78486Q101   5,845    125,265 SH       SOLE           2    125,265         --       --
SWIFT ENERGY CO                   EQUITY    870738101   2,532     82,370 SH       SOLE           2     82,370         --       --
SWITCH  DATA FACILITIES CO        EQUITY    871043105     295     16,629 SH       SOLE           2     16,629         --       --
SWITCH & DATA FACILITIES CO INC   EQUITY    871043105   7,566    425,995 SH       SOLE           1     425995         --       --
SWS GROUP INC                     EQUITY    78503N107     308     26,686 SH       SOLE           2     26,686         --       --
SYBASE INC                        EQUITY    871130100       2         35 SH       DEFINED        3         --         --       35
SYBASE INC                        EQUITY    871130100   8,656    185,668 SH       SOLE           2    185,668         --       --
SYCAMORE NETWORKS INC             EQUITY    871206405     316     15,722 SH       SOLE           2     15,722         --       --
SYKES ENTERPRISES INC             EQUITY    871237103     820     35,908 SH       SOLE           2     35,908         --       --
SYMANTEC CORP                     EQUITY    871503108  11,757    694,886 SH       SOLE           2    694,886         --       --
SYMMETRICOM INC                   EQUITY    871543104       6      1,000 SH       DEFINED        3         --         --    1,000
SYMMETRICOM INC                   EQUITY    871543104     243     41,677 SH       SOLE           2     41,677         --       --
SYMMETRY MEDICAL INC              EQUITY    871546206     343     34,208 SH       SOLE           2     34,208         --       --
SYMS CORP                         EQUITY    871551107      54      5,374 SH       SOLE           2      5,374         --       --
SYMYX TECHNOLOGIES INC            EQUITY    87155S108     125     27,836 SH       SOLE           2     27,836         --       --
SYNAPTICS INC                     EQUITY    87157D109      62      2,235 SH       DEFINED        4         --         --    2,235
SYNAPTICS INC                     EQUITY    87157D109     887     32,134 SH       SOLE           2     32,134         --       --
SYNCHRONOSS TECHNOLOGIES I        EQUITY    87157B103     300     15,489 SH       SOLE           2     15,489         --       --
SYNCHRONOSS TECHNOLOGIES INC      EQUITY    87157B103      32      1,650 SH       DEFINED        4         --         --    1,650
SYNERON MEDICAL LTD               EQUITY    M87245102       2        225 SH       DEFINED        4         --         --      225
SYNIVERSE HOLDINGS INC            EQUITY    87163F106   9,323    478,838 SH       SOLE           2    478,838         --       --
SYNNEX CORP                       EQUITY    87162W100     542     18,345 SH       SOLE           2     18,345         --       --
SYNOPSYS INC                      EQUITY    871607107       1         60 SH       DEFINED        3         --         --       60
SYNOPSYS INC                      EQUITY    871607107   7,405    331,038 SH       SOLE           2    331,038         --       --
SYNOVIS LIFE TECHNOLOGIES         EQUITY    87162G105     146      9,420 SH       SOLE           2      9,420         --       --
SYNOVUS FINANCIAL CORP            EQUITY    87161C105   3,636  1,105,042 SH       SOLE           2  1,105,042         --       --
SYNOVUS FINL CORP                 EQUITY    87161C105      10      3,000 SH       DEFINED        3         --         --    3,000
SYNTA PHARMACEUTICALS             EQUITY    87162T206   5,203  1,207,085 SH       SOLE           1    1207085         --       --
SYNTA PHARMACEUTICALS CORP        EQUITY    87162T206      58     13,355 SH       SOLE           2     13,355         --       --
SYNTEL INC                        EQUITY    87162H103     404     10,511 SH       SOLE           2     10,511         --       --
SYNTROLEUM CORP                   EQUITY    871630109     109     51,530 SH       SOLE           2     51,530         --       --
SYNUTRA INTERNATIONAL INC         EQUITY    87164C102     332     14,689 SH       SOLE           2     14,689         --       --
SYSCO CORP                        EQUITY    871829107      63      2,144 SH       DEFINED        4         --         --    2,144
SYSCO CORP                        EQUITY    871829107     350     11,879 SH       DEFINED        3         --         --   11,879
SYSCO CORP                        EQUITY    871829107  16,429    556,905 SH       SOLE           2    556,905         --       --
SYSTEMAX INC                      EQUITY    871851101     181      8,333 SH       SOLE           2      8,333         --       --
T ROWE PRICE GROUP INC            EQUITY    74144T108   6,323    115,111 SH       SOLE           2    115,111         --       --
T.G.C. INDUSTRIES INC             EQUITY    872417308      44     10,795 SH       SOLE           2     10,795         --       --
T3 ENERGY SERVICES INC            EQUITY    8.73E+111     252     10,265 SH       SOLE           2     10,265         --       --





                                                                                        
TAIWAN SEMICONDUCTOR MFG LTD      EQUITY    874039100      28      2,637 SH       DEFINED        4         --         --    2,637
TAKE-TWO INTERACTIVE SOFTWAR      EQUITY    874054109      20      2,000 SH       DEFINED        3         --         --    2,000
TAKETWO INTERACTIVE SOFTWR        EQUITY    874054109     748     75,895 SH       SOLE           2     75,895         --       --
TAL INTERNATIONAL GROUP IN        EQUITY    874083108     247     12,368 SH       SOLE           2     12,368         --       --
TALBOTS INC                       EQUITY    874161102     257     19,802 SH       SOLE           2     19,802         --       --
TALECRIS BIOTHERAPEUTICS          EQUITY    874227101      19        957 SH       SOLE           2        957         --       --
TALEO CORP CLASS A                EQUITY    87424N104     955     36,842 SH       SOLE           2     36,842         --       --
TALISMAN ENERGY INC               EQUITY    8.74E+107       1         76 SH       DEFINED        3         --         --       76
TANDY LEATHER FACTORY INC         EQUITY    87538X105       2        500 SH       DEFINED        3         --         --      500
TANGER FACTORY OUTLET CENT        EQUITY    875465106   1,634     37,870 SH       SOLE           2     37,870         --       --
TARGA RESOURCES PARTNERS LP       EQUITY    87611X105       8        300 SH       DEFINED        3         --         --      300
TARGET CORP                       EQUITY    8.76E+110      68      1,288 SH       DEFINED        3         --         --    1,288
TARGET CORP                       EQUITY    8.76E+110     261      4,963 SH       DEFINED        4         --         --    4,963
TARGET CORP                       EQUITY    8.76E+110  39,153    744,351 SH       SOLE           2    744,351         --       --
TASER INTERNATIONAL INC           EQUITY    87651B104     296     50,568 SH       SOLE           2     50,568         --       --
TASER INTL INC                    EQUITY    87651B104       1        200 SH       DEFINED        3         --         --      200
TASER INTL INC                    EQUITY    87651B104     480     81,800 SH       DEFINED        4         --         --   81,800
TATA MTRS LTD                     EQUITY    876568502       4        200 SH       DEFINED        3         --         --      200
TAUBMAN CENTERS INC               EQUITY    876664103      57      1,425 SH       SOLE           2      1,425         --       --
TC PIPELINES LP                   EQUITY    87233Q108      31        819 SH       DEFINED        3         --         --      819
TC PIPELINES LP                   EQUITY    87233Q108     163      4,300 SH       DEFINED        4         --         --    4,300
TCF FINANCIAL CORP                EQUITY    872275102   4,449    279,108 SH       SOLE           2    279,108         --       --
TCF FINL CORP                     EQUITY    872275102       3        200 SH       DEFINED        3         --         --      200
TCF FINL CORP                     EQUITY    872275102      21      1,327 SH       DEFINED        4         --         --    1,327
TD AMERITRADE HOLDING CORP        EQUITY    87236Y108      95      4,983 SH       SOLE           2      4,983         --       --
TEAM INC                          EQUITY    878155100       4        223 SH       DEFINED        4         --         --      223
TEAM INC                          EQUITY    878155100     255     15,387 SH       SOLE           2     15,387         --       --
TECH DATA CORP                    EQUITY    878237106   4,820    115,033 SH       SOLE           2    115,033         --       --
TECHNE CORP                       EQUITY    878377100       1         20 SH       DEFINED        3         --         --       20
TECHNE CORP                       EQUITY    878377100   5,358     84,125 SH       SOLE           2     84,125         --       --
TECHNITROL INC                    EQUITY    878555101       2        300 SH       DEFINED        3         --         --      300
TECHNITROL INC                    EQUITY    878555101     207     39,195 SH       SOLE           2     39,195         --       --
TECHTARGET                        EQUITY    87874R100      50      9,469 SH       SOLE           2      9,469         --       --
TECHWELL INC                      EQUITY    87874D101     240     12,852 SH       SOLE           2     12,852         --       --
TECK RESOURCES LTD                EQUITY    878742204       4        100 SH       DEFINED        3         --         --      100
TECK RESOURCES LTD                EQUITY    878742204     131      3,000 SH       DEFINED        4         --         --    3,000
TECO ENERGY INC                   EQUITY    872375100      13        820 SH       DEFINED        3         --         --      820
TECO ENERGY INC                   EQUITY    872375100      14        870 SH       DEFINED        4         --         --      870
TECO ENERGY INC                   EQUITY    872375100   3,268    205,689 SH       SOLE           2    205,689         --       --
TECUMSEH PRODUCTS COCLASS         EQUITY    878895200     185     15,095 SH       SOLE           2     15,095         --       --
TEEKAY CORP                       EQUITY    Y8564W103      23      1,001 SH       SOLE           2      1,001         --       --
TEEKAY LNG PARTNERS L P           EQUITY    Y8564M105       7        250 SH       DEFINED        4         --         --      250
TEEKAY TANKERS LTDCLASS A         EQUITY    Y8565N102     108      8,577 SH       SOLE           2      8,577         --       --
TEJON RANCH CO                    EQUITY    879080109     270      8,862 SH       SOLE           2      8,862         --       --
TEKELEC                           EQUITY    879101103       7        400 SH       DEFINED        3         --         --      400
TEKELEC                           EQUITY    879101103   1,138     62,689 SH       SOLE           2     62,689         --       --
TEL OFFSHORE TR                   EQUITY    872382106       2        400 SH       DEFINED        3         --         --      400
TELECOM CORP NEW ZEALAND LTD      EQUITY    879278208      11      1,422 SH       DEFINED        4         --         --    1,422
TELECOMMUNICATION SYSTEMSA        EQUITY    87929J103   6,008    819,612 SH       SOLE           2    819,612         --       --
TELEDYNE TECHNOLOGIES INC         EQUITY    879360105       2         39 SH       DEFINED        3         --         --       39
TELEDYNE TECHNOLOGIES INC         EQUITY    879360105       2         57 SH       DEFINED        4         --         --       57
TELEDYNE TECHNOLOGIES INC         EQUITY    879360105   1,399     33,890 SH       SOLE           2     33,890         --       --
TELEFLEX INC                      EQUITY    879369106       6        100 SH       DEFINED        3         --         --      100
TELEFLEX INC                      EQUITY    879369106      10        153 SH       DEFINED        4         --         --      153
TELEFLEX INC                      EQUITY    879369106   5,755     89,825 SH       SOLE           2     89,825         --       --
TELEFONICA S A                    EQUITY    879382208       1         19 SH       DEFINED        4         --         --       19
TELEFONOS DE MEXICO S A B         EQUITY    879403780      18      1,145 SH       DEFINED        3         --         --    1,145
TELEFONOS DE MEXICO S A B         EQUITY    879403780      64      4,088 SH       DEFINED        4         --         --    4,088
TELEPHONE AND DATA SYSTEMS        EQUITY    879433100   7,058    208,513 SH       SOLE           2    208,513         --       --
TELESTONE TECHNOLOGIES CORP       EQUITY    87953J102      27      1,553 SH       DEFINED        3         --         --    1,553
TELETECH HOLDINGS INC             EQUITY    879939106     520     30,462 SH       SOLE           2     30,462         --       --
TELLABS INC                       EQUITY    879664100       9      1,200 SH       DEFINED        3         --         --    1,200
TELLABS INC                       EQUITY    879664100   1,785    235,739 SH       SOLE           2    235,739         --       --
TELMEX INTERNACIONAL SAB DE       EQUITY    879690204      49      2,600 SH       DEFINED        4         --         --    2,600
TELUS CORP                        EQUITY    87971M202       3         86 SH       DEFINED        4         --         --       86
TEMPLE INLAND INC                 EQUITY    879868107      10        500 SH       DEFINED        4         --         --      500
TEMPLE INLAND INC                 EQUITY    879868107      20      1,000 SH       DEFINED        3         --         --    1,000
TEMPLEINLAND INC                  EQUITY    879868107  12,338    603,916 SH       SOLE           2    603,916         --       --
TEMPLETON DRAGON FD INC           EQUITY    88018T101       4        150 SH       DEFINED        4         --         --      150
TEMPLETON EMERG MKTS INCOME       EQUITY    880192109      38      2,600 SH       DEFINED        3         --         --    2,600
TEMPLETON EMERG MKTS INCOME       EQUITY    880192109      54      3,650 SH       DEFINED        4         --         --    3,650
TEMPLETON EMERGING MKTS FD I      EQUITY    880191101       4        200 SH       DEFINED        4         --         --      200
TEMPLETON GLOBAL INCOME FD        EQUITY    880198106   2,127    211,882 SH       DEFINED        3         --         --  211,882
TEMPURPEDIC INTERNATIONAL         EQUITY    88023U101   1,810     60,020 SH       SOLE           2     60,020         --       --
TENARIS S A                       EQUITY    88031M109       4        100 SH       DEFINED        4         --         --      100
TENET HEALTHCARE CORP             EQUITY    88033G100       4        619 SH       DEFINED        4         --         --      619
TENET HEALTHCARE CORP             EQUITY    88033G100   1,148    200,652 SH       SOLE           2    200,652         --       --
TENNANT CO                        EQUITY    880345103     417     15,224 SH       SOLE           2     15,224         --       --
TENNECO INC                       EQUITY    880349105      12        510 SH       DEFINED        4         --         --      510
TENNECO INC                       EQUITY    880349105      47      2,000 SH       DEFINED        3         --         --    2,000
TENNECO INC                       EQUITY    880349105   1,125     47,573 SH       SOLE           2     47,573         --       --
TERADATA CORP                     EQUITY    88076W103   2,099     72,641 SH       SOLE           2     72,641         --       --
TERADATA CORP DEL                 EQUITY    88076W103      20        702 SH       DEFINED        4         --         --      702
TERADYNE INC                      EQUITY    880770102       6        549 SH       DEFINED        4         --         --      549
TERADYNE INC                      EQUITY    880770102      28      2,500 SH       DEFINED        3         --         --    2,500
TERADYNE INC                      EQUITY    880770102     798     71,419 SH       SOLE           2     71,419         --       --
TEREX CORP                        EQUITY    880779103   5,559    244,801 SH       SOLE           2    244,801         --       --
TEREX CORP NEW                    EQUITY    880779103     380     16,716 SH       DEFINED        3         --         --   16,716
TEREX CORP NEW                    EQUITY    880779103     569     25,068 SH       DEFINED        4         --         --   25,068
TERRA INDUSTRIES INC              EQUITY    880915103  10,307    225,250 SH       SOLE           2    225,250         --       --
TERRA NITROGEN CO L P             EQUITY    881005201      96      1,273 SH       DEFINED        4         --         --    1,273
TERREMARK WORLDWIDE INC           EQUITY    881448203     333     47,442 SH       SOLE           2     47,442         --       --
TERRITORIAL BANCORP INC           EQUITY    88145X108     190      9,993 SH       SOLE           2      9,993         --       --
TESORO CORP                       EQUITY    881609101       3        212 SH       DEFINED        4         --         --      212





                                                                                        
TESORO CORP                       EQUITY    881609101     673     48,449 SH       SOLE           2     48,449         --       --
TESSERA TECHNOLOGIES INC          EQUITY    88164L100     930     45,876 SH       SOLE           2     45,876         --       --
TETRA TECH INC                    EQUITY    88162G103   6,910    299,922 SH       SOLE           2    299,922         --       --
TETRA TECHNOLOGIES INC            EQUITY    88162F105     865     70,782 SH       SOLE           2     70,782         --       --
TETRA TECHNOLOGIES INC DEL        EQUITY    88162F105       6        500 SH       DEFINED        4         --         --      500
TEVA PHARMACEUTICAL INDS L        EQUITY    881624209   7,864    124,675 SH       SOLE           2    124,675         --       --
TEVA PHARMACEUTICAL INDS LTD      EQUITY    881624209     587      9,305 SH       DEFINED        4         --         --    9,305
TEVA PHARMACEUTICAL INDS LTD      EQUITY    881624209     637     10,093 SH       DEFINED        3         --         --   10,093
TEXAS CAPITAL BANCSHARES I        EQUITY    88224Q107     552     29,091 SH       SOLE           2     29,091         --       --
TEXAS INDUSTRIES INC              EQUITY    882491103     778     22,760 SH       SOLE           2     22,760         --       --
TEXAS INSTRS INC                  EQUITY    882508104       3        130 SH       DEFINED        3         --         --      130
TEXAS INSTRS INC                  EQUITY    882508104     204      8,343 SH       DEFINED        4         --         --    8,343
TEXAS INSTRUMENTS INC             EQUITY    882508104   9,776    399,526 SH       SOLE           2    399,526         --       --
TEXAS ROADHOUSE INC               EQUITY    882681109      16      1,184 SH       DEFINED        3         --         --    1,184
TEXAS ROADHOUSE INC               EQUITY    882681109     310     22,300 SH       DEFINED        4         --         --   22,300
TEXAS ROADHOUSE INC               EQUITY    882681109     656     47,222 SH       SOLE           2     47,222         --       --
TEXTAINER GROUP HOLDINGS L        EQUITY    G8766E109     161      7,491 SH       SOLE           2      7,491         --       --
TEXTRON INC                       EQUITY    883203101      63      2,949 SH       DEFINED        4         --         --    2,949
TEXTRON INC                       EQUITY    883203101      64      3,015 SH       DEFINED        3         --         --    3,015
TEXTRON INC                       EQUITY    883203101   2,023     95,285 SH       SOLE           2     95,285         --       --
TFS FINANCIAL CORP                EQUITY    87240R107      28      2,133 SH       SOLE           2      2,133         --       --
THERAGENICS CORP                  EQUITY    883375107       8      4,637 SH       SOLE           2      4,637         --       --
THERAVANCE INC                    EQUITY    88338T104     569     42,700 SH       SOLE           2     42,700         --       --
THERMO FISHER SCIENTIFIC I        EQUITY    883556102  29,369    570,931 SH       SOLE           2    570,931         --       --
THERMO FISHER SCIENTIFIC INC      EQUITY    883556102       8        150 SH       DEFINED        3         --         --      150
THERMO FISHER SCIENTIFIC INC      EQUITY    883556102     121      2,358 SH       DEFINED        4         --         --    2,358
THERMOGENESIS CORP                EQUITY    883623209       7     10,000 SH       DEFINED        4         --         --   10,000
THOMAS  BETTS CORP                EQUITY    884315102   4,666    118,908 SH       SOLE           2    118,908         --       --
THOMAS WEISEL PARTNERS GRO        EQUITY    884481102      66     16,948 SH       SOLE           2     16,948         --       --
THOMAS WEISEL PARTNERS GROUP INC  EQUITY    884481102     148     37,661 SH       SOLE           1      37661         --       --
THOR INDUSTRIES INC               EQUITY    885160101   2,419     80,079 SH       SOLE           2     80,079         --       --
THORATEC CORP                     EQUITY    885175307   5,772    172,551 SH       SOLE           2    172,551         --       --
THQ INC                           EQUITY    872443403     452     64,544 SH       SOLE           2     64,544         --       --
TIBCO SOFTWARE INC                EQUITY    88632Q103   1,440    133,486 SH       SOLE           2    133,486         --       --
TICC CAPITAL CORP                 EQUITY    87244T109     143     21,716 SH       SOLE           2     21,716         --       --
TIDEWATER INC                     EQUITY    886423102      11        241 SH       DEFINED        4         --         --      241
TIDEWATER INC                     EQUITY    886423102   5,529    116,975 SH       SOLE           2    116,975         --       --
TIER TECHNOLOGIES INCCL B         EQUITY    88650Q100     106     13,313 SH       SOLE           2     13,313         --       --
TIFFANY & CO NEW                  EQUITY    886547108      53      1,126 SH       DEFINED        4         --         --    1,126
TIFFANY + CO                      EQUITY    886547108   2,017     42,463 SH       SOLE           2     42,463         --       --
TIM HORTONS INC                   EQUITY    88706M103       7        200 SH       DEFINED        3         --         --      200
TIM HORTONS INC                   EQUITY    88706M103     128      3,924 SH       DEFINED        4         --         --    3,924
TIMBERLAND COCLASS A              EQUITY    887100105   2,825    132,394 SH       SOLE           2    132,394         --       --
TIME WARNER CABLE                 EQUITY    88732J207   8,430    158,123 SH       SOLE           2    158,123         --       --
TIME WARNER CABLE INC             EQUITY    88732J207       8        155 SH       DEFINED        3         --         --      155
TIME WARNER CABLE INC             EQUITY    88732J207      21        400 SH       DEFINED        4         --         --      400
TIME WARNER CABLE INC             EQUITY    88732J207   3,018     56,605 SH       SOLE           1      56605         --       --
TIME WARNER INC                   EQUITY    887317303      18        580 SH       DEFINED        3         --         --      580
TIME WARNER INC                   EQUITY    887317303      49      1,554 SH       DEFINED        4         --         --    1,554
TIME WARNER INC                   EQUITY    887317303  16,213    518,484 SH       SOLE           2    518,484         --       --
TIMKEN CO                         EQUITY    887389104   5,404    180,072 SH       SOLE           2    180,072         --       --
TITAN INTERNATIONAL INC           EQUITY    88830M102   5,363    614,316 SH       SOLE           2    614,316         --       --
TITAN MACHINERY INC               EQUITY    88830R101     145     10,578 SH       SOLE           2     10,578         --       --
TITANIUM METALS CORP              EQUITY    888339207       5        300 SH       DEFINED        4         --         --      300
TITANIUM METALS CORP              EQUITY    888339207     827     49,830 SH       SOLE           2     49,830         --       --
TIVO INC                          EQUITY    888706108     240     14,000 SH       DEFINED        4         --         --   14,000
TIVO INC                          EQUITY    888706108   1,508     88,081 SH       SOLE           2     88,081         --       --
TIX CORP                          EQUITY    888733102       1      1,000 SH       DEFINED        4         --         --    1,000
TJX COMPANIES INC                 EQUITY    872540109   6,870    161,582 SH       SOLE           2    161,582         --       --
TJX COS INC NEW                   EQUITY    872540109       1         35 SH       DEFINED        3         --         --       35
TJX COS INC NEW                   EQUITY    872540109      13        300 SH       DEFINED        4         --         --      300
TNS INC                           EQUITY    872960109     450     20,193 SH       SOLE           2     20,193         --       --
TODD SHIPYARDS CORP               EQUITY    889039103      77      4,710 SH       SOLE           2      4,710         --       --
TOLL BROTHERS INC                 EQUITY    889478103       2        106 SH       DEFINED        4         --         --      106
TOLL BROTHERS INC                 EQUITY    889478103   6,602    317,416 SH       SOLE           2    317,416         --       --
TOLLGRADE COMMUNICATIONS I        EQUITY    889542106      11      1,759 SH       SOLE           2      1,759         --       --
TOMKINS PLC                       EQUITY    890030208       3        200 SH       DEFINED        4         --         --      200
TOMOTHERAPY INC                   EQUITY    890088107     128     37,653 SH       SOLE           2     37,653         --       --
TOMPKINS FINANCIAL CORP           EQUITY    890110109     309      8,483 SH       SOLE           2      8,483         --       --
TOOTSIE ROLL INDS                 EQUITY    890516107   2,172     80,341 SH       SOLE           2     80,341         --       --
TORCHMARK CORP                    EQUITY    891027104       5         94 SH       DEFINED        4         --         --       94
TORCHMARK CORP                    EQUITY    891027104   1,833     34,264 SH       SOLE           2     34,264         --       --
TOREADOR RES CORP                 EQUITY    891050106       3        400 SH       DEFINED        4         --         --      400
TOREADOR RESOURCES CORP           EQUITY    891050106     167     20,373 SH       SOLE           2     20,373         --       --
TORM A/S                          EQUITY    891072100       5        500 SH       DEFINED        4         --         --      500
TORO CO                           EQUITY    891092108     262      5,320 SH       SOLE           2      5,320         --       --
TORONTO DOMINION BK ONT           EQUITY    891160509      31        414 SH       DEFINED        4         --         --      414
TORTOISE ENERGY INFRSTRCTR C      EQUITY    89147L100       3        100 SH       DEFINED        4         --         --      100
TOTAL S A                         EQUITY    8.92E+113       2         28 SH       DEFINED        3         --         --       28
TOTAL S A                         EQUITY    8.92E+113      62      1,065 SH       DEFINED        4         --         --    1,065
TOTAL SYSTEM SERVICES INC         EQUITY    891906109   1,049     66,968 SH       SOLE           2     66,968         --       --
TOWER BANCORP INC                 EQUITY    891709107     104      3,893 SH       SOLE           2      3,893         --       --
TOWER GROUP INC                   EQUITY    891777104     929     41,881 SH       SOLE           2     41,881         --       --
TOWER SEMICONDUCTOR LTD           EQUITY    M87915100       7      4,000 SH       DEFINED        4         --         --    4,000
TOWERS WATSON  COCL A             EQUITY    891894107   6,159    129,667 SH       SOLE           2    129,667         --       --
TOWERS WATSON & CO                EQUITY    891894107       4         75 SH       DEFINED        4         --         --       75
TOWN SPORTS INTERNATIONAL         EQUITY    89214A102      62     15,835 SH       SOLE           2     15,835         --       --
TOWNE BANK                        EQUITY    89214P109     240     17,158 SH       SOLE           2     17,158         --       --
TOYOTA MOTOR CORP                 EQUITY    892331307      53        655 SH       DEFINED        3         --         --      655
TOYOTA MOTOR CORP                 EQUITY    892331307      89      1,108 SH       DEFINED        4         --         --    1,108
TRACTOR SUPPLY CO                 EQUITY    892356106      29        500 SH       DEFINED        3         --         --      500
TRACTOR SUPPLY COMPANY            EQUITY    892356106   1,960     33,764 SH       SOLE           2     33,764         --       --
TRADESTATION GROUP INC            EQUITY    89267P105     223     31,796 SH       SOLE           2     31,796         --       --
TRANS1 INC                        EQUITY    89385X105      35     10,715 SH       SOLE           2     10,715         --       --





                                                                                        
TRANSATLANTIC HLDGS INC           EQUITY    893521104       5         97 SH       DEFINED        4         --         --       97
TRANSATLANTIC HLDGS INC           EQUITY    893521104  38,331    725,970 SH       SOLE           1   725969.5         --       --
TRANSATLANTIC HOLDINGS INC        EQUITY    893521104   7,636    144,625 SH       SOLE           2    144,625         --       --
TRANSATLANTIC PETROLEUM LTD       EQUITY    G89982105      52     15,000 SH       DEFINED        3         --         --   15,000
TRANSCANADA CORP                  EQUITY    89353D107       7        200 SH       DEFINED        3         --         --      200
TRANSCANADA CORP                  EQUITY    89353D107      57      1,538 SH       DEFINED        4         --         --    1,538
TRANSCEND SERVICES INC            EQUITY    893929208     103      6,324 SH       SOLE           2      6,324         --       --
TRANSCONTINENTAL REALTY IN        EQUITY    893617209      14      1,120 SH       SOLE           2      1,120         --       --
TRANSCONTINENTAL RLTY INVS        EQUITY    893617209       3        222 SH       DEFINED        3         --         --      222
TRANSDIGM GROUP INC               EQUITY    893641100      39        731 SH       SOLE           2        731         --       --
TRANSDIGM GROUP INC               EQUITY    893641100     168      3,175 SH       DEFINED        4         --         --    3,175
TRANSOCEAN LTD                    EQUITY    H8817H100      43        496 SH       DEFINED        3         --         --      496
TRANSOCEAN LTD                    EQUITY    H8817H100     345      3,995 SH       DEFINED        4         --         --    3,995
TRANSOCEAN LTD                    EQUITY    H8817H100  14,695    170,126 SH       SOLE           2    170,126         --       --
TRAVELERS COMPANIES INC           EQUITY    8.94E+113       7        125 SH       DEFINED        3         --         --      125
TRAVELERS COMPANIES INC           EQUITY    8.94E+113      37        688 SH       DEFINED        4         --         --      688
TRAVELERS COS INC/THE             EQUITY    8.94E+113  13,657    253,192 SH       SOLE           2    253,192         --       --
TRAVELZOO INC                     EQUITY    89421Q106      68      4,526 SH       SOLE           2      4,526         --       --
TREDEGAR CORP                     EQUITY    894650100     463     27,129 SH       SOLE           2     27,129         --       --
TREE.COM INC                      EQUITY    894675107      48      5,229 SH       SOLE           2      5,229         --       --
TREEHOUSE FOODS INC               EQUITY    89469A104       1         34 SH       DEFINED        3         --         --       34
TREEHOUSE FOODS INC               EQUITY    89469A104   1,318     30,044 SH       SOLE           2     30,044         --       --
TREX COMPANY INC                  EQUITY    89531P105     268     12,584 SH       SOLE           2     12,584         --       --
TRI CONTL CORP                    EQUITY    895436103      57      4,620 SH       DEFINED        4         --         --    4,620
TRIANGLE CAP CORP                 EQUITY    895848109       2        110 SH       DEFINED        3         --         --      110
TRIANGLE CAPITAL CORP             EQUITY    895848109     121      8,603 SH       SOLE           2      8,603         --       --
TRICO BANCSHARES                  EQUITY    896095106     226     11,371 SH       SOLE           2     11,371         --       --
TRICO MARINE SERVICES INC         EQUITY    896106200     257    110,697 SH       SOLE           1     110697         --       --
TRIDENT MICROSYSTEMS INC          EQUITY    895919108      89     51,401 SH       SOLE           2     51,401         --       --
TRIMAS CORP                       EQUITY    896215209      82     12,562 SH       SOLE           2     12,562         --       --
TRIMBLE NAVIGATION LTD            EQUITY    896239100      80      2,800 SH       DEFINED        4         --         --    2,800
TRIMBLE NAVIGATION LTD            EQUITY    896239100   7,810    271,927 SH       SOLE           2    271,927         --       --
TRINITY INDS INC                  EQUITY    896522109       7        335 SH       DEFINED        4         --         --      335
TRINITY INDS INC                  EQUITY    896522109      24      1,216 SH       DEFINED        3         --         --    1,216
TRINITY INDUSTRIES INC            EQUITY    896522109   3,575    179,088 SH       SOLE           2    179,088         --       --
TRIPLES MANAGEMENT CORPB          EQUITY    896749108     298     16,775 SH       SOLE           2     16,775         --       --
TRIPLE-S MGMT CORP                EQUITY    896749108       4        200 SH       DEFINED        4         --         --      200
TRIQUINT SEMICONDUCTOR INC        EQUITY    89674K103       1        151 SH       DEFINED        3         --         --      151
TRIQUINT SEMICONDUCTOR INC        EQUITY    89674K103       2        300 SH       DEFINED        4         --         --      300
TRIQUINT SEMICONDUCTOR INC        EQUITY    89674K103     975    139,351 SH       SOLE           2    139,351         --       --
TRIUMPH GROUP INC                 EQUITY    896818101   1,098     15,668 SH       SOLE           2     15,668         --       --
TRIUMPH GROUP INC NEW             EQUITY    896818101       8        117 SH       DEFINED        4         --         --      117
TRUE RELIGION APPAREL INC         EQUITY    89784N104     735     24,211 SH       SOLE           2     24,211         --       --
TRUEBLUE INC                      EQUITY    89785X101     639     41,200 SH       SOLE           2     41,200         --       --
TRUSTCO BANK CORP NY              EQUITY    898349105     450     72,895 SH       SOLE           2     72,895         --       --
TRUSTMARK CORP                    EQUITY    898402102      24      1,000 SH       DEFINED        3         --         --    1,000
TRUSTMARK CORP                    EQUITY    898402102   4,344    177,814 SH       SOLE           2    177,814         --       --
TRW AUTOMOTIVE HOLDINGS CO        EQUITY    87264S106      41      1,448 SH       SOLE           2      1,448         --       --
TTM TECHNOLOGIES                  EQUITY    87305R109     366     41,200 SH       SOLE           2     41,200         --       --
TUESDAY MORNING CORP              EQUITY    899035505      35      5,350 SH       DEFINED        4         --         --    5,350
TUESDAY MORNING CORP              EQUITY    899035505     190     28,830 SH       SOLE           2     28,830         --       --
TUPPERWARE BRANDS CORP            EQUITY    899896104   9,214    191,083 SH       SOLE           2    191,083         --       --
TURKCELL ILETISIM HIZMETLERI      EQUITY    900111204       3        226 SH       DEFINED        4         --         --      226
TUTOR PERINI CORP                 EQUITY    901109108     458     21,044 SH       SOLE           2     21,044         --       --
TW TELECOM INC                    EQUITY    87311L104   6,147    338,670 SH       SOLE           2    338,670         --       --
TWIN DISC INC                     EQUITY    901476101      85      6,946 SH       SOLE           2      6,946         --       --
TYCO ELECTRONICS LTD SWITZER      EQUITY    H8912P106       3        113 SH       DEFINED        3         --         --      113
TYCO ELECTRONICS LTD SWITZER      EQUITY    H8912P106       8        299 SH       DEFINED        4         --         --      299
TYCO INTERNATIONAL LTD            EQUITY    H89128104      10        274 SH       DEFINED        4         --         --      274
TYCO INTERNATIONAL LTD            EQUITY    H89128104      12        303 SH       DEFINED        3         --         --      303
TYLER TECHNOLOGIES INC            EQUITY    902252105     541     28,871 SH       SOLE           2     28,871         --       --
TYSON FOODS INCCL A               EQUITY    902494103   2,040    106,544 SH       SOLE           2    106,544         --       --
U S CONCRETE INC                  EQUITY    90333L102      10     27,116 SH       SOLE           2     27,116         --       --
U S G CORP                        EQUITY    903293405      13        729 SH       DEFINED        3         --         --      729
U S G CORP                        EQUITY    903293405      28      1,632 SH       DEFINED        4         --         --    1,632
U S GLOBAL INVS INC               EQUITY    902952100       2        205 SH       DEFINED        4         --         --      205
U S GOLD CORP                     EQUITY    912023207  10,076  3,731,993 SH       SOLE           2  3,731,993         --       --
U.S. GLOBAL INVESTORS INCA        EQUITY    902952100     104     10,502 SH       SOLE           2     10,502         --       --
U.S. PHYSICAL THERAPY INC         EQUITY    90337L108     165      9,489 SH       SOLE           2      9,489         --       --
UAL CORP                          EQUITY    902549807   2,617    133,867 SH       SOLE           2    133,867         --       --
UBS AG                            EQUITY    H89231338      23      1,398 SH       DEFINED        4         --         --    1,398
UBS AG JERSEY BRH                 EQUITY    902641786      80      4,038 SH       DEFINED        3         --         --    4,038
UDR INC                           EQUITY    902653104   6,200    351,500 SH       SOLE           2    351,500         --       --
UGI CORP                          EQUITY    902681105   6,534    246,179 SH       SOLE           2    246,179         --       --
UGI CORP NEW                      EQUITY    902681105      21        800 SH       DEFINED        3         --         --      800
UIL HLDG CORP                     EQUITY    902748102       5        166 SH       DEFINED        4         --         --      166
UIL HOLDINGS CORP                 EQUITY    902748102     760     27,651 SH       SOLE           2     27,651         --       --
ULTA SALON COSMETICS  FRAG        EQUITY    90384S303     501     22,168 SH       SOLE           2     22,168         --       --
ULTIMATE SOFTWARE GROUP IN        EQUITY    90385D107     643     19,515 SH       SOLE           2     19,515         --       --
ULTRA PETROLEUM CORP              EQUITY    903914109      25        546 SH       DEFINED        4         --         --      546
ULTRA PETROLEUM CORP              EQUITY    903914109   1,217     26,100 SH       SOLE           2     26,100         --       --
ULTRALIFE CORP                    EQUITY    903899102      12      2,900 SH       DEFINED        3         --         --    2,900
ULTRALIFE CORP                    EQUITY    903899102      40      9,863 SH       SOLE           2      9,863         --       --
ULTRAPETROL (BAHAMAS) LTD         EQUITY    P94398107      97     17,627 SH       SOLE           2     17,627         --       --
ULTRATECH INC                     EQUITY    904034105     307     22,588 SH       SOLE           2     22,588         --       --
UMB FINANCIAL CORP                EQUITY    902788108   1,216     29,954 SH       SOLE           2     29,954         --       --
UMH PROPERTIES INC                EQUITY    903002103      62      7,538 SH       SOLE           2      7,538         --       --
UMPQUA HLDGS CORP                 EQUITY    904214103      13      1,000 SH       DEFINED        4         --         --    1,000
UMPQUA HOLDINGS CORP              EQUITY    904214103   1,224     92,340 SH       SOLE           2     92,340         --       --
UNDER ARMOUR INC                  EQUITY    904311107      15        514 SH       DEFINED        3         --         --      514
UNDER ARMOUR INCCLASS A           EQUITY    904311107   3,260    110,843 SH       SOLE           2    110,843         --       --
UNICA CORP                        EQUITY    904583101     103     11,612 SH       SOLE           2     11,612         --       --
UNIFI INC                         EQUITY    904677101     133     36,446 SH       SOLE           2     36,446         --       --
UNIFIRST CORP/MA                  EQUITY    904708104     685     13,300 SH       SOLE           2     13,300         --       --





                                                                                        
UNILEVER N V                      EQUITY    904784709      11        365 SH       DEFINED        4         --         --      365
UNILEVER N V                      EQUITY    904784709      14        450 SH       DEFINED        3         --         --      450
UNILEVER PLC                      EQUITY    904767704      14        481 SH       DEFINED        4         --         --      481
UNION DRILLING INC                EQUITY    90653P105      50      8,153 SH       SOLE           2      8,153         --       --
UNION FIRST MARKET BANKSHA        EQUITY    90662P104     226     14,973 SH       SOLE           2     14,973         --       --
UNION PAC CORP                    EQUITY    907818108      50        682 SH       DEFINED        4         --         --      682
UNION PAC CORP                    EQUITY    907818108      71        962 SH       DEFINED        3         --         --      962
UNION PACIFIC CORP                EQUITY    907818108  37,222    507,803 SH       SOLE           2    507,803         --       --
UNISOURCE ENERGY CORP             EQUITY    909205106       4        140 SH       DEFINED        3         --         --      140
UNISOURCE ENERGY CORP             EQUITY    909205106      33      1,043 SH       DEFINED        4         --         --    1,043
UNISOURCE ENERGY CORP CO          EQUITY    909205106   1,054     33,519 SH       SOLE           2     33,519         --       --
UNISYS CORP                       EQUITY    909214306       4        120 SH       DEFINED        3         --         --      120
UNISYS CORP                       EQUITY    909214306   1,182     33,883 SH       SOLE           2     33,883         --       --
UNIT CORP                         EQUITY    909218109   3,868     91,485 SH       SOLE           2     91,485         --       --
UNITED AMERICA INDEMNITYA         EQUITY    90933T109     287     29,961 SH       SOLE           2     29,961         --       --
UNITED BANKSHARES INC             EQUITY    909907107     941     35,899 SH       SOLE           2     35,899         --       --
UNITED CAPITAL CORP               EQUITY    909912107      37      1,571 SH       SOLE           2      1,571         --       --
UNITED CMNTY BKS BLAIRSVLE G      EQUITY    90984P105       7      1,549 SH       DEFINED        3         --         --    1,549
UNITED COMMUNITY BANKS/GA         EQUITY    90984P105     346     78,492 SH       SOLE           2     78,492         --       --
UNITED FINANCIAL BANCORP I        EQUITY    91030T109     188     13,425 SH       SOLE           2     13,425         --       --
UNITED FIRE  CASUALTY CO          EQUITY    910331107     381     21,164 SH       SOLE           2     21,164         --       --
UNITED MICROELECTRONICS CORP      EQUITY    910873405       3        692 SH       DEFINED        3         --         --      692
UNITED NAT FOODS INC              EQUITY    911163103       3        100 SH       DEFINED        4         --         --      100
UNITED NAT FOODS INC              EQUITY    911163103       8        300 SH       DEFINED        3         --         --      300
UNITED NATURAL FOODS INC          EQUITY    911163103   1,136     40,381 SH       SOLE           2     40,381         --       --
UNITED ONLINE INC                 EQUITY    911268100       1        200 SH       DEFINED        4         --         --      200
UNITED ONLINE INC                 EQUITY    911268100   4,915    657,062 SH       SOLE           2    657,062         --       --
UNITED PARCEL SERVICE INC         EQUITY    911312106      39        607 SH       DEFINED        3         --         --      607
UNITED PARCEL SERVICE INC         EQUITY    911312106   2,563     39,799 SH       DEFINED        4         --         --   39,799
UNITED PARCEL SERVICECL B         EQUITY    911312106  20,591    319,689 SH       SOLE           2    319,689         --       --
UNITED RENTALS INC                EQUITY    911363109       3        275 SH       DEFINED        3         --         --      275
UNITED RENTALS INC                EQUITY    911363109   9,228    983,746 SH       SOLE           2    983,746         --       --
UNITED SECURITY BANCSHARES        EQUITY    911459105      74      4,916 SH       SOLE           2      4,916         --       --
UNITED STATES LIME  MINERA        EQUITY    911922102      58      1,494 SH       SOLE           2      1,494         --       --
UNITED STATES NATL GAS FUND       EQUITY    912318102     246     35,547 SH       DEFINED        4         --         --   35,547
UNITED STATES NATL GAS FUND       EQUITY    912318102     506     73,166 SH       DEFINED        3         --         --   73,166
UNITED STATES OIL FUND LP         EQUITY    91232N108      85      2,112 SH       DEFINED        4         --         --    2,112
UNITED STATES OIL FUND LP         EQUITY    91232N108     221      5,479 SH       DEFINED        3         --         --    5,479
UNITED STATES STEEL CORP          EQUITY    912909108   3,182     50,096 SH       SOLE           2     50,096         --       --
UNITED STATES STL CORP NEW        EQUITY    912909108      13        209 SH       DEFINED        3         --         --      209
UNITED STATES STL CORP NEW        EQUITY    912909108     490      7,721 SH       DEFINED        4         --         --    7,721
UNITED STATIONERS INC             EQUITY    913004107   1,314     22,326 SH       SOLE           2     22,326         --       --
UNITED STS GASOLINE FD LP         EQUITY    91201T102     355      9,379 SH       DEFINED        3         --         --    9,379
UNITED STS HEATING OIL FD LP      EQUITY    91204P107      33      1,178 SH       DEFINED        3         --         --    1,178
UNITED TECHNOLOGIES CORP          EQUITY    913017109     253      3,442 SH       DEFINED        3         --         --    3,442
UNITED TECHNOLOGIES CORP          EQUITY    913017109     690      9,380 SH       DEFINED        4         --         --    9,380
UNITED TECHNOLOGIES CORP          EQUITY    913017109  56,969    773,925 SH       SOLE           2    773,925         --       --
UNITED THERAPEUTICS CORP          EQUITY    91307C102   5,987    108,204 SH       SOLE           2    108,204         --       --
UNITEDHEALTH GROUP INC            EQUITY    91324P102      93      2,839 SH       DEFINED        4         --         --    2,839
UNITEDHEALTH GROUP INC            EQUITY    91324P102     169      5,185 SH       DEFINED        3         --         --    5,185
UNITEDHEALTH GROUP INC            EQUITY    91324P102  26,658    815,981 SH       SOLE           2    815,981         --       --
UNITIL CORP                       EQUITY    913259107     200      8,588 SH       SOLE           2      8,588         --       --
UNITRIN INC                       EQUITY    913275103   3,156    112,518 SH       SOLE           2    112,518         --       --
UNIVERSAL AMERICAN CORP           EQUITY    913377107     340     22,087 SH       SOLE           2     22,087         --       --
UNIVERSAL CORP/VA                 EQUITY    913456109   3,938     74,734 SH       SOLE           2     74,734         --       --
UNIVERSAL DISPLAY CORP            EQUITY    91347P105     281     23,869 SH       SOLE           2     23,869         --       --
UNIVERSAL ELECTRONICS INC         EQUITY    913483103     291     13,020 SH       SOLE           2     13,020         --       --
UNIVERSAL FOREST PRODUCTS         EQUITY    913543104     695     18,043 SH       SOLE           2     18,043         --       --
UNIVERSAL HEALTH RLTY INCM T      EQUITY    9.14E+109      26        728 SH       DEFINED        4         --         --      728
UNIVERSAL HEALTH RLTY INCO        EQUITY    9.14E+109   3,145     88,980 SH       SOLE           2     88,980         --       --
UNIVERSAL HEALTH SERVICESB        EQUITY    913903100   7,695    219,293 SH       SOLE           2    219,293         --       --
UNIVERSAL HLTH SVCS INC           EQUITY    913903100      28        800 SH       DEFINED        4         --         --      800
UNIVERSAL INSURANCE HOLDIN        EQUITY    91359V107      55     10,787 SH       SOLE           2     10,787         --       --
UNIVERSAL STAINLESS  ALLOY        EQUITY    913837100     132      5,499 SH       SOLE           2      5,499         --       --
UNIVERSAL TECHNICAL INSTIT        EQUITY    913915104     432     18,941 SH       SOLE           2     18,941         --       --
UNIVERSAL TRAVEL GROUP            EQUITY    91388Q202      98      9,871 SH       SOLE           2      9,871         --       --
UNIVERSAL TRUCKLOAD SERVIC        EQUITY    91388P105      84      4,777 SH       SOLE           2      4,777         --       --
UNIVEST CORP OF PENNSYLVAN        EQUITY    915271100     251     13,431 SH       SOLE           2     13,431         --       --
UNUM GROUP                        EQUITY    91529Y106       5        182 SH       DEFINED        4         --         --      182
UNUM GROUP                        EQUITY    91529Y106   3,646    147,208 SH       SOLE           2    147,208         --       --
UQM TECHNOLOGIES INC              EQUITY    903213106      17      4,000 SH       DEFINED        4         --         --    4,000
URANERZ ENERGY CORP               EQUITY    91688T104   4,191  2,253,200 SH       SOLE           2  2,253,200         --       --
URANIUM ENERGY CORP               EQUITY    916896103     148     45,937 SH       SOLE           2     45,937         --       --
URBAN OUTFITTERS INC              EQUITY    917047102       4        108 SH       DEFINED        4         --         --      108
URBAN OUTFITTERS INC              EQUITY    917047102   2,052     53,958 SH       SOLE           2     53,958         --       --
URS CORP                          EQUITY    903236107   9,418    189,846 SH       SOLE           2    189,846         --       --
URS CORP NEW                      EQUITY    903236107      11        220 SH       DEFINED        4         --         --      220
URSTADT BIDDLE  CLASS A           EQUITY    917286205     311     19,643 SH       SOLE           2     19,643         --       --
US AIRWAYS GROUP INC              EQUITY    90341W108     949    129,064 SH       SOLE           2    129,064         --       --
US AUTO PARTS NETWORK INC         EQUITY    90343C100      60      8,045 SH       SOLE           2      8,045         --       --
US BANCORP                        EQUITY    902973304  20,344    786,072 SH       SOLE           2    786,072         --       --
US BANCORP DEL                    EQUITY    902973304     143      5,544 SH       DEFINED        3         --         --    5,544
US BANCORP DEL                    EQUITY    902973304     207      7,981 SH       DEFINED        4         --         --    7,981
US CELLULAR CORP                  EQUITY    911684108      18        423 SH       SOLE           2        423         --       --
US ECOLOGY INC                    EQUITY    91732J102     239     14,825 SH       SOLE           2     14,825         --       --
US GEOTHERMAL INC                 EQUITY    90338S102      52     57,475 SH       SOLE           2     57,475         --       --
US GOLD CORPORATION               EQUITY    912023207       1        400 SH       DEFINED        4         --         --      400
USA MOBILITY INC                  EQUITY    90341G103     274     21,598 SH       SOLE           2     21,598         --       --
USA TRUCK INC                     EQUITY    902925106     103      6,350 SH       SOLE           2      6,350         --       --
USANA HEALTH SCIENCES INC         EQUITY    90328M107     161      5,116 SH       SOLE           2      5,116         --       --
USEC INC                          EQUITY    9.03E+112      43      7,500 SH       DEFINED        3         --         --    7,500
USEC INC                          EQUITY    9.03E+112     120     20,800 SH       DEFINED        4         --         --   20,800
USEC INC                          EQUITY    9.03E+112     530     91,773 SH       SOLE           2     91,773         --       --
USG CORP                          EQUITY    903293405      19      1,127 SH       SOLE           2      1,127         --       --





                                                                                        
USTOREIT TRUST                    EQUITY    91274F104     459     63,773 SH       SOLE           2     63,773         --       --
UTAH MEDICAL PRODUCTS INC         EQUITY    917488108      74      2,625 SH       SOLE           2      2,625         --       --
UTI WORLDWIDE INC                 EQUITY    G87210103      31      2,054 SH       SOLE           2      2,054         --       --
UTSTARCOM INC                     EQUITY    918076100     258     92,472 SH       SOLE           2     92,472         --       --
V F CORP                          EQUITY    918204108      17        214 SH       DEFINED        3         --         --      214
V F CORP                          EQUITY    918204108      33        410 SH       DEFINED        4         --         --      410
VAALCO ENERGY INC                 EQUITY    91851C201     235     47,591 SH       SOLE           2     47,591         --       --
VAIL RESORTS INC                  EQUITY    91879Q109     945     23,574 SH       SOLE           2     23,574         --       --
VALASSIS COMMUNICATIONS IN        EQUITY    918866104   1,072     38,536 SH       SOLE           2     38,536         --       --
VALE S A                          EQUITY    9.19E+208       9        323 SH       DEFINED        4         --         --      323
VALE S A                          EQUITY    9.19E+109      44      1,353 SH       DEFINED        4         --         --    1,353
VALE S A                          EQUITY    9.19E+109      63      1,960 SH       DEFINED        3         --         --    1,960
VALEANT PHARMACEUTICALS IN        EQUITY    91911X104   6,264    145,976 SH       SOLE           2    145,976         --       --
VALEANT PHARMACEUTICALS INTL      EQUITY    91911X104      10        244 SH       DEFINED        3         --         --      244
VALENCE TECHNOLOGY INC            EQUITY    918914102      35     41,011 SH       SOLE           2     41,011         --       --
VALERO ENERGY CORP                EQUITY    91913Y100   3,591    182,270 SH       SOLE           2    182,270         --       --
VALERO ENERGY CORP NEW            EQUITY    91913Y100       3        138 SH       DEFINED        3         --         --      138
VALERO ENERGY CORP NEW            EQUITY    91913Y100      65      3,308 SH       DEFINED        4         --         --    3,308
VALHI INC                         EQUITY    918905100       3        151 SH       SOLE           2        151         --       --
VALIDUS HOLDINGS LTD              EQUITY    G9319H102   4,551    165,319 SH       SOLE           2    165,319         --       --
VALLEY NATIONAL BANCORP           EQUITY    919794107   5,321    346,164 SH       SOLE           2    346,164         --       --
VALMONT INDUSTRIES                EQUITY    920253101   3,729     45,020 SH       SOLE           2     45,020         --       --
VALSPAR CORP                      EQUITY    920355104       2         67 SH       DEFINED        3         --         --       67
VALSPAR CORP                      EQUITY    920355104   6,635    225,064 SH       SOLE           2    225,064         --       --
VALUE LINE INC                    EQUITY    920437100      25      1,100 SH       SOLE           2      1,100         --       --
VALUECLICK INC                    EQUITY    92046N102   2,599    256,297 SH       SOLE           2    256,297         --       --
VAN KAMPEN ADVANTAGE MUN II       EQUITY    92112K107      38      3,109 SH       DEFINED        4         --         --    3,109
VAN KAMPEN DYNAMIC CR OPPORT      EQUITY    921166104      27      2,150 SH       DEFINED        4         --         --    2,150
VAN KAMPEN MUN TR                 EQUITY    920919107       3        200 SH       DEFINED        3         --         --      200
VAN KAMPEN OHIO QUALITY MUN       EQUITY    920923109      11        756 SH       DEFINED        3         --         --      756
VAN KAMPEN SENIOR INCOME TR       EQUITY    920961109      14      2,814 SH       DEFINED        4         --         --    2,814
VAN KAMPEN SENIOR INCOME TR       EQUITY    920961109      28      5,543 SH       DEFINED        3         --         --    5,543
VAN KAMPEN TR INVT GRADE MUN      EQUITY    920929106       6        456 SH       DEFINED        3         --         --      456
VANDA PHARMACEUTICALS INC         EQUITY    921659108     251     21,771 SH       SOLE           2     21,771         --       --
VANDA PHARMACEUTICALS INC         EQUITY    921659108     265     23,000 SH       DEFINED        4         --         --   23,000
VANGUARD BD INDEX FD INC          EQUITY    921937819      86      1,077 SH       DEFINED        3         --         --    1,077
VANGUARD BD INDEX FD INC          EQUITY    921937819      94      1,176 SH       DEFINED        4         --         --    1,176
VANGUARD BD INDEX FD INC          EQUITY    921937835     508      6,411 SH       DEFINED        4         --         --    6,411
VANGUARD BD INDEX FD INC          EQUITY    921937827     669      8,367 SH       DEFINED        4         --         --    8,367
VANGUARD BD INDEX FD INC          EQUITY    921937827   1,135     14,189 SH       DEFINED        3         --         --   14,189
VANGUARD BD INDEX FD INC          EQUITY    921937835   1,494     18,859 SH       DEFINED        3         --         --   18,859
VANGUARD INDEX FDS                EQUITY    922908637       7        140 SH       DEFINED        4         --         --      140
VANGUARD INDEX FDS                EQUITY    922908538      24        457 SH       DEFINED        4         --         --      457
VANGUARD INDEX FDS                EQUITY    922908512      37        764 SH       DEFINED        3         --         --      764
VANGUARD INDEX FDS                EQUITY    922908629      39        600 SH       DEFINED        3         --         --      600
VANGUARD INDEX FDS                EQUITY    922908611      39        658 SH       DEFINED        3         --         --      658
VANGUARD INDEX FDS                EQUITY    922908595      40        615 SH       DEFINED        3         --         --      615
VANGUARD INDEX FDS                EQUITY    922908538      44        843 SH       DEFINED        3         --         --      843
VANGUARD INDEX FDS                EQUITY    922908512      45        934 SH       DEFINED        4         --         --      934
VANGUARD INDEX FDS                EQUITY    922908595      67      1,033 SH       DEFINED        4         --         --    1,033
VANGUARD INDEX FDS                EQUITY    922908629      71      1,084 SH       DEFINED        4         --         --    1,084
VANGUARD INDEX FDS                EQUITY    922908736     135      2,431 SH       DEFINED        3         --         --    2,431
VANGUARD INDEX FDS                EQUITY    922908744     149      2,956 SH       DEFINED        3         --         --    2,956
VANGUARD INDEX FDS                EQUITY    922908744     169      3,341 SH       DEFINED        4         --         --    3,341
VANGUARD INDEX FDS                EQUITY    922908611     182      3,039 SH       DEFINED        4         --         --    3,039
VANGUARD INDEX FDS                EQUITY    922908751     224      3,550 SH       DEFINED        4         --         --    3,550
VANGUARD INDEX FDS                EQUITY    922908736     344      6,189 SH       DEFINED        4         --         --    6,189
VANGUARD INDEX FDS                EQUITY    922908637     360      6,762 SH       DEFINED        3         --         --    6,762
VANGUARD INDEX FDS                EQUITY    922908769     453      7,598 SH       DEFINED        3         --         --    7,598
VANGUARD INDEX FDS                EQUITY    922908769     454      7,617 SH       DEFINED        4         --         --    7,617
VANGUARD INDEX FDS                EQUITY    922908553     518     10,620 SH       DEFINED        4         --         --   10,620
VANGUARD INDEX FDS                EQUITY    922908553   1,000     20,479 SH       DEFINED        3         --         --   20,479
VANGUARD INDEX FDS                EQUITY    922908751   2,560     40,636 SH       DEFINED        3         --         --   40,636
VANGUARD INTL EQUITY INDEX F      EQUITY    922042866      13        245 SH       DEFINED        4         --         --      245
VANGUARD INTL EQUITY INDEX F      EQUITY    922042866      75      1,377 SH       DEFINED        3         --         --    1,377
VANGUARD INTL EQUITY INDEX F      EQUITY    922042858     129      3,053 SH       DEFINED        4         --         --    3,053
VANGUARD INTL EQUITY INDEX F      EQUITY    922042874     146      3,039 SH       DEFINED        4         --         --    3,039
VANGUARD INTL EQUITY INDEX F      EQUITY    922042775     169      3,792 SH       DEFINED        3         --         --    3,792
VANGUARD INTL EQUITY INDEX F      EQUITY    922042858     375      8,903 SH       DEFINED        3         --         --    8,903
VANGUARD INTL EQUITY INDEX F      EQUITY    922042775     502     11,286 SH       DEFINED        4         --         --   11,286
VANGUARD NATURAL RESOURCES L      EQUITY    92205F106       2        100 SH       DEFINED        3         --         --      100
VANGUARD NATURAL RESOURCES L      EQUITY    92205F106       7        305 SH       DEFINED        4         --         --      305
VANGUARD SCOTTSDALE FDS           EQUITY    92206C409     113      1,487 SH       DEFINED        3         --         --    1,487
VANGUARD SPECIALIZED PORTFOL      EQUITY    921908844      69      1,405 SH       DEFINED        3         --         --    1,405
VANGUARD SPECIALIZED PORTFOL      EQUITY    921908844     507     10,377 SH       DEFINED        4         --         --   10,377
VANGUARD TAX-MANAGED FD           EQUITY    921943858      36      1,048 SH       DEFINED        4         --         --    1,048
VANGUARD TAX-MANAGED FD           EQUITY    921943858     176      5,086 SH       DEFINED        3         --         --    5,086
VANGUARD WHITEHALL FDS INC        EQUITY    921946406       8        209 SH       DEFINED        3         --         --      209
VANGUARD WHITEHALL FDS INC        EQUITY    921946406      16        392 SH       DEFINED        4         --         --      392
VANGUARD WORLD FDS                EQUITY    92204A876       3         50 SH       DEFINED        4         --         --       50
VANGUARD WORLD FDS                EQUITY    92204A504       3         61 SH       DEFINED        4         --         --       61
VANGUARD WORLD FDS                EQUITY    92204A801       8        113 SH       DEFINED        4         --         --      113
VANGUARD WORLD FDS                EQUITY    92204A306      14        172 SH       DEFINED        3         --         --      172
VANGUARD WORLD FDS                EQUITY    92204A876      15        237 SH       DEFINED        3         --         --      237
VANGUARD WORLD FDS                EQUITY    92204A603      21        366 SH       DEFINED        3         --         --      366
VANGUARD WORLD FDS                EQUITY    92204A405      44      1,350 SH       DEFINED        3         --         --    1,350
VANGUARD WORLD FDS                EQUITY    92204A702      87      1,550 SH       DEFINED        4         --         --    1,550
VANGUARD WORLD FDS                EQUITY    92204A207     111      1,585 SH       DEFINED        3         --         --    1,585
VANGUARD WORLD FDS                EQUITY    92204A207     116      1,666 SH       DEFINED        4         --         --    1,666
VANGUARD WORLD FDS                EQUITY    92204A504     116      2,052 SH       DEFINED        3         --         --    2,052
VANGUARD WORLD FDS                EQUITY    92204A306     190      2,258 SH       DEFINED        4         --         --    2,258
VANGUARD WORLD FDS                EQUITY    92204A702     952     16,948 SH       DEFINED        3         --         --   16,948
VANTAGE DRILLING CO               EQUITY    G93205113      94     63,596 SH       SOLE           2     63,596         --       --
VARIAN INC                        EQUITY    922206107       5        100 SH       DEFINED        3         --         --      100





                                                                                        
VARIAN INC                        EQUITY    922206107   4,541     87,702 SH       SOLE           2     87,702         --       --
VARIAN MED SYS INC                EQUITY    92220P105       1         24 SH       DEFINED        3         --         --       24
VARIAN MED SYS INC                EQUITY    92220P105      78      1,410 SH       DEFINED        4         --         --    1,410
VARIAN MEDICAL SYSTEMS INC        EQUITY    92220P105   2,350     42,469 SH       SOLE           2     42,469         --       --
VARIAN SEMICONDUCTOR EQUIP        EQUITY    922207105     388     11,723 SH       SOLE           2     11,723         --       --
VARIAN SEMICONDUCTOR EQUIPMN      EQUITY    922207105       3        100 SH       DEFINED        4         --         --      100
VASCO DATA SEC INTL INC           EQUITY    92230Y104       5        550 SH       DEFINED        4         --         --      550
VASCO DATA SECURITY INTL          EQUITY    92230Y104     180     21,802 SH       SOLE           2     21,802         --       --
VASCULAR SOLUTIONS INC            EQUITY    92231M109     119     13,218 SH       SOLE           2     13,218         --       --
VCA ANTECH INC                    EQUITY    918194101       3        100 SH       DEFINED        3         --         --      100
VCA ANTECH INC                    EQUITY    918194101   5,394    192,436 SH       SOLE           2    192,436         --       --
VCG HLDG CORP                     EQUITY    91821K101       1        600 SH       DEFINED        4         --         --      600
VECTOR GROUP LTD                  EQUITY    92240M108      23      1,500 SH       DEFINED        4         --         --    1,500
VECTOR GROUP LTD                  EQUITY    92240M108     489     31,719 SH       SOLE           2     31,719         --       --
VECTREN CORPORATION               EQUITY    92240G101   4,540    183,657 SH       SOLE           2    183,657         --       --
VEECO INSTRUMENTS INC             EQUITY    922417100   9,891    227,369 SH       SOLE           2    227,369         --       --
VENOCO INC                        EQUITY    92275P307      10        750 SH       DEFINED        4         --         --      750
VENOCO INC                        EQUITY    92275P307     189     14,725 SH       SOLE           2     14,725         --       --
VENTAS INC                        EQUITY    92276F100   3,295     69,403 SH       SOLE           2     69,403         --       --
VEOLIA ENVIRONNEMENT              EQUITY    92334N103       3        100 SH       DEFINED        3         --         --      100
VEOLIA ENVIRONNEMENT              EQUITY    92334N103      11        323 SH       DEFINED        4         --         --      323
VERENIUM CORP                     EQUITY    92340P209      22      4,332 SH       DEFINED        3         --         --    4,332
VERIFONE HOLDINGS INC             EQUITY    92342Y109   1,168     57,811 SH       SOLE           2     57,811         --       --
VERISIGN INC                      EQUITY    9.23E+106   1,902     73,119 SH       SOLE           2     73,119         --       --
VERISK ANALYTICS INC              EQUITY    92345Y106       8        300 SH       DEFINED        4         --         --      300
VERISK ANALYTICS INCCLASS         EQUITY    92345Y106      57      2,014 SH       SOLE           2      2,014         --       --
VERIZON COMMUNICATIONS            EQUITY    92343V104     162      5,211 SH       SOLE           1       5211         --       --
VERIZON COMMUNICATIONS            EQUITY    92343V104  42,929  1,383,916 SH       SOLE           2  1,383,916         --       --
VERIZON COMMUNICATIONS INC        EQUITY    92343V104     279      9,004 SH       DEFINED        3         --         --    9,004
VERIZON COMMUNICATIONS INC        EQUITY    92343V104   2,178     70,224 SH       DEFINED        4         --         --   70,224
VERTEX PHARMACEUTICALS INC        EQUITY    92532F100      86      2,105 SH       DEFINED        4         --         --    2,105
VERTEX PHARMACEUTICALS INC        EQUITY    92532F100  18,984    464,488 SH       SOLE           2    464,488         --       --
VF CORP                           EQUITY    918204108   4,170     52,029 SH       SOLE           2     52,029         --       --
VIACOM INC NEW                    EQUITY    92553P201       4        102 SH       DEFINED        3         --         --      102
VIACOM INC NEW                    EQUITY    92553P201      27        780 SH       DEFINED        4         --         --      780
VIACOM INCCLASS B                 EQUITY    92553P201  12,823    372,987 SH       SOLE           2    372,987         --       --
VIAD CORP                         EQUITY    92552R406       5        250 SH       DEFINED        3         --         --      250
VIAD CORP                         EQUITY    92552R406     404     19,665 SH       SOLE           2     19,665         --       --
VIASAT INC                        EQUITY    92552V100   1,025     29,610 SH       SOLE           2     29,610         --       --
VICAL INC                         EQUITY    925602104     117     34,826 SH       SOLE           2     34,826         --       --
VICOR CORP                        EQUITY    925815102     257     18,641 SH       SOLE           2     18,641         --       --
VIEWPOINT FINANCIAL GROUP         EQUITY    926727108     134      8,288 SH       SOLE           2      8,288         --       --
VILLAGE SUPER MARKETCLASS         EQUITY    927107409     142      5,081 SH       SOLE           2      5,081         --       --
VIRAGE LOGIC CORPORATION          EQUITY    92763R104     104     13,220 SH       SOLE           2     13,220         --       --
VIRGIN MEDIA INC                  EQUITY    92769L101     479     27,729 SH       SOLE           2     27,729         --       --
VIRNETX HOLDING CORP              EQUITY    92823T108       8      1,700 SH       DEFINED        3         --         --    1,700
VIRNETX HOLDING CORP              EQUITY    92823T108      19      4,000 SH       DEFINED        4         --         --    4,000
VIROPHARMA INC                    EQUITY    928241108      12        900 SH       DEFINED        3         --         --      900
VIROPHARMA INC                    EQUITY    928241108     992     72,771 SH       SOLE           2     72,771         --       --
VIRTUAL RADIOLOGIC CORP           EQUITY    92826B104      57      5,145 SH       SOLE           2      5,145         --       --
VIRTUS INVESTMENT PARTNERS        EQUITY    92828Q109      99      4,738 SH       SOLE           2      4,738         --       --
VIRTUSA CORP                      EQUITY    92827P102     111     10,773 SH       SOLE           2     10,773         --       --
VISA INC                          EQUITY    92826C839     374      4,111 SH       DEFINED        4         --         --    4,111
VISA INC                          EQUITY    92826C839     390      4,280 SH       DEFINED        3         --         --    4,280
VISA INCCLASS A SHARES            EQUITY    92826C839  44,705    491,105 SH       SOLE           2    491,105         --       --
VISHAY INTERTECHNOLOGY INC        EQUITY    928298108       3        325 SH       DEFINED        3         --         --      325
VISHAY INTERTECHNOLOGY INC        EQUITY    928298108  12,872  1,258,247 SH       SOLE           2  1,258,247         --       --
VISIONCHINA MEDIA INC             EQUITY    92833U103       1        300 SH       DEFINED        4         --         --      300
VISTAPRINT N V                    EQUITY    N93540107      21        359 SH       DEFINED        3         --         --      359
VITACOST.COM INC                  EQUITY    92847A200     108      8,975 SH       SOLE           2      8,975         --       --
VITAL IMAGES INC                  EQUITY    92846N104     190     11,746 SH       SOLE           2     11,746         --       --
VITAMIN SHOPPE INC                EQUITY    9.28E+105     167      7,425 SH       SOLE           2      7,425         --       --
VIVUS INC                         EQUITY    928551100      10      1,100 SH       DEFINED        4         --         --    1,100
VIVUS INC                         EQUITY    928551100      38      4,300 SH       DEFINED        3         --         --    4,300
VIVUS INC                         EQUITY    928551100     561     64,361 SH       SOLE           2     64,361         --       --
VMWARE INC                        EQUITY    928563402       3         60 SH       DEFINED        4         --         --       60
VMWARE INC                        EQUITY    928563402      62      1,172 SH       DEFINED        3         --         --    1,172
VOCUS INC                         EQUITY    92858J108     231     13,529 SH       SOLE           2     13,529         --       --
VODAFONE GROUP PLC NEW            EQUITY    92857W209      55      2,356 SH       DEFINED        3         --         --    2,356
VODAFONE GROUP PLC NEW            EQUITY    92857W209     221      9,466 SH       DEFINED        4         --         --    9,466
VODAFONE GROUP PLC NEW            EQUITY    92857W209     846     36,343 SH       SOLE           2     36,343         --       --
VOLCANO CORP                      EQUITY    928645100     935     38,714 SH       SOLE           2     38,714         --       --
VOLCANO CORPORATION               EQUITY    928645100       2        100 SH       DEFINED        3         --         --      100
VOLCOM INC                        EQUITY    92864N101     346     17,707 SH       SOLE           2     17,707         --       --
VOLT INFO SCIENCES INC            EQUITY    928703107     118     11,549 SH       SOLE           2     11,549         --       --
VOLTERRA SEMICONDUCTOR COR        EQUITY    928708106     464     18,493 SH       SOLE           2     18,493         --       --
VONAGE HOLDINGS CORP              EQUITY    92886T201  14,089 10,436,419 SH       SOLE           2 10,436,419         --       --
VORNADO REALTY TRUST              EQUITY    929042109   5,684     75,080 SH       SOLE           2     75,080         --       --
VSE CORP                          EQUITY    918284100     137      3,322 SH       SOLE           2      3,322         --       --
VULCAN MATERIALS CO               EQUITY    929160109   2,873     60,807 SH       SOLE           2     60,807         --       --
VULCAN MATLS CO                   EQUITY    929160109      38        803 SH       DEFINED        4         --         --      803
W P CAREY & CO LLC                EQUITY    92930Y107       4        150 SH       DEFINED        3         --         --      150
WABASH NATL CORP                  EQUITY    929566107       3        400 SH       DEFINED        3         --         --      400
WABCO HLDGS INC                   EQUITY    92927K102       3        100 SH       DEFINED        4         --         --      100
WABCO HOLDINGS INC                EQUITY    92927K102      37      1,239 SH       SOLE           2      1,239         --       --
WABTEC CORP                       EQUITY    929740108   4,514    107,177 SH       SOLE           2    107,177         --       --
WADDELL  REED FINANCIALA          EQUITY    930059100   6,933    192,372 SH       SOLE           2    192,372         --       --
WAL MART STORES INC               EQUITY    931142103     351      6,322 SH       DEFINED        3         --         --    6,322
WAL MART STORES INC               EQUITY    931142103     853     15,336 SH       DEFINED        4         --         --   15,336
WALGREEN CO                       EQUITY    931422109      89      2,403 SH       DEFINED        3         --         --    2,403
WALGREEN CO                       EQUITY    931422109     293      7,912 SH       DEFINED        4         --         --    7,912
WALGREEN CO                       EQUITY    931422109  15,374    414,497 SH       SOLE           2    414,497         --       --
WALMART STORES INC                EQUITY    931142103 100,788  1,812,725 SH       SOLE           2  1,812,725         --       --
WALT DISNEY CO/THE                EQUITY    254687106  51,646  1,479,398 SH       SOLE           2  1,479,398         --       --





                                                                                        
WALTER ENERGY INC                 EQUITY    93317Q105      94      1,016 SH       SOLE           2      1,016         --       --
WALTER ENERGY INC                 EQUITY    93317Q105     104      1,127 SH       SOLE           1       1127         --       --
WALTER INVESTMENT MANAGEME        EQUITY    93317W102     301     18,810 SH       SOLE           2     18,810         --       --
WALTER INVESTMENT MANAGEMENT CORP EQUITY    93317W102       7        411 SH       SOLE           1        411         --       --
WARNACO GROUP INC/THE             EQUITY    934390402   6,627    138,894 SH       SOLE           2    138,894         --       --
WARNER CHILCOTT PLCCLASS A        EQUITY    G94368100     381     14,913 SH       SOLE           2     14,913         --       --
WARNER MUSIC GROUP CORP           EQUITY    934550104       8      1,155 SH       SOLE           2      1,155         --       --
WARREN RESOURCES INC              EQUITY    93564A100     145     57,711 SH       SOLE           2     57,711         --       --
WASHINGTON BANKING CO             EQUITY    937303105     157     12,497 SH       SOLE           2     12,497         --       --
WASHINGTON FEDERAL INC            EQUITY    938824109   5,165    254,180 SH       SOLE           2    254,180         --       --
WASHINGTON POSTCLASS B            EQUITY    939640108   1,004      2,260 SH       SOLE           2      2,260         --       --
WASHINGTON REAL ESTATE INV        EQUITY    939653101   1,426     46,681 SH       SOLE           2     46,681         --       --
WASHINGTON REAL ESTATE INVT       EQUITY    939653101      16        515 SH       DEFINED        3         --         --      515
WASHINGTON REAL ESTATE INVT       EQUITY    939653101      24        800 SH       DEFINED        4         --         --      800
WASHINGTON TRUST BANCORP          EQUITY    940610108     213     11,441 SH       SOLE           2     11,441         --       --
WASTE CONNECTIONS INC             EQUITY    941053100       2         52 SH       DEFINED        3         --         --       52
WASTE CONNECTIONS INC             EQUITY    941053100       3         90 SH       DEFINED        4         --         --       90
WASTE CONNECTIONS INC             EQUITY    941053100   6,033    177,653 SH       SOLE           2    177,653         --       --
WASTE MANAGEMENT INC              EQUITY    94106L109   5,479    159,130 SH       SOLE           2    159,130         --       --
WASTE MGMT INC DEL                EQUITY    94106L109      36      1,034 SH       DEFINED        3         --         --    1,034
WASTE MGMT INC DEL                EQUITY    94106L109     115      3,344 SH       DEFINED        4         --         --    3,344
WASTE SERVICES INC                EQUITY    941075202     144     14,531 SH       SOLE           2     14,531         --       --
WATERS CORP                       EQUITY    941848103      19        274 SH       DEFINED        3         --         --      274
WATERS CORP                       EQUITY    941848103      23        340 SH       DEFINED        4         --         --      340
WATERS CORP                       EQUITY    941848103   2,386     35,327 SH       SOLE           2     35,327         --       --
WATERSTONE FINANCIAL INC          EQUITY    941888109      21      5,820 SH       SOLE           2      5,820         --       --
WATSCO INC                        EQUITY    942622200   1,467     25,787 SH       SOLE           2     25,787         --       --
WATSON PHARMACEUTICALS INC        EQUITY    942683103     173      4,150 SH       DEFINED        4         --         --    4,150
WATSON PHARMACEUTICALS INC        EQUITY    942683103   1,545     36,988 SH       SOLE           2     36,988         --       --
WATTS WATER TECHNOLOGIES INC      EQUITY    942749102      14        439 SH       DEFINED        4         --         --      439
WATTS WATER TECHNOLOGIESA         EQUITY    942749102     854     27,511 SH       SOLE           2     27,511         --       --
WAUSAU PAPER CORP                 EQUITY    943315101     361     42,315 SH       SOLE           2     42,315         --       --
WD40 CO                           EQUITY    929236107     518     15,777 SH       SOLE           2     15,777         --       --
WEATHERFORD INTERNATIONAL LT      EQUITY    H27013103       6        351 SH       DEFINED        4         --         --      351
WEATHERFORD INTERNATIONAL LT      EQUITY    H27013103      85      5,355 SH       DEFINED        3         --         --    5,355
WEB.COM GROUP INC                 EQUITY    94733A104     117     21,554 SH       SOLE           2     21,554         --       --
WEBMD HEALTH CORP                 EQUITY    94770V102      18        379 SH       DEFINED        3         --         --      379
WEBMD HEALTH CORP                 EQUITY    94770V102      47      1,006 SH       SOLE           2      1,006         --       --
WEBSENSE INC                      EQUITY    947684106       2         75 SH       DEFINED        4         --         --       75
WEBSENSE INC                      EQUITY    947684106     944     41,477 SH       SOLE           2     41,477         --       --
WEBSTER FINANCIAL CORP            EQUITY    947890109   3,561    203,596 SH       SOLE           2    203,596         --       --
WEIGHT WATCHERS INTL INC          EQUITY    948626106      22        876 SH       SOLE           2        876         --       --
WEINGARTEN REALTY INVESTOR        EQUITY    948741103   5,094    236,275 SH       SOLE           2    236,275         --       --
WEINGARTEN RLTY INVS              EQUITY    948741103      16        764 SH       DEFINED        3         --         --      764
WEIS MARKETS INC                  EQUITY    948849104     327      8,997 SH       SOLE           2      8,997         --       --
WELLCARE HEALTH PLANS INC         EQUITY    94946T106   3,830    128,537 SH       SOLE           2    128,537         --       --
WELLPOINT INC                     EQUITY    94973V107       4         59 SH       DEFINED        3         --         --       59
WELLPOINT INC                     EQUITY    94973V107      48        750 SH       DEFINED        4         --         --      750
WELLPOINT INC                     EQUITY    94973V107  12,304    191,109 SH       SOLE           2    191,109         --       --
WELLS FARGO  CO                   EQUITY    949746101  65,101  2,091,938 SH       SOLE           2  2,091,938         --       --
WELLS FARGO & CO NEW              EQUITY    949746101     576     18,505 SH       DEFINED        4         --         --   18,505
WELLS FARGO & CO NEW              EQUITY    949746101   5,023    161,414 SH       DEFINED        3         --         --  161,414
WENDYS ARBYS GROUP INC            EQUITY    950587105       5        938 SH       DEFINED        3         --         --      938
WENDYS ARBYS GROUP INC            EQUITY    950587105       7      1,363 SH       DEFINED        4         --         --    1,363
WENDYS/ARBYS GROUP INCA           EQUITY    950587105   3,911    782,117 SH       SOLE           2    782,117         --       --
WERNER ENTERPRISES INC            EQUITY    950755108   3,068    132,430 SH       SOLE           2    132,430         --       --
WESBANCO INC                      EQUITY    950810101     306     18,793 SH       SOLE           2     18,793         --       --
WESCO FINANCIAL CORP              EQUITY    950817106      14         36 SH       SOLE           2         36         --       --
WESCO INTERNATIONAL INC           EQUITY    95082P105      34        983 SH       SOLE           2        983         --       --
WEST BANCORPORATION               EQUITY    95123P106      84     12,723 SH       SOLE           2     12,723         --       --
WEST MARINE INC                   EQUITY    954235107     127     11,676 SH       SOLE           2     11,676         --       --
WEST PHARMACEUTICAL SERVIC        EQUITY    955306105   1,294     30,840 SH       SOLE           2     30,840         --       --
WESTAMERICA BANCORPORATION        EQUITY    957090103   5,107     88,593 SH       SOLE           2     88,593         --       --
WESTAR ENERGY INC                 EQUITY    95709T100      70      3,137 SH       DEFINED        4         --         --    3,137
WESTAR ENERGY INC                 EQUITY    95709T100   5,503    246,792 SH       SOLE           2    246,792         --       --
WESTERN ALLIANCE BANCORP          EQUITY    957638109     213     37,450 SH       SOLE           2     37,450         --       --
WESTERN ASSET CLYM INFL OPP       EQUITY    95766R104      21      1,800 SH       DEFINED        4         --         --    1,800
WESTERN ASSET CLYM INFL OPP       EQUITY    95766R104     150     12,685 SH       DEFINED        3         --         --   12,685
WESTERN ASSET CLYM INFL SEC       EQUITY    95766Q106      10        800 SH       DEFINED        4         --         --      800
WESTERN ASSET CLYM INFL SEC       EQUITY    95766Q106      14      1,193 SH       DEFINED        3         --         --    1,193
WESTERN ASSET EMRG MKT DEBT       EQUITY    95766A101      18        974 SH       DEFINED        4         --         --      974
WESTERN ASSET EMRG MKT DEBT       EQUITY    95766A101      21      1,145 SH       DEFINED        3         --         --    1,145
WESTERN ASSET EMRG MKT INCM       EQUITY    9.58E+107      15      1,153 SH       DEFINED        3         --         --    1,153
WESTERN ASSET EMRG MKT INCM       EQUITY    9.58E+107     217     17,217 SH       DEFINED        4         --         --   17,217
WESTERN ASSET GLB HI INCOME       EQUITY    95766B109      17      1,425 SH       DEFINED        4         --         --    1,425
WESTERN ASSET HIGH INCM FD I      EQUITY    95766H106      22      2,184 SH       DEFINED        4         --         --    2,184
WESTERN ASSET HIGH INCM FD I      EQUITY    95766J102      72      7,338 SH       DEFINED        3         --         --    7,338
WESTERN ASSET HIGH INCM OPP       EQUITY    95766K109      14      2,172 SH       DEFINED        4         --         --    2,172
WESTERN ASSETT MGD HI INCM F      EQUITY    95766L107      21      3,300 SH       DEFINED        3         --         --    3,300
WESTERN ASST MN PRT FD INC        EQUITY    95766P108      14      1,000 SH       DEFINED        4         --         --    1,000
WESTERN ASST MNG MUN FD INC       EQUITY    95766M105      13      1,000 SH       DEFINED        4         --         --    1,000
WESTERN DIGITAL CORP              EQUITY    958102105       4        101 SH       DEFINED        3         --         --      101
WESTERN DIGITAL CORP              EQUITY    958102105      42      1,065 SH       DEFINED        4         --         --    1,065
WESTERN DIGITAL CORP              EQUITY    958102105   4,107    105,326 SH       SOLE           2    105,326         --       --
WESTERN GAS PARTNERS LP           EQUITY    958254104       2        100 SH       DEFINED        4         --         --      100
WESTERN REFINING INC              EQUITY    959319104     183     33,262 SH       SOLE           2     33,262         --       --
WESTERN REFNG INC                 EQUITY    959319104      11      2,000 SH       DEFINED        4         --         --    2,000
WESTERN REFNG INC                 EQUITY    959319104      33      6,000 SH       DEFINED        3         --         --    6,000
WESTERN UN CO                     EQUITY    959802109       5        317 SH       DEFINED        3         --         --      317
WESTERN UN CO                     EQUITY    959802109       9        514 SH       DEFINED        4         --         --      514
WESTERN UNION CO                  EQUITY    959802109   4,964    292,695 SH       SOLE           2    292,695         --       --
WESTFIELD FINANCIAL INC           EQUITY    96008P104     234     25,482 SH       SOLE           2     25,482         --       --
WESTLAKE CHEMICAL CORP            EQUITY    960413102     411     15,939 SH       SOLE           2     15,939         --       --
WESTMORELAND COAL CO              EQUITY    960878106     105      8,356 SH       SOLE           2      8,356         --       --





                                                                                        
WESTPORT INNOVATIONS INC          EQUITY    960908309      33      2,000 SH       DEFINED        3         --         --    2,000
WESTWOOD HOLDINGS GROUP IN        EQUITY    961765104     168      4,572 SH       SOLE           2      4,572         --       --
WET SEAL INC/THECLASS A           EQUITY    961840105     377     79,201 SH       SOLE           2     79,201         --       --
WEYCO GROUP INC                   EQUITY    962149100     134      5,712 SH       SOLE           2      5,712         --       --
WEYERHAEUSER CO                   EQUITY    962166104       7        151 SH       DEFINED        4         --         --      151
WEYERHAEUSER CO                   EQUITY    962166104   3,419     75,525 SH       SOLE           2     75,525         --       --
WGL HOLDINGS INC                  EQUITY    92924F106   5,259    151,784 SH       SOLE           2    151,784         --       --
WHIRLPOOL CORP                    EQUITY    963320106       7         78 SH       DEFINED        3         --         --       78
WHIRLPOOL CORP                    EQUITY    963320106   3,185     36,501 SH       SOLE           2     36,501         --       --
WHITE ELECTRONIC DESIGNS          EQUITY    963801105     131     18,720 SH       SOLE           2     18,720         --       --
WHITE MOUNTAINS INSURANCE         EQUITY    G9618E107      73        207 SH       SOLE           2        207         --       --
WHITING PETE CORP NEW             EQUITY    966387102       2         25 SH       DEFINED        3         --         --       25
WHITING PETROLEUM CORP            EQUITY    966387102     109      1,351 SH       SOLE           2      1,351         --       --
WHITING USA TR I                  EQUITY    966389108       2        100 SH       DEFINED        3         --         --      100
WHITING USA TR I                  EQUITY    966389108     114      6,035 SH       DEFINED        4         --         --    6,035
WHITNEY HOLDING CORP              EQUITY    966612103     220     15,945 SH       SOLE           2     15,945         --       --
WHOLE FOODS MARKET INC            EQUITY    966837106   2,711     75,001 SH       SOLE           2     75,001         --       --
WHOLE FOODS MKT INC               EQUITY    966837106      18        500 SH       DEFINED        3         --         --      500
WHOLE FOODS MKT INC               EQUITY    966837106      26        714 SH       DEFINED        4         --         --      714
WHX CORP                          EQUITY    929248607     255    103,900 SH       SOLE           1     103900         --       --
WILBER CORP                       EQUITY    967797101      31      4,744 SH       SOLE           2      4,744         --       --
WILEY (JOHN)  SONS  CL A          EQUITY    968223206   4,182     96,619 SH       SOLE           2     96,619         --       --
WILEY JOHN & SONS INC             EQUITY    968223206       2         44 SH       DEFINED        3         --         --       44
WILLAMETTE VY VINEYARD INC        EQUITY    969136100       2        600 SH       DEFINED        4         --         --      600
WILLBROS GROUP INC                EQUITY    969203108     380     31,634 SH       SOLE           2     31,634         --       --
WILLIAMS COS INC                  EQUITY    969457100   6,631    287,072 SH       SOLE           2    287,072         --       --
WILLIAMS COS INC DEL              EQUITY    969457100      19        829 SH       DEFINED        4         --         --      829
WILLIAMS SONOMA INC               EQUITY    969904101      11        400 SH       DEFINED        4         --         --      400
WILLIAMSSONOMA INC                EQUITY    969904101   6,297    239,514 SH       SOLE           2    239,514         --       --
WILLIS GROUP HOLDINGS PUBLIC      EQUITY    G96666105       5        160 SH       DEFINED        4         --         --      160
WILLIS LEASE FINANCE CORP         EQUITY    970646105      61      3,862 SH       SOLE           2      3,862         --       --
WILMINGTON TRUST CORP             EQUITY    971807102   3,301    199,244 SH       SOLE           2    199,244         --       --
WILSHIRE BANCORP INC              EQUITY    97186T108     203     18,427 SH       SOLE           2     18,427         --       --
WIMM BILL DANN FOODS OJSC         EQUITY    97263M109       2        100 SH       DEFINED        3         --         --      100
WINDSTREAM CORP                   EQUITY    97381W104      51      4,662 SH       DEFINED        3         --         --    4,662
WINDSTREAM CORP                   EQUITY    97381W104     430     39,508 SH       DEFINED        4         --         --   39,508
WINDSTREAM CORP                   EQUITY    97381W104  10,323    947,962 SH       SOLE           2    947,962         --       --
WINNDIXIE STORES INC              EQUITY    974280307     545     43,661 SH       SOLE           2     43,661         --       --
WINNEBAGO INDUSTRIES              EQUITY    974637100     406     27,781 SH       SOLE           2     27,781         --       --
WINTHROP REALTY TRUST             EQUITY    976391300     148     12,267 SH       SOLE           2     12,267         --       --
WINTRUST FINANCIAL CORP           EQUITY    97650W108     870     23,389 SH       SOLE           2     23,389         --       --
WISCONSIN ENERGY CORP             EQUITY    976657106      11        223 SH       DEFINED        4         --         --      223
WISCONSIN ENERGY CORP             EQUITY    976657106   2,020     40,882 SH       SOLE           2     40,882         --       --
WISDOMTREE TRUST                  EQUITY    97717W752       1         50 SH       DEFINED        3         --         --       50
WISDOMTREE TRUST                  EQUITY    97717W828       2         30 SH       DEFINED        4         --         --       30
WISDOMTREE TRUST                  EQUITY    97717W240       2         91 SH       DEFINED        4         --         --       91
WISDOMTREE TRUST                  EQUITY    97717W786       3         60 SH       DEFINED        4         --         --       60
WISDOMTREE TRUST                  EQUITY    97717W604       5        112 SH       DEFINED        3         --         --      112
WISDOMTREE TRUST                  EQUITY    97717W844       5         96 SH       DEFINED        3         --         --       96
WISDOMTREE TRUST                  EQUITY    97717W828       5         87 SH       DEFINED        3         --         --       87
WISDOMTREE TRUST                  EQUITY    97717W836       6        150 SH       DEFINED        4         --         --      150
WISDOMTREE TRUST                  EQUITY    97717W794       9        200 SH       DEFINED        4         --         --      200
WISDOMTREE TRUST                  EQUITY    97717W240      10        390 SH       DEFINED        3         --         --      390
WISDOMTREE TRUST                  EQUITY    97717W307      13        300 SH       DEFINED        4         --         --      300
WISDOMTREE TRUST                  EQUITY    97717W331      13        498 SH       DEFINED        3         --         --      498
WISDOMTREE TRUST                  EQUITY    97717W810      17        304 SH       DEFINED        3         --         --      304
WISDOMTREE TRUST                  EQUITY    97717W281      23        505 SH       DEFINED        4         --         --      505
WISDOMTREE TRUST                  EQUITY    97717W315      26        500 SH       DEFINED        4         --         --      500
WISDOMTREE TRUST                  EQUITY    97717W562      27        598 SH       DEFINED        3         --         --      598
WISDOMTREE TRUST                  EQUITY    97717W760      27        579 SH       DEFINED        4         --         --      579
WISDOMTREE TRUST                  EQUITY    97717W281      57      1,270 SH       DEFINED        3         --         --    1,270
WISDOMTREE TRUST                  EQUITY    97717W760      67      1,412 SH       DEFINED        3         --         --    1,412
WISDOMTREE TRUST                  EQUITY    97717W653      67      3,128 SH       DEFINED        4         --         --    3,128
WISDOMTREE TRUST                  EQUITY    97717W703      82      1,770 SH       DEFINED        3         --         --    1,770
WISDOMTREE TRUST                  EQUITY    97717W166     109      4,187 SH       DEFINED        4         --         --    4,187
WISDOMTREE TRUST                  EQUITY    97717W422     135      5,790 SH       DEFINED        4         --         --    5,790
WISDOMTREE TRUST                  EQUITY    97717W182     177      7,041 SH       DEFINED        4         --         --    7,041
WISDOMTREE TRUST                  EQUITY    97717W422   1,032     44,236 SH       DEFINED        3         --         --   44,236
WMS INDUSTRIES INC                EQUITY    929297109  12,020    286,601 SH       SOLE           2    286,601         --       --
WOLVERINE WORLD WIDE INC          EQUITY    978097103       3         90 SH       DEFINED        3         --         --       90
WOLVERINE WORLD WIDE INC          EQUITY    978097103   1,350     46,313 SH       SOLE           2     46,313         --       --
WONDER AUTO TECHNOLOGY INC        EQUITY    978166106     155     14,673 SH       SOLE           2     14,673         --       --
WOODWARD GOVERNOR CO              EQUITY    980745103   5,604    175,225 SH       SOLE           2    175,225         --       --
WORLD ACCEPTANCE CORP             EQUITY    981419104     551     15,280 SH       SOLE           2     15,280         --       --
WORLD FUEL SERVICES CORP          EQUITY    981475106   1,477     55,460 SH       SOLE           2     55,460         --       --
WORLD FUEL SVCS CORP              EQUITY    981475106       9        350 SH       DEFINED        3         --         --      350
WORLD FUEL SVCS CORP              EQUITY    981475106      14        520 SH       DEFINED        4         --         --      520
WORLD WRESTLING ENTERTAINA        EQUITY    98156Q108     309     17,859 SH       SOLE           2     17,859         --       --
WORLD WRESTLING ENTMT INC         EQUITY    98156Q108      24      1,400 SH       DEFINED        4         --         --    1,400
WORTHINGTON INDS INC              EQUITY    981811102      12        700 SH       DEFINED        3         --         --      700
WORTHINGTON INDUSTRIES            EQUITY    981811102   3,188    184,373 SH       SOLE           2    184,373         --       --
WR BERKLEY CORP                   EQUITY     84423102   7,568    290,066 SH       SOLE           2    290,066         --       --
WR GRACE  CO                      EQUITY    38388F108   1,605     57,829 SH       SOLE           2     57,829         --       --
WRIGHT EXPRESS CORP               EQUITY    98233Q105       6        195 SH       DEFINED        4         --         --      195
WRIGHT EXPRESS CORP               EQUITY    98233Q105   1,085     36,033 SH       SOLE           2     36,033         --       --
WRIGHT MEDICAL GROUP INC          EQUITY    98235T107     542     30,478 SH       SOLE           2     30,478         --       --
WSB HOLDINGS INC                  EQUITY    92934C101      33     10,033 SH       DEFINED        4         --         --   10,033
WSFS FINANCIAL CORP               EQUITY    929328102     225      5,779 SH       SOLE           2      5,779         --       --
WT OFFSHORE INC                   EQUITY    92922P106     233     27,739 SH       SOLE           2     27,739         --       --
WUXI PHARMATECH CAYMAN INC        EQUITY    929352102       6        400 SH       DEFINED        4         --         --      400
WW GRAINGER INC                   EQUITY    384802104   4,000     37,000 SH       SOLE           2     37,000         --       --
WYNDHAM WORLDWIDE CORP            EQUITY    98310W108       2         85 SH       DEFINED        4         --         --       85
WYNDHAM WORLDWIDE CORP            EQUITY    98310W108   2,489     96,722 SH       SOLE           2     96,722         --       --
WYNN RESORTS LTD                  EQUITY    983134107     180      2,368 SH       DEFINED        4         --         --    2,368





                                                                                        
WYNN RESORTS LTD                  EQUITY    983134107   2,418     31,887 SH       SOLE           2     31,887         --       --
XCEL ENERGY INC                   EQUITY    98389B100      43      2,014 SH       DEFINED        3         --         --    2,014
XCEL ENERGY INC                   EQUITY    98389B100   1,205     56,820 SH       DEFINED        4         --         --   56,820
XCEL ENERGY INC                   EQUITY    98389B100   3,381    159,494 SH       SOLE           2    159,494         --       --
XENOPORT INC                      EQUITY    98411C100     221     23,891 SH       SOLE           2     23,891         --       --
XERIUM TECHNOLOGIES INC           EQUITY    98416J100       9     12,000 SH       DEFINED        3         --         --   12,000
XEROX CORP                        EQUITY    984121103       2        226 SH       DEFINED        3         --         --      226
XEROX CORP                        EQUITY    984121103       7        700 SH       DEFINED        4         --         --      700
XEROX CORP                        EQUITY    984121103   6,674    684,537 SH       SOLE           2    684,537         --       --
XILINX INC                        EQUITY    983919101      10        395 SH       DEFINED        4         --         --      395
XILINX INC                        EQUITY    983919101   3,178    124,623 SH       SOLE           2    124,623         --       --
XL CAP LTD                        EQUITY    G98255105       2         85 SH       DEFINED        4         --         --       85
XL CAPITAL LTD CLASS A            EQUITY    G98255105   3,395    179,625 SH       SOLE           2    179,625         --       --
XRITE INC                         EQUITY    983857103      64     21,181 SH       SOLE           2     21,181         --       --
XTO ENERGY INC                    EQUITY    98385X106      48      1,011 SH       DEFINED        3         --         --    1,011
XTO ENERGY INC                    EQUITY    98385X106      93      1,966 SH       DEFINED        4         --         --    1,966
XTO ENERGY INC                    EQUITY    98385X106   8,837    187,301 SH       SOLE           2    187,301         --       --
XYRATEX LTD                       EQUITY    G98268108      17      1,000 SH       DEFINED        4         --         --    1,000
XYRATEX LTD                       EQUITY    G98268108   6,559    387,442 SH       SOLE           2    387,442         --       --
YADKIN VALLEY FINANCIAL CO        EQUITY    984314104      57     13,176 SH       SOLE           2     13,176         --       --
YADKIN VALLEY FINANCIAL CORP      EQUITY    984314104       2        523 SH       DEFINED        4         --         --      523
YAHOO INC                         EQUITY    984332106      42      2,542 SH       DEFINED        3         --         --    2,542
YAHOO INC                         EQUITY    984332106      64      3,889 SH       DEFINED        4         --         --    3,889
YAHOO INC                         EQUITY    984332106  10,312    623,838 SH       SOLE           2    623,838         --       --
YAMANA GOLD INC                   EQUITY    98462Y100       3        330 SH       DEFINED        3         --         --      330
YAMANA GOLD INC                   EQUITY    98462Y100       5        500 SH       DEFINED        4         --         --      500
YAMANA GOLD INC CALL              OPTION    98462Y900       1         28     CALL DEFINED        4         --         --       28
YINGLI GREEN ENERGY HLDG CO       EQUITY    98584B103       9        700 SH       DEFINED        4         --         --      700
YORK WATER CO                     EQUITY    987184108     140     10,215 SH       SOLE           2     10,215         --       --
YOUBET.COM INC                    EQUITY    987413101      72     24,487 SH       SOLE           2     24,487         --       --
YOUNG INNOVATIONS INC             EQUITY    987520103     125      4,450 SH       SOLE           2      4,450         --       --
YRC WORLDWIDE INC                 EQUITY    984249102      43     78,976 SH       SOLE           2     78,976         --       --
YUM BRANDS INC                    EQUITY    988498101       3         80 SH       DEFINED        3         --         --       80
YUM BRANDS INC                    EQUITY    988498101     315      8,217 SH       DEFINED        4         --         --    8,217
YUM BRANDS INC                    EQUITY    988498101   5,776    150,689 SH       SOLE           2    150,689         --       --
ZALE CORP                         EQUITY    988858106      62     22,723 SH       SOLE           2     22,723         --       --
ZALE CORP NEW                     EQUITY    988858106       5      2,000 SH       DEFINED        3         --         --    2,000
ZEBRA TECHNOLOGIES CORPCL         EQUITY    989207105   3,922    132,500 SH       SOLE           2    132,500         --       --
ZENITH NATIONAL INSURANCE         EQUITY    989390109   1,348     35,169 SH       SOLE           2     35,169         --       --
ZENITH NATL INS CORP              EQUITY    989390109       3         68 SH       DEFINED        3         --         --       68
ZEP INC                           EQUITY    98944B108     451     20,600 SH       SOLE           2     20,600         --       --
ZHONGPIN INC                      EQUITY    98952K107     250     19,677 SH       SOLE           2     19,677         --       --
ZHONGPIN INC                      EQUITY    98952K107     287     22,615 SH       DEFINED        4         --         --   22,615
ZIMMER HLDGS INC                  EQUITY    98956P102      17        293 SH       DEFINED        3         --         --      293
ZIMMER HLDGS INC                  EQUITY    98956P102     325      5,482 SH       DEFINED        4         --         --    5,482
ZIMMER HOLDINGS INC               EQUITY    98956P102   5,534     93,485 SH       SOLE           2     93,485         --       --
ZION OIL  GAS INC                 EQUITY    989696109      74     11,914 SH       SOLE           2     11,914         --       --
ZIONS BANCORPORATION              EQUITY    989701107      48      2,200 SH       DEFINED        4         --         --    2,200
ZIONS BANCORPORATION              EQUITY    989701107   1,408     64,526 SH       SOLE           2     64,526         --       --
ZIX CORP                          EQUITY    98974P100      14      6,000 SH       DEFINED        4         --         --    6,000
ZIX CORP                          EQUITY    98974P100     119     51,722 SH       SOLE           2     51,722         --       --
ZOLL MEDICAL CORP                 EQUITY    989922109     523     19,856 SH       SOLE           2     19,856         --       --
ZOLTEK COMPANIES INC              EQUITY    98975W104     219     22,680 SH       SOLE           2     22,680         --       --
ZORAN CORP                        EQUITY    98975F101     445     41,379 SH       SOLE           2     41,379         --       --
ZUMIEZ INC                        EQUITY    989817101     398     19,441 SH       SOLE           2     19,441         --       --
ZWEIG TOTAL RETURN FD INC         EQUITY    989837109      15      3,915 SH       DEFINED        4         --         --    3,915
ZYGO CORP                         EQUITY    989855101     112     12,156 SH       SOLE           2     12,156         --       --
ZYMOGENETICS INC                  EQUITY    98985T109     217     37,807 SH       SOLE           2     37,807         --       --