================================================================================

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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:           12/31/2005

Check here is Amendment [ ]; Amendment Number:
                                               ------------------------------
This Amendment (Check only one.):              [ ] is a restatement.
                                               [ ] adds new holdings entries.
Institutional Investment Manager Filing
this Report:
Name:                                          M&T Bank Corporation
Address:                                       One M&T Plaza
                                               Buffalo, NY 14240

Form 13-F File Number:                         028-00267

This institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral part of this form.

Person Signing this Report on Behalf of Reporting Manager

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

Signature, Place & Date of Signing:

     Mark Czarnecki,
 Executive Vice-President     Buffalo, New York             1/26/2006
 ------------------------  ------------------------  ------------------------
       [Signature]              [City, State]                 [Date]

Report Type (Check only one.):

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

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

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

================================================================================



                            FORM 13-F SUMMARY PAGE

Report Summary:

                                                     3
Number of Other Included Managers:         -----------
Form 13-F Information Table Entry Total:         2,998
                                           -----------
Form 13-F Information Table Value Total:     3,404,001
                                           -----------
                                           (thousands)

List of Other Included Managers:

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

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

No.   Form 13F File Number   Name
---   --------------------   ----
 1    028-39800              Manufacturers & Traders Trust Company
 2    028-10910              Zirkin-Cutler Investments, Inc.
 3    028-10909              MTB Investment Advisors, Inc.





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
A. COMMON STOCK

DOMESTIC COMMON
  STOCKS

3 COM CORP COM      COMMON
                    STOCK   885535104       0        100    SHARES                X                 1        100   0        0
3 COM CORP COM      COMMON
                    STOCK   885535104       5       1400    SHARES                         X        1       1100   0      300
3M CO               COMMON
                    STOCK   88579Y101   17785     229487    SHARES                X                 1     227045   0     2442
3M CO               COMMON
                    STOCK   88579Y101   12403     160045    SHARES                         X        1     145368   0    14677
3M CO               COMMON
                    STOCK   88579Y101    9020     116394    SHARES                X                 3     111219   0     5175
3M COMPANY          COMMON
                    STOCK   88579Y101    1991      24640    SHARES         X                        2      24640   0        0
A S V INC           COMMON
                    STOCK   001963107      25       1000    SHARES                X                 1       1000   0        0
AAR CORP            COMMON
                    STOCK   000361105      89       3700    SHARES                X                 1       3700   0        0
AAR CORP            COMMON
                    STOCK   000361105      65       2700    SHARES                X                 3       2700   0        0
ABBOTT              COMMON
  LABORATORIES      STOCK   002824100   10672     270657    SHARES                X                 1     267707   0     2950
ABBOTT              COMMON
  LABORATORIES      STOCK   002824100    4994     126648    SHARES                         X        1     111573   0    15075
ABBOTT              COMMON
  LABORATORIES      STOCK   002824100     697      17675    SHARES         X                        2      17675   0        0
ABBOTT              COMMON
  LABORATORIES      STOCK   002824100    2602      65999    SHARES                X                 3      56704   0     9295
ABBOTT              COMMON
  LABORATORIES      STOCK   002824100      22        550    SHARES                         X        3        550   0        0
ABERCROMBIE &       COMMON
  FITCH CO CL A     STOCK   002896207      33        500    SHARES                         X        1        500   0        0
ABGENIX INC         COMMON
                    STOCK   00339B107      24       1100    SHARES                X                 3       1100   0        0
ABGENIX INC COM     COMMON
                    STOCK   00339B107      32       1500    SHARES                X                 1       1500   0        0
ABM INDUSTRIES      COMMON
  INCORPORATED      STOCK   000957100       2        100    SHARES                         X        1        100   0        0
ACADIA              COMMON
  PHARMACEUTCLS     STOCK   004225108      17       1700    SHARES                X                 3       1700   0        0
ACADIA
  PHARMACEUTICALS   COMMON
  INC               STOCK   004225108      24       2400    SHARES                X                 1       2400   0        0
ACCO BRANDS CORP    COMMON
                    STOCK   00081T108      46       1895    SHARES                X                 1       1895   0        0
ACCO BRANDS CORP    COMMON
                    STOCK   00081T108      30       1239    SHARES                         X        1       1214   0       25
ACCURIDE CORP       COMMON
                    STOCK   004398103      43       3300    SHARES                X                 3       3300   0        0
ACCURIDE            COMMON
  CORPORATION       STOCK   004398103      43       3300    SHARES                X                 1       3300   0        0
ACE LIMITED         COMMON
                    STOCK   G0070K103     128       2400    SHARES                X                 3       2400   0        0
ACTIVISION INC      COMMON
                    STOCK   004930202    5806     422535    SHARES                X                 3     410860   0    11675
ACTIVISION INC COM  COMMON
  NEW               STOCK   004930202    1930     140470    SHARES                X                 1     135030   0     5440
ACTIVISION INC COM  COMMON
  NEW               STOCK   004930202       9        630    SHARES                         X        1        630   0        0
ADAMS EXPRESS CO    COMMON
  COM               STOCK   006212104      56       4431    SHARES                X                 1       4431   0        0
ADC                 COMMON
  TELECOMMUNICATNS  STOCK   000886309      25       1100    SHARES                X                 3       1100   0        0
ADE CORP MASS       COMMON
                    STOCK   00089C107      31       1300    SHARES                X                 3       1300   0        0
ADE CORPORATION     COMMON
                    STOCK   00089C107      41       1700    SHARES                X                 1       1700   0        0
ADESA INC           COMMON
                    STOCK   00686U104      90       3700    SHARES                         X        1       3700   0        0
ADOBE SYS INC COM   COMMON
                    STOCK   00724F101       5        125    SHARES                X                 1        125   0        0
ADOBE SYS INC COM   COMMON
                    STOCK   00724F101      10        280    SHARES                         X        1        280   0        0
ADOBE SYSTEMS INC   COMMON
                    STOCK   00724F101     137       3700    SHARES                X                 3       3700   0        0
ADOBE SYSTEMS       COMMON
  INCORPORATED      STOCK   00724F101    1192      24100    SHARES         X                        2      24100   0        0
ADV MICRO DEVICES   COMMON
                    STOCK   007903107    5479     179060    SHARES                X                 3     179060   0        0
ADVANCE AUTO        COMMON
  PARTS             STOCK   00751Y106      29        675    SHARES                X                 1        675   0        0
ADVANCE AUTO        COMMON
  PARTS             STOCK   00751Y106      33        750    SHARES                         X        1        750   0        0
ADVANCED ENERGY     COMMON
  IND               STOCK   007973100      26       2200    SHARES                X                 3       2200   0        0
ADVANCED ENERGY     COMMON
  INDUSTRIES        STOCK   007973100      35       3000    SHARES                X                 1       3000   0        0
ADVANCED MEDICAL    COMMON
  OPTICS INC        STOCK   00763M108       5        118    SHARES                         X        1        118   0        0
ADVANCED MICRO      COMMON
  DEVICES INC COM   STOCK   007903107    1898      62015    SHARES                X                 1      59839   0     2176
ADVANCED MICRO      COMMON
  DEVICES INC COM   STOCK   007903107      50       1625    SHARES                         X        1        625   0     1000


                                    1 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
ADVANCED MICRO      COMMON
  DEVICES INC COM   STOCK   007903107    1138      37188    SHARES                X                 3      32505   0    4683
AES CORP            COMMON
                    STOCK   00130H105      79       5000    SHARES                X                 3       5000   0       0
AES CORP COM        COMMON
                    STOCK   00130H105      55       3500    SHARES                X                 1       3500   0       0
AES CORPORATION     COMMON
                    STOCK   00130H105    5541     350000    SHARES         X                        2     350000   0       0
AETNA INC           COMMON
                    STOCK   00817Y108     209       2220    SHARES                X                 3       2220   0       0
AETNA INC NEW COM   COMMON
                    STOCK   00817Y108    1076      11413    SHARES                X                 1      11413   0       0
AETNA INC NEW COM   COMMON
                    STOCK   00817Y108      21        225    SHARES                         X        1          0   0     225
AFFILIATED COMP     COMMON
  SVCS              STOCK   008190100      59       1000    SHARES                X                 3       1000   0       0
AFFILIATED
  COMPUTER SVCS     COMMON
  INC CL A          STOCK   008190100     337       5690    SHARES                X                 1       5690   0       0
AFFILIATED
  COMPUTER SVCS     COMMON
  INC CL A          STOCK   008190100     105       1770    SHARES                         X        1       1770   0       0
AFFILIATED MANAGE   COMMON
  GR                STOCK   008252108    1485      18500    SHARES                X                 3      18500   0       0
AFFILIATED          COMMON
  MANAGERS GROUP    STOCK   008252108     445       5550    SHARES                X                 1       5550   0       0
AFFILIATED          COMMON
  MANAGERS GROUP    STOCK   008252108      16        200    SHARES                         X        1        200   0       0
AFFYMETRIX INC      COMMON
                    STOCK   00826T108    2362      49475    SHARES                X                 1      48247   0    1228
AFFYMETRIX INC      COMMON
                    STOCK   00826T108       4         75    SHARES                         X        1         75   0       0
AFFYMETRIX INC      COMMON
                    STOCK   00826T108    6064     127001    SHARES                X                 3     124361   0    2640
AFLAC INC           COMMON
                    STOCK   001055102    2667      57464    SHARES                X                 1      57464   0       0
AFLAC INC           COMMON
                    STOCK   001055102     136       2925    SHARES                         X        1       1925   0    1000
AFLAC INC           COMMON
                    STOCK   001055102     179       3850    SHARES                X                 3       3850   0       0
AGERE SYSTEMS INC   COMMON
                    STOCK   00845V308       2        177    SHARES                X                 1        177   0       0
AGERE SYSTEMS INC   COMMON
                    STOCK   00845V308       5        398    SHARES                         X        1        382   0      16
AGILENT TECHN INC   COMMON
                    STOCK   00846U101     132       3980    SHARES                X                 3       3980   0       0
AGILENT
  TECHNOLOGIES INC  COMMON
  COM               STOCK   00846U101      45       1356    SHARES                X                 1       1356   0       0
AGILENT
  TECHNOLOGIES INC  COMMON
  COM               STOCK   00846U101     183       5502    SHARES                         X        1       4392   0    1110
AGL RESOURCES INC   COMMON
  COM               STOCK   001204106      94       2700    SHARES                X                 1       2700   0       0
AGL RESOURCES INC   COMMON
  COM               STOCK   001204106     376      10815    SHARES                         X        1      10815   0       0
AGL RESOURCES INC   COMMON
  COM               STOCK   001204106      49       1400    SHARES                X                 3       1400   0       0
AIR PRODS & CHEMS   COMMON
                    STOCK   009158106     102       1725    SHARES                X                 3       1725   0       0
AIR PRODUCTS &      COMMON
  CHEMICALS INC     STOCK   009158106    1217      20569    SHARES                X                 1      20569   0       0
AIR PRODUCTS &      COMMON
  CHEMICALS INC     STOCK   009158106    1194      20175    SHARES                         X        1      18075   0    2100
AIRTRAN HLDGS INC   COMMON
                    STOCK   00949P108      90       5600    SHARES                X                 1       5600   0       0
AIRTRAN HLDGS INC   COMMON
                    STOCK   00949P108      66       4100    SHARES                X                 3       4100   0       0
AK STEEL HOLDING    COMMON
  CORP COM          STOCK   001547108       1         66    SHARES                X                 1         66   0       0
ALBEMARLE CORP      COMMON
  COM               STOCK   012653101     115       3000    SHARES                X                 1       3000   0       0
ALBEMARLE CORP      COMMON
  COM               STOCK   012653101     654      17050    SHARES                         X        1      17050   0       0
ALBERTO CULVER CO   COMMON
                    STOCK   013068101       5        100    SHARES                X                 1        100   0       0
ALBERTO-CULVER CO   COMMON
                    STOCK   013068101      29        630    SHARES                X                 3        630   0       0
ALBERTSONS INC      COMMON
                    STOCK   013104104      60       2817    SHARES                X                 3       2817   0       0
ALBERTSON'S INC     COMMON
                    STOCK   013104104       4        200    SHARES                X                 1        200   0       0
ALBERTSON'S INC     COMMON
                    STOCK   013104104      21       1000    SHARES                         X        1          0   0    1000
ALCOA INC           COMMON
                    STOCK   013817101     262       8875    SHARES                X                 3       7075   0    1800
ALCOA INC COM       COMMON
                    STOCK   013817101    5915     200046    SHARES                X                 1     196121   0    3925
ALCOA INC COM       COMMON
                    STOCK   013817101    1622      54837    SHARES                         X        1      48477   0    6360
ALDILA
  INCORPORATED      COMMON
  NEW               STOCK   014384200       2         66    SHARES                X                 1         66   0       0
ALEXION
  PHARMACEUTICALS   COMMON
  INC COM           STOCK   015351109       6        300    SHARES                         X        1          0   0     300
ALLEGHENY ENERGY    COMMON
  INC               STOCK   017361106      52       1629    SHARES                X                 1       1629   0       0
ALLEGHENY ENERGY    COMMON
  INC               STOCK   017361106      63       1975    SHARES                         X        1       1675   0     300
ALLEGHENY ENERGY    COMMON
  INC               STOCK   017361106      38       1200    SHARES                X                 3       1200   0       0
ALLEGHENY TECH      COMMON
  INC               STOCK   01741R102      24        665    SHARES                X                 3        665   0       0
ALLEGHENY
  TECHNOLOGIES INC  COMMON
  COM               STOCK   01741R102      35        962    SHARES                X                 1        962   0       0
ALLEGHENY
  TECHNOLOGIES INC  COMMON
  COM               STOCK   01741R102      17        481    SHARES                         X        1          0   0     481
ALLERGAN INC        COMMON
                    STOCK   018490102      97        900    SHARES                X                 1        900   0       0
ALLERGAN INC        COMMON
                    STOCK   018490102     198       1832    SHARES                         X        1       1832   0       0
ALLERGAN INC        COMMON
                    STOCK   018490102     106        980    SHARES                X                 3        980   0       0
ALLETE INC          COMMON
                    STOCK   018522300      12        267    SHARES                X                 1        267   0       0


                                    2 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
ALLETE INC          COMMON
                    STOCK   018522300      72       1633    SHARES                         X        1       1633   0        0
ALLIANCE CAP MGMT   COMMON
  HLDG L P          STOCK   01855A101     160       2825    SHARES                X                 1       2825   0        0
ALLIANCE CAP MGMT   COMMON
  HLDG L P          STOCK   01855A101     113       2000    SHARES                         X        1       2000   0        0
ALLIANT ENERGY      COMMON
  CORP              STOCK   018802108      16        573    SHARES                X                 1        573   0        0
ALLIANT ENERGY      COMMON
  CORP              STOCK   018802108       3        111    SHARES                         X        1        111   0        0
ALLIANT             COMMON
  TECHSYSTEMS INC   STOCK   018804104      10        127    SHARES                X                 1        127   0        0
ALLIANT             COMMON
  TECHSYSTEMS INC   STOCK   018804104      31        405    SHARES                         X        1        405   0        0
ALLIED CAPITAL      COMMON
  CORP NEW COM      STOCK   01903Q108      60       2050    SHARES                X                 1       2050   0        0
ALLIED CAPITAL      COMMON
  CORP NEW COM      STOCK   01903Q108      98       3320    SHARES                         X        1       3320   0        0
ALLIED CAPITAL      COMMON
  CORP NEW COM      STOCK   01903Q108      21        700    SHARES                X                 3        700   0        0
ALLIED CAPITAL      COMMON
  CORPORATION       STOCK   01903Q108    1004      34197    SHARES         X                        2      34197   0        0
ALLIED WASTE IND    COMMON
                    STOCK   019589308      14       1600    SHARES                X                 3       1600   0        0
ALLIS-CHALMERS      COMMON
  ENERGY INC        STOCK   019645506       0          3    SHARES                X                 1          3   0        0
ALLSTATE CORP       COMMON
                    STOCK   020002101    7181     132810    SHARES                X                 1     131338   0     1472
ALLSTATE CORP       COMMON
                    STOCK   020002101    2124      39288    SHARES                         X        1      37038   0     2250
ALLSTATE CORP       COMMON
                    STOCK   020002101    2733      50550    SHARES                X                 3      49250   0     1300
ALLSTATE            COMMON
  CORPORATION       STOCK   020002101     750      13873    SHARES         X                        2      13873   0        0
ALLTEL CORP         COMMON
                    STOCK   020039103     398       6312    SHARES                X                 1       6312   0        0
ALLTEL CORP         COMMON
                    STOCK   020039103    1768      28017    SHARES                         X        1      23817   0     4200
ALLTEL CORP         COMMON
                    STOCK   020039103     187       2960    SHARES                X                 3       2960   0        0
ALTERA CORP         COMMON
                    STOCK   021441100      59       3200    SHARES                X                 3       3200   0        0
ALTERA CORP COM     COMMON
                    STOCK   021441100     119       6400    SHARES                X                 1       6400   0        0
ALTERA CORP COM     COMMON
                    STOCK   021441100      12        650    SHARES                         X        1        650   0        0
ALTRIA GROUP INC    COMMON
                    STOCK   02209S103   20269     271272    SHARES                X                 1     271172   0      100
ALTRIA GROUP INC    COMMON
                    STOCK   02209S103   12407     166042    SHARES                         X        1     156892   0     9150
ALTRIA GROUP INC    COMMON
                    STOCK   02209S103     732       9800    SHARES         X                        2       9800   0        0
ALTRIA GROUP INC    COMMON
                    STOCK   02209S103   10972     146837    SHARES                X                 3     142604   0     4233
ALTRIA GROUP INC    COMMON
                    STOCK   02209S103      59        785    SHARES                         X        3        785   0        0
AMAZON.COM INC      COMMON
                    STOCK   023135106      62       1312    SHARES                X                 1       1312   0        0
AMAZON.COM INC      COMMON
                    STOCK   023135106       5        100    SHARES                         X        1          0   0      100
AMBAC FINANCIAL     COMMON
  GROUP INC         STOCK   023139108     485       6289    SHARES                X                 1       6289   0        0
AMBAC FINANCIAL     COMMON
  GROUP INC         STOCK   023139108     231       3000    SHARES                         X        1       3000   0        0
AMBAC FINANCIAL     COMMON
  GROUP INC         STOCK   023139108    1806      23420    SHARES                X                 3      23420   0        0
AMERADA HESS CORP   COMMON
                    STOCK   023551104      72        570    SHARES                X                 3        570   0        0
AMEREN CORP         COMMON
                    STOCK   023608102     236       4615    SHARES                X                 1       4615   0        0
AMEREN CORP         COMMON
                    STOCK   023608102      90       1765    SHARES                         X        1       1765   0        0
AMEREN              COMMON
  CORPORATION       STOCK   023608102      80       1560    SHARES                X                 3       1560   0        0
AMERICAN ACCESS     COMMON
  TECHNOLOGIES INC  STOCK   02368F108       1        500    SHARES                X                 1        500   0        0
AMERICAN CAPITAL    COMMON
  STRATEGIES LTD    STOCK   024937104      91       2500    SHARES                X                 1       2500   0        0
AMERICAN CAPITAL    COMMON
  STRATEGIES LTD    STOCK   024937104      69       1900    SHARES                         X        1       1900   0        0
AMERICAN CAPITAL    COMMON
  STRATEGIES LTD    STOCK   024937104    2071      57200    SHARES         X                        2      57200   0        0
AMERICAN ELECTRIC   COMMON
  POWER CO INC      STOCK   025537101     216       5836    SHARES                X                 1       5836   0        0
AMERICAN ELECTRIC   COMMON
  POWER CO INC      STOCK   025537101     326       8802    SHARES                         X        1       5972   0     2830
AMERICAN EXPRESS    COMMON
  CO                STOCK   025816109    2573      50003    SHARES                X                 1      49403   0      600
AMERICAN EXPRESS    COMMON
  CO                STOCK   025816109    1137      22094    SHARES                         X        1      18638   0     3456
AMERICAN EXPRESS    COMMON
  CO                STOCK   025816109    2276      44240    SHARES                X                 3      43165   0     1075
AMERICAN EXPRESS    COMMON
  COMPANY           STOCK   025816109     401       7800    SHARES         X                        2       7800   0        0
AMERICAN
  FINANCIAL GROUP   COMMON
  INC               STOCK   025932104      15        400    SHARES                         X        1          0   0      400
AMERICAN            COMMON
  FINANCIAL REALTY  STOCK   02607P305    1717     143100    SHARES         X                        2     143100   0        0
AMERICAN            COMMON
  HEALTHWAYS INC    STOCK   02649V104      26        575    SHARES                X                 1        575   0        0
AMERICAN
  INTERNATIONAL     COMMON
  GROUP INC         STOCK   026874107   24482     358813    SHARES                X                 1     352840   0     5973
AMERICAN
  INTERNATIONAL     COMMON
  GROUP INC         STOCK   026874107    8841     129573    SHARES                         X        1     117888   0    11685
AMERICAN
  INTERNATIONAL     COMMON
  GROUP INC         STOCK   026874107    6166      90373    SHARES         X                        2      90373   0        0
AMERICAN
  INTERNATIONAL     COMMON
  GROUP INC         STOCK   026874107    3451      50568    SHARES                X                 3      41793   0     8775
AMERICAN MEDICAL
  ALERT             COMMON
  CORPORATION       STOCK   027904101       1        150    SHARES                X                 1        150   0        0


                                    3 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
AMERICAN           COMMON
  STANDARD CO      STOCK    029712106      56       1400    SHARES                X                 3       1400   0       0
AMERICAN
  TECHNOLOGY       COMMON
  CORP             STOCK    030145205      10       3000    SHARES                X                 1       3000   0       0
AMERIGAS PARTNERS  COMMON
  LP               STOCK    030975106       8        300    SHARES                X                 1        300   0       0
AMERIGAS PARTNERS  COMMON
  LP               STOCK    030975106      45       1600    SHARES                         X        1       1600   0       0
AMERIPRISE         COMMON
  FINANCIAL        STOCK    03076C106      86       2097    SHARES                X                 3       1860   0     237
AMERIPRISE         COMMON
  FINANCIAL INC    STOCK    03076C106     325       7933    SHARES                X                 1       7813   0     120
AMERIPRISE         COMMON
  FINANCIAL INC    STOCK    03076C106     139       3382    SHARES                         X        1       2732   0     650
AMERIS BANCORP     COMMON
                   STOCK    03076K108       2        100    SHARES                X                 1        100   0       0
AMERISOURCE        COMMON
  BERGEN CORP COM  STOCK    03073E105      17        400    SHARES                X                 1        400   0       0
AMERISOURCE-       COMMON
  BERGEN           STOCK    03073E105      66       1600    SHARES                X                 3       1600   0       0
AMERITRADE         COMMON
  HOLDING CORP     STOCK    03074K100      12        515    SHARES                X                 1        515   0       0
AMERN ELEC PWR     COMMON
  INC              STOCK    025537101     111       3002    SHARES                X                 3       3002   0       0
AMERN              COMMON
  HEALTHWAYS       STOCK    02649V104      23        500    SHARES                X                 3        500   0       0
AMERN INTL GROUP   COMMON
  INC              STOCK    026874107   13110     192139    SHARES                X                 3     192139   0       0
AMERN PWR          COMMON
  CONVERSION       STOCK    029066107      29       1300    SHARES                X                 3       1300   0       0
AMETEK AEROSPACE   COMMON
  PRODS INC COM    STOCK    031100100      40        942    SHARES                X                 1        942   0       0
AMGEN INC          COMMON
                   STOCK    031162100   12036     152609    SHARES                X                 3     143573   0    9036
AMGEN INC COM      COMMON
                   STOCK    031162100   20658     261963    SHARES                X                 1     256919   0    5044
AMGEN INC COM      COMMON
                   STOCK    031162100    5198      65917    SHARES                         X        1      58137   0    7780
AMICAS INC         COMMON
                   STOCK    001712108      19       3900    SHARES                X                 1       3900   0       0
AMICAS INC         COMMON
                   STOCK    001712108      24       4900    SHARES                X                 3       4900   0       0
AMLI RESIDENTIAL   COMMON
  PROPERTIES TRUST STOCK    001735109     575      15100    SHARES         X                        2      15100   0       0
AMSOUTH BANCORP    COMMON
                   STOCK    032165102      71       2700    SHARES                X                 3       2700   0       0
AMSOUTH            COMMON
  BANCORPORATION   STOCK    032165102      31       1200    SHARES                X                 1       1200   0       0
AMSURG CORP        COMMON
                   STOCK    03232P405     295      12920    SHARES                X                 1      12920   0       0
AMSURG CORP        COMMON
                   STOCK    03232P405      18        800    SHARES                         X        1        800   0       0
AMSURG CORP        COMMON
                   STOCK    03232P405     871      38100    SHARES                X                 3      38100   0       0
AMYLIN PHARM INC   COMMON
                   STOCK    032346108      24        600    SHARES                X                 3        600   0       0
AMYLIN
  PHARMACEUTICALS  COMMON
  INC              STOCK    032346108      24        600    SHARES                X                 1        600   0       0
ANADARKO PETE      COMMON
                   STOCK    032511107     607       6400    SHARES                X                 3       6400   0       0
ANADARKO           COMMON
  PETROLEUM CORP   STOCK    032511107    1494      15767    SHARES                X                 1      15767   0       0
ANADARKO           COMMON
  PETROLEUM CORP   STOCK    032511107     719       7588    SHARES                         X        1       5153   0    2435
ANADARKO
  PETROLEUM        COMMON
  CORPORATION      STOCK    032511107     322       3400    SHARES         X                        2       3400   0       0
ANALOG DEVICES INC COMMON
                   STOCK    032654105      22        600    SHARES                X                 1        600   0       0
ANALOG DEVICES INC COMMON
                   STOCK    032654105      29        800    SHARES                         X        1          0   0     800
ANALOG DEVICES INC COMMON
                   STOCK    032654105     100       2800    SHARES                X                 3       2800   0       0
ANDREW CORP        COMMON
                   STOCK    034425108      12       1145    SHARES                X                 3       1145   0       0
ANHEUSER BUSCH     COMMON
  COS              STOCK    035229103     384       8925    SHARES                X                 3       5925   0    3000
ANHEUSER BUSCH     COMMON
  COS INC COM      STOCK    035229103    1166      27150    SHARES                X                 1      27150   0       0
ANHEUSER BUSCH     COMMON
  COS INC COM      STOCK    035229103    1121      26098    SHARES                         X        1      26098   0       0
ANNAPOLIS BANCORP  COMMON
  INCORPORATED     STOCK    035848100      12       1333    SHARES                         X        1       1333   0       0
ANNTAYLOR STORES   COMMON
  CORP             STOCK    036115103       8        225    SHARES                         X        1        225   0       0
ANSYS INC          COMMON
                   STOCK    03662Q105     597      14000    SHARES                X                 3      14000   0       0
ANSYS INC COM      COMMON
                   STOCK    03662Q105     225       5270    SHARES                X                 1       5270   0       0
AON CORP COM       COMMON
                   STOCK    037389103     346       9625    SHARES                X                 1       9625   0       0
AON CORP COM       COMMON
                   STOCK    037389103      72       2000    SHARES                         X        1       2000   0       0
AON CORPORATION    COMMON
                   STOCK    037389103      95       2630    SHARES                X                 3       2630   0       0
APACHE CORP        COMMON
                   STOCK    037411105     175       2550    SHARES                X                 3       2550   0       0
APACHE CORP COM    COMMON
                   STOCK    037411105    2583      37704    SHARES                X                 1      37704   0       0
APACHE CORP COM    COMMON
                   STOCK    037411105     687      10021    SHARES                         X        1       9811   0     210
APARTMENT          COMMON
  INVT&MGMT        STOCK A  03748R101      27        700    SHARES                X                 3        700   0       0
APOLLO GROUP INC   COMMON
                   STOCK A  037604105      70       1150    SHARES                X                 3       1150   0       0
APOLLO GROUP INC   COMMON
  CL A             STOCK    037604105      12        206    SHARES                X                 1        206   0       0
APOLLO GROUP INC   COMMON
  CL A             STOCK    037604105       8        125    SHARES                         X        1        125   0       0
APPLE COMPUTER     COMMON
  INC              STOCK    037833100    1291      17936    SHARES                X                 3      17936   0       0


                                    4 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
APPLE COMPUTER      COMMON
  INC COM           STOCK   037833100     864      12019    SHARES                X                 1      12019   0        0
APPLE COMPUTER      COMMON
  INC COM           STOCK   037833100     267       3710    SHARES                         X        1       2210   0     1500
APPLEBEE
  INTERNATIONAL     COMMON
  INC COM           STOCK   037899101      14        600    SHARES                         X        1        600   0        0
APPLERA CORP-
  APPLIED           COMMON
  BIOSYSTEMS GRP    STOCK   038020103      42       1600    SHARES                X                 1       1600   0        0
APPLERA CORP-
  CELERA GENOMICS   COMMON
  GR                STOCK   038020202       7        600    SHARES                X                 1        600   0        0
APPLERA             COMMON
  CORPORATION       STOCK   038020103      41       1540    SHARES                X                 3       1540   0        0
APPLIED MATERIALS   COMMON
                    STOCK   038222105     223      12450    SHARES                X                 3      12450   0        0
APPLIED MATERIALS   COMMON
  INC COM           STOCK   038222105    1106      61630    SHARES                X                 1      60230   0     1400
APPLIED MATERIALS   COMMON
  INC COM           STOCK   038222105     117       6540    SHARES                         X        1       5840   0      700
APPLIED MATERIALS   COMMON
  INCORPORATED      STOCK   038222105    1443      80425    SHARES         X                        2      80425   0        0
APPLIED MICRO       COMMON
  CRCTS             STOCK   03822W109       6       2400    SHARES                X                 3       2400   0        0
AQUA AMERICA INC    COMMON
                    STOCK   03836W103     101       3708    SHARES                X                 1       3708   0        0
AQUA AMERICA INC    COMMON
                    STOCK   03836W103       7        258    SHARES                         X        1        258   0        0
AQUANTIVE INC       COMMON
                    STOCK   03839G105      33       1300    SHARES                X                 3       1300   0        0
ARAMARK CORP        COMMON
                    STOCK   038521100       1         50    SHARES                X                 1         50   0        0
ARCHER DANIELS      COMMON
  MIDLAND CO COM    STOCK   039483102     449      18221    SHARES                X                 1      18221   0        0
ARCHER DANIELS      COMMON
  MIDLAND CO COM    STOCK   039483102     192       7780    SHARES                         X        1       1280   0     6500
ARCHER DANIELS      COMMON
  MIDLD             STOCK   039483102     123       5000    SHARES                X                 3       5000   0        0
ARCHSTONE SMITH     COMMON
  TR                STOCK   039583109      67       1600    SHARES                X                 3       1600   0        0
ARCHSTONE-SMITH     COMMON
  TRUST             STOCK   039583109    1878      44822    SHARES         X                        2      44822   0        0
ARES CAPITAL CORP   COMMON
                    STOCK   04010L103       3        212    SHARES                X                 1        212   0        0
ARGONAUT GROUP      COMMON
                    STOCK   040157109      12        366    SHARES                X                 1        366   0        0
ARIBA INC           COMMON
                    STOCK   04033V203      40       5505    SHARES                X                 1       5505   0        0
ARIBA INC           COMMON
                    STOCK   04033V203      29       3900    SHARES                X                 3       3900   0        0
ARLINGTON           COMMON
  TANKERS LTD       STOCK   G04899103    2062      94800    SHARES         X                        2      94800   0        0
ARRIS GROUP         COMMON
                    STOCK   04269Q100      41       4300    SHARES                X                 1       4300   0        0
ARRIS GROUP INC     COMMON
                    STOCK   04269Q100      30       3200    SHARES                X                 3       3200   0        0
ARROW
  INTERNATIONAL     COMMON
  INC               STOCK   042764100      52       1800    SHARES                X                 1       1800   0        0
ARROW
  INTERNATIONAL     COMMON
  INC               STOCK   042764100       6        200    SHARES                         X        1          0   0      200
ARTESIAN
  RESOURCES         COMMON
  CORPORATION CL A  STOCK   043113208      99       3344    SHARES                X                 1       2594   0      750
ASHLAND INC         COMMON
                    STOCK   044209104      13        225    SHARES                X                 1        225   0        0
ASHLAND INC         COMMON
                    STOCK   044209104      35        610    SHARES                X                 3        610   0        0
ASTORIA FINANCIAL   COMMON
  CORP COM          STOCK   046265104       3        100    SHARES                         X        1        100   0        0
AT&T INC            COMMON
                    STOCK   00206R102    6136     250562    SHARES                X                 1     250562   0        0
AT&T INC            COMMON
                    STOCK   00206R102    4568     186506    SHARES                         X        1     172214   0    14292
AT&T INC            COMMON
                    STOCK   00206R102     757      30902    SHARES                X                 3      30419   0      483
ATLAS PIPELINE      COMMON
  PARTNERS LP       STOCK   049392103       8        200    SHARES                X                 1        200   0        0
ATMOS ENERGY CORP   COMMON
                    STOCK   049560105       4        150    SHARES                         X        1        150   0        0
ATWOOD OCEANICS     COMMON
  INC               STOCK   050095108      78       1000    SHARES                X                 1       1000   0        0
ATWOOD OCEANICS     COMMON
  INC               STOCK   050095108      62        800    SHARES                X                 3        800   0        0
AUTODESK INC        COMMON
                    STOCK   052769106      73       1710    SHARES                X                 3       1710   0        0
AUTOMATIC DATA      COMMON
  PROC              STOCK   053015103     204       4440    SHARES                X                 3       4440   0        0
AUTOMATIC DATA      COMMON
  PROCESSING INC    STOCK   053015103    3539      77109    SHARES                X                 1      76109   0     1000
AUTOMATIC DATA      COMMON
  PROCESSING INC    STOCK   053015103    2364      51514    SHARES                         X        1      48264   0     3250
AUTOMATIC DATA      COMMON
  PROCESSING INC    STOCK   053015103    1561      33998    SHARES         X                        2      33998   0        0
AUTONATION INC      COMMON
                    STOCK   05329W102      29       1350    SHARES                X                 3       1350   0        0
AUTOZONE INC        COMMON
                    STOCK   053332102      40        440    SHARES                X                 3        440   0        0
AVATAR HOLDINGS     COMMON
  INCORPORATED      STOCK   053494100     478       8700    SHARES                X                 1       8700   0        0
AVAYA INC           COMMON
                    STOCK   053499109      34       3225    SHARES                X                 3       3225   0        0
AVAYA INC COM       COMMON
                    STOCK   053499109       6        529    SHARES                X                 1        529   0        0
AVAYA INC COM       COMMON
                    STOCK   053499109      12       1165    SHARES                         X        1       1124   0       41
AVERY DENNISON      COMMON
  CORP              STOCK   053611109      52        940    SHARES                X                 3        940   0        0
AVERY DENNISON      COMMON
  CORP COM          STOCK   053611109      36        650    SHARES                X                 1        650   0        0
AVERY DENNISON      COMMON
  CORP COM          STOCK   053611109      91       1650    SHARES                         X        1       1650   0        0
AVNET INC COM       COMMON
                    STOCK   053807103       5        200    SHARES                X                 1        200   0        0


                                    5 of 59





                                                          SEC USE
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                ------------------------ ---------------------- -------- -------------------
                                                 SHARES
                  COLUMN 2            COLUMN 4     OR      SHARES   PUT
    COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
----------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
AVNET INC COM     COMMON
                  STOCK    053807103      12        500    SHARES                         X        1        500   0        0
AVON PRODUCTS     COMMON
  INC             STOCK    054303102      58       2028    SHARES                X                 1       2028   0        0
AVON PRODUCTS     COMMON
  INC             STOCK    054303102     408      14299    SHARES                         X        1      14299   0        0
AVON PRODUCTS     COMMON
  INC             STOCK    054303102     103       3600    SHARES                X                 3       3600   0        0
AXCELIS
  TECHNOLOGIES    COMMON
  INC COM         STOCK    054540109      13       2652    SHARES                         X        1       2652   0        0
B2B INTERNET      COMMON
  HOLDRS TRUST    STOCK    056033103       0        100    SHARES                X                 1        100   0        0
BAKER HUGHES INC  COMMON
                  STOCK    057224107     159       2620    SHARES                X                 3       2620   0        0
BAKER HUGHES INC  COMMON
  COM             STOCK    057224107     436       7170    SHARES                X                 1       7170   0        0
BAKER HUGHES INC  COMMON
  COM             STOCK    057224107     100       1650    SHARES                         X        1       1650   0        0
BAKER MICHAEL     COMMON
  CORP            STOCK    057149106      89       3500    SHARES                X                 1       3500   0        0
BAKER MICHAEL     COMMON
  CORP            STOCK    057149106      64       2500    SHARES                X                 3       2500   0        0
BALL CORP         COMMON
                  STOCK    058498106      34        860    SHARES                X                 3        860   0        0
BALL              COMMON
  CORPORATION     STOCK    058498106     953      24000    SHARES                X                 1      24000   0        0
BANK NEW YORK     COMMON
  INC             STOCK    064057102    4421     138765    SHARES                X                 3     133765   0     5000
BANK NEW YORK     COMMON
  INC COM         STOCK    064057102    5876     184481    SHARES                X                 1     181273   0     3208
BANK NEW YORK     COMMON
  INC COM         STOCK    064057102    1167      36651    SHARES                         X        1      33851   0     2800
BANK NEW YORK     COMMON
  INC COM         STOCK    064057102      38       1200    SHARES                         X        3       1200   0        0
BANK NEW YORK     COMMON
  INCORPORATED    STOCK    064057102    1051      33000    SHARES         X                        2      33000   0        0
BANK OF AMERICA   COMMON
  CORP            STOCK    060505104   14749     319580    SHARES                X                 3     308730   0    10850
BANK OF AMERICA   COMMON
  CORPORATION     STOCK    060505104   23265     504122    SHARES                X                 1     496099   0     8023
BANK OF AMERICA   COMMON
  CORPORATION     STOCK    060505104    9842     213267    SHARES                         X        1     197575   0    15692
BANK OF AMERICA   COMMON
  CORPORATION     STOCK    060505104    6750     146252    SHARES         X                        2     146252   0        0
BANK OF AMERICA   COMMON
  CORPORATION     STOCK    060505104      65       1400    SHARES                         X        3       1400   0        0
BANK OF HAWAII    COMMON
  CORP            STOCK    062540109      15        300    SHARES                         X        1        300   0        0
BANKATLANTIC      COMMON
  BANCORP         STOCK A  065908501      32       2300    SHARES                X                 3       2300   0        0
BANKATLANTIC
  BANCORP INC CL  COMMON
  A               STOCK    065908501      43       3100    SHARES                X                 1       3100   0        0
BANKATLANTIC
  BANCORP         COMMON
  INCORPORATED    STOCK    065908501     191      13625    SHARES         X                        2      13625   0        0
BARD C R INC      COMMON
                  STOCK    067383109      52        790    SHARES                X                 3        790   0        0
BARD C R INC COM  COMMON
                  STOCK    067383109     359       5450    SHARES                X                 1       5450   0        0
BARD C R INC COM  COMMON
                  STOCK    067383109     264       4000    SHARES                         X        1       4000   0        0
BARR
  PHARMACEUTICALS COMMON
  INC             STOCK    068306109      44        700    SHARES                X                 1        700   0        0
BAUSCH & LOMB     COMMON
  INC             STOCK    071707103      30        440    SHARES                X                 3        440   0        0
BAUSCH & LOMB     COMMON
  INC COM         STOCK    071707103       3         50    SHARES                X                 1         50   0        0
BAXTER INTL INC   COMMON
                  STOCK    071813109     687      18238    SHARES                X                 1      18238   0        0
BAXTER INTL INC   COMMON
                  STOCK    071813109     493      13099    SHARES                         X        1      13099   0        0
BAXTER INTL INC   COMMON
                  STOCK    071813109     181       4800    SHARES                X                 3       4800   0        0
BB & T            COMMON
  CORPORATION     STOCK    054937107    1586      37840    SHARES         X                        2      37840   0        0
BB&T CORP COM     COMMON
                  STOCK    054937107     225       5378    SHARES                X                 1       3450   0     1928
BB&T CORP COM     COMMON
                  STOCK    054937107    1211      28897    SHARES                         X        1      27331   0     1566
BB&T CORP COM     COMMON
                  STOCK    054937107     230       5510    SHARES                X                 3       4235   0     1275
BB&T CORP COM     COMMON
                  STOCK    054937107      37        892    SHARES                         X        3        892   0        0
BEAR STEARNS COS  COMMON
  INC             STOCK    073902108     118       1020    SHARES                X                 1       1020   0        0
BEAR STEARNS COS  COMMON
  INC             STOCK    073902108     139       1206    SHARES                         X        1       1206   0        0
BEAR STEARNS COS  COMMON
  INC             STOCK    073902108     104        900    SHARES                X                 3        900   0        0
BECKMAN           COMMON
  COULTER INC     STOCK    075811109     137       2411    SHARES                         X        1       1863   0      548
BECTON DICKINSON  COMMON
                  STOCK    075887109     117       1955    SHARES                X                 3       1955   0        0
BECTON
  DICKINSON & CO  COMMON
  COM             STOCK    075887109     192       3189    SHARES                X                 1       3189   0        0
BECTON
  DICKINSON & CO  COMMON
  COM             STOCK    075887109     841      14000    SHARES                         X        1      14000   0        0
BED BATH &        COMMON
  BEYOND          STOCK    075896100     834      23060    SHARES                X                 3      23060   0        0
BED BATH &        COMMON
  BEYOND INC COM  STOCK    075896100     389      10770    SHARES                X                 1      10770   0        0
BED BATH &        COMMON
  BEYOND INC COM  STOCK    075896100     158       4380    SHARES                         X        1       4380   0        0
BELLSOUTH CORP    COMMON
                  STOCK    079860102    7505     276952    SHARES                X                 1     276752   0      200
BELLSOUTH CORP    COMMON
                  STOCK    079860102    5829     215089    SHARES                         X        1     185758   0    29331
BELLSOUTH CORP    COMMON
                  STOCK    079860102     413      15214    SHARES                X                 3      15214   0        0
BELLSOUTH CORP    COMMON
                  STOCK    079860102      30       1124    SHARES                         X        3       1124   0        0


                                    6 of 59





                                                         SEC USE
                                                                             COLUMN 6                      COLUMN 8
                                                     COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                             ------------------------ ---------------------- -------- -------------------
                                              SHARES
               COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1    TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER  CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                             
BEMIS INC      COMMON
               STOCK    081437105     117       4185    SHARES                X                 1       4185   0        0
BEMIS INC      COMMON
               STOCK    081437105      22        800    SHARES                         X        1        800   0        0
BEMIS INC      COMMON
               STOCK    081437105      23        820    SHARES                X                 3        820   0        0
BENCHMARK
  ELECTRONICS  COMMON
  INC          STOCK    08160H101       4        115    SHARES                X                 1        115   0        0
BENIHANA INC   COMMON
               STOCK A  082047200      62       2673    SHARES                X                 3       2673   0        0
BENIHANA
  INCORPORATED COMMON
  CLASS A      STOCK    082047200      88       3800    SHARES                X                 1       3800   0        0
BERKSHIRE
  HATHAWAY     COMMON
  INC CLASS A  STOCK    084670108     266          3    SHARES                         X        1          3   0        0
BERKSHIRE
  HATHAWAY     COMMON
  INC CLASS B  STOCK    084670207     567        193    SHARES                X                 1        193   0        0
BERKSHIRE
  HATHAWAY     COMMON
  INC CLASS B  STOCK    084670207     420        143    SHARES                         X        1        133   0       10
BEST BUY INC   COMMON
               STOCK    086516101     563      12960    SHARES                X                 3      12960   0        0
BEST BUY INC   COMMON
  COM          STOCK    086516101     424       9762    SHARES                X                 1       9762   0        0
BEST BUY INC   COMMON
  COM          STOCK    086516101      96       2212    SHARES                         X        1       2212   0        0
BIG LOTS INC   COMMON
               STOCK    089302103      11        890    SHARES                X                 3        890   0        0
BIOANALYTICAL
  SYSTEMS      COMMON
  INCORPORATED STOCK    09058M103       0         16    SHARES                X                 1         16   0        0
BIOGEN IDEC    COMMON
  INC          STOCK    09062X103    4384      96829    SHARES                X                 1      95617   0     1212
BIOGEN IDEC    COMMON
  INC          STOCK    09062X103     178       3925    SHARES                         X        1       3625   0      300
BIOGEN IDEC    COMMON
  INC          STOCK    09062X103    6484     143232    SHARES                X                 3     140635   0     2597
BIOMET COM     COMMON
               STOCK    090613100      31        845    SHARES                         X        1        845   0        0
BIOMET INC     COMMON
               STOCK    090613100      69       1900    SHARES                X                 3       1900   0        0
BISYS GROUP    COMMON
  INC COM      STOCK    055472104      42       3000    SHARES                         X        1       3000   0        0
BJ SVCS CO     COMMON
               STOCK    055482103      90       2450    SHARES                X                 3       2450   0        0
BJ'S
  WHOLESALE
  CLUB INC     COMMON
  COM          STOCK    05548J106      25        850    SHARES                X                 1        850   0        0
BJ'S
  WHOLESALE
  CLUB INC     COMMON
  COM          STOCK    05548J106      12        400    SHARES                         X        1        400   0        0
BKF CAPITAL    COMMON
  GROUP INC    STOCK    05548G102      15        778    SHARES                X                 1        778   0        0
BLACK &        COMMON
  DECKER CORP  STOCK    091797100      65        750    SHARES                X                 3        750   0        0
BLACK &
  DECKER CORP  COMMON
  COM          STOCK    091797100     536       6168    SHARES                X                 1       6168   0        0
BLACK &
  DECKER CORP  COMMON
  COM          STOCK    091797100    1598      18376    SHARES                         X        1      18376   0        0
BLACK HILLS    COMMON
  CORP         STOCK    092113109       8        225    SHARES                         X        1        225   0        0
BLOCK H & R    COMMON
  INC          STOCK    093671105     146       5932    SHARES                X                 1       5932   0        0
BLOCK H & R    COMMON
  INC          STOCK    093671105      90       3670    SHARES                         X        1       3670   0        0
BLOCK H & R    COMMON
  INC          STOCK    093671105      61       2500    SHARES                X                 3       2500   0        0
BMC SOFTWARE   COMMON
  INC          STOCK    055921100      34       1650    SHARES                X                 3       1650   0        0
BOEING CO      COMMON
               STOCK    097023105     406       5780    SHARES                X                 3       5780   0        0
BOEING CO COM  COMMON
               STOCK    097023105    1049      14930    SHARES                X                 1      14930   0        0
BOEING CO COM  COMMON
               STOCK    097023105    1218      17345    SHARES                         X        1      17295   0       50
BOK FINANCIAL  COMMON
  CORPORATION  STOCK    05561Q201       1         12    SHARES                X                 1         12   0        0
BON-TON
  STORES       COMMON
  INCORPORATED STOCK    09776J101    1250      65333    SHARES                X                 1      65333   0        0
BORDERS
  GROUP INC    COMMON
  COM          STOCK    099709107      29       1346    SHARES                X                 1       1346   0        0
BOSTON BEER
  INCORPORATED COMMON
  CLASS A      STOCK    100557107       1         50    SHARES                X                 1         50   0        0
BOSTON BEER
  INCORPORATED COMMON
  CLASS A      STOCK    100557107       3        100    SHARES                         X        1        100   0        0
BOSTON
  PROPERTIES   COMMON
  INCORPORATED STOCK    101121101     222       3000    SHARES         X                        2       3000   0        0
BOSTON         COMMON
  SCIENTIFIC   STOCK    101137107     111       4520    SHARES                X                 3       4520   0        0
BOSTON
  SCIENTIFIC   COMMON
  CORP COM     STOCK    101137107      99       4052    SHARES                X                 1       4052   0        0
BOSTON
  SCIENTIFIC   COMMON
  CORP COM     STOCK    101137107      78       3175    SHARES                         X        1       3175   0        0
BOSTON
  SCIENTIFIC   COMMON
  CORPORATION  STOCK    101137107     313      12800    SHARES         X                        2      12800   0        0
BRINKER INTL   COMMON
  INC          STOCK    109641100     529      13700    SHARES                X                 3      13700   0        0
BRINKER INTL   COMMON
  INC COM      STOCK    109641100    1116      28860    SHARES                X                 1      28360   0      500
BRINKER INTL   COMMON
  INC COM      STOCK    109641100     607      15710    SHARES                         X        1      15710   0        0
BRISTOL MYERS  COMMON
  SQUIBB       STOCK    110122108     342      14875    SHARES                X                 3      14875   0        0
BRISTOL MYERS
  SQUIBB       COMMON
  COMPANY      STOCK    110122108     942      40984    SHARES         X                        2      40984   0        0
BRISTOL-MYERS  COMMON
  SQUIBB CO    STOCK    110122108    8376     364486    SHARES                X                 1     363886   0      600
BRISTOL-MYERS  COMMON
  SQUIBB CO    STOCK    110122108    8100     352482    SHARES                         X        1     317342   0    35140
BRISTOL-MYERS  COMMON
  SQUIBB CO    STOCK    110122108     506      22020    SHARES                X                 3      17200   0     4820
BRISTOL-MYERS  COMMON
  SQUIBB CO    STOCK    110122108      28       1200    SHARES                         X        3       1200   0        0
BROADCOM       COMMON
  CORP         STOCK A  111320107     104       2200    SHARES                X                 3       2200   0        0


                                    7 of 59





                                                         SEC USE
                                                                             COLUMN 6                      COLUMN 8
                                                     COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                             ------------------------ ---------------------- -------- -------------------
                                              SHARES
               COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1    TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER  CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                             
BROADCOM       COMMON
  CORP CL A    STOCK    111320107       9        200    SHARES                X                 1        200   0       0
BROWN          COMMON
  FORMAN CORP  STOCK B  115637209      53        760    SHARES                X                 3        760   0       0
BROWN-
  FORMAN CORP  COMMON
  CL B         STOCK    115637209      21        300    SHARES                         X        1        300   0       0
BRUNSWICK      COMMON
  CORP         STOCK    117043109      28        700    SHARES                X                 3        700   0       0
BRUNSWICK      COMMON
  CORP COM     STOCK    117043109       5        120    SHARES                X                 1        120   0       0
BRUNSWICK      COMMON
  CORP COM     STOCK    117043109      76       1860    SHARES                         X        1       1860   0       0
BRYN MAWR
  BANK         COMMON
  CORPORATION  STOCK    117665109     247      11392    SHARES                X                 1      11392   0       0
BUCKEYE
  PARTNERS LP
  UNIT LTD     COMMON
  PARTNER      STOCK    118230101      38        900    SHARES                X                 1        900   0       0
BUNGE LIMITED  COMMON
               STOCK    G16962105    1018      17985    SHARES         X                        2      17985   0       0
BURLINGTN      COMMON
  NRTHRN S F   STOCK    12189T104     198       2800    SHARES                X                 3       2800   0       0
BURLINGTON
  NORTHERN
  SANTA FE     COMMON
  CORP         STOCK    12189T104     475       6709    SHARES                X                 1       6463   0     246
BURLINGTON
  NORTHERN
  SANTA FE     COMMON
  CORP         STOCK    12189T104     845      11932    SHARES                         X        1      10732   0    1200
BURLINGTON     COMMON
  RESOURCES    STOCK    122014103    1039      12035    SHARES                X                 3      12035   0       0
BURLINGTON
  RESOURCES    COMMON
  INC          STOCK    122014103    9295     107831    SHARES                X                 1     106181   0    1650
BURLINGTON
  RESOURCES    COMMON
  INC          STOCK    122014103    2752      31928    SHARES                         X        1      30028   0    1900
BURLINGTON
  RESOURCES    COMMON
  INC          STOCK    122014103     178       2063    SHARES                X                 3       2063   0       0
C H ROBINSON   COMMON
  WLDWIDE      STOCK    12541W209     933      25200    SHARES                X                 3      25200   0       0
CADENCE        COMMON
  DESIGN SYS   STOCK    127387108     909     378725    SHARES                X                 3     378725   0       0
CADENCE
  DESIGN SYS   COMMON
  INC          STOCK    127387108     317      18750    SHARES                X                 1      18750   0       0
CADENCE
  DESIGN SYS   COMMON
  INC          STOCK    127387108      17       1000    SHARES                         X        1       1000   0       0
CALLAWAY       COMMON
  GOLF CO COM  STOCK    131193104       0         23    SHARES                X                 1         23   0       0
CALYPTE
  BIOMEDICAL   COMMON
  CORP         STOCK    131722605      16     102900    SHARES                X                 1     102900   0       0
CAMPBELL SOUP  COMMON
  CO           STOCK    134429109      42       1415    SHARES                X                 3       1415   0       0
CAMPBELL SOUP  COMMON
  CO COM       STOCK    134429109      76       2550    SHARES                X                 1       2550   0       0
CAMPBELL SOUP  COMMON
  CO COM       STOCK    134429109     161       5400    SHARES                         X        1       5400   0       0
CAMPBELL SOUP  COMMON
  CO COM       STOCK    134429109      24        800    SHARES                X                 3        800   0       0
CAPITAL ONE
  FINANCIAL    COMMON
  CORP         STOCK    14040H105    7765      89873    SHARES                X                 1      87643   0    2230
CAPITAL ONE
  FINANCIAL    COMMON
  CORP         STOCK    14040H105    2177      25202    SHARES                         X        1      19752   0    5450
CAPITAL ONE
  FINANCIAL    COMMON
  CORP         STOCK    14040H105    8263      95652    SHARES                X                 3      92738   0    2914
CAPITAL ONE
  FINANCIAL    COMMON
  CORPORATION  STOCK    14040H105    4424      51204    SHARES         X                        2      51204   0       0
CAPITALSOURCE  COMMON
  INC          STOCK    14055X102     422      18830    SHARES                X                 1      18830   0       0
CAPITALSOURCE  COMMON
  INC          STOCK    14055X102    1002      44750    SHARES         X                        2      44750   0       0
CAPITALSOURCE  COMMON
  INC          STOCK    14055X102    1162      51890    SHARES                X                 3      51890   0       0
CAPSTONE
  TURBINE      COMMON
  CORP         STOCK    14067D102       0        100    SHARES                         X        1        100   0       0
CARDINAL       COMMON
  HEALTH INC   STOCK    14149Y108     431       6264    SHARES                X                 1       6264   0       0
CARDINAL       COMMON
  HEALTH INC   STOCK    14149Y108     292       4244    SHARES                         X        1       4095   0     149
CARDINAL       COMMON
  HEALTH INC   STOCK    14149Y108     226       3280    SHARES                X                 3       3280   0       0
CARDINAL
  HEALTH       COMMON
  INCORPORATED STOCK    14149Y108     413       6000    SHARES         X                        2       6000   0       0
CAREMARK RX    COMMON
  INC          STOCK    141705103    7260     140190    SHARES                X                 3     140190   0       0
CAREMARK RX    COMMON
  INC COM      STOCK    141705103    9989     192881    SHARES                X                 1     187667   0    5214
CAREMARK RX    COMMON
  INC COM      STOCK    141705103    1611      31104    SHARES                         X        1      30054   0    1050
CAREMARK RX    COMMON
  INC COM      STOCK    141705103    1646      31785    SHARES                X                 3      24385   0    7400
CAREMARK RX    COMMON
  INC COM      STOCK    141705103     377       7285    SHARES                X                 3       7285   0       0
CARLISLE
  COMPANIES    COMMON
  INC          STOCK    142339100      28        400    SHARES                X                 1          0   0     400
CARLISLE
  COMPANIES    COMMON
  INC          STOCK    142339100    1559      22550    SHARES                         X        1      22000   0     550
CARMAX INC     COMMON
               STOCK    143130102    4276     154470    SHARES                X                 1     147121   0    7349
CARMAX INC     COMMON
               STOCK    143130102     359      12987    SHARES                         X        1      10507   0    2480
CARMAX INC     COMMON
               STOCK    143130102     753      27196    SHARES                X                 3      21161   0    6035
CARMAX INC     COMMON
               STOCK    143130102    4377     158088    SHARES                X                 3     158088   0       0
CARNIVAL CORP  COMMON
               (PAIRED
               STOCK)   143658300    3996      74743    SHARES                X                 3      74743   0       0
CARNIVAL       COMMON
  CORPORATION  STOCK    143658300    6003     112267    SHARES                X                 1     111422   0     845
CARNIVAL       COMMON
  CORPORATION  STOCK    143658300     634      11861    SHARES                         X        1      10511   0    1350
CARNIVAL       COMMON
  CORPORATION  STOCK    143658300     603      11284    SHARES                X                 3      11284   0       0
CARNIVAL       COMMON
  CORPORATION  STOCK    143658300     243       4550    SHARES                X                 3       4550   0       0
CARPENTER
  TECHNOLOGY   COMMON
  CORP COM     STOCK    144285103     204       2900    SHARES                X                 1       2900   0       0


                                    8 of 59





                                                          SEC USE
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                               ------------------------ ---------------------- -------- -------------------
                                                SHARES
                 COLUMN 2            COLUMN 4     OR      SHARES   PUT
    COLUMN 1     TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
---------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
CARPENTER
  TECHNOLOGY      COMMON
  CORP COM        STOCK   144285103     209       2964    SHARES                         X        1       1964   0     1000
CARROLLTON        COMMON
  BANCORP         STOCK   145282109       7        462    SHARES                X                 1        462   0        0
CATERPILLAR INC   COMMON
                  STOCK   149123101    3161      54710    SHARES                X                 1      53810   0      900
CATERPILLAR INC   COMMON
                  STOCK   149123101     877      15189    SHARES                         X        1      13989   0     1200
CATERPILLAR INC   COMMON
                  STOCK   149123101     282       4882    SHARES                X                 3       4882   0        0
CATERPILLAR INC   COMMON
                  STOCK   149123101    1727      29920    SHARES                X                 3      29920   0        0
CAVCO
  INDUSTRIES,     COMMON
  INC.            STOCK   149568107       2         60    SHARES                X                 1         60   0        0
CCE SPINCO INC    COMMON
                  STOCK   14985W109      34       2588    SHARES                X                 1       2438   0      150
CCE SPINCO INC    COMMON
                  STOCK   14985W109      14       1047    SHARES                         X        1        959   0       88
CCE SPINCO INC    COMMON
                  STOCK   14985W109       9        692    SHARES                X                 3        511   0      181
C-COR INC         COMMON
                  STOCK   125010108      62      12700    SHARES                X                 1      12700   0        0
C-COR INC         COMMON
                  STOCK   125010108     413      85000    SHARES                         X        1      85000   0        0
C-COR             COMMON
  INCORPORATED    STOCK   125010108      14       2900    SHARES                X                 3       2900   0        0
CDW               COMMON
  CORPORATION     STOCK   12512N105     486       8445    SHARES                X                 1       8445   0        0
CDW               COMMON
  CORPORATION     STOCK   12512N105    1480      25700    SHARES                X                 3      25700   0        0
CELGENE CORP      COMMON
  COM             STOCK   151020104      19        300    SHARES                X                 1        300   0        0
CELGENE CORP      COMMON
  COM             STOCK   151020104      52        800    SHARES                         X        1        800   0        0
CENDANT CORP      COMMON
                  STOCK   151313103     137       7950    SHARES                X                 3       7950   0        0
CENDANT CORP      COMMON
  COM             STOCK   151313103     816      47300    SHARES                X                 1      46300   0     1000
CENDANT CORP      COMMON
  COM             STOCK   151313103     263      15265    SHARES                         X        1      15265   0        0
CENTERPOINT       COMMON
  ENERGY          STOCK   15189T107      30       2360    SHARES                X                 3       2360   0        0
CENTERPOINT       COMMON
  ENERGY INC      STOCK   15189T107       4        332    SHARES                X                 1        332   0        0
CENTERPOINT       COMMON
  ENERGY INC      STOCK   15189T107      10        800    SHARES                         X        1        800   0        0
CENTEX CORP       COMMON
                  STOCK   152312104     536       7500    SHARES                X                 1       7500   0        0
CENTEX CORP       COMMON
                  STOCK   152312104     314       4387    SHARES                         X        1       4387   0        0
CENTEX CORP       COMMON
                  STOCK   152312104      69        960    SHARES                X                 3        960   0        0
CENTURY ALUM      COMMON
  CO              STOCK   156431108      66       2500    SHARES                X                 3       2500   0        0
CENTURY
  ALUMINUM        COMMON
  COMPANY         STOCK   156431108      89       3400    SHARES                X                 1       3400   0        0
CENTURYTEL INC    COMMON
                  STOCK   156700106      33       1000    SHARES                X                 3       1000   0        0
CENTURYTEL INC    COMMON
  COM             STOCK   156700106      66       2000    SHARES                X                 1       2000   0        0
CERNER CORP       COMMON
                  STOCK   156782104    3365      37010    SHARES                X                 1      35910   0     1100
CERNER CORP       COMMON
                  STOCK   156782104     619       6810    SHARES                         X        1       5610   0     1200
CERNER CORP       COMMON
                  STOCK   156782104      70        775    SHARES                X                 3          0   0      775
CERNER CORP       COMMON
                  STOCK   156782104    1063      11700    SHARES                X                 3      11700   0        0
CERTEGY INC COM   COMMON
                  STOCK   156880106      20        500    SHARES                         X        1        500   0        0
CH ENERGY         COMMON
  GROUP INC COM   STOCK   12541M102     165       3600    SHARES                X                 1       3600   0        0
CH ROBINSON       COMMON
  WORLDWIDE INC   STOCK   12541W209     267       7210    SHARES                X                 1       7210   0        0
CHAPARRAL         COMMON
  STEEL CO        STOCK   159423102      57       1900    SHARES                X                 1       1900   0        0
CHAPARRAL         COMMON
  STEEL CO        STOCK   159423102      51       1700    SHARES                X                 3       1700   0        0
CHARTER
  COMMUNICATIONS  COMMON
  INC CL A        STOCK   16117M107       1       1000    SHARES                X                 1       1000   0        0
CHARTERMAC        COMMON
                  STOCK   160908109     205       9674    SHARES                X                 1       9674   0        0
CHARTERMAC        COMMON
                  STOCK   160908109     114       5406    SHARES                         X        1       5406   0        0
CHESAPEAKE
  ENERGY CORP     COMMON
  COM             STOCK   165167107      57       1800    SHARES                X                 1       1800   0        0
CHESAPEAKE
  ENERGY CORP     COMMON
  COM             STOCK   165167107      84       2650    SHARES                         X        1       2650   0        0
CHESAPEAKE
  UTILITIES       COMMON
  CORPORATION     STOCK   165303108      23        750    SHARES                         X        1        750   0        0
CHEVRON CORP      COMMON
                  STOCK   166764100   30252     532893    SHARES                X                 1     525062   0     7831
CHEVRON CORP      COMMON
                  STOCK   166764100   16287     286894    SHARES                         X        1     263939   0    22955
CHEVRON CORP      COMMON
                  STOCK   166764100    3138      55284    SHARES                X                 3      47290   0     7994
CHEVRON CORP      COMMON
                  STOCK   166764100   13245     233307    SHARES                X                 3     233307   0        0
CHEVRONTEXACO     COMMON
  CORPORATION     STOCK   166764100     633      11144    SHARES         X                        2      11144   0        0
CHICOS FAS INC    COMMON
                  STOCK   168615102     507      11530    SHARES                X                 1      11530   0        0
CHICOS FAS INC    COMMON
                  STOCK   168615102       2         50    SHARES                         X        1         50   0        0
CHICOS FAS INC    COMMON
                  STOCK   168615102    1594      36300    SHARES                X                 3      36300   0        0
CHILDRENS PLACE
  RETAIL STORES   COMMON
  INC             STOCK   168905107       7        150    SHARES                X                 1        150   0        0
CHIRON CORP       COMMON
                  STOCK   170040109      36        800    SHARES                X                 3        800   0        0


                                    9 of 59





                                                          SEC USE
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                               ------------------------ ---------------------- -------- -------------------
                                                SHARES
                 COLUMN 2            COLUMN 4     OR      SHARES   PUT
    COLUMN 1     TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
---------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
CHOICEPOINT INC   COMMON
  COM             STOCK   170388102      24        533    SHARES                X                 1        533   0        0
CHOICEPOINT INC   COMMON
  COM             STOCK   170388102      18        400    SHARES                         X        1        400   0        0
CHRISTOPHER &     COMMON
  BANKS CORP      STOCK   171046105      56       3000    SHARES                X                 1       3000   0        0
CHUBB CORP        COMMON
                  STOCK   171232101     514       5264    SHARES                X                 1       5264   0        0
CHUBB CORP        COMMON
                  STOCK   171232101     369       3780    SHARES                         X        1       3780   0        0
CHUBB CORP        COMMON
                  STOCK   171232101     144       1475    SHARES                X                 3       1475   0        0
CIENA CORP        COMMON
                  STOCK   171779101      14       4800    SHARES                X                 3       4800   0        0
CIGNA CORP        COMMON
                  STOCK   125509109     652       5839    SHARES                X                 1       5839   0        0
CIGNA CORP        COMMON
                  STOCK   125509109     330       2950    SHARES                         X        1       2950   0        0
CIGNA CORP        COMMON
                  STOCK   125509109     114       1025    SHARES                X                 3       1025   0        0
CINCINNATI BELL   COMMON
  INC             STOCK   171871106       2        500    SHARES                X                 1        500   0        0
CINCINNATI FINL   COMMON
  CORP            STOCK   172062101    4148      92837    SHARES                X                 3      92837   0        0
CINCINNATI FINL   COMMON
  CORP COM        STOCK   172062101    1774      39701    SHARES                X                 1      37542   0     2159
CINCINNATI FINL   COMMON
  CORP COM        STOCK   172062101      61       1360    SHARES                         X        1       1360   0        0
CINCINNATI FINL   COMMON
  CORP COM        STOCK   172062101    1076      24080    SHARES                X                 3      19427   0     4653
CINCINNATI FINL   COMMON
  CORP COM        STOCK   172062101     322       7215    SHARES                X                 3       7215   0        0
CINERGY CORP      COMMON
                  STOCK   172474108      40        937    SHARES                X                 1        937   0        0
CINERGY CORP      COMMON
                  STOCK   172474108      43       1005    SHARES                         X        1       1005   0        0
CINERGY CORP      COMMON
                  STOCK   172474108      66       1560    SHARES                X                 3       1560   0        0
CINTAS CORP       COMMON
                  STOCK   172908105      45       1100    SHARES                X                 3       1100   0        0
CIRCUIT CITY      COMMON
  STORE           STOCK   172737108      28       1250    SHARES                X                 3       1250   0        0
CIRCUIT STORES    COMMON
  COM             STOCK   172737108      72       3200    SHARES                X                 1       3200   0        0
CIRCUIT STORES    COMMON
  COM             STOCK   172737108      41       1800    SHARES                         X        1       1800   0        0
CISCO SYS INC     COMMON
                  STOCK   17275R102   15777     921565    SHARES                X                 1     902099   0    19466
CISCO SYS INC     COMMON
                  STOCK   17275R102    3938     230010    SHARES                         X        1     206785   0    23225
CISCO SYS INC     COMMON
                  STOCK   17275R102   11410     666447    SHARES                X                 3     646277   0    20170
CISCO SYSTEMS     COMMON
  INCORPORATED    STOCK   17275R102    2123     123994    SHARES         X                        2     123994   0        0
CIT GROUP INC     COMMON
                  STOCK   125581108    5212     100659    SHARES                X                 1      96904   0     3755
CIT GROUP INC     COMMON
                  STOCK   125581108     289       5585    SHARES                         X        1       2625   0     2960
CIT GROUP INC     COMMON
                  STOCK   125581108    1190      22989    SHARES                X                 3      19289   0     3700
CIT GROUP INC     COMMON
                  STOCK   125581108    7397     142852    SHARES                X                 3     142852   0        0
CITIGROUP INC     COMMON
                  STOCK   172967101   15674     322973    SHARES                X                 3     322973   0        0
CITIGROUP INC     COMMON
  COM             STOCK   172967101   26519     546442    SHARES                X                 1     532003   0    14439
CITIGROUP INC     COMMON
  COM             STOCK   172967101   10020     206469    SHARES                         X        1     192839   0    13630
CITIGROUP INC     COMMON
  COM             STOCK   172967101    3722      76694    SHARES                X                 3      59344   0    17350
CITIGROUP INC     COMMON
  COM             STOCK   172967101     905      18643    SHARES                X                 3      18643   0        0
CITIGROUP         COMMON
  INCORPORATED    STOCK   172967101    5150     106119    SHARES         X                        2     106119   0        0
CITIZENS          COMMON
  COMMUN CO       STOCK   17453B101      32       2600    SHARES                X                 3       2600   0        0
CITIZENS
  COMMUNICATIONS  COMMON
  CO              STOCK   17453B101     561      45840    SHARES                X                 1      40840   0     5000
CITIZENS
  COMMUNICATIONS  COMMON
  CO              STOCK   17453B101     236      19277    SHARES                         X        1       6102   0    13175
CITRIX SYS INC    COMMON
                  STOCK   177376100      37       1300    SHARES                X                 3       1300   0        0
CITRIX SYSTEMS    COMMON
  INC COM         STOCK   177376100     106       3700    SHARES                X                 1       3700   0        0
CLAIRES STORES    COMMON
  INCORPORATED    STOCK   179584107       6        200    SHARES                X                 1        200   0        0
CLAIRES STORES    COMMON
  INCORPORATED    STOCK   179584107       3        100    SHARES                         X        1        100   0        0
CLEAN HARBORS     COMMON
                  STOCK   184496107      29       1000    SHARES                X                 3       1000   0        0
CLEAN HARBORS     COMMON
  INC             STOCK   184496107      40       1400    SHARES                X                 1       1400   0        0
CLEAR CHANNEL     COMMON
  COMMUN          STOCK   184502102     132       4185    SHARES                X                 3       4185   0        0
CLEAR CHANNEL
  COMMUNICATIONS  COMMON
  INC COM         STOCK   184502102     624      19850    SHARES                X                 1      18650   0     1200
CLEAR CHANNEL
  COMMUNICATIONS  COMMON
  INC COM         STOCK   184502102     209       6650    SHARES                         X        1       5950   0      700
CLEAR CHANNEL
  COMMUNICATIONS  COMMON
  INC COM         STOCK   184502102      46       1450    SHARES                X                 3          0   0     1450
CLECO CORP        COMMON
                  STOCK   12561W105      17        800    SHARES                         X        1        800   0        0
CLEVELAND         COMMON
  CLIFFS INC      STOCK   185896107    1205      13600    SHARES                X                 3      13600   0        0
CLEVELAND         COMMON
  CLIFFS INC COM  STOCK   185896107     414       4675    SHARES                X                 1       4675   0        0
CLOROX CO         COMMON
                  STOCK   189054109      67       1175    SHARES                X                 3       1175   0        0
CLOROX CO COM     COMMON
                  STOCK   189054109     439       7725    SHARES                X                 1       7725   0        0


                                   10 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
CLOROX CO COM      COMMON
                   STOCK    189054109     223       3915    SHARES                         X        1       3915   0        0
CMGI INC COM       COMMON
                   STOCK    125750109       0        290    SHARES                X                 1        290   0        0
CMS ENERGY CORP    COMMON
                   STOCK    125896100      25       1700    SHARES                X                 3       1700   0        0
CMS ENERGY CORP    COMMON
  COM              STOCK    125896100       9        586    SHARES                X                 1        586   0        0
CMS ENERGY CORP    COMMON
  COM              STOCK    125896100      17       1200    SHARES                         X        1       1200   0        0
CNF INC COM        COMMON
                   STOCK    12612W104      20        350    SHARES                X                 1        350   0        0
COACH INC          COMMON
                   STOCK    189754104    1140      34189    SHARES                X                 1      34189   0        0
COACH INC          COMMON
                   STOCK    189754104     196       5864    SHARES                         X        1       5864   0        0
COACH INC          COMMON
                   STOCK    189754104     144       4305    SHARES                X                 3       4305   0        0
COACH INC          COMMON
                   STOCK    189754104     808      24218    SHARES                X                 3      24218   0        0
COCA COLA
  BOTTLING CO      COMMON
  CONSOLIDATED     STOCK    191098102       5        125    SHARES                X                 1        125   0        0
COCA COLA CO       COMMON
                   STOCK    191216100    5499     136450    SHARES                X                 3     136450   0        0
COCA COLA CO COM   COMMON
                   STOCK    191216100   10362     257069    SHARES                X                 1     254540   0     2529
COCA COLA CO COM   COMMON
                   STOCK    191216100    5765     143009    SHARES                         X        1     141424   0     1585
COCA COLA CO COM   COMMON
                   STOCK    191216100    1328      32941    SHARES                X                 3      23111   0     9830
COCA COLA CO COM   COMMON
                   STOCK    191216100     247       6130    SHARES                X                 3       6130   0        0
COCA COLA CO COM   COMMON
                   STOCK    191216100      30        754    SHARES                         X        3        754   0        0
COCA COLA          COMMON
  ENTERPRISE       STOCK    191219104      44       2300    SHARES                X                 3       2300   0        0
COCA COLA          COMMON
  ENTERPRISES INC  STOCK    191219104      19       1000    SHARES                X                 1       1000   0        0
CODORUS VALLEY     COMMON
  BANCORP INC      STOCK    192025104     978      50471    SHARES                X                 1      36453   0    14018
CODORUS VALLEY     COMMON
  BANCORP INC      STOCK    192025104      34       1750    SHARES                         X        1       1750   0        0
COEUR D'ALENE      COMMON
  MINES            STOCK    192108108      15       3800    SHARES                X                 3       3800   0        0
COEUR D'ALENE      COMMON
  MINES CORP       STOCK    192108108      24       6100    SHARES                X                 1       6100   0        0
COGNIZANT TECH     COMMON
  SOL CORP         STOCK    192446102     394       7840    SHARES                X                 1       7840   0        0
COGNIZANT TECH     COMMON
  SOLNS            STOCK A  192446102    1030      20500    SHARES                X                 3      20500   0        0
COHU               COMMON
  INCORPORATED     STOCK    192576106      18        800    SHARES                X                 1        800   0        0
COLGATE            COMMON
  PALMOLIVE CO     STOCK    194162103    1247      22737    SHARES                X                 3      22737   0        0
COLGATE
  PALMOLIVE CO     COMMON
  COM              STOCK    194162103    7479     136347    SHARES                X                 1     135447   0      900
COLGATE
  PALMOLIVE CO     COMMON
  COM              STOCK    194162103    3736      68113    SHARES                         X        1      58213   0     9900
COLGATE
  PALMOLIVE CO     COMMON
  COM              STOCK    194162103     442       8051    SHARES                X                 3       5451   0     2600
COLGATE
  PALMOLIVE        COMMON
  COMPANY          STOCK    194162103    4316      78682    SHARES         X                        2      78682   0        0
COLONIAL           COMMON
  BANCGROUP INC    STOCK    195493309      24       1000    SHARES                X                 1       1000   0        0
COLUMBIA BANCORP   COMMON
                   STOCK    197227101      55       1332    SHARES                X                 1       1332   0        0
COMCAST CORP       COMMON
                   STOCK A  20030N101    7087     273422    SHARES                X                 3     263202   0    10220
COMCAST CORP NEW   COMMON
  A                STOCK    20030N101    7484     288747    SHARES                X                 1     280692   0     8055
COMCAST CORP NEW   COMMON
  A                STOCK    20030N101    1509      58203    SHARES                         X        1      55038   0     3165
COMCAST
  CORPORATION      COMMON
  CLASS A NEW      STOCK    20030N101     291      11214    SHARES         X                        2      11214   0        0
COMCAST
  CORPORATION      COMMON
  SPECIAL CLASS A  STOCK    20030N200     629      24500    SHARES         X                        2      24500   0        0
COMCAST CORP-      COMMON
  SPECIAL CL A     STOCK    20030N200     627      24395    SHARES                X                 1      24395   0        0
COMCAST CORP-      COMMON
  SPECIAL CL A     STOCK    20030N200     137       5333    SHARES                         X        1       5133   0      200
COMERICA INC       COMMON
                   STOCK    200340107      70       1232    SHARES                X                 3       1232   0        0
COMMERCE           COMMON
  BANCORP INC N J  STOCK    200519106       7        200    SHARES                X                 1        200   0        0
COMMERCE           COMMON
  BANCORP INC N J  STOCK    200519106      72       2100    SHARES                         X        1       1500   0      600
COMMERCE
  BANCSHARES INC   COMMON
  COM              STOCK    200525103       5        105    SHARES                X                 1        105   0        0
COMMERCIAL CAP     COMMON
  BANCO            STOCK    20162L105      63       3705    SHARES                X                 3       3705   0        0
COMMERCIAL CAP     COMMON
  BANCORP INC      STOCK    20162L105      65       3800    SHARES                X                 1       3800   0        0
COMMUNITY BANK     COMMON
  SYSTEM INC       STOCK    203607106     581      25762    SHARES                X                 1      25762   0        0
COMMUNITY BANKS    COMMON
  INC              STOCK    203628102     398      14229    SHARES         X                               14229   0        0
COMMUNITY BANKS    COMMON
  INC COM          STOCK    203628102     869      31039    SHARES                X                 1      31039   0        0
COMMUNITY BANKS    COMMON
  INC COM          STOCK    203628102    1205      43027    SHARES                         X        1      41646   0     1381
COMMUNITY HEALTH   COMMON
  SYSTEMS INC      STOCK    203668108      84       2200    SHARES                         X        1       2200   0        0
COMPASS            COMMON
  BANCSHARES       STOCK    20449H109      48       1000    SHARES                X                 3       1000   0        0
COMPASS            COMMON
  BANCSHARES INC   STOCK    20449H109      22        450    SHARES                X                 1        450   0        0
COMPEX             COMMON
  TECHNOLOGIES     STOCK    204513105      19       2900    SHARES                X                 3       2900   0        0
COMPEX             COMMON
  TECHNOLOGIES INC STOCK    204513105      19       2900    SHARES                X                 1       2900   0        0


                                   11 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
COMPUTER ASSOC     COMMON
  INTL             STOCK    204912109      99       3500    SHARES                X                 3       3500   0        0
COMPUTER
  ASSOCIATES       COMMON
  INTERNATIONAL    STOCK    204912109      82       2903    SHARES                X                 1       2903   0        0
COMPUTER
  ASSOCIATES       COMMON
  INTERNATIONAL    STOCK    204912109      20        712    SHARES                         X        1        112   0      600
COMPUTER SCIENCES  COMMON
                   STOCK    205363104      71       1400    SHARES                X                 3       1400   0        0
COMPUTER SCIENCES  COMMON
  CORP COM         STOCK    205363104      91       1800    SHARES                X                 1       1800   0        0
COMPUTER SCIENCES  COMMON
  CORP COM         STOCK    205363104      10        200    SHARES                         X        1        200   0        0
COMPUTER TASK      COMMON
  GROUP COM        STOCK    205477102     232      58750    SHARES                X                 1          0   0    58750
COMPUWARE CORP     COMMON
                   STOCK    205638109       3        300    SHARES                X                 1        300   0        0
COMPUWARE CORP     COMMON
                   STOCK    205638109      13       1500    SHARES                         X        1       1500   0        0
COMPUWARE CORP     COMMON
                   STOCK    205638109      26       2900    SHARES                X                 3       2900   0        0
COMSTOCK RES INC   COMMON
                   STOCK    205768203      31       1000    SHARES                X                 3       1000   0        0
COMSTOCK           COMMON
  RESOURCES INC    STOCK    205768203      43       1400    SHARES                X                 1       1400   0        0
COMVERSE           COMMON
  TECHNOLOGY       STOCK    205862402      40       1500    SHARES                X                 3       1500   0        0
COMVERSE
  TECHNOLOGY INC   COMMON
  COM              STOCK    205862402      16        600    SHARES                X                 1        600   0        0
COMVERSE
  TECHNOLOGY INC   COMMON
  COM              STOCK    205862402      17        650    SHARES                         X        1        650   0        0
CONAGRA FOODS INC  COMMON
                   STOCK    205887102      44       2166    SHARES                X                 1       1866   0      300
CONAGRA FOODS INC  COMMON
                   STOCK    205887102     105       5163    SHARES                         X        1       5163   0        0
CONAGRA FOODS INC  COMMON
                   STOCK    205887102      79       3900    SHARES                X                 3       3900   0        0
CONCURRENT         COMMON
  COMPUTER         STOCK    206710204      19      10000    SHARES                X                 3      10000   0        0
CONCURRENT
  COMPUTER         COMMON
  CORPORATION      STOCK    206710204      22      11400    SHARES                X                 1      11400   0        0
CONOCOPHILLIPS     COMMON
                   STOCK    20825C104   12416     213402    SHARES                X                 1     210231   0     3171
CONOCOPHILLIPS     COMMON
                   STOCK    20825C104    3581      61549    SHARES                         X        1      56499   0     5050
CONOCOPHILLIPS     COMMON
                   STOCK    20825C104    9796     168382    SHARES                X                 3     164722   0     3660
CONSOL ENERGY INC  COMMON
                   STOCK    20854P109     707      10845    SHARES                X                 1      10845   0        0
CONSOL ENERGY INC  COMMON
                   STOCK    20854P109    2134      32733    SHARES                X                 3      32733   0        0
CONSOLDTD EDISON   COMMON
  INC              STOCK    209115104      86       1860    SHARES                X                 3       1860   0        0
CONSOLIDATED       COMMON
  EDISON INC COM   STOCK    209115104     201       4330    SHARES                X                 1       4330   0        0
CONSOLIDATED       COMMON
  EDISON INC COM   STOCK    209115104     359       7747    SHARES                         X        1       7747   0        0
CONSTELLATION      COMMON
  BRANDS           STOCK A  21036P108      39       1500    SHARES                X                 3       1500   0        0
CONSTELLATION      COMMON
  BRANDS INC CL A  STOCK    21036P108       5        190    SHARES                X                 1        190   0        0
CONSTELLATION      COMMON
  BRANDS INC CL A  STOCK    21036P108      21        800    SHARES                         X        1        800   0        0
CONSTELLATION
  BRANDS INC CLASS COMMON
  A                STOCK    21036P108    1517      57850    SHARES         X                        2      57850   0        0
CONSTELLATION
  ENERGY GROUP INC COMMON
  COM              STOCK    210371100    4677      81203    SHARES                X                 1      81203   0        0
CONSTELLATION
  ENERGY GROUP INC COMMON
  COM              STOCK    210371100    4886      84820    SHARES                         X        1      80220   0     4600
CONSTELLATION
  ENERGY GROUP INC COMMON
  COM              STOCK    210371100      84       1460    SHARES                X                 3       1460   0        0
CONSTELLATION
  ENERGY GROUP INC COMMON
  COM              STOCK    210371100      37        650    SHARES                         X        3        650   0        0
CONSTELLATION      COMMON
  ENRGY            STOCK    210371100      78       1355    SHARES                X                 3       1355   0        0
CONTINENTAL        COMMON
  AIRLINES CL B    STOCK    210795308       4        200    SHARES                         X        1        200   0        0
CONVERGYS CORP     COMMON
                   STOCK    212485106      11        700    SHARES                         X        1        700   0        0
CONVERGYS CORP     COMMON
                   STOCK    212485106      17       1100    SHARES                X                 3       1100   0        0
COOPER CAMERON     COMMON
  CORP COM         STOCK    216640102      47       1132    SHARES                X                 1       1132   0        0
COOPER INDS LTD    COMMON
                   STOCK A  G24182100      52        710    SHARES                X                 3        710   0        0
COOPER TIRE &      COMMON
  RUBBER           STOCK    216831107       7        455    SHARES                X                 3        455   0        0
COOPER TIRE &      COMMON
  RUBBER CO        STOCK    216831107      11        700    SHARES                X                 1        700   0        0
CORN PRODS INTL    COMMON
  INC COM          STOCK    219023108      61       2540    SHARES                X                 1       2540   0        0
CORN PRODS INTL    COMMON
  INC COM          STOCK    219023108     138       5756    SHARES                         X        1       5756   0        0
CORNING INC        COMMON
                   STOCK    219350105    2881     146551    SHARES                X                 1     145551   0     1000
CORNING INC        COMMON
                   STOCK    219350105     765      38915    SHARES                         X        1      37165   0     1750
CORNING INC        COMMON
                   STOCK    219350105     341      17341    SHARES                X                 3      17341   0        0
CORNING            COMMON
  INCORPORATED     STOCK    219350105    1915      97375    SHARES                X                 3      97375   0        0
CORTEX
  PHARMACEUTICALS  COMMON
  INC              STOCK    220524300       3       1390    SHARES                         X        1       1390   0        0
COSTCO WHOLESALE   COMMON
  CORP COM         STOCK    22160K105     422       8525    SHARES                X                 1       8300   0      225
COSTCO WHOLESALE   COMMON
  CORP COM         STOCK    22160K105     270       5450    SHARES                         X        1       5450   0        0
COSTCO WHOLESALE   COMMON
  CORP COM         STOCK    22160K105     596      12030    SHARES                X                 3      12030   0        0
COUNTRYWIDE        COMMON
  FINANCIAL CORP   STOCK    222372104      47       1388    SHARES                X                 1       1388   0        0


                                   12 of 59





                                                         SEC USE
                                                                              COLUMN 6                      COLUMN 8
                                                      COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                              ------------------------ ---------------------- -------- -------------------
                                               SHARES
                COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1     TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                              
COUNTRYWIDE
  FINANCIAL      COMMON
  CORP           STOCK   222372104      41       1200    SHARES                         X        1          0   0    1200
COUNTRYWIDE      COMMON
  FINL           STOCK   222372104     156       4558    SHARES                X                 3       4558   0       0
COVANCE INC      COMMON
  COM            STOCK   222816100      37        767    SHARES                X                 1        767   0       0
COVANCE INC      COMMON
  COM            STOCK   222816100      62       1283    SHARES                         X        1       1283   0       0
COVENTRY         COMMON
  HEALTH CAR     STOCK   222862104      77       1350    SHARES                X                 3       1350   0       0
COVENTRY
  HEALTH CARE    COMMON
  INC            STOCK   222862104      32        562    SHARES                X                 1        562   0       0
COVENTRY
  HEALTH CARE    COMMON
  INCORPORATED   STOCK   222862104    2523      44300    SHARES         X                        2      44300   0       0
CRANE CO         COMMON
                 STOCK   224399105     361      10246    SHARES                         X        1      10246   0       0
CRAY INC         COMMON
                 STOCK   225223106       0        300    SHARES                X                 1        300   0       0
CREE RESEARCH    COMMON
  INC COM        STOCK   225447101      25       1000    SHARES                         X        1          0   0    1000
CROWN            COMMON
  HOLDINGS INC   STOCK   228368106       1         52    SHARES                X                 1         52   0       0
CSX CORP         COMMON
                 STOCK   126408103    1881      37040    SHARES                X                 1      37040   0       0
CSX CORP         COMMON
                 STOCK   126408103     918      18075    SHARES                         X        1      13475   0    4600
CSX CORP         COMMON
                 STOCK   126408103      85       1670    SHARES                X                 3       1670   0       0
CUMMINS INC      COMMON
                 STOCK   231021106      28        310    SHARES                X                 3        310   0       0
CUMMINS INC      COMMON
  COM            STOCK   231021106       9        100    SHARES                X                 1        100   0       0
CURTISS WRIGHT   COMMON
  CORP           STOCK   231561101      46        838    SHARES                X                 1        838   0       0
CUTERA INC       COMMON
                 STOCK   232109108      11        400    SHARES                X                 1        400   0       0
CV
  THERAPEUTICS   COMMON
  INC            STOCK   126667104      20        800    SHARES                X                 1        800   0       0
CV
  THERAPEUTICS   COMMON
  INC            STOCK   126667104      20        800    SHARES                X                 3        800   0       0
CVS CORP         COMMON
                 STOCK   126650100     163       6180    SHARES                X                 3       6180   0       0
CVS CORP COM     COMMON
                 STOCK   126650100    1017      38500    SHARES                X                 1      38500   0       0
CVS CORP COM     COMMON
                 STOCK   126650100     277      10500    SHARES                         X        1       9900   0     600
CYPRESS
  SEMICONDUCTOR  COMMON
  CORP COM       STOCK   232806109      86       6000    SHARES                X                 1       6000   0       0
CYPRESS          COMMON
  SEMICONDUCTR   STOCK   232806109      63       4400    SHARES                X                 3       4400   0       0
CYTEC
  INDUSTRIES     COMMON
  INC COM        STOCK   232820100       5        100    SHARES                X                 1        100   0       0
CYTYC CORP       COMMON
                 STOCK   232946103     527      18665    SHARES                X                 1      18665   0       0
CYTYC CORP       COMMON
                 STOCK   232946103    1665      59000    SHARES                X                 3      59000   0       0
D R HORTON INC   COMMON
                 STOCK   23331A109     323       9032    SHARES                X                 1       9032   0       0
D R HORTON INC   COMMON
                 STOCK   23331A109     145       4062    SHARES                         X        1       4062   0       0
D R HORTON INC   COMMON
                 STOCK   23331A109      75       2100    SHARES                X                 3       2100   0       0
DANA CORP        COMMON
                 STOCK   235811106       8       1181    SHARES                X                 3       1181   0       0
DANA             COMMON
  CORPORATION    STOCK   235811106       3        400    SHARES                X                 1        400   0       0
DANAHER CORP     COMMON
                 STOCK   235851102     100       1800    SHARES                X                 3       1800   0       0
DANAHER CORP     COMMON
  COM            STOCK   235851102    1036      18580    SHARES                X                 1      18580   0       0
DANAHER CORP     COMMON
  COM            STOCK   235851102      70       1246    SHARES                         X        1       1086   0     160
DANAHER          COMMON
  CORPORATION    STOCK   235851102     429       7690    SHARES         X                        2       7690   0       0
DARDEN           COMMON
  RESTAURANT     STOCK   237194105      41       1050    SHARES                X                 3       1050   0       0
DARDEN
  RESTAURANTS    COMMON
  INC COM        STOCK   237194105    1477      37995    SHARES                X                 1      37995   0       0
DARDEN
  RESTAURANTS    COMMON
  INC COM        STOCK   237194105     423      10890    SHARES                         X        1      10890   0       0
DAVITA INC
  WITH
  ATTACHED       COMMON
  RIGHTS         STOCK   23918K108      78       1537    SHARES                         X        1       1237   0     300
DECODE           COMMON
  GENETICS INC   STOCK   243586104       2        200    SHARES                X                 1        200   0       0
DEERE & CO       COMMON
                 STOCK   244199105    1518      22281    SHARES                X                 1      21981   0     300
DEERE & CO       COMMON
                 STOCK   244199105     460       6755    SHARES                         X        1       6012   0     743
DEERE & CO       COMMON
                 STOCK   244199105      82       1200    SHARES                X                 3          0   0    1200
DEERE & CO       COMMON
                 STOCK   244199105     126       1855    SHARES                X                 3       1855   0       0
DEL MONTE        COMMON
  FOODS CO       STOCK   24522P103      18       1766    SHARES                X                 1       1766   0       0
DEL MONTE        COMMON
  FOODS CO       STOCK   24522P103      24       2337    SHARES                         X        1       2337   0       0
DELL INC         COMMON
                 STOCK   24702R101   10573     353029    SHARES                X                 1     345573   0    7456
DELL INC         COMMON
                 STOCK   24702R101    1926      64301    SHARES                         X        1      59261   0    5040
DELL INC         COMMON
                 STOCK   24702R101   10181     339938    SHARES                X                 3     330544   0    9394
DENBURY RES      COMMON
  INC            STOCK   247916208      30       1300    SHARES                X                 3       1300   0       0
DENBURY
  RESOURCES      COMMON
  INCORPORATED   STOCK   247916208      41       1800    SHARES                X                 1       1800   0       0
DENTSPLY
  INTERNATIONAL  COMMON
  INC COM        STOCK   249030107     392       7310    SHARES                X                 1       7310   0       0
DENTSPLY
  INTERNATIONAL  COMMON
  INC COM        STOCK   249030107     256       4775    SHARES                         X        1       4775   0       0


                                   13 of 59





                                                         SEC USE
                                                                             COLUMN 6                      COLUMN 8
                                                     COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                             ------------------------ ---------------------- -------- -------------------
                                              SHARES
               COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1    TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER  CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                             
DESIGN WITHIN  COMMON
  REACH INC    STOCK    250557105       1        250    SHARES                X                 1        250   0       0
DEVON
  ENERGY       COMMON
  CORP         STOCK    25179M103    4740      75799    SHARES                X                 3      73523   0    2276
DEVON
  ENERGY
  CORP NEW     COMMON
  COM          STOCK    25179M103    2011      32162    SHARES                X                 1      31069   0    1093
DEVON
  ENERGY
  CORP NEW     COMMON
  COM          STOCK    25179M103     242       3868    SHARES                         X        1       3468   0     400
DEVRY INC      COMMON
               STOCK    251893103      34       1700    SHARES                X                 1       1700   0       0
DIAMOND
  OFFSHORE
  DRILLING     COMMON
  COM          STOCK    25271C102       3         50    SHARES                X                 1         50   0       0
DIAMONDS TR    COMMON
  UNIT SER 1   STOCK    252787106     246       2300    SHARES                X                 1       2300   0       0
DICKS
  SPORTING     COMMON
  GOODS INC    STOCK    253393102      13        400    SHARES                X                 1        400   0       0
DIEBOLD INC    COMMON
               STOCK    253651103      18        463    SHARES                X                 1        463   0       0
DIEBOLD INC    COMMON
               STOCK    253651103      13        350    SHARES                         X        1        350   0       0
DIGENE CORP    COMMON
               STOCK    253752109      39       1350    SHARES                X                 3       1350   0       0
DIGENE CORP    COMMON
  COMMON       STOCK    253752109      45       1550    SHARES                X                 1       1550   0       0
DIGITAS INC    COMMON
               STOCK    25388K104      35       2800    SHARES                X                 3       2800   0       0
DIGITAS INC    COMMON
  COM          STOCK    25388K104      44       3500    SHARES                X                 1       3500   0       0
DILLARDS INC   COMMON
               STOCK A  254067101      12        480    SHARES                X                 3        480   0       0
DISCOVERY      COMMON
  HOLDING CO   STOCK    25468Y206      40       2600    SHARES                         X        1       2600   0       0
DISCOVERY
  HOLDING      COMMON
  CO-A         STOCK    25468Y107     100       6602    SHARES                X                 1       6602   0       0
DISCOVERY
  HOLDING      COMMON
  CO-A         STOCK    25468Y107      98       6500    SHARES                         X        1       6500   0       0
DISNEY WALT    COMMON
  COMPANY      STOCK    254687106     214       8946    SHARES         X                        2       8946   0       0
DOCUMENT
  SECURITIES   COMMON
  SYSTEMS INC  STOCK    25614T101       0          1    SHARES                X                 1          1   0       0
DOLBY
  LABORATORIES COMMON
  INC CL A     STOCK    25659T107       2        100    SHARES                X                 1        100   0       0
DOLLAR GEN     COMMON
  CORP         STOCK    256669102       2        130    SHARES                         X        1        130   0       0
DOLLAR GEN     COMMON
  CORP         STOCK    256669102      47       2450    SHARES                X                 3       2450   0       0
DOLLAR TREE    COMMON
  STORES       STOCK    256747106      31       1300    SHARES                X                 3       1300   0       0
DOLLAR TREE
  STORES INC   COMMON
  COM          STOCK    256747106      43       1800    SHARES                X                 1       1800   0       0
DOMINION RES   COMMON
  INC VA       STOCK    25746U109     238       3084    SHARES                X                 3       2600   0     484
DOMINION
  RESOURCES
  BLACK        COMMON
  WARRIOR TR   STOCK    25746Q108      73       1500    SHARES                X                 1       1500   0       0
DOMINION
  RESOURCES
  INC COM      COMMON
  NEW          STOCK    25746U109    4588      59432    SHARES                X                 1      59432   0       0
DOMINION
  RESOURCES
  INC COM      COMMON
  NEW          STOCK    25746U109    3615      46821    SHARES                         X        1      41803   0    5018
DONEGAL
  GROUP INC    COMMON
  CL A         STOCK    257701201      29       1264    SHARES                X                 1       1264   0       0
DONEGAL
  GROUP INC    COMMON
  CL B         STOCK    257701300      13        632    SHARES                X                 1        632   0       0
DONNELLEY R    COMMON
  R & SONS     STOCK    257867101      55       1605    SHARES                X                 3       1605   0       0
DONNELLY R R   COMMON
  & SONS CO    STOCK    257867101     140       4099    SHARES                X                 1       4099   0       0
DONNELLY R R   COMMON
  & SONS CO    STOCK    257867101     151       4400    SHARES                         X        1       4400   0       0
DOVER CORP     COMMON
               STOCK    260003108    1875      46304    SHARES                X                 1      46304   0       0
DOVER CORP     COMMON
               STOCK    260003108    1579      38998    SHARES                         X        1      31598   0    7400
DOVER CORP     COMMON
               STOCK    260003108      61       1510    SHARES                X                 3       1510   0       0
DOW
  CHEMICAL     COMMON
  CO COM       STOCK    260543103    6924     158021    SHARES                X                 1     157796   0     225
DOW
  CHEMICAL     COMMON
  CO COM       STOCK    260543103    3358      76630    SHARES                         X        1      75130   0    1500
DOW
  CHEMICAL     COMMON
  CO COM       STOCK    260543103     789      18000    SHARES                X                 3      10800   0    7200
DOW
  CHEMICAL     COMMON
  COMPANY      STOCK    260543103    1783      40700    SHARES         X                        2      40700   0       0
DOW
  CHEMICAL     COMMON
  COMPANY      STOCK    260543103     323       7382    SHARES                X                 3       7382   0       0
DOW JONES &    COMMON
  CO INC       STOCK    260561105      15        425    SHARES                X                 3        425   0       0
DOW JONES &    COMMON
  CO INC COM   STOCK    260561105      15        432    SHARES                         X        1          0   0     432
DPL INC        COMMON
               STOCK    233293109      95       3635    SHARES                X                 1       3635   0       0
DPL INC        COMMON
               STOCK    233293109     105       4051    SHARES                         X        1       4051   0       0
DREAMWORKS     COMMON
  ANIMATION    STOCK A  26153C103      27       1100    SHARES                X                 3       1100   0       0
DREAMWORKS
  ANIMATION    COMMON
  SKG INC-A    STOCK    26153C103      29       1200    SHARES                X                 1       1200   0       0
DREYER'S
  GRAND ICE
  CREAM        COMMON
  HLDGS        STOCK    261877104      17        200    SHARES                         X        1        200   0       0
DRS
  TECHNOLOGIES COMMON
  INCORPORATED STOCK    23330X100       5        100    SHARES                X                 1        100   0       0
DRYCLEAN USA   COMMON
  INC          STOCK    262432107       1        350    SHARES                X                 1        350   0       0
DTE ENERGY     COMMON
  CO           STOCK    233331107    1355      31368    SHARES                X                 1      30193   0    1175
DTE ENERGY     COMMON
  CO           STOCK    233331107     931      21550    SHARES                         X        1      16222   0    5328
DTE ENERGY     COMMON
  CO           STOCK    233331107      13        300    SHARES                X                 3          0   0     300
DTE ENERGY     COMMON
  CO           STOCK    233331107      58       1345    SHARES                X                 3       1345   0       0


                                   14 of 59





                                                         SEC USE
                                                                              COLUMN 6                      COLUMN 8
                                                      COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                              ------------------------ ---------------------- -------- -------------------
                                               SHARES
                COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1     TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                              
DU PONT E I DE  COMMON
  NEMOU         STOCK    263534109     325       7650    SHARES                X                 3       7650   0       0
DU PONT E I DE
  NEMOURS &     COMMON
  COMPANY       STOCK    263534109     625      14715    SHARES         X                        2      14715   0       0
DUKE ENERGY     COMMON
  CORP          STOCK    264399106     849      30945    SHARES                X                 1      30570   0     375
DUKE ENERGY     COMMON
  CORP          STOCK    264399106     910      33143    SHARES                         X        1      32643   0     500
DUKE ENERGY     COMMON
  CORP          STOCK    264399106     232       8434    SHARES                X                 3       6534   0    1900
DUKE ENERGY     COMMON
  CORP          STOCK    264399106     194       7075    SHARES                X                 3       7075   0       0
DUKE ENERGY     COMMON
  CORP          STOCK    264399106      26        950    SHARES                         X        3        950   0       0
DUN &
  BRADSTREET    COMMON
  CORP          STOCK    26483E100      64        949    SHARES                X                 1        949   0       0
DUN &
  BRADSTREET    COMMON
  CORP          STOCK    26483E100     127       1900    SHARES                         X        1       1900   0       0
DUPONT EI DE
  NEMOURS &     COMMON
  CO COM        STOCK    263534109    8807     207233    SHARES                X                 1     206908   0     325
DUPONT EI DE
  NEMOURS &     COMMON
  CO COM        STOCK    263534109    9061     213206    SHARES                         X        1     206806   0    6400
DUPONT EI DE
  NEMOURS &     COMMON
  CO COM        STOCK    263534109      94       2200    SHARES                X                 3       1000   0    1200
DUQUESNE
  LIGHT         COMMON
  HOLDINGS INC  STOCK    266233105      33       2035    SHARES                X                 1       2035   0       0
DUQUESNE
  LIGHT         COMMON
  HOLDINGS INC  STOCK    266233105      10        600    SHARES                         X        1        600   0       0
DYNEGY INC      COMMON
                STOCK A  26816Q101      45       9200    SHARES                X                 3       9200   0       0
DYNEGY INC CL   COMMON
  A             STOCK    26816Q101      46       9460    SHARES                X                 1       9460   0       0
E M C
  CORPORATION   COMMON
  MASSACHUSETTS STOCK    268648102    2322     170500    SHARES         X                        2     170500   0       0
E TRADE FINL    COMMON
  CORP          STOCK    269246104      58       2800    SHARES                X                 3       2800   0       0
E*TRADE
  FINANCIAL     COMMON
  CORPORATION   STOCK    269246104      12        580    SHARES                X                 1        580   0       0
EAGLE
  MATERIALS     COMMON
  INC CL B      STOCK    26969P207      10         89    SHARES                X                 1         89   0       0
EAGLE
  MATERIALS
  INC COM W     COMMON
  RIGHTS        STOCK    26969P108       3         26    SHARES                X                 1         26   0       0
EARTHLINK INC   COMMON
  COM           STOCK    270321102       9        807    SHARES                X                 1        807   0       0
EASTGROUP
  PROPERTIES    COMMON
  INCORPORATED  STOCK    277276101     370       8200    SHARES         X                        2       8200   0       0
EASTMAN CHEM    COMMON
  CO            STOCK    277432100      36        700    SHARES                X                 3        700   0       0
EASTMAN
  CHEMICAL
  COMPANY       COMMON
  COM           STOCK    277432100      48        930    SHARES                X                 1        930   0       0
EASTMAN
  CHEMICAL
  COMPANY       COMMON
  COM           STOCK    277432100     121       2355    SHARES                         X        1       1855   0     500
EASTMAN         COMMON
  KODAK CO      STOCK    277461109      51       2160    SHARES                X                 3       2160   0       0
EASTMAN
  KODAK CO      COMMON
  COM           STOCK    277461109      75       3205    SHARES                X                 1       3205   0       0
EASTMAN
  KODAK CO      COMMON
  COM           STOCK    277461109     223       9526    SHARES                         X        1       9526   0       0
EATON CORP      COMMON
                STOCK    278058102      73       1090    SHARES                X                 3       1090   0       0
EATON CORP      COMMON
  COM           STOCK    278058102     519       7735    SHARES                X                 1       7735   0       0
EATON CORP      COMMON
  COM           STOCK    278058102     127       1900    SHARES                         X        1       1900   0       0
EATON VANCE     COMMON
  CORP          STOCK    278265103       9        330    SHARES                X                 1        330   0       0
EBAY INC        COMMON
                STOCK    278642103    4424     102360    SHARES                X                 3     102360   0       0
EBAY INC COM    COMMON
                STOCK    278642103    4948     114481    SHARES                X                 1     112303   0    2178
EBAY INC COM    COMMON
                STOCK    278642103     605      13996    SHARES                         X        1      10736   0    3260
EBAY INC COM    COMMON
                STOCK    278642103    1009      23339    SHARES                X                 3      19089   0    4250
EBAY INC COM    COMMON
                STOCK    278642103     174       4030    SHARES                X                 3       4030   0       0
ECLIPSYS CORP   COMMON
  COM           STOCK    278856109      30       1600    SHARES                         X        1       1600   0       0
ECOLAB INC      COMMON
                STOCK    278865100      50       1390    SHARES                X                 3       1390   0       0
ECOLAB INC COM  COMMON
                STOCK    278865100    1025      28250    SHARES                X                 1      28250   0       0
ECOLAB INC COM  COMMON
                STOCK    278865100      92       2550    SHARES                         X        1       2550   0       0
EDISON
  INTERNATIONAL COMMON
  COM           STOCK    281020107      44       1010    SHARES                X                 1       1010   0       0
EDISON INTL     COMMON
                STOCK    281020107     107       2465    SHARES                X                 3       2465   0       0
EDUCATION       COMMON
  MGMT CORP     STOCK    28139T101    1314      39226    SHARES                X                 3      39226   0       0
EDUCATIONAL
  MANAGEMENT    COMMON
  CORP COM      STOCK    28139T101     482      14370    SHARES                X                 1      14370   0       0
EDWARDS
  LIFESCIENCES  COMMON
  CORP COM      STOCK    28176E108    1484      35657    SHARES                X                 1      33527   0    2130
EDWARDS
  LIFESCIENCES  COMMON
  CORP COM      STOCK    28176E108     326       7825    SHARES                         X        1       5045   0    2780
EDWARDS
  LIFESCIENCES  COMMON
  CORP COM      STOCK    28176E108      33        800    SHARES                X                 3          0   0     800
EL PASO CORP    COMMON
  COM           STOCK    28336L109      42       3482    SHARES                X                 1       3482   0       0
EL PASO CORP    COMMON
  COM           STOCK    28336L109      43       3496    SHARES                         X        1       3496   0       0
EL PASO         COMMON
  CORPORATION   STOCK    28336L109      62       5083    SHARES                X                 3       5083   0       0
ELECTRIC CITY   COMMON
  CORP          STOCK    284868106      20      32600    SHARES                X                 1      32600   0       0
ELECTRIC CITY   COMMON
  CORP          STOCK    284868106      54      89200    SHARES                X                 3      89200   0       0
ELECTRONIC      COMMON
  ARTS          STOCK    285512109    5092      97386    SHARES                X                 3      97386   0       0


                                   15 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
ELECTRONIC DATA     COMMON
  SYS               STOCK   285661104      94       3925    SHARES                X                 3       3925   0       0
ELECTRONIC DATA
  SYSTEM            COMMON
  CORPORATION       STOCK   285661104      56       2322    SHARES                X                 1       2322   0       0
ELECTRONIC DATA
  SYSTEM            COMMON
  CORPORATION       STOCK   285661104      81       3358    SHARES                         X        1       2958   0     400
ELECTRONICS ARTS    COMMON
  COM               STOCK   285512109    5476     104688    SHARES                X                 1     103049   0    1639
ELECTRONICS ARTS    COMMON
  COM               STOCK   285512109     488       9330    SHARES                         X        1       9080   0     250
ELECTRONICS ARTS    COMMON
  COM               STOCK   285512109     809      15472    SHARES                X                 3      13043   0    2429
ELECTRONICS ARTS    COMMON
  COM               STOCK   285512109     206       3930    SHARES                X                 3       3930   0       0
ELECTRONICS FOR     COMMON
  IMAG              STOCK   286082102     894      33600    SHARES                X                 3      33600   0       0
ELECTRONICS FOR     COMMON
  IMAGING INC COM   STOCK   286082102     359      13490    SHARES                X                 1      13490   0       0
ELECTRONICS FOR     COMMON
  IMAGING INC COM   STOCK   286082102      35       1300    SHARES                         X        1          0   0    1300
ELI LILLY & CO      COMMON
                    STOCK   532457108    1242      21965    SHARES                X                 3      21965   0       0
ELIZABETH ARDEN     COMMON
  INC COM           STOCK   28660G106       4        205    SHARES                X                 1        205   0       0
EMAGEON INC         COMMON
                    STOCK   29076V109      51       3200    SHARES                X                 1       3200   0       0
EMAGEON INC         COMMON
                    STOCK   29076V109      51       3200    SHARES                X                 3       3200   0       0
EMC CORP MASS       COMMON
                    STOCK   268648102    1515     111271    SHARES                X                 3     111271   0       0
EMC CORP MASS COM   COMMON
                    STOCK   268648102    5721     420026    SHARES                X                 1     416076   0    3950
EMC CORP MASS COM   COMMON
                    STOCK   268648102     767      56307    SHARES                         X        1      49437   0    6870
EMC CORP MASS COM   COMMON
                    STOCK   268648102     332      24406    SHARES                X                 3      19006   0    5400
EMDEON              COMMON
  CORPORATION       STOCK   290849108       3        350    SHARES                X                 1        350   0       0
EMERSON ELEC CO     COMMON
                    STOCK   291011104    5796      77596    SHARES                X                 1      76996   0     600
EMERSON ELEC CO     COMMON
                    STOCK   291011104    5233      70060    SHARES                         X        1      62945   0    7115
EMERSON ELEC CO     COMMON
                    STOCK   291011104     236       3160    SHARES                X                 3       3160   0       0
EMERSON ELECTRIC    COMMON
  COMPANY           STOCK   291011104     743       9950    SHARES         X                        2       9950   0       0
ENBRIDGE ENERGY     COMMON
  PARTNERS LP       STOCK   29250R106     115       2627    SHARES                         X        1       2627   0       0
ENCORE MED CORP     COMMON
                    STOCK   29256E109      20       4000    SHARES                X                 3       4000   0       0
ENCORE MEDICAL      COMMON
  CORPORATION       STOCK   29256E109      20       4000    SHARES                X                 1       4000   0       0
ENCYSIVE
  PHARMACEUTICALS   COMMON
  INC               STOCK   29256X107     118      15000    SHARES                         X        1      15000   0       0
ENERGEN CORP        COMMON
                    STOCK   29265N108       1         29    SHARES                         X        1         29   0       0
ENERGIZER HLDGS     COMMON
  INC COM           STOCK   29266R108      70       1412    SHARES                X                 1       1412   0       0
ENERGIZER HLDGS     COMMON
  INC COM           STOCK   29266R108       5        100    SHARES                         X        1        100   0       0
ENERGY
  CONVERSION        COMMON
  DEVICES INC       STOCK   292659109       8        200    SHARES                         X        1        200   0       0
ENERGY EAST CORP    COMMON
  COM               STOCK   29266M109     282      12371    SHARES                X                 1      12371   0       0
ENERGY EAST CORP    COMMON
  COM               STOCK   29266M109     307      13457    SHARES                         X        1      13257   0     200
ENERGY SELECT       COMMON
  SECTOR SPDR FD    STOCK   81369Y506     101       2000    SHARES                         X        1       2000   0       0
ENERGY TRANSFER     COMMON
  PARTNERS LP       STOCK   29273R109      34       1000    SHARES                X                 1       1000   0       0
ENGELHARD CORP      COMMON
                    STOCK   292845104      28        930    SHARES                X                 3        930   0       0
ENGELHARD           COMMON
  CORPORATION COM   STOCK   292845104      61       2025    SHARES                X                 1       2025   0       0
ENGELHARD           COMMON
  CORPORATION COM   STOCK   292845104       9        300    SHARES                         X        1        300   0       0
ENPRO INDUSTRIES    COMMON
                    STOCK   29355X107      22        800    SHARES                         X        1        800   0       0
ENSCO
  INTERNATIONAL     COMMON
  INC COM           STOCK   26874Q100    6175     139227    SHARES                X                 1     135454   0    3773
ENSCO
  INTERNATIONAL     COMMON
  INC COM           STOCK   26874Q100     371       8360    SHARES                         X        1       5970   0    2390
ENSCO
  INTERNATIONAL     COMMON
  INC COM           STOCK   26874Q100    9667     217960    SHARES                X                 3     211570   0    6390
ENTERGY CORP        COMMON
                    STOCK   29364G103     115       1680    SHARES                X                 3       1680   0       0
ENTERGY CORP COM    COMMON
  NEW               STOCK   29364G103      36        525    SHARES                X                 1        525   0       0
ENTERGY CORP COM    COMMON
  NEW               STOCK   29364G103     180       2621    SHARES                         X        1       2621   0       0
ENTERPRISE
  PRODUCTS          COMMON
  PARTNERS LTD PTR  STOCK   293792107      43       1787    SHARES                X                 1       1787   0       0
ENTERPRISE
  PRODUCTS          COMMON
  PARTNERS LTD PTR  STOCK   293792107      43       1810    SHARES                         X        1       1810   0       0
EOG RESOURCES INC   COMMON
                    STOCK   26875P101     925      12621    SHARES                X                 3      12621   0       0
EOG RESOURCES INC   COMMON
  COM               STOCK   26875P101     232       3167    SHARES                X                 1       3167   0       0
EOG RESOURCES INC   COMMON
  COM               STOCK   26875P101      71        970    SHARES                         X        1        970   0       0
EP MEDSYSTEMS INC   COMMON
  COM               STOCK   26881P103      23       8000    SHARES                         X        1       8000   0       0
EQUIFAX INC         COMMON
                    STOCK   294429105      39       1025    SHARES                X                 3       1025   0       0
EQUIFAX INC COM     COMMON
                    STOCK   294429105      95       2500    SHARES                         X        1       2500   0       0
EQUITABLE
  RESOURCES INC     COMMON
  COM               STOCK   294549100    1126      30700    SHARES                X                 1      30700   0       0
EQUITABLE
  RESOURCES INC     COMMON
  COM               STOCK   294549100     150       4100    SHARES                         X        1       4100   0       0


                                   16 of 59





                                                          SEC USE
                                                                              COLUMN 6                       COLUMN 8
                                                      COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7   VOTING AUTHORITY
                                              ------------------------ ---------------------- -------- ---------------------
                                               SHARES
                COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1     TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                               
EQUITY OFFICE   COMMON
  PPTYS         STOCK    294741103      94        3100   SHARES                X                 3        3100   0         0
EQUITY          COMMON
  RESIDENTIAL   STOCK    29476L107      84        2150   SHARES                X                 3        2150   0         0
ERIE INDEMNITY  COMMON
  CO CL A       STOCK    29530P102    8488      159550   SHARES                X                 1      159550   0         0
ESSEX           COMMON
  CORPORATION   STOCK    296744105       9         500   SHARES                         X        1         500   0         0
ESTEE LAUDER    COMMON
  CO            STOCK A  518439104    6366      190128   SHARES                X                 3      190128   0         0
EVERGREEN       COMMON
  SOLAR INC     STOCK    30033R108      63        5900   SHARES                X                 1        5900   0         0
EVERGREEN       COMMON
  SOLAR INC     STOCK    30033R108      46        4300   SHARES                X                 3        4300   0         0
EXELON CORP     COMMON
                STOCK    30161N101     300        5632   SHARES                X                 3        5132   0       500
EXELON CORP     COMMON
  COM           STOCK    30161N101    4835       90994   SHARES                X                 1       90994   0         0
EXELON CORP     COMMON
  COM           STOCK    30161N101    1790       33685   SHARES                         X        1       32535   0      1150
EXPEDIA INC     COMMON
                STOCK    30212P105      84        3500   SHARES                         X        1        3500   0         0
EXPEDITORS
  INTL WASH INC COMMON
  COM           STOCK    302130109      81        1200   SHARES                X                 1        1200   0         0
EXPRESS SCRIPTS COMMON
  INC           STOCK    302182100   12752      152169   SHARES                X                 1      148124   0      4045
EXPRESS SCRIPTS COMMON
  INC           STOCK    302182100    3150       37585   SHARES                         X        1       35425   0      2160
EXPRESS SCRIPTS COMMON
  INC           STOCK    302182100    1139       13587   SHARES                X                 3       10778   0      2809
EXPRESS SCRIPTS COMMON
  INC           STOCK    302182100    6479       77306   SHARES                X                 3       77306   0         0
EXXON MOBIL     COMMON
  CORP          STOCK    30231G102   78233     1392782   SHARES                X                 1     1379364   0     13418
EXXON MOBIL     COMMON
  CORP          STOCK    30231G102   67091     1194432   SHARES                         X        1     1074390   0    120042
EXXON MOBIL     COMMON
  CORP          STOCK    30231G102   27771      494414   SHARES                X                 3      479395   0     15019
EXXON MOBIL     COMMON
  CORP          STOCK    30231G102      75        1329   SHARES                         X        3        1329   0         0
EXXON MOBIL     COMMON
  CORPORATION   STOCK    30231G102     929       16545   SHARES         X                        2       16545   0         0
F N B CORP PA   COMMON
  COM           STOCK    302520101      54        3128   SHARES                X                 1        3128   0         0
F5 NETWORKS     COMMON
  INC           STOCK    315616102     122        2140   SHARES                X                 1        2140   0         0
F5 NETWORKS     COMMON
  INC           STOCK    315616102     360        6300   SHARES                X                 3        6300   0         0
FACTSET
  RESEARCH      COMMON
  SYSTEMS INC   STOCK    303075105      37         900   SHARES                         X        1         900   0         0
FAIRCHILD       COMMON
  SEMICONDU     STOCK    303726103      19        1100   SHARES                X                 3        1100   0         0
FAIRCHILD
  SEMICONDUCTOR COMMON
  INTL INC      STOCK    303726103      20        1200   SHARES                X                 1        1200   0         0
FAMILY DLR      COMMON
  STORES COM    STOCK    307000109       9         350   SHARES                         X        1         350   0         0
FAMILY DOLLAR   COMMON
  STORES        STOCK    307000109      31        1250   SHARES                X                 3        1250   0         0
FASTENAL CO     COMMON
                STOCK    311900104     230        5885   SHARES                X                 1        5885   0         0
FASTENAL CO     COMMON
                STOCK    311900104     748       19100   SHARES                X                 3       19100   0         0
FEATHERLITE     COMMON
  INCORPORATED  STOCK    313054108     192       45422   SHARES                         X        1       45422   0         0
FED NATL MTG    COMMON
  ASSN COM      STOCK    313586109    6480      132767   SHARES                X                 1      131167   0      1600
FED NATL MTG    COMMON
  ASSN COM      STOCK    313586109    2608       53426   SHARES                         X        1       51526   0      1900
FED NATL MTG    COMMON
  ASSN COM      STOCK    313586109     195        4000   SHARES                X                 3           0   0      4000
FED NATL MTG    COMMON
  ASSN COM      STOCK    313586109      11         230   SHARES                         X        3         230   0         0
FEDERAL NTL     COMMON
  MTG ASSN      STOCK    313586109     362        7425   SHARES                X                 3        7425   0         0
FEDERAL SIGNAL  COMMON
  CORP          STOCK    313855108      15        1000   SHARES                X                 1        1000   0         0
FEDERATED
  DEPARTMENT
  STORES        COMMON
  DELAWARE      STOCK    31410H101     426       10021   SHARES         X                        2       10021   0         0
FEDERATED DEPT  COMMON
  STORE         STOCK    31410H101     137        2058   SHARES                X                 3        2058   0         0
FEDERATED DEPT  COMMON
  STORES INC    STOCK    31410H101     311        4690   SHARES                X                 1        4690   0         0
FEDERATED DEPT  COMMON
  STORES INC    STOCK    31410H101      50         749   SHARES                         X        1         749   0         0
FEDERATED INVS  COMMON
  INC           STOCK B  314211103      30         800   SHARES                X                 3         800   0         0
FEDEX CORP COM  COMMON
                STOCK    31428X106     540        5220   SHARES                X                 1        5220   0         0
FEDEX CORP COM  COMMON
                STOCK    31428X106     336        3245   SHARES                         X        1        2795   0       450
FEDEX           COMMON
  CORPORATION   STOCK    31428X106     240        2317   SHARES                X                 3        2317   0         0
FIFTH THIRD     COMMON
  BANCORP       STOCK    316773100     162        4300   SHARES                X                 3        4300   0         0
FIFTH THIRD     COMMON
  BANCORP COM   STOCK    316773100     690       18287   SHARES                X                 1       18287   0         0
FIFTH THIRD     COMMON
  BANCORP COM   STOCK    316773100      45        1200   SHARES                         X        1        1200   0         0
FIFTH THIRD     COMMON
  BANCORP COM   STOCK    316773100     264        7000   SHARES                X                 3           0   0      7000
FIRST DATA CORP COMMON
                STOCK    319963104     254        5914   SHARES                X                 3        5914   0         0
FIRST DATA CORP COMMON
  COM           STOCK    319963104    2088       48541   SHARES                X                 1       48191   0       350
FIRST DATA CORP COMMON
  COM           STOCK    319963104    1354       31490   SHARES                         X        1       28590   0      2900
FIRST DATA      COMMON
  CORPORATION   STOCK    319963104     669       15551   SHARES         X                        2       15551   0         0
FIRST HORIZON
  NATIONAL      COMMON
  CORP          STOCK    320517105      12         300   SHARES                X                 1         300   0         0


                                   17 of 59





                                                          SEC USE
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                ------------------------ ---------------------- -------- -------------------
                                                 SHARES
                  COLUMN 2            COLUMN 4     OR      SHARES   PUT
    COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
----------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
FIRST HORIZON     COMMON
  NATL            STOCK    320517105      35        900    SHARES                X                 3        900   0       0
FIRST
  MARBLEHEAD      COMMON
  CORP            STOCK    320771108     499      15200    SHARES         X                        2      15200   0       0
FIRST MARINER
  BANCORP         COMMON
  INCORPORATED    STOCK    320795107      61       3500    SHARES                         X        1       3500   0       0
FIRST NIAGARA
  FINANCIAL       COMMON
  GROUP           STOCK    33582V108       4        292    SHARES                X                 1        292   0       0
FIRST STATE
  FINANCIAL CORP  COMMON
  FLORIDA         STOCK    33708M206      50       3253    SHARES                X                 1       3253   0       0
FIRST UNITED CORP COMMON
  COM             STOCK    33741H107     185       8708    SHARES                X                 1       8708   0       0
FIRST UNITED CORP COMMON
  COM             STOCK    33741H107      62       2927    SHARES                         X        1        200   0    2727
FIRSTENERGY       COMMON
  CORP            STOCK    337932107     122       2488    SHARES                X                 3       2488   0       0
FIRSTENERGY       COMMON
  CORP COM        STOCK    337932107     456       9307    SHARES                X                 1       9307   0       0
FIRSTENERGY       COMMON
  CORP COM        STOCK    337932107     407       8310    SHARES                         X        1       8310   0       0
FISERV INC        COMMON
                  STOCK    337738108      14        334    SHARES                X                 1        220   0     114
FISERV INC        COMMON
                  STOCK    337738108       9        200    SHARES                         X        1          0   0     200
FISERV INC        COMMON
                  STOCK    337738108      63       1450    SHARES                X                 3       1450   0       0
FISERV            COMMON
  INCORPORATED    STOCK    337738108    1423      32886    SHARES         X                        2      32886   0       0
FISHER SCNTIFC    COMMON
  INTL            STOCK    338032204      56        900    SHARES                X                 3        900   0       0
FIVE STAR
  QUALITY CARE    COMMON
  INC             STOCK    33832D106       0         10    SHARES                         X        1          0   0      10
FLANDERS          COMMON
  CORPORATION     STOCK    338494107    1078      88673    SHARES         X                        2      88673   0       0
FLORIDA EAST
  COAST           COMMON
  INDUSTRIES      STOCK    340632108       0          8    SHARES                         X        1          8   0       0
FLORIDA ROCK      COMMON
  INDUSTRIES      STOCK    341140101      23        475    SHARES                         X        1        475   0       0
FLUOR CORP NEW    COMMON
  COM             STOCK    343412102     362       4689    SHARES                X                 1       4689   0       0
FLUOR CORP NEW    COMMON
  COM             STOCK    343412102     127       1650    SHARES                         X        1       1650   0       0
FLUOR             COMMON
  CORPORATION     STOCK    343412102      58        755    SHARES                X                 3        755   0       0
FONAR CORP COM    COMMON
                  STOCK    344437108       0        518    SHARES                X                 1        518   0       0
FORD MOTOR CO     COMMON
                  STOCK    345370860     149      19238    SHARES                X                 1      19238   0       0
FORD MOTOR CO     COMMON
                  STOCK    345370860     127      16514    SHARES                         X        1      12954   0    3560
FORD MOTOR CO     COMMON
                  STOCK    345370860     109      14100    SHARES                X                 3      14100   0       0
FORDING
  CANADIAN COAL   COMMON
  TRUST           STOCK    345425102    3169      91612    SHARES                X                 3      91612   0       0
FOREST LABS INC   COMMON
                  STOCK    345838106     106       2600    SHARES                X                 3       2600   0       0
FOREST LABS INC   COMMON
  COM             STOCK    345838106      19        475    SHARES                X                 1        475   0       0
FOREST LABS INC   COMMON
  COM             STOCK    345838106      84       2062    SHARES                         X        1       1962   0     100
FOREST OIL CORP   COMMON
                  STOCK    346091705      23        500    SHARES                X                 1        500   0       0
FOREST OIL CORP   COMMON
                  STOCK    346091705      64       1400    SHARES                         X        1       1400   0       0
FORTUNE BRANDS    COMMON
  INC             STOCK    349631101    1329      17040    SHARES                X                 1      17040   0       0
FORTUNE BRANDS    COMMON
  INC             STOCK    349631101     761       9754    SHARES                         X        1       8147   0    1607
FORTUNE BRANDS    COMMON
  INC             STOCK    349631101      98       1250    SHARES                X                 3       1250   0       0
FOSTER WHEELER    COMMON
  LTD             STOCK    G36535139     121       3300    SHARES                X                 3       3300   0       0
FOUNDATION COAL   COMMON
  HLDG            STOCK    35039W100     114       3000    SHARES                X                 3       3000   0       0
FOUNDATION COAL   COMMON
  HOLDINGS INC    STOCK    35039W100     160       4200    SHARES                X                 1       4200   0       0
FPL GROUP INC     COMMON
                  STOCK    302571104     123       2970    SHARES                X                 3       2970   0       0
FPL GROUP INC     COMMON
  COM             STOCK    302571104    5408     130133    SHARES                X                 1     130133   0       0
FPL GROUP INC     COMMON
  COM             STOCK    302571104    2637      63462    SHARES                         X        1      55170   0    8292
FPL GROUP INC     COMMON
  COM             STOCK    302571104      17        400    SHARES                X                 3          0   0     400
FRANKLIN RES INC  COMMON
                  STOCK    354613101     103       1100    SHARES                X                 3       1100   0       0
FRANKLIN          COMMON
  RESOURCES INC   STOCK    354613101      40        430    SHARES                X                 1        430   0       0
FRANKLIN          COMMON
  RESOURCES INC   STOCK    354613101      14        150    SHARES                         X        1        150   0       0
FREDDIE MAC       COMMON
                  STOCK    313400301    2933      44877    SHARES                X                 1      43716   0    1161
FREDDIE MAC       COMMON
                  STOCK    313400301     245       3749    SHARES                         X        1       3749   0       0
FREDDIE MAC       COMMON
                  STOCK    313400301     835      12777    SHARES                X                 3      10435   0    2342
FREDDIE MAC       COMMON
                  STOCK    313400301    4508      68985    SHARES                X                 3      68985   0       0
FREDDIE MAC -
  FEDERAL HOME
  LOAN            COMMON
  MORTGAGE        STOCK    313400301    4388      67152    SHARES         X                        2      67152   0       0
FREEPORT
  MCMORAN CPR &   COMMON
  GLD INC CL B    STOCK    35671D857      38        701    SHARES                X                 1        701   0       0
FREEPORT
  MCMORAN CPR &   COMMON
  GLD INC CL B    STOCK    35671D857      41        765    SHARES                         X        1        765   0       0
FREEPORT-         COMMON
  MCMORAN C&G     STOCK B  35671D857      72       1330    SHARES                X                 3       1330   0       0
FREESCALE         COMMON
  SEMICONDUC      STOCK B  35687M206      97       3865    SHARES                X                 3       3865   0       0
FREESCALE         COMMON
  SEMICONDUCTOR-B STOCK    35687M206      31       1248    SHARES                X                 1       1248   0       0


                                   18 of 59





                                                           SEC USE
                                                                                COLUMN 6                       COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7   VOTING AUTHORITY
                                                ------------------------ ---------------------- -------- ---------------------
                                                 SHARES
                  COLUMN 2            COLUMN 4     OR      SHARES   PUT
    COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
 --------------   -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                 
FREESCALE         COMMON
  SEMICONDUCTOR-B STOCK    35687M206      91        3622   SHARES                         X        1        3402   0       220
FRIEDMAN
  BILLINGS
  RAMSEY GRP      COMMON
  INC-A           STOCK    358434108       1          87   SHARES                X                 1          87   0         0
FROZEN FOOD
  EXPRESS         COMMON
  INDUSTRIES INC  STOCK    359360104      11        1000   SHARES                         X        1        1000   0         0
FULTON FINANCAL   COMMON
  CORP            STOCK    360271100    6575      373602   SHARES         X                               373602   0         0
FULTON FINANCIAL  COMMON
  CORP            STOCK    360271100    2404      136577   SHARES                X                 1      136577   0         0
FULTON FINANCIAL  COMMON
  CORP            STOCK    360271100    3167      179953   SHARES                         X        1      136277   0     43676
GALLAGHER         COMMON
  ARTHUR J. & CO  STOCK    363576109      60        1940   SHARES                X                 1        1940   0         0
GALLAGHER         COMMON
  ARTHUR J. & CO  STOCK    363576109       6         200   SHARES                         X        1         200   0         0
GAMESTOP CORP -   COMMON
  CLASS A         STOCK    36467W109     162        5095   SHARES                X                 1        5095   0         0
GAMESTOP CORP     COMMON
  HLDG            STOCK A  36467W109     605       19000   SHARES                X                 3       19000   0         0
GANNETT CO INC    COMMON
                  STOCK    364730101     898       14821   SHARES                X                 1       14821   0         0
GANNETT CO INC    COMMON
                  STOCK    364730101    1037       17121   SHARES                         X        1       16921   0       200
GANNETT CO INC    COMMON
                  STOCK    364730101      61        1000   SHARES                X                 3           0   0      1000
GANNETT CO INC    COMMON
                  STOCK    364730101       6         100   SHARES                         X        3         100   0         0
GANNETT INC       COMMON
                  STOCK    364730101     115        1900   SHARES                X                 3        1900   0         0
GANNETT           COMMON
  INCORPORATED    STOCK    364730101     449        7420   SHARES         X                        2        7420   0         0
GAP INC           COMMON
                  STOCK    364760108      78        4395   SHARES                X                 3        4395   0         0
GAP INC COM       COMMON
                  STOCK    364760108     858       48637   SHARES                X                 1       48637   0         0
GAP INC COM       COMMON
                  STOCK    364760108     417       23620   SHARES                         X        1       23220   0       400
GATEWAY INC       COMMON
                  STOCK    367626108       5        2150   SHARES                X                 3        2150   0         0
GATX CORP         COMMON
                  STOCK    361448103      13         350   SHARES                         X        1           0   0       350
GEAC COMPUTER
  CORPORATION     COMMON
  LIMITED         STOCK    368289104       5         450   SHARES                         X        1         450   0         0
GENENTECH INC     COMMON
  COM NEW         STOCK    368710406    3001       32440   SHARES                X                 1       32440   0         0
GENENTECH INC     COMMON
  COM NEW         STOCK    368710406     397        4295   SHARES                         X        1        4295   0         0
GENERAL           COMMON
  DYNAMICS        STOCK    369550108     171        1500   SHARES                X                 3        1500   0         0
GENERAL
  DYNAMICS CORP   COMMON
  COM             STOCK    369550108    3357       29433   SHARES                X                 1       29433   0         0
GENERAL
  DYNAMICS CORP   COMMON
  COM             STOCK    369550108     855        7500   SHARES                         X        1        7500   0         0
GENERAL
  DYNAMICS CORP   COMMON
  COM             STOCK    369550108      56         489   SHARES                X                 3         489   0         0
GENERAL
  DYNAMICS CORP   COMMON
  COM             STOCK    369550108      57         500   SHARES                         X        3         500   0         0
GENERAL           COMMON
  ELECTRIC CO     STOCK    369604103   24027      685529   SHARES                X                 3      685529   0         0
GENERAL
  ELECTRIC        COMMON
  COMPANY         STOCK    369604103   81479     2324657   SHARES                X                 1     2287452   0     37205
GENERAL
  ELECTRIC        COMMON
  COMPANY         STOCK    369604103   77152     2201202   SHARES                         X        1     2048180   0    153022
GENERAL
  ELECTRIC        COMMON
  COMPANY         STOCK    369604103     202        5775   SHARES         X                        2        5775   0         0
GENERAL
  ELECTRIC        COMMON
  COMPANY         STOCK    369604103    5170      147514   SHARES         X                        2      147514   0         0
GENERAL
  ELECTRIC        COMMON
  COMPANY         STOCK    369604103    5992      170945   SHARES                X                 3      128569   0     42376
GENERAL
  ELECTRIC        COMMON
  COMPANY         STOCK    369604103    1074       30650   SHARES                X                 3       30650   0         0
GENERAL
  ELECTRIC        COMMON
  COMPANY         STOCK    369604103      30         855   SHARES                         X        3         855   0         0
GENERAL MILLS     COMMON
  INC             STOCK    370334104    6855      138998   SHARES                X                 1      136283   0      2715
GENERAL MILLS     COMMON
  INC             STOCK    370334104    1839       37282   SHARES                         X        1       36832   0       450
GENERAL MILLS     COMMON
  INC             STOCK    370334104    1225       24843   SHARES                X                 3       20898   0      3945
GENERAL MILLS     COMMON
  INC             STOCK    370334104    4780       96941   SHARES                X                 3       96941   0         0
GENERAL MILLS     COMMON
  INC             STOCK    370334104      44         900   SHARES                         X        3         900   0         0
GENERAL MOTORS    COMMON
  CORP            STOCK    370442105      83        4295   SHARES                X                 3        4295   0         0
GENERAL MOTORS    COMMON
  CORP COM        STOCK    370442105     159        8190   SHARES                X                 1        7790   0       400
GENERAL MOTORS    COMMON
  CORP COM        STOCK    370442105    1613       83052   SHARES                         X        1       82254   0       798
GENESIS           COMMON
  MICROCHIP       STOCK    37184C103    1233       68200   SHARES                X                 3       68200   0         0
GENESIS           COMMON
  MICROCHIP INC   STOCK    37184C103     510       28200   SHARES                X                 1       28200   0         0
GENUINE PARTS CO  COMMON
                  STOCK    372460105      60        1360   SHARES                X                 3        1360   0         0
GENUINE PARTS     COMMON
  COMPANY         STOCK    372460105     372        8475   SHARES         X                        2        8475   0         0
GENUINE PARTS     COMMON
  INC             STOCK    372460105     446       10155   SHARES                X                 1       10155   0         0
GENUINE PARTS     COMMON
  INC             STOCK    372460105     143        3250   SHARES                         X        1        3250   0         0
GENWORTH          COMMON
  FINANCIAL       STOCK A  37247D106      86        2500   SHARES                X                 3        2500   0         0
GENZYME CORP      COMMON
                  STOCK    372917104     136        1925   SHARES                X                 3        1925   0         0
GENZYME CORP      COMMON
  COM             STOCK    372917104     664        9381   SHARES                X                 1        9381   0         0
GENZYME CORP      COMMON
  COM             STOCK    372917104      39         550   SHARES                         X        1         550   0         0


                                   19 of 59





                                                         SEC USE
                                                                              COLUMN 6                      COLUMN 8
                                                      COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                              ------------------------ ---------------------- -------- -------------------
                                               SHARES
                COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1     TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                              
GEORGIA PAC      COMMON
  CORP COM       STOCK   373298108      19        400    SHARES                X                 1        400   0       0
GEORGIA PAC      COMMON
  CORP COM       STOCK   373298108      96       2008    SHARES                         X        1          0   0    2008
GERON CORP       COMMON
                 STOCK   374163103       4        500    SHARES                         X        1          0   0     500
GETTY IMAGES     COMMON
  INC COM        STOCK   374276103       2         21    SHARES                X                 1         21   0       0
GILEAD           COMMON
  SCIENCES INC   STOCK   375558103    1335      25410    SHARES                X                 3      25410   0       0
GILEAD
  SCIENCES INC   COMMON
  COM            STOCK   375558103    1469      27936    SHARES                X                 1      27936   0       0
GILEAD
  SCIENCES INC   COMMON
  COM            STOCK   375558103     201       3815    SHARES                         X        1       3815   0       0
GILEAD
  SCIENCES INC   COMMON
  COM            STOCK   375558103     145       2750    SHARES                X                 3       2750   0       0
GLADSTONE        COMMON
  CAPITAL CORP   STOCK   376535100     107       5000    SHARES                X                 1       5000   0       0
GLADSTONE        COMMON
  CAPITAL CORP   STOCK   376535100    2370     110855    SHARES         X                        2     110855   0       0
GLATFELTER       COMMON
                 STOCK   377316104     740      52120    SHARES                X                 1      52120   0       0
GLOBAL INDS      COMMON
  LTD            STOCK   379336100      32       2800    SHARES                X                 3       2800   0       0
GLOBAL
  INDUSTRIES     COMMON
  LTD            STOCK   379336100      47       4100    SHARES                X                 1       4100   0       0
GOLDEN WEST      COMMON
  FINL           STOCK   381317106     132       2000    SHARES                X                 3       2000   0       0
GOLDMAN          COMMON
  SACHS GROUP    STOCK   38141G104     447       3500    SHARES                X                 3       3500   0       0
GOLDMAN
  SACHS GROUP    COMMON
  INC COM        STOCK   38141G104     631       4938    SHARES                X                 1       4938   0       0
GOLDMAN
  SACHS GROUP    COMMON
  INC COM        STOCK   38141G104      67        525    SHARES                         X        1        450   0      75
GOODRICH CORP    COMMON
                 STOCK   382388106       4        100    SHARES                X                 1        100   0       0
GOODRICH CORP    COMMON
                 STOCK   382388106     230       5600    SHARES                         X        1       4000   0    1600
GOODRICH CORP    COMMON
                 STOCK   382388106      36        885    SHARES                X                 3        885   0       0
GOODYEAR         COMMON
  TIRE & RUBR    STOCK   382550101      54       3145    SHARES                X                 3       3145   0       0
GOODYEAR
  TIRE & RUBR    COMMON
  CO             STOCK   382550101      43       2450    SHARES                X                 1       2450   0       0
GOODYEAR
  TIRE & RUBR    COMMON
  CO             STOCK   382550101      36       2050    SHARES                         X        1       2050   0       0
GOOGLE INC CL    COMMON
  A              STOCK   38259P508     295        710    SHARES                X                 1        710   0       0
GOOGLE INC CL    COMMON
  A              STOCK   38259P508      81        195    SHARES                         X        1        175   0      20
GRACO INC        COMMON
                 STOCK   384109104    2645      72480    SHARES                X                 3      72480   0       0
GRACO INC COM    COMMON
                 STOCK   384109104    1040      28510    SHARES                X                 1      28510   0       0
GRACO INC COM    COMMON
                 STOCK   384109104     263       7218    SHARES                X                 3       7218   0       0
GRAINGER W W     COMMON
  INC            STOCK   384802104      43        605    SHARES                X                 3        605   0       0
GRANT PRIDECO    COMMON
  INC            STOCK   38821G101     922      20900    SHARES                X                 3      20900   0       0
GRANT PRIDECO    COMMON
  INC COM        STOCK   38821G101     343       7765    SHARES                X                 1       7765   0       0
GREAT AMERN
  FINL RES INC   COMMON
  COM            STOCK   389915109       2        100    SHARES                         X        1          0   0     100
GREAT PLAINS     COMMON
  ENERGY INC     STOCK   391164100       8        270    SHARES                X                 1        270   0       0
GREAT PLAINS     COMMON
  ENERGY INC     STOCK   391164100      24        850    SHARES                         X        1        850   0       0
GREEN
  MOUNTAIN       COMMON
  POWER CORP     STOCK   393154109      29       1000    SHARES                X                 1       1000   0       0
GUIDANT CORP     COMMON
                 STOCK   401698105     165       2550    SHARES                X                 3       2550   0       0
GUIDANT CORP     COMMON
  COM            STOCK   401698105    1190      18381    SHARES                X                 1      18381   0       0
GUIDANT CORP     COMMON
  COM            STOCK   401698105     326       5032    SHARES                         X        1       5032   0       0
HALLIBURTON      COMMON
                 STOCK   406216101     241       3890    SHARES                X                 3       3890   0       0
HALLIBURTON      COMMON
  HLDG CO COM    STOCK   406216101     402       6488    SHARES                X                 1       6488   0       0
HALLIBURTON      COMMON
  HLDG CO COM    STOCK   406216101     393       6350    SHARES                         X        1       2550   0    3800
HALOZYME         COMMON
  THERAPEUTIC    STOCK   40637H109      62      33800    SHARES                X                 3      33800   0       0
HALOZYME
  THERAPEUTICS   COMMON
  INC            STOCK   40637H109      62      34000    SHARES                X                 1      34000   0       0
HANSEN NAT       COMMON
  CORP           STOCK   411310105      32        400    SHARES                X                 3        400   0       0
HANSEN
  NATURAL        COMMON
  CORPORATION    STOCK   411310105      39        500    SHARES                X                 1        500   0       0
HARLEY           COMMON
  DAVIDSON INC   STOCK   412822108    1100      21363    SHARES                X                 1      21363   0       0
HARLEY           COMMON
  DAVIDSON INC   STOCK   412822108     292       5679    SHARES                         X        1       2479   0    3200
HARLEY           COMMON
  DAVIDSON INC   STOCK   412822108     108       2100    SHARES                X                 3       2100   0       0
HARLEYSVILLE
  NATL CORP      COMMON
  COM            STOCK   412850109      26       1339    SHARES                X                 1       1339   0       0
HARMAN
  INTERNATIONAL  COMMON
  INDUSTRIES     STOCK   413086109     577       5895    SHARES                X                 1       5895   0       0
HARMAN INTL      COMMON
  INDS           STOCK   413086109    1669      17050    SHARES                X                 3      17050   0       0
HARRAHS
  ENTERTAINMENT  COMMON
  INC            STOCK   413619107       2         25    SHARES                X                 1         25   0       0
HARRAHS          COMMON
  ENTMT INC      STOCK   413619107     100       1400    SHARES                X                 3       1400   0       0
HARRIS &
  HARRIS GROUP   COMMON
  INC            STOCK   413833104       6        400    SHARES                         X        1        400   0       0
HARRIS CORP      COMMON
                 STOCK   413875105    4001      93015    SHARES                X                 1      90753   0    2262


                                   20 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
HARRIS CORP        COMMON
                   STOCK    413875105      42        965    SHARES                         X        1        965   0        0
HARRIS CORP        COMMON
                   STOCK    413875105    1294      30083    SHARES                X                 3      23993   0     6090
HARRIS CORP        COMMON
                   STOCK    413875105    7756     180305    SHARES                X                 3     180305   0        0
HARSCO CORP        COMMON
                   STOCK    415864107   12959     191950    SHARES                X                 1     158593   0    33357
HARSCO CORP        COMMON
                   STOCK    415864107    5589      82783    SHARES                         X        1      82783   0        0
HARSCO CORP        COMMON
                   STOCK    415864107     119       1765    SHARES                X                 3        375   0     1390
HARSCO CORP        COMMON
                   STOCK    415864107    1427      21150    SHARES                X                 3      21150   0        0
HARTFORD
  FINANCIAL SVCS   COMMON
  GRP INC COM      STOCK    416515104    2180      25379    SHARES                X                 1      23944   0     1435
HARTFORD
  FINANCIAL SVCS   COMMON
  GRP INC COM      STOCK    416515104    1417      16500    SHARES                         X        1      13245   0     3255
HARTFORD FINL SVCS COMMON
                   STOCK    416515104     198       2300    SHARES                X                 3       2300   0        0
HASBRO INC         COMMON
                   STOCK    418056107       3        170    SHARES                         X        1        170   0        0
HASBRO INC         COMMON
                   STOCK    418056107      26       1300    SHARES                X                 3       1300   0        0
HAWAIIAN ELEC IND  COMMON
  INC              STOCK    419870100       4        140    SHARES                X                 1        140   0        0
HCA INC COM        COMMON
                   STOCK    404119109     105       2082    SHARES                X                 1        882   0     1200
HCA INC COM        COMMON
                   STOCK    404119109      74       1475    SHARES                         X        1        725   0      750
HCC INS HLDGS INC  COMMON
                   STOCK    404132102    1409      47500    SHARES                X                 3      47500   0        0
HCC INS HLDGS INC  COMMON
  COM              STOCK    404132102     555      18705    SHARES                X                 1      18705   0        0
HEALTH
  MANAGEMENT-      COMMON
  CLASS A          STOCK    421933102    1132      51528    SHARES                X                 1      48078   0     3450
HEALTH
  MANAGEMENT-      COMMON
  CLASS A          STOCK    421933102     460      20938    SHARES                         X        1      18738   0     2200
HEALTH MGMT        COMMON
  ASSOC            STOCK A  421933102      40       1825    SHARES                X                 3       1825   0        0
HEALTH NET INC     COMMON
  COM              STOCK    42222G108      31        600    SHARES                         X        1        600   0        0
HEALTHEXTRAS       COMMON
  INCORPORATED     STOCK    422211102      10        400    SHARES                X                 1        400   0        0
HEINZ H J CO       COMMON
                   STOCK    423074103      89       2650    SHARES                X                 3       2650   0        0
HEINZ H J CO COM   COMMON
                   STOCK    423074103    1225      36316    SHARES                X                 1      36316   0        0
HEINZ H J CO COM   COMMON
                   STOCK    423074103     766      22718    SHARES                         X        1      15968   0     6750
HEINZ H J CO COM   COMMON
                   STOCK    423074103      34       1000    SHARES                X                 3       1000   0        0
HEINZ H J COMPANY  COMMON
                   STOCK    423074103     365      10812    SHARES         X                        2      10812   0        0
HELEN OF TROY LTD  COMMON
                   STOCK    G4388N106       5        300    SHARES                         X        1        300   0        0
HERBALIFE LTD      COMMON
                   STOCK    G4412G101      16        500    SHARES                X                 3        500   0        0
HERCULES INC       COMMON
                   STOCK    427056106      35       3055    SHARES                X                 1       3055   0        0
HERCULES INC       COMMON
                   STOCK    427056106      58       5100    SHARES                         X        1       5100   0        0
HERCULES INC       COMMON
                   STOCK    427056106       9        800    SHARES                X                 3        800   0        0
HERLEY INDUSTRIES  COMMON
  INC              STOCK    427398102       3        180    SHARES                X                 1        180   0        0
HERMAN MILLER INC  COMMON
                   STOCK    600544100      18        650    SHARES                X                 1        650   0        0
HEWLETT PACKARD    COMMON
  CO               STOCK    428236103     597      20850    SHARES                X                 3      20850   0        0
HEWLETT PACKARD    COMMON
  CO COM           STOCK    428236103    3798     132641    SHARES                X                 1     132641   0        0
HEWLETT PACKARD    COMMON
  CO COM           STOCK    428236103    2370      82767    SHARES                         X        1      76135   0     6632
HEWLETT PACKARD    COMMON
  CO COM           STOCK    428236103     131       4580    SHARES                X                 3       4580   0        0
HEWLETT PACKARD    COMMON
  COMPANY          STOCK    428236103     508      17731    SHARES         X                        2      17731   0        0
HILTON HOTELS CORP COMMON
                   STOCK    432848109      61       2520    SHARES                X                 3       2520   0        0
HOLOGIC INC COM    COMMON
                   STOCK    436440101      91       2400    SHARES                         X        1       1600   0      800
HOME DEPOT INC     COMMON
                   STOCK    437076102    6573     162380    SHARES                X                 3     162380   0        0
HOME DEPOT INC     COMMON
  COM              STOCK    437076102   17218     425337    SHARES                X                 1     420252   0     5085
HOME DEPOT INC     COMMON
  COM              STOCK    437076102    5956     147138    SHARES                         X        1     137403   0     9735
HOME DEPOT INC     COMMON
  COM              STOCK    437076102    1571      38811    SHARES                X                 3      34128   0     4683
HOME DEPOT INC     COMMON
  COM              STOCK    437076102     182       4485    SHARES                X                 3       4485   0        0
HOME DEPOT         COMMON
  INCORPORATED     STOCK    437076102    3634      89775    SHARES         X                        2      89775   0        0
HOME PROPERTIES OF COMMON
  NEW YORK INC     STOCK    437306103    1608      39400    SHARES         X                        2      39400   0        0
HONEYWELL
  INTERNATIONAL    COMMON
  INCORPORATED     STOCK    438516106     682      18312    SHARES         X                        2      18312   0        0
HONEYWELL INTL     COMMON
  INC              STOCK    438516106     244       6541    SHARES                X                 3       6541   0        0
HONEYWELL INTL     COMMON
  INC COM          STOCK    438516106    1024      27479    SHARES                X                 1      27479   0        0
HONEYWELL INTL     COMMON
  INC COM          STOCK    438516106    1825      48982    SHARES                         X        1      48982   0        0
HOSPIRA INC        COMMON
                   STOCK    441060100     285       6658    SHARES                X                 1       6658   0        0
HOSPIRA INC        COMMON
                   STOCK    441060100     209       4876    SHARES                         X        1       4506   0      370
HOSPIRA INC        COMMON
                   STOCK    441060100      50       1179    SHARES                X                 3       1179   0        0


                                   21 of 59





                                                            SEC USE
                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                    ------------------------ ---------------------- -------- -------------------
                                                     SHARES
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT
      COLUMN 1        TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
   NAME OF ISSUER      CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
HOVNANIAN             COMMON
  ENTERPRISES-A       STOCK    442487203      11        225    SHARES                X                 1        225   0        0
HUDSON TECHNOLOGIES   COMMON
  INC                 STOCK    444144109       1        500    SHARES                X                 1        500   0        0
HUMAN GENOME SCI      COMMON
                      STOCK    444903108      20       2300    SHARES                X                 3       2300   0        0
HUMAN GENOME          COMMON
  SCIENCES INC        STOCK    444903108      26       3000    SHARES                X                 1       3000   0        0
HUMAN GENOME          COMMON
  SCIENCES INC        STOCK    444903108      53       6200    SHARES                         X        1       6200   0        0
HUMANA INC            COMMON
                      STOCK    444859102      68       1250    SHARES                X                 3       1250   0        0
HUMANA INC COM        COMMON
                      STOCK    444859102      11        200    SHARES                X                 1        200   0        0
HUMMINGBIRD LTD       COMMON
                      STOCK    44544R101      11        500    SHARES                         X        1          0   0      500
HUNT JB TRANS SVCS    COMMON
                      STOCK    445658107     433      19100    SHARES                X                 3      19100   0        0
HUNTINGTON            COMMON
  BANCSHARE           STOCK    446150104      41       1742    SHARES                X                 3       1742   0        0
HUNTINGTON            COMMON
  BANCSHARES INC COM  STOCK    446150104      12        500    SHARES                X                 1        500   0        0
HUNTINGTON            COMMON
  BANCSHARES INC COM  STOCK    446150104       4        161    SHARES                         X        1        161   0        0
HUTCHINSON            COMMON
  TECHNOLOGY INC      STOCK    448407106       7        250    SHARES                X                 1        250   0        0
HUTTIG BLDG PRODS INC COMMON
                      STOCK    448451104      19       2277    SHARES                         X        1       2277   0        0
HYPERCOM CORP         COMMON
                      STOCK    44913M105      43       6700    SHARES                X                 1       6700   0        0
HYPERCOM CORP         COMMON
                      STOCK    44913M105      31       4900    SHARES                X                 3       4900   0        0
HYPERION SOLUTIONS    COMMON
  CORP COM            STOCK    44914M104      40       1125    SHARES                X                 1       1125   0        0
IAC/INTERACTIVE CORP  COMMON
                      STOCK    44919P300      93       3300    SHARES                         X        1       3300   0        0
IDACORP INC           COMMON
                      STOCK    451107106      44       1492    SHARES                         X        1        250   0     1242
IDEX CORP COM         COMMON
                      STOCK    45167R104       8        200    SHARES                X                 1        200   0        0
ILLINOIS TOOL WKS INC COMMON
  COM                 STOCK    452308109    1368      15550    SHARES                X                 1      15550   0        0
ILLINOIS TOOL WKS INC COMMON
  COM                 STOCK    452308109     513       5825    SHARES                         X        1       5825   0        0
ILLINOIS TOOL WORKS   COMMON
                      STOCK    452308109     143       1625    SHARES                X                 3       1625   0        0
IMATION CORPORATION   COMMON
  COM                 STOCK    45245A107      28        601    SHARES                X                 1        601   0        0
IMCLONE SYS INC COM   COMMON
                      STOCK    45245W109       2         50    SHARES                X                 1         50   0        0
IMPLANT SCIENCES CORP COMMON
                      STOCK    45320R108       5       1500    SHARES                X                 1       1500   0        0
IMS HEALTH INC        COMMON
                      STOCK    449934108      44       1750    SHARES                X                 3       1750   0        0
IMS HEALTH INC COM    COMMON
                      STOCK    449934108     120       4800    SHARES                X                 1       4800   0        0
IMS HEALTH INC COM    COMMON
                      STOCK    449934108      36       1462    SHARES                         X        1       1462   0        0
INERGY LP             COMMON
                      STOCK    456615103      26       1000    SHARES                         X        1       1000   0        0
INFINITY ENERGY       COMMON
  RESOURCES           STOCK    45663L403      35       5000    SHARES                         X        1       5000   0        0
INFRASOURCE SERVICES  COMMON
  INC                 STOCK    45684P102      13       1000    SHARES                X                 1       1000   0        0
INGERSOLL-RAND CO     COMMON
                      STOCK A  G4776G101     105       2600    SHARES                X                 3       2600   0        0
INGRAM MICRO INC CL A COMMON
                      STOCK    457153104       4        200    SHARES                         X        1        200   0        0
INTEGRA LIFESCIENCE   COMMON
                      STOCK    457985208      21        600    SHARES                X                 3        600   0        0
INTEGRA LIFESCIENCES  COMMON
  HOLDING             STOCK    457985208      35       1000    SHARES                X                 1       1000   0        0
INTEL CORP            COMMON
                      STOCK    458140100    8361     334976    SHARES                X                 3     334976   0        0
INTEL CORP COM        COMMON
                      STOCK    458140100   21768     872104    SHARES                X                 1     860705   0    11399
INTEL CORP COM        COMMON
                      STOCK    458140100    7494     300257    SHARES                         X        1     262369   0    37888
INTEL CORP COM        COMMON
                      STOCK    458140100    1646      65927    SHARES                X                 3      53937   0    11990
INTEL CORP COM        COMMON
                      STOCK    458140100     464      18595    SHARES                X                 3      18595   0        0
INTEL CORPORATION     COMMON
                      STOCK    458140100    1802      72201    SHARES         X                        2      72201   0        0
INTERCONTINENTAL      COMMON
  EXCHANGE INC        STOCK    45865V100      22        600    SHARES                X                 1        600   0        0
INTERCONTINENTALEXCH  COMMON
                      STOCK    45865V100      18        500    SHARES                X                 3        500   0        0
INTERNATIONAL
  BUSINESS MACHINES   COMMON
  CORP                STOCK    459200101   34073     414512    SHARES                X                 1     407557   0     6955
INTERNATIONAL
  BUSINESS MACHINES   COMMON
  CORP                STOCK    459200101   13840     168373    SHARES                         X        1     151842   0    16531
INTERNATIONAL
  BUSINESS MACHINES   COMMON
  CORP                STOCK    459200101    2504      30459    SHARES         X                        2      30459   0        0
INTERNATIONAL
  BUSINESS MACHINES   COMMON
  CORP                STOCK    459200101    2649      32227    SHARES                X                 3      22157   0    10070
INTERNATIONAL
  BUSINESS MACHINES   COMMON
  CORP                STOCK    459200101     351       4275    SHARES                X                 3       4275   0        0
INTERNATIONAL
  BUSINESS MACHINES   COMMON
  CORP                STOCK    459200101      89       1080    SHARES                         X        3       1080   0        0
INTERNATIONAL GAME    COMMON
  TECH COM            STOCK    459902102       8        248    SHARES                X                 1        248   0        0
INTERNATIONAL PAPER   COMMON
                      STOCK    460146103     127       3790    SHARES                X                 3       3790   0        0
INTERNATIONAL PAPER   COMMON
  CO COM              STOCK    460146103    1183      35192    SHARES                X                 1      34192   0     1000
INTERNATIONAL PAPER   COMMON
  CO COM              STOCK    460146103     438      13030    SHARES                         X        1       7744   0     5286
INTERNATIONAL         COMMON
  RECTIFIER CORP      STOCK    460254105    5888     184584    SHARES                X                 1     179448   0     5136


                                   22 of 59





                                                            SEC USE
                                                                                   COLUMN 6                      COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                   ------------------------ ---------------------- -------- -------------------
                                                    SHARES
                     COLUMN 2            COLUMN 4     OR      SHARES   PUT
      COLUMN 1       TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
   NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
INTERNATIONAL         COMMON
  RECTIFIER CORP      STOCK   460254105     616      19320    SHARES                         X        1      16570   0     2750
INTERNATIONAL         COMMON
  RECTIFIER CORP      STOCK   460254105    1249      39166    SHARES                X                 3      31640   0     7526
INTERNATIONAL         COMMON
  RECTIFIER CORP      STOCK   460254105     309       9680    SHARES                X                 3       9680   0        0
INTERNATIONAL
  SPEEDWAY CORP CL    COMMON
  A                   STOCK   460335201      12        245    SHARES                X                 1        245   0        0
INTERPUBLIC GROUP     COMMON
                      STOCK   460690100      34       3500    SHARES                X                 3       3500   0        0
INTERPUBLIC GROUP     COMMON
  COS INC COM         STOCK   460690100       2        174    SHARES                X                 1        174   0        0
INTERPUBLIC GROUP     COMMON
  COS INC COM         STOCK   460690100       5        515    SHARES                X                 3        515   0        0
INTL BUSINESS MCHN    COMMON
                      STOCK   459200101   10386     126353    SHARES                X                 3     126353   0        0
INTL FLAVORS & FRAGR  COMMON
                      STOCK   459506101      20        585    SHARES                X                 3        585   0        0
INTL FLAVORS &
  FRAGRANCES INC      COMMON
  COM                 STOCK   459506101      23        700    SHARES                X                 1        700   0        0
INTL GAME TECH        COMMON
                      STOCK   459902102      80       2600    SHARES                X                 3       2600   0        0
INTL RECTIFIER CORP   COMMON
                      STOCK   460254105    6784     212662    SHARES                X                 3     212662   0        0
INTRALASE CORP        COMMON
                      STOCK   461169104       1         50    SHARES                X                 1         50   0        0
INTUIT                COMMON
                      STOCK   461202103      76       1425    SHARES                X                 3       1425   0        0
INTUIT INC COM        COMMON
                      STOCK   461202103      16        300    SHARES                         X        1        300   0        0
INVESTORS FINANCIAL   COMMON
  SERVICES CORP       STOCK   461915100    2440      66250    SHARES         X                        2      66250   0        0
INVITROGEN CORP COM   COMMON
                      STOCK   46185R100       7        100    SHARES                X                 1        100   0        0
INVITROGEN CORP COM   COMMON
                      STOCK   46185R100      27        400    SHARES                         X        1          0   0      400
IOWA
  TELECOMMUNICATIONS  COMMON
  SERVICES            STOCK   462594201      39       2500    SHARES                         X        1       2500   0        0
ISHARES LEHMAN 7-10   COMMON
  YRS TREAS           STOCK   464287440       8         95    SHARES                         X        1          0   0       95
ISHARES MSCI JAPAN    COMMON
  INDEX FD            STOCK   464286848      34       2500    SHARES                X                 1       2500   0        0
ISHARES MSCI JAPAN    COMMON
  INDEX FD            STOCK   464286848       1        100    SHARES                         X        1        100   0        0
ISHARES S&P 500
  BARRA VALUE INDEX   COMMON
  FD                  STOCK   464287408      98       1500    SHARES                X                 1       1500   0        0
ISHARES TRUST DOW     COMMON
  JONES               STOCK   464287721    1135      22832    SHARES         X                        2      22832   0        0
ISIS
  PHARMACEUTICALS     COMMON
  COM                 STOCK   464330109       1        250    SHARES                X                 1        250   0        0
ISTAR                 COMMON
                      STOCK   45031U101    1048      29395    SHARES         X                        2      29395   0        0
ITT INDS INC(IND)     COMMON
                      STOCK   450911102      77        745    SHARES                X                 3        745   0        0
ITT INDUSTRIES INC    COMMON
                      STOCK   450911102     234       2280    SHARES                X                 1       2200   0       80
ITT INDUSTRIES INC    COMMON
                      STOCK   450911102     233       2264    SHARES                         X        1       1464   0      800
IVAX CORP             COMMON
                      STOCK   465823102      15        468    SHARES                X                 1        468   0        0
IXIA                  COMMON
                      STOCK   45071R109      11        775    SHARES                X                 1        775   0        0
J B HUNT TRANSPORT    COMMON
  SERVICES INC        STOCK   445658107     137       6055    SHARES                X                 1       6055   0        0
J2 GLOBAL             COMMON
  COMMUNICAT          STOCK   46626E205      17        400    SHARES                X                 3        400   0        0
J2 GLOBAL
  COMMUNICATONS       COMMON
  INC NEW             STOCK   46626E205      21        500    SHARES                X                 1        500   0        0
JABIL CIRCUIT INC     COMMON
                      STOCK   466313103    1558      42003    SHARES                X                 1      42003   0        0
JABIL CIRCUIT INC     COMMON
                      STOCK   466313103     438      11800    SHARES                         X        1      11200   0      600
JABIL CIRCUIT INC     COMMON
                      STOCK   466313103     327       8828    SHARES                X                 3       8828   0        0
JABIL CIRCUIT INC     COMMON
                      STOCK   466313103    1754      47270    SHARES                X                 3      47270   0        0
JACOBS ENGINEERING    COMMON
  GROUP INC COM       STOCK   469814107      31        450    SHARES                         X        1        450   0        0
JANUS CAPITAL GROUP   COMMON
                      STOCK   47102X105      32       1700    SHARES                X                 3       1700   0        0
JDS UNIPHASE CORP     COMMON
                      STOCK   46612J101      30      12500    SHARES                X                 3      12500   0        0
JDS UNIPHASE CORP     COMMON
  COM                 STOCK   46612J101       5       2036    SHARES                X                 1       2036   0        0
JDS UNIPHASE          COMMON
  CORPORATION         STOCK   46612J101      52      21850    SHARES         X                        2      21850   0        0
JEFFERSON PILOT CORP  COMMON
                      STOCK   475070108      57       1000    SHARES                X                 3       1000   0        0
JEFFERSON PILOT CORP  COMMON
  COM                 STOCK   475070108     331       5818    SHARES                X                 1       2970   0     2848
JEFFERSON PILOT CORP  COMMON
  COM                 STOCK   475070108     213       3735    SHARES                         X        1       3735   0        0
JLG INDS INC          COMMON
                      STOCK   466210101      82       1800    SHARES                X                 3       1800   0        0
JLG INDUSTRIES INC    COMMON
                      STOCK   466210101     196       4300    SHARES                X                 1       4300   0        0
JM SMUCKER CO         COMMON
                      STOCK   832696405     124       2822    SHARES                X                 1       2822   0        0
JM SMUCKER CO         COMMON
                      STOCK   832696405     284       6462    SHARES                         X        1       5856   0      606
JMAR TECHNOLOGIES     COMMON
  INC                 STOCK   466212107       1       1000    SHARES                X                 1       1000   0        0
JOHNSON & JOHNSON     COMMON
                      STOCK   478160104    1446      24055    SHARES         X                        2      24055   0        0
JOHNSON & JOHNSON     COMMON
                      STOCK   478160104   13906     231394    SHARES                X                 3     231394   0        0
JOHNSON & JOHNSON     COMMON
  COM                 STOCK   478160104   30743     511527    SHARES                X                 1     507122   0     4405
JOHNSON & JOHNSON     COMMON
  COM                 STOCK   478160104   31784     528845    SHARES                         X        1     512408   0    16437


                                   23 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
JOHNSON & JOHNSON   COMMON
  COM               STOCK   478160104    2819      46902    SHARES                X                 3      44586   0     2316
JOHNSON & JOHNSON   COMMON
  COM               STOCK   478160104     502       8355    SHARES                X                 3       8355   0        0
JOHNSON & JOHNSON   COMMON
  COM               STOCK   478160104      36        600    SHARES                         X        3        600   0        0
JOHNSON CONTROLS    COMMON
  INC               STOCK   478366107     109       1500    SHARES                X                 3       1500   0        0
JOHNSON CONTROLS    COMMON
  INC COM           STOCK   478366107     589       8080    SHARES                X                 1       8080   0        0
JOHNSON CONTROLS    COMMON
  INC COM           STOCK   478366107     251       3440    SHARES                         X        1       2640   0      800
JONES APPAREL       COMMON
  GROUP             STOCK   480074103      26        850    SHARES                X                 3        850   0        0
JONES APPAREL       COMMON
  GROUP INC COM     STOCK   480074103     107       3490    SHARES                         X        1       3490   0        0
JOS A BANK          COMMON
  CLOTHIERS INC     STOCK   480838101      43       1000    SHARES                X                 1       1000   0        0
JOY GLOBAL INC      COMMON
                    STOCK   481165108    1162      29050    SHARES                X                 3      29050   0        0
JOY GLOBAL          COMMON
  INCORPORATED      STOCK   481165108     480      12007    SHARES                X                 1      12007   0        0
JOY GLOBAL          COMMON
  INCORPORATED      STOCK   481165108       6        150    SHARES                         X        1        150   0        0
JP MORGAN CHASE &   COMMON
  COMPANY           STOCK   46625H100    2900      73076    SHARES         X                        2      73076   0        0
JPMORGAN CHASE &    COMMON
  CO                STOCK   46625H100    9877     248854    SHARES                X                 1     247204   0     1650
JPMORGAN CHASE &    COMMON
  CO                STOCK   46625H100    7342     184984    SHARES                         X        1     171618   0    13366
JPMORGAN CHASE &    COMMON
  CO                STOCK   46625H100    1365      34388    SHARES                X                 3      32095   0     2293
JPMORGAN CHASE &    COMMON
  CO                STOCK   46625H100      54       1350    SHARES                         X        3       1350   0        0
KADANT INC COM      COMMON
                    STOCK   48282T104       0          9    SHARES                X                 1          9   0        0
KANSAS LIFE INS CO  COMMON
  COM               STOCK   484836101      88       1750    SHARES                X                 1       1750   0        0
KB HOME             COMMON
                    STOCK   48666K109      39        540    SHARES                X                 3        540   0        0
KB HOME COM         COMMON
                    STOCK   48666K109     113       1562    SHARES                X                 1       1562   0        0
KELLOGG CO          COMMON
                    STOCK   487836108      86       2000    SHARES                X                 3       2000   0        0
KELLOGG CO COM      COMMON
                    STOCK   487836108    1097      25392    SHARES                X                 1      25392   0        0
KELLOGG CO COM      COMMON
                    STOCK   487836108     912      21097    SHARES                         X        1      19500   0     1597
KENNAMETAL INC      COMMON
                    STOCK   489170100       5        100    SHARES                         X        1        100   0        0
KERR MCGEE CORP     COMMON
                    STOCK   492386107     143       1569    SHARES                X                 1        769   0      800
KERR MCGEE CORP     COMMON
                    STOCK   492386107      45        500    SHARES                         X        1        500   0        0
KERR MCGEE CORP     COMMON
                    STOCK   492386107      11        117    SHARES                X                 3        117   0        0
KERR MCGEE CORP     COMMON
                    STOCK   492386107      93       1029    SHARES                X                 3       1029   0        0
KEYCORP             COMMON
                    STOCK   493267108     104       3145    SHARES                X                 3       3145   0        0
KEYCORP NEW COM     COMMON
                    STOCK   493267108     607      18437    SHARES                X                 1      18437   0        0
KEYCORP NEW COM     COMMON
                    STOCK   493267108     242       7350    SHARES                         X        1       7350   0        0
KEYCORP NEW COM     COMMON
                    STOCK   493267108      39       1170    SHARES                X                 3        170   0     1000
KEYCORP-NEW         COMMON
                    STOCK   493267108     286       8700    SHARES         X                        2       8700   0        0
KEYSPAN CORP COM    COMMON
                    STOCK   49337W100     114       3184    SHARES                X                 1       3084   0      100
KEYSPAN CORP COM    COMMON
                    STOCK   49337W100     113       3168    SHARES                         X        1       3168   0        0
KEYSPAN             COMMON
  CORPORATION       STOCK   49337W100      46       1300    SHARES                X                 3       1300   0        0
KIMBERLY CLARK      COMMON
  CORP              STOCK   494368103    6011     100771    SHARES                X                 1     100521   0      250
KIMBERLY CLARK      COMMON
  CORP              STOCK   494368103    4118      69044    SHARES                         X        1      62469   0     6575
KIMBERLY CLARK      COMMON
  CORP              STOCK   494368103     217       3630    SHARES                X                 3       3630   0        0
KINDER MORGAN
  ENERGY PARTNERS   COMMON
  LP                STOCK   494550106     166       3480    SHARES                X                 1       3480   0        0
KINDER MORGAN
  ENERGY PARTNERS   COMMON
  LP                STOCK   494550106      26        550    SHARES                         X        1        550   0        0
KINDER MORGAN INC   COMMON
                    STOCK   49455P101      73        800    SHARES                X                 3        800   0        0
KINDER MORGAN INC   COMMON
  COM               STOCK   49455P101      14        150    SHARES                X                 1        150   0        0
KINDER MORGAN INC   COMMON
  COM               STOCK   49455P101     145       1575    SHARES                         X        1       1575   0        0
KINETIC CONCEPTS    COMMON
                    STOCK   49460W208    5570     140080    SHARES                X                 3     136910   0     3170
KINETIC CONCEPTS    COMMON
  INC               STOCK   49460W208    3161      79511    SHARES                X                 1      77008   0     2503
KINETIC CONCEPTS    COMMON
  INC               STOCK   49460W208     178       4465    SHARES                         X        1       2205   0     2260
KING                COMMON
  PHARMACEUTICALS   STOCK   495582108      31       1833    SHARES                X                 3       1833   0        0
KING
  PHARMACEUTICALS   COMMON
  INC COM           STOCK   495582108      20       1200    SHARES                X                 1       1200   0        0
KLA TENCOR CORP     COMMON
  COM               STOCK   482480100       5        100    SHARES                X                 1        100   0        0
KLA-TENCOR CORP     COMMON
                    STOCK   482480100      74       1500    SHARES                X                 3       1500   0        0
KNIGHT RIDDER INC   COMMON
                    STOCK   499040103      25        400    SHARES                X                 1        400   0        0
KNIGHT-RIDDER INC   COMMON
                    STOCK   499040103      32        500    SHARES                X                 3        500   0        0
KOHLS CORP          COMMON
                    STOCK   500255104     129       2650    SHARES                X                 3       2650   0        0


                                   24 of 59





                                                          SEC USE
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                               ------------------------ ---------------------- -------- -------------------
                                                SHARES
                 COLUMN 2            COLUMN 4     OR      SHARES   PUT
    COLUMN 1     TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
---------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
KOHLS CORP COM   COMMON
                 STOCK    500255104     113       2330    SHARES                X                 1       2330   0       0
KOHLS CORP COM   COMMON
                 STOCK    500255104     119       2440    SHARES                         X        1       2440   0       0
KRAFT FOODS INC  COMMON
  CL A           STOCK    50075N104    1243      44109    SHARES                X                 1      41344   0    2765
KRAFT FOODS INC  COMMON
  CL A           STOCK    50075N104     195       6938    SHARES                         X        1       6438   0     500
KRAFT FOODS INC  COMMON
  CL A           STOCK    50075N104     850      30160    SHARES                X                 3      23960   0    6200
KRAFT FOODS INC  COMMON
  CL A           STOCK    50075N104      20        700    SHARES                         X        3        700   0       0
KROGER CO        COMMON
                 STOCK    501044101     505      26759    SHARES                X                 1      26759   0       0
KROGER CO        COMMON
                 STOCK    501044101      75       3950    SHARES                         X        1       3450   0     500
KROGER CO        COMMON
                 STOCK    501044101     105       5565    SHARES                X                 3       5565   0       0
KULICKE & SOFFA  COMMON
  INDS           STOCK    501242101      31       3500    SHARES                X                 3       3500   0       0
KULICKE & SOFFA  COMMON
  INDUSTRIES INC STOCK    501242101      42       4800    SHARES                X                 1       4800   0       0
L-3              COMMON
  COMMUNICATIONS STOCK    502424104      78       1050    SHARES                X                 3       1050   0       0
LABORATORY       COMMON
  CORP AMER      STOCK    50540R409      54       1000    SHARES                X                 3       1000   0       0
LABORATORY
  CORPORATION    COMMON
  OF AMER HLDGS  STOCK    50540R409    2261      41990    SHARES         X                        2      41990   0       0
LAM RESEARCH     COMMON
  CORP           STOCK    512807108     503      14100    SHARES                X                 3      14100   0       0
LAM RESH CORP    COMMON
                 STOCK    512807108     177       4959    SHARES                X                 1       4959   0       0
LAM RESH CORP    COMMON
                 STOCK    512807108      17        485    SHARES                         X        1        485   0       0
LARGE SCALE      COMMON
  BIOLOGY CORP   STOCK    517053203       0        400    SHARES                X                 1        400   0       0
LAUDER ESTEE CO  COMMON
  CL A           STOCK    518439104    5424     161998    SHARES                X                 1     155590   0    6408
LAUDER ESTEE CO  COMMON
  CL A           STOCK    518439104     344      10261    SHARES                         X        1       6811   0    3450
LAUDER ESTEE CO  COMMON
  CL A           STOCK    518439104    1405      41959    SHARES                X                 3      33259   0    8700
LAUDER ESTEE CO  COMMON
  CL A           STOCK    518439104     359      10720    SHARES                X                 3      10720   0       0
LAUREATE         COMMON
  EDUCATION      STOCK    518613104    7351     140000    SHARES                X                 3     140000   0       0
LAUREATE         COMMON
  EDUCATION INC  STOCK    518613104    4622      88013    SHARES                X                 1      85118   0    2895
LAUREATE         COMMON
  EDUCATION INC  STOCK    518613104     156       2965    SHARES                         X        1       1960   0    1005
LAUREATE         COMMON
  EDUCATION INC  STOCK    518613104    1153      21963    SHARES                X                 3      17896   0    4067
LAUREATE         COMMON
  EDUCATION INC  STOCK    518613104     343       6540    SHARES                X                 3       6540   0       0
LAWSON           COMMON
  SOFTWARE       STOCK    520780107      29       3900    SHARES                X                 1       3900   0       0
LAWSON           COMMON
  SOFTWARE INC   STOCK    520780107      28       3800    SHARES                X                 3       3800   0       0
LEADING BRANDS   COMMON
  INC            STOCK    52170U108       0        425    SHARES                X                 1        425   0       0
LEAR CORP        COMMON
                 STOCK    521865105     127       4456    SHARES                X                 1       3956   0     500
LEAR CORP        COMMON
                 STOCK    521865105     246       8660    SHARES                         X        1       7660   0    1000
LEAR CORP        COMMON
                 STOCK    521865105      31       1100    SHARES                         X        3       1100   0       0
LEESPORT         COMMON
  FINANCIAL CORP STOCK    524477106      69       2883    SHARES                X                 1       2883   0       0
LEGG MASON INC   COMMON
                 STOCK    524901105     863       7212    SHARES                X                 1       7212   0       0
LEGG MASON INC   COMMON
                 STOCK    524901105     129       1075    SHARES                         X        1       1075   0       0
LEGG MASON INC   COMMON
                 STOCK    524901105    1244      10400    SHARES                X                 3      10400   0       0
LEGGETT & PLATT  COMMON
  INC            STOCK    524660107      32       1400    SHARES                X                 3       1400   0       0
LEHMAN BROS      COMMON
  HLDGS          STOCK    524908100    7112      55487    SHARES                X                 3      55487   0       0
LEHMAN
  BROTHERS       COMMON
  HLDGS INC COM  STOCK    524908100    7872      61417    SHARES                X                 1      60719   0     698
LEHMAN
  BROTHERS       COMMON
  HLDGS INC COM  STOCK    524908100     867       6765    SHARES                         X        1       6265   0     500
LEHMAN
  BROTHERS       COMMON
  HLDGS INC COM  STOCK    524908100    1465      11429    SHARES                X                 3       9539   0    1890
LEHMAN
  BROTHERS       COMMON
  HLDGS INC COM  STOCK    524908100     321       2505    SHARES                X                 3       2505   0       0
LENNAR CORP      COMMON
                 STOCK A  526057104      61       1000    SHARES                X                 3       1000   0       0
LENNAR CORP CL   COMMON
  A              STOCK    526057104      12        200    SHARES                X                 1        200   0       0
LEVEL 3
  COMMUNICATIONS COMMON
  INC            STOCK    52729N100      14       5000    SHARES                X                 1       5000   0       0
LEVEL 3
  COMMUNICATIONS COMMON
  INCORPORATED   STOCK    52729N100      72      35000    SHARES         X                        2      35000   0       0
LEXMARK INTL     COMMON
                 STOCK A  529771107      43        950    SHARES                X                 3        950   0       0
LEXMARK INTL     COMMON
  INC CL A       STOCK    529771107      90       2000    SHARES                         X        1       2000   0       0
LIBERTY GLOBAL   COMMON
  INC - CL A     STOCK    530555101      56       2472    SHARES                X                 1       2472   0       0
LIBERTY GLOBAL   COMMON
  INC - CL A     STOCK    530555101      47       2100    SHARES                         X        1       2100   0       0
LIBERTY GLOBAL   COMMON
  INC CL C       STOCK    530555309      52       2472    SHARES                X                 1       2472   0       0
LIBERTY GLOBAL   COMMON
  INC CL C       STOCK    530555309      72       3400    SHARES                         X        1       3400   0       0
LIBERTY GLOBAL   COMMON
  INC-CL B       STOCK    530555200      30       1300    SHARES                         X        1       1300   0       0
LIBERTY MEDIA    COMMON
  CORP -B        STOCK    530718204     210      26000    SHARES                         X        1      26000   0       0


                                   25 of 59





                                                          SEC USE
                                                                              COLUMN 6                       COLUMN 8
                                                      COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7   VOTING AUTHORITY
                                              ------------------------ ---------------------- -------- --------------------
                                               SHARES
                COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1     TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                              
LIBERTY MEDIA    COMMON
  CORP CL A      STOCK   530718105     452      57453    SHARES                X                 1      57453   0         0
LIBERTY MEDIA    COMMON
  CORP CL A      STOCK   530718105     500      63500    SHARES                         X        1      63500   0         0
LIFECELL CORP    COMMON
                 STOCK   531927101      21       1100    SHARES                X                 1       1100   0         0
LIFECELL CORP    COMMON
                 STOCK   531927101      21       1100    SHARES                X                 3       1100   0         0
LIFEPOINT        COMMON
  HOSPITALS      STOCK   53219L109      26        700    SHARES                X                 3        700   0         0
LIFEPOINT HOSPS  COMMON
  INC COM        STOCK   53219L109      26        700    SHARES                X                 1        700   0         0
LILLY ELI & CO   COMMON
                 STOCK   532457108    5647      99790    SHARES                X                 1      97924   0      1866
LILLY ELI & CO   COMMON
                 STOCK   532457108    6025     106476    SHARES                         X        1     105131   0      1345
LILLY ELI & CO   COMMON
                 STOCK   532457108     725      12813    SHARES                X                 3       3847   0      8966
LIMITED BRANDS   COMMON
  INC            STOCK   532716107      61       2718    SHARES                X                 3       2718   0         0
LIMITED
  BRANDS, INC    COMMON
  COM            STOCK   532716107       4        200    SHARES                         X        1        200   0         0
LINCOLN
  NATIONAL       COMMON
  CORPORATION    STOCK   534187109     670      12627    SHARES         X                        2      12627   0         0
LINCOLN NATL     COMMON
  CORP           STOCK   534187109    2516      47447    SHARES                X                 1      46147   0      1300
LINCOLN NATL     COMMON
  CORP           STOCK   534187109     702      13240    SHARES                         X        1      13240   0         0
LINCOLN NATL     COMMON
  CORP           STOCK   534187109      68       1280    SHARES                X                 3       1280   0         0
LINEAR           COMMON
  TECHNOLOGY     STOCK   535678106      85       2350    SHARES                X                 3       2350   0         0
LINEAR
  TECHNOLOGY     COMMON
  CORP COM       STOCK   535678106      74       2048    SHARES                X                 1       2048   0         0
LINEAR
  TECHNOLOGY     COMMON
  CORP COM       STOCK   535678106      29        800    SHARES                         X        1          0   0       800
LIZ CLAIBORNE    COMMON
  INC            STOCK   539320101      15        420    SHARES                X                 1        420   0         0
LIZ CLAIBORNE    COMMON
  INC            STOCK   539320101      36       1000    SHARES                         X        1       1000   0         0
LIZ CLAIBORNE    COMMON
  INC            STOCK   539320101      30        840    SHARES                X                 3        840   0         0
LOCKHEED         COMMON
  MARTIN CORP    STOCK   539830109    5365      84309    SHARES                X                 3      84309   0         0
LOCKHEED
  MARTIN
  CORPORATION    COMMON
  COM            STOCK   539830109    9457     148621    SHARES                X                 1     146296   0      2325
LOCKHEED
  MARTIN
  CORPORATION    COMMON
  COM            STOCK   539830109    1596      25081    SHARES                         X        1      22806   0      2275
LOCKHEED
  MARTIN
  CORPORATION    COMMON
  COM            STOCK   539830109     862      13542    SHARES                X                 3      13542   0         0
LOCKHEED
  MARTIN
  CORPORATION    COMMON
  COM            STOCK   539830109     332       5215    SHARES                X                 3       5215   0         0
LOEWS CORP       COMMON
                 STOCK   540424108      95       1000    SHARES                X                 3       1000   0         0
LOEWS CORP       COMMON
  COM            STOCK   540424108     142       1500    SHARES                X                 1       1500   0         0
LOEWS CORP       COMMON
  COM            STOCK   540424108      19        200    SHARES                         X        1          0   0       200
LOUISIANA PAC    COMMON
  CORP           STOCK   546347105      55       2004    SHARES                         X        1          0   0      2004
LOUISIANA PAC    COMMON
  CORP           STOCK   546347105      24        870    SHARES                X                 3        870   0         0
LOWES CO         COMMON
                 STOCK   548661107    1791      26860    SHARES                X                 3      26860   0         0
LOWES COS INC    COMMON
  COM            STOCK   548661107    3763      56447    SHARES                X                 1      55477   0       970
LOWES COS INC    COMMON
  COM            STOCK   548661107     480       7200    SHARES                         X        1       6600   0       600
LOWES COS INC    COMMON
  COM            STOCK   548661107     554       8316    SHARES                X                 3       4686   0      3630
LSI LOGIC CORP   COMMON
                 STOCK   502161102      24       2960    SHARES                X                 3       2960   0         0
LSI LOGIC CORP   COMMON
  COM            STOCK   502161102      52       6500    SHARES                         X        1       6500   0         0
LUBRIZOL CORP    COMMON
                 STOCK   549271104     200       4600    SHARES                X                 1       4600   0         0
LUBRIZOL CORP    COMMON
                 STOCK   549271104     740      17032    SHARES                         X        1      17032   0         0
LUCENT           COMMON
  TECHNOLOGIES   STOCK   549463107      90      34011    SHARES                X                 3      34011   0         0
LUCENT
  TECHNOLOGIES   COMMON
  INC COM        STOCK   549463107     153      57626    SHARES                X                 1      57626   0         0
LUCENT
  TECHNOLOGIES   COMMON
  INC COM        STOCK   549463107     104      39180    SHARES                         X        1      38468   0       712
LUCENT
  TECHNOLOGIES   COMMON
  INC COM        STOCK   549463107       8       2852    SHARES                X                 3       1316   0      1536
LUCENT
  TECHNOLOGIES   COMMON
  INC COM        STOCK   549463107       5       1828    SHARES                         X        3       1828   0         0
LUCENT
  TECHNOLOGIES   COMMON
  INCORPORATED   STOCK   549463107     120      44981    SHARES         X                        2      44981   0         0
LYONDELL
  CHEMICAL
  COMPANY        COMMON
  COM            STOCK   552078107      14        575    SHARES                X                 1        575   0         0
M & T BANK       COMMON
  CORP COM       STOCK   55261F104   66197     607033    SHARES                X                 1     606783   0       250
M & T BANK       COMMON
  CORP COM       STOCK   55261F104   20141     184697    SHARES                         X        1      31206   0    153491
M & T BANK       COMMON
  CORP COM       STOCK   55261F104      85        780    SHARES                X                 3        780   0         0
MACROVISION      COMMON
  CORP           STOCK   555904101      40       2400    SHARES                X                 3       2400   0         0
MACROVISION      COMMON
  CORP COM       STOCK   555904101      45       2700    SHARES                X                 1       2700   0         0
MAF BANCORP      COMMON
  INC COM        STOCK   55261R108      75       1821    SHARES                X                 1       1821   0         0
MAGELAN
  MIDSTREAM      COMMON
  PARTNERS LP    STOCK   559080106     203       6300    SHARES         X                        2       6300   0         0
MAGNA
  ENTERTAINMENT  COMMON
  CORP CL A      STOCK   559211107       1        200    SHARES                X                 1        200   0         0
MANHATTAN        COMMON
  ASSOCS IN      STOCK   562750109      20       1000    SHARES                X                 3       1000   0         0


                                   26 of 59





                                                         SEC USE
                                                                             COLUMN 6                      COLUMN 8
                                                     COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                             ------------------------ ---------------------- -------- -------------------
                                              SHARES
               COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1    TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER  CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                             
MANHATTAN      COMMON
  ASSOCS INC   STOCK    562750109      25       1200    SHARES                X                 1       1200   0       0
MANITOWOC      COMMON
  CO INC COM   STOCK    563571108       5        100    SHARES                X                 1        100   0       0
MANOR CARE     COMMON
  INC          STOCK    564055101      23        590    SHARES                X                 3        590   0       0
MANOR CARE     COMMON
  INC COM      STOCK    564055101     199       5000    SHARES                         X        1       5000   0       0
MANPOWER       COMMON
  INC WIS      STOCK    56418H100      70       1500    SHARES                X                 1       1500   0       0
MARATHON OIL   COMMON
  CORP         STOCK    565849106     815      13375    SHARES                X                 1      13375   0       0
MARATHON OIL   COMMON
  CORP         STOCK    565849106     298       4880    SHARES                         X        1       4480   0     400
MARATHON OIL   COMMON
  CORP         STOCK    565849106     305       5000    SHARES                X                 3          0   0    5000
MARATHON OIL   COMMON
  CORP         STOCK    565849106     172       2824    SHARES                X                 3       2824   0       0
MARKEL CORP    COMMON
  COM          STOCK    570535104      32        100    SHARES                X                 1        100   0       0
MARRIOTT       COMMON
  INTL INC     STOCK A  571903202      89       1330    SHARES                X                 3       1330   0       0
MARRIOTT
  INTL INC CL  COMMON
  A            STOCK    571903202     133       1981    SHARES                X                 1       1981   0       0
MARSH &
  MCLENNAN     COMMON
  COS          STOCK    571748102     131       4139    SHARES                X                 3       4139   0       0
MARSH &
  MCLENNAN     COMMON
  COS INC COM  STOCK    571748102     112       3535    SHARES                X                 1       3535   0       0
MARSH &
  MCLENNAN     COMMON
  COS INC COM  STOCK    571748102     431      13578    SHARES                         X        1      13578   0       0
MARSHALL &     COMMON
  ILSLEY       STOCK    571834100      69       1600    SHARES                X                 3       1600   0       0
MARSHALL &     COMMON
  ILSLEY CORP  STOCK    571834100     419       9725    SHARES                X                 1       9725   0       0
MARSHALL &     COMMON
  ILSLEY CORP  STOCK    571834100     181       4200    SHARES                         X        1       4200   0       0
MARSHALL &     COMMON
  ILSLEY CORP  STOCK    571834100     155       3600    SHARES                X                 3          0   0    3600
MARTEK
  BIOSCIENCES  COMMON
  CORP         STOCK    572901106      10        400    SHARES                         X        1        400   0       0
MARTHA
  STEWART      COMMON
  LIVING-CL A  STOCK    573083102      21       1200    SHARES                X                 1       1200   0       0
MASCO CORP     COMMON
               STOCK    574599106    5870     194424    SHARES                X                 1     190516   0    3908
MASCO CORP     COMMON
               STOCK    574599106     962      31869    SHARES                         X        1      31469   0     400
MASCO CORP     COMMON
               STOCK    574599106    1046      34654    SHARES                X                 3      26419   0    8235
MASCO CORP     COMMON
               STOCK    574599106    5884     194915    SHARES                X                 3     194915   0       0
MASSEY         COMMON
  ENERGY CO    STOCK    576206106      53       1400    SHARES                X                 3       1400   0       0
MASSEY
  ENERGY CO    COMMON
  COM          STOCK    576206106     177       4673    SHARES                X                 1       4673   0       0
MASSEY
  ENERGY CO    COMMON
  COM          STOCK    576206106      57       1500    SHARES                         X        1       1500   0       0
MATRIA
  HEALTHCARE   COMMON
  IN           STOCK    576817209      23        600    SHARES                X                 3        600   0       0
MATRIA
  HEALTHCARE   COMMON
  INCORPORATED STOCK    576817209      33        850    SHARES                X                 1        850   0       0
MATTEL INC     COMMON
               STOCK    577081102      89       5595    SHARES                X                 1       5595   0       0
MATTEL INC     COMMON
               STOCK    577081102     194      12241    SHARES                         X        1      11344   0     897
MATTEL INC     COMMON
               STOCK    577081102      48       3040    SHARES                X                 3       3040   0       0
MATTHEWS
  INTL CORP CL COMMON
  A            STOCK    577128101      11        300    SHARES                X                 1        300   0       0
MAXIM
  INTEGRATED   COMMON
  PRO          STOCK    57772K101      91       2500    SHARES                X                 3       2500   0       0
MAXIM
  INTEGRATED
  PRODS INC    COMMON
  COM          STOCK    57772K101      41       1131    SHARES                X                 1       1131   0       0
MAYTAG CORP    COMMON
               STOCK    578592107      14        720    SHARES                X                 3        720   0       0
MAYTAG         COMMON
  CORPORATION  STOCK    578592107      34       1780    SHARES                X                 1       1780   0       0
MBIA INC       COMMON
               STOCK    55262C100      63       1050    SHARES                X                 3       1050   0       0
MBNA CORP      COMMON
               STOCK    55262L100     261       9595    SHARES                X                 3       9595   0       0
MBNA
  CORPORATION  COMMON
  COM          STOCK    55262L100     855      31506    SHARES                X                 1      31506   0       0
MBNA
  CORPORATION  COMMON
  COM          STOCK    55262L100     851      31360    SHARES                         X        1      31360   0       0
MC GRAW HILL
  COMPANIES    COMMON
  INC          STOCK    580645109     583      11300    SHARES                X                 1      11300   0       0
MC GRAW HILL
  COMPANIES    COMMON
  INC          STOCK    580645109    1584      30685    SHARES                         X        1      25085   0    5600
MCAFEE INC     COMMON
               STOCK    579064106       5        200    SHARES                X                 1        200   0       0
MCCORMICK &    COMMON
  CO INC       STOCK    579780107       8        270    SHARES                X                 1        270   0       0
MCCORMICK &    COMMON
  CO INC       NON VTG  579780206    4212     136213    SHARES                X                 3     136213   0       0
MCCORMICK &
  CO-NON VTG   COMMON
  SHS          STOCK    579780206    5071     164015    SHARES                X                 1     160897   0    3118
MCCORMICK &
  CO-NON VTG   COMMON
  SHS          STOCK    579780206     461      14925    SHARES                         X        1      11275   0    3650
MCCORMICK &
  CO-NON VTG   COMMON
  SHS          STOCK    579780206     764      24724    SHARES                X                 3      20416   0    4308
MCCORMICK &
  CO-NON VTG   COMMON
  SHS          STOCK    579780206     173       5600    SHARES                X                 3       5600   0       0
MCCORMICK &
  CO-NON VTG   COMMON
  SHS          STOCK    579780206      31       1000    SHARES                         X        3       1000   0       0
MCDATA CORP    COMMON
               STOCK    580031201       1        368    SHARES                         X        1        368   0       0
MCDERMOTT      COMMON
  INTL INC     STOCK    580037109     116       2600    SHARES                X                 1       2600   0       0
MCDERMOTT      COMMON
  INTL INC     STOCK    580037109      13        300    SHARES                         X        1        300   0       0


                                   27 of 59





                                                         SEC USE
                                                                             COLUMN 6                      COLUMN 8
                                                     COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                             ------------------------ ---------------------- -------- -------------------
                                              SHARES
               COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1    TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER  CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                             
MCDERMOTT       COMMON
  INTL INC      STOCK   580037109       9        200    SHARES                X                 3          0   0      200
MCDERMOTT       COMMON
  INTL INC      STOCK   580037109      85       1900    SHARES                X                 3       1900   0        0
MCDONALDS       COMMON
  CORP          STOCK   580135101     321       9510    SHARES                X                 3       9510   0        0
MCDONALDS       COMMON
  CORP COM      STOCK   580135101    1849      54833    SHARES                X                 1      54833   0        0
MCDONALDS       COMMON
  CORP COM      STOCK   580135101    1312      38913    SHARES                         X        1      32313   0     6600
MCGRAW HILL     COMMON
  COS INC       STOCK   580645109     150       2900    SHARES                X                 3       2900   0        0
MCKESSON CORP   COMMON
                STOCK   58155Q103     120       2331    SHARES                X                 3       2331   0        0
MCKESSON
  CORPORATION   COMMON
  COM           STOCK   58155Q103      52       1000    SHARES                X                 1       1000   0        0
MCKESSON
  CORPORATION   COMMON
  COM           STOCK   58155Q103       8        150    SHARES                         X        1        150   0        0
MCMORAN
  EXPLORATION   COMMON
  CO            STOCK   582411104       2        125    SHARES                X                 1        125   0        0
MCMORAN
  EXPLORATION   COMMON
  CO            STOCK   582411104       2        125    SHARES                         X        1        125   0        0
MEADWESTVACO    COMMON
  CORP          STOCK   583334107      60       2130    SHARES                X                 1       2130   0        0
MEADWESTVACO    COMMON
  CORP          STOCK   583334107      38       1365    SHARES                X                 3       1365   0        0
MEDAREX INC     COMMON
                STOCK   583916101      42       3000    SHARES                X                 1       3000   0        0
MEDAREX INC     COMMON
                STOCK   583916101      26       1900    SHARES                X                 3       1900   0        0
MEDCO HEALTH    COMMON
  SOL           STOCK   58405U102     132       2368    SHARES                X                 3       2368   0        0
MEDCO HEALTH
  SOLUTIONS     COMMON
  INC           STOCK   58405U102    1249      22384    SHARES                X                 1      22384   0        0
MEDCO HEALTH
  SOLUTIONS     COMMON
  INC           STOCK   58405U102    1790      32081    SHARES                         X        1      28230   0     3851
MEDIA SCIENCES  COMMON
  INTL INC      STOCK   58446X107       1        500    SHARES                X                 1        500   0        0
MEDIMMUNE INC   COMMON
                STOCK   584699102      65       1850    SHARES                X                 3       1850   0        0
MEDTRONIC INC   COMMON
                STOCK   585055106   12216     212190    SHARES                X                 1     206870   0     5320
MEDTRONIC INC   COMMON
                STOCK   585055106    3109      54011    SHARES                         X        1      48170   0     5841
MEDTRONIC INC   COMMON
                STOCK   585055106    1445      25104    SHARES                X                 3      19911   0     5193
MEDTRONIC INC   COMMON
                STOCK   585055106    6980     121228    SHARES                X                 3     121228   0        0
MEDTRONIC       COMMON
  INCORPORATED  STOCK   585055106    8135     141307    SHARES         X                        2     141307   0        0
MELLON
  FINANCIAL     COMMON
  CORP          STOCK   58551A108    2449      71501    SHARES                X                 1      71501   0        0
MELLON
  FINANCIAL     COMMON
  CORP          STOCK   58551A108     139       4072    SHARES                         X        1       4072   0        0
MELLON
  FINANCIAL     COMMON
  CORP          STOCK   58551A108     109       3195    SHARES                X                 3       3160   0       35
MELLON
  FINANCIAL     COMMON
  CORPORATION   STOCK   58551A108     202       5900    SHARES         X                        2       5900   0        0
MERCANTILE
  BANK          COMMON
  CORPORATION   STOCK   587376104      11        288    SHARES                X                 1        288   0        0
MERCANTILE
  BANKSHARES    COMMON
  CORP          STOCK   587405101     970      17190    SHARES                X                 1      17190   0        0
MERCANTILE
  BANKSHARES    COMMON
  CORP          STOCK   587405101    3959      70153    SHARES                         X        1      64953   0     5200
MERCANTILE
  BANKSHARES    COMMON
  CORP          STOCK   587405101     135       2400    SHARES                X                 3          0   0     2400
MERCK & CO INC  COMMON
                STOCK   589331107     503      15800    SHARES                X                 3      15800   0        0
MERCK & CO INC  COMMON
  COM           STOCK   589331107    7579     238273    SHARES                X                 1     236473   0     1800
MERCK & CO INC  COMMON
  COM           STOCK   589331107    9041     284223    SHARES                         X        1     252622   0    31601
MERCK & CO INC  COMMON
  COM           STOCK   589331107      82       2568    SHARES                X                 3        668   0     1900
MERCURY         COMMON
  INTERACTIVE   STOCK   589405109      19        700    SHARES                X                 3        700   0        0
MERCURY
  INTERACTIVE   COMMON
  CORP COM      STOCK   589405109       6        200    SHARES                X                 1        200   0        0
MEREDITH CORP   COMMON
                STOCK   589433101      19        360    SHARES                X                 3        360   0        0
MERIDIAN GOLD   COMMON
  INCORPORATED  STOCK   589975101       5        250    SHARES                X                 1        250   0        0
MERRILL         COMMON
  LYNCH & CO    STOCK   590188108     479       7070    SHARES                X                 3       7070   0        0
MERRILL
  LYNCH & CO    COMMON
  INC           STOCK   590188108    2138      31563    SHARES                X                 1      31063   0      500
MERRILL
  LYNCH & CO    COMMON
  INC           STOCK   590188108    1483      21895    SHARES                         X        1      20275   0     1620
MERRILL
  LYNCH &
  COMPANY       COMMON
  INCORPORATED  STOCK   590188108     332       4900    SHARES         X                        2       4900   0        0
MESA
  LABORATORIES  COMMON
  INC COM       STOCK   59064R109      49       3250    SHARES                X                 1       3250   0        0
MESABI TRUST    COMMON
                STOCK   590672101      51       2992    SHARES                X                 1       2992   0        0
MESABI TRUST    COMMON
                STOCK   590672101      37       2200    SHARES                X                 3       2200   0        0
METLIFE CAP TR  COMMON
  I             STOCK   59156R108      14        291    SHARES                X                 1        291   0        0
METLIFE CAP TR  COMMON
  I             STOCK   59156R108      45        913    SHARES                         X        1        913   0        0
METLIFE INC     COMMON
                STOCK   59156R108     281       5725    SHARES                X                 3       5725   0        0
MGIC INVT CORP  COMMON
                STOCK   552848103      53        800    SHARES                X                 3        800   0        0
MGM MIRAGE      COMMON
                STOCK   552953101       2         50    SHARES                X                 1         50   0        0
MICHAELS        COMMON
  STORES INC    STOCK   594087108    1641      46400    SHARES                X                 3      46400   0        0
MICHAELS
  STORES INC    COMMON
  COM           STOCK   594087108     500      14130    SHARES                X                 1      14130   0        0


                                   28 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
MICROCHIP          COMMON
  TECHNOLOGY       STOCK    595017104    1000      31100    SHARES                X                 3      31100   0        0
MICROCHIP
  TECHNOLOGY INC   COMMON
  COM              STOCK    595017104     290       9035    SHARES                X                 1       9035   0        0
MICRON             COMMON
  TECHNOLOGY       STOCK    595112103      63       4700    SHARES                X                 3       4700   0        0
MICRON
  TECHNOLOGY INC   COMMON
  COM              STOCK    595112103       5        400    SHARES                X                 1        400   0        0
MICRON
  TECHNOLOGY INC   COMMON
  COM              STOCK    595112103       5        400    SHARES                         X        1        400   0        0
MICROSOFT CORP     COMMON
                   STOCK    594918104   25303     967596    SHARES                X                 1     951474   0    16122
MICROSOFT CORP     COMMON
                   STOCK    594918104    7802     298349    SHARES                         X        1     261310   0    37039
MICROSOFT CORP     COMMON
                   STOCK    594918104    4285     163868    SHARES                X                 3     135239   0    28629
MICROSOFT CORP     COMMON
                   STOCK    594918104   15946     609770    SHARES                X                 3     609770   0        0
MICROSOFT CORP     COMMON
                   STOCK    594918104      47       1800    SHARES                         X        3       1800   0        0
MICROSOFT          COMMON
  CORPORATION      STOCK    594918104    1966      75170    SHARES         X                        2      75170   0        0
MID PENN BANCORP   COMMON
  INCORPORATED     STOCK    59540G107      27       1050    SHARES                X                 1       1050   0        0
MIDCAP SPDR TRUST  COMMON
  SERIES 1 S&P 400 STOCK    595635103    1958      14539    SHARES                X                 1      14539   0        0
MIDCAP SPDR TRUST  COMMON
  SERIES 1 S&P 400 STOCK    595635103     531       3944    SHARES                         X        1       3944   0        0
MILACRON INC       COMMON
                   STOCK    598709103       1       1017    SHARES                X                 1       1017   0        0
MILLENNIUM
  PHARMACEUTICALS  COMMON
  COM              STOCK    599902103      49       5000    SHARES                         X        1       5000   0        0
MILLIPORE CORP     COMMON
                   STOCK    601073109      28        430    SHARES                X                 3        430   0        0
MILLS CORPORATION  COMMON
                   STOCK    601148109     356       8500    SHARES         X                        2       8500   0        0
MINDSPEED          COMMON
  TECHNOLOGIES INC STOCK    602682106       0         66    SHARES                X                 1         66   0        0
MINE SAFETY        COMMON
  APPLIANCES CO    STOCK    602720104      24        650    SHARES                X                 1        650   0        0
ML MACADAMIA       COMMON
  ORCHARDS         STOCK    55307U107       1        100    SHARES                         X        1        100   0        0
MOHAWK
  INDUSTRIES INC   COMMON
  COM              STOCK    608190104      61        700    SHARES                X                 1        700   0        0
MOLEX INC          COMMON
                   STOCK    608554101      99       3812    SHARES                X                 1       3812   0        0
MOLEX INC          COMMON
                   STOCK    608554101      30       1150    SHARES                X                 3       1150   0        0
MOLSON COORS       COMMON
  BREWING          STOCK B  60871R209      32        485    SHARES                X                 3        485   0        0
MOLSON COORS
  BREWING          COMMON
  COMPANY          STOCK    60871R209      23        350    SHARES                X                 1        350   0        0
MOLSON COORS
  BREWING          COMMON
  COMPANY          STOCK    60871R209      20        300    SHARES                         X        1        300   0        0
MONSANTO CO        COMMON
                   STOCK    61166W101     158       2040    SHARES                X                 3       2040   0        0
MONSANTO           COMMON
  COMPANY          STOCK    61166W101     113       1456    SHARES                X                 1       1456   0        0
MONSANTO           COMMON
  COMPANY          STOCK    61166W101     626       8074    SHARES                         X        1       7392   0      682
MONSTER            COMMON
  WORLDWIDE        STOCK    611742107      37        900    SHARES                X                 3        900   0        0
MOODYS CORP        COMMON
                   STOCK    615369105     216       3510    SHARES                X                 1       3510   0        0
MOODYS CORP        COMMON
                   STOCK    615369105     528       8600    SHARES                         X        1       8600   0        0
MOODYS CORP        COMMON
                   STOCK    615369105     121       1970    SHARES                X                 3       1970   0        0
MORGAN STANLEY     COMMON
                   STOCK    617446448    6848     120690    SHARES                X                 1     118900   0     1790
MORGAN STANLEY     COMMON
                   STOCK    617446448    1956      34468    SHARES                         X        1      33806   0      662
MORGAN STANLEY     COMMON
                   STOCK    617446448    1156      20381    SHARES                X                 3      17672   0     2709
MORGAN STANLEY     COMMON
                   STOCK    617446448    6288     110798    SHARES                X                 3     110798   0        0
MORGAN STANLEY     COMMON
                   STOCK    617446448      24        424    SHARES                         X        3        424   0        0
MOTOROLA INC       COMMON
                   STOCK    620076109    4048     179199    SHARES                X                 1     178949   0      250
MOTOROLA INC       COMMON
                   STOCK    620076109    1784      78975    SHARES                         X        1      74350   0     4625
MOTOROLA INC       COMMON
                   STOCK    620076109     682      30206    SHARES                X                 3      15306   0    14900
MOTOROLA INC       COMMON
                   STOCK    620076109    1927      85356    SHARES                X                 3      85356   0        0
MUNICIPAL MTG & EQ COMMON
  LLC              STOCK    62624B101      28       1100    SHARES                X                 1       1100   0        0
MUNICIPAL MTG & EQ COMMON
  LLC              STOCK    62624B101      45       1750    SHARES                         X        1       1750   0        0
MURPHY OIL CORP    COMMON
                   STOCK    626717102      58       1075    SHARES                X                 1       1075   0        0
MURPHY OIL CORP    COMMON
                   STOCK    626717102      81       1500    SHARES                         X        1       1500   0        0
MURPHY OIL CORP    COMMON
                   STOCK    626717102      70       1300    SHARES                X                 3       1300   0        0
MYLAN              COMMON
  LABORATORIES INC STOCK    628530107      35       1734    SHARES                X                 1       1734   0        0
MYLAN              COMMON
  LABORATORIES INC STOCK    628530107      26       1325    SHARES                         X        1          0   0     1325
MYLAN LABS INC     COMMON
                   STOCK    628530107      34       1700    SHARES                X                 3       1700   0        0
MYRIAD GENETICS    COMMON
  INC COM          STOCK    62855J104       3        150    SHARES                X                 1        150   0        0
N J RES CORP       COMMON
                   STOCK    646025106      25        600    SHARES                X                 1        600   0        0
NABORS INDS LTD    COMMON
                   STOCK    G6359F103    7448      98333    SHARES                X                 3      98333   0        0
NAM TAI ELECTRS    COMMON
  INC              STOCK    629865205      14        600    SHARES                X                 3        600   0        0


                                   29 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
NANOGEN INC        COMMON
                   STOCK    630075109       2        600    SHARES                X                 1        600   0       0
NASDAQ-100 SHARES  COMMON
                   STOCK    631100104     323       7987    SHARES                X                 1       7987   0       0
NASDAQ-100 SHARES  COMMON
                   STOCK    631100104   13517     334480    SHARES                         X        1     334480   0       0
NATIONAL CITY CORP COMMON
                   STOCK    635405103     145       4310    SHARES                X                 3       4310   0       0
NATIONAL CITY CORP COMMON
  COM              STOCK    635405103     715      21309    SHARES                X                 1      21309   0       0
NATIONAL CITY CORP COMMON
  COM              STOCK    635405103      39       1148    SHARES                         X        1       1148   0       0
NATIONAL OILWELL   COMMON
  VAR              STOCK    637071101      80       1275    SHARES                X                 3       1275   0       0
NATIONAL PENN      COMMON
  BANCSHARES INC   STOCK    637138108     126       6637    SHARES                X                 1       6637   0       0
NATIONAL PENN      COMMON
  BANCSHARES INC   STOCK    637138108     126       6637    SHARES                         X        1       6637   0       0
NATIONAL           COMMON
  SEMICONDUCT      STOCK    637640103      69       2670    SHARES                X                 3       2670   0       0
NATIONAL
  SEMICONDUCTOR    COMMON
  CORP COM         STOCK    637640103      66       2550    SHARES                X                 1       2550   0       0
NATIONAL
  SEMICONDUCTOR    COMMON
  CORP COM         STOCK    637640103      98       3790    SHARES                         X        1       3790   0       0
NATIONAL-OILWELL   COMMON
  VARCO INC        STOCK    637071101       8        130    SHARES                X                 1        130   0       0
NATIONWIDE FINL    COMMON
  SVCS INC         STOCK    638612101      10        238    SHARES                         X        1        238   0       0
NATL FUEL GAS CO   COMMON
                   STOCK    636180101      31       1000    SHARES                         X        1       1000   0       0
NAVIGATORS GROUP   COMMON
  INC              STOCK    638904102      92       2100    SHARES                X                 3       2100   0       0
NAVISTAR
  INTERNATIONAL    COMMON
  CORP             STOCK    63934E108       3        100    SHARES                X                 1        100   0       0
NAVISTAR INTL CORP COMMON
                   STOCK    63934E108      13        445    SHARES                X                 3        445   0       0
NCR CORP           COMMON
                   STOCK    62886E108      54       1600    SHARES                X                 3       1600   0       0
NCR CORP COM       COMMON
                   STOCK    62886E108       5        139    SHARES                X                 1        139   0       0
NCR CORP COM       COMMON
                   STOCK    62886E108      32        942    SHARES                         X        1        894   0      48
NEENAH PAPER INC   COMMON
                   STOCK    640079109      58       2065    SHARES                X                 1       2065   0       0
NEENAH PAPER INC   COMMON
                   STOCK    640079109      10        366    SHARES                         X        1        347   0      19
NEKTAR             COMMON
  THERAPEUTICS     STOCK    640268108      28       1700    SHARES                X                 1       1700   0       0
NEKTAR             COMMON
  THERAPEUTICS     STOCK    640268108      21       1300    SHARES                X                 3       1300   0       0
NETWORK            COMMON
  APPLIANCE        STOCK    64120L104      80       2950    SHARES                X                 3       2950   0       0
NETWORK
  APPLIANCE        COMMON
  INCORPORATED     STOCK    64120L104     332       4000    SHARES         X                        2       4000   0       0
NEUROCRINE         COMMON
  BIOSCIENCES INC  STOCK    64125C109      31        500    SHARES                         X        1          0   0     500
NEVADA GOLD &      COMMON
  CASINOS INC      STOCK    64126Q206       2        200    SHARES                X                 1        200   0       0
NEW MILFORD        COMMON
  BANCORP          STOCK    651633109     396      13000    SHARES         X                               13000   0       0
NEW PLAN EXCEL     COMMON
  REALTY TRUST INC STOCK    648053106     452      19500    SHARES         X                        2      19500   0       0
NEW YORK TIMES CO  COMMON
                   STOCK A  650111107      28       1070    SHARES                X                 3       1070   0       0
NEW YORK TIMES CO  COMMON
  CL A             STOCK    650111107      40       1520    SHARES                X                 1       1520   0       0
NEW YORK TIMES CO  COMMON
  CL A             STOCK    650111107     265      10000    SHARES                         X        1      10000   0       0
NEWELL             COMMON
  RUBBERMAID IN    STOCK    651229106      49       2050    SHARES                X                 3       2050   0       0
NEWELL
  RUBBERMAID INC   COMMON
  COM              STOCK    651229106     920      38690    SHARES                X                 1      37690   0    1000
NEWELL
  RUBBERMAID INC   COMMON
  COM              STOCK    651229106     560      23565    SHARES                         X        1      23065   0     500
NEWELL
  RUBBERMAID INC   COMMON
  COM              STOCK    651229106      27       1150    SHARES                X                 3        150   0    1000
NEWMARKET          COMMON
  CORPORATION      STOCK    651587107     192       7840    SHARES                         X        1       7840   0       0
NEWMONT MINING     COMMON
                   STOCK    651639106      72       1341    SHARES                X                 1       1290   0      51
NEWMONT MINING     COMMON
                   STOCK    651639106      53       1000    SHARES                         X        1        100   0     900
NEWMONT MINING     COMMON
  CORP             STOCK    651639106     180       3365    SHARES                X                 3       3365   0       0
NEWS CORP INC-A    COMMON
                   STOCK    65248E104       7        420    SHARES                X                 1        410   0      10
NEWS CORP INC-A    COMMON
                   STOCK    65248E104      60       3869    SHARES                         X        1       3755   0     114
NEWS CORP LTD      COMMON
                   STOCK A  65248E104     291      18700    SHARES                X                 3      18700   0       0
NEWS CORP-CLASS B  COMMON
                   STOCK    65248E203     133       8000    SHARES                         X        1       8000   0       0
NICOR INC          COMMON
                   STOCK    654086107      20        500    SHARES                X                 1        500   0       0
NICOR INC          COMMON
                   STOCK    654086107      37        950    SHARES                         X        1        950   0       0
NICOR INC          COMMON
                   STOCK    654086107      13        340    SHARES                X                 3        340   0       0
NIKE INC           COMMON
                   STOCK B  654106103     822       9470    SHARES                X                 3       9470   0       0
NIKE INC CL B      COMMON
                   STOCK    654106103     489       5638    SHARES                X                 1       5638   0       0
NIKE INC CL B      COMMON
                   STOCK    654106103     112       1295    SHARES                         X        1       1295   0       0
NIKE INC CL B      COMMON
                   STOCK    654106103     140       1608    SHARES                X                 3       1608   0       0
NISOURCE INC       COMMON
                   STOCK    65473P105      96       4598    SHARES                X                 1       4598   0       0
NISOURCE INC       COMMON
                   STOCK    65473P105      45       2171    SHARES                         X        1       2171   0       0


                                   30 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
NISOURCE INC        COMMON
                    STOCK   65473P105      44       2092    SHARES                X                 3       2092   0       0
NOBLE               COMMON
  CORPORATION       STOCK   G65422100      76       1075    SHARES                X                 3       1075   0       0
NOBLE ENERGY INC    COMMON
                    STOCK   655044105      60       1500    SHARES                X                 1       1500   0       0
NOBLE ENERGY INC    COMMON
                    STOCK   655044105      81       2000    SHARES                         X        1       2000   0       0
NORDSTROM INC       COMMON
                    STOCK   655664100      65       1750    SHARES                X                 3       1750   0       0
NORDSTROM INC       COMMON
  COM               STOCK   655664100       7        200    SHARES                X                 1        200   0       0
NORFOLK SOUTHERN    COMMON
                    STOCK   655844108     138       3075    SHARES                X                 3       3075   0       0
NORFOLK SOUTHERN    COMMON
  CORP              STOCK   655844108     678      15125    SHARES                X                 1      15125   0       0
NORFOLK SOUTHERN    COMMON
  CORP              STOCK   655844108     991      22098    SHARES                         X        1      19398   0    2700
NORFOLK SOUTHERN    COMMON
  CORP              STOCK   655844108      20        450    SHARES                         X        3        450   0       0
NORTH FORK          COMMON
  BANCORP           STOCK   659424105     100       3650    SHARES                X                 3       3650   0       0
NORTH FORK
  BANCORPORATION    COMMON
  COM               STOCK   659424105      62       2248    SHARES                X                 1       2248   0       0
NORTH FORK
  BANCORPORATION    COMMON
  COM               STOCK   659424105      77       2820    SHARES                         X        1       2820   0       0
NORTHEAST           COMMON
  UTILITIES COM     STOCK   664397106       6        300    SHARES                X                 1        300   0       0
NORTHERN BORDER
  PARTNERS LP UNIT  COMMON
  LTD               STOCK   664785102      29        700    SHARES                X                 1        700   0       0
NORTHERN BORDER
  PARTNERS LP UNIT  COMMON
  LTD               STOCK   664785102      63       1500    SHARES                         X        1       1500   0       0
NORTHERN BORDER
  PARTNERS LP UNIT  COMMON
  LTD               STOCK   664785102     210       5000    SHARES                X                 3          0   0    5000
NORTHERN TR CORP    COMMON
                    STOCK   665859104      76       1470    SHARES                X                 3       1470   0       0
NORTHERN TRUST      COMMON
  CORP COM          STOCK   665859104      14        272    SHARES                X                 1        272   0       0
NORTHERN TRUST      COMMON
  CORP COM          STOCK   665859104      12        225    SHARES                         X        1        225   0       0
NORTHROP            COMMON
  GRUMMAN CO        STOCK   666807102     163       2720    SHARES                X                 3       2720   0       0
NORTHROP            COMMON
  GRUMMAN CORP      STOCK   666807102     860      14313    SHARES                X                 1      14313   0       0
NORTHROP            COMMON
  GRUMMAN CORP      STOCK   666807102     358       5964    SHARES                         X        1       5964   0       0
NORTHROP            COMMON
  GRUMMAN CORP      STOCK   666807102      97       1611    SHARES                X                 3       1000   0     611
NORTHROP            COMMON
  GRUMMAN CORP      STOCK   666807102      24        400    SHARES                         X        3        400   0       0
NORTHWEST
  NATURAL GAS       COMMON
  COMPANY           STOCK   667655104      56       1650    SHARES                X                 1       1650   0       0
NORTHWEST
  NATURAL GAS       COMMON
  COMPANY           STOCK   667655104      34       1000    SHARES                         X        1       1000   0       0
NOVARTIS AG         COMMON
                    STOCK   66987V109    6895     131388    SHARES                X                 3     131388   0       0
NOVATEL WIRELESS    COMMON
  INC               STOCK   66987M604      42       3450    SHARES                X                 1       3450   0       0
NOVATEL WIRELESS    COMMON
  INC               STOCK   66987M604      31       2550    SHARES                X                 3       2550   0       0
NOVELL INC          COMMON
                    STOCK   670006105    1226     138860    SHARES                X                 1     138610   0     250
NOVELL INC          COMMON
                    STOCK   670006105     307      34725    SHARES                         X        1      34725   0       0
NOVELL INC          COMMON
                    STOCK   670006105      26       2925    SHARES                X                 3       2925   0       0
NOVELLUS SYS INC    COMMON
                    STOCK   670008101      24       1000    SHARES                X                 3       1000   0       0
NOVELLUS SYS INC    COMMON
  COM               STOCK   670008101      22        900    SHARES                         X        1        900   0       0
NSTAR COM           COMMON
                    STOCK   67019E107      41       1440    SHARES                         X        1       1440   0       0
NUCOR CORP          COMMON
                    STOCK   670346105      64        960    SHARES                         X        1        960   0       0
NUCOR CORP          COMMON
                    STOCK   670346105      77       1150    SHARES                X                 3       1150   0       0
NUVEEN              COMMON
  INVESTMENTS INC   STOCK   67090F106       5        115    SHARES                X                 1        115   0       0
NUVELO INC          COMMON
                    STOCK   67072M301      39       4760    SHARES                X                 1       4760   0       0
NUVELO INC          COMMON
                    STOCK   67072M301      35       4300    SHARES                X                 3       4300   0       0
NVIDIA CORP         COMMON
                    STOCK   67066G104      48       1325    SHARES                X                 3       1325   0       0
NVIDIA CORP COM     COMMON
                    STOCK   67066G104      11        300    SHARES                X                 1        300   0       0
NYER MEDICAL
  GROUP             COMMON
  INCORPORATED      STOCK   670711100       3        825    SHARES                X                 1        825   0       0
OCCIDENTAL PETE     COMMON
  CORP              STOCK   674599105     242       3025    SHARES                X                 3       3025   0       0
OCCIDENTAL PETE     COMMON
  CORP COM          STOCK   674599105     244       3055    SHARES                X                 1       3055   0       0
OCCIDENTAL PETE     COMMON
  CORP COM          STOCK   674599105       2         22    SHARES                         X        1         22   0       0
OCEANEERING INTL    COMMON
  INC COM           STOCK   675232102      20        400    SHARES                X                 1        400   0       0
ODYSSEY RE HLDGS    COMMON
  CORP COM          STOCK   67612W108      43       1700    SHARES                X                 1       1700   0       0
OFFICE DEPOT INC    COMMON
                    STOCK   676220106      63       2000    SHARES                X                 1       2000   0       0
OFFICE DEPOT INC    COMMON
                    STOCK   676220106      75       2400    SHARES                X                 3       2400   0       0
OFFICEMAX INC       COMMON
                    STOCK   67622P101      10        404    SHARES                X                 1        404   0       0
OFFICEMAX INC       COMMON
                    STOCK   67622P101      17        675    SHARES                X                 3        675   0       0
OGE ENERGY CORP     COMMON
  COM               STOCK   670837103      48       1800    SHARES                X                 1       1800   0       0
OGE ENERGY CORP     COMMON
  COM               STOCK   670837103      84       3136    SHARES                         X        1       3136   0       0


                                   31 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
OHIO CAS CORP      COMMON
                   STOCK    677240103       7        240    SHARES                X                 1        240   0       0
OIL SERVICE        COMMON
  HOLDERS TRUST    STOCK    678002106      13        100    SHARES                X                 1        100   0       0
OLD NATIONAL       COMMON
  BANCORP COM      STOCK    680033107     136       6306    SHARES                X                 1       6306   0       0
OLD REPUBLIC INTL  COMMON
  CORP COM         STOCK    680223104     102       3900    SHARES                X                 1       3900   0       0
OLIN CORP COM      COMMON
                   STOCK    680665205      15        750    SHARES                X                 1        750   0       0
OLIN CORP COM      COMMON
                   STOCK    680665205       4        200    SHARES                         X        1        200   0       0
OMEGA FINANCIAL    COMMON
  CORP             STOCK    682092101      35       1239    SHARES                X                 1       1239   0       0
OMEGA FINANCIAL    COMMON
  CORP             STOCK    682092101     584      20938    SHARES                         X        1      16604   0    4334
OMI CORP COM NEW   COMMON
                   STOCK    Y6476W104      47       2600    SHARES                X                 1       2600   0       0
OMNICARE INC COM   COMMON
                   STOCK    681904108      29        500    SHARES                         X        1        500   0       0
OMNICOM GROUP INC  COMMON
                   STOCK    681919106     117       1375    SHARES                X                 3       1375   0       0
OMNICOM GROUP INC  COMMON
  COM              STOCK    681919106     275       3234    SHARES                X                 1       3234   0       0
OMNICOM GROUP INC  COMMON
  COM              STOCK    681919106     183       2150    SHARES                         X        1       2150   0       0
ON SEMICONDUCTOR   COMMON
  COR              STOCK    682189105      31       5600    SHARES                X                 3       5600   0       0
ON SEMICONDUCTOR   COMMON
  CORPORATION      STOCK    682189105      43       7700    SHARES                X                 1       7700   0       0
ON TRACK           COMMON
  INNOVATION       STOCK    M8791A109      75       5500    SHARES                X                 3       5500   0       0
ONEOK INC          COMMON
                   STOCK    682680103      60       2270    SHARES                X                 1       2270   0       0
ONEOK INC          COMMON
                   STOCK    682680103       5        200    SHARES                         X        1        200   0       0
ONYX               COMMON
  PHARMACEUTICALS  STOCK    683399109      20        700    SHARES                X                 3        700   0       0
ONYX
  PHARMACEUTICALS  COMMON
  INC              STOCK    683399109      20        700    SHARES                X                 1        700   0       0
OPENTV CORP        COMMON
                   STOCK A  G67543101      11       4800    SHARES                X                 3       4800   0       0
OPENTV
  CORPORATION      COMMON
  CLASS A          STOCK    G67543101      12       5300    SHARES                X                 1       5300   0       0
OPENWAVE SYS INC   COMMON
                   STOCK    683718308       9        500    SHARES                X                 3        500   0       0
OPENWAVE SYSTEMS   COMMON
  INC              STOCK    683718308       9        500    SHARES                X                 1        500   0       0
OPSWARE INC        COMMON
                   STOCK    68383A101      15       2200    SHARES                X                 3       2200   0       0
OPSWARE, INC.      COMMON
                   STOCK    68383A101      77      11300    SHARES                X                 1      11300   0       0
ORACLE CORP        COMMON
                   STOCK    68389X105    1183      96927    SHARES                X                 3      96427   0     500
ORACLE             COMMON
  CORPORATION      STOCK    68389X105     671      54966    SHARES         X                        2      54966   0       0
ORACLE             COMMON
  CORPORATION COM  STOCK    68389X105    1802     147566    SHARES                X                 1     146866   0     700
ORACLE             COMMON
  CORPORATION COM  STOCK    68389X105     308      25245    SHARES                         X        1      25245   0       0
OREGON STL MLS INC COMMON
                   STOCK    686079104      85       2900    SHARES                X                 1       2900   0       0
OREGON STL MLS INC COMMON
                   STOCK    686079104      79       2700    SHARES                X                 3       2700   0       0
OSHKOSH TRUCK      COMMON
  CORP             STOCK    688239201       7        150    SHARES                X                 1        150   0       0
OTELCO INC         COMMON
                   STOCK    688823202      21       1300    SHARES                X                 1       1300   0       0
OTTER TAIL         COMMON
  CORPORATION      STOCK    689648103       7        240    SHARES                         X        1        240   0       0
OUTBACK            COMMON
  STEAKHOUSE       STOCK    689899102    5942     142770    SHARES                X                 3     142770   0       0
OUTBACK
  STEAKHOUSE INC   COMMON
  COM              STOCK    689899102    3987      95812    SHARES                X                 1      93335   0    2477
OUTBACK
  STEAKHOUSE INC   COMMON
  COM              STOCK    689899102     205       4920    SHARES                         X        1       4570   0     350
OUTBACK
  STEAKHOUSE INC   COMMON
  COM              STOCK    689899102    1354      32539    SHARES                X                 3      25693   0    6846
OUTBACK
  STEAKHOUSE INC   COMMON
  COM              STOCK    689899102     328       7880    SHARES                X                 3       7880   0       0
P G & E CORP       COMMON
                   STOCK    69331C108      41       1100    SHARES                X                 1       1100   0       0
P G & E CORP       COMMON
                   STOCK    69331C108      82       2200    SHARES                         X        1        700   0    1500
PACCAR INC         COMMON
                   STOCK    693718108       9        125    SHARES                X                 1        125   0       0
PACCAR INC         COMMON
                   STOCK    693718108     208       3000    SHARES                X                 3          0   0    3000
PACCAR INC         COMMON
                   STOCK    693718108      90       1295    SHARES                X                 3       1295   0       0
PACIFIC SUNWEAR CA COMMON
                   STOCK    694873100    1007      40400    SHARES                X                 3      40400   0       0
PACIFIC SUNWEAR OF COMMON
  CALIFORNIA       STOCK    694873100     304      12200    SHARES                X                 1      12200   0       0
PACTIV CORP        COMMON
                   STOCK    695257105      26       1165    SHARES                X                 3       1165   0       0
PACTIV CORP COM    COMMON
                   STOCK    695257105     982      44615    SHARES                X                 1      41915   0    2700
PACTIV CORP COM    COMMON
                   STOCK    695257105     174       7900    SHARES                         X        1       1625   0    6275
PACTIV CORP COM    COMMON
                   STOCK    695257105      44       2000    SHARES                X                 3          0   0    2000
PALL CORP          COMMON
                   STOCK    696429307      26        980    SHARES                X                 3        980   0       0
PALL CORP COM      COMMON
                   STOCK    696429307      54       2000    SHARES                         X        1       2000   0       0
PALM INC           COMMON
                   STOCK    696643105       0          3    SHARES                X                 1          3   0       0
PALM INC           COMMON
                   STOCK    696643105       3        101    SHARES                         X        1        101   0       0


                                   32 OF 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
  --------------   -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
PARAMETRIC TECH     COMMON
  CORP              STOCK   699173100      13       2070    SHARES                X                 3       2070   0        0
PARAMETRIC
  TECHNOLOGY        COMMON
  CORP COM          STOCK   699173100      35       5682    SHARES                         X        1       5682   0        0
PARKER HANNIFIN     COMMON
  CORP              STOCK   701094104     303       4601    SHARES                X                 1       4601   0        0
PARKER HANNIFIN     COMMON
  CORP              STOCK   701094104     199       3021    SHARES                         X        1       3021   0        0
PARKER HANNIFIN     COMMON
  CORP              STOCK   701094104      65        990    SHARES                X                 3        990   0        0
PARTNERS TRUST      COMMON
  FINANCIAL GROUP   STOCK   70213F102      61       5090    SHARES                X                 1       5090   0        0
PARTNERS TRUST      COMMON
  FINANCIAL GROUP   STOCK   70213F102      15       1213    SHARES                         X        1          0   0     1213
PATTERSON           COMMON
  COMPANIES INC     STOCK   703395103      17        500    SHARES                         X        1        500   0        0
PATTERSON-UTI       COMMON
  ENERGY INC        STOCK   703481101       5        150    SHARES                X                 1        150   0        0
PATTERSON-UTI       COMMON
  ENERGY INC        STOCK   703481101      64       1950    SHARES                         X        1       1950   0        0
PAULA FINANCIAL     COMMON
                    STOCK   703588103       1        400    SHARES                X                 1        400   0        0
PAYCHEX INC         COMMON
                    STOCK   704326107      96       2525    SHARES                X                 3       2525   0        0
PAYCHEX INC COM     COMMON
                    STOCK   704326107     441      11577    SHARES                X                 1      11577   0        0
PAYCHEX INC COM     COMMON
                    STOCK   704326107      46       1200    SHARES                         X        1       1200   0        0
PC-TEL INC          COMMON
                    STOCK   69325Q105      21       2400    SHARES                X                 3       2400   0        0
PC-TEL              COMMON
  INCORPORATED      STOCK   69325Q105      21       2400    SHARES                X                 1       2400   0        0
PEABODY ENERGY      COMMON
  CORP              STOCK   704549104    2579      31290    SHARES                X                 3      31290   0        0
PEABODY ENERGY      COMMON
  CORP COM          STOCK   704549104    1416      17180    SHARES                X                 1      17180   0        0
PEABODY ENERGY      COMMON
  CORP COM          STOCK   704549104      93       1125    SHARES                         X        1       1125   0        0
PEABODY ENERGY      COMMON
  CORP COM          STOCK   704549104     137       1660    SHARES                X                 3       1660   0        0
PEABODY ENERGY      COMMON
  CORP COM          STOCK   704549104      21        250    SHARES                         X        3        250   0        0
PEDIATRIX MED GRP   COMMON
                    STOCK   705324101    1284      14500    SHARES                X                 3      14500   0        0
PEDIATRIX MEDICAL   COMMON
  GROUP INC COM     STOCK   705324101     467       5270    SHARES                X                 1       5270   0        0
PEETS COFFEE & TEA  COMMON
  INC COM           STOCK   705560100      11        350    SHARES                X                 1        350   0        0
PENN NATL GAMING    COMMON
  INC               STOCK   707569109      45       1375    SHARES                X                 1       1375   0        0
PENN NATL GAMING    COMMON
  INC               STOCK   707569109      23        700    SHARES                X                 3        700   0        0
PENN VA RESOURCE    COMMON
  PARTNERS LP       STOCK   707884102      28        500    SHARES                         X        1        500   0        0
PENNEY J C INC      COMMON
                    STOCK   708160106     106       1900    SHARES                X                 3       1900   0        0
PENNEY JC CO INC    COMMON
                    STOCK   708160106     181       3264    SHARES                X                 1       3264   0        0
PENNEY JC CO INC    COMMON
                    STOCK   708160106     178       3208    SHARES                         X        1       3208   0        0
PENNICHUCK          COMMON
  CORPORATION NEW   STOCK   708254206      18        889    SHARES                X                 1        889   0        0
PENNSYLVANIA
  COMMERCE          COMMON
  BANCORP INC       STOCK   708677109     228       7166    SHARES                X                 1       7166   0        0
PENTAIR INC COM     COMMON
                    STOCK   709631105      28        800    SHARES                X                 1        800   0        0
PENTAIR INC COM     COMMON
                    STOCK   709631105     269       7800    SHARES                         X        1       7800   0        0
PEOPLES ENERGY      COMMON
  CORP              STOCK   711030106      14        400    SHARES                X                 3        400   0        0
PEPCO HOLDINGS INC  COMMON
                    STOCK   713291102     701      31346    SHARES                X                 1      28620   0     2726
PEPCO HOLDINGS INC  COMMON
                    STOCK   713291102     707      31622    SHARES                         X        1      26972   0     4650
PEPCO HOLDINGS INC  COMMON
                    STOCK   713291102      90       4027    SHARES                X                 3       4027   0        0
PEPSI BOTTLING GRP  COMMON
                    STOCK   713409100      31       1100    SHARES                X                 3       1100   0        0
PEPSIAMERICAS INC   COMMON
  COM               STOCK   71343P200      14        600    SHARES                         X        1        600   0        0
PEPSICO INC         COMMON
                    STOCK   713448108    7989     135223    SHARES                X                 3     135223   0        0
PEPSICO INC COM     COMMON
                    STOCK   713448108   26604     450310    SHARES                X                 1     445522   0     4788
PEPSICO INC COM     COMMON
                    STOCK   713448108   17050     288589    SHARES                         X        1     263677   0    24912
PEPSICO INC COM     COMMON
                    STOCK   713448108    1982      33543    SHARES                X                 3      30310   0     3233
PEPSICO INC COM     COMMON
                    STOCK   713448108     263       4445    SHARES                X                 3       4445   0        0
PEPSICO             COMMON
  INCORPORATED      STOCK   713448108     437       7405    SHARES         X                        2       7405   0        0
PERFORMANCE FOOD    COMMON
  GROUP CO          STOCK   713755106      95       3340    SHARES                X                 1       3340   0        0
PERFORMANCE FOOD    COMMON
  GROUP CO          STOCK   713755106      45       1600    SHARES                         X        1       1600   0        0
PERFORMANCE FOOD    COMMON
  GRP               STOCK   713755106      14        500    SHARES                X                 3        500   0        0
PERKINELMER INC     COMMON
                    STOCK   714046109      24       1030    SHARES                X                 3       1030   0        0
PERKINELMER INC     COMMON
  COM               STOCK   714046109      94       4000    SHARES                         X        1       4000   0        0
PETMED EXPRESS INC  COMMON
                    STOCK   716382106      11        800    SHARES                X                 1        800   0        0
PETROHAWK ENERGY    COMMON
                    STOCK   716495106      30       2300    SHARES                X                 3       2300   0        0
PETROHAWK ENERGY    COMMON
  CORP              STOCK   716495106      41       3100    SHARES                X                 1       3100   0        0
PETROLEUM
  DEVELOPMENT       COMMON
  CORPORATION       STOCK   716578109      11        319    SHARES                X                 1        319   0        0


                                   33 OF 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
  --------------   -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
PETSMART INC        COMMON
                    STOCK   716768106    5634     219573    SHARES                X                 1     212475   0     7098
PETSMART INC        COMMON
                    STOCK   716768106     440      17160    SHARES                         X        1      12310   0     4850
PETSMART INC        COMMON
                    STOCK   716768106    1727      67307    SHARES                X                 3      55603   0    11704
PETSMART INC        COMMON
                    STOCK   716768106    8265     322090    SHARES                X                 3     322090   0        0
PETSMART INC        COMMON
                    STOCK   716768106      33       1300    SHARES                         X        3       1300   0        0
PFIZER INC          COMMON
                    STOCK   717081103   23150     992724    SHARES                X                 1     984034   0     8690
PFIZER INC          COMMON
                    STOCK   717081103   13620     584030    SHARES                         X        1     553656   0    30374
PFIZER INC          COMMON
                    STOCK   717081103    2412     103427    SHARES                X                 3      93447   0     9980
PFIZER INC          COMMON
                    STOCK   717081103   11280     483760    SHARES                X                 3     483760   0        0
PFIZER INC          COMMON
                    STOCK   717081103      26       1100    SHARES                         X        3       1100   0        0
PFIZER              COMMON
  INCORPORATED      STOCK   717081103    1876      80427    SHARES         X                        2      80427   0        0
PG&E CORP           COMMON
                    STOCK   69331C108     105       2830    SHARES                X                 3       2830   0        0
PHARMACEUTIAL
  PRODUCT DEVEL     COMMON
  INC COM           STOCK   717124101       5         75    SHARES                X                 1         75   0        0
PHARMACOPEIA        COMMON
  DRUG DI           STOCK   7171EP101       2        500    SHARES                X                 3        500   0        0
PHARMACOPEIA
  DRUG DISCOVERY    COMMON
  INC               STOCK   7171EP101       3        800    SHARES                X                 1        800   0        0
PHELPS DODGE CORP   COMMON
                    STOCK   717265102     105        733    SHARES                X                 1        733   0        0
PHELPS DODGE CORP   COMMON
                    STOCK   717265102     102        708    SHARES                X                 3        708   0        0
PHH CORPORATION     COMMON
                    STOCK   693320202       6        203    SHARES                X                 1        153   0       50
PHH CORPORATION     COMMON
                    STOCK   693320202       5        164    SHARES                         X        1        164   0        0
PHOENIX COS INC     COMMON
  COM               STOCK   71902E109      18       1320    SHARES                X                 1       1320   0        0
PHOENIX COS INC     COMMON
  COM               STOCK   71902E109      22       1588    SHARES                         X        1       1588   0        0
PICO HOLDINGS INC   COMMON
  COM               STOCK   693366205     797      24704    SHARES                X                 1          0   0    24704
PIEDMONT NAT GAS    COMMON
  INC               STOCK   720186105      16        678    SHARES                         X        1        278   0      400
PIER 1 INC COM      COMMON
                    STOCK   720279108       1        100    SHARES                         X        1        100   0        0
PINNACLE DATA       COMMON
  SYSTEMS INC       STOCK   723454104       1        300    SHARES                X                 1        300   0        0
PINNACLE WEST CAP   COMMON
                    STOCK   723484101      37        900    SHARES                X                 3        900   0        0
PINNACLE WEST       COMMON
  CAPITAL CORP      STOCK   723484101      21        500    SHARES                X                 1        500   0        0
PIONEER DRILLING    COMMON
  CO                STOCK   723655106       4        250    SHARES                X                 1        250   0        0
PIONEER NATURAL     COMMON
  RESOURCES CO      STOCK   723787107      10        189    SHARES                X                 1        189   0        0
PIPER JAFFRAY       COMMON
  COMPANIES INC     STOCK   724078100       2         60    SHARES                X                 1         60   0        0
PIPER JAFFRAY       COMMON
  COMPANIES INC     STOCK   724078100       2         56    SHARES                         X        1          6   0       50
PITNEY BOWES INC    COMMON
                    STOCK   724479100      84       1980    SHARES                X                 3       1980   0        0
PITNEY BOWES INC    COMMON
  COM               STOCK   724479100     532      12600    SHARES                X                 1      12600   0        0
PITNEY BOWES INC    COMMON
  COM               STOCK   724479100     247       5850    SHARES                         X        1       5850   0        0
PITNEY BOWES INC    COMMON
  COM               STOCK   724479100      68       1600    SHARES                X                 3       1600   0        0
PITNEY BOWES INC    COMMON
  COM               STOCK   724479100      53       1250    SHARES                         X        3       1250   0        0
PLACER SIERRA       COMMON
  BANCSH            STOCK   726079106      39       1400    SHARES                X                 3       1400   0        0
PLACER SIERRA       COMMON
  BANCSHARES        STOCK   726079106      39       1400    SHARES                X                 1       1400   0        0
PLAINS ALL
  AMERICAN          COMMON
  PIPELINE L P      STOCK   726503105     742      18750    SHARES         X                        2      18750   0        0
PLAINS
  EXPLORATION &
  PRODUCT           COMMON
  COMPANY           STOCK   726505100     119       3000    SHARES                         X        1       3000   0        0
PLUG POWER INC      COMMON
  COM               STOCK   72919P103       1        100    SHARES                X                 1        100   0        0
PLUM CREEK TIMBER   COMMON
  CO                STOCK   729251108      56       1550    SHARES                X                 3       1550   0        0
PMC-SIERRA INC      COMMON
                    STOCK   69344F106      10       1300    SHARES                X                 3       1300   0        0
PNC FINANCIAL
  SERVICES GROUP    COMMON
  INC               STOCK   693475105   10985     177667    SHARES                X                 1     175607   0     2060
PNC FINANCIAL
  SERVICES GROUP    COMMON
  INC               STOCK   693475105    2833      45814    SHARES                         X        1      42844   0     2970
PNC FINANCIAL
  SERVICES GROUP    COMMON
  INC               STOCK   693475105      25        400    SHARES                X                 3          0   0      400
PNC FINL SVCS GRP   COMMON
                    STOCK   693475105     140       2265    SHARES                X                 3       2265   0        0
PNM RESOURCES INC   COMMON
                    STOCK   69349H107      30       1208    SHARES                X                 1       1208   0        0
POGO PRODUCING CO   COMMON
                    STOCK   730448107       7        150    SHARES                X                 1        150   0        0
POLO RALPH LAUREN   COMMON
  CORPORATION       STOCK   731572103       6        100    SHARES                X                 1        100   0        0
PORTALPLAYER        COMMON
                    STOCK   736187204      42       1500    SHARES                X                 3       1500   0        0
PORTALPLAYER INC    COMMON
                    STOCK   736187204      59       2100    SHARES                X                 1       2100   0        0
POSSIS MEDICAL INC  COMMON
                    STOCK   737407106      28       2800    SHARES                X                 1       2800   0        0
POSSIS MEDICAL INC  COMMON
                    STOCK   737407106      20       2000    SHARES                X                 3       2000   0        0
POZEN               COMMON
  INCORPORATED      STOCK   73941U102      58       6100    SHARES                X                 1       6100   0        0


                                   34 OF 59





                                                           SEC USE
                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7   VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- --------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
PPG INDS INC        COMMON
                    STOCK   693506107     789      13620    SHARES                X                 1      13620   0         0
PPG INDS INC        COMMON
                    STOCK   693506107    2002      34573    SHARES                         X        1      31848   0      2725
PPG INDUSTRIES INC  COMMON
                    STOCK   693506107      75       1290    SHARES                X                 3       1290   0         0
PPL CORP            COMMON
                    STOCK   69351T106      86       2930    SHARES                X                 3       2930   0         0
PPL CORP COM        COMMON
                    STOCK   69351T106    5474     186180    SHARES                X                 1     184080   0      2100
PPL CORP COM        COMMON
                    STOCK   69351T106    1545      52542    SHARES                         X        1      43930   0      8612
PRAXAIR INC         COMMON
                    STOCK   74005P104     345       6510    SHARES                X                 3       2510   0      4000
PRAXAIR INC COM     COMMON
                    STOCK   74005P104      18        334    SHARES                X                 1        334   0         0
PRAXAIR INC COM     COMMON
                    STOCK   74005P104     162       3064    SHARES                         X        1       3064   0         0
PRICE T ROWE GROUP  COMMON
  INC COM           STOCK   74144T108    1434      19910    SHARES                X                 1      19910   0         0
PRICE T ROWE GROUP  COMMON
  INC COM           STOCK   74144T108     842      11695    SHARES                         X        1      11575   0       120
PRICE T ROWE GRP    COMMON
                    STOCK   74144T108      79       1100    SHARES                X                 3       1100   0         0
PRINCIPAL FINL      COMMON
  GROUP INC         STOCK   74251V102      90       1895    SHARES                X                 1       1895   0         0
PRINCIPAL FINL GRP  COMMON
                    STOCK   74251V102     102       2150    SHARES                X                 3       2150   0         0
PROCTER & GAMBLE    COMMON
  CO                STOCK   742718109   11086     191554    SHARES                X                 3     191554   0         0
PROCTER & GAMBLE    COMMON
  CO COM            STOCK   742718109   36713     634288    SHARES                X                 1     629021   0      5267
PROCTER & GAMBLE    COMMON
  CO COM            STOCK   742718109   38254     660920    SHARES                         X        1     537776   0    123144
PROCTER & GAMBLE    COMMON
  CO COM            STOCK   742718109    3732      64475    SHARES                X                 3      41377   0     23098
PROCTER & GAMBLE    COMMON
  CO COM            STOCK   742718109     273       4725    SHARES                X                 3       4725   0         0
PROCTER & GAMBLE    COMMON
  CORPORATION       STOCK   742718109    1792      30953    SHARES         X                        2      30953   0         0
PROGRESS ENERGY     COMMON
  INC               STOCK   743263105      85       1927    SHARES                X                 3       1927   0         0
PROGRESS ENERGY     COMMON
  INC COM           STOCK   743263105     322       7322    SHARES                X                 1       6722   0       600
PROGRESS ENERGY     COMMON
  INC COM           STOCK   743263105     243       5536    SHARES                         X        1       5536   0         0
PROGRESS ENERGY     COMMON
  INC COM           STOCK   743263105      18        400    SHARES                X                 3          0   0       400
PROGRESSIVE CORP    COMMON
                    STOCK   743315103     173       1485    SHARES                X                 3       1485   0         0
PROGRESSIVE CORP    COMMON
  COM               STOCK   743315103     123       1049    SHARES                X                 1       1049   0         0
PROLOGIS            COMMON
                    STOCK   743410102      89       1900    SHARES                X                 3       1900   0         0
PROTEIN DESIGN      COMMON
  LABS              STOCK   74369L103     767      27000    SHARES                X                 3      27000   0         0
PROTEIN DESIGN      COMMON
  LABS INC          STOCK   74369L103     257       9060    SHARES                X                 1       9060   0         0
PROTEIN DESIGN      COMMON
  LABS INC          STOCK   74369L103       9        300    SHARES                         X        1        300   0         0
PROVIDENT
  BANKSHARES        COMMON
  CORPORATION       STOCK   743859100     237       7032    SHARES                X                 1       7032   0         0
PROVIDENT
  BANKSHARES        COMMON
  CORPORATION       STOCK   743859100     135       4000    SHARES                         X        1       4000   0         0
PROVIDENT
  FINANCIAL         COMMON
  SERVICES INC      STOCK   74386T105      22       1200    SHARES                X                 1       1200   0         0
PROXYMED INC        COMMON
                    STOCK   744290305       2        500    SHARES                         X        1        500   0         0
PRUDENTIAL          COMMON
  FINANCIAL INC     STOCK   744320102     240       3276    SHARES                X                 1       3276   0         0
PRUDENTIAL          COMMON
  FINANCIAL INC     STOCK   744320102      34        468    SHARES                         X        1        468   0         0
PRUDENTIAL          COMMON
  FINANCIAL INC     STOCK   744320102      19        257    SHARES                X                 3          0   0       257
PRUDENTIAL FINL     COMMON
                    STOCK   744320102     285       3900    SHARES                X                 3       3900   0         0
PSYCHIATRIC         COMMON
  SOLUTION          STOCK   74439H108    1445      24600    SHARES                X                 3      24600   0         0
PSYCHIATRIC         COMMON
  SOLUTIONS INC     STOCK   74439H108     589      10025    SHARES                X                 1      10025   0         0
PSYCHIATRIC         COMMON
  SOLUTIONS INC     STOCK   74439H108      26        450    SHARES                         X        1        450   0         0
PUBLIC STORAGE INC  COMMON
                    STOCK   74460D109      41        600    SHARES                X                 3        600   0         0
PUBLIC SVC ENTERPR  COMMON
                    STOCK   744573106     118       1810    SHARES                X                 3       1810   0         0
PUBLIC SVC
  ENTERPRISE GROUP  COMMON
  INC               STOCK   744573106     235       3622    SHARES                X                 1       3622   0         0
PUBLIC SVC
  ENTERPRISE GROUP  COMMON
  INC               STOCK   744573106     248       3811    SHARES                         X        1       3811   0         0
PUGET ENERGY INC    COMMON
  COM               STOCK   745310102     157       7665    SHARES                X                 1       7665   0         0
PUGET ENERGY INC    COMMON
  COM               STOCK   745310102      54       2625    SHARES                         X        1       2625   0         0
PULTE HOMES INC     COMMON
                    STOCK   745867101      63       1600    SHARES                X                 3       1600   0         0
PURE CYCLE CORP     COMMON
                    STOCK   746228303      45       6000    SHARES                         X        1       6000   0         0
Q MED               COMMON
                    STOCK   747914109      34       3500    SHARES                X                 3       3500   0         0
QC HOLDINGS INC     COMMON
                    STOCK   74729T101       6        500    SHARES                X                 1        500   0         0
QLOGIC CORP         COMMON
                    STOCK   747277101      23        700    SHARES                X                 3        700   0         0
Q-MED INC           COMMON
                    STOCK   747914109      34       3500    SHARES                X                 1       3500   0         0
QUALCOMM INC        COMMON
                    STOCK   747525103    5802     134697    SHARES                X                 3     134697   0         0
QUALCOMM INC COM    COMMON
                    STOCK   747525103    4136      96002    SHARES                X                 1      94397   0      1605


                                   35 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
QUALCOMM INC COM    COMMON
                    STOCK   747525103     297       6895    SHARES                         X        1       6495   0     400
QUALCOMM INC COM    COMMON
                    STOCK   747525103    1158      26891    SHARES                X                 3      22697   0    4194
QUALCOMM INC COM    COMMON
                    STOCK   747525103     214       4970    SHARES                X                 3       4970   0       0
QUEST DIAGNOSTICS   COMMON
                    STOCK   74834L100      67       1300    SHARES                X                 3       1300   0       0
QUEST DIAGNOSTICS   COMMON
  INC               STOCK   74834L100     464       9020    SHARES                X                 1       9020   0       0
QUEST DIAGNOSTICS   COMMON
  INC               STOCK   74834L100     287       5568    SHARES                         X        1       5268   0     300
QUEST SOFTWARE      COMMON
  INC               STOCK   74834T103      19       1300    SHARES                X                 3       1300   0       0
QUEST SOFTWARE      COMMON
  INC COM           STOCK   74834T103      26       1800    SHARES                X                 1       1800   0       0
QUESTAR CORP        COMMON
                    STOCK   748356102    1022      13500    SHARES                X                 3      13500   0       0
QUESTAR CORP COM    COMMON
                    STOCK   748356102     417       5515    SHARES                X                 1       5515   0       0
QUESTAR CORP COM    COMMON
                    STOCK   748356102     136       1800    SHARES                         X        1       1800   0       0
QWEST COMMUNCTN     COMMON
  INTL              STOCK   749121109      66      11754    SHARES                X                 3      11754   0       0
QWEST
  COMMUNICATIONS    COMMON
  INTL INC          STOCK   749121109      17       2927    SHARES                X                 1       2927   0       0
QWEST
  COMMUNICATIONS    COMMON
  INTL INC          STOCK   749121109      10       1814    SHARES                         X        1       1604   0     210
R H DONNELLEY       COMMON
  CORP              STOCK   74955W307       7        111    SHARES                X                 1        111   0       0
R H DONNELLEY       COMMON
  CORP              STOCK   74955W307      12        200    SHARES                         X        1        200   0       0
RADIOSHACK CORP     COMMON
                    STOCK   750438103      21       1000    SHARES                X                 3       1000   0       0
RADVISION LTD       COMMON
                    STOCK   M81869105      20       1200    SHARES                X                 3       1200   0       0
RAYONIER INC COM    COMMON
                    STOCK   754907103     114       2850    SHARES                         X        1       2850   0       0
RAYONIER            COMMON
  INCORPORATED      STOCK   754907103     291       7300    SHARES         X                        2       7300   0       0
RAYTHEON            COMMON
                    STOCK   755111507     140       3480    SHARES                X                 3       3480   0       0
RAYTHEON CO COM     COMMON
  NEW               STOCK   755111507    1287      32066    SHARES                X                 1      29142   0    2924
RAYTHEON CO COM     COMMON
  NEW               STOCK   755111507    1161      28914    SHARES                         X        1      23974   0    4940
RED HAT INC COM     COMMON
                    STOCK   756577102      68       2500    SHARES                X                 1       2500   0       0
REEBOK INTL LTD     COMMON
                    STOCK   758110100      22        370    SHARES                X                 3        370   0       0
REGIONS FINANCIAL   COMMON
  CORP              STOCK   7591EP100      29        836    SHARES                X                 1        836   0       0
REGIONS FINANCIAL   COMMON
  CORP              STOCK   7591EP100     195       5697    SHARES                         X        1       5697   0       0
REGIONS FINL CORP   COMMON
                    STOCK   7591EP100     121       3545    SHARES                X                 3       3545   0       0
REMINGTON OIL &
  GAS CORP COM      COMMON
  NEW               STOCK   759594302      18        500    SHARES                X                 1        500   0       0
RENAL CARE GROUP    COMMON
  INC COM           STOCK   759930100      38        800    SHARES                         X        1          0   0     800
RENT A CTR INC NEW  COMMON
                    STOCK   76009N100      37       1950    SHARES                X                 3       1950   0       0
RENT-A-CENTER
  INCORPORATED      COMMON
  NEW               STOCK   76009N100      36       1900    SHARES                X                 1       1900   0       0
RESPIRONICS INC     COMMON
  COM               STOCK   761230101      15        400    SHARES                X                 1        400   0       0
REYNOLDS            COMMON
  AMERICAN INC      STOCK   761713106      91        958    SHARES                X                 1        958   0       0
REYNOLDS            COMMON
  AMERICAN INC      STOCK   761713106      43        450    SHARES                         X        1        450   0       0
REYNOLDS AMERN      COMMON
  INC               STOCK   761713106      67        700    SHARES                X                 3        700   0       0
RITE AID CORP COM   COMMON
                    STOCK   767754104      41      11740    SHARES                X                 1       9440   0    2300
ROBERT HALF INTL    COMMON
  INC               STOCK   770323103      49       1300    SHARES                X                 3       1300   0       0
ROBERT HALF INTL    COMMON
  INC COM           STOCK   770323103      29        770    SHARES                X                 1        770   0       0
ROBERT HALF INTL    COMMON
  INC COM           STOCK   770323103      19        500    SHARES                         X        1        500   0       0
ROCKWELL            COMMON
  AUTOMATION        STOCK   773903109    9786     165410    SHARES                X                 3     165410   0       0
ROCKWELL            COMMON
  AUTOMATION INC.   STOCK   773903109    7272     122917    SHARES                X                 1     119432   0    3485
ROCKWELL            COMMON
  AUTOMATION INC.   STOCK   773903109     557       9415    SHARES                         X        1       5810   0    3605
ROCKWELL            COMMON
  AUTOMATION INC.   STOCK   773903109    1742      29445    SHARES                X                 3      24757   0    4688
ROCKWELL            COMMON
  AUTOMATION INC.   STOCK   773903109     443       7485    SHARES                X                 3       7485   0       0
ROCKWELL COLLINS    COMMON
  COM               STOCK   774341101     227       4882    SHARES                X                 1       4882   0       0
ROCKWELL COLLINS    COMMON
  COM               STOCK   774341101     151       3255    SHARES                         X        1       2375   0     880
ROCKWELL COLLINS    COMMON
  INC               STOCK   774341101      65       1390    SHARES                X                 3       1390   0       0
ROGERS CORP         COMMON
                    STOCK   775133101      20        500    SHARES                X                 1        500   0       0
ROGERS CORP         COMMON
                    STOCK   775133101      20        500    SHARES                X                 3        500   0       0
ROHM & HAAS CO      COMMON
                    STOCK   775371107      20        404    SHARES                X                 1        404   0       0
ROHM & HAAS CO      COMMON
                    STOCK   775371107     586      12096    SHARES                         X        1      12096   0       0
ROHM & HAAS CO      COMMON
                    STOCK   775371107      56       1150    SHARES                X                 3       1150   0       0
ROSS STORES INC     COMMON
                    STOCK   778296103    6350     219700    SHARES                X                 3     219700   0       0
ROSS STORES INC     COMMON
  COM               STOCK   778296103    3922     135695    SHARES                X                 1     131549   0    4146


                                   36 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
ROSS STORES INC    COMMON
  COM              STOCK    778296103     262       9065    SHARES                         X        1       7540   0     1525
ROSS STORES INC    COMMON
  COM              STOCK    778296103    1176      40682    SHARES                X                 3      31011   0     9671
ROSS STORES INC    COMMON
  COM              STOCK    778296103     339      11730    SHARES                X                 3      11730   0        0
ROTONICS
  MANUFACTURING    COMMON
  INC              STOCK    778903104       1        300    SHARES                X                 1        300   0        0
ROWAN COS INC      COMMON
                   STOCK    779382100     103       2900    SHARES                X                 1       2900   0        0
ROWAN COS INC      COMMON
                   STOCK    779382100     106       2960    SHARES                X                 3       2960   0        0
ROWE COMPANIES     COMMON
                   STOCK    779528108     103      34813    SHARES         X                        2      34813   0        0
ROYAL CARIBBEAN    COMMON
  CRUS             STOCK    V7780T103     974      21600    SHARES                X                 3      21600   0        0
ROYAL GOLD         COMMON
  INCORPORATED     STOCK    780287108      35       1000    SHARES                X                 1       1000   0        0
ROYCE VALUE TRUST  COMMON
  (CE)             STOCK    780910105      91       4521    SHARES                X                 1       4521   0        0
RPM INCORPORATED   COMMON
  OHIO             STOCK    749685103     318      18300    SHARES         X                        2      18300   0        0
RPM INTL INC       COMMON
                   STOCK    749685103       9        500    SHARES                X                 1        500   0        0
RPM INTL INC       COMMON
                   STOCK    749685103      64       3660    SHARES                         X        1       3660   0        0
RSA SEC INC        COMMON
                   STOCK    749719100      18       1600    SHARES                X                 3       1600   0        0
RSA SECURITY INC   COMMON
  COM              STOCK    749719100      18       1600    SHARES                X                 1       1600   0        0
RUBY TUESDAY       COMMON
                   STOCK    781182100      47       1800    SHARES                X                 1       1800   0        0
RYDER SYSTEMS INC  COMMON
                   STOCK    783549108      19        470    SHARES                X                 3        470   0        0
S & T BANCORP INC  COMMON
                   STOCK    783859101      15        400    SHARES                         X        1        400   0        0
SABRE HOLDING      COMMON
  CORP             STOCK A  785905100      23        956    SHARES                X                 3        956   0        0
SABRE HOLDINGS     COMMON
  CORPORATION COM  STOCK    785905100      19        800    SHARES                X                 1        800   0        0
SABRE HOLDINGS     COMMON
  CORPORATION COM  STOCK    785905100      11        467    SHARES                         X        1        467   0        0
SAFECO CORP        COMMON
                   STOCK    786429100      52        925    SHARES                X                 3        925   0        0
SAFEWAY INC        COMMON
                   STOCK    786514208      82       3455    SHARES                X                 3       3455   0        0
SAFEWAY INC COM    COMMON
                   STOCK    786514208       9        400    SHARES                X                 1        400   0        0
SAFEWAY INC COM    COMMON
                   STOCK    786514208      82       3470    SHARES                         X        1       1970   0     1500
SALISBURY BANCORP  COMMON
  INC              STOCK    795226109     217       5700    SHARES         X                                5700   0        0
SAN JUAN BASIN     COMMON
  ROYALTY TR       STOCK    798241105      44       1000    SHARES                X                 1       1000   0        0
SAN JUAN BASIN     COMMON
  ROYALTY TR       STOCK    798241105       9        200    SHARES                         X        1        200   0        0
SANDISK CORP       COMMON
                   STOCK    80004C101    1231      19600    SHARES                X                 3      19600   0        0
SANDISK CORP COM   COMMON
                   STOCK    80004C101     539       8575    SHARES                X                 1       8575   0        0
SANDISK CORP COM   COMMON
                   STOCK    80004C101       6        100    SHARES                         X        1        100   0        0
SANDY SPRING       COMMON
  BANCORP INC      STOCK    800363103       7        200    SHARES                X                 1        200   0        0
SANDY SPRING       COMMON
  BANCORP INC      STOCK    800363103     150       4300    SHARES                         X        1       4300   0        0
SANMINA-SCI CORP   COMMON
                   STOCK    800907107      17       4000    SHARES                X                 3       4000   0        0
SARA LEE CORP      COMMON
                   STOCK    803111103     628      33245    SHARES                X                 1      32245   0     1000
SARA LEE CORP      COMMON
                   STOCK    803111103    1360      71961    SHARES                         X        1      61961   0    10000
SARA LEE CORP      COMMON
                   STOCK    803111103      38       2000    SHARES                X                 3          0   0     2000
SARA LEE CORP      COMMON
                   STOCK    803111103     114       6020    SHARES                X                 3       6020   0        0
SCANA CORP NEW     COMMON
  COM              STOCK    80589M102     329       8347    SHARES                X                 1       8347   0        0
SCANA CORP NEW     COMMON
  COM              STOCK    80589M102     335       8510    SHARES                         X        1       8510   0        0
SCANA CORP NEW     COMMON
  COM              STOCK    80589M102      39       1000    SHARES                X                 3       1000   0        0
SCHERING PLOUGH    COMMON
  CORP             STOCK    806605101    3290     157792    SHARES                X                 1     157792   0        0
SCHERING PLOUGH    COMMON
  CORP             STOCK    806605101    2287     109700    SHARES                         X        1      90268   0    19432
SCHERING PLOUGH    COMMON
  CORP             STOCK    806605101     235      11275    SHARES                X                 3      11275   0        0
SCHERING PLOUGH    COMMON
  CORP             STOCK    806605101      10        480    SHARES                         X        3        480   0        0
SCHLUMBERGER LTD   COMMON
                   STOCK    806857108    1112      11455    SHARES                X                 3      11455   0        0
SCHWAB CHARLES     COMMON
  CORP             STOCK    808513105     116       7900    SHARES                X                 3       7900   0        0
SCHWAB CHARLES     COMMON
  CORP NEW COM     STOCK    808513105     299      20364    SHARES                X                 1      20364   0        0
SCIENTIFIC ATLANTA COMMON
                   STOCK    808655104      52       1200    SHARES                X                 3       1200   0        0
SCIENTIFIC ATLANTA COMMON
  INC              STOCK    808655104      56       1300    SHARES                         X        1          0   0     1300
SEACHANGE INTL INC COMMON
                   STOCK    811699107      37       4700    SHARES                X                 1       4700   0        0
SEACHANGE INTL INC COMMON
                   STOCK    811699107      27       3400    SHARES                X                 3       3400   0        0
SEAGATE            COMMON
  TECHNOLOGY       STOCK    G7945J104      87       4329    SHARES                         X        1       4329   0        0
SEALED AIR CORP    COMMON
                   STOCK    81211K100      38        682    SHARES                X                 3        682   0        0
SEALED AIR CORP    COMMON
  NEW COM          STOCK    81211K100     112       2000    SHARES                         X        1       2000   0        0


                                   37 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
SEARS HOLDING       COMMON
  CORP              STOCK   812350106      90        782    SHARES                X                 3        782   0        0
SEARS HOLDINGS      COMMON
  CORP              STOCK   812350106     238       2058    SHARES                X                 1       2058   0        0
SEARS HOLDINGS      COMMON
  CORP              STOCK   812350106     100        868    SHARES                         X        1        868   0        0
SEI CORP COM        COMMON
                    STOCK   784117103      41       1100    SHARES                X                 1       1100   0        0
SEI CORP COM        COMMON
                    STOCK   784117103      14        390    SHARES                         X        1        390   0        0
SELECTIVE INS       COMMON
  GROUP INC         STOCK   816300107       5        100    SHARES                X                 1        100   0        0
SEMPRA ENERGY       COMMON
                    STOCK   816851109      89       1976    SHARES                X                 3       1976   0        0
SEMPRA ENERGY       COMMON
  COM               STOCK   816851109       9        200    SHARES                X                 1        200   0        0
SEMPRA ENERGY       COMMON
  COM               STOCK   816851109      24        532    SHARES                         X        1        532   0        0
SENOMYX INC         COMMON
                    STOCK   81724Q107       7        550    SHARES                X                 1        550   0        0
SEPRACOR INC        COMMON
                    STOCK   817315104    1480      28689    SHARES                X                 3      28689   0        0
SEPRACOR INC COM    COMMON
                    STOCK   817315104     443       8580    SHARES                X                 1       8580   0        0
SERVICEMASTER CO    COMMON
  COM               STOCK   81760N109     173      14500    SHARES                         X        1          0   0    14500
SEVERN BANCORP      COMMON
  INC               STOCK   81811M100       8        400    SHARES                X                 1        400   0        0
SEVERN BANCORP      COMMON
  INC               STOCK   81811M100     483      24838    SHARES                         X        1      24838   0        0
SHAW GROUP INC      COMMON
                    STOCK   820280105     128       4400    SHARES                X                 3       4400   0        0
SHAW GROUP INC      COMMON
  COM               STOCK   820280105     169       5800    SHARES                X                 1       5800   0        0
SHERWIN WILLIAMS    COMMON
  CO                STOCK   824348106      41        910    SHARES                X                 3        910   0        0
SHERWIN WILLIAMS    COMMON
  CO COM            STOCK   824348106     236       5200    SHARES                         X        1        200   0     5000
SHUFFLE MASTER INC  COMMON
                    STOCK   825549108     387      15385    SHARES                X                 1      15385   0        0
SHUFFLE MASTER INC  COMMON
                    STOCK   825549108    1048      41700    SHARES                X                 3      41700   0        0
SIEBEL SYS INC      COMMON
                    STOCK   826170102      42       4000    SHARES                X                 3       4000   0        0
SIEBEL SYSTEMS INC  COMMON
  COM               STOCK   826170102       1        100    SHARES                X                 1        100   0        0
SIERRA HEALTH       COMMON
  SERVICES INC      STOCK   826322109      16        200    SHARES                X                 1        200   0        0
SIERRA HEALTH SVCS  COMMON
                    STOCK   826322109      32        400    SHARES                X                 3        400   0        0
SIGMA ALDRICH       COMMON
  CORP              STOCK   826552101      35        550    SHARES                X                 3        550   0        0
SIMON PPTY INC      COMMON
                    STOCK   828806109     107       1400    SHARES                X                 3       1400   0        0
SIMON PROPERTY
  GROUP             COMMON
  INCORPORATED      STOCK   828806109     529       6900    SHARES         X                        2       6900   0        0
SIRIUS SATELLITE    COMMON
  RADIO INC COM     STOCK   82966U103      88      13120    SHARES                X                 1      13120   0        0
SIRIUS SATELLITE    COMMON
  RADIO INC COM     STOCK   82966U103       3        500    SHARES                         X        1        500   0        0
SKY FINANCIAL       COMMON
  GROUP INC         STOCK   83080P103      28       1000    SHARES                X                 1       1000   0        0
SKYWORKS            COMMON
  SOLUTIONSINC      STOCK   83088M102       0         70    SHARES                X                 1         70   0        0
SKYWORKS            COMMON
  SOLUTIONSINC      STOCK   83088M102       1        280    SHARES                         X        1        280   0        0
SL INDUSTRIES INC   COMMON
                    STOCK   784413106      48       3001    SHARES                         X        1       3001   0        0
SLM CORP            COMMON
                    STOCK   78442P106     173       3145    SHARES                X                 3       3145   0        0
SLM CORP COM        COMMON
                    STOCK   78442P106     127       2313    SHARES                X                 1       2313   0        0
SLM CORP.           COMMON
                    STOCK   78442P106    6671     121096    SHARES         X                        2     121096   0        0
SMITH INTL INC      COMMON
                    STOCK   832110100    2842      76580    SHARES                X                 1      76580   0        0
SMITH INTL INC      COMMON
                    STOCK   832110100     282       7600    SHARES                         X        1       7600   0        0
SMITHFIELD FOODS    COMMON
  INC               STOCK   832248108      61       2000    SHARES                         X        1       2000   0        0
SNAP ON INC         COMMON
                    STOCK   833034101       5        125    SHARES                X                 1        125   0        0
SNAP ON INC         COMMON
                    STOCK   833034101       4        100    SHARES                         X        1        100   0        0
SNAP-ON INC         COMMON
                    STOCK   833034101      18        480    SHARES                X                 3        480   0        0
SOLECTRON CORP      COMMON
                    STOCK   834182107      23       6158    SHARES                X                 1       6158   0        0
SOLECTRON CORP      COMMON
                    STOCK   834182107       8       2317    SHARES                         X        1       2317   0        0
SOLECTRON CORP      COMMON
                    STOCK   834182107      27       7500    SHARES                X                 3       7500   0        0
SOLECTRON           COMMON
  CORPORATION       STOCK   834182107     121      33000    SHARES         X                        2      33000   0        0
SONIC SOLUTIONS     COMMON
                    STOCK   835460106      23       1500    SHARES                X                 1       1500   0        0
SONIC SOLUTIONS     COMMON
                    STOCK   835460106      23       1500    SHARES                X                 3       1500   0        0
SONOCO PRODUCTS     COMMON
  CO COM            STOCK   835495102      56       1900    SHARES                         X        1       1900   0        0
SOUTH JERSEY        COMMON
  INDUSTRIES INC    STOCK   838518108      15        518    SHARES                X                 1        518   0        0
SOUTHERN CO         COMMON
                    STOCK   842587107     197       5710    SHARES                X                 3       5710   0        0
SOUTHERN CO COM     COMMON
                    STOCK   842587107    1073      31083    SHARES                X                 1      30083   0     1000
SOUTHERN CO COM     COMMON
                    STOCK   842587107    1148      33245    SHARES                         X        1      31030   0     2215
SOUTHERN CO COM     COMMON
                    STOCK   842587107      35       1000    SHARES                X                 3          0   0     1000


                                   38 of 59





                                                           SEC USE
                                                                                  COLUMN 6                      COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                  ------------------------ ---------------------- -------- -------------------
                                                   SHARES
                    COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1       TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                  
SOUTHERN UNION CO    COMMON
  NEW COM            STOCK   844030106      93       3946    SHARES                X                 1       3946   0        0
SOUTHWEST            COMMON
  AIRLINES CO COM    STOCK   844741108     179      10904    SHARES                X                 1      10904   0        0
SOUTHWEST            COMMON
  AIRLINES CO COM    STOCK   844741108     133       8100    SHARES                         X        1       8100   0        0
SOUTHWEST            COMMON
  AIRLINES CO COM    STOCK   844741108     236      14337    SHARES                X                 3      14337   0        0
SOUTHWEST AIRLS      COMMON
  CO                 STOCK   844741108      86       5259    SHARES                X                 3       5259   0        0
SOUTHWEST GAS        COMMON
  CORP COM           STOCK   844895102      26       1000    SHARES                         X        1       1000   0        0
SOVEREIGN BANCORP    COMMON
                     STOCK   845905108      61       2800    SHARES                X                 3       2800   0        0
SOVEREIGN BANCORP    COMMON
  INC                STOCK   845905108    4165     192659    SHARES                X                 1     190064   0     2595
SOVEREIGN BANCORP    COMMON
  INC                STOCK   845905108     254      11755    SHARES                         X        1      11355   0      400
SPAR GROUP INC       COMMON
                     STOCK   784933103       0        450    SHARES                X                 1        450   0        0
SPARTAN STORES INC   COMMON
                     STOCK   846822104      21       2000    SHARES                X                 1       2000   0        0
SPARTAN STORES INC   COMMON
                     STOCK   846822104      15       1400    SHARES                X                 3       1400   0        0
SPATIALIGHT INC      COMMON
                     STOCK   847248101      87      25002    SHARES                X                 1      25002   0        0
SPATIALIGHT INC      COMMON
                     STOCK   847248101      63      18100    SHARES                X                 3      18100   0        0
SPDR TRUST SERIES 1  COMMON
  S&P 500 INDEX FD   STOCK   78462F103    6572      52779    SHARES                X                 1      52779   0        0
SPDR TRUST SERIES 1  COMMON
  S&P 500 INDEX FD   STOCK   78462F103    4177      33548    SHARES                         X        1      33548   0        0
SPEEDWAY
  MOTORSPORTS        COMMON
  INCORPORATED       STOCK   847788106       3        100    SHARES                X                 1        100   0        0
SPRINT NEXTEL        COMMON
                     STOCK   852061100     522      22364    SHARES                X                 3      22364   0        0
SPRINT NEXTEL CORP   COMMON
                     STOCK   852061100     805      34472    SHARES                X                 1      34061   0      411
SPRINT NEXTEL CORP   COMMON
                     STOCK   852061100     637      27272    SHARES                         X        1      14260   0    13012
SPX CORP COM         COMMON
                     STOCK   784635104      17        375    SHARES                         X        1        375   0        0
ST JOE CO            COMMON
                     STOCK   790148100    2358      35082    SHARES                X                 3      35082   0        0
ST JOE COMPANY       COMMON
                     STOCK   790148100     439       6530    SHARES         X                        2       6530   0        0
ST JOE CORP          COMMON
                     STOCK   790148100    5692      84675    SHARES                X                 1      82634   0     2041
ST JOE CORP          COMMON
                     STOCK   790148100     842      12527    SHARES                         X        1      12127   0      400
ST JOE CORP          COMMON
                     STOCK   790148100     447       6651    SHARES                X                 3       4826   0     1825
ST JOE CORP          COMMON
                     STOCK   790148100     109       1620    SHARES                X                 3       1620   0        0
ST JOE CORP          COMMON
                     STOCK   790148100      34        500    SHARES                         X        3        500   0        0
ST JUDE MEDICAL INC  COMMON
                     STOCK   790849103     139       2760    SHARES                X                 3       2760   0        0
ST PAUL TRAVELERS    COMMON
  CO                 STOCK   792860108     231       5175    SHARES                X                 3       5175   0        0
ST PAUL TRAVELERS    COMMON
  COMPANIES INC      STOCK   792860108    1754      39276    SHARES                X                 1      37872   0     1404
ST PAUL TRAVELERS    COMMON
  COMPANIES INC      STOCK   792860108     764      17108    SHARES                         X        1      16748   0      360
STANDARD PACIFIC     COMMON
  CORP NEW           STOCK   85375C101      37       1000    SHARES                         X        1       1000   0        0
STANDARD REGISTER    COMMON
  COMPANY            STOCK   853887107       8        500    SHARES                X                 1        500   0        0
STANLEY WORKS        COMMON
                     STOCK   854616109      34        700    SHARES                X                 3        700   0        0
STANLEY WORKS        COMMON
  COM                STOCK   854616109     567      11800    SHARES                X                 1      11800   0        0
STANLEY WORKS        COMMON
  COM                STOCK   854616109     500      10400    SHARES                         X        1       4400   0     6000
STANLEY WORKS        COMMON
  COM                STOCK   854616109     240       5000    SHARES                X                 3          0   0     5000
STAPLES INC          COMMON
                     STOCK   855030102    3110     136952    SHARES                X                 3     136952   0        0
STAPLES INC COM      COMMON
                     STOCK   855030102    7284     320748    SHARES                X                 1     316467   0     4281
STAPLES INC COM      COMMON
                     STOCK   855030102    1143      50318    SHARES                         X        1      49918   0      400
STAPLES INC COM      COMMON
                     STOCK   855030102     733      32257    SHARES                X                 3      22357   0     9900
STAPLES INC COM      COMMON
                     STOCK   855030102     182       8012    SHARES                X                 3       8012   0        0
STARBUCKS CORP       COMMON
                     STOCK   855244109     177       5900    SHARES                X                 3       5900   0        0
STARBUCKS CORP       COMMON
  COM                STOCK   855244109     573      19105    SHARES                X                 1      19105   0        0
STARBUCKS CORP       COMMON
  COM                STOCK   855244109      96       3200    SHARES                         X        1       3200   0        0
STARWOOD             COMMON
  HOTELS & RESORTS   STOCK   85590A203      18        284    SHARES                X                 1        284   0        0
STARWOOD             COMMON
  HOTELS & RESORTS   STOCK   85590A203      49        771    SHARES                         X        1          0   0      771
STARWOOD             COMMON
  HTLS&RES           PAIRED
                     SHS     85590A203     109       1700    SHARES                X                 3       1700   0        0
STATE AUTO           COMMON
  FINANCIAL CORP     STOCK   855707105     353       9690    SHARES                X                 1       9690   0        0
STATE AUTO FINL      COMMON
  CORP               STOCK   855707105     959      26300    SHARES                X                 3      26300   0        0
STATE STREET CORP    COMMON
                     STOCK   857477103     346       6232    SHARES                X                 1       6232   0        0
STATE STREET CORP    COMMON
                     STOCK   857477103    4974      89714    SHARES                         X        1      87214   0     2500
STATE STREET CORP    COMMON
                     STOCK   857477103     139       2500    SHARES                X                 3       2500   0        0
STEELCASE INC CL A   COMMON
                     STOCK   858155203      16       1000    SHARES                         X        1          0   0     1000


                                   39 of 59





                                                           SEC USE
                                                                                  COLUMN 6                      COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                  ------------------------ ---------------------- -------- -------------------
                                                   SHARES
                    COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1       TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                  
STEINER LEISURE LTD  COMMON
                     STOCK   P8744Y102      14        400    SHARES                X                 3        400   0        0
STERLING FINANCIAL   COMMON
  CORP               STOCK   859317109    1177      59440    SHARES                X                 1      30373   0    29067
STERLING FINANCIAL   COMMON
  CORP               STOCK   859317109     129       6500    SHARES                         X        1       1500   0     5000
STOLT OFFSHORE SA    COMMON
                     STOCK   861567105      47       4000    SHARES                X                 3       4000   0        0
STONEPATH GROUP      COMMON
  INC                STOCK   861837102       1        750    SHARES                X                 1        750   0        0
STREETTRACKS GOLD    COMMON
  TRUST              STOCK   863307104      15        300    SHARES                         X        1        300   0        0
STRYKER CORP         COMMON
                     STOCK   863667101     111       2500    SHARES                X                 3       2500   0        0
STRYKER CORP COM     COMMON
                     STOCK   863667101     458      10300    SHARES                X                 1      10300   0        0
STRYKER CORP COM     COMMON
                     STOCK   863667101      76       1700    SHARES                         X        1          0   0     1700
STURM RUGER & CO     COMMON
  INC COM            STOCK   864159108       7       1050    SHARES                X                 1       1050   0        0
STURM RUGER & CO     COMMON
  INC COM            STOCK   864159108       7       1000    SHARES                         X        1       1000   0        0
SUBURBAN PROPANE
  PARTNERS LP        COMMON
  LIMITED            STOCK   864482104       7        250    SHARES                X                 1        250   0        0
SUBURBAN PROPANE
  PARTNERS LP        COMMON
  LIMITED            STOCK   864482104      24        900    SHARES                         X        1        300   0      600
SUN MICROSYSTEM      COMMON
  INC                STOCK   866810104     109      26100    SHARES                X                 3      26100   0        0
SUN MICROSYSTEMS     COMMON
  INC COM            STOCK   866810104      33       7950    SHARES                X                 1       7950   0        0
SUN MICROSYSTEMS     COMMON
  INC COM            STOCK   866810104      64      15300    SHARES                         X        1      15300   0        0
SUN MICROSYSTEMS     COMMON
  INCORPORATED       STOCK   866810104      65      15400    SHARES         X                        2      15400   0        0
SUNOCO INC           COMMON
                     STOCK   86764P109      84       1070    SHARES                X                 3       1070   0        0
SUNOCO INC COM       COMMON
                     STOCK   86764P109     207       2646    SHARES                X                 1       2646   0        0
SUNOCO INC COM       COMMON
                     STOCK   86764P109      38        484    SHARES                         X        1        484   0        0
SUNOCO LOGISTICS     COMMON
  PARTNERS LP        STOCK   86764L108      23        600    SHARES                         X        1        600   0        0
SUNRISE ASSISTED
  LIVING             COMMON
  INCORPORATED       STOCK   86768K106    1294      38400    SHARES         X                        2      38400   0        0
SUNRISE SENIOR       COMMON
  LIVING INC         STOCK   86768K106       7        200    SHARES                X                 1        200   0        0
SUNTRUST BANKS       COMMON
  INC                STOCK   867914103     647       8887    SHARES                X                 1       8887   0        0
SUNTRUST BANKS       COMMON
  INC                STOCK   867914103    1858      25532    SHARES                         X        1      23832   0     1700
SUNTRUST BANKS       COMMON
  INC                STOCK   867914103     117       1603    SHARES                X                 3          0   0     1603
SUNTRUST BANKS       COMMON
  INC                STOCK   867914103     200       2745    SHARES                X                 3       2745   0        0
SUPERIOR ENERGY      COMMON
  SERVICES INC COM   STOCK   868157108      15        700    SHARES                X                 1        700   0        0
SUPERVALU INC        COMMON
                     STOCK   868536103      78       2400    SHARES                X                 1       2400   0        0
SUPERVALU INC        COMMON
                     STOCK   868536103      35       1080    SHARES                X                 3       1080   0        0
SUSQUEHANNA
  BANCSHARES INC     COMMON
  PA COM             STOCK   869099101    1568      66213    SHARES                X                 1      56201   0    10012
SUSQUEHANNA
  BANCSHARES INC     COMMON
  PA COM             STOCK   869099101      12        500    SHARES                         X        1        500   0        0
SWIFT ENERGY         COMMON
  COMPANY            STOCK   870738101      43        950    SHARES                X                 1        950   0        0
SYMANTEC CORP        COMMON
                     STOCK   871503108     161       9176    SHARES                X                 3       9176   0        0
SYMANTEC CORP        COMMON
  COM                STOCK   871503108    1365      77979    SHARES                X                 1      77679   0      300
SYMANTEC CORP        COMMON
  COM                STOCK   871503108     215      12299    SHARES                         X        1      11725   0      574
SYMANTEC CORP        COMMON
  COM                STOCK   871503108      40       2314    SHARES                X                 3        314   0     2000
SYMBOL               COMMON
  TECHNOLOGIES       STOCK   871508107      24       1900    SHARES                X                 3       1900   0        0
SYMBOL               COMMON
  TECHNOLOGIES INC   STOCK   871508107     135      10569    SHARES                X                 1       9069   0     1500
SYMBOL               COMMON
  TECHNOLOGIES INC   STOCK   871508107      92       7213    SHARES                         X        1       6650   0      563
SYMMETRICOM INC      COMMON
                     STOCK   871543104      30       3500    SHARES                X                 3       3500   0        0
SYMMETRICOM          COMMON
  INCORPORATED       STOCK   871543104      33       3900    SHARES                X                 1       3900   0        0
SYNERON MEDICAL      COMMON
  LTD                STOCK   M87245102      35       1100    SHARES                X                 3       1100   0        0
SYNOPSYS INC COM     COMMON
                     STOCK   871607107      51       2550    SHARES                X                 1       2550   0        0
SYNOPSYS INC COM     COMMON
                     STOCK   871607107      34       1700    SHARES                         X        1        200   0     1500
SYNOVUS FINL CORP    COMMON
                     STOCK   87161C105      70       2592    SHARES                X                 3       2592   0        0
SYNOVUS FINL CORP    COMMON
  COM                STOCK   87161C105      22        800    SHARES                         X        1        800   0        0
SYSCO CORP           COMMON
                     STOCK   871829107    8336     268461    SHARES                X                 1     262629   0     5832
SYSCO CORP           COMMON
                     STOCK   871829107   10557     339999    SHARES                         X        1     336164   0     3835
SYSCO CORP           COMMON
                     STOCK   871829107    1593      51312    SHARES                X                 3      43138   0     8174
SYSCO CORP           COMMON
                     STOCK   871829107    7652     246410    SHARES                X                 3     246410   0        0
SYSCO CORPORATION    COMMON
                     STOCK   871829107    2700      86972    SHARES         X                        2      86972   0        0
TARGET CORP COM      COMMON
                     STOCK   87612E106    8446     153647    SHARES                X                 1     152547   0     1100
TARGET CORP COM      COMMON
                     STOCK   87612E106    1491      27121    SHARES                         X        1      25746   0     1375
TARGET CORP COM      COMMON
                     STOCK   87612E106    2997      54521    SHARES                X                 3      54521   0        0


                                   40 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
TASER
  INTERNATIONAL    COMMON
  INC              STOCK    87651B104       1        200    SHARES                         X        1        200   0        0
TASTY BAKING CO
  WITH RIGHTS      COMMON
  07/29/13         STOCK    876553306       5        625    SHARES                         X        1        625   0        0
TECH DATA CORP     COMMON
  COM              STOCK    878237106      24        600    SHARES                         X        1        600   0        0
TECO ENERGY INC    COMMON
                   STOCK    872375100     201      11689    SHARES                X                 1      11689   0        0
TECO ENERGY INC    COMMON
                   STOCK    872375100     410      23866    SHARES                         X        1      23566   0      300
TECO ENERGY INC    COMMON
                   STOCK    872375100      27       1600    SHARES                X                 3       1600   0        0
TEKTRONIX INC      COMMON
                   STOCK    879131100      17        600    SHARES                X                 3        600   0        0
TELEDYNE
  TECHNOLOGIES INC COMMON
  COM              STOCK    879360105       8        275    SHARES                X                 1        275   0        0
TELLABS INC        COMMON
                   STOCK    879664100      38       3485    SHARES                X                 3       3485   0        0
TEMPLE INLAND INC  COMMON
                   STOCK    879868107      33        728    SHARES                X                 1        728   0        0
TEMPLE INLAND INC  COMMON
                   STOCK    879868107      40        900    SHARES                X                 3        900   0        0
TENET HEALTHCARE   COMMON
                   STOCK    88033G100      28       3637    SHARES                X                 3       3637   0        0
TENET HEALTHCARE   COMMON
  CORP             STOCK    88033G100      11       1500    SHARES                X                 1       1500   0        0
TEPPCO PARTNERS
  LIMITED          COMMON
  PARTNERSHIP      STOCK    872384102     538      15450    SHARES         X                        2      15450   0        0
TEPPCO PARTNERS    COMMON
  LTD PARTNERS     STOCK    872384102      87       2500    SHARES                X                 1       2500   0        0
TERADYNE INC       COMMON
                   STOCK    880770102      22       1500    SHARES                X                 3       1500   0        0
TERAYON
  COMMUNICATION    COMMON
  SYS INC COM      STOCK    880775101       0         44    SHARES                X                 1         44   0        0
TEREX CORP         COMMON
                   STOCK    880779103      35        588    SHARES                         X        1        588   0        0
TESORO CORP        COMMON
                   STOCK    881609101      86       1400    SHARES                X                 1       1400   0        0
TESORO             COMMON
  CORPORATION      STOCK    881609101      62       1000    SHARES                X                 3       1000   0        0
TEXAS INSTRUMENTS  COMMON
                   STOCK    882508104    1439      44877    SHARES                X                 3      44877   0        0
TEXAS INSTRUMENTS  COMMON
  INC              STOCK    882508104    4370     136250    SHARES                X                 1     136250   0        0
TEXAS INSTRUMENTS  COMMON
  INC              STOCK    882508104    2614      81515    SHARES                         X        1      76140   0     5375
TEXAS INSTRUMENTS  COMMON
  INC              STOCK    882508104     242       7537    SHARES                X                 3       6537   0     1000
TEXAS INSTRUMENTS  COMMON
  INCORPORATED     STOCK    882508104    2418      75384    SHARES         X                        2      75384   0        0
TEXTRON INC        COMMON
                   STOCK    883203101      89       1160    SHARES                X                 3       1160   0        0
TEXTRON INC COM    COMMON
                   STOCK    883203101     367       4768    SHARES                X                 1       4768   0        0
TEXTRON INC COM    COMMON
                   STOCK    883203101      85       1100    SHARES                         X        1        100   0     1000
TF FINANCIAL CORP  COMMON
                   STOCK    872391107     142       5000    SHARES                X                 1       5000   0        0
THE DIRECTV GROUP  COMMON
  INC              STOCK    25459L106      14        962    SHARES                X                 1        913   0       49
THE DIRECTV GROUP  COMMON
  INC              STOCK    25459L106      32       2266    SHARES                         X        1       1448   0      818
THE HERSHEY        COMMON
  COMPANY          STOCK    427866108    3402      61570    SHARES                X                 1      59020   0     2550
THE HERSHEY        COMMON
  COMPANY          STOCK    427866108    2426      43904    SHARES                         X        1      31604   0    12300
THE HERSHEY        COMMON
  COMPANY          STOCK    427866108      76       1370    SHARES                X                 3       1370   0        0
THE MOSAIC         COMMON
  COMPANY          STOCK    61945A107       6        400    SHARES                X                 1        400   0        0
THE MOSAIC         COMMON
  COMPANY          STOCK    61945A107       6        400    SHARES                         X        1        400   0        0
THE NAVIGATORS     COMMON
  GROUP INC        STOCK    638904102     126       2900    SHARES                X                 1       2900   0        0
THE SCOTTS
  MIRACLE-GRO      COMMON
  COMPANY CL A     STOCK    810186106     633      14000    SHARES                X                 1      14000   0        0
THERMO ELECTRON    COMMON
  CORP             STOCK    883556102      39       1280    SHARES                X                 3       1280   0        0
THERMO ELECTRON    COMMON
  CORP COM         STOCK    883556102      51       1700    SHARES                X                 1       1700   0        0
TIBCO SOFTWARE INC COMMON
                   STOCK    88632Q103      31       4100    SHARES                X                 3       4100   0        0
TIBCO SOFTWARE INC COMMON
  COM              STOCK    88632Q103      42       5600    SHARES                X                 1       5600   0        0
TIFFANY & CO       COMMON
                   STOCK    886547108      15        384    SHARES                X                 1        384   0        0
TIFFANY & CO       COMMON
                   STOCK    886547108      42       1100    SHARES                X                 3       1100   0        0
TIME WARNER INC    COMMON
                   STOCK    887317105    1485      85152    SHARES                X                 1      85152   0        0
TIME WARNER INC    COMMON
                   STOCK    887317105     834      47804    SHARES                         X        1      44679   0     3125
TIME WARNER INC    COMMON
                   STOCK    887317105    2370     140166    SHARES         X                        2     140166   0        0
TIME WARNER INC    COMMON
                   STOCK    887317105     318      18250    SHARES                X                 3      17650   0      600
TIME WARNER INC    COMMON
                   STOCK    887317105    2022     115905    SHARES                X                 3     115905   0        0
TIMKEN CO COM      COMMON
                   STOCK    887389104      40       1240    SHARES                         X        1       1240   0        0
TIVO INC           COMMON
                   STOCK    888706108       1        100    SHARES                X                 1        100   0        0
TJX COMPANIES COM  COMMON
                   STOCK    872540109       4        165    SHARES                X                 1        165   0        0
TJX COMPANIES INC  COMMON
                   STOCK    872540109      82       3540    SHARES                X                 3       3540   0        0
TODCO              COMMON
                   STOCK A  88889T107      46       1200    SHARES                X                 3       1200   0        0
TODCO-CLASS A      COMMON
                   STOCK    88889T107      70       1850    SHARES                X                 1       1850   0        0


                                   41 of 59





                                                           SEC USE
                                                                                  COLUMN 6                      COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                  ------------------------ ---------------------- -------- -------------------
                                                   SHARES
                    COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1       TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                  
TOLL BROS INC       COMMON
                    STOCK    889478103    3653     105460    SHARES                X                 1     102610   0    2850
TOLL BROS INC       COMMON
                    STOCK    889478103    1053      30402    SHARES                         X        1      29902   0     500
TOLL BROS INC       COMMON
                    STOCK    889478103      36       1033    SHARES                X                 3        233   0     800
TOLL BROTHERS INC   COMMON
                    STOCK    889478103     554      16000    SHARES                X                 3      16000   0       0
TOMPKINS TRUSTCO    COMMON
  INC               STOCK    890110109      48       1080    SHARES                X                 1       1080   0       0
TOOTSIE ROLL        COMMON
  INDUSTRIES        STOCK    890516107      52       1798    SHARES                X                 1       1798   0       0
TORCHMARK CORP      COMMON
                    STOCK    891027104      44        800    SHARES                X                 3        800   0       0
TORO CO COM         COMMON
                    STOCK    891092108      75       1720    SHARES                X                 1       1720   0       0
TOWER GROUP INC     COMMON
                    STOCK    891777104      33       1500    SHARES                         X        1       1500   0       0
TRADESTATION        COMMON
  GROUP INC         STOCK    89267P105      11        900    SHARES                X                 1        900   0       0
TRANSACT
  TECHNOLOGIES INC  COMMON
  COM               STOCK    892918103       8       1000    SHARES                X                 1       1000   0       0
TRANSCEND           COMMON
  SERVICES INC      STOCK    893929208       1        325    SHARES                X                 1        325   0       0
TRANSOCEAN INC      COMMON
                    STOCK    G90078109    1607      23065    SHARES                X                 1      23065   0       0
TRANSOCEAN INC      COMMON
                    STOCK    G90078109     273       3912    SHARES                         X        1       3912   0       0
TRANSOCEAN INC      COMMON
                    STOCK    G90078109     178       2549    SHARES                X                 3       2549   0       0
TREDEGAR CORP       COMMON
                    STOCK    894650100      32       2500    SHARES                X                 1       2500   0       0
TRIAD HOSPITALS INC COMMON
                    STOCK    89579K109      78       2000    SHARES                         X        1          0   0    2000
TRIBUNE CO          COMMON
                    STOCK    896047107      63       2077    SHARES                X                 3       2077   0       0
TRIBUNE CO NEW      COMMON
  COM               STOCK    896047107      39       1300    SHARES                         X        1       1300   0       0
TRIBUNE COMPANY     COMMON
  NEW               STOCK    896047107     200       6620    SHARES         X                        2       6620   0       0
TRIDENT             COMMON
  MICROSYSTEMS      STOCK    895919108      45       2500    SHARES                X                 3       2500   0       0
TRIDENT
  MICROSYSTEMS      COMMON
  INC               STOCK    895919108      61       3400    SHARES                X                 1       3400   0       0
TRINITY INDUSTRIES  COMMON
  INC               STOCK    896522109       4        100    SHARES                X                 1        100   0       0
TRINITY INDUSTRIES  COMMON
  INC               STOCK    896522109      57       1300    SHARES                         X        1       1300   0       0
TUPPERWARE          COMMON
  BRANDS CORP       STOCK    899896104      11        500    SHARES                X                 1        500   0       0
TUPPERWARE          COMMON
  BRANDS CORP       STOCK    899896104      10        450    SHARES                         X        1        450   0       0
TXU CORP            COMMON
                    STOCK    873168108     188       3750    SHARES                X                 3       3750   0       0
TXU CORP COM        COMMON
                    STOCK    873168108     195       3880    SHARES                X                 1       3880   0       0
TXU CORP COM        COMMON
                    STOCK    873168108     156       3100    SHARES                         X        1       2900   0     200
TYCO
  INTERNATIONAL     COMMON
  LIMITED NEW       STOCK    902124106    3813     132135    SHARES         X                        2     132135   0       0
TYCO INTL LTD       COMMON
                    STOCK    902124106     446      15441    SHARES                X                 3      15441   0       0
TYSON FOODS INC     COMMON
                    STOCK A  902494103      32       1900    SHARES                X                 3       1900   0       0
TYSON FOODS INC     COMMON
  COM               STOCK    902494103      21       1200    SHARES                         X        1       1200   0       0
U S BANCORP DEL     COMMON
  COM NEW           STOCK    902973304    3062     102439    SHARES                X                 1     101439   0    1000
U S BANCORP DEL     COMMON
  COM NEW           STOCK    902973304     834      27913    SHARES                         X        1      22813   0    5100
U S BANCORP DEL     COMMON
  COM NEW           STOCK    902973304     454      15200    SHARES                X                 3      15200   0       0
UCBH HOLDINGS INC   COMMON
                    STOCK    90262T308      16        885    SHARES                X                 1        885   0       0
UCBH HOLDINGS INC   COMMON
                    STOCK    90262T308    1059      59200    SHARES                X                 3      59200   0       0
UGI CORP            COMMON
                    STOCK    902681105     379      18400    SHARES                X                 1      18400   0       0
UGI CORP            COMMON
                    STOCK    902681105     247      12000    SHARES                         X        1      12000   0       0
UNION BANKSHARES    COMMON
  CORPORATION       STOCK    905399101       9        200    SHARES                         X        1        200   0       0
UNION PAC CORP      COMMON
                    STOCK    907818108     161       1995    SHARES                X                 3       1995   0       0
UNION PACIFIC CORP  COMMON
  COM               STOCK    907818108     847      10515    SHARES                X                 1      10415   0     100
UNION PACIFIC CORP  COMMON
  COM               STOCK    907818108     913      11335    SHARES                         X        1       6535   0    4800
UNION PACIFIC CORP  COMMON
  COM               STOCK    907818108     322       4000    SHARES                X                 3          0   0    4000
UNISYS CORP         COMMON
                    STOCK    909214108       5        841    SHARES                         X        1        841   0       0
UNISYS              COMMON
  CORPORATION       STOCK    909214108      15       2570    SHARES                X                 3       2570   0       0
UNITED PARCEL       COMMON
  SERVICE CL B      STOCK    911312106    7893     105035    SHARES                X                 1     103299   0    1736
UNITED PARCEL       COMMON
  SERVICE CL B      STOCK    911312106    1208      16070    SHARES                         X        1      14135   0    1935
UNITED PARCEL       COMMON
  SERVICE CL B      STOCK    911312106    1330      17698    SHARES                X                 3      14427   0    3271
UNITED PARCEL       COMMON
  SERVICE CL B      STOCK    911312106    7010      93262    SHARES                X                 3      93262   0       0
UNITED PARCEL
  SERVICE INC CLASS COMMON
  B                 STOCK    911312106     461       6130    SHARES         X                        2       6130   0       0
UNITED RENTAL INC   COMMON
                    STOCK    911363109     879      37600    SHARES                X                 3      37600   0       0
UNITED RENTALS INC  COMMON
  COM               STOCK    911363109     264      11290    SHARES                X                 1      11290   0       0
UNITED STATES STL   COMMON
                    STOCK    912909108      44        915    SHARES                X                 3        915   0       0


                                   42 of 59





                                                           SEC USE
                                                                                  COLUMN 6                      COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                  ------------------------ ---------------------- -------- -------------------
                                                   SHARES
                    COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1       TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                  
UNITED STS STL CORP COMMON
  NEW               STOCK    912909108       9        179    SHARES                X                 1        179   0        0
UNITED STS STL CORP COMMON
  NEW               STOCK    912909108       7        153    SHARES                         X        1        153   0        0
UNITED SURGICAL     COMMON
  PART              STOCK    913016309    1025      31900    SHARES                X                 3      31900   0        0
UNITED SURGICAL     COMMON
  PARTNERS INTL     STOCK    913016309     338      10499    SHARES                X                 1      10499   0        0
UNITED SURGICAL     COMMON
  PARTNERS INTL     STOCK    913016309      24        750    SHARES                         X        1        750   0        0
UNITED              COMMON
  TECHNOLOGIES      STOCK    913017109    1918      34320    SHARES                X                 3      34320   0        0
UNITED
  TECHNOLOGIES      COMMON
  CORP COM          STOCK    913017109    7356     131574    SHARES                X                 1     129824   0     1750
UNITED
  TECHNOLOGIES      COMMON
  CORP COM          STOCK    913017109    3095      55350    SHARES                         X        1      51650   0     3700
UNITED
  TECHNOLOGIES      COMMON
  CORP COM          STOCK    913017109     301       5390    SHARES                X                 3       5390   0        0
UNITED
  TECHNOLOGIES      COMMON
  CORPORATION       STOCK    913017109     224       4000    SHARES         X                        2       4000   0        0
UNITEDHEALTH        COMMON
  GROUP INC         STOCK    91324P102    4138      66598    SHARES                X                 1      65652   0      946
UNITEDHEALTH        COMMON
  GROUP INC         STOCK    91324P102     555       8932    SHARES                         X        1       5802   0     3130
UNITEDHEALTH        COMMON
  GROUP INC         STOCK    91324P102    6373     102552    SHARES                X                 3      99867   0     2685
UNITEDHEALTH        COMMON
  GROUP INC.        STOCK    91324P102    3662      58925    SHARES         X                        2      58925   0        0
UNITRIN INC COM     COMMON
                    STOCK    913275103     167       3715    SHARES                X                 1       3715   0        0
UNIVERSAL
  COMPRESSION       COMMON
  HOLDINGS INC      STOCK    913431102      41       1000    SHARES                         X        1       1000   0        0
UNIVEST CORP OF PA  COMMON
                    STOCK    915271100      60       2454    SHARES                X                 1       2454   0        0
UNIVISION COMMUN    COMMON
  INC               STOCK A  914906102      53       1800    SHARES                X                 3       1800   0        0
UNIVISION
  COMMUNICATIONS    COMMON
  INC COM           STOCK    914906102       8        280    SHARES                X                 1        280   0        0
UNUMPROVIDENT       COMMON
  COR               STOCK    91529Y106      52       2295    SHARES                X                 3       2295   0        0
UNUMPROVIDENT       COMMON
  CORPORATION       STOCK    91529Y106    1357      59650    SHARES         X                        2      59650   0        0
UNVL HEALTH         COMMON
  SERVICES INC CL B STOCK    913903100      17        360    SHARES                X                 1        360   0        0
URBAN OUTFITTERS    COMMON
                    STOCK    917047102     853      33700    SHARES                X                 3      33700   0        0
URBAN OUTFITTERS    COMMON
  INC               STOCK    917047102     261      10330    SHARES                X                 1      10330   0        0
US BANCORP DEL      COMMON
                    STOCK    902973304     418      13975    SHARES                X                 3      13975   0        0
US BANCORP NEW      COMMON
                    STOCK    902973304     284       9500    SHARES         X                        2       9500   0        0
UST INC             COMMON
                    STOCK    902911106      52       1265    SHARES                X                 3       1265   0        0
UST INC COM         COMMON
                    STOCK    902911106     297       7275    SHARES                X                 1       7275   0        0
UST INC COM         COMMON
                    STOCK    902911106     188       4600    SHARES                         X        1       4600   0        0
UST INC COM         COMMON
                    STOCK    902911106      20        500    SHARES                X                 3        500   0        0
V F CORP            COMMON
                    STOCK    918204108      55       1000    SHARES                X                 1       1000   0        0
V F CORP            COMMON
                    STOCK    918204108     578      10440    SHARES                         X        1      10440   0        0
V F CORP            COMMON
                    STOCK    918204108      37        675    SHARES                X                 3        675   0        0
VALERO ENERGY       COMMON
  CORP              STOCK    91913Y100     237       4600    SHARES                X                 3       4600   0        0
VALERO ENERGY       COMMON
  CORP COM          STOCK    91913Y100     408       7900    SHARES                X                 1       7900   0        0
VALERO ENERGY       COMMON
  CORP COM          STOCK    91913Y100     114       2200    SHARES                         X        1       2200   0        0
VALERO L P          COMMON
                    STOCK    91913W104      17        335    SHARES                X                 1        335   0        0
VALERO L P          COMMON
                    STOCK    91913W104     259       5000    SHARES                X                 3          0   0     5000
VAN KAMPEN MUNI     COMMON
  OPP TRUST II      STOCK    920944105      12        910    SHARES                X                 1        910   0        0
VARIAN INC          COMMON
                    STOCK    922206107       5        120    SHARES                X                 1        120   0        0
VARIAN MED SYS INC  COMMON
                    STOCK    92220P105    7432     147638    SHARES                X                 3     144771   0     2867
VARIAN MEDICAL      COMMON
  SYS INC COM       STOCK    92220P105    4259      84614    SHARES                X                 1      82997   0     1617
VARIAN MEDICAL      COMMON
  SYS INC COM       STOCK    92220P105     238       4723    SHARES                         X        1       4148   0      575
VARIAN
  SEMICONDUCTOR     COMMON
  EQUIP ASSOC COM   STOCK    922207105       5        120    SHARES                X                 1        120   0        0
VASOMEDICAL INC     COMMON
                    STOCK    922321104       0       1500    SHARES                X                 1       1500   0        0
VERISIGN INC        COMMON
                    STOCK    92343E102    8044     367338    SHARES                X                 3     357342   0     9996
VERISIGN INC COM    COMMON
                    STOCK    92343E102    4727     215825    SHARES                X                 1     209503   0     6322
VERISIGN INC COM    COMMON
                    STOCK    92343E102     243      11109    SHARES                         X        1       8584   0     2525
VERITAS DGC INC     COMMON
                    STOCK    92343P107      28        800    SHARES                X                 3        800   0        0
VERITAS DGC INC     COMMON
  COM               STOCK    92343P107      43       1200    SHARES                X                 1       1200   0        0
VERIZON             COMMON
  COMMUNICATIONS    STOCK    92343V104    1868      62025    SHARES         X                        2      62025   0        0
VERIZON
  COMMUNICATIONS    COMMON
  COM               STOCK    92343V104   15628     518863    SHARES                X                 1     510363   0     8500
VERIZON
  COMMUNICATIONS    COMMON
  COM               STOCK    92343V104    8963     297568    SHARES                         X        1     279763   0    17805
VERIZON
  COMMUNICATIONS    COMMON
  COM               STOCK    92343V104     938      31158    SHARES                X                 3      28748   0     2410
VERIZON
  COMMUNICATIONS    COMMON
  COM               STOCK    92343V104      27        901    SHARES                         X        3        901   0        0


                                   43 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
VIACOM INC         COMMON
                   STOCK B  925524308     395      12103    SHARES                X                 3      12103   0        0
VIACOM INC CL A    COMMON
                   STOCK    925524100       7        200    SHARES                X                 1        200   0        0
VIACOM INC CL A    COMMON
                   STOCK    925524100      15        450    SHARES                         X        1        450   0        0
VIACOM INC CL B    COMMON
                   STOCK    925524308    2169      66528    SHARES                X                 1      66528   0        0
VIACOM INC CL B    COMMON
                   STOCK    925524308    1167      35812    SHARES                         X        1      32861   0     2951
VIACOM INC CL B    COMMON
                   STOCK    925524308     375      11500    SHARES                X                 3      11000   0      500
VISHAY
  INTERTECHNOLOGY  COMMON
  INC COM          STOCK    928298108      14       1000    SHARES                X                 1       1000   0        0
VISTEON CORP COM   COMMON
                   STOCK    92839U107      16       2549    SHARES                         X        1       2549   0        0
VULCAN MATERIALS   COMMON
  CO               STOCK    929160109      61        900    SHARES                X                 3        900   0        0
W H ENERGY SVCS    COMMON
  INC COM          STOCK    92925E108      86       2600    SHARES                X                 1       2600   0        0
W W GRAINGER INC   COMMON
  COM              STOCK    384802104     371       5220    SHARES                X                 1       5220   0        0
W W GRAINGER INC   COMMON
  COM              STOCK    384802104     164       2300    SHARES                         X        1       2300   0        0
WACHOVIA CORP      COMMON
                   STOCK    929903102     612      11581    SHARES                X                 3      11581   0        0
WACHOVIA CORP      COMMON
  COM              STOCK    929903102   15319     289799    SHARES                X                 1     281821   0     7978
WACHOVIA CORP      COMMON
  COM              STOCK    929903102    6004     113575    SHARES                         X        1     104800   0     8775
WACHOVIA CORP      COMMON
  COM              STOCK    929903102      18        344    SHARES                X                 3        344   0        0
WACHOVIA           COMMON
  CORPORATION NEW  STOCK    929903102     338       6400    SHARES         X                        2       6400   0        0
WADDELL & REED     COMMON
  FINL INC CL A    STOCK    930059100      13        600    SHARES                X                 1        600   0        0
WADDELL & REED     COMMON
  FINL INC CL A    STOCK    930059100      41       1950    SHARES                         X        1       1950   0        0
WAL MART STORES    COMMON
  INC              STOCK    931142103    7948     169812    SHARES                X                 3     169812   0        0
WAL MART STORES    COMMON
  INC COM          STOCK    931142103   15371     328449    SHARES                X                 1     323873   0     4576
WAL MART STORES    COMMON
  INC COM          STOCK    931142103    5385     115059    SHARES                         X        1     105589   0     9470
WAL MART STORES    COMMON
  INC COM          STOCK    931142103    1859      39714    SHARES                X                 3      28577   0    11137
WAL MART STORES    COMMON
  INC COM          STOCK    931142103     257       5495    SHARES                X                 3       5495   0        0
WAL MART STORES    COMMON
  INC COM          STOCK    931142103      23        500    SHARES                         X        3        500   0        0
WAL MART STORES    COMMON
  INCORPORATED     STOCK    931142103     218       4668    SHARES         X                        2       4668   0        0
WALGREEN CO        COMMON
                   STOCK    931422109    1254      28333    SHARES                X                 1      27383   0      950
WALGREEN CO        COMMON
                   STOCK    931422109    1077      24339    SHARES                         X        1      16889   0     7450
WALGREEN CO        COMMON
                   STOCK    931422109     344       7775    SHARES                X                 3       7775   0        0
WALT DISNEY CO     COMMON
                   STOCK    254687106     368      15355    SHARES                X                 3      15355   0        0
WALT DISNEY CO     COMMON
  COM              STOCK    254687106    4413     184096    SHARES                X                 1     183496   0      600
WALT DISNEY CO     COMMON
  COM              STOCK    254687106    2675     111613    SHARES                         X        1     104863   0     6750
WALT DISNEY CO     COMMON
  COM              STOCK    254687106      24       1000    SHARES                X                 3          0   0     1000
WALTER INDS INC    COMMON
                   STOCK    93317Q105     179       3600    SHARES                X                 1       3600   0        0
WALTER INDS INC    COMMON
                   STOCK    93317Q105     159       3200    SHARES                X                 3       3200   0        0
WASHINGTON GROUP   COMMON
  INT              STOCK    938862208     101       1900    SHARES                X                 3       1900   0        0
WASHINGTON GROUP   COMMON
  INTL INC         STOCK    938862208     132       2500    SHARES                X                 1       2500   0        0
WASHINGTON         COMMON
  MUTUAL           STOCK    939322103     330       7595    SHARES                X                 3       7595   0        0
WASHINGTON         COMMON
  MUTUAL COM       STOCK    939322103    1833      42137    SHARES                X                 1      41712   0      425
WASHINGTON         COMMON
  MUTUAL COM       STOCK    939322103     759      17455    SHARES                         X        1      16455   0     1000
WASHINGTON
  MUTUAL           COMMON
  INCORPORATED     STOCK    939322103    3747      86130    SHARES         X                        2      86130   0        0
WASTE              COMMON
  CONNECTIONS I    STOCK    941053100    1085      31500    SHARES                X                 3      31500   0        0
WASTE              COMMON
  CONNECTIONS INC  STOCK    941053100     318       9225    SHARES                X                 1       9225   0        0
WASTE              COMMON
  MANAGEMENT INC   STOCK    94106L109     129       4250    SHARES                X                 3       4250   0        0
WASTE
  MANAGEMENT INC   COMMON
  COM              STOCK    94106L109      13        444    SHARES                X                 1        444   0        0
WASTE
  MANAGEMENT INC   COMMON
  COM              STOCK    94106L109     141       4647    SHARES                         X        1       3147   0     1500
WATER PIK
  TECHNOLOGIES INC COMMON
  COM              STOCK    94113U100       2         96    SHARES                X                 1         96   0        0
WATERS CORP        COMMON
                   STOCK    941848103      32        850    SHARES                X                 3        850   0        0
WATSON             COMMON
  PHARMACEUTCLS    STOCK    942683103      29        900    SHARES                X                 3        900   0        0
WATSON
  PHARMACEUTICALS  COMMON
  INC COM          STOCK    942683103      10        300    SHARES                X                 1        300   0        0
WATSON
  PHARMACEUTICALS  COMMON
  INC COM          STOCK    942683103      50       1526    SHARES                         X        1       1526   0        0
WCI INDUSTRIES     COMMON
                   STOCK    92923C104       4        150    SHARES                X                 1        150   0        0
WD 40 CO COM       COMMON
                   STOCK    929236107      58       2200    SHARES                         X        1       2200   0        0
WEATHERFORD INTL   COMMON
  LTD              STOCK    G95089101    3006      83020    SHARES                X                 3      83020   0        0
WEBSTER FINL CORP  COMMON
  WATERBURY COM    STOCK    947890109      28        600    SHARES                X                 1        600   0        0


                                   44 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
WEIGHT WATCHERS     COMMON
  INTL INC NEW      STOCK   948626106      19        375    SHARES                X                 1        375   0        0
WEINGARTEN
  REALTY            COMMON
  INVESTORS         STOCK   948741103     752      19885    SHARES         X                        2      19885   0        0
WEIS MARKETS INC    COMMON
                    STOCK   948849104      19        450    SHARES                X                 1          0   0      450
WELLMAN INC         COMMON
                    STOCK   949702104      37       5500    SHARES                X                 1       5500   0        0
WELLMAN INC         COMMON
                    STOCK   949702104      37       5400    SHARES                X                 3       5400   0        0
WELLPOINT INC       COMMON
                    STOCK   94973V107     101       1260    SHARES                X                 1       1260   0        0
WELLPOINT INC       COMMON
                    STOCK   94973V107     371       4650    SHARES                X                 3       4650   0        0
WELLS FARGO & CO    COMMON
                    STOCK   949746101   12252     195001    SHARES                X                 1     193851   0     1150
WELLS FARGO & CO    COMMON
                    STOCK   949746101    5473      87108    SHARES                         X        1      84160   0     2948
WELLS FARGO & CO    COMMON
                    STOCK   949746101     380       6050    SHARES                X                 3       5850   0      200
WELLS FARGO & CO    COMMON
                    STOCK   949746101     781      12430    SHARES                X                 3      12430   0        0
WELLS FARGO & CO    COMMON
                    STOCK   949746101      25        400    SHARES                         X        3        400   0        0
WELLS FARGO &       COMMON
  COMPANY NEW       STOCK   949746101    2996      47681    SHARES         X                        2      47681   0        0
WENDYS INTL INC     COMMON
                    STOCK   950590109      52        935    SHARES                X                 3        935   0        0
WENDYS INTL INC     COMMON
  COM               STOCK   950590109     177       3200    SHARES                X                 1       3200   0        0
WENDYS INTL INC     COMMON
  COM               STOCK   950590109      11        200    SHARES                         X        1        200   0        0
WERNER              COMMON
  ENTERPRISES INC   STOCK   950755108    1232      62525    SHARES                X                 1      58325   0     4200
WERNER              COMMON
  ENTERPRISES INC   STOCK   950755108      84       4280    SHARES                         X        1       4280   0        0
WERNER              COMMON
  ENTERPRISES INC   STOCK   950755108       9        447    SHARES                X                 3        447   0        0
WESCO
  INTERNATIONAL     COMMON
  INCORPORATED      STOCK   95082P105      43       1000    SHARES                X                 1       1000   0        0
WESCO INTL INC      COMMON
                    STOCK   95082P105      30        700    SHARES                X                 3        700   0        0
WESTAR ENERGY INC   COMMON
                    STOCK   95709T100       6        300    SHARES                X                 1        300   0        0
WESTAR ENERGY INC   COMMON
                    STOCK   95709T100      19        900    SHARES                         X        1        300   0      600
WEYERHAEUSER CO     COMMON
                    STOCK   962166104     123       1850    SHARES                X                 3       1850   0        0
WEYERHAEUSER CO     COMMON
  COM               STOCK   962166104     186       2799    SHARES                X                 1       2799   0        0
WEYERHAEUSER CO     COMMON
  COM               STOCK   962166104     476       7171    SHARES                         X        1       6373   0      798
WGL HLDGS INC COM   COMMON
                    STOCK   92924F106     102       3382    SHARES                         X        1       3382   0        0
WGL HLDGS INC COM   COMMON
                    STOCK   92924F106     100       3328    SHARES                X                 3       3328   0        0
W-H ENERGY SVCS     COMMON
  INC               STOCK   92925E108      66       2000    SHARES                X                 3       2000   0        0
WHEELING-           COMMON
  PITTSBURG CORP    STOCK   963142302       2        245    SHARES                X                 1        245   0        0
WHIRLPOOL CORP      COMMON
                    STOCK   963320106      42        500    SHARES                X                 3        500   0        0
WHIRLPOOL CORP      COMMON
  COM               STOCK   963320106      75        892    SHARES                X                 1        892   0        0
WHIRLPOOL CORP      COMMON
  COM               STOCK   963320106      62        742    SHARES                         X        1        742   0        0
WHOLE FOODS MKT     COMMON
  INC               STOCK   966837106     443       5722    SHARES                X                 3       5722   0        0
WHOLE FOODS MKT     COMMON
  INC COM           STOCK   966837106     236       3050    SHARES                X                 1       3050   0        0
WHOLE FOODS MKT     COMMON
  INC COM           STOCK   966837106       1         16    SHARES                         X        1         16   0        0
WILD OATS MARKETS   COMMON
                    STOCK   96808B107      16       1300    SHARES                X                 3       1300   0        0
WILD OATS MKTS INC  COMMON
                    STOCK   96808B107      22       1800    SHARES                X                 1       1800   0        0
WILLIAM SONOMA      COMMON
  INC COM           STOCK   969904101     430       9965    SHARES                X                 1       9965   0        0
WILLIAM SONOMA      COMMON
  INC COM           STOCK   969904101      22        500    SHARES                         X        1        500   0        0
WILLIAMS
  COMPANIES         COMMON
  INCORPORATED      STOCK   969457100     115      11975    SHARES         X                        2      11975   0        0
WILLIAMS COMPANY    COMMON
  INC (THE)         STOCK   969457100      33       1428    SHARES                X                 1       1428   0        0
WILLIAMS COMPANY    COMMON
  INC (THE)         STOCK   969457100      69       2983    SHARES                         X        1       1783   0     1200
WILLIAMS COS INC    COMMON
                    STOCK   969457100     103       4425    SHARES                X                 3       4425   0        0
WILLIAMS SONOMA     COMMON
  INC               STOCK   969904101     984      22800    SHARES                X                 3      22800   0        0
WILMINGTON TRUST    COMMON
  CORP              STOCK   971807102      23        600    SHARES                         X        1        600   0        0
WIND RIV SYS INC    COMMON
                    STOCK   973149107       9        600    SHARES                X                 1        600   0        0
WISCONSIN ENERGY    COMMON
  CORP COM          STOCK   976657106     197       5052    SHARES                X                 1       5052   0        0
WISCONSIN ENERGY    COMMON
  CORP COM          STOCK   976657106     200       5118    SHARES                         X        1       5118   0        0
WORTHINGTON INDS    COMMON
  INC COM           STOCK   981811102     250      13000    SHARES                         X        1          0   0    13000
WPS RESOURCES       COMMON
  CORP              STOCK   92931B106      44        800    SHARES                X                 1        800   0        0
WPS RESOURCES       COMMON
  CORP              STOCK   92931B106      19        350    SHARES                         X        1        350   0        0
WRIGLEY WM JR CO    COMMON
                    STOCK   982526105     206       3100    SHARES                X                 1       3100   0        0
WRIGLEY WM JR CO    COMMON
                    STOCK   982526105     304       4570    SHARES                         X        1       3970   0      600
WRIGLEY WM JR CO    COMMON
                    STOCK   982526105      66       1000    SHARES                X                 3          0   0     1000


                                   45 of 59





                                                             SEC USE
                                                                                 COLUMN 6                        COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7    VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -----------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED  OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -------
                                                                                   
WRIGLEY WM JR CO   COMMON
                   STOCK    982526105       94       1410   SHARES                X                 3         1410   0          0
WYETH              COMMON
                   STOCK    983024100    17338     376339   SHARES                X                 1       371819   0       4520
WYETH              COMMON
                   STOCK    983024100    16304     353905   SHARES                         X        1       300472   0      53433
WYETH              COMMON
                   STOCK    983024100     1241      26933   SHARES         X                        2        26933   0          0
WYETH              COMMON
                   STOCK    983024100     1704      36991   SHARES                X                 3        34791   0       2200
WYETH              COMMON
                   STOCK    983024100     8071     175201   SHARES                X                 3       175201   0          0
WYETH              COMMON
                   STOCK    983024100       51       1100   SHARES                         X        3         1100   0          0
WYNN RESORTS       COMMON
  LIMITED          STOCK    983134107        5        100   SHARES                X                 1          100   0          0
XANSER CORP        COMMON
                   STOCK    98389J103        1        400   SHARES                X                 1          400   0          0
XCEL ENERGY INC    COMMON
                   STOCK    98389B100       56       3028   SHARES                X                 3         3028   0          0
XCEL ENERGY INC    COMMON
  COM              STOCK    98389B100       47       2566   SHARES                X                 1         2566   0          0
XCEL ENERGY INC    COMMON
  COM              STOCK    98389B100      230      12454   SHARES                         X        1        12454   0          0
XCEL ENERGY, INC.  COMMON
                   STOCK    98389B100      188      10550   SHARES         X                        2        10550   0          0
XEROX CORP         COMMON
                   STOCK    984121103       75       5100   SHARES                X                 1         5100   0          0
XEROX CORP         COMMON
                   STOCK    984121103      178      12140   SHARES                         X        1         9140   0       3000
XEROX CORP         COMMON
                   STOCK    984121103        3        200   SHARES                X                 3            0   0        200
XEROX CORP         COMMON
                   STOCK    984121103      107       7300   SHARES                X                 3         7300   0          0
XILINX INC         COMMON
                   STOCK    983919101       68       2700   SHARES                X                 3         2700   0          0
XL CAP LTD         COMMON
                   STOCK A  G98255105       69       1025   SHARES                X                 3         1025   0          0
XM SATELLITE RADIO COMMON
                   STOCK A  983759101      913      33500   SHARES                X                 3        33500   0          0
XM SATELLITE RADIO COMMON
  HLDGS INC        STOCK    983759101      423      15510   SHARES                X                 1        15510   0          0
XM SATELLITE RADIO COMMON
  HLDGS INC        STOCK    983759101        3        100   SHARES                         X        1          100   0          0
X-RITE INC COM     COMMON
                   STOCK    983857103        3        250   SHARES                X                 1          250   0          0
XTO ENERGY INC     COMMON
                   STOCK    98385X106     3168      72096   SHARES                X                 3        72096   0          0
XTO ENERGY INC     COMMON
  COM              STOCK    98385X106     2388      54342   SHARES                X                 1        54342   0          0
XTO ENERGY INC     COMMON
  COM              STOCK    98385X106      135       3083   SHARES                         X        1         3083   0          0
YAHOO INC          COMMON
                   STOCK    984332106      376       9600   SHARES                X                 3         9600   0          0
YAHOO INC COM      COMMON
                   STOCK    984332106       66       1686   SHARES                X                 1         1686   0          0
YAHOO INC COM      COMMON
                   STOCK    984332106       24        600   SHARES                         X        1          500   0        100
YORK WATER         COMMON
  COMPANY          STOCK    987184108     1475      57062   SHARES                X                 1        57062   0          0
YORK WATER         COMMON
  COMPANY          STOCK    987184108     1248      48296   SHARES                         X        1        48296   0          0
YUM BRANDS INC     COMMON
                   STOCK    988498101      104       2225   SHARES                X                 3         2225   0          0
YUM! BRANDS INC    COMMON
                   STOCK    988498101      420       8954   SHARES                X                 1         8954   0          0
YUM! BRANDS INC    COMMON
                   STOCK    988498101      389       8300   SHARES                         X        1         6380   0       1920
ZEBRA
  TECHNOLOGIES     COMMON
  CORP CL A        STOCK    989207105       96       2250   SHARES                         X        1         2250   0          0
ZIMMER HLDGS INC   COMMON
  COM              STOCK    98956P102     6121      90755   SHARES                X                 1        88778   0       1977
ZIMMER HLDGS INC   COMMON
  COM              STOCK    98956P102     1254      18587   SHARES                         X        1        17172   0       1415
ZIMMER HLDGS INC   COMMON
  COM              STOCK    98956P102     8272     122656   SHARES                X                 3       118676   0       3980
ZIMMER HOLDINGS    COMMON
  INCORPORATED     STOCK    98956P102     1315      19495   SHARES         X                        2        19495   0          0
ZIONS              COMMON
  BANCORPORATION   STOCK    989701107     6889      91186   SHARES                X                 3        91186   0          0
ZIONS
  BANCORPORATION   COMMON
  COM              STOCK    989701107     4831      63933   SHARES                X                 1        62400   0       1533
ZIONS
  BANCORPORATION   COMMON
  COM              STOCK    989701107      211       2790   SHARES                         X        1         1075   0       1715
ZIONS
  BANCORPORATION   COMMON
  COM              STOCK    989701107     1240      16405   SHARES                X                 3        14248   0       2157
ZIONS
  BANCORPORATION   COMMON
  COM              STOCK    989701107      264       3500   SHARES                X                 3         3500   0          0
SUBTOTALS FOR
  DOMESTIC
  COMMON STOCKS                        3181401   77537080                                                 74578618   0    2958462
A. COMMON STOCK
FOREIGN COMMON
  STOCK/ADR'S
ABN AMRO
  HOLDINGS NV SPON COMMON
  ADR              STOCK    000937102        9        350   SHARES                         X        1          350   0          0


                                   46 of 59





                                                           SEC USE
                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7   VOTING AUTHORITY
                                                  ----------------------- ---------------------- -------- --------------------
                                                   SHARES
                    COLUMN 2            COLUMN 4     OR     SHARES   PUT
     COLUMN 1       TITLE OF COLUMN 3    VALUE    PRINCIAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT  PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------- -------- --------- ---------- -------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
ACCENTURE LTD-CL     COMMON
  A                  STOCK   G1150G111     731      25331   SHARES                X                 1      22831     0    2500
ACCENTURE LTD-CL     COMMON
  A                  STOCK   G1150G111     395      13675   SHARES                         X        1      13175     0     500
ACE LTD              COMMON
                     STOCK   G0070K103       5        100   SHARES                X                 1        100     0       0
ADVANTAGE ENERGY     COMMON
  INCOME FUND        STOCK   00762L101     356      18450   SHARES                X                 1      18450     0       0
AEGON NV ORD         COMMON
  AMER REG SHS       STOCK   007924103     220      13464   SHARES                X                 1      13464     0       0
AEGON NV ORD         COMMON
  AMER REG SHS       STOCK   007924103      15        908   SHARES                         X        1        908     0       0
AGNICO EAGLE         COMMON
  MINES LTD          STOCK   008474108       5        250   SHARES                X                 1        250     0       0
ALCAN INC            COMMON
                     STOCK   013716105      55       1350   SHARES                         X        1       1350     0       0
ALCON INC            COMMON
                     STOCK   H01301102      26        200   SHARES                X                 1        200     0       0
ALLIED IRISH BKS     COMMON
  PLC-SPON ADR       STOCK   019228402   55956    1302509   SHARES                X                 1     928612 10511  363386
ALLIED IRISH BKS     COMMON
  PLC-SPON ADR       STOCK   019228402   21723     505662   SHARES                         X        1     394900     0  110762
AMERICA MOVIL-       COMMON
  ADR SERIES A       STOCK   02364W204     174       6000   SHARES                X                 1       6000     0       0
AMERICA MOVIL SA -   COMMON
  SPONS ADR SER L    STOCK   02364W105     353      12076   SHARES                X                 1      12076     0       0
AMERICA MOVIL SA -   COMMON
  SPONS ADR SER L    STOCK   02364W105     123       4200   SHARES                         X        1       1200     0    3000
ANGLO AMERICAN       COMMON
  PLC ADR            STOCK   03485P102       8        225   SHARES                X                 1        225     0       0
ANGLO AMERICAN       COMMON
  PLC ADR            STOCK   03485P102     116       3331   SHARES                         X        1       3331     0       0
ANGLOGOLD            COMMON
  ASHANTI SPON ADR   STOCK   035128206       5        110   SHARES                X                 1        110     0       0
ARLINGTON            COMMON
  TANKERS LTD        STOCK   G04899103      65       3000   SHARES                X                 1       3000     0       0
ASTRAZENECA
  GROUP PLC          COMMON
  SPONSORED ADR      STOCK   046353108      68       1400   SHARES                X                 1       1400     0       0
ASTRAZENECA
  GROUP PLC          COMMON
  SPONSORED ADR      STOCK   046353108      24        485   SHARES                         X        1        485     0       0
AXA SPONSORED ADR    COMMON
                     STOCK   054536107       8        236   SHARES                         X        1        236     0       0
BANK OF IRELAND      COMMON
  SPONSORED ADR      STOCK   46267Q103     159       2500   SHARES                         X        1       2500     0       0
BARRICK GOLD CORP    COMMON
                     STOCK   067901108       6        200   SHARES                X                 1        200     0       0
BARRICK GOLD CORP    COMMON
                     STOCK   067901108      78       2800   SHARES                         X        1       2800     0       0
BAYER AG             COMMON
  SPONSORED ADR      STOCK   072730302      42       1000   SHARES                         X        1       1000     0       0
BHP BILLITON LTD     COMMON
  SPONSORED ADR      STOCK   088606108      48       1450   SHARES                X                 1       1450     0       0
BHP BILLITON LTD     COMMON
  SPONSORED ADR      STOCK   088606108     101       3032   SHARES                         X        1       2000     0    1032
BIOTECH HOLDRS       COMMON
  TRUST              STOCK   09067D201      32        160   SHARES                X                 1        160     0       0
BIOTECH HOLDRS       COMMON
  TRUST              STOCK   09067D201      40        200   SHARES                         X        1        200     0       0
BP PLC SPONSORED     COMMON
  ADR                STOCK   055622104   18699     291168   SHARES                X                 1     290184     0     984
BP PLC SPONSORED     COMMON
  ADR                STOCK   055622104   15062     234544   SHARES                         X        1     211962     0   22582
BP PLC SPONSORED     COMMON
  ADR                STOCK   055622104     199       3100   SHARES                X                 3        984     0    2116
BP PLC SPONSORED     COMMON
  ADR                STOCK   055622104      29        444   SHARES                         X        3        444     0       0
BT GROUP PLC-SPON    COMMON
  ADR                STOCK   05577E101      10        250   SHARES                         X        1        250     0       0
CADBURY
  SCHWEPPES PLC      COMMON
  SPONS ADR          STOCK   127209302       4        100   SHARES                         X        1        100     0       0
CAMECO               COMMON
  CORPORATION        STOCK   13321L108      24        375   SHARES                X                 1        375     0       0
CANADIAN
  NATIONAL
  RAILWAY            COMMON
  COMPANY            STOCK   136375102     114       1425   SHARES                X                 1       1425     0       0
CANON INC SPONS      COMMON
  ADR                STOCK   138006309      12        200   SHARES                         X        1        200     0       0
CARDIOME PHARMA      COMMON
  CORP               STOCK   14159U202      64       6300   SHARES                         X        1       6300     0       0
CELESTICA INC COM    COMMON
                     STOCK   15101Q108       5        505   SHARES                X                 3        505     0       0
CEMEX S A SPONS      COMMON
  ADR PART CER       STOCK   151290889       6        100   SHARES                X                 1        100     0       0
CHICAGO BRIDGE &     COMMON
  IRON CO N V COM    STOCK   167250109      49       1940   SHARES                X                 1       1940     0       0
CHICAGO BRIDGE &     COMMON
  IRON CO N V COM    STOCK   167250109      56       2225   SHARES                         X        1        225     0    2000
CHINA MOBILE HK      COMMON
  LTD SPON ADR #451  STOCK   16941M109       7        300   SHARES                         X        1        300     0       0
CHINA YUCHAI
  INTERNATIONAL      COMMON
  LIMITED            STOCK   G21082105       2        250   SHARES                X                 1        250     0       0
CNOOC LTD -ADR       COMMON
                     STOCK   126132109      20        300   SHARES                         X        1        300     0       0
COOPER INDUSTRIES    COMMON
  LTD CL A           STOCK   G24182100     217       2974   SHARES                X                 1       2974     0       0
COOPER INDUSTRIES    COMMON
  LTD CL A           STOCK   G24182100     177       2420   SHARES                         X        1       2420     0       0
DAIMLER CHRYSLER     COMMON
  AG                 STOCK   D1668R123      33        637   SHARES                X                 1        637     0       0
DAIMLER CHRYSLER     COMMON
  AG                 STOCK   D1668R123      73       1431   SHARES                         X        1        581     0     850
DEUTSCHE TELEKOM
  AG SPONSORED       COMMON
  ADR                STOCK   251566105       6        376   SHARES                         X        1        376     0       0
DIAGEO PLC           COMMON
  SPONSORED ADR      STOCK   25243Q205     198       3395   SHARES                X                 1       3395     0       0
DIAGEO PLC           COMMON
  SPONSORED ADR      STOCK   25243Q205      29        500   SHARES                X                 3        500     0       0
DR REDDYS LABS LTD   COMMON
  ADR                STOCK   256135203      22       1000   SHARES                X                 1       1000     0       0
DRDGOLD LTD ADR      COMMON
                     STOCK   26152H103       9       6000   SHARES                X                 1       6000     0       0


                                   47 of 59





                                                            SEC USE
                                                                                   COLUMN 6                      COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                   ------------------------ ---------------------- -------- -------------------
                                                    SHARES
                     COLUMN 2            COLUMN 4     OR      SHARES   PUT
      COLUMN 1       TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
   NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
-------------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
DUSA
  PHARMACEUTICALS     COMMON
  INCORPORATED        STOCK   266898105      22       2000    SHARES                         X        1       2000   0       0
ELAN CORP PLC         COMMON
  SPONS ADR           STOCK   284131208       4        300    SHARES                X                 1        300   0       0
ENCANA CORP           COMMON
                      STOCK   292505104      44        980    SHARES                X                 1        980   0       0
ENCANA CORP           COMMON
                      STOCK   292505104      72       1600    SHARES                         X        1       1600   0       0
ENDESA S A            COMMON
  SPONSORED ADR       STOCK   29258N107     106       4068    SHARES                X                 1       4068   0       0
ENDESA S A            COMMON
  SPONSORED ADR       STOCK   29258N107      21        800    SHARES                         X        1        800   0       0
ENERPLUS              COMMON
  RESOURCES FUND      STOCK   29274D604       5        100    SHARES                X                 1        100   0       0
ENERPLUS              COMMON
  RESOURCES FUND      STOCK   29274D604      72       1500    SHARES                         X        1       1500   0       0
EVEREST RE GROUP      COMMON
  LTD COM             STOCK   G3223R108      10        100    SHARES                X                 1        100   0       0
FALCONBRIDGE LTD      COMMON
                      STOCK   306104100      59       2000    SHARES                X                 1       2000   0       0
FALCONBRIDGE LTD      COMMON
                      STOCK   306104100      36       1200    SHARES                         X        1       1200   0       0
FLEXTRONICS INTL      COMMON
  LTD                 STOCK   Y2573F102      20       1892    SHARES                X                 1       1892   0       0
FLEXTRONICS INTL      COMMON
  LTD                 STOCK   Y2573F102      36       3488    SHARES                         X        1       3488   0       0
FORDING CANADIAN      COMMON
  COAL TRUST          STOCK   345425102    4944     143025    SHARES                X                 1     139896   0    3129
FORDING CANADIAN      COMMON
  COAL TRUST          STOCK   345425102    1306      37789    SHARES                         X        1      29989   0    7800
FORDING CANADIAN      COMMON
  COAL TRUST          STOCK   345425102     437      12632    SHARES                X                 3      10697   0    1935
FOSTER WHEELER        COMMON
  LTD                 STOCK   G36535139     158       4300    SHARES                X                 1       4300   0       0
FRONTLINE LTD         COMMON
                      STOCK   G3682E127      34        900    SHARES                X                 1        900   0       0
GALLAHER GROUP        COMMON
  PLC SPON ADR        STOCK   363595109     187       3105    SHARES                X                 1       3105   0       0
GALLAHER GROUP        COMMON
  PLC SPON ADR        STOCK   363595109     140       2322    SHARES                         X        1       2214   0     108
GARMIN LIMITED        COMMON
  ORD                 STOCK   G37260109       8        116    SHARES                X                 1        116   0       0
GLAXOSMITHKLINE       COMMON
  PLC ADR             STOCK   37733W105     877      17367    SHARES                X                 1      17367   0       0
GLAXOSMITHKLINE       COMMON
  PLC ADR             STOCK   37733W105    1677      33216    SHARES                         X        1      26061   0    7155
GOLD FIELDS           COMMON
  LIMITED ADR         STOCK   38059T106       4        250    SHARES                X                 1        250   0       0
GOLDCORP INC          COMMON
                      STOCK   380956409      22       1000    SHARES                X                 1       1000   0       0
GOLDEN STAR           COMMON
  RESOURCES LTD       STOCK   38119T104      11       4000    SHARES                X                 1       4000   0       0
GROUPE DANONE         COMMON
  SPONS ADR           STOCK   399449107      21       1000    SHARES                         X        1       1000   0       0
GRUPO TELEVISA SA     COMMON
  SPONS ADR           STOCK   40049J206       8        100    SHARES                         X        1        100   0       0
HARMONY GOLD          COMMON
  MINING SPON ADR     STOCK   413216300      32       2425    SHARES                X                 1       2425   0       0
HELLENIC
  TELECOMMUNICATIONS  COMMON
  ORG ADR             STOCK   423325307       1         50    SHARES                X                 1         50   0       0
HERBALIFE LTD         COMMON
                      STOCK   G4412G101      23        700    SHARES                X                 1        700   0       0
HSBC HOLDINGS PLC     COMMON
  SPON ADR            STOCK   404280406     108       1336    SHARES                X                 1       1336   0       0
HSBC HOLDINGS PLC     COMMON
  SPON ADR            STOCK   404280406      98       1220    SHARES                         X        1       1220   0       0
HUANENG POWER         COMMON
  INTL-SPONS ADR      STOCK   443304100      69       2620    SHARES                         X        1       2620   0       0
ICICI BANK LIMITED    COMMON
  SPONSORED ADR       STOCK   45104G104       9        300    SHARES                X                 1        300   0       0
IMPERIAL OIL LTD      COMMON
                      STOCK   453038408       5         49    SHARES                X                 1         49   0       0
INFOSYS
  TECHNOLOGIES        COMMON
  LTDSPON ADR         STOCK   456788108      16        200    SHARES                X                 1        200   0       0
ING GROEP N V         COMMON
  SPONSORED ADR       STOCK   456837103      19        550    SHARES                         X        1        550   0       0
INGERSOLL-RAND        COMMON
  COMPANY LTD-A       STOCK   G4776G101     244       6044    SHARES                X                 1       6044   0       0
INGERSOLL-RAND        COMMON
  COMPANY LTD-A       STOCK   G4776G101     428      10600    SHARES                         X        1      10600   0       0
KINROSS GOLD          COMMON
  CORPORATION         STOCK   496902404      18       1969    SHARES                X                 1       1969   0       0
KNIGHTSBRIDGE         COMMON
  TANKERS LTD         STOCK   G5299G106       2        100    SHARES                X                 1        100   0       0
KONINKLIJKE PHILIPS   COMMON
  ELEC N V NY SHR     STOCK   500472303      20        650    SHARES                X                 1        650   0       0
KONINKLIJKE PHILIPS   COMMON
  ELEC N V NY SHR     STOCK   500472303      16        500    SHARES                         X        1        500   0       0
LLOYDS TSB GROUP      COMMON
  PLC ADR             STOCK   539439109       3        100    SHARES                         X        1        100   0       0
MAGNA INTL INC CL     COMMON
  A                   STOCK   559222401      43        600    SHARES                X                 1        600   0       0
MAGNA INTL INC CL     COMMON
  A                   STOCK   559222401      11        150    SHARES                         X        1        150   0       0
MANULIFE              COMMON
  FINANCIAL CORP      STOCK   56501R106     967      16441    SHARES                X                 1      16441   0       0
MANULIFE              COMMON
  FINANCIAL CORP      STOCK   56501R106      29        493    SHARES                         X        1        493   0       0
MARVEL
  TECHNOLOGY          COMMON
  GROUP LTD           STOCK   G5876H105       2         30    SHARES                X                 1         30   0       0
MAX RE CAPITAL        COMMON
  LIMITED             STOCK   G6052F103       4        165    SHARES                X                 1        165   0       0
MI DEVELOPMENTS       COMMON
  INC                 STOCK   55304X104      21        600    SHARES                         X        1        600   0       0
NABORS INDUSTRIES     COMMON
  LTD                 STOCK   G6359F103    8645     114126    SHARES                X                 1     112386   0    1740
NABORS INDUSTRIES     COMMON
  LTD                 STOCK   G6359F103    1342      17710    SHARES                         X        1      17060   0     650
NABORS INDUSTRIES     COMMON
  LTD                 STOCK   G6359F103    1224      16156    SHARES                X                 3      14276   0    1880


                                   48 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
                                                 ------------------------ ---------------------- -------- -------------------
                                                  SHARES
                   COLUMN 2            COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
------------------ -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
NAM TAI
  ELECTRONICS       COMMON
  INCORPORATED      STOCK   629865205      20        900    SHARES                X                 1        900   0       0
NAM TAI
  ELECTRONICS       COMMON
  INCORPORATED      STOCK   629865205      11        500    SHARES                         X        1          0   0     500
NATIONAL            COMMON
  AUSTRALIA BK LTD  STOCK   632525408      59        500    SHARES                         X        1        500   0       0
NISSAN MTR LTD      COMMON
  SPONSORED ADR     STOCK   654744408      22       1094    SHARES                X                 1       1094   0       0
NOBLE               COMMON
  CORPORATION       STOCK   G65422100      78       1100    SHARES                X                 1       1100   0       0
NOKIA CORP          COMMON
  SPONSORED ADR     STOCK   654902204    1011      55270    SHARES                X                 1      55270   0       0
NOKIA CORP          COMMON
  SPONSORED ADR     STOCK   654902204     314      17161    SHARES                         X        1      16361   0     800
NORTEL NETWORKS     COMMON
  CORP              STOCK   656568102      14       4475    SHARES                X                 1       4475   0       0
NORTEL NETWORKS     COMMON
  CORP              STOCK   656568102       2        789    SHARES                         X        1        789   0       0
NOVARTIS AG ADR     COMMON
                    STOCK   66987V109    5246      99959    SHARES                X                 1      96998   0    2961
NOVARTIS AG ADR     COMMON
                    STOCK   66987V109     497       9473    SHARES                         X        1       6853   0    2620
NOVARTIS AG ADR     COMMON
                    STOCK   66987V109    1368      26063    SHARES                X                 3      22197   0    3866
NOVELIS INC         COMMON
                    STOCK   67000X106       6        270    SHARES                         X        1        270   0       0
ON TRACK            COMMON
  INNOVATIONS LTD   STOCK   M8791A109      74       5400    SHARES                X                 1       5400   0       0
PARTNERRE LTD       COMMON
                    STOCK   G6852T105      61        925    SHARES                         X        1        925   0       0
PETRO-CANADA        COMMON
                    STOCK   71644E102      64       1600    SHARES                         X        1       1600   0       0
PETROFUND ENERGY    COMMON
  TRUST             STOCK   71648W108      28       1600    SHARES                         X        1       1600   0       0
PETROLEO
  BRASILEIRO SA     COMMON
  ADR               STOCK   71654V101      13        200    SHARES                X                 1        200   0       0
PLACER DOME INC     COMMON
                    STOCK   725906101      28       1212    SHARES                         X        1       1212   0       0
PRIMEWEST ENERGY    COMMON
  TRUST             STOCK   741930309      19        600    SHARES                         X        1        600   0       0
PROVIDENT ENERGY    COMMON
  TRUST UNITS       STOCK   74386K104      43       4000    SHARES                X                 1       4000   0       0
PROVIDENT ENERGY    COMMON
  TRUST UNITS       STOCK   74386K104      18       1700    SHARES                         X        1       1700   0       0
RADA ELECTRONIC     COMMON
  INDUSTRIES LTD    STOCK   M81863108       1        600    SHARES                X                 1        600   0       0
RADVISION LTD       COMMON
                    STOCK   M81869105      22       1300    SHARES                X                 1       1300   0       0
REPSOL YPF SA SPON  COMMON
  ADR               STOCK   76026T205      50       1700    SHARES                X                 1       1700   0       0
REPSOL YPF SA SPON  COMMON
  ADR               STOCK   76026T205      18        600    SHARES                         X        1        600   0       0
RESEARCH IN         COMMON
  MOTION LIMITED    STOCK   760975102       7        100    SHARES                X                 1        100   0       0
REUTERS GROUP PLC   COMMON
  SPONS ADR         STOCK   76132M102      32        719    SHARES                X                 1        719   0       0
REXAM PLC           COMMON
                    STOCK   761655406      17        400    SHARES                X                 1        400   0       0
ROYAL BK CANADA     COMMON
                    STOCK   780087102      23        300    SHARES                         X        1        300   0       0
ROYAL CARIBBEAN     COMMON
  CRUISES LTD       STOCK   V7780T103     319       7085    SHARES                X                 1       7085   0       0
ROYAL DUTCH SHELL   COMMON
  PLC-ADR A         STOCK   780259206    4023      65420    SHARES                X                 1      65020   0     400
ROYAL DUTCH SHELL   COMMON
  PLC-ADR A         STOCK   780259206    3468      56395    SHARES                         X        1      52395   0    4000
ROYAL DUTCH SHELL   COMMON
  PLC-ADR A         STOCK   780259206     344       5600    SHARES                X                 3       5000   0     600
ROYAL DUTCH SHELL   COMMON
  PLC-ADR B         STOCK   780259107      11        172    SHARES                X                 1        172   0       0
ROYAL DUTCH SHELL   COMMON
  PLC-ADR B         STOCK   780259107      33        517    SHARES                         X        1        517   0       0
SANOFI-AVENTIS ADR  COMMON
                    STOCK   80105N105      66       1500    SHARES                X                 1       1500   0       0
SANOFI-AVENTIS ADR  COMMON
                    STOCK   80105N105      55       1250    SHARES                         X        1       1250   0       0
SAP AG SPONS ADR    COMMON
                    STOCK   803054204      11        250    SHARES                X                 1        250   0       0
SAP AG SPONS ADR    COMMON
                    STOCK   803054204      54       1200    SHARES                         X        1       1200   0       0
SASOL LTD           COMMON
  SPONS-ADR         STOCK   803866300      36       1000    SHARES                         X        1       1000   0       0
SCHLUMBERGER LTD    COMMON
                    STOCK   806857108   10284     105861    SHARES                X                 1     105761   0     100
SCHLUMBERGER LTD    COMMON
                    STOCK   806857108    4388      45168    SHARES                         X        1      42318   0    2850
SCHLUMBERGER LTD    COMMON
                    STOCK   806857108     530       5455    SHARES                X                 3       1455   0    4000
SCHLUMBERGER LTD    COMMON
                    STOCK   806857108      27        280    SHARES                         X        3        280   0       0
SCOTTISH POWER PLC  COMMON
  ADR               STOCK   81013T705      50       1343    SHARES                X                 1       1343   0       0
SCOTTISH POWER PLC  COMMON
  ADR               STOCK   81013T705      28        756    SHARES                         X        1        756   0       0
SEASPAN CORP        COMMON
                    STOCK   Y75638109       5        250    SHARES                X                 1        250   0       0
SONY CORP--         COMMON
  SPONSORED ADR     STOCK   835699307      49       1200    SHARES                         X        1       1200   0       0
STATOIL ASA         COMMON
  SPONSORED ADR     STOCK   85771P102       5        200    SHARES                X                 1        200   0       0
STEINER LEISURE     COMMON
  LIMITED ORD       STOCK   P8744Y102      21        600    SHARES                X                 1        600   0       0
STMICROELECTRONICS  COMMON
  N V               STOCK   861012102      14        800    SHARES                X                 1        800   0       0
STOLT OFFSHORE S A  COMMON
  SPONSORED ADR     STOCK   861567105      93       8000    SHARES                X                 1       8000   0       0
STORA ENSO OYJ      COMMON
  SPONSORED ADR     STOCK   86210M106      20       1500    SHARES                         X        1       1500   0       0
SUN LIFE FINL INC   COMMON
                    STOCK   866796105     139       3454    SHARES                X                 1       3454   0       0


                                   49 of 59





                                                           SEC USE
                                                                                 COLUMN 6                      COLUMN 8
                                                          COLUMN 5         INVESTMENT AUTHORITY COLUMN 7   VOTING AUTHORITY
                                                  ------------------------ -------------------- -------- ---------------------
                                                   SHARES
                    COLUMN 2            COLUMN 4     OR      SHARES   PUT                SHARED
     COLUMN 1       TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED -   -     OTHER
  NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED  OTHER  MANAGERS  SOLE   SHARED OTHER
------------------- -------- --------- ---------- --------- --------- ---- ---- -------- ------ -------- ------- ------ ------
                                                                                 
SUNCOR ENERGY INC    COMMON
                     STOCK   867229106       35        550   SHARES                X               1         550     0       0
SYNERON MEDICAL      COMMON
  LTD                STOCK   M87245102       68       2150   SHARES                X               1        2150     0       0
TAIWAN
  SEMICONDUCTOR      COMMON
  SPON ADR           STOCK   874039100      181      18280   SHARES                X               1       17263     0    1017
TAIWAN
  SEMICONDUCTOR      COMMON
  SPON ADR           STOCK   874039100       53       5384   SHARES                        X       1        4188     0    1196
TD BANKNORTH INC     COMMON
                     STOCK   87235A101       13        441   SHARES                X               1         441     0       0
TD BANKNORTH INC     COMMON
                     STOCK   87235A101      100       3440   SHARES                        X       1        3440     0       0
TDC A/S SPONSORED    COMMON
  ADR                STOCK   87236N102        3        100   SHARES                        X       1         100     0       0
TELECOM NEW
  ZEALAND SPON       COMMON
  ADR                STOCK   879278208       65       2000   SHARES                        X       1        2000     0       0
TELECOMUNICACOES
  DE SAO PAULO SA    COMMON
  ADR                STOCK   87929A102        2        100   SHARES                        X       1         100     0       0
TELEFONAKTIEBOLAGET  COMMON
  LM ERICSSON ADR    STOCK   294821608       15        430   SHARES                X               1         430     0       0
TELEFONAKTIEBOLAGET  COMMON
  LM ERICSSON ADR    STOCK   294821608       50       1460   SHARES                        X       1        1460     0       0
TELEFONICA S A       COMMON
  SPONSORED ADR      STOCK   879382208       94       2080   SHARES                X               1        2080     0       0
TELEFONICA S A       COMMON
  SPONSORED ADR      STOCK   879382208       33        741   SHARES                        X       1         741     0       0
TELEFONOS DE         COMMON
  MEXICO SP ADR A    STOCK   879403707      107       4396   SHARES                X               1        4396     0       0
TELEFONOS DE         COMMON
  MEXICO SP ADR L    STOCK   879403780      186       7530   SHARES                X               1        7530     0       0
TELEFONOS DE         COMMON
  MEXICO SP ADR L    STOCK   879403780       74       3000   SHARES                        X       1        1000     0    2000
TELSTRA CORP-ADR     COMMON
                     STOCK   87969N204        1        100   SHARES                        X       1         100     0       0
TEVA
  PHARMACEUTICAL     COMMON
  SPONS ADR          STOCK   881624209      602      14000   SHARES                X               1       14000     0       0
TEVA
  PHARMACEUTICAL     COMMON
  SPONS ADR          STOCK   881624209      153       3565   SHARES                        X       1        3430     0     135
TOMMY HILFIGER       COMMON
  CORP               STOCK   G8915Z102       13        800   SHARES                X               1         800     0       0
TORONTO-DOMINION     COMMON
  BANK               STOCK   891160509       11        211   SHARES                X               1         211     0       0
TORONTO-DOMINION     COMMON
  BANK               STOCK   891160509       74       1410   SHARES                        X       1        1410     0       0
TOTAL SA             COMMON
  SPONSORED ADR      STOCK   89151E109        3         21   SHARES                        X       1          21     0       0
TOYOTA MOTOR         COMMON
  CORP SPON ADR      STOCK   892331307       16        150   SHARES                X               1         150     0       0
TOYOTA MOTOR         COMMON
  CORP SPON ADR      STOCK   892331307       31        300   SHARES                        X       1         300     0       0
TRANSCANADA CORP     COMMON
                     STOCK   89353D107        9        300   SHARES                        X       1         300     0       0
TSAKOS ENERGY        COMMON
  NAVIAGATION LTD    STOCK   G9108L108        5        125   SHARES                X               1         125     0       0
TYCO
  INTERNATIONAL      COMMON
  LTD                STOCK   902124106      670      23219   SHARES                X               1       15001     0    8218
TYCO
  INTERNATIONAL      COMMON
  LTD                STOCK   902124106     4241     146947   SHARES                        X       1      143033     0    3914
TYCO
  INTERNATIONAL      COMMON
  LTD                STOCK   902124106       29       1000   SHARES                X               3         600     0     400
UBS AG               COMMON
                     STOCK   H8920M855      168       1761   SHARES                X               1        1761     0       0
UNILEVER NV NY       COMMON
  SHARES             STOCK   904784709      466       6785   SHARES                X               1        6785     0       0
UNILEVER NV NY       COMMON
  SHARES             STOCK   904784709      303       4417   SHARES                        X       1        4417     0       0
UNILEVER PLC         COMMON
  SPONSORED ADR      STOCK   904767704        4         89   SHARES                X               1          89     0       0
UNILEVER PLC         COMMON
  SPONSORED ADR      STOCK   904767704       40       1000   SHARES                        X       1        1000     0       0
VODAFONE GROUP
  PLC SPONSORED      COMMON
  ADR                STOCK   92857W100      943      43934   SHARES                X               1       43934     0       0
VODAFONE GROUP
  PLC SPONSORED      COMMON
  ADR                STOCK   92857W100      692      32215   SHARES                        X       1       31030     0    1185
VODAFONE GROUP
  PLC SPONSORED      COMMON
  ADR                STOCK   92857W100       64       3000   SHARES                X               3           0     0    3000
VOLVO AB SPONS       COMMON
  ADR B              STOCK   928856400       28        600   SHARES                        X       1           0     0     600
WEATHERFORD INTL     COMMON
  LTD BERMUDA        STOCK   G95089101     2002      55314   SHARES                X               1       55054     0     260
WEATHERFORD INTL     COMMON
  LTD BERMUDA        STOCK   G95089101       98       2700   SHARES                        X       1        2700     0       0
WEATHERFORD INTL     COMMON
  LTD BERMUDA        STOCK   G95089101      364      10068   SHARES                X               3       10068     0       0
WHITE MOUNTAINS
  INSURANCE GROUP    COMMON
  LTD                STOCK   G9618E107       56        100   SHARES                X               1         100     0       0
XL CAPITAL LTD CL A  COMMON
                     STOCK   G98255105       31        460   SHARES                        X       1         460     0       0
SUBTOTALS FOR
  FOREIGN COMMON
  STOCK/ADR'S                            185247    3926386                                               3337144 10511  578731

A. COMMON STOCK

RIGHTS AND
  WARRANTS

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


                                   50 of 59





                                                        SEC USE
                                                                             COLUMN 6                     COLUMN 8
                                                     COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
                                             ------------------------ ---------------------- -------- -----------------
                                              SHARES
               COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1    TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER  CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
-------------- -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                           
SUBTOTALS
  FOR RIGHTS
  AND
  WARRANTS                             0           1                                                     1     0     0

A. COMMON
  STOCK

REAL ESTATE
  INVESTMENT
  TRUSTS
AMERICAN
  FINANCIAL
  REALTY        COMMON
  TRUST         STOCK   02607P305     48        4000    SHARES                X                 1     N.A.  N.A.  N.A.
ANNALY MTGE
  MANAGEMENT    COMMON
  INC (REIT)    STOCK   035710409      5         500    SHARES                         X        1     N.A.  N.A.  N.A.
ANTHRACITE
  CAPITAL INC   COMMON
  COM           STOCK   037023108     21        2000    SHARES                X                 1     N.A.  N.A.  N.A.
APARTMENT
  INVT &        COMMON
  MGMT CL A     STOCK   03748R101      8         200    SHARES                         X        1     N.A.  N.A.  N.A.
ARCHSTONE-
  SMITH TRUST   COMMON
  (REIT)        STOCK   039583109    226        5385    SHARES                X                 1     N.A.  N.A.  N.A.
ARCHSTONE-
  SMITH TRUST   COMMON
  (REIT)        STOCK   039583109    166        3957    SHARES                         X        1     N.A.  N.A.  N.A.
AVALONBAY
  COMMUNITIES   COMMON
  INC           STOCK   053484101     90        1005    SHARES                X                 1     N.A.  N.A.  N.A.
BIMINI
  MORTGAGE
  INVESTMENT    COMMON
  INC           STOCK   09031E400      1         100    SHARES                X                 1     N.A.  N.A.  N.A.
BOSTON
  PROPERTIES    COMMON
  INC (REIT)    STOCK   101121101    670        9044    SHARES                X                 1     N.A.  N.A.  N.A.
BOSTON
  PROPERTIES    COMMON
  INC (REIT)    STOCK   101121101    289        3900    SHARES                         X        1     N.A.  N.A.  N.A.
BRANDYWINE
  REALTY        COMMON
  TRUST (REIT)  STOCK   105368203     59        2100    SHARES                X                 1     N.A.  N.A.  N.A.
CAMDEN
  PROPERTY      COMMON
  TRUST (REIT)  STOCK   133131102     58        1000    SHARES                X                 1     N.A.  N.A.  N.A.
COMMERCIAL
  NET LEASE
  REALTY        COMMON
  (REIT)        STOCK   202218103     14         700    SHARES                         X        1     N.A.  N.A.  N.A.
CORP OFFICE
  PROPERTIES    COMMON
  TR (REIT)     STOCK   22002T108     36        1000    SHARES                X                 1     N.A.  N.A.  N.A.
CORP OFFICE
  PROPERTIES    COMMON
  TR (REIT)     STOCK   22002T108     18         500    SHARES                         X        1     N.A.  N.A.  N.A.
CROSS
  TIMBERS
  ROYALTY       COMMON
  TRUST         STOCK   22757R109      0           1    SHARES                X                 1     N.A.  N.A.  N.A.
DEVELOPERS
  DVRSFD
  REALTY        COMMON
  CORP (REIT)   STOCK   251591103     51        1091    SHARES                X                 1     N.A.  N.A.  N.A.
DEVELOPERS
  DVRSFD
  REALTY        COMMON
  CORP (REIT)   STOCK   251591103     33         700    SHARES                         X        1     N.A.  N.A.  N.A.
DUKE REALTY     COMMON
  CORP          STOCK   264411505    123        3680    SHARES                X                 1     N.A.  N.A.  N.A.
DUKE REALTY     COMMON
  CORP          STOCK   264411505    114        3400    SHARES                         X        1     N.A.  N.A.  N.A.
EQUITY OFFICE
  PROPERTIES    COMMON
  TR (REIT)     STOCK   294741103    666       21972    SHARES                X                 1     N.A.  N.A.  N.A.
EQUITY OFFICE
  PROPERTIES    COMMON
  TR (REIT)     STOCK   294741103    799       26350    SHARES                         X        1     N.A.  N.A.  N.A.
EQUITY ONE      COMMON
  INCORPORATED  STOCK   294752100     37        1600    SHARES                X                 1     N.A.  N.A.  N.A.
EQUITY
  RESIDENTIAL   COMMON
  (REIT)        STOCK   29476L107    162        4150    SHARES                X                 1     N.A.  N.A.  N.A.
EQUITY
  RESIDENTIAL   COMMON
  (REIT)        STOCK   29476L107     89        2278    SHARES                         X        1     N.A.  N.A.  N.A.
FEDERAL
  REALTY INV    COMMON
  TR (REIT)     STOCK   313747206     85        1400    SHARES                X                 1     N.A.  N.A.  N.A.
FIRST
  INDUSTRIAL
  REALTY TR     COMMON
  (REIT)        STOCK   32054K103     11         275    SHARES                X                 1     N.A.  N.A.  N.A.
GENERAL
  GROWTH        COMMON
  PPTYS INC     STOCK   370021107    188        4000    SHARES                X                 1     N.A.  N.A.  N.A.
GENERAL
  GROWTH        COMMON
  PPTYS INC     STOCK   370021107     23         500    SHARES                         X        1     N.A.  N.A.  N.A.
GLADSTONE
  COMMERCIAL    COMMON
  CORP          STOCK   376536108     66        4000    SHARES                X                 1     N.A.  N.A.  N.A.
HEALTH CARE
  PROPERTY      COMMON
  (REIT)        STOCK   421915109     63        2458    SHARES                X                 1     N.A.  N.A.  N.A.
HEALTH CARE     COMMON
  REIT INC      STOCK   42217K106     34        1000    SHARES                         X        1     N.A.  N.A.  N.A.
HEALTHCARE
  REALTY
  TRUST INC     COMMON
  (REIT)        STOCK   421946104     68        2030    SHARES                X                 1     N.A.  N.A.  N.A.
HEALTHCARE
  REALTY
  TRUST INC     COMMON
  (REIT)        STOCK   421946104      7         200    SHARES                         X        1     N.A.  N.A.  N.A.
HERSHA
  HOSPITALITY   COMMON
  TRUST         STOCK   427825104     16        1800    SHARES                X                 1     N.A.  N.A.  N.A.
HIGHWOODS
  PROPERTIES    COMMON
  (REIT)        STOCK   431284108     14         500    SHARES                         X        1     N.A.  N.A.  N.A.
HOME
  PROPERTIES    COMMON
  INC (REIT)    STOCK   437306103    155        3800    SHARES                X                 1     N.A.  N.A.  N.A.
HOME
  PROPERTIES    COMMON
  INC (REIT)    STOCK   437306103    387        9488    SHARES                         X        1     N.A.  N.A.  N.A.
HOSPITALITY
  PROPERTIES    COMMON
  TRUST (REIT)  STOCK   44106M102      8         200    SHARES                X                 1     N.A.  N.A.  N.A.
HOSPITALITY
  PROPERTIES    COMMON
  TRUST (REIT)  STOCK   44106M102     12         300    SHARES                         X        1     N.A.  N.A.  N.A.
HOST
  MARRIOTT
  CORP NEW      COMMON
  COM           STOCK   44107P104      2         117    SHARES                X                 1     N.A.  N.A.  N.A.
HRPT
  PROPERTIES    COMMON
  TRUST (REIT)  STOCK   40426W101     12        1200    SHARES                         X        1     N.A.  N.A.  N.A.
IMPAC
  MORTGAGE
  HOLDINGS      COMMON
  INC(REIT)     STOCK   45254P102      2         200    SHARES                         X        1     N.A.  N.A.  N.A.
ISTAR FINL INC  COMMON
  COM           STOCK   45031U101     53        1500    SHARES                X                 1     N.A.  N.A.  N.A.
KIMCO REALTY    COMMON
  CORP (REIT)   STOCK   49446R109     20         622    SHARES                         X        1     N.A.  N.A.  N.A.
LASALLE
  HOTEL PROP    COMMON
  REIT          STOCK   517942108      4         100    SHARES                X                 1     N.A.  N.A.  N.A.
LEXINGTON
  CORP
  PROPERTIES    COMMON
  TR (REIT)     STOCK   529043101     27        1257    SHARES                         X        1     N.A.  N.A.  N.A.


                                   51 of 59





                                                           SEC USE
                                                                              COLUMN 6                        COLUMN 8
                                                      COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7    VOTING AUTHORITY
                                              ------------------------ ---------------------- -------- -----------------------
                                               SHARES
                COLUMN 2            COLUMN 4     OR      SHARES   PUT
   COLUMN 1     TITLE OF COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED  OTHER
--------------  -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- -------- ------ -------
                                                                                
LIBERTY
  PROPERTY       COMMON
  TRUST (REIT)   STOCK   531172104        4        100   SHARES                         X        1         N.A.  N.A.     N.A.
MACK CALI        COMMON
  RLTY CORP      STOCK   554489104        9        200   SHARES                X                 1         N.A.  N.A.     N.A.
MILLS CORP       COMMON
  COM            STOCK   601148109      553      13175   SHARES                X                 1         N.A.  N.A.     N.A.
MILLS CORP       COMMON
  COM            STOCK   601148109      245       5850   SHARES                         X        1         N.A.  N.A.     N.A.
MORTGAGEIT
  HOLDINGS       COMMON
  INC            STOCK   61915Q108       68       5000   SHARES                         X        1         N.A.  N.A.     N.A.
NATIONWIDE
  HEALTH
  PROPERTIES     COMMON
  (REIT)         STOCK   638620104       32       1500   SHARES                         X        1         N.A.  N.A.     N.A.
NEW PLAN
  EXCEL
  REALTY TR      COMMON
  (REIT)         STOCK   648053106       39       1685   SHARES                X                 1         N.A.  N.A.     N.A.
NEW PLAN
  EXCEL
  REALTY TR      COMMON
  (REIT)         STOCK   648053106      102       4400   SHARES                         X        1         N.A.  N.A.     N.A.
NOVASTAR
  FINANCIAL      COMMON
  INCORPORATED   STOCK   669947400       70       2500   SHARES                         X        1         N.A.  N.A.     N.A.
PENN ESTATE      COMMON
  INV TR (REIT)  STOCK   709102107       57       1516   SHARES                X                 1         N.A.  N.A.     N.A.
PENN ESTATE      COMMON
  INV TR (REIT)  STOCK   709102107       11        300   SHARES                         X        1         N.A.  N.A.     N.A.
PLUM CREEK
  TIMBER CO      COMMON
  INC            STOCK   729251108       30        825   SHARES                X                 1         N.A.  N.A.     N.A.
PLUM CREEK
  TIMBER CO      COMMON
  INC            STOCK   729251108       57       1575   SHARES                         X        1         N.A.  N.A.     N.A.
PROLOGIS         COMMON
  (REIT)         STOCK   743410102       43        927   SHARES                X                 1         N.A.  N.A.     N.A.
RAIT
  INVESTMENT     COMMON
  TRUST          STOCK   749227104       13        500   SHARES                         X        1         N.A.  N.A.     N.A.
RECKSON
  ASSOCS RLTY    COMMON
  CORP           STOCK   75621K106       59       1650   SHARES                X                 1         N.A.  N.A.     N.A.
REDWOOD
  TRUST          COMMON
  INC-REIT       STOCK   758075402       12        300   SHARES                         X        1         N.A.  N.A.     N.A.
SAUL CENTERS     COMMON
  INCORPORATED   STOCK   804395101       36       1000   SHARES                X                 1         N.A.  N.A.     N.A.
SENIOR
  HOUSING
  PROPERTIES     COMMON
  TR (REIT)      STOCK   81721M109        2        100   SHARES                         X        1         N.A.  N.A.     N.A.
SHURGARD
  STORAGE
  CENTERS INC    COMMON
  CL A           STOCK   82567D104       17        300   SHARES                X                 1         N.A.  N.A.     N.A.
SIMON
  PROPERTY
  GRP INC        COMMON
  (REIT)         STOCK   828806109     1669      21780   SHARES                X                 1         N.A.  N.A.     N.A.
SIMON
  PROPERTY
  GRP INC        COMMON
  (REIT)         STOCK   828806109     1397      18235   SHARES                         X        1         N.A.  N.A.     N.A.
SPIRIT FINANCE   COMMON
  CORP-REITS     STOCK   848568309       28       2500   SHARES                         X        1         N.A.  N.A.     N.A.
TANGER
  FACTORY
  OUTLET         COMMON
  CENTERS INC    STOCK   875465106        6        200   SHARES                         X        1         N.A.  N.A.     N.A.
THORNBURG
  MTG INC        COMMON
  (REIT)         STOCK   885218107      555      21190   SHARES                X                 1         N.A.  N.A.     N.A.
THORNBURG
  MTG INC        COMMON
  (REIT)         STOCK   885218107      128       4900   SHARES                         X        1         N.A.  N.A.     N.A.
TOWN &
  COUNTRY        COMMON
  TRUST COM      STOCK   892081100       17        500   SHARES                         X        1         N.A.  N.A.     N.A.
UNITED
  DOMINION
  REALTY         COMMON
  TRUST (REIT)   STOCK   910197102       21        900   SHARES                X                 1         N.A.  N.A.     N.A.
UNITED
  DOMINION
  REALTY         COMMON
  TRUST (REIT)   STOCK   910197102      214       9149   SHARES                         X        1         N.A.  N.A.     N.A.
UNITED
  DOMINION
  REALTY         COMMON
  TRUST (REIT)   STOCK   910197102       40       1700   SHARES                X                 3         N.A.  N.A.     N.A.
URSTADT
  BIDDLE
  PPTYS INC CL   COMMON
  A (REIT)       STOCK   917286205       49       3000   SHARES                         X        1         N.A.  N.A.     N.A.
VORNADO          COMMON
  RLTY TR        STOCK   929042109       83       1000   SHARES                X                 3         N.A.  N.A.     N.A.
W P CAREY &      COMMON
  CO LLC         STOCK   92930Y107      133       5241   SHARES                X                 1         N.A.  N.A.     N.A.
W P CAREY &      COMMON
  CO LLC         STOCK   92930Y107      127       5019   SHARES                         X        1         N.A.  N.A.     N.A.
WASHINGTON
  REAL ESTATE    COMMON
  INVT (REIT)    STOCK   939653101      159       5225   SHARES                X                 1         N.A.  N.A.     N.A.
WASHINGTON
  REAL ESTATE    COMMON
  INVT (REIT)    STOCK   939653101       18        600   SHARES                         X        1         N.A.  N.A.     N.A.
WEINGARTEN
  REALTY
  INVESTORS      COMMON
  (REIT)         STOCK   948741103       49       1299   SHARES                X                 1         N.A.  N.A.     N.A.
SUBTOTALS
  FOR REAL
  ESTATE
  INVESTMENT
  TRUSTS                              11192     283401                                                     N.A.  N.A.     N.A.
*SUMMARY
  PAGE FOR A.
  COMMON
  STOCK *
43 DOMESTIC
  COMMON
  STOCKS                            3181401   77537080                                                 74578618     0  2958462
44 FOREIGN
  COMMON
  STOCK/ADR'S                        185247    3926386                                                  3337144 10511   578731
46 RIGHTS AND
  WARRANTS                                0          1                                                        1     0        0
47 REAL
  ESTATE
  INVESTMENT
  TRUSTS                              11192     283401                                                     N.A.  N.A.     N.A.
*SUBTOTALS*                         3377840   81746868                                                     N.A.  N.A.     N.A.


                                   52 of 59





                                                         SEC USE
                                                                               COLUMN 6                     COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
                                               ------------------------ ---------------------- -------- -----------------
                                                SHARES
                COLUMN 2             COLUMN 4     OR      SHARES   PUT
   COLUMN 1     TITLE OF  COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                             
B. PREFERRED
  STOCK

FOREIGN
  PREFERRED
  STOCKS

ROYAL BANK
  SCOTLAND
  PFD 6.4% SER  PREFERRED
  M             STOCK     780097796      51       2000    SHARES                X                 1     N.A.  N.A.  N.A.
ROYAL BANK
  SCOTLAND
  PFD 7.875%    PREFERRED
  SER K         STOCK     780097820      10        400    SHARES                         X        1     N.A.  N.A.  N.A.
ROYAL BANK
  SCOTLAND      PREFERRED
  PLC ADR PFD E STOCK     780097705      13        500    SHARES                         X        1     N.A.  N.A.  N.A.

SUBTOTALS FOR
  FOREIGN
  PREFERRED
  STOCKS                                 74       2900                                                  N.A.  N.A.  N.A.

B. PREFERRED
  STOCK

CONVERTIBLE
  PREFERRED
  STOCKS

AES TRUST III
  6.75% CV      CONV PFD
  PREFERRED     STOCK     00808N202    1177      26500    SHARES         X                        2     N.A.  N.A.  N.A.
BAXTER INTL     CONV PFD
  INC. CONV PFD STOCK     071813406    1650      30700    SHARES         X                        2     N.A.  N.A.  N.A.
CONSTELLATION
  BRANDS 5.75%  CONV PFD
  09/01/06      STOCK     21036P306    1108      28400    SHARES         X                        2     N.A.  N.A.  N.A.
FORD MOTOR
  CAP TR II PFD PREFERRED
  CONV 6.50%    STOCK     345395206      10        350    SHARES                         X        1     N.A.  N.A.  N.A.
GLENBOROUGH
  REALTY TR
  7.75% CONV    PREFERRED
  PFD           STOCK     37803P204      19        752    SHARES                X                 1     N.A.  N.A.  N.A.
SCHERING-
  PLOUGH CV
  PFD 6.0%      PREFERRED
  09/14/07      STOCK     806605606      42        775    SHARES                         X        1     N.A.  N.A.  N.A.
TEXTRON INC
  PFD CV $1.40  PREFERRED
  SER B         STOCK     883203309      44        200    SHARES                X                 1     N.A.  N.A.  N.A.
TRUSTSTREET
  PPTYS PFD     PREFERRED
  CONV 7.72%    STOCK     898404207       2         90    SHARES                X                 1     N.A.  N.A.  N.A.
TRUSTSTREET
  PPTYS PFD     PREFERRED
  CONV 7.72%    STOCK     898404207       2         96    SHARES                X                 3     N.A.  N.A.  N.A.

SUBTOTALS FOR
  CONVERTIBLE
  PREFERRED
  STOCKS                               4054      87863                                                  N.A.  N.A.  N.A.

B. PREFERRED
  STOCK

GLOBAL EQUITY
  MUTUAL
  FUNDS

ABERDEEN
  AUSTRALIA     PREFERRED
  EQUITY FUND   STOCK     003011103      13       1000    SHARES                         X        1     N.A.  N.A.  N.A.
ING GLOBAL
  EQUITY DIV &  PREFERRED
  PREM OPPT FD  STOCK     45684E107      20       1150    SHARES                         X        1     N.A.  N.A.  N.A.
TEMPLETON
  DRAGON        PREFERRED
  FUND INC      STOCK     88018T101       2        100    SHARES                X                 1     N.A.  N.A.  N.A.

SUBTOTALS FOR
  GLOBAL
  EQUITY
  MUTUAL
  FUNDS                                  35       2250                                                  N.A.  N.A.  N.A.

B. PREFERRED
  STOCK

INTL EQUITY
  MUTUAL
  FUNDS

ASA BERMUDA     PREFERRED
  LTD           STOCK     G3156P103      55       1000    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES MSCI
  EAFE INDEX    PREFERRED
  FD            STOCK     464287465     761      12801    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES MSCI
  EAFE INDEX    PREFERRED
  FD            STOCK     464287465     357       6000    SHARES                         X        1     N.A.  N.A.  N.A.
ISHARES TR      PREFERRED
                STOCK     464287648     223       3200    SHARES                X                 3     N.A.  N.A.  N.A.
ISHARES TR      PREFERRED
                STOCK     464287655     113       1700    SHARES                X                 3     N.A.  N.A.  N.A.
NICHOLAS-
  APPLEGATE     PREFERRED
  INTL & PREM   STOCK     65370C108      13        600    SHARES                         X        1     N.A.  N.A.  N.A.

SUBTOTALS FOR
  INTL EQUITY
  MUTUAL
  FUNDS                                1522      25301                                                  N.A.  N.A.  N.A.


                                   53 of 59





                                                           SEC USE
                                                                                   COLUMN 6                     COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
                                                   ------------------------ ---------------------- -------- -----------------
                                                    SHARES
                    COLUMN 2             COLUMN 4     OR      SHARES   PUT
     COLUMN 1       TITLE OF  COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
  --------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                                 
B. PREFERRED STOCK
BALANCED MUTUAL
  FUND

APOLLO INVESTMENT   PREFERRED
  CORPORATION       STOCK     03761U106      27       1500    SHARES                X                 1     N.A.  N.A.  N.A.
JOHN HANCOCK
  PATRIOT GLOBAL    PREFERRED
  DIV FD            STOCK     41013G103      12       1000    SHARES                         X        1     N.A.  N.A.  N.A.

SUBTOTALS FOR
  BALANCED
  MUTUAL FUND                                39       2500                                                  N.A.  N.A.  N.A.

B. PREFERRED STOCK

CLOSED END EQUITY
  MUTUAL FUNDS

AIM SELECT REAL     PREFERRED
  ESTATE INCOME FD  STOCK     00888R107      39       2600    SHARES                X                 1     N.A.  N.A.  N.A.
BLACKROCK
  DIVIDEND          PREFERRED
  ACHIEVERS TRUST   STOCK     09250N107      84       6750    SHARES                X                 1     N.A.  N.A.  N.A.
BOULDER TOTAL       PREFERRED
  RETURN FUND INC   STOCK     101541100      17       1000    SHARES                X                 1     N.A.  N.A.  N.A.
BRAZIL FUND         PREFERRED
  INCORPORATED      STOCK     105759104       3         66    SHARES                X                 1     N.A.  N.A.  N.A.
CALAMOS STRATEGIC   PREFERRED
  TOT RET FD        STOCK     128125101       7        500    SHARES                         X        1     N.A.  N.A.  N.A.
COHEN & STEERS
  ADVANTAGE INC     PREFERRED
  RLTY FD           STOCK     19247W102      20       1000    SHARES                         X        1     N.A.  N.A.  N.A.
COHEN & STEERS
  QUALITY INC RLTY  PREFERRED
  FD                STOCK     19247L106      77       4028    SHARES                X                 1     N.A.  N.A.  N.A.
COHEN & STEERS      PREFERRED
  SELECT UTILITY FD STOCK     19248A109      20       1009    SHARES                X                 1     N.A.  N.A.  N.A.
CORNERSTONE
  STRATEGIC VALUE   PREFERRED
  FUND              STOCK     21924B104       1        128    SHARES                X                 1     N.A.  N.A.  N.A.
DNP SELECT INCOME   PREFERRED
  FUND INC          STOCK     23325P104      13       1210    SHARES                X                 1     N.A.  N.A.  N.A.
DNP SELECT INCOME   PREFERRED
  FUND INC          STOCK     23325P104     194      18679    SHARES                         X        1     N.A.  N.A.  N.A.
EATON VANCE
  TAX-ADVANTAGED    PREFERRED
  DVD INC           STOCK     27828G107      28       1250    SHARES                X                 1     N.A.  N.A.  N.A.
EATON VANCE
  TAX-ADVANTAGED    PREFERRED
  DVD INC           STOCK     27828G107      88       3900    SHARES                         X        1     N.A.  N.A.  N.A.
EVERGREEN INCOME    PREFERRED
  ADV FD            STOCK     30023Y105      26       2000    SHARES                X                 1     N.A.  N.A.  N.A.
FIDUCIARY/
  CLAYMORE MLP      PREFERRED
  OPPOR FD          STOCK     31647Q106       2        100    SHARES                X                 1     N.A.  N.A.  N.A.
GABELLI EQUITY      PREFERRED
  TRUST             STOCK     362397101      18       2249    SHARES                X                 1     N.A.  N.A.  N.A.
GABELLI UTILITY     PREFERRED
  TRUST             STOCK     36240A101       3        347    SHARES                X                 1     N.A.  N.A.  N.A.
HANCOCK JOHN
  TAX-ADVANTAGED    PREFERRED
  DIV FD            STOCK     41013V100       6        350    SHARES                X                 1     N.A.  N.A.  N.A.
INDIA FUND          PREFERRED
                    STOCK     454089103     107       2700    SHARES                X                 1     N.A.  N.A.  N.A.
ING PRIME RATE TR   PREFERRED
                    STOCK     44977W106      13       2000    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES COHEN &
  STEERS RLTY       PREFERRED
  INDEX FD          STOCK     464287564     120       1600    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES COHEN &
  STEERS RLTY       PREFERRED
  INDEX FD          STOCK     464287564     449       6000    SHARES                         X        1     N.A.  N.A.  N.A.
ISHARES DJ SELECT
  DIVIDEND INDEX    PREFERRED
  FD                STOCK     464287168      64       1045    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES DJ SELECT
  DIVIDEND INDEX    PREFERRED
  FD                STOCK     464287168      15        250    SHARES                         X        1     N.A.  N.A.  N.A.
ISHARES DJ US BASIC PREFERRED
  MATERIALS SEC FD  STOCK     464287838      32        625    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES DJ US TOTAL PREFERRED
  MARKET            STOCK     464287846       6        100    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES DOW JONES   PREFERRED
  US UTIL SECT      STOCK     464287697      29        385    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES MSCI
  EMERGING          PREFERRED
  MARKETS INDEX     STOCK     464287234      65        740    SHARES                         X        1     N.A.  N.A.  N.A.
ISHARES NASDAQ
  BIOTECHNOLOGY     PREFERRED
  INDX FD           STOCK     464287556      93       1200    SHARES                         X        1     N.A.  N.A.  N.A.
ISHARES RUSSELL
  1000 GROWTH       PREFERRED
  INDEX FD          STOCK     464287614     192       3766    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES RUSSELL     PREFERRED
  1000 INDEX FD     STOCK     464287622    4291      63384    SHARES                         X        1     N.A.  N.A.  N.A.
ISHARES RUSSELL
  1000 VALUE INDEX  PREFERRED
  FD                STOCK     464287598     239       3466    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES RUSSELL     PREFERRED
  2000 GRWTH FD     STOCK     464287648     307       4400    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES RUSSELL     PREFERRED
  2000 INDEX FD     STOCK     464287655    1620      24282    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES RUSSELL     PREFERRED
  2000 INDEX FD     STOCK     464287655     238       3572    SHARES                         X        1     N.A.  N.A.  N.A.
ISHARES S&P 500     PREFERRED
  INDEX FD          STOCK     464287200    1636      13125    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  500/BARRA GRWTH   PREFERRED
  INDEX FD          STOCK     464287309     618      10430    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES S&P EUROPE  PREFERRED
  350 INDEX FD      STOCK     464287861     210       2600    SHARES                         X        1     N.A.  N.A.  N.A.
ISHARES S&P MIDCAP
  400 BARRA GRWTH   PREFERRED
  I                 STOCK     464287606     384       5080    SHARES                X                 1     N.A.  N.A.  N.A.


                                   54 of 59





                                                         SEC USE
                                                                                COLUMN 6                     COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
                                                ------------------------ ---------------------- -------- -----------------
                                                 SHARES
                 COLUMN 2             COLUMN 4     OR      SHARES   PUT
    COLUMN 1     TITLE OF  COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
---------------- --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                              
ISHARES S&P
  MIDCAP 400     PREFERRED
  INDEX FD       STOCK     464287507     616       8350    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  MIDCAP
  400/BARRA VAL  PREFERRED
  IND            STOCK     464287705     272       3865    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  SMALLCAP 600   PREFERRED
  BARRA GRWTH    STOCK     464287887     425       3660    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  SMALLCAP 600   PREFERRED
  BARRA VAL I    STOCK     464287879     179       2800    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  SMALLCAP 600   PREFERRED
  INDEX FD       STOCK     464287804     688      11910    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES S&P
  SMALLCAP 600   PREFERRED
  INDEX FD       STOCK     464287804     267       4615    SHARES                         X        1     N.A.  N.A.  N.A.
JOHN HANCOCK
  PATRIOT PFD    PREFERRED
  DIVIDEND FD    STOCK     41013J107      31       2300    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN EQUITY
  PREMIUM        PREFERRED
  INCOME         STOCK     6706ER101       9        500    SHARES                X                 1     N.A.  N.A.  N.A.
RYDEX RUSSELL    PREFERRED
  TOP 50 ETF     STOCK     78355W205     492       5280    SHARES                         X        1     N.A.  N.A.  N.A.
SALOMON
  BROTHERS       PREFERRED
  FUND           STOCK     795477108      62       4116    SHARES                X                 1     N.A.  N.A.  N.A.
SOURCE CAPITAL   PREFERRED
  INC            STOCK     836144105       3         40    SHARES                X                 1     N.A.  N.A.  N.A.
TEMPLETON
  EMERGING       PREFERRED
  MKTS FD        STOCK     880191101      17        858    SHARES                         X        1     N.A.  N.A.  N.A.
TEMPLETON
  EMERGING       PREFERRED
  MKTS INC FD-DE STOCK     880192109      34       2700    SHARES                X                 1     N.A.  N.A.  N.A.
TEMPLETON
  EMERGING       PREFERRED
  MKTS INC FD-DE STOCK     880192109      25       2000    SHARES                         X        1     N.A.  N.A.  N.A.
TRI-CONTINENTAL  PREFERRED
  CORP           STOCK     895436103      19       1004    SHARES                X                 1     N.A.  N.A.  N.A.
TRI-CONTINENTAL  PREFERRED
  CORP           STOCK     895436103       2        116    SHARES                         X        1     N.A.  N.A.  N.A.
VANGUARD
  EMERGING       PREFERRED
  MKTS VIPER     STOCK     922042858      12        200    SHARES                         X        1     N.A.  N.A.  N.A.
VANGUARD         PREFERRED
  ENERGY VIPERS  STOCK     92204A306      40        550    SHARES                         X        1     N.A.  N.A.  N.A.
VANGUARD
  MATERIALS      PREFERRED
  VIPERS         STOCK     92204A801      15        250    SHARES                X                 1     N.A.  N.A.  N.A.
VANGUARD
  TOTAL STOCK    PREFERRED
  MARKET VIPERS  STOCK     922908769     344       2790    SHARES                         X        1     N.A.  N.A.  N.A.

SUBTOTALS FOR
  CLOSED END
  EQUITY
  MUTUAL FUNDS                         14926     255820                                                  N.A.  N.A.  N.A.

B. PREFERRED
  STOCK

INTL FIXED
  INCOME
  MUTUAL FUNDS

SALOMON BROS
  GLOBAL HIGH    PREFERRED
  INC FD         STOCK     79550G102      26       2000    SHARES                X                 1     N.A.  N.A.  N.A.

SUBTOTALS FOR
  INTL FIXED
  INCOME
  MUTUAL FUNDS                            26       2000                                                  N.A.  N.A.  N.A.

B. PREFERRED
  STOCK

CLOSED-END
  NON-TAXABLE
  INCOME

APEX MUNICIPAL   PREFERRED
  FUND           STOCK     037580107      10       1000    SHARES                X                 1     N.A.  N.A.  N.A.
APEX MUNICIPAL   PREFERRED
  FUND           STOCK     037580107      20       2027    SHARES                         X        1     N.A.  N.A.  N.A.
BLACKROCK INSD
  MUNI 2008 TERM PREFERRED
  TR             STOCK     09247K109      11        750    SHARES                X                 1     N.A.  N.A.  N.A.
BLACKROCK INSD   PREFERRED
  MUNI TERM TR   STOCK     092474105      18       1750    SHARES                X                 1     N.A.  N.A.  N.A.
BLACKROCK MUN    PREFERRED
  TARGET TRM TR  STOCK     09247M105      23       2325    SHARES                X                 1     N.A.  N.A.  N.A.
BLACKROCK NY
  INS MUNI 2008  PREFERRED
  TERM TR        STOCK     09247L107      11        750    SHARES                X                 1     N.A.  N.A.  N.A.
DREYFUS
  MUNICIPAL      PREFERRED
  INCOME FUND    STOCK     26201R102      64       7200    SHARES                         X        1     N.A.  N.A.  N.A.
DREYFUS
  STRATEGIC      PREFERRED
  MUN BD FD      STOCK     26202F107     224      27602    SHARES                X                 1     N.A.  N.A.  N.A.
DREYFUS
  STRATEGIC      PREFERRED
  MUN BD FD      STOCK     26202F107     145      17864    SHARES                         X        1     N.A.  N.A.  N.A.
EATON VANCE
  MUNICIPAL      PREFERRED
  INCOME TRUST   STOCK     27826U108      75       5000    SHARES                         X        1     N.A.  N.A.  N.A.
EATON VANCE PA   PREFERRED
  MUNI INC TR    STOCK     27826T101     161      10000    SHARES                         X        1     N.A.  N.A.  N.A.
MANAGED
  MUNICIPALS     PREFERRED
  PORTFOLIO INC  STOCK     561662107      11       1016    SHARES                         X        1     N.A.  N.A.  N.A.
MORGAN STAN
  DEAN QUALITY   PREFERRED
  MUN INC TR     STOCK     61745P734      20       1413    SHARES                         X        1     N.A.  N.A.  N.A.
MORGAN
  STANLEY INSD
  MUNI INCOME    PREFERRED
  TR             STOCK     61745P791      39       2814    SHARES                         X        1     N.A.  N.A.  N.A.
MORGAN
  STANLEY MUNI   PREFERRED
  INC OPP TR II  STOCK     61745P445      18       2000    SHARES                         X        1     N.A.  N.A.  N.A.
MORGAN
  STANLEY
  QUALITY MUNI   PREFERRED
  INVST          STOCK     61745P668      23       1708    SHARES                         X        1     N.A.  N.A.  N.A.
MUNICIPAL HIGH   PREFERRED
  INCOME FD INC  STOCK     626214100      15       2050    SHARES                X                 1     N.A.  N.A.  N.A.


                                   55 of 59





                                                           SEC USE
                                                                                    COLUMN 6                     COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
                                                    ------------------------ ---------------------- -------- -----------------
                                                     SHARES
                     COLUMN 2             COLUMN 4     OR      SHARES   PUT
      COLUMN 1       TITLE OF  COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
   NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
   --------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                                  
MUNICIPAL HIGH       PREFERRED
  INCOME FD INC      STOCK     626214100      16       2240    SHARES                         X        1     N.A.  N.A.  N.A.
MUNIENHANCED         PREFERRED
  FUND INC           STOCK     626243109      21       1918    SHARES                X                 1     N.A.  N.A.  N.A.
MUNIENHANCED         PREFERRED
  FUND INC           STOCK     626243109      23       2032    SHARES                         X        1     N.A.  N.A.  N.A.
MUNIHOLDINGS NEW     PREFERRED
  JERSEY INSD FD INC STOCK     625936109      47       3050    SHARES                         X        1     N.A.  N.A.  N.A.
MUNIHOLDINGS NY      PREFERRED
  INSURED FD         STOCK     625931100      45       3050    SHARES                         X        1     N.A.  N.A.  N.A.
MUNIYIELD CALIF      PREFERRED
  INSD FUND INC      STOCK     62629L104      45       3050    SHARES                         X        1     N.A.  N.A.  N.A.
MUNIYIELD FUND INC   PREFERRED
                     STOCK     626299101      15       1000    SHARES                X                 1     N.A.  N.A.  N.A.
MUNIYIELD FUND INC   PREFERRED
                     STOCK     626299101       5        350    SHARES                         X        1     N.A.  N.A.  N.A.
MUNIYIELD NEW        PREFERRED
  YORK INSURED FD    STOCK     626301105      22       1601    SHARES                         X        1     N.A.  N.A.  N.A.
MUNIYIELD
  PENNSYLVANIA       PREFERRED
  INSURED FD         STOCK     62630V109      26       1681    SHARES                         X        1     N.A.  N.A.  N.A.
MUNIYIELD QUALITY    PREFERRED
  FUND II            STOCK     62630T104      85       6850    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN DIV
  ADVANTAGE MUN      PREFERRED
  FD 2               STOCK     67070F100      37       2251    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN INSD          PREFERRED
  QUALITY MUN FD     STOCK     67062N103      68       4624    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN INVT          PREFERRED
  QUALITY MUNI FD    STOCK     67062E103      23       1600    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN INVT          PREFERRED
  QUALITY MUNI FD    STOCK     67062E103       5        333    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN MARYLAND
  DIVIDEND ADV       PREFERRED
  MUN FD             STOCK     67069R107      25       1623    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN MD DIV
  ADVANTAGE MUN      PREFERRED
  FD 2               STOCK     67070V105      66       4059    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN MUNI
  MARKET             PREFERRED
  OPPORTUNITY FD     STOCK     67062W103      26       1800    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN MUNI
  MARKET             PREFERRED
  OPPORTUNITY FD     STOCK     67062W103     217      15000    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN MUNICIPAL     PREFERRED
  ADVANTAGE FD       STOCK     67062H106      10        650    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN MUNICIPAL     PREFERRED
  ADVANTAGE FD       STOCK     67062H106     164      10643    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN MUNICIPAL     PREFERRED
  VALUE FUND         STOCK     670928100      65       6700    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN MUNICIPAL     PREFERRED
  VALUE FUND         STOCK     670928100      44       4500    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN NY INVT       PREFERRED
  QUALITY MUN FD     STOCK     67062X101      42       2965    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN PA INVT       PREFERRED
  QUALITY MUN FD     STOCK     670972108     179      13086    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN PA INVT       PREFERRED
  QUALITY MUN FD     STOCK     670972108     231      16923    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN PA PREM       PREFERRED
  INCOME MUN FD 2    STOCK     67061F101      74       5316    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN PA PREM       PREFERRED
  INCOME MUN FD 2    STOCK     67061F101      48       3392    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN
  PERFORMANCE        PREFERRED
  PLUS MUNI FD       STOCK     67062P108      34       2290    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN PREM INC      PREFERRED
  MUN FD 4           STOCK     6706K4105       5        440    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN PREM INC      PREFERRED
  MUN FD 4           STOCK     6706K4105      20       1655    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN PREM INC      PREFERRED
  MUNI FD            STOCK     67062T100      10        700    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN PREMIER       PREFERRED
  INSD MUNI INC FD   STOCK     670987106       6        410    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN QUALITY       PREFERRED
  INCOME MUNI FD     STOCK     670977107       7        500    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN SELECT TAX    PREFERRED
  FREE INC III       STOCK     67063X100      28       2100    SHARES                         X        1     N.A.  N.A.  N.A.
PIMCO MUNICIPAL      PREFERRED
  INCOME FUND II     STOCK     72200W106      51       3200    SHARES                         X        1     N.A.  N.A.  N.A.
PIMCO MUNICIPAL      PREFERRED
  INCOME FUND III    STOCK     72201A103      21       1335    SHARES                X                 1     N.A.  N.A.  N.A.
PUTNAM MANAGED
  MUNICIPAL          PREFERRED
  INCOME TR          STOCK     746823103      69       9663    SHARES                         X        1     N.A.  N.A.  N.A.
SALOMON BROS         PREFERRED
  MUNI PTR FD        STOCK     794916106      18       1350    SHARES                X                 1     N.A.  N.A.  N.A.
SCUDDER MUNICIPAL    PREFERRED
  INCOME TR COM      STOCK     81118R604      18       1400    SHARES                         X        1     N.A.  N.A.  N.A.
SCUDDER STRATEGIC
  MUNI INCOME        PREFERRED
  TRUST              STOCK     811234103      21       1500    SHARES                X                 1     N.A.  N.A.  N.A.
SELIGMAN SELECT      PREFERRED
  MUNICIPAL FD       STOCK     816344105      10       1000    SHARES                         X        1     N.A.  N.A.  N.A.
VAN KAMPEN
  ADVANTAGE MUNI     PREFERRED
  INCOME TR          STOCK     921124103     112       7500    SHARES                         X        1     N.A.  N.A.  N.A.
VAN KAMPEN PENN
  VALUE MUNI         PREFERRED
  INCOME TR          STOCK     92112T108     181      13352    SHARES                X                 1     N.A.  N.A.  N.A.
VAN KAMPEN PENN
  VALUE MUNI         PREFERRED
  INCOME TR          STOCK     92112T108     485      35753    SHARES                         X        1     N.A.  N.A.  N.A.
VAN KAMPEN TR FOR
  INV GR             PREFERRED
  MUNICIPALS         STOCK     920929106      85       5851    SHARES                         X        1     N.A.  N.A.  N.A.
VAN KAMPEN TRUST
  INSURED            PREFERRED
  MUNICIPAL          STOCK     920928108       7        505    SHARES                X                 1     N.A.  N.A.  N.A.

SUBTOTALS FOR
  CLOSED-END
  NON-TAXABLE
  INCOME                                    3750     300060                                                  N.A.  N.A.  N.A.

B. PREFERRED STOCK

CLOSED-END FIXED
  INCOME


                                   56 of 59





                                                          SEC USE
                                                                                  COLUMN 6                     COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
                                                  ------------------------ ---------------------- -------- -----------------
                                                   SHARES
                   COLUMN 2             COLUMN 4     OR      SHARES   PUT
     COLUMN 1      TITLE OF  COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
  NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
  --------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                                
ABERDEEN ASIA      PREFERRED
  PACIFIC INC FD   STOCK     003009107      17       3000    SHARES                X                 1     N.A.  N.A.  N.A.
ACM INCOME FUND    PREFERRED
                   STOCK     000912105      16       1892    SHARES                         X        1     N.A.  N.A.  N.A.
AMERICAN SELECT    PREFERRED
  PORTFOLIO        STOCK     029570108      20       1600    SHARES                X                 1     N.A.  N.A.  N.A.
AMERICAN
  STRATEGIC        PREFERRED
  INCOME II        STOCK     030099105      22       2000    SHARES                X                 1     N.A.  N.A.  N.A.
AMERICAN
  STRATEGIC        PREFERRED
  INCOME III FD    STOCK     03009T101      20       1900    SHARES                X                 1     N.A.  N.A.  N.A.
BANCROFT
  CONVERTIBLE      PREFERRED
  FUND INC         STOCK     059695106       1         41    SHARES                X                 1     N.A.  N.A.  N.A.
CALAMOS CONV &     PREFERRED
  HIGH INC FD      STOCK     12811P108      41       2625    SHARES                         X        1     N.A.  N.A.  N.A.
CITICORP
  INVESTMENTS      PREFERRED
  CORP LN FD       STOCK     17307C107      33       2583    SHARES                         X        1     N.A.  N.A.  N.A.
DIVERSIFIED INC    PREFERRED
  STRAT PTF        STOCK     255251100       5        300    SHARES                X                 1     N.A.  N.A.  N.A.
DREYFUS HIGH YIELD PREFERRED
  STRATEGIES FD    STOCK     26200S101       8       2000    SHARES                         X        1     N.A.  N.A.  N.A.
DUFF & PHELPS
  UTIL & CORP BOND PREFERRED
  FD               STOCK     26432K108      20       1500    SHARES                         X        1     N.A.  N.A.  N.A.
EATON VANCE LTD    PREFERRED
  DURATION INC FD  STOCK     27828H105      39       2400    SHARES                X                 1     N.A.  N.A.  N.A.
EATON VANCE SR     PREFERRED
  FLOATING RATE FD STOCK     27828Q105      41       2400    SHARES                X                 1     N.A.  N.A.  N.A.
FRANKLIN
  TEMPLETON LTD    PREFERRED
  DUR INC TR       STOCK     35472T101      20       1600    SHARES                         X        1     N.A.  N.A.  N.A.
FRANKLIN           PREFERRED
  UNIVERSAL TRUST  STOCK     355145103      26       4200    SHARES                         X        1     N.A.  N.A.  N.A.
HIGH INCOME
  OPPORTUNITY FD   PREFERRED
  INC              STOCK     42967Q105      14       2281    SHARES                X                 1     N.A.  N.A.  N.A.
ISHARES LEHMAN     PREFERRED
  UST INF PR S     STOCK     464287176      77        750    SHARES                X                 1     N.A.  N.A.  N.A.
JOHN HANCOCK INC   PREFERRED
  SEC TRUST        STOCK     410123103       3        203    SHARES                         X        1     N.A.  N.A.  N.A.
JOHN HANCOCK       PREFERRED
  INVESTORS TRUST  STOCK     410142103       5        300    SHARES                         X        1     N.A.  N.A.  N.A.
JOHN HANCOCK PFD   PREFERRED
  INC FD II        STOCK     41013X106      24       1150    SHARES                X                 1     N.A.  N.A.  N.A.
JOHN HANCOCK PFD   PREFERRED
  INC FD III       STOCK     41021P103       8        400    SHARES                X                 1     N.A.  N.A.  N.A.
MFS INTERMEDIATE   PREFERRED
  INCOME TRUST     STOCK     55273C107      62      10000    SHARES                         X        1     N.A.  N.A.  N.A.
MFS SPECIAL VALUE  PREFERRED
  TRUST            STOCK     55274E102      20       2125    SHARES                         X        1     N.A.  N.A.  N.A.
MONTGOMERY ST      PREFERRED
  INCOME SECS INC  STOCK     614115103     118       7000    SHARES                X                 1     N.A.  N.A.  N.A.
MORGAN STANLEY     PREFERRED
  GLOBAL OPP BD FD STOCK     61744R103      18       2000    SHARES                X                 1     N.A.  N.A.  N.A.
MORGAN STANLEY     PREFERRED
  GOVT INC TRST    STOCK     61745P106      26       3000    SHARES                X                 1     N.A.  N.A.  N.A.
MORGAN STANLEY     PREFERRED
  HIGH YLD FD INC  STOCK     61744M104       2        300    SHARES                X                 1     N.A.  N.A.  N.A.
MORGAN STANLEY     PREFERRED
  HIGH YLD FD INC  STOCK     61744M104      16       2750    SHARES                         X        1     N.A.  N.A.  N.A.
NEW AMERICAN HIGH  PREFERRED
  INCOME FD INC CE STOCK     641876107       7       3500    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN PFD & CONV  PREFERRED
  INCOME FD II     STOCK     67073D102      23       1860    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN PFD & CONV  PREFERRED
  INCOME FD II     STOCK     67073D102       6        500    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN PFD & CVRT  PREFERRED
  INCOME FUND      STOCK     67073B106      18       1500    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN QUALITY     PREFERRED
  PFD INCOME FD 2  STOCK     67072C105      52       4085    SHARES                X                 1     N.A.  N.A.  N.A.
NUVEEN QUALITY     PREFERRED
  PFD INCOME FD 2  STOCK     67072C105      89       6965    SHARES                         X        1     N.A.  N.A.  N.A.
NUVEEN QUALITY     PREFERRED
  PFD INCOME FD 3  STOCK     67072W101       9        700    SHARES                         X        1     N.A.  N.A.  N.A.
PIMCO CORPORATE    PREFERRED
  INCOME FUND      STOCK     72200U100      11        740    SHARES                X                 1     N.A.  N.A.  N.A.
PIMCO RCM STRAT    PREFERRED
  GLOBAL GOVT      STOCK     72200X104      16       1500    SHARES                X                 1     N.A.  N.A.  N.A.
PUTNAM MANAGED     PREFERRED
  HIGH YIELD TRUST STOCK     746819101      21       2650    SHARES                         X        1     N.A.  N.A.  N.A.
PUTNAM PREMIER     PREFERRED
  INCOME TRUST     STOCK     746853100      74      12141    SHARES                X                 1     N.A.  N.A.  N.A.
PUTNAM PREMIER     PREFERRED
  INCOME TRUST     STOCK     746853100       2        300    SHARES                         X        1     N.A.  N.A.  N.A.
TEMPLETON GLOBAL   PREFERRED
  INCOME FUND-DE   STOCK     880198106     332      41543    SHARES                X                 1     N.A.  N.A.  N.A.
VAN KAMPEN BOND    PREFERRED
  FUND             STOCK     920955101      68       4000    SHARES                X                 1     N.A.  N.A.  N.A.
WESTERN ASSET      PREFERRED
  INCOME FUND      STOCK     95766T100      21       1500    SHARES                         X        1     N.A.  N.A.  N.A.

SUBTOTALS FOR
  CLOSED-END FIXED
  INCOME                                  1471     145784                                                  N.A.  N.A.  N.A.

*SUMMARY PAGE
  FOR B. PREFERRED
  STOCK                    *

MINOR ASSET TYPE

50 FOREIGN
  PREFERRED
  STOCKS                                    74       2900                                                  N.A.  N.A.  N.A.
51 CONVERTIBLE
  PREFERRED
  STOCKS                                  4054      87863                                                  N.A.  N.A.  N.A.
60 GLOBAL EQUITY
  MUTUAL FUNDS                              35       2250                                                  N.A.  N.A.  N.A.


                                   57 of 59





                                                            SEC USE
                                                                                      COLUMN 6                     COLUMN 8
                                                              COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
                                                      ------------------------ ---------------------- -------- -----------------
                                                       SHARES
                                            COLUMN 4     OR      SHARES   PUT
    COLUMN 1         COLUMN 2    COLUMN 3    VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
 NAME OF ISSUER   TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
----------------- -------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                                    
61 INTL EQUITY
  MUTUAL FUNDS                                1522      25301                                                  N.A.  N.A.  N.A.
62 BALANCED
  MUTUAL FUND                                   39       2500                                                  N.A.  N.A.  N.A.
63 CLOSED END
  EQUITY MUTUAL
  FUND                                       14926     255820                                                  N.A.  N.A.  N.A.
64 INTL FIXED
  INCOME MUTUAL
  FUNDS                                         26       2000                                                  N.A.  N.A.  N.A.
65 CLOSED-END
  NON-TAXABLE
  INCOME                                      3750     300060                                                  N.A.  N.A.  N.A.
68 CLOSED-END
  FIXED INCOME                                1471     145784                                                  N.A.  N.A.  N.A.

*SUBTOTALS*                                  25897     824478                                                  N.A.  N.A.  N.A.

C. OTHER

MUNICIPAL UITS

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

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

C. OTHER

EQUITY UITS
EQUITY INCOME
  FUND-AT&T
  SHARES UIT       UITS          929042109      45        600    SHARES                         X        1     N.A.  N.A.  N.A.

SUBTOTALS FOR
  EQUITY UITS                                   45        600                                                  N.A.  N.A.  N.A.

C. OTHER

PARTNERSHIPS

FERRELLGAS
  PARTNERS LP      PARTNERSHIPS  315293100      21       1000    SHARES                X                 1     N.A.  N.A.  N.A.
FERRELLGAS
  PARTNERS LP      PARTNERSHIPS  315293100     185       9000    SHARES                         X        1     N.A.  N.A.  N.A.

SUBTOTALS FOR
  PARTNERSHIPS                                 206      10000                                                  N.A.  N.A.  N.A.

*SUMMARY PAGE
  FOR C. OTHER *

MINOR ASSET TYPE

70 MUNICIPAL UITS                               13       1700                                                  N.A.  N.A.  N.A.


                                   58 of 59





                                                       SEC USE
                                                                            COLUMN 6                     COLUMN 8
                                                    COLUMN 5          INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
                                            ------------------------ ---------------------- -------- -----------------
                                             SHARES
               COLUMN 2           COLUMN 4     OR      SHARES   PUT
   COLUMN 1    TITLE OF COLUMN 3   VALUE    PRINCIPAL    OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER  CLASS    CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
-------------- -------- -------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                          
72 EQUITY
  UITS                                 45        600                                                 N.A.  N.A.  N.A.
88
  PARTNERSHIPS                        206      10000                                                 N.A.  N.A.  N.A.

*SUBTOTALS*...                        264      12300                                                 N.A.  N.A.  N.A.

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

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

CATEGORY

A. COMMON
  STOCK                           3377840   81746868                                                 N.A.  N.A.  N.A.
B. PREFERRED
  STOCK                             25897     824478                                                 N.A.  N.A.  N.A.
C. OTHER                              264      12300                                                 N.A.  N.A.  N.A.

**GRAND
  TOTALS**                        3404001   82583646                                                 N.A.  N.A.  N.A.


                                   59 of 59