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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 6/30/2007

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: President
Phone: (716) 842-5291

Signature, Place & Date of Signing:

Mark Czarnecki, President      Buffalo, New York              8/1/2007
--------------------------  ------------------------  ------------------------
       [Signature]               [City, State]                 [Date]

Report Type (Check only one.):

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

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

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



                            FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                4
Form 13-F Information Table Entry Total:      3,347
Form 13-F Information Table Value Total:  4,052,999
                                         (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.
 4  028-11878              M&T Trust Company of Delaware, Inc.





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
COMMUNITY BANKS INC   COMMON
                      STOCK     203628102     489      14940    SHARES         X                               14940     0      0
FULTON FINANCIAL CORP COMMON
                      STOCK     360271100    5633     392282    SHARES         X                              392282     0      0
SALISBURY BANCORP INC COMMON
                      STOCK     795226109     187       5700    SHARES         X                                5700     0      0
WEBSTER FINANCIAL     COMMON
  CORP                STOCK     947890109     486      11356    SHARES         X                               11356     0      0
ART TECHNOLOGY GROUP  COMMON
                      STOCK     04289L107     327     122894    SHARES         X                              122894     0      0
3 COM CORP COM        COMMON
                      STOCK     885535104       4        900    SHARES                         X        1        600     0    300
3M CO                 COMMON
                      STOCK     88579Y101   19326     222680    SHARES                X                 1     217826     0   4854
3M CO                 COMMON
                      STOCK     88579Y101   12472     143704    SHARES                         X        1     130569     0  13135
A C MOORE ARTS &      COMMON
  CRAFTS INC          STOCK     00086T103      52       2630    SHARES                X                 1       2418     0    212
ABB LTD SPON ADR      COMMON
                      STOCK     000375204       8        350    SHARES                X                 1        350     0      0
ABBOTT LABORATORIES   COMMON
                      STOCK     002824100   12985     242486    SHARES                X                 1     240421     0   2065
ABBOTT LABORATORIES   COMMON
                      STOCK     002824100    6639     123970    SHARES                         X        1     109150     0  14820
ABERCROMBIE & FITCH   COMMON
  CO CL A             STOCK     002896207     697       9553    SHARES                X                 1       8318     0   1235
ABERCROMBIE & FITCH   COMMON
  CO CL A             STOCK     002896207      35        475    SHARES                         X        1        300     0    175
ABERDEEN ASIA         PREFERRED
  PACIFIC INC FD      STOCK     003009107      10       1500    SHARES                X                 1       N.A.  N.A.   N.A.
ABERDEEN AUSTRALIA    PREFERRED
  EQUITY FUND         STOCK     003011103      17       1000    SHARES                         X        1       N.A.  N.A.   N.A.
ABN AMRO HOLDINGS NV  COMMON
  SPON ADR            STOCK     000937102      16        350    SHARES                         X        1        350     0      0
ACCENTURE LTD-CL A    COMMON
                      STOCK     G1150G111     929      21671    SHARES                X                 1      21671     0      0
ACCENTURE LTD-CL A    COMMON
                      STOCK     G1150G111     532      12410    SHARES                         X        1      11775     0    635
ACCO BRANDS CORP      COMMON
                      STOCK     00081T108       4        188    SHARES                X                 1        188     0      0
ACCO BRANDS CORP      COMMON
                      STOCK     00081T108       5        210    SHARES                         X        1        185     0     25
ACERGY SA SP ADR      COMMON
                      STOCK     00443E104      43       1900    SHARES                X                 1       1900     0      0
ACETO CORPORATION     COMMON
                      STOCK     004446100     463      50000    SHARES                         X        1      50000     0      0
ACTIVISION INC COM    COMMON
  NEW                 STOCK     004930202     477      25565    SHARES                X                 1      23640     0   1925
ACTIVISION INC COM    COMMON
  NEW                 STOCK     004930202      28       1500    SHARES                         X        1       1500     0      0
ADAMS EXPRESS CO COM  COMMON
                      STOCK     006212104       5        367    SHARES                X                 1        367     0      0
ADOBE SYS INC COM     COMMON
                      STOCK     00724F101      80       2000    SHARES                X                 1       2000     0      0
ADOBE SYS INC COM     COMMON
                      STOCK     00724F101      11        280    SHARES                         X        1        280     0      0
ADTRAN INC COM        COMMON
                      STOCK     00738A106     219       8430    SHARES                X                 1       7810     0    620
ADVANCE AUTO PARTS    COMMON
                      STOCK     00751Y106      15        365    SHARES                X                 1        365     0      0
ADVANCE AUTO PARTS    COMMON
                      STOCK     00751Y106      30        750    SHARES                         X        1        750     0      0
ADVANCED MEDICAL      COMMON
  OPTICS INC          STOCK     00763M108       2         44    SHARES                X                 1         44     0      0
ADVANCED MEDICAL      COMMON
  OPTICS INC          STOCK     00763M108       4        118    SHARES                         X        1        118     0      0
ADVANCED MICRO        COMMON
  DEVICES INC COM     STOCK     007903107     762      53270    SHARES                X                 1      52270     0   1000
ADVANCED MICRO        COMMON
  DEVICES INC COM     STOCK     007903107      40       2825    SHARES                         X        1       2825     0      0
ADVANTAGE ENERGY      COMMON
  INCOME FUND         STOCK     00762L101     253      18000    SHARES                X                 1      18000     0      0
AECOM TECHNOLOGY CORP COMMON
                      STOCK     00766T100     116       4680    SHARES                X                 1       4300     0    380
AEGON NV ORD AMER     COMMON
  REG SHS             STOCK     007924103     204      10406    SHARES                X                 1      10406     0      0
AEROPOSTALE INC       COMMON
                      STOCK     007865108      63       1520    SHARES                X                 1       1400     0    120
AES CORP COM          COMMON
                      STOCK     00130H105      77       3500    SHARES                X                 1       3500     0      0
AES TRUST III PFD     PREFERRED
  CONV 6.75% 1        STOCK     00808N202      20        400    SHARES                X                 1       N.A.  N.A.   N.A.
AETNA INC NEW COM     COMMON
                      STOCK     00817Y108     822      16640    SHARES                X                 1      16640     0      0
AFFILIATED COMPUTER   COMMON
  SVCS INC C          STOCK     008190100      48        850    SHARES                X                 1        850     0      0
AFFILIATED MANAGERS   COMMON
  GROUP               STOCK     008252108     511       3970    SHARES                X                 1       3787     0    183
AFFILIATED MANAGERS   COMMON
  GROUP               STOCK     008252108      26        200    SHARES                         X        1        200     0      0
AFLAC INC             COMMON
                      STOCK     001055102    3307      64329    SHARES                X                 1      64329     0      0
AFLAC INC             COMMON
                      STOCK     001055102     326       6350    SHARES                         X        1       6350     0      0
AGCO CORP COM         COMMON
                      STOCK     001084102      95       2180    SHARES                X                 1       2000     0    180
AGILENT TECHNOLOGIES  COMMON
  INC COM             STOCK     00846U101      20        532    SHARES                X                 1        532     0      0
AGILENT TECHNOLOGIES  COMMON
  INC COM             STOCK     00846U101      42       1105    SHARES                         X        1        495     0    610
AGL RESOURCES INC COM COMMON
                      STOCK     001204106     109       2700    SHARES                X                 1       2700     0      0
AGL RESOURCES INC COM COMMON
                      STOCK     001204106     325       8032    SHARES                         X        1       8032     0      0
AGNICO EAGLE MINES    COMMON
  LTD                 STOCK     008474108       5        150    SHARES                X                 1        150     0      0
AIR PRODUCTS &        COMMON
  CHEMICALS INC       STOCK     009158106    1297      16144    SHARES                X                 1      16144     0      0
AIR PRODUCTS &        COMMON
  CHEMICALS INC       STOCK     009158106    1400      17425    SHARES                         X        1      15675     0   1750
AK STEEL HOLDING      COMMON
  CORP COM            STOCK     001547108       2         66    SHARES                X                 1         66     0      0
AKAMAI TECHNOLOGIES   COMMON
  INC COM             STOCK     00971T101    1215      24975    SHARES                X                 1      24870     0    105
AKAMAI TECHNOLOGIES   COMMON
  INC COM             STOCK     00971T101     126       2600    SHARES                         X        1       2600     0      0
ALASKA
  COMMUNICATIONS      COMMON
  SYSTEMS             STOCK     01167P101      65       4100    SHARES                X                 1       4100     0      0
ALBEMARLE CORP COM    COMMON
                      STOCK     012653101     674      17500    SHARES                X                 1      17500     0      0
ALBEMARLE CORP COM    COMMON
                      STOCK     012653101     817      21200    SHARES                         X        1      21200     0      0
ALBERTO-CULVER        COMMON
  COMPANY             STOCK     013078100       2        100    SHARES                X                 1        100     0      0
ALCAN INC             COMMON
                      STOCK     013716105     110       1350    SHARES                         X        1       1350     0      0
ALCATEL-LUCENT -      COMMON
  SPON ADR            STOCK     013904305      72       5122    SHARES                X                 1       5122     0      0
ALCATEL-LUCENT -      COMMON
  SPON ADR            STOCK     013904305      33       2391    SHARES                         X        1       2125     0    266
ALCOA INC COM         COMMON
                      STOCK     013817101    5533     136510    SHARES                X                 1     133160     0   3350
ALCOA INC COM         COMMON
                      STOCK     013817101    1700      41945    SHARES                         X        1      36535     0   5410
ALCON INC             COMMON
                      STOCK     H01301102      40        300    SHARES                X                 1        300     0      0
ALDILA INCORPORATED   COMMON
  NEW                 STOCK     014384200       1         66    SHARES                X                 1         66     0      0
ALEXION
  PHARMACEUTICALS     COMMON
  INC CO              STOCK     015351109      14        300    SHARES                         X        1          0     0    300
ALKERMES INC COM      COMMON
                      STOCK     01642T108      30       2075    SHARES                X                 1       1900     0    175
ALLEGHENY ENERGY INC  COMMON
                      STOCK     017361106      46        898    SHARES                X                 1        898     0      0


                                    1 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                       COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY             VOTING AUTHORITY
                     COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 --------------------
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
--------------       --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
ALLEGHENY ENERGY INC COMMON
                     STOCK     017361106     197        3800   SHARES                         X        1       3500     0     300
ALLEGHENY
  TECHNOLOGIES INC   COMMON
  COM                STOCK     01741R102     101         962   SHARES                X                 1        962     0       0
ALLEGHENY
  TECHNOLOGIES INC   COMMON
  COM                STOCK     01741R102      50         481   SHARES                         X        1          0     0     481
ALLERGAN INC         COMMON
                     STOCK     018490102     114        1970   SHARES                X                 1       1970     0       0
ALLERGAN INC         COMMON
                     STOCK     018490102      96        1664   SHARES                         X        1       1664     0       0
ALLETE INC           COMMON
                     STOCK     018522300      13         267   SHARES                X                 1        267     0       0
ALLETE INC           COMMON
                     STOCK     018522300      72        1533   SHARES                         X        1       1533     0       0
ALLIANCEBERNSTEIN    COMMON
  HOLDING LP         STOCK     01881G106     135        1550   SHARES                X                 1       1550     0       0
ALLIANCEBERNSTEIN    COMMON
  HOLDING LP         STOCK     01881G106     157        1800   SHARES                         X        1       1800     0       0
ALLIANCEBERNSTEIN    PREFERRED
  INCOME FUND        STOCK     01881E101      15        1892   SHARES                         X        1       N.A.  N.A.    N.A.
ALLIANCEBERNSTEIN    PREFERRED
  NATL MUNI IN       STOCK     01864U106      15        1000   SHARES                         X        1       N.A.  N.A.    N.A.
ALLIANT ENERGY CORP  COMMON
                     STOCK     018802108      13         342   SHARES                X                 1        342     0       0
ALLIANT TECHSYSTEMS  COMMON
  INC                STOCK     018804104      13         127   SHARES                X                 1        127     0       0
ALLIANT TECHSYSTEMS  COMMON
  INC                STOCK     018804104      40         405   SHARES                         X        1        405     0       0
ALLIED CAPITAL CORP  COMMON
  NEW COM            STOCK     01903Q108     119        3850   SHARES                X                 1       3850     0       0
ALLIED CAPITAL CORP  COMMON
  NEW COM            STOCK     01903Q108      63        2050   SHARES                         X        1       2050     0       0
ALLIED IRISH BKS     COMMON
  PLC-SPON ADR       STOCK     019228402   65716     1195702   SHARES                X                 1     874784 10511  310407
ALLIED IRISH BKS     COMMON
  PLC-SPON ADR       STOCK     019228402   23439      426465   SHARES                         X        1     341465     0   85000
ALLSCRIPTS
  HEALTHCARE         COMMON
  SOLUTION           STOCK     01988P108    4111      161329   SHARES                X                 1     158276     0    3053
ALLSTATE CORP        COMMON
                     STOCK     020002101    2952       47992   SHARES                X                 1      45536     0    2456
ALLSTATE CORP        COMMON
                     STOCK     020002101    1053       17121   SHARES                         X        1      16171     0     950
ALLTEL CORP          COMMON
                     STOCK     020039103     516        7638   SHARES                X                 1       7638     0       0
ALLTEL CORP          COMMON
                     STOCK     020039103    1872       27717   SHARES                         X        1      23517     0    4200
ALPHA NATURAL        COMMON
  RESOURCES          STOCK     02076X102      65        3145   SHARES                X                 1       2900     0     245
ALTERA CORP COM      COMMON
                     STOCK     021441100      69        3100   SHARES                X                 1       3100     0       0
ALTERA CORP COM      COMMON
                     STOCK     021441100       7         300   SHARES                         X        1        300     0       0
ALTRIA GROUP INC     COMMON
                     STOCK     02209S103   20849      297242   SHARES                X                 1     294892     0    2350
ALTRIA GROUP INC     COMMON
                     STOCK     02209S103   10753      153306   SHARES                         X        1     146581     0    6725
AMAZON.COM INC       COMMON
                     STOCK     023135106       7         100   SHARES                         X        1          0     0     100
AMBAC FINANCIAL      COMMON
  GROUP INC          STOCK     023139108     479        5490   SHARES                X                 1       5490     0       0
AMBAC FINANCIAL      COMMON
  GROUP INC          STOCK     023139108     256        2940   SHARES                         X        1       2940     0       0
AMERCO               COMMON
                     STOCK     023586100      10         131   SHARES                X                 1        131     0       0
AMEREN CORP          COMMON
                     STOCK     023608102     235        4805   SHARES                X                 1       4805     0       0
AMEREN CORP          COMMON
                     STOCK     023608102      54        1100   SHARES                         X        1       1100     0       0
AMERICA MOVIL - ADR  COMMON
  SERIES A           STOCK     02364W204     327        5300   SHARES                X                 1       5300     0       0
AMERICA MOVIL SA -   COMMON
  SPONS ADR S        STOCK     02364W105     632       10200   SHARES                X                 1      10200     0       0
AMERICA MOVIL SA -   COMMON
  SPONS ADR S        STOCK     02364W105     260        4200   SHARES                         X        1       1200     0    3000
AMERICAN CAPITAL     COMMON
  STRATEGIES LT      STOCK     024937104     217        5100   SHARES                X                 1       5100     0       0
AMERICAN CAPITAL     COMMON
  STRATEGIES LT      STOCK     024937104      60        1400   SHARES                         X        1       1400     0       0
AMERICAN EAGLE       COMMON
  OUTFITTER INC      STOCK     02553E106     159        6190   SHARES                X                 1       5860     0     330
AMERICAN ELECTRIC    COMMON
  POWER CO INC       STOCK     025537101     264        5855   SHARES                X                 1       5855     0       0
AMERICAN ELECTRIC    COMMON
  POWER CO INC       STOCK     025537101     275        6112   SHARES                         X        1       3282     0    2830
AMERICAN ELECTRIC    COMMON
  TECHNOLOGIES       STOCK     025576109       1         100   SHARES                X                 1        100     0       0
AMERICAN EXPRESS CO  COMMON
                     STOCK     025816109    3987       65163   SHARES                X                 1      64563     0     600
AMERICAN EXPRESS CO  COMMON
                     STOCK     025816109    1241       20284   SHARES                         X        1      17238     0    3046
AMERICAN FINANCIAL   COMMON
  GROUP INC          STOCK     025932104      20         600   SHARES                         X        1          0     0     600
AMERICAN FINANCIAL   COMMON
  REALTY TRUS        STOCK     02607P305      41        4000   SHARES                X                 1       N.A.  N.A.    N.A.
AMERICAN
  INTERNATIONAL      COMMON
  GROUP I            STOCK     026874107   23036      328941   SHARES                X                 1     322241     0    6700
AMERICAN
  INTERNATIONAL      COMMON
  GROUP I            STOCK     026874107    8139      116220   SHARES                         X        1     105596     0   10624
AMERICAN SCIENCE &   COMMON
  ENGINEERING        STOCK     029429107    1023       18000   SHARES                         X        1      18000     0       0
AMERICAN SELECT      PREFERRED
  PORTFOLIO          STOCK     029570108      17        1400   SHARES                X                 1       N.A.  N.A.    N.A.
AMERICAN STRATEGIC   PREFERRED
  INCOME II          STOCK     030099105      21        1800   SHARES                X                 1       N.A.  N.A.    N.A.
AMERICAN STRATEGIC   PREFERRED
  INCOME III         STOCK     03009T101      20        1700   SHARES                X                 1       N.A.  N.A.    N.A.
AMERICAN TECHNOLOGY  COMMON
  CORP               STOCK     030145205      11        3000   SHARES                X                 1       3000     0       0
AMERICAN TOWER CORP  COMMON
  CL A               STOCK     029912201      11         255   SHARES                X                 1        255     0       0
AMERICASBANK CORP    COMMON
                     STOCK     03061G302       6        1000   SHARES                         X        1       1000     0       0
AMERIGAS PARTNERS LP COMMON
                     STOCK     030975106      11         300   SHARES                X                 1        300     0       0
AMERIGAS PARTNERS LP COMMON
                     STOCK     030975106      36        1000   SHARES                         X        1       1000     0       0
AMERIPRISE           COMMON
  FINANCIAL INC      STOCK     03076C106     207        3256   SHARES                X                 1       3136     0     120
AMERIPRISE           COMMON
  FINANCIAL INC      STOCK     03076C106     107        1682   SHARES                         X        1       1292     0     390
AMERIS BANCORP       COMMON
                     STOCK     03076K108       3         123   SHARES                X                 1        123     0       0
AMERISOURCE BERGEN   COMMON
  CORP COM           STOCK     03073E105      20         400   SHARES                X                 1        400     0       0
AMETEK AEROSPACE     COMMON
  PRODS INC COM      STOCK     031100100      56        1413   SHARES                X                 1       1413     0       0
AMGEN INC COM        COMMON
                     STOCK     031162100   11971      216519   SHARES                X                 1     212705     0    3814
AMGEN INC COM        COMMON
                     STOCK     031162100    3411       61691   SHARES                         X        1      54536     0    7155
AMSURG CORP          COMMON
                     STOCK     03232P405      19         800   SHARES                         X        1        800     0       0
AMTECH SYSTEMS INC   COMMON
                     STOCK     032332504      18        2000   SHARES                         X        1       2000     0       0
ANADARKO PETROLEUM   COMMON
  CORP               STOCK     032511107    1692       32536   SHARES                X                 1      31920     0     616
ANADARKO PETROLEUM   COMMON
  CORP               STOCK     032511107     689       13250   SHARES                         X        1       8380     0    4870
ANALOG DEVICES INC   COMMON
                     STOCK     032654105      23         600   SHARES                         X        1          0     0     600
ANGIODYNAMICS INC    COMMON
                     STOCK     03475V101      94        5240   SHARES                X                 1       4800     0     440
ANGIODYNAMICS INC    COMMON
                     STOCK     03475V101       2         137   SHARES                         X        1        137     0       0
ANGLO AMERICAN PLC   COMMON
  ADR                STOCK     03485P102       7         250   SHARES                X                 1        250     0       0
ANGLO AMERICAN PLC   COMMON
  ADR                STOCK     03485P102      12         400   SHARES                         X        1        400     0       0
ANGLOGOLD ASHANTI    COMMON
  SPON ADR           STOCK     035128206       4         110   SHARES                X                 1        110     0       0
ANHEUSER BUSCH COS   COMMON
  INC COM            STOCK     035229103    1257       24101   SHARES                X                 1      24101     0       0
ANHEUSER BUSCH COS   COMMON
  INC COM            STOCK     035229103    1161       22257   SHARES                         X        1      22257     0       0
ANIKA THERAPEUTICS   COMMON
  INC COM            STOCK     035255108      12         800   SHARES                         X        1        800     0       0


                                    2 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
ANNALY CAPITAL        COMMON
  MANAGEMENT INC      STOCK     035710409      18       1250    SHARES                X                 1       N.A.  N.A.   N.A.
ANNALY CAPITAL        COMMON
  MANAGEMENT INC      STOCK     035710409      27       1900    SHARES                         X        1       N.A.  N.A.   N.A.
ANNAPOLIS BANCORP     COMMON
  INCORPORATED        STOCK     035848100      13       1333    SHARES                         X        1       1333     0      0
ANSYS INC COM         COMMON
                      STOCK     03662Q105     284      10708    SHARES                X                 1       9888     0    820
ANTHRACITE CAPITAL    COMMON
  INC COM             STOCK     037023108      26       2193    SHARES                X                 1       N.A.  N.A.   N.A.
AON CORP COM          COMMON
                      STOCK     037389103     294       6900    SHARES                X                 1       6900     0      0
APACHE CORP COM       COMMON
                      STOCK     037411105    2547      31214    SHARES                X                 1      31214     0      0
APACHE CORP COM       COMMON
                      STOCK     037411105     714       8756    SHARES                         X        1       8546     0    210
APARTMENT INVT &      COMMON
  MGMT CL A           STOCK     03748R101       5        100    SHARES                X                 1       N.A.  N.A.   N.A.
APARTMENT INVT &      COMMON
  MGMT CL A           STOCK     03748R101      10        200    SHARES                         X        1       N.A.  N.A.   N.A.
APOLLO INVESTMENT     PREFERRED
  CORPORATION         STOCK     03761U106      32       1500    SHARES                X                 1       N.A.  N.A.   N.A.
APOLLO INVESTMENT     PREFERRED
  CORPORATION         STOCK     03761U106      17        800    SHARES                         X        1       N.A.  N.A.   N.A.
APPLE INC             COMMON
                      STOCK     037833100    7910      64811    SHARES                X                 1      63561     0   1250
APPLE INC             COMMON
                      STOCK     037833100     915       7500    SHARES                         X        1       5590     0   1910
APPLERA CORP-APPLIED  COMMON
  BIOSYSTEM           STOCK     038020103      37       1200    SHARES                X                 1       1200     0      0
APPLERA CORP-CELERA   COMMON
  GENOMICS G          STOCK     038020202       7        600    SHARES                X                 1        600     0      0
APPLIED MATERIALS     COMMON
  INC COM             STOCK     038222105     710      35731    SHARES                X                 1      34731     0   1000
APPLIED MATERIALS     COMMON
  INC COM             STOCK     038222105     106       5340    SHARES                         X        1       4640     0    700
AQUA AMERICA INC      COMMON
                      STOCK     03836W103     115       5109    SHARES                X                 1       5109     0      0
AQUA AMERICA INC      COMMON
                      STOCK     03836W103       6        258    SHARES                         X        1        258     0      0
ARCELOR MITTAL - CL   COMMON
  A-NY REG            STOCK     03937E101       6        100    SHARES                X                 1        100     0      0
ARCHER DANIELS        COMMON
  MIDLAND CO COM      STOCK     039483102     535      16164    SHARES                X                 1      16164     0      0
ARCHER DANIELS        COMMON
  MIDLAND CO COM      STOCK     039483102     219       6615    SHARES                         X        1       1115     0   5500
ARCHSTONE-SMITH       COMMON
  TRUST (REIT)        STOCK     039583109     125       2116    SHARES                X                 1       N.A.  N.A.   N.A.
ARCHSTONE-SMITH       COMMON
  TRUST (REIT)        STOCK     039583109     174       2947    SHARES                         X        1       N.A.  N.A.   N.A.
ARGONAUT GROUP        COMMON
                      STOCK     040157109      11        366    SHARES                X                 1        366     0      0
ARIAD                 COMMON
  PHARMACEUTICALS INC STOCK     04033A100      23       4200    SHARES                X                 1       3850     0    350
ARIBA INC             COMMON
                      STOCK     04033V203       0          5    SHARES                X                 1          5     0      0
ARQULE INC            COMMON
                      STOCK     04269E107      32       4500    SHARES                X                 1       4100     0    400
ARROW INTERNATIONAL   COMMON
  INC                 STOCK     042764100      54       1400    SHARES                X                 1       1400     0      0
ARROW INTERNATIONAL   COMMON
  INC                 STOCK     042764100      46       1200    SHARES                         X        1       1000     0    200
ARTESIAN RESOURCES    COMMON
  CORPORATION         STOCK     043113208      96       5016    SHARES                X                 1       3891     0   1125
ARTHROCARE CORP       COMMON
                      STOCK     043136100      18        400    SHARES                         X        1        400     0      0
ASA LTD               PREFERRED
                      STOCK     G3156P103      65       1000    SHARES                X                 1       N.A.  N.A.   N.A.
ASHLAND INC           COMMON
                      STOCK     044209104      14        225    SHARES                X                 1        225     0      0
ASTORIA FINANCIAL     COMMON
  CORP COM            STOCK     046265104       3        100    SHARES                         X        1        100     0      0
ASTRAZENECA GROUP     COMMON
  PLC SPONSORE        STOCK     046353108     112       2095    SHARES                X                 1       2095     0      0
ASTRAZENECA GROUP     COMMON
  PLC SPONSORE        STOCK     046353108      25        461    SHARES                         X        1        461     0      0
AT&T INC              COMMON
                      STOCK     00206R102   26794     645646    SHARES                X                 1     636788     0   8858
AT&T INC              COMMON
                      STOCK     00206R102   17665     425652    SHARES                         X        1     378325     0  47327
ATLAS PIPELINE        COMMON
  PARTNERS LP         STOCK     049392103      11        200    SHARES                X                 1        200     0      0
AUTODESK COM          COMMON
                      STOCK     052769106    2787      59200    SHARES                X                 1      57628     0   1572
AUTODESK COM          COMMON
                      STOCK     052769106      77       1630    SHARES                         X        1       1630     0      0
AUTOMATIC DATA        COMMON
  PROCESSING INC      STOCK     053015103    3159      65177    SHARES                X                 1      63727     0   1450
AUTOMATIC DATA        COMMON
  PROCESSING INC      STOCK     053015103    2449      50516    SHARES                         X        1      45356     0   5160
AVALONBAY             COMMON
  COMMUNITIES INC     STOCK     053484101      36        300    SHARES                X                 1       N.A.  N.A.   N.A.
AVATAR HOLDINGS       COMMON
  INCORPORATED        STOCK     053494100     469       6100    SHARES                X                 1       6100     0      0
AVAYA INC COM         COMMON
                      STOCK     053499109       7        407    SHARES                X                 1        407     0      0
AVAYA INC COM         COMMON
                      STOCK     053499109      12        714    SHARES                         X        1        701     0     13
AVERY DENNISON CORP   COMMON
  COM                 STOCK     053611109      10        155    SHARES                X                 1        155     0      0
AVERY DENNISON CORP   COMMON
  COM                 STOCK     053611109      53        800    SHARES                         X        1        800     0      0
AVID TECHNOLOGY INC   COMMON
                      STOCK     05367P100      18        500    SHARES                X                 1        500     0      0
AVIS BUDGET GROUP INC COMMON
                      STOCK     053774105       1         25    SHARES                         X        1         25     0      0
AVNET INC COM         COMMON
                      STOCK     053807103      20        500    SHARES                         X        1        500     0      0
AVON PRODUCTS INC     COMMON
                      STOCK     054303102     135       3660    SHARES                X                 1       3660     0      0
AVON PRODUCTS INC     COMMON
                      STOCK     054303102     288       7844    SHARES                         X        1       7844     0      0
AXA SPONSORED ADR     COMMON
                      STOCK     054536107      10        236    SHARES                         X        1        236     0      0
AXCELIS TECHNOLOGIES  COMMON
  INC COM             STOCK     054540109      17       2652    SHARES                         X        1       2652     0      0
B & G FOODS INC - EIS COMMON
                      STOCK     05508R205      35       1750    SHARES                X                 1       1750     0      0
BADGER METER INC      COMMON
                      STOCK     056525108     237       8400    SHARES                         X        1       8400     0      0
BAKER HUGHES INC COM  COMMON
                      STOCK     057224107      95       1133    SHARES                X                 1       1133     0      0
BAKER HUGHES INC COM  COMMON
                      STOCK     057224107      55        650    SHARES                         X        1        650     0      0
BALL CORPORATION      COMMON
                      STOCK     058498106    1276      24000    SHARES                X                 1      24000     0      0
BALLARD POWER SYSTEM  COMMON
  INC                 STOCK     05858H104       2        300    SHARES                X                 1        300     0      0
BANCORP RHODE ISLAND  COMMON
  INC                 STOCK     059690107       5        135    SHARES                X                 1        135     0      0
BANK AMER CORP        COMMON
                      STOCK     060505104   23823     487285    SHARES                X                 1     477836     0   9449
BANK AMER CORP        COMMON
                      STOCK     060505104   10583     216473    SHARES                         X        1     199546     0  16927
BANK NEW YORK INC COM COMMON
                      STOCK     064057102    3097      74735    SHARES                X                 1      72835     0   1900
BANK NEW YORK INC COM COMMON
                      STOCK     064057102    1114      26881    SHARES                         X        1      25231     0   1650
BANK OF HAWAII CORP   COMMON
                      STOCK     062540109      10        200    SHARES                         X        1        200     0      0
BANK OF IRELAND       COMMON
  SPONSORED ADR       STOCK     46267Q103       8        100    SHARES                X                 1        100     0      0
BANK OF IRELAND       COMMON
  SPONSORED ADR       STOCK     46267Q103     203       2500    SHARES                         X        1       2500     0      0
BARCLAYS PLC - SPONS  COMMON
  ADR                 STOCK     06738E204     223       4000    SHARES                         X        1       4000     0      0
BARD C R INC COM      COMMON
                      STOCK     067383109      58        700    SHARES                X                 1        700     0      0
BARD C R INC COM      COMMON
                      STOCK     067383109     331       4000    SHARES                         X        1       4000     0      0
BARR PHARMACEUTICALS  COMMON
  INC                 STOCK     068306109      70       1391    SHARES                X                 1       1391     0      0
BARRICK GOLD CORP     COMMON
                      STOCK     067901108      28        974    SHARES                X                 1        974     0      0
BARRICK GOLD CORP     COMMON
                      STOCK     067901108     151       5200    SHARES                         X        1       5100     0    100


                                    3 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
BAUSCH & LOMB INC COM COMMON
                      STOCK     071707103       3         50    SHARES                X                 1         50     0      0
BAXTER INTL INC       COMMON
                      STOCK     071813109     946      16789    SHARES                X                 1      16789     0      0
BAXTER INTL INC       COMMON
                      STOCK     071813109     490       8699    SHARES                         X        1       8699     0      0
BAY NATIONAL          COMMON
  CORPORATION         STOCK     072500101      16        990    SHARES                X                 1        990     0      0
BAYER AG SPONSORED    COMMON
  ADR                 STOCK     072730302      75       1000    SHARES                         X        1       1000     0      0
BB&T CORP COM         COMMON
                      STOCK     054937107    1293      31782    SHARES                X                 1      28754     0   3028
BB&T CORP COM         COMMON
                      STOCK     054937107     954      23440    SHARES                         X        1      21874     0   1566
BEAR STEARNS COS INC  COMMON
                      STOCK     073902108     143       1020    SHARES                X                 1       1020     0      0
BEAR STEARNS COS INC  COMMON
                      STOCK     073902108     169       1206    SHARES                         X        1       1206     0      0
BECKMAN COULTER INC   COMMON
                      STOCK     075811109     144       2228    SHARES                         X        1       1680     0    548
BECTON DICKINSON &    COMMON
  CO COM              STOCK     075887109     238       3189    SHARES                X                 1       3189     0      0
BECTON DICKINSON &    COMMON
  CO COM              STOCK     075887109     775      10400    SHARES                         X        1      10400     0      0
BED BATH & BEYOND     COMMON
  INC COM             STOCK     075896100     152       4210    SHARES                X                 1       4210     0      0
BED BATH & BEYOND     COMMON
  INC COM             STOCK     075896100      41       1140    SHARES                         X        1       1140     0      0
BELO CORPORATION CL A COMMON
                      STOCK     080555105      95       4600    SHARES                X                 1       4250     0    350
BEMIS INC             COMMON
                      STOCK     081437105      27        800    SHARES                         X        1        800     0      0
BENCHMARK             COMMON
  ELECTRONICS INC     STOCK     08160H101       4        172    SHARES                X                 1        172     0      0
BERKSHIRE HATHAWAY    COMMON
  INC CLASS A         STOCK     084670108     328          3    SHARES                         X        1          3     0      0
BERKSHIRE HATHAWAY    COMMON
  INC CLASS B         STOCK     084670207     973        270    SHARES                X                 1        270     0      0
BERKSHIRE HATHAWAY    COMMON
  INC CLASS B         STOCK     084670207     671        186    SHARES                         X        1        171     0     15
BEST BUY INC COM      COMMON
                      STOCK     086516101     304       6523    SHARES                X                 1       6523     0      0
BEST BUY INC COM      COMMON
                      STOCK     086516101     117       2512    SHARES                         X        1       2512     0      0
BHP BILLITON LTD      COMMON
  SPONSORED ADR       STOCK     088606108     182       3050    SHARES                X                 1       3050     0      0
BHP BILLITON LTD      COMMON
  SPONSORED ADR       STOCK     088606108     217       3632    SHARES                         X        1       2600     0   1032
BIG 5 SPORTING GOODS  COMMON
  CORP                STOCK     08915P101      68       2665    SHARES                X                 1       2450     0    215
BIOANALYTICAL         COMMON
  SYSTEMS INCORPOR    STOCK     09058M103       0         16    SHARES                X                 1         16     0      0
BIOGEN IDEC INC       COMMON
                      STOCK     09062X103     824      15399    SHARES                X                 1      15399     0      0
BIOGEN IDEC INC       COMMON
                      STOCK     09062X103     144       2696    SHARES                         X        1       2186     0    510
BIOMARIN              COMMON
  PHARMACEUTICAL INC  STOCK     09061G101      31       1750    SHARES                X                 1       1600     0    150
BIOMET COM            COMMON
                      STOCK     090613100      15        320    SHARES                         X        1        320     0      0
BIOTECH HOLDRS TRUST  COMMON
                      STOCK     09067D201      10         60    SHARES                X                 1         60     0      0
BIOVAIL CORP          COMMON
                      STOCK     09067J109      31       1226    SHARES                X                 1       1226     0      0
BJ SVCS CO COM        COMMON
                      STOCK     055482103       6        200    SHARES                X                 1        200     0      0
BJ SVCS CO COM        COMMON
                      STOCK     055482103      50       1765    SHARES                         X        1       1765     0      0
BLACK & DECKER CORP   COMMON
  COM                 STOCK     091797100     291       3300    SHARES                X                 1       3300     0      0
BLACK & DECKER CORP   COMMON
  COM                 STOCK     091797100    1658      18776    SHARES                         X        1      18776     0      0
BLACK HILLS CORP      COMMON
                      STOCK     092113109      72       1800    SHARES                X                 1       1800     0      0
BLACKROCK APEX        PREFERRED
  MUNICIPAL FUND      STOCK     09254H106      10       1000    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK APEX        PREFERRED
  MUNICIPAL FUND      STOCK     09254H106      21       2027    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK DEBT        PREFERRED
  STRATEGIES FUND     STOCK     09255R103     104      14500    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK
  DIVERSIFIED INC     PREFERRED
  STRA                STOCK     09255W102       6        300    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK DIVIDEND    PREFERRED
  ACHIEVERS T         STOCK     09250N107      99       6750    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK ENHANCED    PREFERRED
  DVD ACHIEVE         STOCK     09251A104     145      10000    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK ENHANCED    PREFERRED
  DVD ACHIEVE         STOCK     09251A104      10        680    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK GLOBAL      PREFERRED
  ENERGY & RESO       STOCK     09250U101      37       1200    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK HEALTH      PREFERRED
  SCIENCES TRUS       STOCK     09250W107     133       5000    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK INC         COMMON
                      STOCK     09247X101      47        300    SHARES                X                 1        300     0      0
BLACKROCK INSD MUNI   PREFERRED
  2008 TERM           STOCK     09247K109      62       4050    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK INSD MUNI   PREFERRED
  TERM TR             STOCK     092474105      17       1750    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK
  MUNIENHANCED FUND   PREFERRED
  IN                  STOCK     09253Y100      21       2032    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK MUNIHLDGS   PREFERRED
  NJ INSURED          STOCK     09254X101      44       3050    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK MUNIHLDGS   PREFERRED
  NY INSURED          STOCK     09255C106      41       3050    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK MUNIYLD     PREFERRED
  CALIFORNIA I        STOCK     09254N103      42       3050    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK MUNIYLD     PREFERRED
  FUND INC            STOCK     09253W104      15       1000    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK MUNIYLD     PREFERRED
  NEW YORK INS        STOCK     09255E102      21       1601    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK MUNIYLD     PREFERRED
  PENNSYLVANIA        STOCK     09255G107      17       1181    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK MUNIYLD     PREFERRED
  QUALITY FUND        STOCK     09254G108      83       6850    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK NY INS      PREFERRED
  MUNI 2008 TER       STOCK     09247L107      11        750    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK STRAT DVD   PREFERRED
  ACHV TRS            STOCK     09249Y107      20       1400    SHARES                X                 1       N.A.  N.A.   N.A.
BLDRS EMERGING        PREFERRED
  MARKETS 50 ADR      STOCK     09348R300       8        172    SHARES                X                 1       N.A.  N.A.   N.A.
BLOCK H & R INC       COMMON
                      STOCK     093671105      83       3532    SHARES                X                 1       3532     0      0
BLOCK H & R INC       COMMON
                      STOCK     093671105     150       6400    SHARES                         X        1       6400     0      0
BLUE CHIP VALUE FUND  PREFERRED
  INC                 STOCK     095333100      12       1920    SHARES                X                 1       N.A.  N.A.   N.A.
BOEING CO COM         COMMON
                      STOCK     097023105    2477      25763    SHARES                X                 1      25763     0      0
BOEING CO COM         COMMON
                      STOCK     097023105    1078      11207    SHARES                         X        1      11207     0      0
BOK FINANCIAL         COMMON
  CORPORATION         STOCK     05561Q201       1         11    SHARES                X                 1         11     0      0
BON-TON STORES        COMMON
  INCORPORATED        STOCK     09776J101    1602      40000    SHARES                X                 1      40000     0      0
BORDERS GROUP INC COM COMMON
                      STOCK     099709107      21       1100    SHARES                X                 1       1100     0      0
BOSTON BEER           COMMON
  INCORPORATED CLASS  STOCK     100557107       2         50    SHARES                X                 1         50     0      0
BOSTON BEER           COMMON
  INCORPORATED CLASS  STOCK     100557107       4        100    SHARES                         X        1        100     0      0
BOSTON PROPERTIES     COMMON
  INC (REIT)          STOCK     101121101     537       5262    SHARES                X                 1       N.A.  N.A.   N.A.
BOSTON PROPERTIES     COMMON
  INC (REIT)          STOCK     101121101     306       3000    SHARES                         X        1       N.A.  N.A.   N.A.
BOSTON SCIENTIFIC     COMMON
  CORP COM            STOCK     101137107     112       7287    SHARES                X                 1       7287     0      0
BOSTON SCIENTIFIC     COMMON
  CORP COM            STOCK     101137107      91       5947    SHARES                         X        1       5947     0      0
BOULDER TOTAL RETURN  PREFERRED
  FUND INC            STOCK     101541100      41       1900    SHARES                X                 1       N.A.  N.A.   N.A.
BP PLC SPONSORED ADR  COMMON
                      STOCK     055622104   18360     254512    SHARES                X                 1     253528     0    984
BP PLC SPONSORED ADR  COMMON
                      STOCK     055622104   13760     190746    SHARES                         X        1     172788     0  17958
BRADLEY               COMMON
  PHARMACEUTICALS INC STOCK     104576103      38       1750    SHARES                X                 1       1600     0    150


                                    4 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
BRANDYWINE REALTY     COMMON
  TRUST (REIT)        STOCK     105368203      43       1500    SHARES                X                 1       N.A.  N.A.   N.A.
BRIGHTPOINT INC       COMMON
                      STOCK     109473405       2        165    SHARES                X                 1        165     0      0
BRINKER INTL INC COM  COMMON
                      STOCK     109641100    1005      34349    SHARES                X                 1      34000     0    349
BRINKER INTL INC COM  COMMON
                      STOCK     109641100     540      18464    SHARES                         X        1      18464     0      0
BRISTOL-MYERS SQUIBB  COMMON
  CO                  STOCK     110122108    9981     316259    SHARES                X                 1     315859     0    400
BRISTOL-MYERS SQUIBB  COMMON
  CO                  STOCK     110122108    9080     287698    SHARES                         X        1     257158     0  30540
BROADCOM CORP CL A    COMMON
                      STOCK     111320107     628      21475    SHARES                X                 1      21475     0      0
BROADRIDGE FINANCIAL  COMMON
  SOLUTIONS           STOCK     11133T103     317      16596    SHARES                X                 1      15906     0    690
BROADRIDGE FINANCIAL  COMMON
  SOLUTIONS           STOCK     11133T103     117       6116    SHARES                         X        1       6116     0      0
BROOKFIELD HOMES      COMMON
  CORPORATION         STOCK     112723101      99       3400    SHARES                X                 1       3400     0      0
BROWN-FORMAN CORP CL  COMMON
  B                   STOCK     115637209      22        300    SHARES                         X        1        300     0      0
BRUNSWICK CORP COM    COMMON
                      STOCK     117043109       4        120    SHARES                X                 1        120     0      0
BRUSH ENGINEERED      COMMON
  MATERIALS INC       STOCK     117421107      77       1835    SHARES                X                 1       1700     0    135
BRYN MAWR BANK        COMMON
  CORPORATION         STOCK     117665109     262      11392    SHARES                X                 1      11392     0      0
BT GROUP PLC-SPON ADR COMMON
                      STOCK     05577E101      17        250    SHARES                         X        1        250     0      0
BUCKEYE PARTNERS LP   COMMON
  UNIT LTD P          STOCK     118230101      46        900    SHARES                X                 1        900     0      0
BUCYRUS               COMMON
  INTERNATIONAL INC-A STOCK     118759109      92       1305    SHARES                X                 1       1200     0    105
BURLINGTON NORTHERN   COMMON
  SANTA FE C          STOCK     12189T104    3886      45644    SHARES                X                 1      44165     0   1479
BURLINGTON NORTHERN   COMMON
  SANTA FE C          STOCK     12189T104    1146      13462    SHARES                         X        1      12262     0   1200
CA INC                COMMON
                      STOCK     12673P105     139       5393    SHARES                X                 1       5393     0      0
CABELA'S INC -CLASS A COMMON
                      STOCK     126804301      17        755    SHARES                X                 1        755     0      0
CABOT OIL & GAS CORP  COMMON
                      STOCK     127097103      33        904    SHARES                X                 1        904     0      0
CACHE INC             COMMON
                      STOCK     127150308     119       8940    SHARES                X                 1       8275     0    665
CADBURY SCHWEPPES     COMMON
  PLC SPONS AD        STOCK     127209302       6        108    SHARES                X                 1        108     0      0
CADENCE DESIGN SYS    COMMON
  INC                 STOCK     127387108      27       1250    SHARES                X                 1       1250     0      0
CADENCE DESIGN SYS    COMMON
  INC                 STOCK     127387108      37       1700    SHARES                         X        1       1700     0      0
CAL DIVE              COMMON
  INTERNATIONAL INC   STOCK     12802T101     140       8400    SHARES                X                 1       7700     0    700
CALAMOS CONV & HIGH   PREFERRED
  INC FD              STOCK     12811P108      73       4500    SHARES                         X        1       N.A.  N.A.   N.A.
CALAMOS STRATEGIC     PREFERRED
  TOT RET FD          STOCK     128125101       8        500    SHARES                         X        1       N.A.  N.A.   N.A.
CALLAWAY GOLF CO COM  COMMON
                      STOCK     131193104       0         23    SHARES                X                 1         23     0      0
CAMDEN PROPERTY       COMMON
  TRUST (REIT)        STOCK     133131102      67       1000    SHARES                X                 1       N.A.  N.A.   N.A.
CAMECO CORPORATION    COMMON
                      STOCK     13321L108      23        450    SHARES                X                 1        450     0      0
CAMERON               COMMON
  INTERNATIONAL CORP  STOCK     13342B105      71       1000    SHARES                X                 1       1000     0      0
CAMPBELL SOUP CO COM  COMMON
                      STOCK     134429109     146       3750    SHARES                X                 1       3750     0      0
CAMPBELL SOUP CO COM  COMMON
                      STOCK     134429109     186       4800    SHARES                         X        1       4800     0      0
CANADIAN NATIONAL     COMMON
  RAILWAY COMP        STOCK     136375102     154       3025    SHARES                X                 1       3025     0      0
CANADIAN NATURAL      COMMON
  RESOURCES LTD       STOCK     136385101     100       1500    SHARES                X                 1       1500     0      0
CANON INC SPONS ADR   COMMON
                      STOCK     138006309      29        500    SHARES                         X        1        500     0      0
CANTEL MEDICAL        COMMON
  CORPORATION         STOCK     138098108      54       3187    SHARES                X                 1       2947     0    240
CAPELLA EDUCATION     COMMON
  COMPANY             STOCK     139594105      66       1425    SHARES                X                 1       1300     0    125
CAPITAL ONE           COMMON
  FINANCIAL CORP      STOCK     14040H105    5938      75703    SHARES                X                 1      73902     0   1801
CAPITAL ONE           COMMON
  FINANCIAL CORP      STOCK     14040H105    2343      29864    SHARES                         X        1      23989     0   5875
CAPITALSOURCE INC     COMMON
                      STOCK     14055X102     219       8917    SHARES                X                 1       8487     0    430
CAPITALSOURCE INC     COMMON
                      STOCK     14055X102      20        800    SHARES                         X        1        800     0      0
CARDINAL HEALTH INC   COMMON
                      STOCK     14149Y108     293       4152    SHARES                X                 1       4152     0      0
CARDINAL HEALTH INC   COMMON
                      STOCK     14149Y108     295       4173    SHARES                         X        1       4173     0      0
CARDIOME PHARMA CORP  COMMON
                      STOCK     14159U202      58       6300    SHARES                         X        1       6300     0      0
CAREER EDUCATION      COMMON
  CORP COM            STOCK     141665109      22        640    SHARES                X                 1        640     0      0
CARLISLE COMPANIES    COMMON
  INC                 STOCK     142339100      37        800    SHARES                X                 1          0     0    800
CARLISLE COMPANIES    COMMON
  INC                 STOCK     142339100    2079      44700    SHARES                         X        1      44000     0    700
CARMAX INC            COMMON
                      STOCK     143130102     111       4351    SHARES                X                 1       4351     0      0
CARMAX INC            COMMON
                      STOCK     143130102      33       1302    SHARES                         X        1       1302     0      0
CARNIVAL CORPORATION  COMMON
                      STOCK     143658300    4818      98781    SHARES                X                 1      98066     0    715
CARNIVAL CORPORATION  COMMON
                      STOCK     143658300     765      15691    SHARES                         X        1      14591     0   1100
CARPENTER TECHNOLOGY  COMMON
  CORP COM            STOCK     144285103     360       2764    SHARES                         X        1       1964     0    800
CARROLLTON BANCORP    COMMON
                      STOCK     145282109       8        462    SHARES                X                 1        462     0      0
CATERPILLAR INC       COMMON
                      STOCK     149123101    6347      81058    SHARES                X                 1      77514     0   3544
CATERPILLAR INC       COMMON
                      STOCK     149123101     836      10679    SHARES                         X        1       7589     0   3090
CAVCO INDUSTRIES,     COMMON
  INC.                STOCK     149568107       2         60    SHARES                X                 1         60     0      0
CBS CORP CL A         COMMON
                      STOCK     124857103       7        225    SHARES                         X        1        225     0      0
CBS CORP CL B         COMMON
                      STOCK     124857202     321       9631    SHARES                X                 1       9631     0      0
CBS CORP CL B         COMMON
                      STOCK     124857202     189       5672    SHARES                         X        1       5347     0    325
C-COR INC             COMMON
                      STOCK     125010108      91       6500    SHARES                X                 1       6500     0      0
C-COR INC             COMMON
                      STOCK     125010108     844      60000    SHARES                         X        1      60000     0      0
CECO ENVIRONMENTAL    COMMON
  CORP                STOCK     125141101     118      10300    SHARES                X                 1       9461     0    839
CEDAR FAIR LTD PTR    COMMON
                      STOCK     150185106      14        500    SHARES                X                 1        500     0      0
CELGENE CORP COM      COMMON
                      STOCK     151020104      32        550    SHARES                X                 1        550     0      0
CELGENE CORP COM      COMMON
                      STOCK     151020104      69       1200    SHARES                         X        1       1200     0      0
CENTERLINE HOLDING CO COMMON
                      STOCK     15188T108      21       1150    SHARES                X                 1       1150     0      0
CENTERLINE HOLDING CO COMMON
                      STOCK     15188T108      97       5406    SHARES                         X        1       5406     0      0
CENTERPLATE INC-IDS   COMMON
                      STOCK     15200E204      19       1100    SHARES                X                 1       1100     0      0
CENTERPOINT ENERGY    COMMON
  INC                 STOCK     15189T107      41       2332    SHARES                X                 1       2332     0      0
CENTEX CORP           COMMON
                      STOCK     152312104     124       3100    SHARES                X                 1       3100     0      0
CENTEX CORP           COMMON
                      STOCK     152312104      38        950    SHARES                         X        1        950     0      0
CENTRAL SECURITIES    PREFERRED
  CORP                STOCK     155123102      40       1379    SHARES                X                 1       N.A.  N.A.   N.A.
CENTURY ALUMINUM      COMMON
  COMPANY             STOCK     156431108     273       5000    SHARES                X                 1       4900     0    100
CENTURYTEL INC COM    COMMON
                      STOCK     156700106     113       2300    SHARES                X                 1       2300     0      0
CEPHALON INC COM      COMMON
                      STOCK     156708109     118       1472    SHARES                X                 1       1377     0     95


                                    5 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
CERNER CORP           COMMON
                      STOCK     156782104    5929     106885    SHARES                X                 1     104023     0   2862
CERNER CORP           COMMON
                      STOCK     156782104     723      13035    SHARES                         X        1      11585     0   1450
CH ENERGY GROUP INC   COMMON
  COM                 STOCK     12541M102      45       1000    SHARES                X                 1       1000     0      0
CH ENERGY GROUP INC   COMMON
  COM                 STOCK     12541M102     135       3000    SHARES                         X        1       3000     0      0
CH ROBINSON           COMMON
  WORLDWIDE INC       STOCK     12541W209     189       3607    SHARES                X                 1       3417     0    190
CHAMPION ENTERPRISES  COMMON
  INC                 STOCK     158496109       9        910    SHARES                X                 1        910     0      0
CHASE CORPORATION     COMMON
                      STOCK     16150R104     450      26800    SHARES                         X        1      26800     0      0
CHECKFREE CORP COM    COMMON
                      STOCK     162813109     143       3551    SHARES                X                 1       3296     0    255
CHESAPEAKE ENERGY     COMMON
  CORP COM            STOCK     165167107      62       1800    SHARES                X                 1       1800     0      0
CHESAPEAKE UTILITIES  COMMON
  CORPORATI           STOCK     165303108      26        750    SHARES                         X        1        750     0      0
CHEVRON CORP          COMMON
                      STOCK     166764100   38914     461943    SHARES                X                 1     453791     0   8152
CHEVRON CORP          COMMON
                      STOCK     166764100   21169     251295    SHARES                         X        1     232694     0  18601
CHICAGO BRIDGE &      COMMON
  IRON CO N V C       STOCK     167250109     487      12895    SHARES                X                 1      12415     0    480
CHICAGO BRIDGE &      COMMON
  IRON CO N V C       STOCK     167250109      69       1825    SHARES                         X        1         25     0   1800
CHICOS FAS INC        COMMON
                      STOCK     168615102     173       7093    SHARES                X                 1       6673     0    420
CHICOS FAS INC        COMMON
                      STOCK     168615102       7        300    SHARES                         X        1        300     0      0
CHILDRENS PLACE       COMMON
  RETAIL STORES       STOCK     168905107     227       4390    SHARES                X                 1       4080     0    310
CHINA FUND INC        PREFERRED
                      STOCK     169373107      14        375    SHARES                X                 1       N.A.  N.A.   N.A.
CHINA GRENTECH CORP   COMMON
  LTD-ADR             STOCK     16938P107      73       5475    SHARES                X                 1       5000     0    475
CHINA MOBILE LTD      COMMON
  SPON ADR            STOCK     16941M109      16        300    SHARES                         X        1        300     0      0
CHOICEPOINT INC COM   COMMON
                      STOCK     170388102      11        266    SHARES                         X        1        266     0      0
CHRISTOPHER & BANKS   COMMON
  CORP                STOCK     171046105       6        337    SHARES                X                 1        337     0      0
CHUBB CORP            COMMON
                      STOCK     171232101     468       8650    SHARES                X                 1       8650     0      0
CHUBB CORP            COMMON
                      STOCK     171232101     307       5678    SHARES                         X        1       5678     0      0
CIENA CORP            COMMON
                      STOCK     171779309      67       1852    SHARES                X                 1       1701     0    151
CIGNA CORP            COMMON
                      STOCK     125509109     778      14907    SHARES                X                 1      14907     0      0
CIGNA CORP            COMMON
                      STOCK     125509109     282       5400    SHARES                         X        1       5400     0      0
CINCINNATI FINL CORP  COMMON
  COM                 STOCK     172062101    1329      30631    SHARES                X                 1      29761     0    870
CINCINNATI FINL CORP  COMMON
  COM                 STOCK     172062101     133       3065    SHARES                         X        1       3065     0      0
CIRCUIT STORES COM    COMMON
                      STOCK     172737108       5        300    SHARES                X                 1        300     0      0
CIRCUIT STORES COM    COMMON
                      STOCK     172737108      57       3800    SHARES                         X        1       3800     0      0
CISCO SYSTEMS INC     COMMON
                      STOCK     17275R102   21584     775020    SHARES                X                 1     759733     0  15287
CISCO SYSTEMS INC     COMMON
                      STOCK     17275R102    6626     237904    SHARES                         X        1     214719     0  23185
CIT GROUP INC         COMMON
                      STOCK     125581108    4815      87822    SHARES                X                 1      84308     0   3514
CIT GROUP INC         COMMON
                      STOCK     125581108     650      11860    SHARES                         X        1      10665     0   1195
CITADEL BROADCASTING  COMMON
  COMPANY             STOCK     17285T106      90      13975    SHARES                X                 1      13952     0     23
CITADEL BROADCASTING  COMMON
  COMPANY             STOCK     17285T106      45       7043    SHARES                         X        1       6570     0    473
CITIGROUP INC COM     COMMON
                      STOCK     172967101   22197     432783    SHARES                X                 1     421565     0  11218
CITIGROUP INC COM     COMMON
                      STOCK     172967101    9340     182094    SHARES                         X        1     169343     0  12751
CITIZENS              COMMON
  COMMUNICATIONS CO   STOCK     17453B101     140       9200    SHARES                X                 1       7700     0   1500
CITIZENS              COMMON
  COMMUNICATIONS CO   STOCK     17453B101      98       6450    SHARES                         X        1       3200     0   3250
CITRIX SYSTEMS INC    COMMON
  COM                 STOCK     177376100    1225      36382    SHARES                X                 1      36142     0    240
CITRIX SYSTEMS INC    COMMON
  COM                 STOCK     177376100      13        400    SHARES                         X        1        400     0      0
CITY NATIONAL CORP    COMMON
  COM                 STOCK     178566105      22        290    SHARES                         X        1        290     0      0
CLEAR CHANNEL         COMMON
  COMMUNICATIONS I    STOCK     184502102      39       1025    SHARES                X                 1       1025     0      0
CLEAR CHANNEL         COMMON
  COMMUNICATIONS I    STOCK     184502102     128       3375    SHARES                         X        1       3375     0      0
CLEVELAND CLIFFS INC  COMMON
  COM                 STOCK     185896107    2689      34623    SHARES                X                 1      33309     0   1314
CLEVELAND CLIFFS INC  COMMON
  COM                 STOCK     185896107     534       6870    SHARES                         X        1       4785     0   2085
CLOROX COMPANY        COMMON
                      STOCK     189054109     481       7752    SHARES                X                 1       7752     0      0
CLOROX COMPANY        COMMON
                      STOCK     189054109     311       5015    SHARES                         X        1       5015     0      0
CMS ENERGY CORP COM   COMMON
                      STOCK     125896100       3        200    SHARES                         X        1        200     0      0
CNOOC LTD-ADR         COMMON
                      STOCK     126132109      34        300    SHARES                         X        1        300     0      0
COACH INC             COMMON
                      STOCK     189754104     807      17019    SHARES                X                 1      16814     0    205
COACH INC             COMMON
                      STOCK     189754104     336       7082    SHARES                         X        1       7082     0      0
COCA COLA BOTTLING    COMMON
  CO CONSOLID         STOCK     191098102       6        125    SHARES                X                 1        125     0      0
COCA COLA CO COM      COMMON
                      STOCK     191216100   15506     296422    SHARES                X                 1     290585     0   5837
COCA COLA CO COM      COMMON
                      STOCK     191216100    6820     130381    SHARES                         X        1     129021     0   1360
COCA COLA             COMMON
  ENTERPRISES INC     STOCK     191219104      24       1000    SHARES                X                 1       1000     0      0
CODORUS VALLEY        COMMON
  BANCORP INC         STOCK     192025104    1015      53922    SHARES                X                 1      37697     0  16225
CODORUS VALLEY        COMMON
  BANCORP INC         STOCK     192025104      38       2024    SHARES                         X        1       2024     0      0
COGNIZANT TECH SOL    COMMON
  CORP                STOCK     192446102     238       3172    SHARES                X                 1       2972     0    200
COHEN & STEERS        PREFERRED
  ADVANTAGE INC R     STOCK     19247W102      22       1000    SHARES                         X        1       N.A.  N.A.   N.A.
COHEN & STEERS        PREFERRED
  QUALITY INC RLT     STOCK     19247L106      84       4028    SHARES                X                 1       N.A.  N.A.   N.A.
COHEN & STEERS        PREFERRED
  SELECT UTILITY      STOCK     19248A109      26       1009    SHARES                X                 1       N.A.  N.A.   N.A.
COHU INCORPORATED     COMMON
                      STOCK     192576106      18        800    SHARES                X                 1        800     0      0
COINMACH SERVICE CORP COMMON
                      STOCK     19259W107      10        500    SHARES                X                 1        500     0      0
COLGATE PALMOLIVE CO  COMMON
  COM                 STOCK     194162103    6507     100337    SHARES                X                 1     100337     0      0
COLGATE PALMOLIVE CO  COMMON
  COM                 STOCK     194162103    4190      64610    SHARES                         X        1      54760     0   9850
COLLECTORS UNIVERSE   COMMON
  INC                 STOCK     19421R200       1         50    SHARES                X                 1         50     0      0
COLONIAL BANCGROUP    COMMON
  INC                 STOCK     195493309      56       2250    SHARES                X                 1       2250     0      0
COMCAST CORP NEW A    COMMON
                      STOCK     20030N101    9480     337126    SHARES                X                 1     328640     0   8486
COMCAST CORP NEW A    COMMON
                      STOCK     20030N101    2338      83160    SHARES                         X        1      80106     0   3054
COMCAST CORP-         COMMON
  SPECIAL CL A        STOCK     20030N200     759      27158    SHARES                X                 1      27158     0      0
COMCAST CORP-         COMMON
  SPECIAL CL A        STOCK     20030N200     203       7270    SHARES                         X        1       6970     0    300
COMERICA INC          COMMON
                      STOCK     200340107     173       2916    SHARES                X                 1       2916     0      0
COMMERCE BANCORP INC  COMMON
  N J                 STOCK     200519106      11        300    SHARES                X                 1        300     0      0
COMMERCE BANCORP INC  COMMON
  N J                 STOCK     200519106      78       2100    SHARES                         X        1       1500     0    600
COMMERCE ENERGY       COMMON
  GROUP INC           STOCK     20061Q106       1        325    SHARES                X                 1        325     0      0



                                    6 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
COMMERCIAL NATL       COMMON
  FINANCIAL CORP      STOCK     202217105      15        820    SHARES                X                 1        820     0     0
COMMSCOPE INC COM     COMMON
                      STOCK     203372107     146       2510    SHARES                X                 1       2300     0   210
COMMUNITY BANK        COMMON
  SYSTEM INC          STOCK     203607106     516      25762    SHARES                X                 1      25762     0     0
COMMUNITY BANKS INC   COMMON
  COM                 STOCK     203628102     564      17501    SHARES                X                 1      16051     0  1450
COMMUNITY BANKS INC   COMMON
  COM                 STOCK     203628102    1089      33789    SHARES                         X        1      32285  1504     0
COMMUNITY HEALTH      COMMON
  SYSTEMS INC         STOCK     203668108      61       1500    SHARES                         X        1       1500     0     0
COMPANHIA VALE DO     COMMON
  RIO DOCE SPO        STOCK     204412100      19        500    SHARES                X                 1        500     0     0
COMPANHIA VALE DO     COMMON
  RIO DOCE-ADR        STOCK     204412209    1388      31165    SHARES                X                 1      31165     0     0
COMPANIA DE           COMMON
  TELECOMUNICACIONES  STOCK     204449300       5        500    SHARES                X                 1        500     0     0
COMPTON PETROLEUM     COMMON
  CORP                STOCK     204940100      60       6000    SHARES                         X        1       6000     0     0
COMPUTER SCIENCES     COMMON
  CORP COM            STOCK     205363104      24        400    SHARES                X                 1        400     0     0
COMPUTER SCIENCES     COMMON
  CORP COM            STOCK     205363104      12        200    SHARES                         X        1        200     0     0
COMPUTER TASK GROUP   COMMON
                      STOCK     205477102     260      58750    SHARES                X                 1      58750     0     0
COMPUWARE CORP        COMMON
                      STOCK     205638109      18       1500    SHARES                         X        1       1500     0     0
CONAGRA FOODS INC     COMMON
                      STOCK     205887102      56       2103    SHARES                X                 1       2103     0     0
CONAGRA FOODS INC     COMMON
                      STOCK     205887102     125       4654    SHARES                         X        1       4654     0     0
CONOCOPHILLIPS        COMMON
                      STOCK     20825C104   19681     250714    SHARES                X                 1     246081     0  4633
CONOCOPHILLIPS        COMMON
                      STOCK     20825C104    6648      84684    SHARES                         X        1      77685     0  6999
CONSOL ENERGY INC     COMMON
                      STOCK     20854P109      65       1400    SHARES                X                 1       1400     0     0
CONSOLIDATED          COMMON
  COMMUNICATIONS HL   STOCK     209034107      14        600    SHARES                X                 1        600     0     0
CONSOLIDATED EDISON   COMMON
  INC COM             STOCK     209115104     283       6268    SHARES                X                 1       6268     0     0
CONSOLIDATED EDISON   COMMON
  INC COM             STOCK     209115104     331       7333    SHARES                         X        1       7333     0     0
CONSOLIDATED-TOMOKA   COMMON
  LAND CO             STOCK     210226106      29        422    SHARES                X                 1        422     0     0
CONSTELLATION BRANDS  COMMON
  INC CL A            STOCK     21036P108      18        757    SHARES                X                 1        757     0     0
CONSTELLATION BRANDS  COMMON
  INC CL A            STOCK     21036P108      22        900    SHARES                         X        1        900     0     0
CONSTELLATION ENERGY  COMMON
  GROUP INC           STOCK     210371100    4878      55961    SHARES                X                 1      55961     0     0
CONSTELLATION ENERGY  COMMON
  GROUP INC           STOCK     210371100    6589      75587    SHARES                         X        1      70987     0  4600
CONVERGYS CORP        COMMON
                      STOCK     212485106      10        400    SHARES                         X        1        400     0     0
COOPER INDUSTRIES     COMMON
  LTD CL A            STOCK     G24182100     164       2874    SHARES                X                 1       2874     0     0
COOPER INDUSTRIES     COMMON
  LTD CL A            STOCK     G24182100     137       2400    SHARES                         X        1       2400     0     0
CORN PRODS INTL INC   COMMON
  COM                 STOCK     219023108      47       1029    SHARES                X                 1       1029     0     0
CORN PRODS INTL INC   COMMON
  COM                 STOCK     219023108     222       4888    SHARES                         X        1       4888     0     0
CORNERSTONE           PREFERRED
  STRATEGIC VALUE FU  STOCK     21924B104       1        128    SHARES                X                 1       N.A.  N.A.  N.A.
CORNING INC           COMMON
                      STOCK     219350105    6520     255167    SHARES                X                 1     251027     0  4140
CORNING INC           COMMON
                      STOCK     219350105    1146      44845    SHARES                         X        1      38135     0  6710
CORP OFFICE           COMMON
  PROPERTIES TR (REI  STOCK     22002T108      21        500    SHARES                X                 1       N.A.  N.A.  N.A.
CORTEX                COMMON
  PHARMACEUTICALS INC STOCK     220524300       4       1390    SHARES                         X        1       1390     0     0
COSTCO WHOLESALE      COMMON
  CORP COM            STOCK     22160K105     522       8925    SHARES                X                 1       8925     0     0
COSTCO WHOLESALE      COMMON
  CORP COM            STOCK     22160K105     303       5175    SHARES                         X        1       5175     0     0
COUNTRYWIDE           COMMON
  FINANCIAL CORP      STOCK     222372104       7        198    SHARES                X                 1        198     0     0
COUNTRYWIDE           COMMON
  FINANCIAL CORP      STOCK     222372104      44       1200    SHARES                         X        1          0     0  1200
COVANCE INC COM       COMMON
                      STOCK     222816100     111       1617    SHARES                X                 1       1617     0     0
COVANCE INC COM       COMMON
                      STOCK     222816100      88       1283    SHARES                         X        1       1283     0     0
COVENTRY HEALTH CARE  COMMON
  INC                 STOCK     222862104      12        200    SHARES                X                 1        200     0     0
COVENTRY HEALTH CARE  COMMON
  INC                 STOCK     222862104       6        100    SHARES                         X        1        100     0     0
CRANE CO              COMMON
                      STOCK     224399105     466      10246    SHARES                         X        1      10246     0     0
CRAY INC              COMMON
                      STOCK     225223304       1         75    SHARES                X                 1         75     0     0
CREE RESEARCH INC COM COMMON
                      STOCK     225447101      73       2835    SHARES                X                 1       2600     0   235
CREE RESEARCH INC COM COMMON
                      STOCK     225447101      45       1750    SHARES                         X        1          0     0  1750
CROSS COUNTRY HEALTH  COMMON
  CARE INC            STOCK     227483104      58       3485    SHARES                X                 1       3200     0   285
CROSS TIMBERS         COMMON
  ROYALTY TRUST       STOCK     22757R109       0          1    SHARES                X                 1       N.A.  N.A.  N.A.
CRYOLIFE INC          COMMON
                      STOCK     228903100     107       8209    SHARES                         X        1       8209     0     0
CSX CORP              COMMON
                      STOCK     126408103    1693      37552    SHARES                X                 1      37552     0     0
CSX CORP              COMMON
                      STOCK     126408103    1329      29484    SHARES                         X        1      20284     0  9200
CUBIST                COMMON
  PHARMACEUTICALS INC STOCK     229678107      46       2315    SHARES                X                 1       2100     0   215
CUMMINS INC COM       COMMON
                      STOCK     231021106      20        200    SHARES                X                 1        200     0     0
CURTISS WRIGHT CORP   COMMON
                      STOCK     231561101      78       1676    SHARES                X                 1       1676     0     0
CURTISS WRIGHT CORP   COMMON
                      STOCK     231561101      47       1000    SHARES                         X        1       1000     0     0
CUTERA INC            COMMON
                      STOCK     232109108      12        500    SHARES                X                 1        500     0     0
CVS /CAREMARK CORP    COMMON
                      STOCK     126650100    6048     165920    SHARES                X                 1     164520     0  1400
CVS /CAREMARK CORP    COMMON
                      STOCK     126650100    2261      62036    SHARES                         X        1      60576     0  1460
CYTYC CORP            COMMON
                      STOCK     232946103    4365     101263    SHARES                X                 1      98577     0  2686
CYTYC CORP            COMMON
                      STOCK     232946103      12        274    SHARES                         X        1        274     0     0
D R HORTON INC        COMMON
                      STOCK     23331A109      38       1900    SHARES                X                 1       1900     0     0
D R HORTON INC        COMMON
                      STOCK     23331A109      29       1480    SHARES                         X        1       1480     0     0
D&E COMMUNICATIONS    COMMON
  INC                 STOCK     232860106       6        300    SHARES                X                 1        300     0     0
DAIMLERCHRYSLER AG    COMMON
                      STOCK     D1668R123      77        838    SHARES                X                 1        373     0   465
DAIMLERCHRYSLER AG    COMMON
                      STOCK     D1668R123     119       1298    SHARES                         X        1        448     0   850
DANAHER CORP COM      COMMON
                      STOCK     235851102    1371      18165    SHARES                X                 1      18165     0     0
DANAHER CORP COM      COMMON
                      STOCK     235851102     121       1606    SHARES                         X        1       1036     0   570
DARDEN RESTAURANTS    COMMON
  INC COM             STOCK     237194105    1330      30240    SHARES                X                 1      30240     0     0
DARDEN RESTAURANTS    COMMON
  INC COM             STOCK     237194105     306       6948    SHARES                         X        1       6948     0     0
DARLING               COMMON
  INTERNATIONAL INC   STOCK     237266101      56       6075    SHARES                X                 1       5600     0   475
DAVITA INC WITH       COMMON
  ATTACHED RIGHT      STOCK     23918K108     105       1941    SHARES                         X        1       1641     0   300
DECODE GENETICS INC   COMMON
                      STOCK     243586104       1        300    SHARES                X                 1        300     0     0
DEERE & CO            COMMON
                      STOCK     244199105    2589      21441    SHARES                X                 1      21141     0   300
DEERE & CO            COMMON
                      STOCK     244199105     867       7180    SHARES                         X        1       6437     0   743
DEL MONTE FOODS CO    COMMON
                      STOCK     24522P103      16       1303    SHARES                X                 1       1303     0     0



                                    7 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
DEL MONTE FOODS CO    COMMON
                      STOCK     24522P103      22       1780    SHARES                         X        1       1780     0     0
DELEK US HOLDINGS INC COMMON
                      STOCK     246647101      26        989    SHARES                X                 1        989     0     0
DELHAIZE GROUP        COMMON
  SPONSORED ADR       STOCK     29759W101      10        100    SHARES                X                 1        100     0     0
DELL INC              COMMON
                      STOCK     24702R101    2706      94795    SHARES                X                 1      94395     0   400
DELL INC              COMMON
                      STOCK     24702R101     903      31645    SHARES                         X        1      28780     0  2865
DELTA AIR LINES INC   COMMON
                      STOCK     247361702      68       3446    SHARES                X                 1       3171     0   275
DELTA PETROLEUM CORP  COMMON
                      STOCK     247907207     231      11500    SHARES                         X        1      11500     0     0
DELUXE CORPORATION    COMMON
                      STOCK     248019101      46       1124    SHARES                X                 1       1124     0     0
DENBURY RESOURCES     COMMON
  INCORPORATED        STOCK     247916208     197       5253    SHARES                X                 1       4888     0   365
DENTSPLY
  INTERNATIONAL INC   COMMON
  COM                 STOCK     249030107    1543      40341    SHARES                X                 1      40051     0   290
DENTSPLY
  INTERNATIONAL INC   COMMON
  COM                 STOCK     249030107     422      11030    SHARES                         X        1      11030     0     0
DEUTSCHE TELEKOM AG   COMMON
  SPONSORED           STOCK     251566105       7        376    SHARES                         X        1        376     0     0
DEV DIVERSIFIED RLTY  COMMON
  CORP                STOCK     251591103     154       2931    SHARES                X                 1       N.A.  N.A.  N.A.
DEV DIVERSIFIED RLTY  COMMON
  CORP                STOCK     251591103      32        600    SHARES                         X        1       N.A.  N.A.  N.A.
DEVON ENERGY CORP     COMMON
                      STOCK     25179M103    1954      24957    SHARES                X                 1      24631     0   326
DEVON ENERGY CORP     COMMON
                      STOCK     25179M103     291       3717    SHARES                         X        1       3317     0   400
DEVRY INC             COMMON
                      STOCK     251893103      17        500    SHARES                X                 1        500     0     0
DG FASTCHANNEL INC    COMMON
                      STOCK     23326R109      69       3400    SHARES                X                 1       3100     0   300
DIAGEO PLC SPONSORED  COMMON
  ADR                 STOCK     25243Q205     278       3334    SHARES                X                 1       3334     0     0
DIAMOND OFFSHORE      COMMON
  DRILLING COM        STOCK     25271C102       5         50    SHARES                X                 1         50     0     0
DIAMONDS TR UNIT SER  COMMON
  1                   STOCK     252787106     550       4100    SHARES                X                 1       4100     0     0
DIEBOLD INC           COMMON
                      STOCK     253651103      24        463    SHARES                X                 1        463     0     0
DIEBOLD INC           COMMON
                      STOCK     253651103      18        350    SHARES                         X        1        350     0     0
DIGENE CORP COMMON    COMMON
                      STOCK     253752109     398       6630    SHARES                X                 1       6450     0   180
DISCOVERY HOLDING CO  COMMON
                      STOCK     25468Y206      60       2600    SHARES                         X        1       2600     0     0
DISCOVERY HOLDING     COMMON
  CO-A                STOCK     25468Y107      34       1498    SHARES                X                 1       1498     0     0
DISCOVERY HOLDING     COMMON
  CO-A                STOCK     25468Y107      78       3400    SHARES                         X        1       3400     0     0
DISNEY WALT CO        COMMON
                      STOCK     254687106    7314     214239    SHARES                X                 1     213939     0   300
DISNEY WALT CO        COMMON
                      STOCK     254687106    3330      97528    SHARES                         X        1      91078     0  6450
DJO INCORPORATED      COMMON
                      STOCK     23325G104      63       1525    SHARES                X                 1       1400     0   125
DNP SELECT INCOME     PREFERRED
  FUND INC            STOCK     23325P104       5        428    SHARES                X                 1       N.A.  N.A.  N.A.
DNP SELECT INCOME     PREFERRED
  FUND INC            STOCK     23325P104      11       1000    SHARES                         X        1       N.A.  N.A.  N.A.
DOLBY LABORATORIES    COMMON
  INC CL A            STOCK     25659T107       4        100    SHARES                X                 1        100     0     0
DOMINION RESOURCES    COMMON
  BLACK WARRI         STOCK     25746Q108      62       2500    SHARES                X                 1       2500     0     0
DOMINION RESOURCES    COMMON
  INC                 STOCK     25746U109    4586      53129    SHARES                X                 1      51929     0  1200
DOMINION RESOURCES    COMMON
  INC                 STOCK     25746U109    3493      40476    SHARES                         X        1      35483     0  4993
DONEGAL GROUP INC CL  COMMON
  A                   STOCK     257701201      25       1685    SHARES                X                 1       1685     0     0
DONEGAL GROUP INC CL  COMMON
  B                   STOCK     257701300      14        842    SHARES                X                 1        842     0     0
DONNELLEY R R & SONS  COMMON
  CO                  STOCK     257867101     178       4099    SHARES                X                 1       4099     0     0
DONNELLEY R R & SONS  COMMON
  CO                  STOCK     257867101     177       4066    SHARES                         X        1       4066     0     0
DOVER CORP            COMMON
                      STOCK     260003108    2615      51125    SHARES                X                 1      51125     0     0
DOVER CORP            COMMON
                      STOCK     260003108    1641      32082    SHARES                         X        1      25682     0  6400
DOVER DOWNS GAMING &  COMMON
  ENTMT INC           STOCK     260095104       0          1    SHARES                         X        1          1     0     0
DOVER MOTORSPORTS INC COMMON
                      STOCK     260174107       0          1    SHARES                         X        1          1     0     0
DOW CHEMICAL CO       COMMON
                      STOCK     260543103    6357     143757    SHARES                X                 1     137369     0  6388
DOW CHEMICAL CO       COMMON
                      STOCK     260543103    3171      71702    SHARES                         X        1      70402     0  1300
DPL INC               COMMON
                      STOCK     233293109     121       4255    SHARES                X                 1       4255     0     0
DPL INC               COMMON
                      STOCK     233293109      28       1000    SHARES                         X        1       1000     0     0
DR REDDYS LABS LTD    COMMON
  ADR                 STOCK     256135203      16       1000    SHARES                X                 1       1000     0     0
DREYFUS HIGH YIELD    PREFERRED
  STRATEGIES          STOCK     26200S101       8       2000    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     257      28844    SHARES                X                 1       N.A.  N.A.  N.A.
DREYFUS STRATEGIC     PREFERRED
  MUN BD FD           STOCK     26202F107      73       8206    SHARES                         X        1       N.A.  N.A.  N.A.
DRYCLEAN USA INC      COMMON
                      STOCK     262432107       1        350    SHARES                X                 1        350     0     0
DTE ENERGY CO         COMMON
                      STOCK     233331107     581      12048    SHARES                X                 1      12048     0     0
DTE ENERGY CO         COMMON
                      STOCK     233331107     448       9299    SHARES                         X        1       6771     0  2528
DUKE ENERGY CORP      COMMON
                      STOCK     26441C105     512      27988    SHARES                X                 1      27988     0     0
DUKE ENERGY CORP      COMMON
                      STOCK     26441C105     625      34143    SHARES                         X        1      33643     0   500
DUKE REALTY CORP      COMMON
                      STOCK     264411505      65       1830    SHARES                X                 1       N.A.  N.A.  N.A.
DUKE REALTY CORP      COMMON
                      STOCK     264411505     121       3400    SHARES                         X        1       N.A.  N.A.  N.A.
DUN & BRADSTREET CORP COMMON
                      STOCK     26483E100      49        474    SHARES                X                 1        474     0     0
DUN & BRADSTREET CORP COMMON
                      STOCK     26483E100     113       1100    SHARES                         X        1       1100     0     0
DUPONT EI DE          COMMON
  NEMOURS & CO COM    STOCK     263534109    9226     181475    SHARES                X                 1     178805     0  2670
DUPONT EI DE          COMMON
  NEMOURS & CO COM    STOCK     263534109    8600     169155    SHARES                         X        1     164755     0  4400
DWS MUNICIPAL INCOME  PREFERRED
  TRUST               STOCK     23338M106      15       1400    SHARES                         X        1       N.A.  N.A.  N.A.
DWS STRATEGIC         PREFERRED
  MUNICIPAL INCOME    STOCK     23338T101      18       1500    SHARES                X                 1       N.A.  N.A.  N.A.
DYCOM INDUSTRIES INC  COMMON
                      STOCK     267475101      95       3165    SHARES                X                 1       2900     0   265
DYNAMICS RESEARCH     COMMON
  CORP                STOCK     268057106     130      10000    SHARES                         X        1      10000     0     0
DYNEGY INC CL A       COMMON
                      STOCK     26817G102      99      10469    SHARES                X                 1       9669     0   800
E*TRADE FINANCIAL     COMMON
  CORPORATION         STOCK     269246104       6        290    SHARES                X                 1        290     0     0
E*TRADE FINANCIAL     COMMON
  CORPORATION         STOCK     269246104      27       1240    SHARES                         X        1       1240     0     0
EAGLE BULK SHIPPING   COMMON
  INC                 STOCK     Y2187A101      45       2000    SHARES                X                 1       2000     0     0
EAGLE MATERIALS INC   COMMON
  COM W RIGH          STOCK     26969P108      17        345    SHARES                X                 1        345     0     0
EARTHLINK INC COM     COMMON
                      STOCK     270321102      26       3528    SHARES                X                 1       3528     0     0
EASTMAN CHEMICAL      COMMON
  COMPANY COM         STOCK     277432100      64        991    SHARES                X                 1        991     0     0
EASTMAN CHEMICAL      COMMON
  COMPANY COM         STOCK     277432100      56        873    SHARES                         X        1        373     0   500
EASTMAN KODAK CO COM  COMMON
                      STOCK     277461109     107       3832    SHARES                X                 1       2775     0  1057
EASTMAN KODAK CO COM  COMMON
                      STOCK     277461109     158       5673    SHARES                         X        1       5673     0     0


                                    8 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
EATON CORP COM        COMMON
                      STOCK     278058102     731       7860    SHARES                X                 1       7860     0      0
EATON CORP COM        COMMON
                      STOCK     278058102      84        900    SHARES                         X        1        900     0      0
EATON VANCE CORP      COMMON
                      STOCK     278265103      10        230    SHARES                X                 1        230     0      0
EATON VANCE INSD      PREFERRED
  MUNI BD FD          STOCK     27827X101       2        116    SHARES                X                 1       N.A.  N.A.   N.A.
EATON VANCE LTD       PREFERRED
  DURATION INC F      STOCK     27828H105      43       2400    SHARES                X                 1       N.A.  N.A.   N.A.
EATON VANCE           PREFERRED
  MUNICIPAL INCOME T  STOCK     27826U108      76       5000    SHARES                         X        1       N.A.  N.A.   N.A.
EATON VANCE PA MUNI   PREFERRED
  INC TR              STOCK     27826T101     142      10000    SHARES                         X        1       N.A.  N.A.   N.A.
EATON VANCE SENIOR    PREFERRED
  INCOME TRUS         STOCK     27826S103       7        800    SHARES                X                 1       N.A.  N.A.   N.A.
EATON VANCE SR        PREFERRED
  FLOATING RATE F     STOCK     27828Q105      45       2400    SHARES                X                 1       N.A.  N.A.   N.A.
EATON VANCE           PREFERRED
  TAX-ADVANTAGED DVD  STOCK     27828G107     110       3750    SHARES                X                 1       N.A.  N.A.   N.A.
EATON VANCE           PREFERRED
  TAX-ADVANTAGED DVD  STOCK     27828G107     115       3900    SHARES                         X        1       N.A.  N.A.   N.A.
EATON VANCE           PREFERRED
  TAX-MANAGED DIV EQ  STOCK     27828N102       9        485    SHARES                X                 1       N.A.  N.A.   N.A.
EATON VANCE           PREFERRED
  TAX-MANAGED GLOBAL  STOCK     27829F108      19        990    SHARES                X                 1       N.A.  N.A.   N.A.
EBAY INC COM          COMMON
                      STOCK     278642103    1826      56741    SHARES                X                 1      55591     0   1150
EBAY INC COM          COMMON
                      STOCK     278642103     358      11119    SHARES                         X        1       8234     0   2885
ECHELON CORPORATION   COMMON
                      STOCK     27874N105      46       2930    SHARES                         X        1       2930     0      0
ECOLAB INC COM        COMMON
                      STOCK     278865100    1123      26300    SHARES                X                 1      26300     0      0
ECOLAB INC COM        COMMON
                      STOCK     278865100     100       2350    SHARES                         X        1       2350     0      0
EDISON INTERNATIONAL  COMMON
  COM                 STOCK     281020107      51        910    SHARES                X                 1        910     0      0
EDUCATION REALTY      COMMON
  TRUST INC REI       STOCK     28140H104      18       1300    SHARES                X                 1       N.A.  N.A.   N.A.
EDWARDS AG INC COM    COMMON
                      STOCK     281760108      19        225    SHARES                         X        1        225     0      0
EDWARDS LIFESCIENCES  COMMON
  CORP COM            STOCK     28176E108     237       4800    SHARES                X                 1       4800     0      0
EDWARDS LIFESCIENCES  COMMON
  CORP COM            STOCK     28176E108     158       3200    SHARES                         X        1       2600     0    600
EL PASO CORP COM      COMMON
                      STOCK     28336L109      33       1900    SHARES                X                 1       1900     0      0
EL PASO CORP COM      COMMON
                      STOCK     28336L109      53       3081    SHARES                         X        1       3081     0      0
ELECTRONIC DATA       COMMON
  SYSTEM CORPORA      STOCK     285661104      14        491    SHARES                X                 1        491     0      0
ELECTRONIC DATA       COMMON
  SYSTEM CORPORA      STOCK     285661104      67       2408    SHARES                         X        1       2408     0      0
ELECTRONICS ARTS COM  COMMON
                      STOCK     285512109    3051      64471    SHARES                X                 1      61111     0   3360
ELECTRONICS ARTS COM  COMMON
                      STOCK     285512109     416       8790    SHARES                         X        1       8440     0    350
ELECTRONICS FOR       COMMON
  IMAGING INC CO      STOCK     286082102     285      10090    SHARES                X                 1       9510     0    580
ELECTRONICS FOR       COMMON
  IMAGING INC CO      STOCK     286082102      14        500    SHARES                         X        1          0     0    500
ELIZABETH ARDEN INC   COMMON
  COM                 STOCK     28660G106       5        205    SHARES                X                 1        205     0      0
EMBARQ CORP           COMMON
                      STOCK     29078E105      18        282    SHARES                X                 1        217     0     65
EMBARQ CORP           COMMON
                      STOCK     29078E105      38        600    SHARES                         X        1        600     0      0
EMC CORP MASS COM     COMMON
                      STOCK     268648102    6241     344822    SHARES                X                 1     339796     0   5026
EMC CORP MASS COM     COMMON
                      STOCK     268648102     917      50640    SHARES                         X        1      44770     0   5870
EMCOR GROUP INC       COMMON
                      STOCK     29084Q100     143       1965    SHARES                X                 1       1800     0    165
EMERSON ELECTRIC CO   COMMON
                      STOCK     291011104    6633     141729    SHARES                X                 1     139729     0   2000
EMERSON ELECTRIC CO   COMMON
                      STOCK     291011104    5428     115987    SHARES                         X        1     102157     0  13830
ENBRIDGE ENERGY PTNR  COMMON
                      STOCK     29250R106      22        400    SHARES                X                 1        400     0      0
ENCANA CORP           COMMON
                      STOCK     292505104      98       1600    SHARES                         X        1       1600     0      0
ENCYSIVE              COMMON
  PHARMACEUTICALS INC STOCK     29256X107      48      27000    SHARES                         X        1      27000     0      0
ENDEAVOUR             COMMON
  INTERNATIONAL CORP  STOCK     29259G101       2       1000    SHARES                         X        1       1000     0      0
ENDESA S A SPONSORED  COMMON
  ADR                 STOCK     29258N107     128       2418    SHARES                X                 1       2418     0      0
ENDESA S A SPONSORED  COMMON
  ADR                 STOCK     29258N107      42        800    SHARES                         X        1        800     0      0
ENERGIZER HLDGS INC   COMMON
  COM                 STOCK     29266R108     129       1300    SHARES                X                 1       1300     0      0
ENERGIZER HLDGS INC   COMMON
  COM                 STOCK     29266R108      10        100    SHARES                         X        1        100     0      0
ENERGY CONVERSION     COMMON
  DEVICES INC         STOCK     292659109       6        200    SHARES                         X        1        200     0      0
ENERGY EAST CORP COM  COMMON
                      STOCK     29266M109     147       5623    SHARES                X                 1       5623     0      0
ENERGY EAST CORP COM  COMMON
                      STOCK     29266M109     179       6875    SHARES                         X        1       6185   490    200
ENERGY SELECT SECTOR  PREFERRED
  SPDR FD             STOCK     81369Y506      34        500    SHARES                X                 1       N.A.  N.A.   N.A.
ENERGY SELECT SECTOR  PREFERRED
  SPDR FD             STOCK     81369Y506     154       2239    SHARES                         X        1       N.A.  N.A.   N.A.
ENERGY TRANSFER       COMMON
  PARTNERS LP         STOCK     29273R109      16        261    SHARES                X                 1        261     0      0
ENERGY TRANSFER       COMMON
  PARTNERS LP         STOCK     29273R109      62       1000    SHARES                         X        1       1000     0      0
ENERPLUS RESOURCES    COMMON
  FUND                STOCK     29274D604      28        600    SHARES                X                 1        600     0      0
ENERPLUS RESOURCES    COMMON
  FUND                STOCK     29274D604     160       3400    SHARES                         X        1       3400     0      0
ENGLOBAL CORPORATION  COMMON
                      STOCK     293306106     110       9060    SHARES                X                 1       8300     0    760
ENSCO INTERNATIONAL   COMMON
  INC COM             STOCK     26874Q100    7772     127396    SHARES                X                 1     123074     0   4322
ENSCO INTERNATIONAL   COMMON
  INC COM             STOCK     26874Q100     836      13710    SHARES                         X        1      10805     0   2905
ENTERGY CORP COM NEW  COMMON
                      STOCK     29364G103     115       1067    SHARES                X                 1       1067     0      0
ENTERGY CORP COM NEW  COMMON
                      STOCK     29364G103     183       1708    SHARES                         X        1       1708     0      0
ENTERPRISE PRODUCTS   COMMON
  PARTNERS L          STOCK     293792107      80       2522    SHARES                X                 1       2522     0      0
ENTERPRISE PRODUCTS   COMMON
  PARTNERS L          STOCK     293792107     145       4570    SHARES                         X        1       4570     0      0
ENVIRONMENTAL POWER   COMMON
  CORP                STOCK     29406L201       1        100    SHARES                X                 1        100     0      0
ENZON                 COMMON
  PHARMACEUTICALS INC STOCK     293904108       2        200    SHARES                X                 1        200     0      0
EOG RESOURCES INC COM COMMON
                      STOCK     26875P101    2912      39860    SHARES                X                 1      38675     0   1185
EOG RESOURCES INC COM COMMON
                      STOCK     26875P101     304       4160    SHARES                         X        1       2320     0   1840
EQUIFAX INC COM       COMMON
                      STOCK     294429105      96       2166    SHARES                         X        1       2166     0      0
EQUITABLE RESOURCES   COMMON
  INC                 STOCK     294549100    1219      24600    SHARES                X                 1      24600     0      0
EQUITABLE RESOURCES   COMMON
  INC                 STOCK     294549100     198       4000    SHARES                         X        1       4000     0      0
EQUITY INCOME
  FUND-AT&T SHARES    OTHER     294700703      76        600    SHARES                         X        1       N.A.  N.A.   N.A.
EQUITY ONE            COMMON
  INCORPORATED        STOCK     294752100      22        850    SHARES                X                 1       N.A.  N.A.   N.A.
EQUITY RESIDENTIAL    COMMON
  (REIT)              STOCK     29476L107      30        650    SHARES                X                 1       N.A.  N.A.   N.A.
EQUITY RESIDENTIAL    COMMON
  (REIT)              STOCK     29476L107     183       4000    SHARES                         X        1       N.A.  N.A.   N.A.
ERIE INDEMNITY CO CL  COMMON
  A                   STOCK     29530P102    7052     130500    SHARES                X                 1     130500     0      0
EVERGREEN INCOME ADV  PREFERRED
  FD                  STOCK     30023Y105      28       2000    SHARES                X                 1       N.A.  N.A.   N.A.
EXELON CORP           COMMON
                      STOCK     30161N101    5091      70130    SHARES                X                 1      68730     0   1400
EXELON CORP           COMMON
                      STOCK     30161N101    1581      21773    SHARES                         X        1      20323     0   1450



                                    9 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                       COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY             VOTING AUTHORITY
                     COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 --------------------
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
--------------       --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ -----
                                                                                     
EXPEDITORS INTL      COMMON
  WASH INC COM       STOCK     302130109     385        9312   SHARES                X                 1        8852     0    460
EXPRESS SCRIPTS INC  COMMON
                     STOCK     302182100   11899      237926   SHARES                X                 1      232914     0   5012
EXPRESS SCRIPTS INC  COMMON
                     STOCK     302182100    3396       67910   SHARES                         X        1       65120     0   2790
EXPRESS-1 EXPEDITED  COMMON
  SOLUTIONS          STOCK     30217Q108       1         800   SHARES                X                 1         800     0      0
EXXON MOBIL CORP     COMMON
                     STOCK     30231G102   98770     1177519   SHARES                X                 1     1159302     0  18217
EXXON MOBIL CORP     COMMON
                     STOCK     30231G102   82351      981770   SHARES                         X        1      884811     0  96959
F5 NETWORKS INC      COMMON
                     STOCK     315616102     251        3108   SHARES                X                 1        3007     0    101
F5 NETWORKS INC      COMMON
                     STOCK     315616102      11         135   SHARES                         X        1         135     0      0
FACTSET RESEARCH     COMMON
  SYSTEMS INC        STOCK     303075105      62         900   SHARES                         X        1         900     0      0
FAIRCHILD
  SEMICONDUCTOR      COMMON
  INTL I             STOCK     303726103       1          43   SHARES                X                 1          43     0      0
FAIRPOINT            COMMON
  COMMUNICATIONS INC STOCK     305560104       2         100   SHARES                X                 1         100     0      0
FAMILY DOLLAR STORES COMMON
                     STOCK     307000109       3          75   SHARES                         X        1          75     0      0
FASTENAL CO          COMMON
                     STOCK     311900104     176        4199   SHARES                X                 1        3939     0    260
FASTENAL CO          COMMON
                     STOCK     311900104       7         175   SHARES                         X        1         175     0      0
FED NATL MTG ASSN    COMMON
  COM                STOCK     313586109    5524       84549   SHARES                X                 1       84549     0      0
FED NATL MTG ASSN    COMMON
  COM                STOCK     313586109    2603       39851   SHARES                         X        1       38101     0   1750
FEDERAL REALTY INV   COMMON
  TR (REIT)          STOCK     313747206      77        1000   SHARES                X                 1        N.A.  N.A.   N.A.
FEDERAL SIGNAL CORP  COMMON
                     STOCK     313855108      16        1000   SHARES                X                 1        1000     0      0
FEDEX CORP COM       COMMON
                     STOCK     31428X106    1166       10511   SHARES                X                 1       10511     0      0
FEDEX CORP COM       COMMON
                     STOCK     31428X106     392        3530   SHARES                         X        1        2730     0    800
FERRELLGAS PARTNERS  COMMON
  LP                 STOCK     315293100      24        1000   SHARES                         X        1        1000     0      0
FIDELITY NATIONAL    COMMON
  FINANCIAL -        STOCK     31620R105       4         186   SHARES                X                 1         186     0      0
FIDELITY NATL        COMMON
  INFORMATION SERV   STOCK     31620M106     140        2580   SHARES                X                 1        2443     0    137
FIDELITY NATL        COMMON
  INFORMATION SERV   STOCK     31620M106      20         360   SHARES                         X        1         360     0      0
FIFTH THIRD BANCORP  COMMON
  COM                STOCK     316773100     512       12877   SHARES                X                 1       12877     0      0
FIFTH THIRD BANCORP  COMMON
  COM                STOCK     316773100      38         950   SHARES                         X        1         950     0      0
FIRST DATA CORP COM  COMMON
                     STOCK     319963104     977       29907   SHARES                X                 1       29907     0      0
FIRST DATA CORP COM  COMMON
                     STOCK     319963104     695       21282   SHARES                         X        1       20582     0    700
FIRST HORIZON        COMMON
  NATIONAL CORP      STOCK     320517105       9         234   SHARES                X                 1         234     0      0
FIRST INDUSTRIAL     COMMON
  REALTY TR (RE      STOCK     32054K103      16         422   SHARES                X                 1        N.A.  N.A.   N.A.
FIRST MARINER        COMMON
  BANCORP INCORPOR   STOCK     320795107      39        3000   SHARES                         X        1        3000     0      0
FIRST NIAGARA        COMMON
  FINANCIAL GROUP    STOCK     33582V108       4         292   SHARES                X                 1         292     0      0
FIRST POTOMAC        COMMON
  REALTY TRUST       STOCK     33610F109      23        1000   SHARES                X                 1        N.A.  N.A.   N.A.
FIRST SOLAR INC      COMMON
                     STOCK     336433107      88         980   SHARES                X                 1         900     0     80
FIRST STATE          COMMON
  FINANCIAL CORP FLO STOCK     33708M206      59        3253   SHARES                X                 1        3253     0      0
FIRST UNITED CORP    COMMON
  COM                STOCK     33741H107      45        2250   SHARES                         X        1         200     0   2050
FIRSTENERGY CORP COM COMMON
                     STOCK     337932107     348        5377   SHARES                X                 1        5377     0      0
FIRSTENERGY CORP COM COMMON
                     STOCK     337932107     447        6906   SHARES                         X        1        6906     0      0
FISERV INC           COMMON
                     STOCK     337738108      12         220   SHARES                X                 1         220     0      0
FISERV INC           COMMON
                     STOCK     337738108      11         200   SHARES                         X        1           0     0    200
FIVE STAR QUALITY    COMMON
  CARE INC           STOCK     33832D106       0          10   SHARES                         X        1           0     0     10
FLEXIBLE SOLUTIONS   COMMON
  INTERNATION        STOCK     33938T104       1         250   SHARES                X                 1         250     0      0
FLEXTRONICS INTL LTD COMMON
                     STOCK     Y2573F102       7         644   SHARES                X                 1         644     0      0
FLEXTRONICS INTL LTD COMMON
                     STOCK     Y2573F102      23        2100   SHARES                         X        1        2100     0      0
FLORIDA EAST COAST   COMMON
  INDUSTRIES         STOCK     340632108       1           8   SHARES                         X        1           8     0      0
FLUOR CORP           COMMON
                     STOCK     343412102     518        4649   SHARES                X                 1        4649     0      0
FLUOR CORP           COMMON
                     STOCK     343412102     184        1650   SHARES                         X        1        1650     0      0
FNB CORP PA          COMMON
                     STOCK     302520101      43        2578   SHARES                X                 1        2578     0      0
FORD MOTOR CO        COMMON
                     STOCK     345370860      51        5422   SHARES                X                 1        5422     0      0
FORD MOTOR CO        COMMON
                     STOCK     345370860      51        5372   SHARES                         X        1        1812     0   3560
FORDING CANADIAN     COMMON
  COAL TRUST         STOCK     345425102    1025       31306   SHARES                X                 1       31306     0      0
FORDING CANADIAN     COMMON
  COAL TRUST         STOCK     345425102     538       16425   SHARES                         X        1       16175     0    250
FOREST LABS INC COM  COMMON
                     STOCK     345838106      16         350   SHARES                X                 1         350     0      0
FOREST OIL CORP      COMMON
                     STOCK     346091705      21         500   SHARES                X                 1         500     0      0
FORTUNE BRANDS INC   COMMON
                     STOCK     349631101    1223       14852   SHARES                X                 1       14852     0      0
FORTUNE BRANDS INC   COMMON
                     STOCK     349631101    1067       12949   SHARES                         X        1       10842     0   2107
FOSTER WHEELER LTD   COMMON
                     STOCK     G36535139    5368       50173   SHARES                X                 1       48718     0   1455
FOSTER WHEELER LTD   COMMON
                     STOCK     G36535139     552        5160   SHARES                         X        1        3860     0   1300
FOSTER WHEELER LTD   COMMON
  WARRANTS 9         STOCK     G36535113       4         500   SHARES                X                 1         500     0      0
FPL GROUP INC COM    COMMON
                     STOCK     302571104    7243      127656   SHARES                X                 1      127656     0      0
FPL GROUP INC COM    COMMON
                     STOCK     302571104    3538       62362   SHARES                         X        1       53620     0   8742
FRANKLIN RESOURCES   COMMON
  INC                STOCK     354613101     109         825   SHARES                X                 1         825     0      0
FRANKLIN RESOURCES   COMMON
  INC                STOCK     354613101      20         150   SHARES                         X        1         150     0      0
FREDDIE MAC          COMMON
                     STOCK     313400301     759       12505   SHARES                X                 1       12505     0      0
FREDDIE MAC          COMMON
                     STOCK     313400301      20         330   SHARES                         X        1         330     0      0
FREEPORT- MCMORAN    COMMON
  CPR & GLD INC      STOCK     35671D857     170        2053   SHARES                X                 1        2053     0      0
FRIEDMAN BILLINGS    COMMON
  RAMSEY GRP I       STOCK     358434108       3         500   SHARES                X                 1         500     0      0
FRONTEER
  DEVELOPMENT GROUP  COMMON
  INC                STOCK     35903Q106       6         500   SHARES                X                 1         500     0      0
FRONTIER OIL         COMMON
  CORPORATION        STOCK     35914P105      38         870   SHARES                X                 1         870     0      0
FRONTLINE LTD        COMMON
                     STOCK     G3682E127      65        1425   SHARES                X                 1        1425     0      0
FULTON FINANCIAL     COMMON
  CORP               STOCK     360271100    1382       95832   SHARES                X                 1       95832     0      0
FULTON FINANCIAL     COMMON
  CORP               STOCK     360271100    2204      152838   SHARES                         X        1      101979  5000  45859
FURMANITE            COMMON
  CORPORATION        STOCK     361086101       3         400   SHARES                X                 1         400     0      0
GABELLI EQUITY TRUST PREFERRED
                     STOCK     362397101      37        3758   SHARES                X                 1        N.A.  N.A.   N.A.
GABELLI GLOBAL       PREFERRED
  MULTIMEDIA TR      STOCK     36239Q109       2         135   SHARES                X                 1        N.A.  N.A.   N.A.
GABELLI UTILITY      PREFERRED
  TRUST              STOCK     36240A101       5         497   SHARES                X                 1        N.A.  N.A.   N.A.
GALLAGHER ARTHUR     COMMON
  J. & CO            STOCK     363576109      28        1000   SHARES                X                 1        1000     0      0
GAMESTOP CORP--      COMMON
  CLASS A            STOCK     36467W109     420       10751   SHARES                X                 1       10311     0    440



                                   10 of 43





                                                   SEC USE _______________________________________
                                                           COLUMN 5
                                                   ------------------------
                                                                                   COLUMN 6                       COLUMN 8
                                                    SHARES                   INVESTMENT AUTHORITY             VOTING AUTHORITY
                     COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 ---------------------
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
--------------       -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
GANNETT CO INC       COMMON
                     STOCK    364730101     610       11095   SHARES                X                 1       11095     0       0
GANNETT CO INC       COMMON
                     STOCK    364730101     504        9175   SHARES                         X        1        9175     0       0
GAP INC COM          COMMON
                     STOCK    364760108     559       29275   SHARES                X                 1       29275     0       0
GAP INC COM          COMMON
                     STOCK    364760108     329       17225   SHARES                         X        1       16825     0     400
GATX CORP            COMMON
                     STOCK    361448103      17         350   SHARES                         X        1           0     0     350
GENCO SHIPPING &     COMMON
  TRADING LTD        STOCK    Y2685T107     105        2535   SHARES                X                 1        2300     0     235
GENELABS             COMMON
  TECHNOLOGIES INC   STOCK    368706206       1         600   SHARES                X                 1         600     0       0
GENENTECH INC COM    COMMON
  NEW                STOCK    368710406    3685       48704   SHARES                X                 1       48704     0       0
GENENTECH INC COM    COMMON
  NEW                STOCK    368710406     227        3000   SHARES                         X        1        3000     0       0
GENERAL DYNAMICS     COMMON
  CORP COM           STOCK    369550108    4324       55284   SHARES                X                 1       55284     0       0
GENERAL DYNAMICS     COMMON
  CORP COM           STOCK    369550108    1119       14300   SHARES                         X        1       14300     0       0
GENERAL ELECTRIC     COMMON
  COMPANY            STOCK    369604103   78752     2057266   SHARES                X                 1     2007038     0   50228
GENERAL ELECTRIC     COMMON
  COMPANY            STOCK    369604103   73976     1932486   SHARES                         X        1     1807814     0  124672
GENERAL GROWTH       COMMON
  PPTYS INC          STOCK    370021107     127        2400   SHARES                X                 1        N.A.  N.A.    N.A.
GENERAL MARITIME     COMMON
  CORP               STOCK    Y2692M103      17         622   SHARES                X                 1         622     0       0
GENERAL MILLS INC    COMMON
                     STOCK    370334104    4007       68584   SHARES                X                 1       67184     0    1400
GENERAL MILLS INC    COMMON
                     STOCK    370334104    1885       32258   SHARES                         X        1       31858     0     400
GENERAL MOTORS CORP  COMMON
  COM                STOCK    370442105     150        3960   SHARES                X                 1        2946     0    1014
GENERAL MOTORS CORP  COMMON
  COM                STOCK    370442105     117        3097   SHARES                         X        1        2749     0     348
GENESIS MICROCHIP    COMMON
  INC                STOCK    37184C103       5         500   SHARES                X                 1         500     0       0
GENUINE PARTS INC    COMMON
                     STOCK    372460105     504       10155   SHARES                X                 1       10155     0       0
GENUINE PARTS INC    COMMON
                     STOCK    372460105     409        8250   SHARES                         X        1        8250     0       0
GENWORTH FINANCIAL   COMMON
  INC - CL A         STOCK    37247D106       3          97   SHARES                X                 1          97     0       0
GENZYME CORP COM     COMMON
                     STOCK    372917104    1389       21566   SHARES                X                 1       21066     0     500
GENZYME CORP COM     COMMON
                     STOCK    372917104      96        1485   SHARES                         X        1        1260     0     225
GERON CORP           COMMON
                     STOCK    374163103       4         500   SHARES                         X        1           0     0     500
GILAT SATELLITE      COMMON
  NETWORKS LTD       STOCK    M51474118      96        9925   SHARES                X                 1        9100     0     825
GILEAD SCIENCES INC  COMMON
  COM                STOCK    375558103    2932       75565   SHARES                X                 1       74473     0    1092
GILEAD SCIENCES INC  COMMON
  COM                STOCK    375558103     418       10770   SHARES                         X        1       10770     0       0
GLADSTONE CAPITAL    COMMON
  CORP               STOCK    376535100     107        5000   SHARES                X                 1        5000     0       0
GLADSTONE            COMMON
  COMMERCIAL CORP    STOCK    376536108      78        4000   SHARES                X                 1        N.A.  N.A.    N.A.
GLATFELTER           COMMON
                     STOCK    377316104     559       41153   SHARES                X                 1       41153     0       0
GLAXOSMITHKLINE PLC  COMMON
  ADR                STOCK    37733W105    1204       22993   SHARES                X                 1       22993     0       0
GLAXOSMITHKLINE PLC  COMMON
  ADR                STOCK    37733W105    1555       29694   SHARES                         X        1       22994     0    6700
GOLD FIELDS LIMITED  COMMON
  ADR                STOCK    38059T106       4         250   SHARES                X                 1         250     0       0
GOLDCORP INC         COMMON
                     STOCK    380956409      24        1000   SHARES                X                 1        1000     0       0
GOLDMAN SACHS GROUP  COMMON
  INC COM            STOCK    38141G104    4164       19213   SHARES                X                 1       18511     0     702
GOLDMAN SACHS GROUP  COMMON
  INC COM            STOCK    38141G104     529        2440   SHARES                         X        1        1845     0     595
GOODRICH CORP        COMMON
                     STOCK    382388106       6         100   SHARES                X                 1         100     0       0
GOODRICH CORP        COMMON
                     STOCK    382388106     357        6000   SHARES                         X        1        4400     0    1600
GOODYEAR TIRE &      COMMON
  RUBR CO            STOCK    382550101       3         100   SHARES                X                 1         100     0       0
GOODYEAR TIRE &      COMMON
  RUBR CO            STOCK    382550101      70        2000   SHARES                         X        1        2000     0       0
GOOGLE INC CL A      COMMON
                     STOCK    38259P508    7853       15023   SHARES                X                 1       14734     0     289
GOOGLE INC CL A      COMMON
                     STOCK    38259P508     338         647   SHARES                         X        1         360     0     287
GRACO INC COM        COMMON
                     STOCK    384109104    1111       27589   SHARES                X                 1       25937     0    1652
GRANT PRIDECO INC    COMMON
  COM                STOCK    38821G101     339        6294   SHARES                X                 1        5863     0     431
GREAT AMERN FINL     COMMON
  RES INC COM        STOCK    389915109       2         100   SHARES                         X        1           0     0     100
GREAT PLAINS ENERGY  COMMON
  INC                STOCK    391164100      17         570   SHARES                X                 1         570     0       0
GREAT PLAINS ENERGY  COMMON
  INC                STOCK    391164100      25         850   SHARES                         X        1         850     0       0
GREAT WOLF RESORTS   COMMON
  INC                STOCK    391523107      94        6600   SHARES                X                 1        6000     0     600
GREY WOLF INC        COMMON
                     STOCK    397888108      28        3367   SHARES                X                 1        3367     0       0
GROUPE DANONE SPONS  COMMON
  ADR                STOCK    399449107      33        2000   SHARES                         X        1        2000     0       0
HALLIBURTON HLDG CO  COMMON
  COM                STOCK    406216101     488       14131   SHARES                X                 1       12481     0    1650
HALLIBURTON HLDG CO  COMMON
  COM                STOCK    406216101     429       12432   SHARES                         X        1        5732     0    6700
HANESBRANDS INC      COMMON
                     STOCK    410345102      17         636   SHARES                X                 1         636     0       0
HANESBRANDS INC      COMMON
                     STOCK    410345102      75        2766   SHARES                         X        1        2241     0     525
HANOVER INSURANCE    COMMON
  GROUP INC          STOCK    410867105      96        1960   SHARES                X                 1        1800     0     160
HARLEY-DAVIDSON INC  COMMON
                     STOCK    412822108    1145       19209   SHARES                X                 1       19209     0       0
HARLEY-DAVIDSON INC  COMMON
                     STOCK    412822108     349        5850   SHARES                         X        1        2650     0    3200
HARLEYSVILLE         COMMON
  NATIONAL CORP      STOCK    412850109      21        1316   SHARES                X                 1        1316     0       0
HARMAN
  INTERNATIONAL      COMMON
  INDUSTRIE          STOCK    413086109     114         975   SHARES                X                 1         930     0      45
HARMONY GOLD MINING  COMMON
  SPON ADR           STOCK    413216300      18        1275   SHARES                X                 1        1275     0       0
HARRAHS              COMMON
  ENTERTAINMENT INC  STOCK    413619107      40         475   SHARES                X                 1         475     0       0
HARRIS & HARRIS      COMMON
  GROUP INC          STOCK    413833104       2         200   SHARES                         X        1         200     0       0
HARRIS CORP          COMMON
                     STOCK    413875105    4535       83133   SHARES                X                 1       81791     0    1342
HARRIS CORP          COMMON
                     STOCK    413875105     467        8565   SHARES                         X        1        8565     0       0
HARSCO CORP          COMMON
                     STOCK    415864107   19832      381393   SHARES                X                 1      312268     0   69125
HARSCO CORP          COMMON
                     STOCK    415864107    5349      102866   SHARES                         X        1      102866     0       0
HARTFORD FINANCIAL   COMMON
  SVCS GRP IN        STOCK    416515104    2322       23573   SHARES                X                 1       23013     0     560
HARTFORD FINANCIAL   COMMON
  SVCS GRP IN        STOCK    416515104    1411       14321   SHARES                         X        1       13131     0    1190
HASBRO INC           COMMON
                     STOCK    418056107       5         170   SHARES                         X        1         170     0       0
HAWAIIAN ELEC IND    COMMON
  INC                STOCK    419870100       3         140   SHARES                X                 1         140     0       0
HAYNES               COMMON
  INTERNATIONAL INC  STOCK    420877201     213        2525   SHARES                X                 1        2335     0     190
HCC INS HLDGS INC    COMMON
  COM                STOCK    404132102     396       11854   SHARES                X                 1       10964     0     890
HEALTH CARE          COMMON
  PROPERTY (REIT)    STOCK    421915109     140        4856   SHARES                X                 1        N.A.  N.A.    N.A.
HEALTH CARE REIT INC COMMON
                     STOCK    42217K106      40        1000   SHARES                X                 1        N.A.  N.A.    N.A.
HEALTH CARE REIT INC COMMON
                     STOCK    42217K106      40        1000   SHARES                         X        1        N.A.  N.A.    N.A.
HEALTH MANAGEMENT-   COMMON
  CLASS A            STOCK    421933102     155       13668   SHARES                X                 1       13668     0       0



                                   11 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
HEALTH MANAGEMENT-    COMMON
  CLASS A             STOCK     421933102     132      11630    SHARES                         X        1       9430     0  2200
HEALTH NET INC COM    COMMON
                      STOCK     42222G108     162       3069    SHARES                X                 1       2869     0   200
HEALTH NET INC COM    COMMON
                      STOCK     42222G108      32        600    SHARES                         X        1        600     0     0
HEALTHCARE REALTY     COMMON
  TRUST INC (R        STOCK     421946104       9        330    SHARES                X                 1       N.A.  N.A.  N.A.
HEALTHCARE REALTY     COMMON
  TRUST INC (R        STOCK     421946104       6        200    SHARES                         X        1       N.A.  N.A.  N.A.
HEALTHEXTRAS          COMMON
  INCORPORATED        STOCK     422211102      12        400    SHARES                X                 1        400     0     0
HEALTHSOUTH CORP      COMMON
                      STOCK     421924309       9        500    SHARES                X                 1        500     0     0
HEALTHWAYS INC        COMMON
                      STOCK     422245100       4         75    SHARES                X                 1         75     0     0
HEINZ H J CO COM      COMMON
                      STOCK     423074103    1141      24046    SHARES                X                 1      24046     0     0
HEINZ H J CO COM      COMMON
                      STOCK     423074103     866      18237    SHARES                         X        1      12487     0  5750
HELIX ENERGY          COMMON
  SOLUTIONS GRP       STOCK     42330P107       9        218    SHARES                X                 1        218     0     0
HENRY SCHEIN INC COM  COMMON
                      STOCK     806407102      11        200    SHARES                X                 1        200     0     0
HERCULES INC          COMMON
                      STOCK     427056106     100       5100    SHARES                         X        1       5100     0     0
HERLEY INDUSTRIES INC COMMON
                      STOCK     427398102       3        180    SHARES                X                 1        180     0     0
HERMAN MILLER INC     COMMON
                      STOCK     600544100      21        650    SHARES                X                 1        650     0     0
HEWLETT- PACKARD CO   COMMON
                      STOCK     428236103    8745     195998    SHARES                X                 1     193786     0  2212
HEWLETT- PACKARD CO   COMMON
                      STOCK     428236103    2950      66103    SHARES                         X        1      60103     0  6000
HIGH YIELD PLUS FUND  PREFERRED
                      STOCK     429906100       1        211    SHARES                X                 1       N.A.  N.A.  N.A.
HIGHWOODS PROPERTIES  COMMON
  (REIT)              STOCK     431284108      19        500    SHARES                X                 1       N.A.  N.A.  N.A.
HIGHWOODS PROPERTIES  COMMON
  (REIT)              STOCK     431284108      19        500    SHARES                         X        1       N.A.  N.A.  N.A.
HILTON HOTELS CORP    COMMON
                      STOCK     432848109     973      29083    SHARES                X                 1      29083     0     0
HILTON HOTELS CORP    COMMON
                      STOCK     432848109      18        525    SHARES                         X        1        525     0     0
HOLLY CORPORATION     COMMON
                      STOCK     435758305      33        451    SHARES                X                 1        451     0     0
HOLOGIC INC COM       COMMON
                      STOCK     436440101     133       2400    SHARES                         X        1       1600     0   800
HOME DEPOT INC COM    COMMON
                      STOCK     437076102   14713     373892    SHARES                X                 1     368817     0  5075
HOME DEPOT INC COM    COMMON
                      STOCK     437076102    5735     145756    SHARES                         X        1     137296     0  8460
HOME PROPERTIES INC   COMMON
  (REIT)              STOCK     437306103      92       1775    SHARES                X                 1       N.A.  N.A.  N.A.
HOME PROPERTIES INC   COMMON
  (REIT)              STOCK     437306103     493       9488    SHARES                         X        1       N.A.  N.A.  N.A.
HONEYWELL INTL INC    COMMON
  COM                 STOCK     438516106     894      15882    SHARES                X                 1      15882     0     0
HONEYWELL INTL INC    COMMON
  COM                 STOCK     438516106    1951      34660    SHARES                         X        1      34660     0     0
HORIZON LINES         COMMON
  INC-CLASS A         STOCK     44044K101      75       2285    SHARES                X                 1       2100     0   185
HOSPIRA INC           COMMON
                      STOCK     441060100     142       3650    SHARES                X                 1       3650     0     0
HOSPIRA INC           COMMON
                      STOCK     441060100     147       3755    SHARES                         X        1       3385     0   370
HOSPITALITY           COMMON
  PROPERTIES TRUST (  STOCK     44106M102      37        900    SHARES                X                 1       N.A.  N.A.  N.A.
HOSPITALITY           COMMON
  PROPERTIES TRUST (  STOCK     44106M102      12        300    SHARES                         X        1       N.A.  N.A.  N.A.
HOST HOTELS &         COMMON
  RESORTS INC         STOCK     44107P104       4        178    SHARES                X                 1       N.A.  N.A.  N.A.
HOST HOTELS &         COMMON
  RESORTS INC         STOCK     44107P104       7        303    SHARES                         X        1       N.A.  N.A.  N.A.
HOUSTON WIRE & CABLE  COMMON
  CO                  STOCK     44244K109      60       2100    SHARES                X                 1       1900     0   200
HOVNANIAN             COMMON
  ENTERPRISES-A       STOCK     442487203       2        100    SHARES                X                 1        100     0     0
HRPT PROPERTIES       COMMON
  TRUST (REIT)        STOCK     40426W101       2        148    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.
HSBC HOLDINGS PLC     COMMON
  SPON ADR            STOCK     404280406     107       1164    SHARES                X                 1       1164     0     0
HSBC HOLDINGS PLC     COMMON
  SPON ADR            STOCK     404280406      78        850    SHARES                         X        1        850     0     0
HUANENG POWER INTL-   COMMON
  SPONS ADR           STOCK     443304100     122       2620    SHARES                         X        1       2620     0     0
HUB GROUP INC CLASS A COMMON
                      STOCK     443320106      88       2515    SHARES                X                 1       2300     0   215
HUBBELL INC CL B      COMMON
                      STOCK     443510201     130       2390    SHARES                X                 1       2200     0   190
HUBBELL INC CL B      COMMON
                      STOCK     443510201      27        500    SHARES                         X        1        500     0     0
HUDSON TECHNOLOGIES   COMMON
  INC                 STOCK     444144109       1        500    SHARES                X                 1        500     0     0
HUGOTON ROYALTY TRUST COMMON
                      STOCK     444717102       1         50    SHARES                X                 1         50     0     0
HUMAN GENOME          COMMON
  SCIENCES INC        STOCK     444903108      55       6200    SHARES                         X        1       6200     0     0
HUMANA INC COM        COMMON
                      STOCK     444859102      18        300    SHARES                X                 1        300     0     0
HUNTINGTON            COMMON
  BANCSHARES INC COM  STOCK     446150104       7        300    SHARES                X                 1        300     0     0
HUTTIG BLDG PRODS INC COMMON
                      STOCK     448451104       0         15    SHARES                X                 1         15     0     0
IAC/INTERACTIVE CORP  COMMON
                      STOCK     44919P300       3        100    SHARES                X                 1        100     0     0
IAC/INTERACTIVE CORP  COMMON
                      STOCK     44919P300      55       1600    SHARES                         X        1       1600     0     0
ICICI BANK LIMITED    COMMON
  SPONSORED A         STOCK     45104G104      15        300    SHARES                X                 1        300     0     0
IDACORP INC           COMMON
                      STOCK     451107106      32       1000    SHARES                         X        1          0     0  1000
IDEARC INC            COMMON
                      STOCK     451663108     171       4847    SHARES                X                 1       4842     0     5
IDEARC INC            COMMON
                      STOCK     451663108     215       6080    SHARES                         X        1       6003     0    77
IGI INC               COMMON
                      STOCK     449575109       0        200    SHARES                X                 1        200     0     0
ILLINOIS TOOL WKS     COMMON
  INC COM             STOCK     452308109     992      18310    SHARES                X                 1      18310     0     0
ILLINOIS TOOL WKS     COMMON
  INC COM             STOCK     452308109     952      17575    SHARES                         X        1      17575     0     0
IMATION CORPORATION   COMMON
  COM                 STOCK     45245A107       2         41    SHARES                X                 1         41     0     0
IMAX CORPORATION      COMMON
                      STOCK     45245E109       4       1000    SHARES                X                 1       1000     0     0
IMPAC MORTGAGE        COMMON
  HOLDINGS INC(RE     STOCK     45254P102       1        200    SHARES                         X        1       N.A.  N.A.  N.A.
IMPERIAL OIL LTD      COMMON
                      STOCK     453038408     232       5000    SHARES                         X        1       5000     0     0
IMPLANT SCIENCES CORP COMMON
                      STOCK     45320R108       4       2500    SHARES                X                 1       2500     0     0
IMS HEALTH INC COM    COMMON
                      STOCK     449934108     551      17162    SHARES                X                 1      16664     0   498
IMS HEALTH INC COM    COMMON
                      STOCK     449934108     183       5682    SHARES                         X        1       5382     0   300
INCYTE GENOMICS INC   COMMON
  COM                 STOCK     45337C102       2        400    SHARES                X                 1        400     0     0
INDIA FUND            PREFERRED
                      STOCK     454089103      13        293    SHARES                X                 1       N.A.  N.A.  N.A.
INDYMAC BANCORP INC   COMMON
                      STOCK     456607100       8        271    SHARES                X                 1        271     0     0
INERGY LP             COMMON
                      STOCK     456615103      36       1000    SHARES                         X        1       1000     0     0
INFOSYS TECHNOLOGIES  COMMON
  LTDSPON A           STOCK     456788108      10        200    SHARES                X                 1        200     0     0
INFRASOURCE SERVICES  COMMON
  INC                 STOCK     45684P102     195       5255    SHARES                X                 1       4900     0   355
ING GLOBAL EQUITY     PREFERRED
  DIV & PREM O        STOCK     45684E107      24       1150    SHARES                         X        1       N.A.  N.A.  N.A.
ING GROEP NV          COMMON
  SPONSORED ADR       STOCK     456837103      24        550    SHARES                         X        1        550     0     0
ING PRIME RATE TR     PREFERRED
                      STOCK     44977W106      22       3000    SHARES                X                 1       N.A.  N.A.  N.A.



                                   12 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
INGERSOLL-RAND        COMMON
  COMPANY LTD-A       STOCK     G4776G101     203       3700    SHARES                X                 1       3700     0      0
INGERSOLL-RAND        COMMON
  COMPANY LTD-A       STOCK     G4776G101     491       8950    SHARES                         X        1       8950     0      0
INGRAM MICRO INC CL A COMMON
                      STOCK     457153104       4        200    SHARES                         X        1        200     0      0
INSIGHT ENTERPRISES   COMMON
  INC COM             STOCK     45765U103     101       4475    SHARES                X                 1       4100     0    375
INTEGRATED            COMMON
  ELECTRICAL SERVICES STOCK     45811E301     129       3920    SHARES                X                 1       3600     0    320
INTEGRYS ENERGY       COMMON
  GROUP INC           STOCK     45822P105      36        700    SHARES                X                 1        700     0      0
INTEGRYS ENERGY       COMMON
  GROUP INC           STOCK     45822P105      18        350    SHARES                         X        1        350     0      0
INTEL CORP COM        COMMON
                      STOCK     458140100   15236     641777    SHARES                X                 1     629156     0  12621
INTEL CORP COM        COMMON
                      STOCK     458140100    5958     250961    SHARES                         X        1     215906     0  35055
INTERCONTINENTAL      COMMON
  EXCHANGE INC        STOCK     45865V100    1691      11439    SHARES                X                 1      11338     0    101
INTERCONTINENTAL      COMMON
  HOTELS-ADR          STOCK     45857P301       4        167    SHARES                X                 1        167     0      0
INTERDIGITAL COMM     COMMON
  CORP                STOCK     45866A105      32       1000    SHARES                X                 1       1000     0      0
INTERNATIONAL         COMMON
  BUSINESS MACHINE    STOCK     459200101   40858     388204    SHARES                X                 1     361550     0  26654
INTERNATIONAL         COMMON
  BUSINESS MACHINE    STOCK     459200101   14193     134849    SHARES                         X        1     125374     0   9475
INTERNATIONAL GAME    COMMON
  TECH COM            STOCK     459902102      33        825    SHARES                X                 1        825     0      0
INTERNATIONAL GAME    COMMON
  TECH COM            STOCK     459902102     119       3000    SHARES                         X        1       3000     0      0
INTERNATIONAL PAPER   COMMON
  CO COM              STOCK     460146103     765      19591    SHARES                X                 1      18841     0    750
INTERNATIONAL PAPER   COMMON
  CO COM              STOCK     460146103     380       9731    SHARES                         X        1       5195     0   4536
INTERNATIONAL         COMMON
  RECTIFIER CORP      STOCK     460254105     347       9325    SHARES                X                 1       8125     0   1200
INTERNATIONAL         COMMON
  RECTIFIER CORP      STOCK     460254105     159       4275    SHARES                         X        1       4275     0      0
INTERNATIONAL         COMMON
  SPEEDWAY CORP CL    STOCK     460335201       7        125    SHARES                X                 1        125     0      0
INTERNATIONAL         COMMON
  SPEEDWAY CORP CL    STOCK     460335201       6        120    SHARES                         X        1        120     0      0
INTL FLAVORS &        COMMON
  FRAGRANCES INC      STOCK     459506101      36        700    SHARES                X                 1        700     0      0
INTUIT INC COM        COMMON
                      STOCK     461202103     187       6210    SHARES                X                 1       5895     0    315
INTUIT INC COM        COMMON
                      STOCK     461202103      18        600    SHARES                         X        1        600     0      0
INTUITIVE SURGICAL    COMMON
  INC                 STOCK     46120E602    2378      17133    SHARES                X                 1      16785     0    348
INTUITIVE SURGICAL    COMMON
  INC                 STOCK     46120E602     121        875    SHARES                         X        1        875     0      0
INVACARE CORP COM     COMMON
                      STOCK     461203101       4        200    SHARES                X                 1        200     0      0
INVITROGEN CORP COM   COMMON
                      STOCK     46185R100     178       2417    SHARES                X                 1       2257     0    160
INVITROGEN CORP COM   COMMON
                      STOCK     46185R100      30        400    SHARES                         X        1          0     0    400
IOWA
  TELECOMMUNICATIONS  COMMON
  SERVIC              STOCK     462594201      57       2500    SHARES                         X        1       2500     0      0
ISHARES COHEN &       PREFERRED
  STEERS RLTY IN      STOCK     464287564      41        450    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES DJ SELECT     PREFERRED
  DIVIDEND IND        STOCK     464287168     150       2085    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES DJ SELECT     PREFERRED
  DIVIDEND IND        STOCK     464287168      18        250    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES DJ US BASIC   PREFERRED
  MATERIALS           STOCK     464287838      44        625    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES DJ US         COMMON
  HEALTHCARE SECTO    STOCK     464287762      21        300    SHARES                X                 1        300     0      0
ISHARES DJ US TECH    COMMON
  SEC INDEX F         STOCK     464287721      30        500    SHARES                X                 1        500     0      0
ISHARES DOW JONES US  PREFERRED
  TRANS IND           STOCK     464287192       5         60    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES DOW JONES US  PREFERRED
  UTIL SECT           STOCK     464287697      37        385    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES FTSE/XINHUA   PREFERRED
  CHINA 25            STOCK     464287184       8         61    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES FTSE/XINHUA   PREFERRED
  CHINA 25            STOCK     464287184      30        234    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES LEHMAN UST    PREFERRED
  INF PR S            STOCK     464287176     122       1235    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES MSCI          PREFERRED
  AUSTRALIA INDEX F   STOCK     464286103      12        415    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES MSCI BRAZIL   COMMON
  INDEX FUND          STOCK     464286400       8        128    SHARES                X                 1        128     0      0
ISHARES MSCI CANADA   PREFERRED
  INDEX FD            STOCK     464286509      11        365    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES MSCI EAFE     PREFERRED
  INDEX FD            STOCK     464287465    1351      16730    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES MSCI EAFE     PREFERRED
  INDEX FD            STOCK     464287465    1388      17180    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES MSCI          PREFERRED
  EMERGING MARKETS    STOCK     464287234      29        224    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES MSCI          PREFERRED
  EMERGING MARKETS    STOCK     464287234      97        735    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES MSCI GERMANY  PREFERRED
  INDEX FD            STOCK     464286806      19        560    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES MSCI JAPAN    PREFERRED
  INDEX FD            STOCK     464286848     138       9500    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES MSCI JAPAN    PREFERRED
  INDEX FD            STOCK     464286848      13        900    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES MSCI          COMMON
  MALAYSIA INDEX FD   STOCK     464286830       8        658    SHARES                X                 1        658     0      0
ISHARES MSCI MEXICO   PREFERRED
  INDEX FUND          STOCK     464286822       8        126    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES MSCI          COMMON
  SINGAPORE INDEX F   STOCK     464286673      13        983    SHARES                X                 1        983     0      0
ISHARES RUSSELL 1000  PREFERRED
  INDEX FD            STOCK     464287622    4085      50027    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES RUSSELL 1000  PREFERRED
  VALUE IND           STOCK     464287598      48        555    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES RUSSELL 2000  PREFERRED
  GRWTH FD            STOCK     464287648     155       1800    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES RUSSELL 2000  PREFERRED
  INDEX FD            STOCK     464287655    1822      21958    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES RUSSELL 2000  PREFERRED
  INDEX FD            STOCK     464287655      22        260    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES RUSSELL 2000  PREFERRED
  VALUE               STOCK     464287630      26        311    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P 500       COMMON
  BARRA VALUE IN      STOCK     464287408     241       2950    SHARES                X                 1       2950     0      0
ISHARES S&P 500       PREFERRED
  INDEX FD            STOCK     464287200    2543      16897    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P           PREFERRED
  500/BARRA GRWTH IN  STOCK     464287309     827      12035    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P EUROPE    PREFERRED
  350 INDEX F         STOCK     464287861     175       1500    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES S&P GSTI      PREFERRED
  TECHNOLOGY ID       STOCK     464287549      20        350    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P LATIN     COMMON
  AMERICA 40 I        STOCK     464287390       8         36    SHARES                X                 1         36     0      0
ISHARES S&P MIDCAP    PREFERRED
  400 BARRA G         STOCK     464287606     413       4578    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P MIDCAP    PREFERRED
  400 INDEX F         STOCK     464287507     451       5050    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P MIDCAP    PREFERRED
  400/BARRA V         STOCK     464287705     335       3865    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P MIDCAP    PREFERRED
  400/BARRA V         STOCK     464287705      43        500    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES S&P SMALLCAP  PREFERRED
  600 BARRA           STOCK     464287879     222       2800    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P SMALLCAP  PREFERRED
  600 BARRA           STOCK     464287887     311       2197    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P SMALLCAP  PREFERRED
  600 INDEX           STOCK     464287804     524       7370    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P SMALLCAP  PREFERRED
  600 INDEX           STOCK     464287804     328       4615    SHARES                         X        1       N.A.  N.A.   N.A.
ISIS PHARMACEUTICALS  COMMON
  COM                 STOCK     464330109       3        350    SHARES                X                 1        350     0      0
ISTAR FINL INC COM    COMMON
                      STOCK     45031U101     111       2500    SHARES                X                 1       N.A.  N.A.   N.A.
I-TRAX INC            COMMON
                      STOCK     45069D203       1        300    SHARES                X                 1        300     0      0



                                   13 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
ITT CORP              COMMON
                      STOCK     450911102     733      10734    SHARES                X                 1       9974     0    760
ITT CORP              COMMON
                      STOCK     450911102     186       2728    SHARES                         X        1       2728     0      0
IXIA                  COMMON
                      STOCK     45071R109       7        775    SHARES                X                 1        775     0      0
JABIL CIRCUIT INC     COMMON
                      STOCK     466313103     214       9675    SHARES                X                 1       9675     0      0
JABIL CIRCUIT INC     COMMON
                      STOCK     466313103     117       5300    SHARES                         X        1       5300     0      0
JACOBS ENGINEERING    COMMON
  GROUP INC C         STOCK     469814107     719      12500    SHARES                X                 1      12500     0      0
JACOBS ENGINEERING    COMMON
  GROUP INC C         STOCK     469814107      92       1600    SHARES                         X        1       1600     0      0
JARDEN CORPORATION    COMMON
                      STOCK     471109108      57       1320    SHARES                X                 1       1200     0    120
JDS UNIPHASE CORP     COMMON
                      STOCK     46612J507       3        189    SHARES                X                 1        189     0      0
JETBLUE AIRWAYS       COMMON
  CORPORATION         STOCK     477143101       1        100    SHARES                X                 1        100     0      0
JM SMUCKER CO         COMMON
                      STOCK     832696405     172       2703    SHARES                X                 1       2606     0     97
JM SMUCKER CO         COMMON
                      STOCK     832696405     425       6675    SHARES                         X        1       6077     0    598
JOHN HANCOCK BANK &   PREFERRED
  THRIFT OPP          STOCK     409735107      18       2000    SHARES                X                 1       N.A.  N.A.   N.A.
JOHN HANCOCK PATR     PREFERRED
  PREM DIV FD         STOCK     41013T105      12       1123    SHARES                         X        1       N.A.  N.A.   N.A.
JOHN HANCOCK PFD INC  PREFERRED
  FD II               STOCK     41013X106      27       1150    SHARES                X                 1       N.A.  N.A.   N.A.
JOHN HANCOCK PFD INC  PREFERRED
  FD III              STOCK     41021P103      18        809    SHARES                X                 1       N.A.  N.A.   N.A.
JOHNSON & JOHNSON     COMMON
                      STOCK     478160104   31108     504838    SHARES                X                 1     496738     0   8100
JOHNSON & JOHNSON     COMMON
                      STOCK     478160104   30589     496413    SHARES                         X        1     481851     0  14562
JOHNSON CONTROLS INC  COMMON
  COM                 STOCK     478366107    1043       9005    SHARES                X                 1       9005     0      0
JOHNSON CONTROLS INC  COMMON
  COM                 STOCK     478366107     262       2260    SHARES                         X        1       2260     0      0
JOS A BANK CLOTHIERS  COMMON
  INC                 STOCK     480838101     112       2700    SHARES                X                 1       2550     0    150
JOY GLOBAL            COMMON
  INCORPORATED        STOCK     481165108    2910      49895    SHARES                X                 1      49515     0    380
JOY GLOBAL            COMMON
  INCORPORATED        STOCK     481165108      64       1100    SHARES                         X        1       1100     0      0
JPMORGAN CHASE & CO   COMMON
                      STOCK     46625H100   11883     245272    SHARES                X                 1     242096     0   3176
JPMORGAN CHASE & CO   COMMON
                      STOCK     46625H100    7244     149511    SHARES                         X        1     137880     0  11631
KADANT INC COM        COMMON
                      STOCK     48282T104      31       1000    SHARES                         X        1       1000     0      0
KANSAS CITY SOUTHERN  COMMON
                      STOCK     485170302      94       2505    SHARES                X                 1       2300     0    205
KANSAS LIFE INS CO    COMMON
  COM                 STOCK     484836101      70       1500    SHARES                X                 1       1500     0      0
KAYNE ANDERSON MLP    PREFERRED
  INVESTMENT          STOCK     486606106      84       2541    SHARES                X                 1       N.A.  N.A.   N.A.
KB HOME COM           COMMON
                      STOCK     48666K109       8        200    SHARES                         X        1        200     0      0
KBR INC               COMMON
                      STOCK     48242W106     134       5115    SHARES                X                 1       4700     0    415
KELLOGG CO COM        COMMON
                      STOCK     487836108    1109      21406    SHARES                X                 1      21406     0      0
KELLOGG CO COM        COMMON
                      STOCK     487836108    1120      21622    SHARES                         X        1      20025     0   1597
KENNAMETAL INC        COMMON
                      STOCK     489170100     107       1305    SHARES                X                 1       1200     0    105
KEYCORP NEW COM       COMMON
                      STOCK     493267108     364      10615    SHARES                X                 1      10615     0      0
KEYCORP NEW COM       COMMON
                      STOCK     493267108     143       4175    SHARES                         X        1       4175     0      0
KEYSPAN CORP COM      COMMON
                      STOCK     49337W100      64       1526    SHARES                X                 1       1426     0    100
KEYSPAN CORP COM      COMMON
                      STOCK     49337W100      37        880    SHARES                         X        1        880     0      0
KIMBERLY CLARK CORP   COMMON
                      STOCK     494368103    5574      83338    SHARES                X                 1      83338     0      0
KIMBERLY CLARK CORP   COMMON
                      STOCK     494368103    4048      60522    SHARES                         X        1      53772     0   6750
KIMCO REALTY CORP     COMMON
  (REIT)              STOCK     49446R109      24        622    SHARES                         X        1       N.A.  N.A.   N.A.
KINDER MORGAN ENERGY  COMMON
  PARTNERS            STOCK     494550106     156       2830    SHARES                X                 1       2830     0      0
KINDER MORGAN ENERGY  COMMON
  PARTNERS            STOCK     494550106      57       1025    SHARES                         X        1       1025     0      0
KINDER MORGAN         COMMON
  MANAGEMENT LLC      STOCK     49455U100      80       1548    SHARES                X                 1       1548     0      0
KINETIC CONCEPTS INC  COMMON
                      STOCK     49460W208      30        579    SHARES                X                 1        579     0      0
KINETIC CONCEPTS INC  COMMON
                      STOCK     49460W208      49        950    SHARES                         X        1        950     0      0
KING PHARMACEUTICALS  COMMON
  INC COM             STOCK     495582108      23       1142    SHARES                X                 1       1142     0      0
KINROSS GOLD          COMMON
  CORPORATION         STOCK     496902404      17       1419    SHARES                X                 1       1419     0      0
KKR FINANCIAL CORP    COMMON
  REIT                STOCK     48248A306     125       5000    SHARES                X                 1       N.A.  N.A.   N.A.
KKR FINANCIAL CORP    COMMON
  REIT                STOCK     48248A306      37       1500    SHARES                         X        1       N.A.  N.A.   N.A.
KLA TENCOR CORP COM   COMMON
                      STOCK     482480100      11        200    SHARES                X                 1        200     0      0
KMG CHEMICALS INC     COMMON
                      STOCK     482564101      75       2835    SHARES                X                 1       2609     0    226
KNIGHTSBRIDGE         COMMON
  TANKERS LTD         STOCK     G5299G106      15        500    SHARES                X                 1        500     0      0
KOHLS CORP COM        COMMON
                      STOCK     500255104     430       6059    SHARES                X                 1       6059     0      0
KOHLS CORP COM        COMMON
                      STOCK     500255104     215       3020    SHARES                         X        1       3020     0      0
KONINKLIJKE PHILIPS   COMMON
  ELEC N V N          STOCK     500472303      19        450    SHARES                X                 1        450     0      0
KORN/FERRY INTL       COMMON
                      STOCK     500643200      22        848    SHARES                X                 1        848     0      0
KRAFT FOODS INC CL A  COMMON
                      STOCK     50075N104    8084     229343    SHARES                X                 1     226495     0   2848
KRAFT FOODS INC CL A  COMMON
                      STOCK     50075N104    3725     105677    SHARES                         X        1     100654     0   5023
KROGER CO             COMMON
                      STOCK     501044101     380      13525    SHARES                X                 1      13525     0      0
KROGER CO             COMMON
                      STOCK     501044101     100       3550    SHARES                         X        1       3050     0    500
K-SWISS INC CL A      COMMON
                      STOCK     482686102      16        552    SHARES                X                 1        552     0      0
KYPHON INC            COMMON
                      STOCK     501577100      79       1635    SHARES                X                 1       1500     0    135
L 3 COMMUNICATIONS    COMMON
  CORP COM            STOCK     502424104      34        345    SHARES                X                 1        345     0      0
L 3 COMMUNICATIONS    COMMON
  CORP COM            STOCK     502424104      92        945    SHARES                         X        1        945     0      0
LADISH CO INC         COMMON
                      STOCK     505754200     150       3495    SHARES                X                 1       3200     0    295
LAM RESH CORP         COMMON
                      STOCK     512807108      34        670    SHARES                X                 1        670     0      0
LAM RESH CORP         COMMON
                      STOCK     512807108      25        485    SHARES                         X        1        485     0      0
LANCE INC             COMMON
                      STOCK     514606102      13        532    SHARES                X                 1        532     0      0
LAS VEGAS SANDS CORP  COMMON
                      STOCK     517834107      23        300    SHARES                X                 1        300     0      0
LASALLE HOTEL PROP    COMMON
  REIT                STOCK     517942108       4        100    SHARES                X                 1       N.A.  N.A.   N.A.
LAUDER ESTEE CO CL A  COMMON
                      STOCK     518439104    5486     120535    SHARES                X                 1     115512     0   5023
LAUDER ESTEE CO CL A  COMMON
                      STOCK     518439104     475      10430    SHARES                         X        1       7790     0   2640
LAUREATE EDUCATION    COMMON
  INC                 STOCK     518613104    2129      34527    SHARES                X                 1      32894     0   1633
LAUREATE EDUCATION    COMMON
  INC                 STOCK     518613104      88       1420    SHARES                         X        1        960     0    460
LAW ENFORCEMENT       COMMON
  ASSOCIATES COR      STOCK     519485106       0        700    SHARES                X                 1        700     0      0
LAWSON SOFTWARE INC   COMMON
                      STOCK     52078P102      82       8310    SHARES                X                 1       7600     0    710
LAZARD WORLD          PREFERRED
  DIVIDEND & INCOME   STOCK     521076109      11        460    SHARES                         X        1       N.A.  N.A.   N.A.



                                   14 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                       COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY             VOTING AUTHORITY
                     COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 --------------------
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
--------------       --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
LEAR CORP            COMMON
                     STOCK     521865105      29        801    SHARES                X                 1        801     0       0
LEAR CORP            COMMON
                     STOCK     521865105      33        925    SHARES                         X        1        925     0       0
LEESPORT FINANCIAL   COMMON
  CORP               STOCK     524477106      43       2180    SHARES                X                 1       2180     0       0
LEGG MASON INC       COMMON
                     STOCK     524901105    3002      30515    SHARES                X                 1      30240     0     275
LEGG MASON INC       COMMON
                     STOCK     524901105     506       5143    SHARES                         X        1       4993     0     150
LEGGETT & PLATT INC  COMMON
                     STOCK     524660107     176       8000    SHARES                X                 1       8000     0       0
LEHMAN BROTHERS      COMMON
  HLDGS INC COM      STOCK     524908100    8972     118368    SHARES                X                 1     116222     0    2146
LEHMAN BROTHERS      COMMON
  HLDGS INC COM      STOCK     524908100    1251      16504    SHARES                         X        1      15279     0    1225
LEVEL 3              COMMON
  COMMUNICATIONS INC STOCK     52729N100      35       6000    SHARES                X                 1       6000     0       0
LEXINGTON REALTY     COMMON
  TRUST              STOCK     529043101      26       1235    SHARES                X                 1       N.A.  N.A.    N.A.
LEXINGTON REALTY     COMMON
  TRUST              STOCK     529043101      26       1257    SHARES                         X        1       N.A.  N.A.    N.A.
LIBERTY GLOBAL INC   COMMON
  - CL A             STOCK     530555101       9        213    SHARES                X                 1        213     0       0
LIBERTY GLOBAL INC   COMMON
  - CL A             STOCK     530555101      86       2100    SHARES                         X        1       2100     0       0
LIBERTY GLOBAL INC   COMMON
  CL C               STOCK     530555309       8        216    SHARES                X                 1        216     0       0
LIBERTY GLOBAL INC   COMMON
  CL C               STOCK     530555309     134       3400    SHARES                         X        1       3400     0       0
LIBERTY GLOBAL       COMMON
  INC-CL B           STOCK     530555200      53       1300    SHARES                         X        1       1300     0       0
LIBERTY MEDIA HLDG   COMMON
  CORP - CAP         STOCK     53071M302     222       1884    SHARES                X                 1       1884     0       0
LIBERTY MEDIA HLDG   COMMON
  CORP - CAP         STOCK     53071M302     341       2900    SHARES                         X        1       2900     0       0
LIBERTY MEDIA HLDG   COMMON
  CORP - CAP         STOCK     53071M401     153       1300    SHARES                         X        1       1300     0       0
LIBERTY MEDIA HLDG   COMMON
  CORP - INTE        STOCK     53071M104     204       9120    SHARES                X                 1       9120     0       0
LIBERTY MEDIA HLDG   COMMON
  CORP - INTE        STOCK     53071M104     324      14500    SHARES                         X        1      14500     0       0
LIBERTY MEDIA HLDG   COMMON
  CORP - INTE        STOCK     53071M203     144       6500    SHARES                         X        1       6500     0       0
LIFECELL CORP        COMMON
                     STOCK     531927101      60       1965    SHARES                X                 1       1800     0     165
LILLY ELI & CO       COMMON
                     STOCK     532457108    6628     118610    SHARES                X                 1     117297     0    1313
LILLY ELI & CO       COMMON
                     STOCK     532457108    5713     102239    SHARES                         X        1      99894  1600     745
LIMITED BRANDS, INC  COMMON
  COM                STOCK     532716107       5        200    SHARES                         X        1        200     0       0
LINCOLN NATIONAL     COMMON
  CORP               STOCK     534187109    5474      77156    SHARES                X                 1      72595     0    4561
LINCOLN NATIONAL     COMMON
  CORP               STOCK     534187109    1010      14237    SHARES                         X        1      14237     0       0
LINEAR TECHNOLOGY    COMMON
  CORP COM           STOCK     535678106     349       9655    SHARES                X                 1       8905     0     750
LINEAR TECHNOLOGY    COMMON
  CORP COM           STOCK     535678106     114       3140    SHARES                         X        1       1350     0    1790
LIVE NATION INC      COMMON
                     STOCK     538034109       1         65    SHARES                X                 1         65     0       0
LIVE NATION INC      COMMON
                     STOCK     538034109       6        277    SHARES                         X        1        277     0       0
LIZ CLAIBORNE INC    COMMON
                     STOCK     539320101      22        600    SHARES                         X        1        600     0       0
LJ INTERNATIONAL INC COMMON
                     STOCK     G55312105       4        400    SHARES                X                 1        400     0       0
LOCKHEED MARTIN      COMMON
  CORPORATION CO     STOCK     539830109   11609     123327    SHARES                X                 1     121577     0    1750
LOCKHEED MARTIN      COMMON
  CORPORATION CO     STOCK     539830109    2475      26295    SHARES                         X        1      24920     0    1375
LOEWS CORP COM       COMMON
                     STOCK     540424108     138       2700    SHARES                X                 1       2700     0       0
LOEWS CORP COM       COMMON
                     STOCK     540424108      61       1200    SHARES                         X        1       1200     0       0
LOGITECH
  INTERNATIONAL SA   COMMON
  - RE               STOCK     H50430232      78       2940    SHARES                X                 1       2700     0     240
LOWES COS INC COM    COMMON
                     STOCK     548661107    5597     182374    SHARES                X                 1     176733     0    5641
LOWES COS INC COM    COMMON
                     STOCK     548661107     559      18219    SHARES                         X        1      13659     0    4560
LSI CORPORATION      COMMON
                     STOCK     502161102       1        184    SHARES                X                 1        184     0       0
LSI CORPORATION      COMMON
                     STOCK     502161102      54       7134    SHARES                         X        1       7126     0       8
LUBRIZOL CORP        COMMON
                     STOCK     549271104    1132      17532    SHARES                         X        1      17532     0       0
LUMERA CORP          COMMON
                     STOCK     55024R106       4       1000    SHARES                         X        1       1000     0       0
LUMINENT MORTGAGE    COMMON
  CAPITAL INC        STOCK     550278303      30       3000    SHARES                         X        1       N.A.  N.A.    N.A.
LUMINEX CORPORATION  COMMON
                     STOCK     55027E102      32       2615    SHARES                X                 1       2400     0     215
LYONDELL CHEMICAL    COMMON
  COMPANY COM        STOCK     552078107      15        400    SHARES                X                 1        400     0       0
M & T BANK CORP      COMMON
                     STOCK     55261F104   61884     578897    SHARES                X                 1     572503     0    6394
M & T BANK CORP      COMMON
                     STOCK     55261F104   17664     165234    SHARES                         X        1      33950     0  131284
MACK CALI RLTY CORP  COMMON
                     STOCK     554489104       9        200    SHARES                X                 1       N.A.  N.A.    N.A.
MACY'S INC           COMMON
                     STOCK     55616P104     191       4808    SHARES                X                 1       4808     0       0
MACY'S INC           COMMON
                     STOCK     55616P104      37        938    SHARES                         X        1        938     0       0
MAF BANCORP INC COM  COMMON
                     STOCK     55261R108     416       7674    SHARES                X                 1       7674     0       0
MAGNA INTL INC CL A  COMMON
                     STOCK     559222401      68        750    SHARES                         X        1        750     0       0
MAINE & MARITIMES    COMMON
  CORP               STOCK     560377103      11        400    SHARES                X                 1        400     0       0
MANITOWOC CO INC COM COMMON
                     STOCK     563571108       6         75    SHARES                X                 1         75     0       0
MANOR CARE INC COM   COMMON
                     STOCK     564055101     291       4450    SHARES                         X        1       4250     0     200
MANPOWER INC WIS     COMMON
                     STOCK     56418H100     138       1500    SHARES                X                 1       1500     0       0
MANULIFE FINANCIAL   COMMON
  CORP               STOCK     56501R106    1237      33159    SHARES                X                 1      33159     0       0
MANULIFE FINANCIAL   COMMON
  CORP               STOCK     56501R106      52       1404    SHARES                         X        1       1404     0       0
MARATHON OIL CORP    COMMON
                     STOCK     565849106    1119      18656    SHARES                X                 1      18656     0       0
MARATHON OIL CORP    COMMON
                     STOCK     565849106     321       5360    SHARES                         X        1       5360     0       0
MARINER ENERGY INC   COMMON
                     STOCK     56845T305      10        404    SHARES                X                 1        404     0       0
MARKET VECTORS GOLD  PREFERRED
  MINERS             STOCK     57060U100       4        115    SHARES                X                 1       N.A.  N.A.    N.A.
MARKET VECTORS       PREFERRED
  STEEL INDEX FD     STOCK     57060U308       8        118    SHARES                X                 1       N.A.  N.A.    N.A.
MARRIOTT INTL INC    COMMON
  CL A               STOCK     571903202     136       3138    SHARES                X                 1       3138     0       0
MARSH & MCLENNAN     COMMON
  COS INC COM        STOCK     571748102      74       2400    SHARES                X                 1       2400     0       0
MARSH & MCLENNAN     COMMON
  COS INC COM        STOCK     571748102     157       5100    SHARES                         X        1       5100     0       0
MARSHALL & ILSLEY    COMMON
  CORP               STOCK     571834100     248       5216    SHARES                X                 1       5216     0       0
MARSHALL & ILSLEY    COMMON
  CORP               STOCK     571834100      14        300    SHARES                         X        1        300     0       0
MARTEK BIOSCIENCES   COMMON
  CORP               STOCK     572901106      99       3823    SHARES                X                 1       3573     0     250
MARTHA STEWART       COMMON
  LIVING-CL A        STOCK     573083102      12        700    SHARES                X                 1        700     0       0
MARVEL TECHNOLOGY    COMMON
  GROUP LTD          STOCK     G5876H105      14        750    SHARES                X                 1        750     0       0
MASCO CORP           COMMON
                     STOCK     574599106    1224      43002    SHARES                X                 1      43002     0       0
MASCO CORP           COMMON
                     STOCK     574599106     465      16344    SHARES                         X        1      16344     0       0
MASSEY ENERGY CO COM COMMON
                     STOCK     576206106      21        773    SHARES                X                 1        773     0       0
MASSEY ENERGY CO COM COMMON
                     STOCK     576206106      40       1500    SHARES                         X        1       1500     0       0


                                   15 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
MASTEC INC            COMMON
                      STOCK     576323109     119       7500    SHARES                X                 1       6900     0    600
MATRIX SERVICE        COMMON
  COMPANY             STOCK     576853105     144       5775    SHARES                X                 1       5300     0    475
MATSUSHITA ELEC IND   COMMON
  SPON ADR            STOCK     576879209      10        500    SHARES                X                 1        500     0      0
MATTEL INC            COMMON
                      STOCK     577081102      10        400    SHARES                X                 1        400     0      0
MATTEL INC            COMMON
                      STOCK     577081102     123       4869    SHARES                         X        1       4869     0      0
MAX CAPITAL GROUP LTD COMMON
                      STOCK     G6052F103       5        165    SHARES                X                 1        165     0      0
MAXIM INTEGRATED      COMMON
  PRODS INC COM       STOCK     57772K101     159       4745    SHARES                X                 1       4505     0    240
MAXWELL TECHNOLOGIES  COMMON
  INC                 STOCK     577767106     185      13000    SHARES                         X        1      13000     0      0
MC GRAW HILL          COMMON
  COMPANIES INC       STOCK     580645109     722      10600    SHARES                X                 1      10600     0      0
MC GRAW HILL          COMMON
  COMPANIES INC       STOCK     580645109    2007      29487    SHARES                         X        1      23887     0   5600
MCCORMICK & CO-NON    COMMON
  VTG SHS             STOCK     579780206    2399      62835    SHARES                X                 1      61660     0   1175
MCCORMICK & CO-NON    COMMON
  VTG SHS             STOCK     579780206     640      16770    SHARES                         X        1      13475     0   3295
MCDERMOTT INTL INC    COMMON
                      STOCK     580037109     776       9338    SHARES                X                 1       9018     0    320
MCDERMOTT INTL INC    COMMON
                      STOCK     580037109      19        225    SHARES                         X        1          0     0    225
MCDONALD'S            COMMON
  CORPORATION         STOCK     580135101    3394      66856    SHARES                X                 1      66106     0    750
MCDONALD'S            COMMON
  CORPORATION         STOCK     580135101    1816      35770    SHARES                         X        1      28910     0   6860
MCKESSON CORPORATION  COMMON
  COM                 STOCK     58155Q103      50        834    SHARES                X                 1        394     0    440
MCKESSON CORPORATION  COMMON
  COM                 STOCK     58155Q103       9        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 CORP     COMMON
                      STOCK     583334107      17        489    SHARES                X                 1        489     0      0
MEDAREX INC           COMMON
                      STOCK     583916101      56       3950    SHARES                X                 1       3600     0    350
MEDCO HEALTH          COMMON
  SOLUTIONS INC       STOCK     58405U102    1041      13350    SHARES                X                 1      12699     0    651
MEDCO HEALTH          COMMON
  SOLUTIONS INC       STOCK     58405U102    1578      20227    SHARES                         X        1      17493     0   2734
MEDICIS
  PHARMACEUTICAL      COMMON
  CORP CL             STOCK     584690309      50       1635    SHARES                X                 1       1500     0    135
MEDTRONIC INC         COMMON
                      STOCK     585055106    5314     102470    SHARES                X                 1     100470     0   2000
MEDTRONIC INC         COMMON
                      STOCK     585055106    3117      60112    SHARES                         X        1      54797     0   5315
MELLON FINANCIAL CORP COMMON
                      STOCK     58551A108    2560      58171    SHARES                X                 1      58171     0      0
MELLON FINANCIAL CORP COMMON
                      STOCK     58551A108     126       2872    SHARES                         X        1       2872     0      0
MEMC ELECTRONIC       COMMON
  MATERIALS INC       STOCK     552715104     655      10712    SHARES                X                 1      10512     0    200
MEMRY CORP            COMMON
                      STOCK     586263204       1        350    SHARES                X                 1        350     0      0
MENS WEARHOUSE INC    COMMON
  COM                 STOCK     587118100      94       1840    SHARES                X                 1       1700     0    140
MENTOR CORP MINN COM  COMMON
                      STOCK     587188103      37        900    SHARES                         X        1        700     0    200
MERCANTILE BANK       COMMON
  CORPORATION         STOCK     587376104       9        317    SHARES                X                 1        317     0      0
MERCK & CO INC COM    COMMON
                      STOCK     589331107    8960     179911    SHARES                X                 1     173911     0   6000
MERCK & CO INC COM    COMMON
                      STOCK     589331107    8934     179394    SHARES                         X        1     155739     0  23655
MERIDIAN GOLD         COMMON
  INCORPORATED        STOCK     589975101       7        250    SHARES                X                 1        250     0      0
MERRILL LYNCH & CO    COMMON
  INC                 STOCK     590188108    2950      35292    SHARES                X                 1      34917     0    375
MERRILL LYNCH & CO    COMMON
  INC                 STOCK     590188108    1110      13280    SHARES                         X        1      12265     0   1015
MESA LABORATORIES     COMMON
  INC COM             STOCK     59064R109      23       1000    SHARES                X                 1       1000     0      0
METABOLIX INC         COMMON
                      STOCK     591018809       3        100    SHARES                X                 1        100     0      0
METHANEX CORPORATION  COMMON
                      STOCK     59151K108      22        884    SHARES                X                 1        884     0      0
METLIFE CAP TR I      COMMON
                      STOCK     59156R108      56        876    SHARES                X                 1        876     0      0
METLIFE CAP TR I      COMMON
                      STOCK     59156R108      99       1528    SHARES                         X        1       1528     0      0
MFRI INC              COMMON
                      STOCK     552721102      92       3270    SHARES                X                 1       3000     0    270
MFS MUN INCOME TR SH
  BEN INT             OTHER     552738106      14       1700    SHARES                X                 1       N.A.  N.A.   N.A.
MFS SPECIAL VALUE     PREFERRED
  TRUST               STOCK     55274E102      24       2125    SHARES                         X        1       N.A.  N.A.   N.A.
MGM MIRAGE            COMMON
                      STOCK     552953101       4         50    SHARES                X                 1         50     0      0
MHI HOSPITALITY CORP  COMMON
                      STOCK     55302L102      13       1200    SHARES                X                 1       N.A.  N.A.   N.A.
MICROCHIP TECHNOLOGY  COMMON
  INC COM             STOCK     595017104     102       2765    SHARES                X                 1       2600     0    165
MICRON TECHNOLOGY     COMMON
  INC COM             STOCK     595112103       5        400    SHARES                X                 1        400     0      0
MICRON TECHNOLOGY     COMMON
  INC COM             STOCK     595112103       5        400    SHARES                         X        1        400     0      0
MICROS SYSTEMS INC    COMMON
                      STOCK     594901100     713      13100    SHARES                         X        1      13100     0      0
MICROSOFT CORP        COMMON
                      STOCK     594918104   23836     808825    SHARES                X                 1     784631     0  24194
MICROSOFT CORP        COMMON
                      STOCK     594918104    7689     260903    SHARES                         X        1     229932     0  30971
MID PENN BANCORP      COMMON
  INCORPORATED        STOCK     59540G107      31       1157    SHARES                X                 1       1157     0      0
MIDCAP SPDR TRUST     COMMON
  SERIES 1 S&P        STOCK     595635103    2010      12337    SHARES                X                 1      12337     0      0
MIDCAP SPDR TRUST     COMMON
  SERIES 1 S&P        STOCK     595635103    2871      17617    SHARES                         X        1      17617     0      0
MILLENNIUM            COMMON
  PHARMACEUTICALS COM STOCK     599902103      53       5000    SHARES                         X        1       5000     0      0
MINE SAFETY           COMMON
  APPLIANCES CO       STOCK     602720104      28        650    SHARES                X                 1        650     0      0
MINERAL TECH INC COM  COMMON
                      STOCK     603158106       7        100    SHARES                X                 1        100     0      0
MIRANT CORP           COMMON
                      STOCK     60467R100       0         11    SHARES                         X        1         11     0      0
MIRANT CORP-W/I-CW11  COMMON
  1                   STOCK     60467R118       1         23    SHARES                X                 1         23     0      0
MIRANT CORP-W/I-CW11  COMMON
  1                   STOCK     60467R118       1         35    SHARES                         X        1         35     0      0
ML MACADAMIA ORCHARDS COMMON
                      STOCK     55307U107       1        100    SHARES                         X        1        100     0      0
MOHAWK INDUSTRIES     COMMON
  INC COM             STOCK     608190104      71        700    SHARES                X                 1        700     0      0
MOLEX INC             COMMON
                      STOCK     608554101     114       3812    SHARES                X                 1       3812     0      0
MOLEX INC             COMMON
                      STOCK     608554101      49       1640    SHARES                         X        1       1640     0      0
MOLSON COORS BREWING  COMMON
  COMPANY             STOCK     60871R209      28        300    SHARES                         X        1        300     0      0
MONARCH CASINO &      COMMON
  RESORT INC          STOCK     609027107      70       2619    SHARES                X                 1       2619     0      0
MONSANTO COMPANY      COMMON
                      STOCK     61166W101     213       3160    SHARES                X                 1       1878     0   1282
MONSANTO COMPANY      COMMON
                      STOCK     61166W101     841      12456    SHARES                         X        1      12456     0      0
MONSTER WORLDWIDE     COMMON
  INCORPORATED        STOCK     611742107       5        125    SHARES                X                 1        125     0      0
MONTGOMERY ST INCOME  PREFERRED
  SECS INC            STOCK     614115103      98       5653    SHARES                X                 1       N.A.  N.A.   N.A.
MOODYS CORP           COMMON
                      STOCK     615369105      99       1590    SHARES                X                 1       1590     0      0
MOODYS CORP           COMMON
                      STOCK     615369105     535       8600    SHARES                         X        1       8600     0      0
MOOG INC CL A         COMMON
                      STOCK     615394202       3         75    SHARES                X                 1         75     0      0
MORGAN STAN DEAN      PREFERRED
  QUALITY MUN I       STOCK     61745P734      20       1413    SHARES                         X        1       N.A.  N.A.   N.A.



                                   16 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
MORGAN STANLEY        PREFERRED
  EMERGING MKTS D     STOCK     61744H105      15       1500    SHARES                X                 1       N.A.  N.A.  N.A.
MORGAN STANLEY GROUP  COMMON
  INC                 STOCK     617446448   10077     120134    SHARES                X                 1     117010     0  3124
MORGAN STANLEY GROUP  COMMON
  INC                 STOCK     617446448    2502      29831    SHARES                         X        1      29169     0   662
MORGAN STANLEY HIGH   PREFERRED
  YLD FD INC          STOCK     61744M104       2        300    SHARES                X                 1       N.A.  N.A.  N.A.
MORGAN STANLEY INSD   PREFERRED
  MUNI INCOM          STOCK     61745P791      40       2814    SHARES                         X        1       N.A.  N.A.  N.A.
MORGAN STANLEY        PREFERRED
  QUALITY MUNI IN     STOCK     61745P668      23       1708    SHARES                         X        1       N.A.  N.A.  N.A.
MOTOROLA INC          COMMON
                      STOCK     620076109    1781     100641    SHARES                X                 1     100641     0     0
MOTOROLA INC          COMMON
                      STOCK     620076109    1044      59010    SHARES                         X        1      58010     0  1000
MUELLER WATER         COMMON
  PRODUCTS INC-A      STOCK     624758108       2        100    SHARES                X                 1        100     0     0
MUNICIPAL MTG & EQ    COMMON
  LLC                 STOCK     62624B101      41       1700    SHARES                X                 1       1700     0     0
MUNICIPAL MTG & EQ    COMMON
  LLC                 STOCK     62624B101      40       1650    SHARES                         X        1       1650     0     0
MURPHY OIL CORP       COMMON
                      STOCK     626717102      53        900    SHARES                X                 1        900     0     0
MURPHY OIL CORP       COMMON
                      STOCK     626717102      89       1500    SHARES                         X        1       1500     0     0
MYLAN LABORATORIES    COMMON
  INC                 STOCK     628530107      15        800    SHARES                X                 1        800     0     0
MYLAN LABORATORIES    COMMON
  INC                 STOCK     628530107      27       1500    SHARES                         X        1          0     0  1500
MYRIAD GENETICS INC   COMMON
  COM                 STOCK     62855J104       6        150    SHARES                X                 1        150     0     0
N J RES CORP          COMMON
                      STOCK     646025106      31        600    SHARES                X                 1        600     0     0
NABI                  COMMON
  BIOPHARMACEUTICALS  STOCK     629519109       9       2000    SHARES                X                 1       2000     0     0
NABORS INDUSTRIES LTD COMMON
                      STOCK     G6359F103    2006      60109    SHARES                X                 1      59615     0   494
NABORS INDUSTRIES LTD COMMON
                      STOCK     G6359F103     860      25755    SHARES                         X        1      25755     0     0
NAM TAI ELECTRONICS   COMMON
  INCORPORAT          STOCK     629865205       6        500    SHARES                         X        1          0     0   500
NATIONAL AUSTRALIA    COMMON
  BK LTD              STOCK     632525408      87        500    SHARES                X                 1        500     0     0
NATIONAL BANK OF      COMMON
  GREECE ADR          STOCK     633643408     150      13100    SHARES                X                 1      13100     0     0
NATIONAL BANK OF      COMMON
  GREECE ADR          STOCK     633643408      15       1300    SHARES                         X        1       1300     0     0
NATIONAL CITY CORP    COMMON
  COM                 STOCK     635405103     579      17375    SHARES                X                 1      17375     0     0
NATIONAL CITY CORP    COMMON
  COM                 STOCK     635405103      40       1215    SHARES                         X        1       1215     0     0
NATIONAL PENN         COMMON
  BANCSHARES INC      STOCK     637138108     135       8113    SHARES                X                 1       8113     0     0
NATIONAL PENN         COMMON
  BANCSHARES INC      STOCK     637138108     114       6836    SHARES                         X        1       6836     0     0
NATIONAL RETAIL       COMMON
  PROPERTIES INC      STOCK     637417106      15        700    SHARES                         X        1       N.A.  N.A.  N.A.
NATIONAL
  SEMICONDUCTOR CORP  COMMON
  CO                  STOCK     637640103      66       2350    SHARES                X                 1       2350     0     0
NATIONAL
  SEMICONDUCTOR CORP  COMMON
  CO                  STOCK     637640103      87       3090    SHARES                         X        1       3090     0     0
NATIONAL-OILWELL      COMMON
  VARCO INC           STOCK     637071101      26        250    SHARES                X                 1        250     0     0
NATIONWIDE FINL SVCS  COMMON
  INC                 STOCK     638612101      26        413    SHARES                         X        1          0     0   413
NATIONWIDE HEALTH     COMMON
  PROPERTIES (        STOCK     638620104      41       1500    SHARES                         X        1       N.A.  N.A.  N.A.
NATL FUEL GAS CO      COMMON
                      STOCK     636180101      43       1000    SHARES                         X        1       1000     0     0
NATURAL GAS SERVICES  COMMON
  GROUP               STOCK     63886Q109      72       4000    SHARES                         X        1       4000     0     0
NATURAL RESOURCE      COMMON
  PARTNERS L P        STOCK     63900P103      17        434    SHARES                X                 1        434     0     0
NCR CORP COM          COMMON
                      STOCK     62886E108       6        109    SHARES                X                 1        109     0     0
NCR CORP COM          COMMON
                      STOCK     62886E108      77       1474    SHARES                         X        1       1458     0    16
NEENAH PAPER INC      COMMON
                      STOCK     640079109      43       1035    SHARES                X                 1       1035     0     0
NEENAH PAPER INC      COMMON
                      STOCK     640079109       3         65    SHARES                         X        1         65     0     0
NETSOL TECHNOLOGIES   COMMON
  INC                 STOCK     64115A204       1        500    SHARES                X                 1        500     0     0
NETWORK APPLIANCE     COMMON
  INC COM             STOCK     64120L104     743      25440    SHARES                X                 1      25440     0     0
NEUROCRINE            COMMON
  BIOSCIENCES INC     STOCK     64125C109       6        500    SHARES                         X        1          0     0   500
NEW AMERICAN HIGH     PREFERRED
  INCOME FD IN        STOCK     641876107       8       3500    SHARES                         X        1       N.A.  N.A.  N.A.
NEW YORK TIMES CO CL  COMMON
  A                   STOCK     650111107      31       1220    SHARES                X                 1       1220     0     0
NEW YORK TIMES CO CL  COMMON
  A                   STOCK     650111107     254      10000    SHARES                         X        1      10000     0     0
NEWELL RUBBERMAID     COMMON
  INC COM             STOCK     651229106     726      24668    SHARES                X                 1      24668     0     0
NEWELL RUBBERMAID     COMMON
  INC COM             STOCK     651229106     373      12682    SHARES                         X        1      12182     0   500
NEWFIELD EXPLORATION  COMMON
  CO                  STOCK     651290108     184       4034    SHARES                X                 1       3814     0   220
NEWMARKET CORPORATION COMMON
                      STOCK     651587107     106       2200    SHARES                X                 1       2200     0     0
NEWMARKET CORPORATION COMMON
                      STOCK     651587107     263       5440    SHARES                         X        1       5440     0     0
NEWMONT MINING        COMMON
                      STOCK     651639106     351       8991    SHARES                X                 1       8940     0    51
NEWMONT MINING        COMMON
                      STOCK     651639106      39       1000    SHARES                         X        1        100     0   900
NEWS CORP INC-A       COMMON
                      STOCK     65248E104    2932     138247    SHARES                X                 1     135760     0  2487
NEWS CORP INC-A       COMMON
                      STOCK     65248E104     102       4786    SHARES                         X        1       4686     0   100
NEWS CORP-CLASS B     COMMON
                      STOCK     65248E203       4        185    SHARES                X                 1        185     0     0
NEXEN INC             COMMON
                      STOCK     65334H102      15        480    SHARES                X                 1        480     0     0
NFJ DIVIDEND,         PREFERRED
  INTEREST, PREMIUM   STOCK     65337H109     122       4800    SHARES                X                 1       N.A.  N.A.  N.A.
NFJ DIVIDEND,         PREFERRED
  INTEREST, PREMIUM   STOCK     65337H109       3        100    SHARES                         X        1       N.A.  N.A.  N.A.
NICHOLAS-APPLEGATE    PREFERRED
  INTL & PREM         STOCK     65370C108      17        600    SHARES                         X        1       N.A.  N.A.  N.A.
NICOR INC             COMMON
                      STOCK     654086107      21        500    SHARES                X                 1        500     0     0
NICOR INC             COMMON
                      STOCK     654086107      41        950    SHARES                         X        1        950     0     0
NIKE INC CL B         COMMON
                      STOCK     654106103    1891      32441    SHARES                X                 1      32441     0     0
NIKE INC CL B         COMMON
                      STOCK     654106103     131       2240    SHARES                         X        1       1940     0   300
NISOURCE INC          COMMON
                      STOCK     65473P105      96       4621    SHARES                X                 1       4621     0     0
NISOURCE INC          COMMON
                      STOCK     65473P105      41       1971    SHARES                         X        1       1971     0     0
NOBLE CORPORATION     COMMON
                      STOCK     G65422100     138       1415    SHARES                X                 1       1415     0     0
NOBLE ENERGY INC      COMMON
                      STOCK     655044105     470       7535    SHARES                X                 1       7170     0   365
NOBLE ENERGY INC      COMMON
                      STOCK     655044105     125       2000    SHARES                         X        1       2000     0     0
NOKIA CORP SPONSORED  COMMON
  ADR                 STOCK     654902204    1033      36756    SHARES                X                 1      36756     0     0
NOKIA CORP SPONSORED  COMMON
  ADR                 STOCK     654902204     378      13440    SHARES                         X        1      12640     0   800
NORDSTROM INC COM     COMMON
                      STOCK     655664100     153       3000    SHARES                X                 1       2860     0   140
NORFOLK SOUTHERN CORP COMMON
                      STOCK     655844108     927      17635    SHARES                X                 1      17635     0     0
NORFOLK SOUTHERN CORP COMMON
                      STOCK     655844108     810      15400    SHARES                         X        1      12700     0  2700
NORTEL NETWORKS CORP  COMMON
                      STOCK     656568508       3        135    SHARES                X                 1        135     0     0
NORTEL NETWORKS CORP  COMMON
                      STOCK     656568508       0         13    SHARES                         X        1         13     0     0
NORTHEAST UTILITIES   COMMON
  COM                 STOCK     664397106      11        375    SHARES                X                 1        375     0     0



                                   17 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
NORTHROP GRUMMAN CORP COMMON
                      STOCK     666807102     641       8236    SHARES                X                 1       8236     0     0
NORTHROP GRUMMAN CORP COMMON
                      STOCK     666807102     248       3186    SHARES                         X        1       3186     0     0
NORTHWEST AIRLINES    COMMON
  CORP                STOCK     667280408       3        122    SHARES                X                 1        122     0     0
NORTHWEST BANCORP     COMMON
  INCORPORATED        STOCK     667328108      16        621    SHARES                X                 1        621     0     0
NORTHWEST NATURAL     COMMON
  GAS COMPANY         STOCK     667655104      76       1650    SHARES                X                 1       1650     0     0
NORTHWEST NATURAL     COMMON
  GAS COMPANY         STOCK     667655104      23        500    SHARES                         X        1        500     0     0
NOVARTIS AG ADR       COMMON
                      STOCK     66987V109    5814     103688    SHARES                X                 1     101017     0  2671
NOVARTIS AG ADR       COMMON
                      STOCK     66987V109     890      15873    SHARES                         X        1      13323     0  2550
NOVASTAR FINANCIAL    COMMON
  INCORPORATE         STOCK     669947400       3        500    SHARES                         X        1       N.A.  N.A.  N.A.
NOVAVAX INC           COMMON
                      STOCK     670002104       1        200    SHARES                X                 1        200     0     0
NOVELL INC            COMMON
                      STOCK     670006105      76       9695    SHARES                X                 1       9695     0     0
NOVELL INC            COMMON
                      STOCK     670006105     117      15075    SHARES                         X        1      15075     0     0
NOVOGEN LTD-SPONS ADR COMMON
                      STOCK     67010F103      17       2000    SHARES                         X        1       2000     0     0
NSTAR COM             COMMON
                      STOCK     67019E107      18        560    SHARES                X                 1        560     0     0
NUCOR CORP            COMMON
                      STOCK     670346105     113       1920    SHARES                         X        1       1920     0     0
NUSTAR ENERGY LP      COMMON
                      STOCK     67058H102      27        400    SHARES                X                 1        400     0     0
NUVEEN DIV ADVANTAGE  PREFERRED
  MUN FD 2            STOCK     67070F100       4        250    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN DIV ADVANTAGE  PREFERRED
  MUN FD 2            STOCK     67070F100       4        250    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN INSD MUNI      PREFERRED
  OPPORTUNITY         STOCK     670984103       6        396    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN INSD QUALITY   PREFERRED
  MUN FD              STOCK     67062N103      65       4624    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN INVESTMENTS    COMMON
  INC                 STOCK     67090F106       7        115    SHARES                X                 1        115     0     0
NUVEEN INVESTMENTS    COMMON
  INC                 STOCK     67090F106      57        925    SHARES                         X        1        925     0     0
NUVEEN INVT QUALITY   PREFERRED
  MUNI FD             STOCK     67062E103       5        333    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN MARYLAND       PREFERRED
  DIVIDEND ADV M      STOCK     67069R107      77       5289    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN MD DIV         PREFERRED
  ADVANTAGE MUN FD    STOCK     67070V105      59       4059    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN MUNI MARKET    PREFERRED
  OPPORTUNITY         STOCK     67062W103      42       3000    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN MUNI MARKET    PREFERRED
  OPPORTUNITY         STOCK     67062W103     210      15000    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN MUNICIPAL      PREFERRED
  ADVANTAGE FD        STOCK     67062H106      26       1721    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN MUNICIPAL      PREFERRED
  ADVANTAGE FD        STOCK     67062H106      31       2071    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN MUNICIPAL      PREFERRED
  VALUE FUND          STOCK     670928100      29       2963    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN MUNICIPAL      PREFERRED
  VALUE FUND          STOCK     670928100      25       2594    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN NY INVT        PREFERRED
  QUALITY MUN FD      STOCK     67062X101      40       2965    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN NY SELECT      PREFERRED
  QUAL MUNI FD        STOCK     670976109       7        500    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN PA DIVIDEND    PREFERRED
  ADV MUNI FD         STOCK     67071W102      14        979    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN PA DIVIDEND    PREFERRED
  ADV MUNI FD         STOCK     67070E103      15       1000    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN PA INVT        PREFERRED
  QUALITY MUN FD      STOCK     670972108     157      11709    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN PA INVT        PREFERRED
  QUALITY MUN FD      STOCK     670972108     130       9736    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN PA PREM        PREFERRED
  INCOME MUN FD 2     STOCK     67061F101      92       7028    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN PA PREM        PREFERRED
  INCOME MUN FD 2     STOCK     67061F101      15       1117    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN PERFORMANCE    PREFERRED
  PLUS MUNI F         STOCK     67062P108      46       3255    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN PERFORMANCE    PREFERRED
  PLUS MUNI F         STOCK     67062P108       9        645    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN PFD & CONV     PREFERRED
  INCOME FD II        STOCK     67073D102      34       2560    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN PFD & CONV     PREFERRED
  INCOME FD II        STOCK     67073D102       7        500    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN PFD & CVRT     PREFERRED
  INCOME FUND         STOCK     67073B106      20       1500    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN PREM INC MUN   PREFERRED
  FD 4                STOCK     6706K4105      41       3324    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN PREM INC MUN   PREFERRED
  FD 4                STOCK     6706K4105       2        184    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN PREMIER INSD   PREFERRED
  MUNI INC F          STOCK     670987106       6        410    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN PREMIER INSD   PREFERRED
  MUNI INC F          STOCK     670987106      14       1000    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 QUALITY        PREFERRED
  INCOME MUNI FD      STOCK     670977107       3        210    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN QUALITY PFD    PREFERRED
  INCOME FD 2         STOCK     67072C105      56       4085    SHARES                X                 1       N.A.  N.A.  N.A.
NUVEEN QUALITY PFD    PREFERRED
  INCOME FD 3         STOCK     67072W101      93       7000    SHARES                         X        1       N.A.  N.A.  N.A.
NUVEEN SELECT         PREFERRED
  QUALITY MUN FD      STOCK     670973106       6        406    SHARES                         X        1       N.A.  N.A.  N.A.
NYER MEDICAL GROUP    COMMON
  INCORPORATE         STOCK     670711100       2        825    SHARES                X                 1        825     0     0
NYSE EURONEXT         COMMON
                      STOCK     629491101      92       1250    SHARES                X                 1        550     0   700
NYSE EURONEXT         COMMON
                      STOCK     629491101      15        200    SHARES                         X        1        200     0     0
OCCIDENTAL PETE CORP  COMMON
  COM                 STOCK     674599105     339       5858    SHARES                X                 1       5858     0     0
OCCIDENTAL PETE CORP  COMMON
  COM                 STOCK     674599105     174       3000    SHARES                         X        1       3000     0     0
OCEANEERING INTL INC  COMMON
  COM                 STOCK     675232102      32        600    SHARES                X                 1        600     0     0
OFFICE DEPOT INC      COMMON
                      STOCK     676220106      52       1700    SHARES                X                 1       1700     0     0
OFFICEMAX INC         COMMON
                      STOCK     67622P101      26        673    SHARES                X                 1        673     0     0
OGE ENERGY CORP COM   COMMON
                      STOCK     670837103      51       1400    SHARES                X                 1       1400     0     0
OGE ENERGY CORP COM   COMMON
                      STOCK     670837103      99       2710    SHARES                         X        1       2710     0     0
OHIO CAS CORP         COMMON
                      STOCK     677240103      10        240    SHARES                X                 1        240     0     0
OLD NATIONAL BANCORP  COMMON
  COM                 STOCK     680033107      95       5700    SHARES                X                 1       5700     0     0
OLD REPUBLIC INTL     COMMON
  CORP COM            STOCK     680223104      98       4600    SHARES                X                 1       4600     0     0
OLIN CORP COM         COMMON
                      STOCK     680665205      22       1050    SHARES                X                 1       1050     0     0
OLIN CORP COM         COMMON
                      STOCK     680665205      21       1000    SHARES                         X        1       1000     0     0
OMEGA FINANCIAL CORP  COMMON
                      STOCK     682092101      73       2712    SHARES                X                 1       2712     0     0
OMEGA FINANCIAL CORP  COMMON
                      STOCK     682092101     361      13427    SHARES                         X        1      11000     0  2427
OMNICOM GROUP INC COM COMMON
                      STOCK     681919106     516       9760    SHARES                X                 1       9760     0     0
OMNICOM GROUP INC COM COMMON
                      STOCK     681919106     198       3750    SHARES                         X        1       3750     0     0
OMNIVISION            COMMON
  TECHNOLOGIES INC    STOCK     682128103      23       1294    SHARES                X                 1       1294     0     0
ON SEMICONDUCTOR      COMMON
  CORPORATION         STOCK     682189105      66       6200    SHARES                X                 1       5600     0   600
ON TRACK INNOVATIONS  COMMON
  LTD                 STOCK     M8791A109       9       1500    SHARES                X                 1       1500     0     0
ONEOK INC             COMMON
                      STOCK     682680103      41        820    SHARES                X                 1        820     0     0
ONEOK INC             COMMON
                      STOCK     682680103      10        200    SHARES                         X        1        200     0     0
ONEOK PARTNERS LP     COMMON
                      STOCK     68268N103      82       1200    SHARES                X                 1       1200     0     0



                                   18 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
ONEOK PARTNERS LP     COMMON
                      STOCK     68268N103     137       2000    SHARES                         X        1       2000     0      0
OPPENHEIMER HOLDINGS  COMMON
  INC CL A            STOCK     683797104      73       1420    SHARES                X                 1       1300     0    120
OPTEUM INC            COMMON
                      STOCK     68384A100       0        100    SHARES                X                 1       N.A.  N.A.   N.A.
ORACLE CORPORATION    COMMON
  COM                 STOCK     68389X105    2435     123552    SHARES                X                 1     122852     0    700
ORACLE CORPORATION    COMMON
  COM                 STOCK     68389X105     678      34410    SHARES                         X        1      34410     0      0
OSHKOSH TRUCK CORP    COMMON
                      STOCK     688239201      22        350    SHARES                X                 1        350     0      0
OSI PHARMACEUTICALS   COMMON
  INC COM             STOCK     671040103      35        980    SHARES                X                 1        900     0     80
OTELCO INC            COMMON
                      STOCK     688823202      27       1355    SHARES                X                 1       1355     0      0
P G & E CORP          COMMON
                      STOCK     69331C108      58       1274    SHARES                X                 1       1274     0      0
P G & E CORP          COMMON
                      STOCK     69331C108      68       1500    SHARES                         X        1          0     0   1500
PACCAR INC            COMMON
                      STOCK     693718108      16        187    SHARES                X                 1        187     0      0
PACER INTERNATIONAL   COMMON
  INC                 STOCK     69373H106      16        663    SHARES                X                 1        663     0      0
PACTIV CORP COM       COMMON
                      STOCK     695257105      33       1028    SHARES                X                 1       1028     0      0
PAETEC HOLDING CORP   COMMON
                      STOCK     695459107      11       1000    SHARES                X                 1       1000     0      0
PALL CORP COM         COMMON
                      STOCK     696429307      92       2000    SHARES                         X        1       2000     0      0
PALM INC              COMMON
                      STOCK     696643105      20       1259    SHARES                X                 1       1259     0      0
PALM INC              COMMON
                      STOCK     696643105       1         87    SHARES                         X        1         87     0      0
PAPA JOHNS            COMMON
  INTERNATIONAL INC   STOCK     698813102       4        147    SHARES                X                 1        147     0      0
PAR PHARMACEUTICALS   COMMON
  COS INC             STOCK     69888P106       8        286    SHARES                X                 1        286     0      0
PARAMETRIC            COMMON
  TECHNOLOGY CORP     STOCK     699173209      60       2799    SHARES                         X        1       2799     0      0
PARKER HANNIFIN CORP  COMMON
                      STOCK     701094104     356       3631    SHARES                X                 1       3631     0      0
PARKER HANNIFIN CORP  COMMON
                      STOCK     701094104     176       1796    SHARES                         X        1       1796     0      0
PARTNERRE LTD         COMMON
                      STOCK     G6852T105      38        485    SHARES                         X        1        485     0      0
PARTNERS TRUST        COMMON
  FINANCIAL GROUP     STOCK     70213F102      80       7574    SHARES                X                 1       7574     0      0
PARTNERS TRUST        COMMON
  FINANCIAL GROUP     STOCK     70213F102      13       1213    SHARES                         X        1          0     0   1213
PATTERSON-UTI ENERGY  COMMON
  INC                 STOCK     703481101      18        704    SHARES                X                 1        704     0      0
PATTERSON-UTI ENERGY  COMMON
  INC                 STOCK     703481101      25        950    SHARES                         X        1        950     0      0
PAYCHEX INC COM       COMMON
                      STOCK     704326107     386       9857    SHARES                X                 1       9857     0      0
PAYCHEX INC COM       COMMON
                      STOCK     704326107     463      11825    SHARES                         X        1      11825     0      0
PAYLESS SHOESOURCE    COMMON
  INC COM             STOCK     704379106      62       1960    SHARES                X                 1       1800     0    160
PDL BIOPHARMA INC     COMMON
                      STOCK     69329Y104     131       5602    SHARES                X                 1       5242     0    360
PDL BIOPHARMA INC     COMMON
                      STOCK     69329Y104       7        300    SHARES                         X        1        300     0      0
PEABODY ENERGY CORP   COMMON
                      STOCK     704549104    2831      58513    SHARES                X                 1      56058     0   2455
PEABODY ENERGY CORP   COMMON
                      STOCK     704549104     369       7630    SHARES                         X        1       4845     0   2785
PEDIATRIX MEDICAL     COMMON
  GROUP INC CO        STOCK     705324101     542       9820    SHARES                X                 1       9525     0    295
PEDIATRIX MEDICAL     COMMON
  GROUP INC CO        STOCK     705324101      44        800    SHARES                         X        1          0     0    800
PEETS COFFEE & TEA    COMMON
  INC COM             STOCK     705560100       5        200    SHARES                X                 1        200     0      0
PENGROWTH ENERGY      COMMON
  TRUST               STOCK     706902509       8        400    SHARES                X                 1        400     0      0
PENN ESTATE INV TR    COMMON
  (REIT)              STOCK     709102107      67       1516    SHARES                X                 1       N.A.  N.A.   N.A.
PENN ESTATE INV TR    COMMON
  (REIT)              STOCK     709102107      13        300    SHARES                         X        1       N.A.  N.A.   N.A.
PENN NATL GAMING INC  COMMON
                      STOCK     707569109     107       1775    SHARES                X                 1       1775     0      0
PENN TREATY AMERICAN  COMMON
  CORP                STOCK     707874400       0         21    SHARES                         X        1         21     0      0
PENN VA RESOURCE      COMMON
  PARTNERS LP         STOCK     707884102      31       1000    SHARES                         X        1       1000     0      0
PENNEY JC CO INC      COMMON
                      STOCK     708160106    2212      30558    SHARES                X                 1      29616     0    942
PENNEY JC CO INC      COMMON
                      STOCK     708160106     536       7408    SHARES                         X        1       7408     0      0
PENNICHUCK            COMMON
  CORPORATION NEW     STOCK     708254206      20        789    SHARES                X                 1        789     0      0
PENNSYLVANIA          COMMON
  COMMERCE BANCORP    STOCK     708677109     184       6500    SHARES                X                 1       6500     0      0
PENNWEST ENERGY TRUST COMMON
                      STOCK     707885109     100       3010    SHARES                         X        1       3010     0      0
PENTAIR INC COM       COMMON
                      STOCK     709631105      31        800    SHARES                X                 1        800     0      0
PENTAIR INC COM       COMMON
                      STOCK     709631105     301       7800    SHARES                         X        1       7800     0      0
PEPCO HOLDINGS INC    COMMON
                      STOCK     713291102     426      15118    SHARES                X                 1      13592     0   1526
PEPCO HOLDINGS INC    COMMON
                      STOCK     713291102     521      18482    SHARES                         X        1      16182     0   2300
PEPSIAMERICAS INC COM COMMON
                      STOCK     71343P200      15        600    SHARES                         X        1        600     0      0
PEPSICO INC COM       COMMON
                      STOCK     713448108   27309     421117    SHARES                X                 1     416405     0   4712
PEPSICO INC COM       COMMON
                      STOCK     713448108   16363     252321    SHARES                         X        1     227719     0  24602
PERFORMANCE FOOD      COMMON
  GROUP CO            STOCK     713755106      23        700    SHARES                         X        1        700     0      0
PERKINELMER INC COM   COMMON
                      STOCK     714046109      31       1200    SHARES                X                 1       1200     0      0
PERKINELMER INC COM   COMMON
                      STOCK     714046109     104       4000    SHARES                         X        1       4000     0      0
PERRIGO COMPANY       COMMON
                      STOCK     714290103     235      11981    SHARES                X                 1      11141     0    840
PETE & RES CORP COM   COMMON
                      STOCK     716549100      39       1000    SHARES                X                 1       1000     0      0
PETMED EXPRESS INC    COMMON
                      STOCK     716382106      10        800    SHARES                X                 1        800     0      0
PETRO-CANADA          COMMON
                      STOCK     71644E102      85       1600    SHARES                         X        1       1600     0      0
PETROCHINA CO LTD ADR COMMON
                      STOCK     71646E100      67        450    SHARES                         X        1        450     0      0
PETSMART INC          COMMON
                      STOCK     716768106    1148      35370    SHARES                X                 1      35370     0      0
PETSMART INC          COMMON
                      STOCK     716768106     451      13905    SHARES                         X        1      13905     0      0
PFIZER INC            COMMON
                      STOCK     717081103   21331     834212    SHARES                X                 1     821486     0  12726
PFIZER INC            COMMON
                      STOCK     717081103   12365     483568    SHARES                         X        1     469203   600  13765
PHARMACEUTIAL         COMMON
  PRODUCT DEVEL IN    STOCK     717124101    1461      38185    SHARES                X                 1      37445     0    740
PHARMACEUTICAL        PREFERRED
  HOLDERS TRUST       STOCK     71712A206      41        500    SHARES                         X        1       N.A.  N.A.   N.A.
PHH CORPORATION       COMMON
                      STOCK     693320202       0         12    SHARES                         X        1         12     0      0
PHOENIX COS INC COM   COMMON
                      STOCK     71902E109      21       1413    SHARES                X                 1       1413     0      0
PHOENIX COS INC COM   COMMON
                      STOCK     71902E109      24       1588    SHARES                         X        1       1588     0      0
PICO HOLDINGS INC COM COMMON
                      STOCK     693366205      73       1691    SHARES                X                 1          0     0   1691
PIEDMONT NAT GAS INC  COMMON
                      STOCK     720186105      54       2180    SHARES                X                 1       2180     0      0
PIEDMONT NAT GAS INC  COMMON
                      STOCK     720186105      10        400    SHARES                         X        1          0     0    400
PIKE ELECTRIC CORP    COMMON
                      STOCK     721283109      73       3260    SHARES                X                 1       3000     0    260
PIMCO CORPORATE       PREFERRED
  INCOME FUND         STOCK     72200U100      11        740    SHARES                X                 1       N.A.  N.A.   N.A.
PIMCO MUNICIPAL       PREFERRED
  INCOME FUND         STOCK     72200R107       1         71    SHARES                X                 1       N.A.  N.A.   N.A.



                                   19 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                       COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY             VOTING AUTHORITY
                     COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 --------------------
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
--------------       --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
PIMCO MUNICIPAL      PREFERRED
  INCOME FUND II     STOCK     72201A103      20       1335    SHARES                X                 1       N.A.  N.A.    N.A.
PIMCO MUNICIPAL      PREFERRED
  INCOME FUND II     STOCK     72200W106     194      13200    SHARES                         X        1       N.A.  N.A.    N.A.
PIMCO RCM STRAT      PREFERRED
  GLOBAL GOVT        STOCK     72200X104      15       1500    SHARES                X                 1       N.A.  N.A.    N.A.
PINNACLE DATA        COMMON
  SYSTEMS INC        STOCK     723454104       1        300    SHARES                X                 1        300     0       0
PINNACLE WEST        COMMON
  CAPITAL CORP       STOCK     723484101      20        500    SHARES                X                 1        500     0       0
PIONEER MUNICIPAL    PREFERRED
  HI INC ADV T       STOCK     723762100      31       2000    SHARES                X                 1       N.A.  N.A.    N.A.
PIONEER NATURAL      COMMON
  RESOURCES CO       STOCK     723787107      93       1903    SHARES                X                 1       1803     0     100
PIPER JAFFRAY        COMMON
  COMPANIES INC      STOCK     724078100     206       3699    SHARES                X                 1       3439     0     260
PIPER JAFFRAY        COMMON
  COMPANIES INC      STOCK     724078100       1         10    SHARES                         X        1         10     0       0
PITNEY BOWES INC COM COMMON
                     STOCK     724479100     449       9600    SHARES                X                 1       9600     0       0
PITNEY BOWES INC COM COMMON
                     STOCK     724479100     220       4700    SHARES                         X        1       4700     0       0
PLAINS ALL AMERICAN  COMMON
  PIPELINE L         STOCK     726503105      64       1000    SHARES                         X        1       1000     0       0
PLAINS
  EXPLORATION &      COMMON
  PRODUCT C          STOCK     726505100      96       2000    SHARES                         X        1       2000     0       0
PLATINUM
  UNDERWRITERS       COMMON
  HOLDINGS           STOCK     G7127P100     102       2940    SHARES                X                 1       2700     0     240
PLUM CREEK TIMBER    COMMON
  CO INC             STOCK     729251108      70       1680    SHARES                X                 1       N.A.  N.A.    N.A.
PMC SIERRA INC       COMMON
                     STOCK     69344F106     400      51740    SHARES                X                 1      48925     0    2815
PNC FINANCIAL        COMMON
  SERVICES GROUP I   STOCK     693475105   12176     170108    SHARES                X                 1     167048     0    3060
PNC FINANCIAL        COMMON
  SERVICES GROUP I   STOCK     693475105    5253      73387    SHARES                         X        1      62292  7000    4095
PNM RESOURCES INC    COMMON
                     STOCK     69349H107      34       1208    SHARES                X                 1       1208     0       0
POLO RALPH LAUREN    COMMON
  CORPORATION        STOCK     731572103      10        100    SHARES                X                 1        100     0       0
PORTUGAL TELECOM     COMMON
  SGPS S A SPON      STOCK     737273102       3        204    SHARES                X                 1        204     0       0
POWELL INDUSTRIES    COMMON
  INC                STOCK     739128106      55       1732    SHARES                X                 1       1598     0     134
POWERSHARES DYN      PREFERRED
  BIOTECH & GENO     STOCK     73935X856     110       6000    SHARES                         X        1       N.A.  N.A.    N.A.
POWERSHARES GLD DRG  PREFERRED
  H USX CH           STOCK     73935X401       8        310    SHARES                X                 1       N.A.  N.A.    N.A.
POWERSHARES GLOBAL   COMMON
  WATER PORTF        STOCK     73935X575      27       1300    SHARES                X                 1       1300     0       0
POWERSHARES QQQ      PREFERRED
                     STOCK     73935A104     330       6937    SHARES                X                 1       N.A.  N.A.    N.A.
POWERSHARES QQQ      PREFERRED
                     STOCK     73935A104    5316     111680    SHARES                         X        1       N.A.  N.A.    N.A.
POZEN INCORPORATED   COMMON
                     STOCK     73941U102     126       6958    SHARES                X                 1       6463     0     495
PPG INDS INC         COMMON
                     STOCK     693506107     558       7335    SHARES                X                 1       6535     0     800
PPG INDS INC         COMMON
                     STOCK     693506107    1520      19973    SHARES                         X        1      18348     0    1625
PPL CORP COM         COMMON
                     STOCK     69351T106    6620     141476    SHARES                X                 1     139576     0    1900
PPL CORP COM         COMMON
                     STOCK     69351T106    2206      47148    SHARES                         X        1      37456  2130    7562
PRAXAIR INC COM      COMMON
                     STOCK     74005P104     103       1435    SHARES                X                 1        835     0     600
PRAXAIR INC COM      COMMON
                     STOCK     74005P104     221       3071    SHARES                         X        1       3071     0       0
PRECISION CASTPARTS  COMMON
  CORP COM           STOCK     740189105    3631      29923    SHARES                X                 1      29051     0     872
PRECISION CASTPARTS  COMMON
  CORP COM           STOCK     740189105      49        405    SHARES                         X        1        405     0       0
PRECISION DRILLING   COMMON
  CORP-US$           STOCK     740215108      51       2100    SHARES                         X        1       2100     0       0
PRICE T ROWE GROUP   COMMON
  INC COM            STOCK     74144T108    1589      30615    SHARES                X                 1      30615     0       0
PRICE T ROWE GROUP   COMMON
  INC COM            STOCK     74144T108    1354      26090    SHARES                         X        1      25900     0     190
PRICELINE.COM        COMMON
  INCORPORATED       STOCK     741503403     135       1960    SHARES                X                 1       1800     0     160
PRIMEWEST ENERGY     COMMON
  TRUST              STOCK     741930309      13        600    SHARES                         X        1        600     0       0
PRINCIPAL FINL       COMMON
  GROUP INC          STOCK     74251V102      92       1575    SHARES                X                 1       1575     0       0
PROASSURANCE CORP    COMMON
                     STOCK     74267C106     290       5210    SHARES                X                 1       4820     0     390
PROCTER & GAMBLE CO  COMMON
  COM                STOCK     742718109   39295     642173    SHARES                X                 1     627756     0   14417
PROCTER & GAMBLE CO  COMMON
  COM                STOCK     742718109   33998     555608    SHARES                         X        1     449950     0  105658
PROGRESS ENERGY INC  COMMON
  COM                STOCK     743263105     517      11331    SHARES                X                 1      10731     0     600
PROGRESS ENERGY INC  COMMON
  COM                STOCK     743263105     146       3209    SHARES                         X        1       3209     0       0
PROGRESSIVE CORP COM COMMON
                     STOCK     743315103      96       4000    SHARES                X                 1       4000     0       0
PROLOGIS (REIT)      COMMON
                     STOCK     743410102      24        430    SHARES                X                 1       N.A.  N.A.    N.A.
PROVIDENT
  BANKSHARES         COMMON
  CORPORATI          STOCK     743859100     356      10867    SHARES                X                 1      10867     0       0
PROVIDENT
  BANKSHARES         COMMON
  CORPORATI          STOCK     743859100      92       2810    SHARES                         X        1       2810     0       0
PROVIDENT ENERGY     COMMON
  TRUST UNITS        STOCK     74386K104      77       6500    SHARES                X                 1       6500     0       0
PROVIDENT ENERGY     COMMON
  TRUST UNITS        STOCK     74386K104      20       1700    SHARES                         X        1       1700     0       0
PROVIDENT FINANCIAL  COMMON
  SERVICES I         STOCK     74386T105      16       1000    SHARES                X                 1       1000     0       0
PROXYMED INC         COMMON
                     STOCK     744290305       1        500    SHARES                         X        1        500     0       0
PRUDENTIAL           COMMON
  FINANCIAL INC      STOCK     744320102     330       3392    SHARES                X                 1       3392     0       0
PRUDENTIAL           COMMON
  FINANCIAL INC      STOCK     744320102      69        713    SHARES                         X        1        713     0       0
PSYCHIATRIC          COMMON
  SOLUTIONS INC      STOCK     74439H108    4837     133399    SHARES                X                 1     130487     0    2912
PSYCHIATRIC          COMMON
  SOLUTIONS INC      STOCK     74439H108      91       2500    SHARES                         X        1       1325     0    1175
PUBLIC STORAGE INC   COMMON
  COM                STOCK     74460D109       4         56    SHARES                X                 1       N.A.  N.A.    N.A.
PUBLIC SVC
  ENTERPRISE GROUP   COMMON
  IN                 STOCK     744573106     519       5909    SHARES                X                 1       5909     0       0
PUBLIC SVC
  ENTERPRISE GROUP   COMMON
  IN                 STOCK     744573106     354       4028    SHARES                         X        1       4028     0       0
PUGET ENERGY INC COM COMMON
                     STOCK     745310102      57       2340    SHARES                X                 1       2340     0       0
PUGET ENERGY INC COM COMMON
                     STOCK     745310102      21        875    SHARES                         X        1        875     0       0
PURE CYCLE CORP      COMMON
                     STOCK     746228303      78      10000    SHARES                         X        1      10000     0       0
PUTNAM MANAGED       PREFERRED
  MUNICIPAL INCOM    STOCK     746823103      95      12081    SHARES                X                 1       N.A.  N.A.    N.A.
PUTNAM MANAGED       PREFERRED
  MUNICIPAL INCOM    STOCK     746823103       8       1073    SHARES                         X        1       N.A.  N.A.    N.A.
PUTNAM PREMIER       PREFERRED
  INCOME TRUST       STOCK     746853100       1        144    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.
QUALCOMM INC COM     COMMON
                     STOCK     747525103    7992     184186    SHARES                X                 1     182711     0    1475
QUALCOMM INC COM     COMMON
                     STOCK     747525103    1076      24795    SHARES                         X        1      24395     0     400
QUANTA SERVICES INC  COMMON
  COM                STOCK     74762E102     423      13805    SHARES                X                 1      13300     0     505
QUEST DIAGNOSTICS    COMMON
  INC                STOCK     74834L100     376       7278    SHARES                X                 1       7278     0       0
QUEST DIAGNOSTICS    COMMON
  INC                STOCK     74834L100     310       5998    SHARES                         X        1       5698     0     300
QUESTAR CORP COM     COMMON
                     STOCK     748356102     169       3204    SHARES                X                 1       3204     0       0
QUESTAR CORP COM     COMMON
                     STOCK     748356102     180       3400    SHARES                         X        1       3400     0       0
QWEST
  COMMUNICATIONS     COMMON
  INTL INC           STOCK     749121109      28       2931    SHARES                X                 1       2931     0       0
QWEST
  COMMUNICATIONS     COMMON
  INTL INC           STOCK     749121109      18       1814    SHARES                         X        1       1604     0     210



                                   20 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
R H DONNELLEY CORP    COMMON
                      STOCK     74955W307       8        111    SHARES                X                 1        111     0     0
R H DONNELLEY CORP    COMMON
                      STOCK     74955W307      18        240    SHARES                         X        1        240     0     0
RADA ELECTRONIC INDS  COMMON
  LTD                 STOCK     M81863116       0        200    SHARES                X                 1        200     0     0
RADIAN GROUP INC COM  COMMON
                      STOCK     750236101    2126      39370    SHARES                X                 1      37716     0  1654
RAIT FINANCIAL TRUST  COMMON
                      STOCK     749227104      13        500    SHARES                         X        1       N.A.  N.A.  N.A.
RANGE RESOURCES       COMMON
  CORPORATION         STOCK     75281A109      12        315    SHARES                X                 1        315     0     0
RAYONIER INC COM      COMMON
                      STOCK     754907103      30        668    SHARES                X                 1        668     0     0
RAYONIER INC COM      COMMON
                      STOCK     754907103     129       2850    SHARES                         X        1       2850     0     0
RAYTHEON CO COM NEW   COMMON
                      STOCK     755111507     561      10413    SHARES                X                 1       9089     0  1324
RAYTHEON CO COM NEW   COMMON
                      STOCK     755111507    1051      19504    SHARES                         X        1      19004     0   500
REDWOOD TRUST         COMMON
  INC-REIT            STOCK     758075402      20        420    SHARES                X                 1       N.A.  N.A.  N.A.
REGAL-BELOIT CORP     COMMON
                      STOCK     758750103      61       1315    SHARES                X                 1       1200     0   115
REGIONS FINANCIAL     COMMON
  CORP                STOCK     7591EP100     117       3532    SHARES                X                 1       3532     0     0
REGIONS FINANCIAL     COMMON
  CORP                STOCK     7591EP100     250       7559    SHARES                         X        1       7559     0     0
REGIS CORP MINN       COMMON
                      STOCK     758932107       4        100    SHARES                X                 1        100     0     0
RELIANT ENERGY INC    COMMON
                      STOCK     75952B105       4        157    SHARES                X                 1        157     0     0
REPSOL YPF SA SPON    COMMON
  ADR                 STOCK     76026T205      39       1000    SHARES                X                 1       1000     0     0
REUTERS GROUP PLC     COMMON
  SPONS ADR           STOCK     76132M102      75       1000    SHARES                X                 1       1000     0     0
REYNOLDS AMERICAN INC COMMON
                      STOCK     761713106     112       1716    SHARES                X                 1       1716     0     0
REYNOLDS AMERICAN INC COMMON
                      STOCK     761713106      59        900    SHARES                         X        1        900     0     0
RF MICRO DEVICES INC  COMMON
  COM                 STOCK     749941100      81      12954    SHARES                X                 1      12294     0   660
RITE AID CORP COM     COMMON
                      STOCK     767754104      36       5600    SHARES                X                 1       3300     0  2300
RITE AID CORP COM     COMMON
                      STOCK     767754104       4        600    SHARES                         X        1        600     0     0
ROBERT HALF INTL INC  COMMON
  COM                 STOCK     770323103      67       1840    SHARES                X                 1       1840     0     0
ROBERT HALF INTL INC  COMMON
  COM                 STOCK     770323103      44       1205    SHARES                         X        1       1100     0   105
ROCKWELL AUTOMATION   COMMON
  INC.                STOCK     773903109    7555     108805    SHARES                X                 1     106266     0  2539
ROCKWELL AUTOMATION   COMMON
  INC.                STOCK     773903109    1050      15125    SHARES                         X        1      12995     0  2130
ROCKWELL COLLINS COM  COMMON
                      STOCK     774341101     343       4852    SHARES                X                 1       4852     0     0
ROCKWELL COLLINS COM  COMMON
                      STOCK     774341101     173       2455    SHARES                         X        1       2375     0    80
ROHM & HAAS CO        COMMON
                      STOCK     775371107      22        395    SHARES                X                 1        395     0     0
ROHM & HAAS CO        COMMON
                      STOCK     775371107     650      11896    SHARES                         X        1      11896     0     0
ROSS STORES INC COM   COMMON
                      STOCK     778296103     531      17246    SHARES                X                 1      16302     0   944
ROSS STORES INC COM   COMMON
                      STOCK     778296103     137       4450    SHARES                         X        1       2975     0  1475
ROYAL BANK SCOTLAND   PREFERRED
  PFD 6.4% S          STOCK     780097796      49       2000    SHARES                X                 1       N.A.  N.A.  N.A.
ROYAL BK CANADA       COMMON
                      STOCK     780087102      53       1000    SHARES                         X        1       1000     0     0
ROYAL DUTCH SHELL     COMMON
  PLC-ADR A           STOCK     780259206    4349      53559    SHARES                X                 1      53159     0   400
ROYAL DUTCH SHELL     COMMON
  PLC-ADR A           STOCK     780259206    4317      53164    SHARES                         X        1      48364     0  4800
ROYCE VALUE TRUST     COMMON
  (CE)                STOCK     780910105      34       1601    SHARES                X                 1       1601     0     0
RPM INTL INC          COMMON
                      STOCK     749685103      12        500    SHARES                X                 1        500     0     0
RPM INTL INC          COMMON
                      STOCK     749685103      37       1600    SHARES                         X        1       1600     0     0
RUBY TUESDAY INC      COMMON
                      STOCK     781182100       5        200    SHARES                X                 1        200     0     0
RYDEX RUSSELL TOP 50  PREFERRED
  ETF                 STOCK     78355W205     586       5280    SHARES                         X        1       N.A.  N.A.  N.A.
S & T BANCORP INC     COMMON
                      STOCK     783859101      13        400    SHARES                         X        1        400     0     0
SAFETY INSURANCE GRP  COMMON
                      STOCK     78648T100      13        322    SHARES                X                 1        322     0     0
SAFEWAY INC COM       COMMON
                      STOCK     786514208       7        200    SHARES                X                 1        200     0     0
SAFEWAY INC COM       COMMON
                      STOCK     786514208      61       1800    SHARES                         X        1        300     0  1500
SAKS INC              COMMON
                      STOCK     79377W108      68       3200    SHARES                X                 1       2900     0   300
SALLY BEAUTY COMPANY  COMMON
  INC                 STOCK     79546E104       1        100    SHARES                X                 1        100     0     0
SAN JUAN BASIN        COMMON
  ROYALTY TR          STOCK     798241105      32       1000    SHARES                X                 1       1000     0     0
SAN JUAN BASIN        COMMON
  ROYALTY TR          STOCK     798241105       6        200    SHARES                         X        1        200     0     0
SANDISK CORP COM      COMMON
                      STOCK     80004C101     103       2105    SHARES                X                 1       2105     0     0
SANDISK CORP COM      COMMON
                      STOCK     80004C101       5        100    SHARES                         X        1        100     0     0
SANDY SPRING BANCORP  COMMON
  INC                 STOCK     800363103       6        200    SHARES                X                 1        200     0     0
SANDY SPRING BANCORP  COMMON
  INC                 STOCK     800363103    1592      50629    SHARES                         X        1      50629     0     0
SANOFI-AVENTIS ADR    COMMON
                      STOCK     80105N105      40       1000    SHARES                X                 1       1000     0     0
SANOFI-AVENTIS ADR    COMMON
                      STOCK     80105N105      56       1400    SHARES                         X        1       1400     0     0
SAP AG SPONS ADR      COMMON
                      STOCK     803054204      17        325    SHARES                X                 1        325     0     0
SAP AG SPONS ADR      COMMON
                      STOCK     803054204      61       1200    SHARES                         X        1       1200     0     0
SARA LEE CORP         COMMON
                      STOCK     803111103     349      20043    SHARES                X                 1      20043     0     0
SARA LEE CORP         COMMON
                      STOCK     803111103     845      48540    SHARES                         X        1      42740     0  5800
SASOL LTD SPONS-ADR   COMMON
                      STOCK     803866300      38       1000    SHARES                         X        1       1000     0     0
SCANA CORP NEW COM    COMMON
                      STOCK     80589M102     177       4611    SHARES                X                 1       4611     0     0
SCANA CORP NEW COM    COMMON
                      STOCK     80589M102     292       7628    SHARES                         X        1       7628     0     0
SCHERING PLOUGH CORP  COMMON
                      STOCK     806605101    2463      80910    SHARES                X                 1      80910     0     0
SCHERING PLOUGH CORP  COMMON
                      STOCK     806605101    1536      50461    SHARES                         X        1      40511     0  9950
SCHERING-PLOUGH CV    PREFERRED
  PFD 6.0% 09         STOCK     806605606      53        775    SHARES                         X        1       N.A.  N.A.  N.A.
SCHLUMBERGER LTD      COMMON
                      STOCK     806857108   19956     234945    SHARES                X                 1     233730     0  1215
SCHLUMBERGER LTD      COMMON
                      STOCK     806857108    6252      73601    SHARES                         X        1      68141     0  5460
SCHWAB CHARLES CORP   COMMON
  NEW COM             STOCK     808513105     343      16696    SHARES                X                 1      16696     0     0
SEAGATE TECHNOLOGY    COMMON
                      STOCK     G7945J104    1977      90803    SHARES                X                 1      87589     0  3214
SEAGATE TECHNOLOGY    COMMON
                      STOCK     G7945J104     203       9304    SHARES                         X        1       6729     0  2575
SEARS HOLDINGS CORP   COMMON
                      STOCK     812350106     673       3971    SHARES                X                 1       3741     0   230
SEARS HOLDINGS CORP   COMMON
                      STOCK     812350106      16         94    SHARES                         X        1         94     0     0
SEASPAN CORP          COMMON
                      STOCK     Y75638109     177       5500    SHARES                         X        1       5500     0     0
SEI CORP COM          COMMON
                      STOCK     784117103      95       3270    SHARES                X                 1       3270     0     0
SELECTIVE INS GROUP   COMMON
  INC                 STOCK     816300107       5        200    SHARES                X                 1        200     0     0
SELIGMAN SELECT       PREFERRED
  MUNICIPAL FD        STOCK     816344105      10       1000    SHARES                         X        1       N.A.  N.A.  N.A.
SEMPRA ENERGY COM     COMMON
                      STOCK     816851109      12        200    SHARES                X                 1        200     0     0



                                   21 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
SEMPRA ENERGY COM     COMMON
                      STOCK    816851109      32        532    SHARES                         X        1        532     0      0
SENIOR HOUSING        COMMON
  PROPERTIES TR (     STOCK    81721M109      10        500    SHARES                X                 1       N.A.  N.A.   N.A.
SENIOR HOUSING        COMMON
  PROPERTIES TR (     STOCK    81721M109       2        100    SHARES                         X        1       N.A.  N.A.   N.A.
SEPRACOR INC COM      COMMON
                      STOCK    817315104     174       4241    SHARES                X                 1       3966     0    275
SERVICEMASTER CO COM  COMMON
                      STOCK    81760N109     224      14500    SHARES                         X        1          0     0  14500
SEVERN BANCORP INC    COMMON
                      STOCK    81811M100       8        484    SHARES                X                 1        484     0      0
SEVERN BANCORP INC    COMMON
                      STOCK    81811M100     460      28150    SHARES                         X        1      28150     0      0
SHERWIN WILLIAMS CO   COMMON
  COM                 STOCK    824348106      25        380    SHARES                X                 1        380     0      0
SHERWIN WILLIAMS CO   COMMON
  COM                 STOCK    824348106     346       5200    SHARES                         X        1        200     0   5000
SHIP FINANCE INTL LTD COMMON
                      STOCK    G81075106      26        891    SHARES                X                 1        891     0      0
SHUFFLE MASTER INC    COMMON
                      STOCK    825549108      86       5183    SHARES                X                 1       5183     0      0
SIERRA HEALTH         COMMON
  SERVICES INC        STOCK    826322109     131       3150    SHARES                X                 1       2800     0    350
SIERRA PAC RES        COMMON
                      STOCK    826428104      13        742    SHARES                X                 1        742     0      0
SILICON MOTION        COMMON
  TECHNOLOGY CORP     STOCK    82706C108      86       3480    SHARES                X                 1       3200     0    280
SIMON PROPERTY GRP    COMMON
  INC (REIT)          STOCK    828806109    1247      13404    SHARES                X                 1       N.A.  N.A.   N.A.
SIMON PROPERTY GRP    COMMON
  INC (REIT)          STOCK    828806109     965      10375    SHARES                         X        1       N.A.  N.A.   N.A.
SIRIUS SATELLITE      COMMON
  RADIO INC COM       STOCK    82966U103      20       6570    SHARES                X                 1       6570     0      0
SIRIUS SATELLITE      COMMON
  RADIO INC COM       STOCK    82966U103       3       1000    SHARES                         X        1       1000     0      0
SIRONA DENTAL         COMMON
  SYSTEMS INC         STOCK    82966C103     898      23740    SHARES                X                 1      23215     0    525
SLM CORP COM          COMMON
                      STOCK    78442P106     164       2846    SHARES                X                 1       2846     0      0
SMITH INTL INC        COMMON
                      STOCK    832110100    2217      37800    SHARES                X                 1      37800     0      0
SMITH INTL INC        COMMON
                      STOCK    832110100     352       6000    SHARES                         X        1       6000     0      0
SMITH MICRO SOFTWARE  COMMON
  INC                 STOCK    832154108      79       5230    SHARES                X                 1       4800     0    430
SMITHFIELD FOODS INC  COMMON
                      STOCK    832248108      31       1000    SHARES                         X        1       1000     0      0
SOLECTRON CORP        COMMON
                      STOCK    834182107       3        900    SHARES                X                 1        900     0      0
SOMANETICS CORP       COMMON
                      STOCK    834445405      37       2000    SHARES                         X        1       2000     0      0
SONOCO PRODUCTS CO    COMMON
  COM                 STOCK    835495102      30        700    SHARES                         X        1        700     0      0
SONY CORP--           COMMON
  SPONSORED ADR       STOCK    835699307      62       1200    SHARES                         X        1       1200     0      0
SOTHEBY'S             COMMON
                      STOCK    835898107      75       1635    SHARES                X                 1       1500     0    135
SOUTH JERSEY          COMMON
  INDUSTRIES INC      STOCK    838518108      18        518    SHARES                X                 1        518     0      0
SOUTHERN CO COM       COMMON
                      STOCK    842587107     902      26308    SHARES                X                 1      25308     0   1000
SOUTHERN CO COM       COMMON
                      STOCK    842587107    1154      33641    SHARES                         X        1      32641     0   1000
SOUTHWEST AIRLINES    COMMON
  CO COM              STOCK    844741108      68       4562    SHARES                X                 1       4562     0      0
SOUTHWEST AIRLINES    COMMON
  CO COM              STOCK    844741108     118       7900    SHARES                         X        1       7900     0      0
SOUTHWEST GAS CORP    COMMON
  COM                 STOCK    844895102       7        219    SHARES                X                 1        219     0      0
SOUTHWEST GAS CORP    COMMON
  COM                 STOCK    844895102      34       1000    SHARES                         X        1       1000     0      0
SOUTHWESTERN ENERGY   COMMON
  COMPANY             STOCK    845467109     492      11053    SHARES                X                 1      10798     0    255
SOVEREIGN BANCORP INC COMMON
                      STOCK    845905108    3041     143854    SHARES                X                 1     141130     0   2724
SOVEREIGN BANCORP INC COMMON
                      STOCK    845905108      62       2940    SHARES                         X        1       2520     0    420
SOVRAN SELF STORAGE   COMMON
  INC                 STOCK    84610H108     241       5000    SHARES                         X        1       N.A.  N.A.   N.A.
SPAR GROUP INC        COMMON
                      STOCK    784933103       1        450    SHARES                X                 1        450     0      0
SPDR TRUST SERIES 1   COMMON
  S&P 500 IN          STOCK    78462F103    7165      47631    SHARES                X                 1      47631     0      0
SPDR TRUST SERIES 1   COMMON
  S&P 500 IN          STOCK    78462F103    9781      65023    SHARES                         X        1      65023     0      0
SPECTRA ENERGY CORP   COMMON
                      STOCK    847560109     327      12590    SHARES                X                 1      12590     0      0
SPECTRA ENERGY CORP   COMMON
                      STOCK    847560109     394      15178    SHARES                         X        1      14928     0    250
SPECTRUM CTL INC COM  COMMON
                      STOCK    847615101     157       9300    SHARES                         X        1       9300     0      0
SPEEDWAY MOTORSPORTS  COMMON
  INCORPORA           STOCK    847788106       4        100    SHARES                         X        1        100     0      0
SPRINT NEXTEL CORP    COMMON
                      STOCK    852061100     426      20592    SHARES                X                 1      13892     0   6700
SPRINT NEXTEL CORP    COMMON
                      STOCK    852061100     251      12107    SHARES                         X        1      12107     0      0
SPX CORP COM          COMMON
                      STOCK    784635104      22        249    SHARES                         X        1        249     0      0
ST JOE CORP           COMMON
                      STOCK    790148100     398       8590    SHARES                X                 1       7390     0   1200
ST JOE CORP           COMMON
                      STOCK    790148100     133       2863    SHARES                         X        1       2863     0      0
STANLEY WORKS COM     COMMON
                      STOCK    854616109     522       8600    SHARES                X                 1       8600     0      0
STANLEY WORKS COM     COMMON
                      STOCK    854616109     540       8900    SHARES                         X        1       2900     0   6000
STAPLES INC COM       COMMON
                      STOCK    855030102    6439     271332    SHARES                X                 1     265256     0   6076
STAPLES INC COM       COMMON
                      STOCK    855030102    1486      62609    SHARES                         X        1      61759     0    850
STAR GAS PARTNERS LP  COMMON
                      STOCK    85512C105       2        500    SHARES                X                 1        500     0      0
STARBUCKS CORP COM    COMMON
                      STOCK    855244109    1250      47642    SHARES                X                 1      47642     0      0
STARBUCKS CORP COM    COMMON
                      STOCK    855244109      79       3000    SHARES                         X        1       3000     0      0
STARWOOD HOTELS &     COMMON
  RESORTS WORL        STOCK    85590A401      22        329    SHARES                X                 1        329     0      0
STATE STREET CORP     COMMON
                      STOCK    857477103     187       2732    SHARES                X                 1       2732     0      0
STATE STREET CORP     COMMON
                      STOCK    857477103    5965      87214    SHARES                         X        1      87214     0      0
STEELCASE INC CL A    COMMON
                      STOCK    858155203      19       1000    SHARES                         X        1          0     0   1000
STERIS CORP           COMMON
                      STOCK    859152100      40       1315    SHARES                X                 1       1200     0    115
STERLING FINANCIAL    COMMON
  CORP                STOCK    859317109     504      47892    SHARES                X                 1      18825     0  29067
STERLING FINANCIAL    COMMON
  CORP                STOCK    859317109      53       5000    SHARES                         X        1          0     0   5000
STIFEL FINANCIAL      COMMON
  CORPORATION         STOCK    860630102      78       1320    SHARES                X                 1       1200     0    120
STMICROELECTRONICS N  COMMON
  V                   STOCK    861012102       2        100    SHARES                X                 1        100     0      0
STORA ENSO OYJ        COMMON
  SPONSORED ADR       STOCK    86210M106      28       1500    SHARES                         X        1       1500     0      0
STRATEGIC             COMMON
  DIAGNOSTICS INC COM STOCK    862700101     182      40000    SHARES                         X        1      40000     0      0
STRATEGIC HOTEL &     COMMON
  RESORTS INC         STOCK    86272T106      16        700    SHARES                X                 1       N.A.  N.A.   N.A.
STREETTRACKS GOLD     COMMON
  TRUST               STOCK    863307104      29        446    SHARES                         X        1        446     0      0
STRYKER CORP COM      COMMON
                      STOCK    863667101     548       8680    SHARES                X                 1       8680     0      0
STRYKER CORP COM      COMMON
                      STOCK    863667101      76       1200    SHARES                         X        1       1000     0    200
STURM RUGER & CO INC  COMMON
  COM                 STOCK    864159108       7        450    SHARES                X                 1        450     0      0
STURM RUGER & CO INC  COMMON
  COM                 STOCK    864159108      16       1000    SHARES                         X        1       1000     0      0
SUBURBAN PROPANE      COMMON
  PARTNERS LP L       STOCK    864482104      12        250    SHARES                X                 1        250     0      0
SUBURBAN PROPANE      COMMON
  PARTNERS LP L       STOCK    864482104      48       1000    SHARES                         X        1          0     0   1000



                                   22 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
SUN LIFE FINL INC     COMMON
                      STOCK     866796105     155       3237    SHARES                X                 1       3237     0      0
SUN MICROSYSTEMS INC  COMMON
  COM                 STOCK     866810104      62      11750    SHARES                X                 1      11750     0      0
SUN MICROSYSTEMS INC  COMMON
  COM                 STOCK     866810104      28       5300    SHARES                         X        1       5300     0      0
SUNCOR ENERGY INC     COMMON
                      STOCK     867229106      92       1025    SHARES                X                 1       1025     0      0
SUNCOR ENERGY INC     COMMON
                      STOCK     867229106      45        500    SHARES                         X        1        500     0      0
SUNOCO INC COM        COMMON
                      STOCK     86764P109     129       1625    SHARES                X                 1       1625     0      0
SUNOCO LOGISTICS      COMMON
  PARTNERS LP         STOCK     86764L108      90       1500    SHARES                         X        1       1500     0      0
SUNPOWER CORP CL A    COMMON
                      STOCK     867652109      13        200    SHARES                X                 1        200     0      0
SUNRISE SENIOR        COMMON
  LIVING INC          STOCK     86768K106       8        200    SHARES                X                 1        200     0      0
SUNTRUST BANKS INC    COMMON
                      STOCK     867914103     770       8983    SHARES                X                 1       8983     0      0
SUNTRUST BANKS INC    COMMON
                      STOCK     867914103    1638      19109    SHARES                         X        1      17409     0   1700
SUPERIOR ENERGY       COMMON
  SERVICES INC C      STOCK     868157108      80       2015    SHARES                X                 1       1900     0    115
SUPERVALU INC         COMMON
                      STOCK     868536103     111       2400    SHARES                X                 1       2400     0      0
SUSQUEHANNA           COMMON
  BANCSHARES INC PA   STOCK     869099101    1376      61504    SHARES                X                 1      61504     0      0
SUTRON CORPORATION    COMMON
                      STOCK     869380105     178      20000    SHARES                         X        1      20000     0      0
SYKES ENTERPRISES INC COMMON
                      STOCK     871237103     100       5280    SHARES                X                 1       4800     0    480
SYMANTEC CORP COM     COMMON
                      STOCK     871503108     213      10533    SHARES                X                 1      10533     0      0
SYMANTEC CORP COM     COMMON
                      STOCK     871503108     144       7110    SHARES                         X        1       7110     0      0
SYNOPSYS INC COM      COMMON
                      STOCK     871607107      20        750    SHARES                X                 1        750     0      0
SYNOPSYS INC COM      COMMON
                      STOCK     871607107      40       1500    SHARES                         X        1          0     0   1500
SYNOVUS FINL CORP COM COMMON
                      STOCK     87161C105      28        900    SHARES                         X        1        900     0      0
SYSCO CORP            COMMON
                      STOCK     871829107    8100     245537    SHARES                X                 1     240644     0   4893
SYSCO CORP            COMMON
                      STOCK     871829107   10001     303141    SHARES                         X        1     298576     0   4565
TAIWAN SEMICONDUCTOR  COMMON
  SPON ADR            STOCK     874039100      28       2478    SHARES                X                 1       2478     0      0
TAIWAN SEMICONDUCTOR  COMMON
  SPON ADR            STOCK     874039100      11       1005    SHARES                         X        1          0     0   1005
TALISMAN ENERGY INC   COMMON
                      STOCK     87425E103      59       3030    SHARES                X                 1       3030     0      0
TALISMAN ENERGY INC   COMMON
                      STOCK     87425E103       4        210    SHARES                         X        1          0     0    210
TARGET CORP COM       COMMON
                      STOCK     87612E106    8385     131837    SHARES                X                 1     129687     0   2150
TARGET CORP COM       COMMON
                      STOCK     87612E106    1755      27600    SHARES                         X        1      26475     0   1125
TAYLOR DEVICES INC    COMMON
                      STOCK     877163105      94      16400    SHARES                         X        1      16400     0      0
TD AMERITRADE         COMMON
  HOLDING CORP        STOCK     87236Y108       5        257    SHARES                X                 1        257     0      0
TECH DATA CORP COM    COMMON
                      STOCK     878237106      19        500    SHARES                         X        1        500     0      0
TECK COMINCO LTD-CL B COMMON
                      STOCK     878742204      24        564    SHARES                X                 1        564     0      0
TECO ENERGY INC       COMMON
                      STOCK     872375100     166       9688    SHARES                X                 1       9688     0      0
TECO ENERGY INC       COMMON
                      STOCK     872375100     386      22450    SHARES                         X        1      22150     0    300
TELE NORTE LESTE      COMMON
  PART ADR            STOCK     879246106      13        700    SHARES                X                 1        700     0      0
TELECOM NEW ZEALAND   COMMON
  SPON ADR            STOCK     879278208       3        100    SHARES                X                 1        100     0      0
TELECOMMUNICATION     COMMON
  SYSTEMS INC         STOCK     87929J103      34       6600    SHARES                X                 1       6032     0    568
TELEDYNE
  TECHNOLOGIES INC    COMMON
  COM                 STOCK     879360105     128       2775    SHARES                X                 1       2775     0      0
TELEDYNE
  TECHNOLOGIES INC    COMMON
  COM                 STOCK     879360105      92       2000    SHARES                         X        1       2000     0      0
TELEFONAKTIEBOLAGET   COMMON
  LM ERICSSO          STOCK     294821608      55       1380    SHARES                         X        1       1380     0      0
TELEFONICA S A        COMMON
  SPONSORED ADR       STOCK     879382208     100       1500    SHARES                X                 1       1500     0      0
TELEFONOS DE MEXICO   COMMON
  SA DE CV            STOCK     879403707     173       4596    SHARES                X                 1       4596     0      0
TELEFONOS DE MEXICO   COMMON
  SP ADR L            STOCK     879403780     269       7092    SHARES                X                 1       7092     0      0
TELEFONOS DE MEXICO   COMMON
  SP ADR L            STOCK     879403780     114       3000    SHARES                         X        1       1000     0   2000
TEMPLE INLAND INC     COMMON
                      STOCK     879868107       8        128    SHARES                X                 1        128     0      0
TEMPLE INLAND INC     COMMON
                      STOCK     879868107       6        100    SHARES                         X        1          0     0    100
TEMPLETON DRAGON      PREFERRED
  FUND INC            STOCK     88018T101       3        100    SHARES                X                 1       N.A.  N.A.   N.A.
TEMPLETON GLOBAL      PREFERRED
  INCOME FUND-D       STOCK     880198106     388      41543    SHARES                X                 1       N.A.  N.A.   N.A.
TENET HEALTHCARE CORP COMMON
                      STOCK     88033G100      12       1900    SHARES                X                 1       1900     0      0
TEPPCO PARTNERS LTD   COMMON
  PARTNERS            STOCK     872384102     109       2450    SHARES                X                 1       2450     0      0
TEREX CORP            COMMON
                      STOCK     880779103      20        247    SHARES                X                 1        247     0      0
TERRA INDUSTRIES INC  COMMON
                      STOCK     880915103       1         27    SHARES                         X        1         27     0      0
TESSERA TECHNOLOGIES  COMMON
  INC                 STOCK     88164L100      63       1550    SHARES                X                 1       1400     0    150
TEVA PHARMACEUTICAL   COMMON
  SPONS ADR           STOCK     881624209     423      10265    SHARES                X                 1      10265     0      0
TEVA PHARMACEUTICAL   COMMON
  SPONS ADR           STOCK     881624209      70       1700    SHARES                         X        1       1700     0      0
TEXAS INSTRUMENTS INC COMMON
                      STOCK     882508104    7493     199127    SHARES                X                 1     193204     0   5923
TEXAS INSTRUMENTS INC COMMON
                      STOCK     882508104    2547      67687    SHARES                         X        1      60267     0   7420
TEXTRON INC COM       COMMON
                      STOCK     883203101     492       4468    SHARES                X                 1       4468     0      0
TEXTRON INC COM       COMMON
                      STOCK     883203101     121       1100    SHARES                         X        1        100     0   1000
TEXTRON INC PFD CV    PREFERRED
  $1.40 SER B         STOCK     883203309      79        200    SHARES                X                 1       N.A.  N.A.   N.A.
TF FINANCIAL CORP     COMMON
                      STOCK     872391107     151       5000    SHARES                X                 1       5000     0      0
THE DIRECTV GROUP INC COMMON
                      STOCK     25459L106      13        579    SHARES                X                 1        530     0     49
THE DIRECTV GROUP INC COMMON
                      STOCK     25459L106      33       1448    SHARES                         X        1       1448     0      0
THE HERSHEY COMPANY   COMMON
                      STOCK     427866108    5517     108981    SHARES                X                 1     105250     0   3731
THE HERSHEY COMPANY   COMMON
                      STOCK     427866108    2453      48459    SHARES                         X        1      34814     0  13645
THE MOSAIC COMPANY    COMMON
                      STOCK     61945A107      16        400    SHARES                X                 1        400     0      0
THE MOSAIC COMPANY    COMMON
                      STOCK     61945A107      16        400    SHARES                         X        1        400     0      0
THE PANTRY INC        COMMON
                      STOCK     698657103       7        150    SHARES                X                 1        150     0      0
THE SCOTTS            COMMON
  MIRACLE-GRO COMPANY STOCK     810186106     569      13250    SHARES                X                 1      13250     0      0
THE TRAVELERS         COMMON
  COMPANIES INC       STOCK     89417E109    1323      24737    SHARES                X                 1      24633     0    104
THE TRAVELERS         COMMON
  COMPANIES INC       STOCK     89417E109     693      12959    SHARES                         X        1      12750     0    209
THERMO FISHER         COMMON
  SCIENTIFIC INC      STOCK     883556102    1181      22835    SHARES                X                 1      22835     0      0
THERMO FISHER         COMMON
  SCIENTIFIC INC      STOCK     883556102     178       3450    SHARES                         X        1       3450     0      0
THORNBURG MTG INC     COMMON
  (REIT)              STOCK     885218107     325      12430    SHARES                X                 1       N.A.  N.A.   N.A.
THORNBURG MTG INC     COMMON
  (REIT)              STOCK     885218107     192       7325    SHARES                         X        1       N.A.  N.A.   N.A.
THQ INC COM NEW       COMMON
                      STOCK     872443403     104       3405    SHARES                X                 1       3100     0    305
TIDEWATER INC         COMMON
                      STOCK     886423102      71       1000    SHARES                X                 1       1000     0      0



                                   23 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
TIDEWATER INC         COMMON
                      STOCK     886423102      28        400    SHARES                         X        1        400     0      0
TIFFANY & CO          COMMON
                      STOCK     886547108     148       2784    SHARES                X                 1       2784     0      0
TIM HORTONS INC       COMMON
                      STOCK     88706M103     165       5366    SHARES                X                 1       5366     0      0
TIM HORTONS INC       COMMON
                      STOCK     88706M103       8        270    SHARES                         X        1        270     0      0
TIME WARNER INC       COMMON
                      STOCK     887317105    1281      60892    SHARES                X                 1      56992     0   3900
TIME WARNER INC       COMMON
                      STOCK     887317105     821      39004    SHARES                         X        1      35304     0   3700
TIMKEN CO COM         COMMON
                      STOCK     887389104      45       1240    SHARES                         X        1       1240     0      0
TITAN INTERNATIONAL   COMMON
  INC                 STOCK     88830M102     211       6667    SHARES                X                 1       6392     0    275
TITANIUM METALS CORP  COMMON
                      STOCK     888339207      63       1965    SHARES                X                 1       1800     0    165
TIVO INC              COMMON
                      STOCK     888706108       1        100    SHARES                X                 1        100     0      0
TJX COMPANIES COM     COMMON
                      STOCK     872540109       5        165    SHARES                X                 1        165     0      0
TOLL BROS INC         COMMON
                      STOCK     889478103    1430      57231    SHARES                X                 1      57036     0    195
TOLL BROS INC         COMMON
                      STOCK     889478103     528      21150    SHARES                         X        1      20650     0    500
TOMPKINS FINANCIAL    COMMON
  CORP                STOCK     890110109      17        450    SHARES                X                 1        450     0      0
TOOTSIE ROLL          COMMON
  INDUSTRIES          STOCK     890516107      53       1905    SHARES                X                 1       1905     0      0
TORO CO COM           COMMON
                      STOCK     891092108     101       1720    SHARES                X                 1       1720     0      0
TORONTO-DOMINION BANK COMMON
                      STOCK     891160509      14        211    SHARES                X                 1        211     0      0
TORONTO-DOMINION BANK COMMON
                      STOCK     891160509      97       1410    SHARES                         X        1       1410     0      0
TOTAL SA SPONSORED    COMMON
  ADR                 STOCK     89151E109      15        185    SHARES                X                 1        185     0      0
TOYOTA MOTOR CORP     COMMON
  SPON ADR            STOCK     892331307      31        250    SHARES                X                 1        250     0      0
TOYOTA MOTOR CORP     COMMON
  SPON ADR            STOCK     892331307      25        200    SHARES                         X        1        200     0      0
TRADESTATION GROUP    COMMON
  INC                 STOCK     89267P105      10        900    SHARES                X                 1        900     0      0
TRANSACT
  TECHNOLOGIES INC    COMMON
  COM                 STOCK     892918103       6       1000    SHARES                X                 1       1000     0      0
TRANSCANADA CORP      COMMON
                      STOCK     89353D107      10        300    SHARES                         X        1        300     0      0
TRANSCEND SERVICES    COMMON
  INC                 STOCK     893929208       6        325    SHARES                X                 1        325     0      0
TRANSOCEAN INC        COMMON
                      STOCK     G90078109    3132      29552    SHARES                X                 1      29552     0      0
TRANSOCEAN INC        COMMON
                      STOCK     G90078109     514       4850    SHARES                         X        1       4650     0    200
TRAVELCENTERS OF      COMMON
  AMERICA LLC         STOCK     894174101       4         90    SHARES                X                 1         90     0      0
TRAVELCENTERS OF      COMMON
  AMERICA LLC         STOCK     894174101       1         30    SHARES                         X        1         30     0      0
TREDEGAR CORP         COMMON
                      STOCK     894650100      53       2500    SHARES                X                 1       2500     0      0
TRIBUNE CO NEW COM    COMMON
                      STOCK     896047107      38       1300    SHARES                         X        1       1300     0      0
TRI-CONTINENTAL CORP  PREFERRED
                      STOCK     895436103      42       1616    SHARES                X                 1       N.A.  N.A.   N.A.
TRIDENT MICROSYSTEMS  COMMON
  INC                 STOCK     895919108     248      13498    SHARES                X                 1      12538     0    960
TRINITY INDUSTRIES    COMMON
  INC                 STOCK     896522109       7        150    SHARES                X                 1        150     0      0
TRINITY INDUSTRIES    COMMON
  INC                 STOCK     896522109      39        900    SHARES                         X        1        900     0      0
TRONOX INC-CLASS B    COMMON
                      STOCK     897051207       3        221    SHARES                X                 1         60     0    161
TRONOX INC-CLASS B    COMMON
                      STOCK     897051207       1         76    SHARES                         X        1         76     0      0
TUPPERWARE BRANDS     COMMON
  CORP                STOCK     899896104      14        500    SHARES                X                 1        500     0      0
TUPPERWARE BRANDS     COMMON
  CORP                STOCK     899896104      13        450    SHARES                         X        1        450     0      0
TXU CORP COM          COMMON
                      STOCK     873168108     435       6460    SHARES                X                 1       6460     0      0
TXU CORP COM          COMMON
                      STOCK     873168108     195       2900    SHARES                         X        1       2900     0      0
TYCO INTERNATIONAL    COMMON
  LTD                 STOCK     902124106     683      20201    SHARES                X                 1       8483     0  11718
TYCO INTERNATIONAL    COMMON
  LTD                 STOCK     902124106     905      26782    SHARES                         X        1      23568     0   3214
TYSON FOODS INC COM   COMMON
                      STOCK     902494103      14        600    SHARES                         X        1        600     0      0
U S BANCORP DEL COM   COMMON
  NEW                 STOCK     902973304    2649      80391    SHARES                X                 1      80191     0    200
U S BANCORP DEL COM   COMMON
  NEW                 STOCK     902973304     963      29229    SHARES                         X        1      23923     0   5306
U S GOLD CORPORATION  COMMON
                      STOCK     912023207      53       9650    SHARES                X                 1       8800     0    850
UBS AG                COMMON
                      STOCK     H89231338     211       3522    SHARES                X                 1       3522     0      0
UDR INC REIT          COMMON
                      STOCK     902653104      13        500    SHARES                X                 1       N.A.  N.A.   N.A.
UDR INC REIT          COMMON
                      STOCK     902653104      53       2000    SHARES                         X        1       N.A.  N.A.   N.A.
UGI CORP              COMMON
                      STOCK     902681105     248       9100    SHARES                X                 1       9100     0      0
UGI CORP              COMMON
                      STOCK     902681105     164       6000    SHARES                         X        1       6000     0      0
ULTRA OIL & GAS       PREFERRED
  PROSHARES           STOCK     74347R719       8         79    SHARES                X                 1       N.A.  N.A.   N.A.
UNILEVER NV NY SHARES COMMON
                      STOCK     904784709     495      15971    SHARES                X                 1      15971     0      0
UNILEVER NV NY SHARES COMMON
                      STOCK     904784709     187       6032    SHARES                         X        1       6032     0      0
UNILEVER PLC          COMMON
  SPONSORED ADR       STOCK     904767704       5        160    SHARES                X                 1        160     0      0
UNILEVER PLC          COMMON
  SPONSORED ADR       STOCK     904767704      58       1800    SHARES                         X        1       1800     0      0
UNION BANKSHARES      COMMON
  CORPORATION         STOCK     905399101       7        300    SHARES                         X        1        300     0      0
UNION PACIFIC CORP    COMMON
  COM                 STOCK     907818108    1210      10509    SHARES                X                 1      10509     0      0
UNION PACIFIC CORP    COMMON
  COM                 STOCK     907818108    1027       8915    SHARES                         X        1       4115     0   4800
UNISOURCE ENERGY CORP COMMON
                      STOCK     909205106       4        120    SHARES                X                 1        120     0      0
UNITED PARCEL         COMMON
  SERVICE CL B        STOCK     911312106    7388     101199    SHARES                X                 1      98833     0   2366
UNITED PARCEL         COMMON
  SERVICE CL B        STOCK     911312106    1601      21935    SHARES                         X        1      19870     0   2065
UNITED STS STL CORP   COMMON
  NEW                 STOCK     912909108      93        851    SHARES                X                 1        851     0      0
UNITED STS STL CORP   COMMON
  NEW                 STOCK     912909108      17        153    SHARES                         X        1        153     0      0
UNITED TECHNOLOGIES   COMMON
  CORP COM            STOCK     913017109    8858     124887    SHARES                X                 1     120015     0   4872
UNITED TECHNOLOGIES   COMMON
  CORP COM            STOCK     913017109    3777      53244    SHARES                         X        1      50129     0   3115
UNITED UTILITIES PLC  COMMON
  SP ADR              STOCK     91311Q105       8        300    SHARES                X                 1        300     0      0
UNITEDHEALTH GROUP    COMMON
  INC                 STOCK     91324P102    4945      96686    SHARES                X                 1      94944     0   1742
UNITEDHEALTH GROUP    COMMON
  INC                 STOCK     91324P102     521      10194    SHARES                         X        1       6644     0   3550
UNITRIN INC COM       COMMON
                      STOCK     913275103     165       3358    SHARES                X                 1       3358     0      0
UNIVERSAL
  COMPRESSION         COMMON
  HOLDINGS            STOCK     913431102      72       1000    SHARES                         X        1       1000     0      0
UNIVERSAL DISPLAY     COMMON
  CORP                STOCK     91347P105      20       1300    SHARES                X                 1       1300     0      0
UNIVERSAL
  STAINLESS & ALLOY   COMMON
  PR                  STOCK     913837100      21        600    SHARES                         X        1        600     0      0
UNIVEST CORP OF PA    COMMON
                      STOCK     915271100      55       2454    SHARES                X                 1       2454     0      0
URBAN OUTFITTERS INC  COMMON
                      STOCK     917047102      97       4029    SHARES                X                 1       3769     0    260
URSTADT BIDDLE PPTYS  COMMON
  INC CL A            STOCK     917286205      26       1500    SHARES                X                 1       N.A.  N.A.   N.A.
URSTADT BIDDLE PPTYS  COMMON
  INC CL A            STOCK     917286205      51       3000    SHARES                         X        1       N.A.  N.A.   N.A.


                                   24 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
USG CORP              COMMON
                      STOCK     903293405      12        240    SHARES                X                 1        240     0      0
UST INC COM           COMMON
                      STOCK     902911106     213       3975    SHARES                X                 1       3975     0      0
UST INC COM           COMMON
                      STOCK     902911106     140       2600    SHARES                         X        1       2600     0      0
V F CORP              COMMON
                      STOCK     918204108     300       3276    SHARES                X                 1       3276     0      0
V F CORP              COMMON
                      STOCK     918204108     861       9400    SHARES                         X        1       9400     0      0
VALASSIS
  COMMUNICATION INC   COMMON
  COM                 STOCK     918866104      23       1344    SHARES                X                 1       1344     0      0
VALERO ENERGY CORP    COMMON
  COM                 STOCK     91913Y100     473       6400    SHARES                X                 1       6400     0      0
VALERO ENERGY CORP    COMMON
  COM                 STOCK     91913Y100     369       5000    SHARES                         X        1       5000     0      0
VALUECLICK INC        COMMON
                      STOCK     92046N102      97       3285    SHARES                X                 1       3020     0    265
VAN KAMPEN MUNICIPAL  PREFERRED
  OPPORTUNI           STOCK     920935103     114       7385    SHARES                         X        1       N.A.  N.A.   N.A.
VAN KAMPEN PENN       PREFERRED
  VALUE MUNI INC      STOCK     92112T108     190      13352    SHARES                X                 1       N.A.  N.A.   N.A.
VAN KAMPEN PENN       PREFERRED
  VALUE MUNI INC      STOCK     92112T108     376      26478    SHARES                         X        1       N.A.  N.A.   N.A.
VAN KAMPEN TR FOR     PREFERRED
  INV GR MUNIC        STOCK     920929106      19       1258    SHARES                X                 1       N.A.  N.A.   N.A.
VAN KAMPEN TR FOR     PREFERRED
  INV GR MUNIC        STOCK     920929106      88       5851    SHARES                         X        1       N.A.  N.A.   N.A.
VAN KAMPEN TRUST      PREFERRED
  INSURED MUNIC       STOCK     920928108       7        505    SHARES                X                 1       N.A.  N.A.   N.A.
VANGUARD EMERGING     PREFERRED
  MKTS ETF            STOCK     922042858      31        345    SHARES                         X        1       N.A.  N.A.   N.A.
VANGUARD ENERGY ETF   PREFERRED
                      STOCK     92204A306      43        425    SHARES                         X        1       N.A.  N.A.   N.A.
VANGUARD INFO TECH    COMMON
  ETF                 STOCK     92204A702       4         65    SHARES                         X        1         65     0      0
VANGUARD MATERIALS    PREFERRED
  ETF                 STOCK     92204A801      21        250    SHARES                X                 1       N.A.  N.A.   N.A.
VANGUARD MID-CAP ETF  PREFERRED
                      STOCK     922908629      55        678    SHARES                X                 1       N.A.  N.A.   N.A.
VANGUARD TOTAL STOCK  PREFERRED
  MARKET ET           STOCK     922908769     132        882    SHARES                X                 1       N.A.  N.A.   N.A.
VANGUARD TOTAL STOCK  PREFERRED
  MARKET ET           STOCK     922908769     438       2931    SHARES                         X        1       N.A.  N.A.   N.A.
VARIAN INC            COMMON
                      STOCK     922206107       7        120    SHARES                X                 1        120     0      0
VARIAN MEDICAL SYS    COMMON
  INC COM             STOCK     92220P105     696      16383    SHARES                X                 1      16123     0    260
VARIAN MEDICAL SYS    COMMON
  INC COM             STOCK     92220P105      83       1945    SHARES                         X        1       1945     0      0
VARIAN SEMICONDUCTOR  COMMON
  EQUIP ASS           STOCK     922207105      98       2455    SHARES                X                 1       2270     0    185
VECTOR GROUP LTD      COMMON
                      STOCK     92240M108      12        525    SHARES                         X        1        525     0      0
VERIGY LTD            COMMON
                      STOCK     Y93691106      36       1244    SHARES                X                 1       1244     0      0
VERIGY LTD            COMMON
                      STOCK     Y93691106       3        120    SHARES                         X        1        120     0      0
VERISIGN INC COM      COMMON
                      STOCK     92343E102      46       1455    SHARES                X                 1       1455     0      0
VERISIGN INC COM      COMMON
                      STOCK     92343E102      21        650    SHARES                         X        1        650     0      0
VERIZON               COMMON
  COMMUNICATIONS COM  STOCK     92343V104   19086     463595    SHARES                X                 1     452480     0  11115
VERIZON               COMMON
  COMMUNICATIONS COM  STOCK     92343V104   10715     260273    SHARES                         X        1     246522     0  13751
VIACOM INC CL A       COMMON
                      STOCK     92553P102       9        225    SHARES                         X        1        225     0      0
VIACOM INC-CLASS B    COMMON
                      STOCK     92553P201     523      12565    SHARES                X                 1      12565     0      0
VIACOM INC-CLASS B    COMMON
                      STOCK     92553P201     216       5184    SHARES                         X        1       4034     0   1150
VISHAY
  INTERTECHNOLOGY     COMMON
  INC COM             STOCK     928298108      16       1000    SHARES                X                 1       1000     0      0
VISICU INC            COMMON
                      STOCK     92831L204    2287     249998    SHARES                X                 1     249998     0      0
VITAL IMAGES INC      COMMON
                      STOCK     92846N104      65       2400    SHARES                X                 1       2200     0    200
VK ADVANTAGE MUNI     PREFERRED
  INCOME TR I         STOCK     92112K107      12        933    SHARES                X                 1       N.A.  N.A.   N.A.
VODAFONE GROUP        COMMON
  PLC--SP ADR         STOCK     92857W209    1075      31975    SHARES                X                 1      31975     0      0
VODAFONE GROUP        COMMON
  PLC--SP ADR         STOCK     92857W209     438      13019    SHARES                         X        1      12858     0    161
VOLVO AB SPONS ADR B  COMMON
                      STOCK     928856400      60       3000    SHARES                         X        1          0     0   3000
VSE CORPORATION       COMMON
                      STOCK     918284100     313       8500    SHARES                         X        1       8500     0      0
VULCAN MATERIAL COM   COMMON
                      STOCK     929160109       5         41    SHARES                X                 1         41     0      0
W P CAREY & CO LLC    COMMON
                      STOCK     92930Y107       8        263    SHARES                X                 1       N.A.  N.A.   N.A.
W P CAREY & CO LLC    COMMON
                      STOCK     92930Y107     158       5019    SHARES                         X        1       N.A.  N.A.   N.A.
W W GRAINGER INC COM  COMMON
                      STOCK     384802104     484       5200    SHARES                X                 1       5200     0      0
W W GRAINGER INC COM  COMMON
                      STOCK     384802104     149       1600    SHARES                         X        1       1600     0      0
WABTEC CORP COM       COMMON
                      STOCK     929740108     260       7113    SHARES                X                 1       6593     0    520
WACHOVIA CORP COM     COMMON
                      STOCK     929903102   15249     297548    SHARES                X                 1     288428     0   9120
WACHOVIA CORP COM     COMMON
                      STOCK     929903102    5608     109431    SHARES                         X        1     101256     0   8175
WADDELL & REED FINL   COMMON
  INC CL A            STOCK     930059100      16        600    SHARES                X                 1        600     0      0
WAL MART STORES INC   COMMON
  COM                 STOCK     931142103   13740     285594    SHARES                X                 1     280865     0   4729
WAL MART STORES INC   COMMON
  COM                 STOCK     931142103    4514      93827    SHARES                         X        1      85487     0   8340
WALGREEN CO           COMMON
                      STOCK     931422109    1315      30208    SHARES                X                 1      29258     0    950
WALGREEN CO           COMMON
                      STOCK     931422109     990      22742    SHARES                         X        1      16572     0   6170
WASHINGTON MUTUAL COM COMMON
                      STOCK     939322103    1417      33241    SHARES                X                 1      33241     0      0
WASHINGTON MUTUAL COM COMMON
                      STOCK     939322103     471      11050    SHARES                         X        1      10050     0   1000
WASHINGTON REAL       COMMON
  ESTATE INVT (R      STOCK     939653101     203       5975    SHARES                X                 1       N.A.  N.A.   N.A.
WASHINGTON REAL       COMMON
  ESTATE INVT (R      STOCK     939653101      20        600    SHARES                         X        1       N.A.  N.A.   N.A.
WASTE CONNECTIONS INC COMMON
                      STOCK     941053100     147       4873    SHARES                X                 1       4583     0    290
WASTE MANAGEMENT INC  COMMON
  COM                 STOCK     94106L109    1419      36337    SHARES                X                 1      35065     0   1272
WASTE MANAGEMENT INC  COMMON
  COM                 STOCK     94106L109     486      12447    SHARES                         X        1       8947     0   3500
WATERS CORP COM       COMMON
                      STOCK     941848103     101       1700    SHARES                X                 1       1700     0      0
WATSON
  PHARMACEUTICALS     COMMON
  INC COM             STOCK     942683103      50       1526    SHARES                         X        1        763   763      0
WCI INDUSTRIES        COMMON
                      STOCK     92923C104       3        150    SHARES                X                 1        150     0      0
WD 40 CO COM          COMMON
                      STOCK     929236107      72       2200    SHARES                         X        1       2200     0      0
WEATHERFORD INTL LTD  COMMON
  BERMUDA             STOCK     G95089101    2795      50604    SHARES                X                 1      50364     0    240
WEATHERFORD INTL LTD  COMMON
  BERMUDA             STOCK     G95089101     212       3837    SHARES                         X        1       3837     0      0
WEBSENSE INC          COMMON
                      STOCK     947684106      86       4060    SHARES                X                 1       3700     0    360
WEIGHT WATCHERS INTL  COMMON
  INC NEW             STOCK     948626106      19        375    SHARES                X                 1        375     0      0
WEINGARTEN REALTY     COMMON
  INVESTORS (R        STOCK     948741103      41       1000    SHARES                X                 1       N.A.  N.A.   N.A.
WEINGARTEN REALTY     COMMON
  INVESTORS (R        STOCK     948741103      21        500    SHARES                         X        1       N.A.  N.A.   N.A.
WEIS MARKETS INC      COMMON
                      STOCK     948849104      85       2095    SHARES                X                 1       1645     0    450
WEIS MARKETS INC      COMMON
                      STOCK     948849104       6        150    SHARES                         X        1        150     0      0
WELLPOINT INC         COMMON
                      STOCK     94973V107      68        850    SHARES                X                 1        850     0      0
WELLS FARGO & CO      COMMON
                      STOCK     949746101   12300     349737    SHARES                X                 1     348237     0   1500



                                   25 of 43





                                                     SEC USE _______________________________________
                                                             COLUMN 5
                                                     ------------------------
                                                                                     COLUMN 6                      COLUMN 8
                                                      SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2             COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
WELLS FARGO & CO      COMMON
                      STOCK     949746101    5337     151762    SHARES                         X        1     146616     0   5146
WENDYS INTL INC COM   COMMON
                      STOCK     950590109     145       3936    SHARES                X                 1       3936     0      0
WENDYS INTL INC COM   COMMON
                      STOCK     950590109       7        200    SHARES                         X        1        200     0      0
WERNER ENTERPRISES    COMMON
  INC                 STOCK     950755108      19        935    SHARES                X                 1        935     0      0
WESTAR ENERGY INC     COMMON
                      STOCK     95709T100      11        443    SHARES                X                 1        443     0      0
WESTAR ENERGY INC     COMMON
                      STOCK     95709T100       5        200    SHARES                         X        1        200     0      0
WESTERN ASSET GLOBAL  PREFERRED
  HIGH INC            STOCK     95766B109      26       2000    SHARES                X                 1       N.A.  N.A.   N.A.
WESTERN ASSET HIGH    PREFERRED
  INC OPPORTU         STOCK     95766K109      15       2281    SHARES                X                 1       N.A.  N.A.   N.A.
WESTERN ASSET         PREFERRED
  MANAGED MUNICIPA    STOCK     95766M105      11       1016    SHARES                         X        1       N.A.  N.A.   N.A.
WESTERN ASSET         PREFERRED
  MUNICIPAL HIGH I    STOCK     95766N103      23       2923    SHARES                X                 1       N.A.  N.A.   N.A.
WESTERN REFINING INC  COMMON
                      STOCK     959319104      48        828    SHARES                X                 1        828     0      0
WESTERN UNION COMPANY COMMON
                      STOCK     959802109     523      25112    SHARES                X                 1      25112     0      0
WESTERN UNION COMPANY COMMON
                      STOCK     959802109     422      20248    SHARES                         X        1      19548     0    700
WESTLAKE CHEMICAL     COMMON
  CORPORATION         STOCK     960413102      17        605    SHARES                X                 1        605     0      0
WESTN DIGITAL CORP    COMMON
                      STOCK     958102105      78       4037    SHARES                X                 1       3767     0    270
WESTSIDE ENERGY CORP  COMMON
                      STOCK     96149R100      43      12000    SHARES                         X        1      12000     0      0
WEYERHAEUSER CO COM   COMMON
                      STOCK     962166104     232       2937    SHARES                X                 1       2937     0      0
WEYERHAEUSER CO COM   COMMON
                      STOCK     962166104     474       6002    SHARES                         X        1       5204     0    798
WGL HLDGS INC COM     COMMON
                      STOCK     92924F106      39       1200    SHARES                         X        1       1200     0      0
WHEELING- PITTSBURG   COMMON
  CORP                STOCK     963142302       5        245    SHARES                X                 1        245     0      0
WHIRLPOOL CORP COM    COMMON
                      STOCK     963320106      88        792    SHARES                X                 1        792     0      0
WHIRLPOOL CORP COM    COMMON
                      STOCK     963320106      83        742    SHARES                         X        1        742     0      0
WHITING PETROLEUM     COMMON
  CORPORATION         STOCK     966387102      61       1500    SHARES                         X        1       1500     0      0
WHOLE FOODS MKT INC   COMMON
  COM                 STOCK     966837106      50       1300    SHARES                X                 1       1300     0      0
WHOLE FOODS MKT INC   COMMON
  COM                 STOCK     966837106      23        600    SHARES                         X        1        600     0      0
WILBER CORP COM       COMMON
                      STOCK     967797101       7        750    SHARES                X                 1        750     0      0
WILLIAM SONOMA INC    COMMON
  COM                 STOCK     969904101     125       3943    SHARES                X                 1       3688     0    255
WILLIAMS COMPANY INC  COMMON
  (THE)               STOCK     969457100      23        724    SHARES                X                 1        724     0      0
WILLIAMS COMPANY INC  COMMON
  (THE)               STOCK     969457100      38       1200    SHARES                         X        1          0     0   1200
WILMINGTON TRUST CORP COMMON
                      STOCK     971807102      25        600    SHARES                         X        1        600     0      0
WINDSTREAM CORP       COMMON
                      STOCK     97381W104     157      10604    SHARES                X                 1      10604     0      0
WINDSTREAM CORP       COMMON
                      STOCK     97381W104     401      27155    SHARES                         X        1      22813     0   4342
WISCONSIN ENERGY      COMMON
  CORP COM            STOCK     976657106     175       3952    SHARES                X                 1       3952     0      0
WISCONSIN ENERGY      COMMON
  CORP COM            STOCK     976657106     171       3875    SHARES                         X        1       3875     0      0
WORTHINGTON INDS INC  COMMON
  COM                 STOCK     981811102     281      13000    SHARES                         X        1          0     0  13000
WRIGLEY WM JR CO      COMMON
                      STOCK     982526105     734      13270    SHARES                X                 1      13270     0      0
WRIGLEY WM JR CO      COMMON
                      STOCK     982526105     388       7018    SHARES                         X        1       6268     0    750
WYETH                 COMMON
                      STOCK     983024100   17826     310891    SHARES                X                 1     306791     0   4100
WYETH                 COMMON
                      STOCK     983024100   18564     323760    SHARES                         X        1     273337     0  50423
WYNDHAM WORLDWIDE     COMMON
  CORP                STOCK     98310W108      14        383    SHARES                         X        1        383     0      0
WYNN RESORTS LIMITED  COMMON
                      STOCK     983134107       9        100    SHARES                X                 1        100     0      0
XCEL ENERGY INC COM   COMMON
                      STOCK     98389B100      49       2373    SHARES                X                 1       2373     0      0
XCEL ENERGY INC COM   COMMON
                      STOCK     98389B100     154       7514    SHARES                         X        1       7514     0      0
XEROX CORP            COMMON
                      STOCK     984121103      52       2800    SHARES                X                 1       2800     0      0
XEROX CORP            COMMON
                      STOCK     984121103     202      10940    SHARES                         X        1      10940     0      0
XM SATELLITE RADIO    COMMON
  HLDGS INC           STOCK     983759101       6        530    SHARES                X                 1        530     0      0
X-RITE INC COM        COMMON
                      STOCK     983857103       4        250    SHARES                X                 1        250     0      0
XTO ENERGY INC COM    COMMON
                      STOCK     98385X106    2364      39331    SHARES                X                 1      39176     0    155
XTO ENERGY INC COM    COMMON
                      STOCK     98385X106     182       3028    SHARES                         X        1       3028     0      0
YAHOO INC COM         COMMON
                      STOCK     984332106     863      31805    SHARES                X                 1      31805     0      0
YAHOO INC COM         COMMON
                      STOCK     984332106      19        710    SHARES                         X        1        710     0      0
YAMANA GOLD INC       COMMON
                      STOCK     98462Y100      63       5675    SHARES                X                 1       5200     0    475
YORK WATER COMPANY    COMMON
                      STOCK     987184108    1422      80124    SHARES                X                 1      80124     0      0
YORK WATER COMPANY    COMMON
                      STOCK     987184108    1250      70444    SHARES                         X        1      70444     0      0
YUM! BRANDS INC       COMMON
                      STOCK     988498101     507      15492    SHARES                X                 1      15492     0      0
YUM! BRANDS INC       COMMON
                      STOCK     988498101     388      11846    SHARES                         X        1       8006     0   3840
ZEBRA TECHNOLOGIES    COMMON
  CORP CL A           STOCK     989207105      87       2250    SHARES                         X        1       2250     0      0
ZIMMER HLDGS INC COM  COMMON
                      STOCK     98956P102    6576      77464    SHARES                X                 1      75859     0   1605
ZIMMER HLDGS INC COM  COMMON
                      STOCK     98956P102    1717      20232    SHARES                         X        1      19282     0    950
ZIONS BANCORPORATION  COMMON
  COM                 STOCK     989701107    3778      49123    SHARES                X                 1      47426     0   1697
ZIONS BANCORPORATION  COMMON
  COM                 STOCK     989701107     324       4210    SHARES                         X        1       3285     0    925
ZYGO CORP COM         COMMON
                      STOCK     989855101     106       7430    SHARES                X                 1       6800     0    630
3M COMPANY            COMMON
                      STOCK     88579Y101    9602     110635    SHARES                X                 2     110635     0      0
ABBOTT LABORATORIES   COMMON
                      STOCK     002824100    1122      20950    SHARES                X                 2      20950     0      0
ABIGAIL ADAMS         COMMON
  NATIONAL BANCORP    STOCK     003390101       2        137    SHARES                X                 2        137     0      0
ACTUANT CORP CL A NEW COMMON
                      STOCK     00508X203     158       2500    SHARES                X                 2       2500     0      0
ACUITY BRANDS INC     COMMON
                      STOCK     00508Y102      12        200    SHARES                X                 2        200     0      0
ADOBE SYSTEMS         COMMON
  INCORPORATED        STOCK     00724F101    1819      45318    SHARES                X                 2      45318     0      0
ADVANTAGE ENERGY      COMMON
  INCOME FUND         STOCK     00762L101      49       3500    SHARES                X                 2       3500     0      0
AES CORPORATION       COMMON
                      STOCK     00130H105   17827     814729    SHARES                X                 2     814729     0      0
AES TRUST III 6.75%   CONV PFD
  CV PREFERRED        STOCK     00808N202    4420      88200    SHARES                X                 2      88200     0      0
AETNA INC NEW COM     COMMON
                      STOCK     00817Y108      48        980    SHARES                X                 2        980     0      0
AFLAC INCORPORATED    COMMON
                      STOCK     001055102    4056      78900    SHARES                X                 2      78900     0      0
AGILENT TECHNOLOGIES  COMMON
  INC COM             STOCK     00846U101      88       2288    SHARES                X                 2       2288     0      0
ALCON INC             COMMON
                      STOCK     H01301102     162       1200    SHARES                X                 2       1200     0      0
ALLIANCE FINANCIAL    COMMON
  CORP                STOCK     019205103      80       3027    SHARES                X                 2       3027     0      0
ALLIANCE HOLDINGS GP  COMMON
  LP                  STOCK     01861G100      48       1600    SHARES                X                 2       1600     0      0
ALLIANCEBERNSTEIN     COMMON
  HOLDING LP          STOCK     01881G106    2025      23250    SHARES                X                 2      23250     0      0



                                   26 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
ALLIANT TECHSYSTEMS   COMMON
  INC                 STOCK    018804104      67        675    SHARES                X                 2        675   0      0
ALLIED CAPITAL        COMMON
  CORPORATION         STOCK    01903Q108    2198      70997    SHARES                X                 2      70997   0      0
ALLSTATE CORPORATION  COMMON
                      STOCK    020002101    3435      55852    SHARES                X                 2      55852   0      0
ALLTEL CORPORATION    COMMON
                      STOCK    020039103    4629      68524    SHARES                X                 2      68524   0      0
ALNYLAM               COMMON
  PHARMACEUTICALS INC STOCK    02043Q107      53       3500    SHARES                X                 2       3500   0      0
ALTRIA GROUP INC      COMMON
                      STOCK    02209S103    1620      23100    SHARES                X                 2      23100   0      0
AMBAC FINANCIAL       COMMON
  GROUP INC           STOCK    023139108      52        600    SHARES                X                 2        600   0      0
AMERICA MOVIL         COMMON
  SA--SPONS ADR SER L STOCK    02364W105     124       2000    SHARES                X                 2       2000   0      0
AMERICAN CAPITAL      COMMON
  STRATEGIES LTD      STOCK    024937104    9559     224800    SHARES                X                 2     224800   0      0
AMERICAN ELECTRIC     COMMON
  POWER CO INC        STOCK    025537101      23        500    SHARES                X                 2        500   0      0
AMERICAN ELECTRIC     COMMON
  TECHNOLOGIES INC    STOCK    025576109       1        160    SHARES                X                 2        160   0      0
AMERICAN EXPRESS      COMMON
  COMPANY             STOCK    025816109    2715      44379    SHARES                X                 2      44379   0      0
AMERICAN FINANCIAL    COMMON
  REALTY              STOCK    02607P305    4700     455450    SHARES                X                 2     455450   0      0
AMERICAN
  INTERNATIONAL       COMMON
  GROUP INC           STOCK    026874107   21253     303481    SHARES                X                 2     303481   0      0
AMERIPRISE FINANCIAL  COMMON
  INC                 STOCK    03076C106     158       2490    SHARES                X                 2       2490   0      0
AMERON INTERNATIONAL  COMMON
  CORP                STOCK    030710107      72        800    SHARES                X                 2        800   0      0
AMGEN INCORPORATED    COMMON
                      STOCK    031162100    1991      36013    SHARES                X                 2      36013   0      0
ANADARKO PETROLEUM    COMMON
  CORPORATION         STOCK    032511107     310       5954    SHARES                X                 2       5954   0      0
ANALOG DEVICES INC    COMMON
                      STOCK    032654105     790      21000    SHARES                X                 2      21000   0      0
ANHEUSER BUSCH COS    COMMON
  INC COM             STOCK    035229103     956      18322    SHARES                X                 2      18322   0      0
ANNALY CAPITAL
  MANAGEMENT INC      COMMON
  (REIT)              STOCK    035710409     108       7500    SHARES                X                 2       7500   0      0
APACHE CORP COM       COMMON
                      STOCK    037411105     471       5774    SHARES                X                 2       5774   0      0
APARTMENT INVT &      COMMON
  MGMT CL A           STOCK    03748R101     151       3000    SHARES                X                 2       3000   0      0
APPLE COMPUTER        COMMON
  INCORPORATED        STOCK    037833100   16916     138610    SHARES                X                 2     138610   0      0
APPLIED MATERIALS     COMMON
  INCORPORATED        STOCK    038222105    1779      89575    SHARES                X                 2      89575   0      0
ARCHER DANIELS        COMMON
  MIDLAND CO COM      STOCK    039483102     103       3102    SHARES                X                 2       3102   0      0
ARCHSTONE-SMITH TRUST COMMON
                      STOCK    039583109    2124      35939    SHARES                X                 2      35939   0      0
ARLINGTON TANKERS LTD COMMON
                      STOCK    G04899103    4128     143949    SHARES                X                 2     143949   0      0
ASPECT MEDICAL
  SYSTEMS             COMMON
  INCORPORATED        STOCK    045235108      30       2000    SHARES                X                 2       2000   0      0
AT&T INC              COMMON
                      STOCK    00206R102   16217     390769    SHARES                X                 2     390769   0      0
ATLAS PIPELINE        COMMON
  HOLDINGS LP         STOCK    04939R108      67       1600    SHARES                X                 2       1600   0      0
ATMOS ENERGY CORP     COMMON
                      STOCK    049560105      14        476    SHARES                X                 2        476   0      0
AUTOMATIC DATA        COMMON
  PROCESSING INC      STOCK    053015103    2530      52198    SHARES                X                 2      52198   0      0
BAKER HUGHES          COMMON
  INCORPORATED        STOCK    057224107    1123      13350    SHARES                X                 2      13350   0      0
BANK NEW YORK         COMMON
  INCORPORATED        STOCK    064057102    4097      98880    SHARES                X                 2      98880   0      0
BANK OF AMERICA       COMMON
  CORPORATION         STOCK    060505104   19651     401952    SHARES                X                 2     401952   0      0
BASIN WATER INC       COMMON
                      STOCK    07011T306     174      20000    SHARES                X                 2      20000   0      0
BAYTEX ENERGY         COMMON
  TRUST--UNITS        STOCK    073176109      44       2200    SHARES                X                 2       2200   0      0
BB & T CORPORATION    COMMON
                      STOCK    054937107    2733      67196    SHARES                X                 2      67196   0      0
BECKMAN COULTER INC   COMMON
                      STOCK    075811109    1035      16000    SHARES                X                 2      16000   0      0
BED BATH & BEYOND     COMMON
  INC COM             STOCK    075896100      43       1200    SHARES                X                 2       1200   0      0
BERKSHIRE HATHAWAY    COMMON
  INC CLASS A         STOCK    084670108    1095         10    SHARES                X                 2         10   0      0
BERKSHIRE HATHAWAY    COMMON
  INC CLASS B         STOCK    084670207     469        130    SHARES                X                 2        130   0      0
BIOGEN IDEC INC       COMMON
                      STOCK    09062X103     997      18630    SHARES                X                 2      18630   0      0
BJ'S WHOLESALE CLUB   COMMON
  INC COM             STOCK    05548J106      14        400    SHARES                X                 2        400   0      0
BLACKROCK MARYLAND    COMMON
  MUNI BD TR          STOCK    09249L105      53       3000    SHARES                X                 2       3000   0      0
BLACKROCK MUNI        COMMON
  INTERM DURATION FD  STOCK    09253X102       6        450    SHARES                X                 2        450   0      0
BOARDWALK PIPELINE    COMMON
  PARTNERS LP         STOCK    096627104      35       1000    SHARES                X                 2       1000   0      0
BOEING CO COM         COMMON
                      STOCK    097023105      96       1000    SHARES                X                 2       1000   0      0
BOSTON PROPERTIES     COMMON
  INCORPORATED        STOCK    101121101      94       2600    SHARES                X                 2       2600   0      0
BOSTON SCIENTIFIC     COMMON
  CORPORATION         STOCK    101137107      86       3800    SHARES                X                 2       3800   0      0
BP PLC SPONSORED ADR  COMMON
                      STOCK    055622104    1295      17952    SHARES                X                 2      17952   0      0
BRANDYWINE REALTY     COMMON
  TRUST (REIT)        STOCK    105368203      83       2900    SHARES                X                 2       2900   0      0
BRIGHT HORIZONS
  FAMILY SOLUTIONS    COMMON
  INC                 STOCK    109195107     800      20750    SHARES                X                 2      20750   0      0
BRISTOL MYERS SQUIBB  COMMON
  COMPANY             STOCK    110122108    1609      51754    SHARES                X                 2      51754   0      0
BROADRIDGE FINANCIAL  COMMON
  SOLUTIONS LLC       STOCK    11133T103      44       2325    SHARES                X                 2       2325   0      0
BROWN-FORMAN CORP CL  COMMON
  B                   STOCK    115637209     395       5400    SHARES                X                 2       5400   0      0
BUCKEYE PARTNERS      COMMON
  LIMITED PARTNERSHIP STOCK    118230101     108       2102    SHARES                X                 2       2102   0      0
BUNGE LIMITED         COMMON
                      STOCK    G16962105     597       7065    SHARES                X                 2       7065   0      0
BURLINGTON NORTHERN   COMMON
  SANTA FE CORP       STOCK    12189T104      13        150    SHARES                X                 2        150   0      0
CAMDEN PROPERTY       COMMON
  TRUST (REIT)        STOCK    133131102      33        500    SHARES                X                 2        500   0      0
CANETIC RESOURCES     COMMON
  TRUST               STOCK    137513107      50       3100    SHARES                X                 2       3100   0      0
CANON INC SPONS ADR   COMMON
                      STOCK    138006309      12        202    SHARES                X                 2        202   0      0
CAPITAL ONE
  FINANCIAL           COMMON
  CORPORATION         STOCK    14040H105   13363     170361    SHARES                X                 2     170361   0      0
CAPITALSOURCE INC     COMMON
                      STOCK    14055X102   10573     429950    SHARES                X                 2     429950   0      0
CARDINAL HEALTH       COMMON
  INCORPORATED        STOCK    14149Y108     424       6000    SHARES                X                 2       6000   0      0
CARMAX INC            COMMON
                      STOCK    143130102     255      10000    SHARES                X                 2      10000   0      0
CATERPILLAR INC       COMMON
                      STOCK    149123101     394       5036    SHARES                X                 2       5036   0      0
CB RICHARD ELLIS      COMMON
  GROUP INC CL A      STOCK    12497T101    2200      60275    SHARES                X                 2      60275   0      0
CBS CORP CL B         COMMON
                      STOCK    124857202      11        331    SHARES                X                 2        331   0      0
CENTRAL VIRGINIA      COMMON
  BANKSHARES INC      STOCK    155792104       5        231    SHARES                X                 2        231   0      0
CERNER CORP           COMMON
                      STOCK    156782104     333       6000    SHARES                X                 2       6000   0      0
CGI GROUP INC - CL A  COMMON
                      STOCK    39945C109      17       1500    SHARES                X                 2       1500   0      0
CHECK POINT SOFTWARE  COMMON
  TECH COM            STOCK    M22465104     360      15800    SHARES                X                 2      15800   0      0
CHECKFREE CORP COM    COMMON
                      STOCK    162813109      20        500    SHARES                X                 2        500   0      0
CHENIERE ENERGY INC   COMMON
                      STOCK    16411R208    1076      27749    SHARES                X                 2      27749   0      0
CHEVRONTEXACO         COMMON
  CORPORATION         STOCK    166764100    4358      52216    SHARES                X                 2      52216   0      0
CHICAGO BRIDGE &      COMMON
  IRON CO N V COM     STOCK    167250109     340       9000    SHARES                X                 2       9000   0      0



                                   27 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
CHOICE HOTELS         COMMON
  INTERNATIONAL INC   STOCK    169905106      40       1000    SHARES                X                 2       1000   0      0
CHUBB CORP            COMMON
                      STOCK    171232101    5533     102198    SHARES                X                 2     102198   0      0
CINCINNATI FINANCIAL  COMMON
  CORPORATION         STOCK    172062101     239       5511    SHARES                X                 2       5511   0      0
CIPHERGEN BIOSYSTEMS  COMMON
  INCORPORATED        STOCK    17252Y104       0        130    SHARES                X                 2        130   0      0
CISCO SYSTEMS         COMMON
  INCORPORATED        STOCK    17275R102    9594     344503    SHARES                X                 2     344503   0      0
CITADEL BROADCASTING  COMMON
  COMPANY             STOCK    17285T106      13       2012    SHARES                X                 2       2012   0      0
CITIGROUP             COMMON
  INCORPORATED        STOCK    172967101   12278     240329    SHARES                X                 2     240329   0      0
CITIZENS              COMMON
  COMMUNICATIONS CO   STOCK    17453B101      49       3200    SHARES                X                 2       3200   0      0
CITY NATIONAL CORP    COMMON
  COM                 STOCK    178566105      19        250    SHARES                X                 2        250   0      0
CLOROX COMPANY        COMMON
                      STOCK    189054109     435       7000    SHARES                X                 2       7000   0      0
COCA COLA CO COM      COMMON
                      STOCK    191216100     377       7203    SHARES                X                 2       7203   0      0
COHEN & STEERS
  ADVANTAGE INC RLTY  COMMON
  FD                  STOCK    19247W102      22       1000    SHARES                X                 2       1000   0      0
COHEN & STEERS        COMMON
  QUALITY INC RLTY FD STOCK    19247L106      21       1025    SHARES                X                 2       1025   0      0
COHEN & STEERS        COMMON
  REIT & PFD INC FD   STOCK    19247X100      22        800    SHARES                X                 2        800   0      0
COHEN & STEERS REIT   COMMON
  AND UTILITY FUND    STOCK    19247Y108      13        600    SHARES                X                 2        600   0      0
COLGATE PALMOLIVE     COMMON
  COMPANY             STOCK    194162103    6200      96500    SHARES                X                 2      96500   0      0
COMCAST CORPORATION   COMMON
  CLASS A NEW         STOCK    20030N101    1639      58294    SHARES                X                 2      58294   0      0
COMCAST CORP-         COMMON
  SPECIAL CL A        STOCK    20030N200     681      24350    SHARES                X                 2      24350   0      0
COMMERCE BANCORP INC  COMMON
  N J                 STOCK    200519106     481      13000    SHARES                X                 2      13000   0      0
COMPANHIA VALE DO     COMMON
  RIO DOCE-ADR        STOCK    204412209      22        500    SHARES                X                 2        500   0      0
COMPTON PETROLEUM     COMMON
  CORP                STOCK    204940100      37       3700    SHARES                X                 2       3700   0      0
COMSTOCK
  HOMEBUILDING COS    COMMON
  INC CL A            STOCK    205684103      10       3500    SHARES                X                 2       3500   0      0
CONOCOPHILLIPS        COMMON
                      STOCK    20825C104     800      10196    SHARES                X                 2      10196   0      0
CONSTELLATION BRANDS  COMMON
  INC CLASS A         STOCK    21036P108    2973     122446    SHARES                X                 2     122446   0      0
CORNING INCORPORATED  COMMON
                      STOCK    219350105    1180      43555    SHARES                X                 2      43555   0      0
CORP OFFICE
  PROPERTIES TR       COMMON
  (REIT)              STOCK    22002T108      49       1200    SHARES                X                 2       1200   0      0
COSTCO WHOLESALE      COMMON
  CORP COM            STOCK    22160K105     275       4700    SHARES                X                 2       4700   0      0
COVENTRY HEALTH CARE  COMMON
  INCORPORATED        STOCK    222862104    3455      59300    SHARES                X                 2      59300   0      0
CROSSTEX ENERGY LP    COMMON
                      STOCK    22765U102      42       1200    SHARES                X                 2       1200   0      0
CSX CORP              COMMON
                      STOCK    126408103      23        512    SHARES                X                 2        512   0      0
CUISINE SOLUTIONS INC COMMON
                      STOCK    229904107     154      25500    SHARES                X                 2      25500   0      0
CURTISS WRIGHT CORP   COMMON
                      STOCK    231561101      34        728    SHARES                X                 2        728   0      0
CVS /CAREMARK CORP    COMMON
                      STOCK    126650100     452      12400    SHARES                X                 2      12400   0      0
CYMER INC             COMMON
                      STOCK    232572107      12        300    SHARES                X                 2        300   0      0
DAIMLERCHRYSLER AG    COMMON
                      STOCK    D1668R123      11        124    SHARES                X                 2        124   0      0
DANAHER CORPORATION   COMMON
                      STOCK    235851102    3368      47461    SHARES                X                 2      47461   0      0
DCP MIDSTREAM         COMMON
  PARTNERS LP         STOCK    23311P100      47       1000    SHARES                X                 2       1000   0      0
DELL INC              COMMON
                      STOCK    24702R101      31       1100    SHARES                X                 2       1100   0      0
DEVON ENERGY CORP     COMMON
                      STOCK    25179M103      78       1000    SHARES                X                 2       1000   0      0
DIAMONDS TR UNIT SER  COMMON
  1                   STOCK    252787106     253       1884    SHARES                X                 2       1884   0      0
DIONEX CORP           COMMON
                      STOCK    254546104    1090      15350    SHARES                X                 2      15350   0      0
DISNEY WALT CO        COMMON
                      STOCK    254687106     867      25400    SHARES                X                 2      25400   0      0
DOMINION RESOURCES    COMMON
  INC                 STOCK    25746U109     354       4100    SHARES                X                 2       4100   0      0
DONNELLEY R R & SONS  COMMON
  CO                  STOCK    257867101     186       4280    SHARES                X                 2       4280   0      0
DOW CHEMICAL COMPANY  COMMON
                      STOCK    260543103    3458      82600    SHARES                X                 2      82600   0      0
DRS TECHNOLOGIES      COMMON
  INCORPORATED        STOCK    23330X100    1622      28325    SHARES                X                 2      28325   0      0
DU PONT E I DE        COMMON
  NEMOURS & COMPANY   STOCK    263534109    1157      23300    SHARES                X                 2      23300   0      0
DUKE REALTY CORP      COMMON
                      STOCK    264411505     330       9247    SHARES                X                 2       9247   0      0
DYADIC INTERNATIONAL  COMMON
  INC                 STOCK    26745T101     111      21000    SHARES                X                 2      21000   0      0
E M C CORPORATION     COMMON
  MASSACHUSETTS       STOCK    268648102    6593     344262    SHARES                X                 2     344262   0      0
EAGLE BANCORP INC MD  COMMON
                      STOCK    268948106    1338      80981    SHARES                X                 2      80981   0      0
EAST WEST BANCORP INC COMMON
                      STOCK    27579R104     389      10000    SHARES                X                 2      10000   0      0
EASTGROUP PROPERTIES  COMMON
  INCORPORATED        STOCK    277276101    3061      73450    SHARES                X                 2      73450   0      0
EBAY INC COM          COMMON
                      STOCK    278642103     277       8600    SHARES                X                 2       8600   0      0
EL PASO CORP COM      COMMON
                      STOCK    28336L109     258      15000    SHARES                X                 2      15000   0      0
EMERSON ELECTRIC      COMMON
  COMPANY             STOCK    291011104    4063      70095    SHARES                X                 2      70095   0      0
ENCANA CORP           COMMON
                      STOCK    292505104      61       1000    SHARES                X                 2       1000   0      0
ENERGY EAST CORP COM  COMMON
                      STOCK    29266M109     157       6000    SHARES                X                 2       6000   0      0
ENERGY SELECT SECTOR  COMMON
  SPDR FD             STOCK    81369Y506      34        500    SHARES                X                 2        500   0      0
ENERGY TRANSFER       COMMON
  EQUITY LP           STOCK    29273V100      47       1100    SHARES                X                 2       1100   0      0
ENERGY TRANSFER       COMMON
  PARTNERS LP         STOCK    29273R109     105       1700    SHARES                X                 2       1700   0      0
ENERPLUS RESOURCES    COMMON
  FUND                STOCK    29274D604      47       1000    SHARES                X                 2       1000   0      0
ENI SPA-SPONS ADR     COMMON
                      STOCK    26874R108      15        212    SHARES                X                 2        212   0      0
ENTERPRISE GP         COMMON
  HOLDINGS LP         STOCK    293716106      38       1000    SHARES                X                 2       1000   0      0
ENTERPRISE PRODUCTS   COMMON
  PARTNERS L.P.       STOCK    293792107    2493     465800    SHARES                X                 2     465800   0      0
EP MEDSYSTEMS INC COM COMMON
                      STOCK    26881P103      46      25000    SHARES                X                 2      25000   0      0
EQUITY RESIDENTIAL    COMMON
  (REIT)              STOCK    29476L107      15        325    SHARES                X                 2        325   0      0
EV ENERGY PARTNER LP  COMMON
                      STOCK    26926V107      44       1200    SHARES                X                 2       1200   0      0
EXPEDITORS INTL WASH  COMMON
  INC COM             STOCK    302130109     103       2500    SHARES                X                 2       2500   0      0
EXXON MOBIL           COMMON
  CORPORATION         STOCK    30231G102    5980      71300    SHARES                X                 2      71300   0      0
FASTENAL CO           COMMON
                      STOCK    311900104     670      16000    SHARES                X                 2      16000   0      0
FED NATL MTG ASSN COM COMMON
                      STOCK    313586109    1274      19500    SHARES                X                 2      19500   0      0
FEDERAL REALTY INV    COMMON
  TR (REIT)           STOCK    313747206     442       5719    SHARES                X                 2       5719   0      0
FEDEX CORP COM        COMMON
                      STOCK    31428X106     227       2050    SHARES                X                 2       2050   0      0
FIDELITY NATIONAL     COMMON
  FINANCIAL--A        STOCK    31620R105      34       1441    SHARES                X                 2       1441   0      0
FIFTH THIRD BANCORP   COMMON
  COM                 STOCK    316773100    3034      76281    SHARES                X                 2      76281   0      0
FIRST DATA            COMMON
  CORPORATION         STOCK    319963104     215      15043    SHARES                X                 2      15043   0      0
FIRST MARBLEHEAD CORP COMMON
                      STOCK    320771108    2322      60250    SHARES                X                 2      60250   0      0



                                   28 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
FIRSTENERGY CORP COM  COMMON
                      STOCK    337932107      78       1200    SHARES                X                 2       1200   0      0
FISERV INCORPORATED   COMMON
                      STOCK    337738108    3581      65531    SHARES                X                 2      65531   0      0
FLANDERS CORPORATION  COMMON
                      STOCK    338494107    1764     226900    SHARES                X                 2     226900   0      0
FLORIDA EAST COAST    COMMON
  INDUSTRIES          STOCK    340632108      50        600    SHARES                X                 2        600   0      0
FLOWERS FOODS INC COM COMMON
                      STOCK    343498101     158       4724    SHARES                X                 2       4724   0      0
FORD MOTOR COMPANY    COMMON
                      STOCK    345370860       0         40    SHARES                X                 2         40   0      0
FOREST CITY           COMMON
  ENTERPRISES INC     STOCK    345550107      61       1000    SHARES                X                 2       1000   0      0
FORTUNE BRANDS INC    COMMON
                      STOCK    349631101      21        250    SHARES                X                 2        250   0      0
FREDDIE MAC--FHLM     COMMON
                      STOCK    313400301    9889     167082    SHARES                X                 2     167082   0      0
GANNETT CO INC        COMMON
                      STOCK    364730101     293       5332    SHARES                X                 2       5332   0      0
GAP INC COM           COMMON
                      STOCK    364760108     103       5400    SHARES                X                 2       5400   0      0
GARMIN LIMITED ORD    COMMON
                      STOCK    G37260109     222       3000    SHARES                X                 2       3000   0      0
GENERAL AMERICAN      COMMON
  INVESTORS CO        STOCK    368802104     557      17500    SHARES                X                 2      17500   0      0
GENERAL
  COMMUNICATIONS INC  COMMON
  CLASS A             STOCK    369385109       3        200    SHARES                X                 2        200   0      0
GENERAL DYNAMICS      COMMON
  CORP COM            STOCK    369550108      16        200    SHARES                X                 2        200   0      0
GENERAL ELECTRIC      COMMON
  COMPANY             STOCK    369604103   17400     454431    SHARES                X                 2     454431   0      0
GENERAL GROWTH PPTYS  COMMON
  INC                 STOCK    370021107      29        550    SHARES                X                 2        550   0      0
GENERAL MILLS INC     COMMON
                      STOCK    370334104     117       2000    SHARES                X                 2       2000   0      0
GENESIS ENERGY LP     COMMON
                      STOCK    371927104      70       2000    SHARES                X                 2       2000   0      0
GENUINE PARTS COMPANY COMMON
                      STOCK    372460105    1070       8201    SHARES                X                 2       8201   0      0
GENZYME CORP COM      COMMON
                      STOCK    372917104     344       5344    SHARES                X                 2       5344   0      0
GLADSTONE CAPITAL     COMMON
  CORP                STOCK    376535100    5476     257000    SHARES                X                 2     257000   0      0
GLADSTONE COMMERCIAL  COMMON
  CORP                STOCK    376536108    3418     174406    SHARES                X                 2     174406   0      0
GLAXOSMITHKLINE PLC   COMMON
  ADR                 STOCK    37733W105     250       4782    SHARES                X                 2       4782   0      0
GLOBALSANTAFE CORP    COMMON
                      STOCK    G3930E101      43        600    SHARES                X                 2        600   0      0
GOLDMAN SACHS GROUP   COMMON
  INC COM             STOCK    38141G104     228       1050    SHARES                X                 2       1050   0      0
GOOGLE INC CL A       COMMON
                      STOCK    38259P508   12599      24104    SHARES                X                 2      24104   0      0
GRACO INC COM         COMMON
                      STOCK    384109104     161       4000    SHARES                X                 2       4000   0      0
GREENBRIER COMPANIES  COMMON
  INC                 STOCK    393657101     592      19600    SHARES                X                 2      19600   0      0
GREENBRIER COS CONV   CONV
  2.375% 5/15/26      PFD
                      STOCK    393657AD3     443     500000    SHARES                X                 2     500000   0      0
HARTFORD FINANCIAL    COMMON
  SVCS GRP INC COM    STOCK    416515104     142       1440    SHARES                X                 2       1440   0      0
HARVEST ENERGY        COMMON
  TRUST-UNITS         STOCK    41752X101      56       1800    SHARES                X                 2       1800   0      0
HEALTH CARE PROPERTY  COMMON
  (REIT)              STOCK    421915109     183       6316    SHARES                X                 2       6316   0      0
HEALTH CARE REIT INC  COMMON
                      STOCK    42217K106     182       4500    SHARES                X                 2       4500   0      0
HEALTHCARE REALTY     COMMON
  TRUST INC (REIT)    STOCK    421946104     183       6600    SHARES                X                 2       6600   0      0
HEALTHEXTRAS          COMMON
  INCORPORATED        STOCK    422211102      74       2500    SHARES                X                 2       2500   0      0
HEALTHWAYS INC        COMMON
                      STOCK    422245100      86       1820    SHARES                X                 2       1820   0      0
HEARTLAND PAYMENT     COMMON
  SYSTEMS INC         STOCK    42235N108     109       3700    SHARES                X                 2       3700   0      0
HEINZ H J COMPANY     COMMON
                      STOCK    423074103     549      14080    SHARES                X                 2      14080   0      0
HEWLETT PACKARD       COMMON
  COMPANY             STOCK    428236103    3850     109904    SHARES                X                 2     109904   0      0
HILAND HOLDINGS GP LP COMMON
                      STOCK    43129M107      97       2700    SHARES                X                 2       2700   0      0
HILAND PARTNERS LP    COMMON
                      STOCK    431291103      38        700    SHARES                X                 2        700   0      0
HILB ROGAL & HOBBS CO COMMON
                      STOCK    431294107     110       2576    SHARES                X                 2       2576   0      0
HOME DEPOT            COMMON
  INCORPORATED        STOCK    437076102    3394     160800    SHARES                X                 2     160800   0      0
HOME PROPERTIES OF    COMMON
  NEW YORK INC        STOCK    437306103    5934     114329    SHARES                X                 2     114329   0      0
HONEYWELL
  INTERNATIONAL       COMMON
  INCORPORATED        STOCK    438516106    1445     328559    SHARES                X                 2     328559   0      0
HOST HOTELS &         COMMON
  RESORTS INC         STOCK    44107P104     300      12978    SHARES                X                 2      12978   0      0
HOUSTON WIRE & CABLE  COMMON
  CO                  STOCK    44244K109     114       4000    SHARES                X                 2       4000   0      0
HUMAN GENOME          COMMON
  SCIENCES INC        STOCK    444903108      16       1840    SHARES                X                 2       1840   0      0
IDEXX CORP            COMMON
                      STOCK    45168D104     189       2000    SHARES                X                 2       2000   0      0
ILLINOIS TOOL WORKS   COMMON
  INCORPORATED        STOCK    452308109    1417      30230    SHARES                X                 2      30230   0      0
IMAGEWARE SYSTEMS INC COMMON
                      STOCK    45245S108      44      20000    SHARES                X                 2      20000   0      0
IMPERIAL OIL LTD      COMMON
                      STOCK    453038408     139       3000    SHARES                X                 2       3000   0      0
INERGY HOLDINGS LP    COMMON
                      STOCK    45661Q107      46        900    SHARES                X                 2        900   0      0
ING GROEP NV          COMMON
  SPONSORED ADR       STOCK    456837103      23        525    SHARES                X                 2        525   0      0
INGERSOLL RAND        COMMON
  COMPANY CLASS A     STOCK    G4776G101    9605     175210    SHARES                X                 2     175210   0      0
INSURED MUNICIPAL     COMMON
  INCOME FD           STOCK    45809F104      39       2964    SHARES                X                 2       2964   0      0
INTEL CORPORATION     COMMON
                      STOCK    458140100     341      13990    SHARES                X                 2      13990   0      0
INTERACTIVE           COMMON
  INTELLIGENCE INC    STOCK    45839M103       4        200    SHARES                X                 2        200   0      0
INTERDIGITAL          COMMON
  COMMUNICATIONS CORP STOCK    45866A105    3714     115450    SHARES                X                 2     115450   0      0
INTERNATIONAL
  BUSINESS MACHINES   COMMON
  CORP                STOCK    459200101   11702     113153    SHARES                X                 2     113153   0      0
INVESTORS FINANCIAL   COMMON
  SERVICES CORP       STOCK    461915100     527       8527    SHARES                X                 2       8527   0      0
IOWA
  TELECOMMUNICATIONS  COMMON
  SERVICES            STOCK    462594201      49       2150    SHARES                X                 2       2150   0      0
IRON MTN INC PA COM   COMMON
                      STOCK    462846106     196       7500    SHARES                X                 2       7500   0      0
ISHARES DJ US HOME    COMMON
  CONSTRUCT FD        STOCK    464288752     962     125473    SHARES                X                 2     125473   0      0
ISHARES FTSE/XINHUA   COMMON
  CHINA 25            STOCK    464287184     799       6200    SHARES                X                 2       6200   0      0
ISHARES MSCI
  AUSTRALIA INDEX     COMMON
  FUND                STOCK    464286103      21        750    SHARES                X                 2        750   0      0
ISHARES MSCI AUSTRIA  COMMON
  INDEX FUND          STOCK    464286202      20        500    SHARES                X                 2        500   0      0
ISHARES MSCI BELGIUM  COMMON
  INDEX FUND          STOCK    464286301      19        700    SHARES                X                 2        700   0      0
ISHARES MSCI BRAZIL   COMMON
  INDEX FUND          STOCK    464286400      24        383    SHARES                X                 2        383   0      0
ISHARES MSCI CANADA   COMMON
  INDEX FD            STOCK    464286509      45       1500    SHARES                X                 2       1500   0      0
ISHARES MSCI EAFE     COMMON
  INDEX FD            STOCK    464287465    2690      33310    SHARES                X                 2      33310   0      0
ISHARES MSCI
  EMERGING MARKETS    COMMON
  INDEX               STOCK    464287234      26        200    SHARES                X                 2        200   0      0
ISHARES MSCI GERMANY  COMMON
  INDEX FD            STOCK    464286806      22        650    SHARES                X                 2        650   0      0
ISHARES MSCI          COMMON
  MALAYSIA INDEX FD   STOCK    464286830      20       1700    SHARES                X                 2       1700   0      0
ISHARES MSCI MEXICO   COMMON
  INDEX FUND          STOCK    464286822      22        350    SHARES                X                 2        350   0      0
ISHARES MSCI PACIFIC  COMMON
  EX-JAPAN INDEX      STOCK    464286665     366       2500    SHARES                X                 2       2500   0      0
ISHARES MSCI          COMMON
  SINGAPORE INDEX FD  STOCK    464286673      20       1500    SHARES                X                 2       1500   0      0



                                   29 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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 MSCI SPAIN    COMMON
  INDEX FD            STOCK    464286764      64       1100    SHARES                X                 2       1100   0      0
ISHARES MSCI SWEDEN   COMMON
  INDEX FUND          STOCK    464286756      20        550    SHARES                X                 2        550   0      0
ISHARES RUSSELL MID   COMMON
  CAP GROWTH INDEX    STOCK    464287481     136       1190    SHARES                X                 2       1190   0      0
ISHARES S&P 100       COMMON
  INDEX FUND          STOCK    464287101     144       2080    SHARES                X                 2       2080   0      0
ISHARES S&P EUROPE    COMMON
  350 INDEX FD        STOCK    464287861      29        250    SHARES                X                 2        250   0      0
ISHARES S&P GLOBAL    COMMON
  ENERGY SECT         STOCK    464287341      65        500    SHARES                X                 2        500   0      0
ISHARES S&P MIDCAP    COMMON
  400 BARRA GRWTH I   STOCK    464287606     699       7750    SHARES                X                 2       7750   0      0
ISHARES S&P MIDCAP    COMMON
  400/BARRA VAL IND   STOCK    464287705     415       4788    SHARES                X                 2       4788   0      0
ISHARES S&P SMALLCAP  COMMON
  600 INDEX FD        STOCK    464287804      31        440    SHARES                X                 2        440   0      0
ISHARES S&P TOPIX     COMMON
  150 INDEX           STOCK    464287382      19        150    SHARES                X                 2        150   0      0
ISHARES TRUST DOW     COMMON
  JONES               STOCK    464287721    3997      80670    SHARES                X                 2      80670   0      0
ISTAR                 COMMON
                      STOCK    45031U101    8473     191145    SHARES                X                 2     191145   0      0
ITT CORP              COMMON
                      STOCK    450911102      57        840    SHARES                X                 2        840   0      0
JDS UNIPHASE          COMMON
  CORPORATION         STOCK    46612J507     262      19536    SHARES                X                 2      19536   0      0
JER INVESTORS TRUST   COMMON
  INC REIT            STOCK    46614H301    3717     247800    SHARES                X                 2     247800   0      0
JETBLUE AIRWAYS       COMMON
  CORPORATION         STOCK    477143101      10        843    SHARES                X                 2        843   0      0
JOHN HANCOCK BANK &   COMMON
  THRIFT OPP FD       STOCK    409735107      15       1616    SHARES                X                 2       1616   0      0
JOHNSON & JOHNSON     COMMON
                      STOCK    478160104    5187      84057    SHARES                X                 2      84057   0      0
JP MORGAN CHASE &     COMMON
  COMPANY             STOCK    46625H100   16236     335118    SHARES                X                 2     335118   0      0
KELLOGG CO COM        COMMON
                      STOCK    487836108      41        800    SHARES                X                 2        800   0      0
KEYCORP-NEW           COMMON
                      STOCK    493267108     712      28938    SHARES                X                 2      28938   0      0
KIMBERLY CLARK CORP   COMMON
                      STOCK    494368103     422       6316    SHARES                X                 2       6316   0      0
KIMCO REALTY CORP     COMMON
  (REIT)              STOCK    49446R109     145       3800    SHARES                X                 2       3800   0      0
KINDER MORGAN ENERGY  COMMON
  PARTNERS L P        STOCK    494550106    5551     103400    SHARES                X                 2     103400   0      0
KINDER MORGAN MGMT    COMMON
  LLC                 STOCK    49455U100    4936      95106    SHARES                X                 2      95106   0      0
KING PHARMACEUTICALS  COMMON
  INC COM             STOCK    495582108      22       1066    SHARES                X                 2       1066   0      0
KKR FINANCIAL         COMMON
  HOLDINGS LLC        STOCK    48248A306    8917     357950    SHARES                X                 2     357950   0      0
KNOLOGY INC           COMMON
                      STOCK    499183804     445      25642    SHARES                X                 2      25642   0      0
KONINKLIJKE PHILIPS   COMMON
  ELEC N V NY SHR     STOCK    500472303      42       1000    SHARES                X                 2       1000   0      0
KRAFT FOODS INC CL A  COMMON
                      STOCK    50075N104     351       9957    SHARES                X                 2       9957   0      0
LABORATORY
  CORPORATION OF      COMMON
  AMER HLDGS          STOCK    50540R409   13383     171005    SHARES                X                 2     171005   0      0
LASERCARD CORP        COMMON
                      STOCK    51807U101       5        500    SHARES                X                 2        500   0      0
LEHMAN BROTHERS       COMMON
  HLDGS INC COM       STOCK    524908100      15        200    SHARES                X                 2        200   0      0
LEVEL 3
  COMMUNICATIONS      COMMON
  INCORPORATED        STOCK    52729N100     228      39000    SHARES                X                 2      39000   0      0
LIBERTY MEDIA HLDG    COMMON
  CORP--CAP SER A     STOCK    53071M302      17        145    SHARES                X                 2        145   0      0
LIBERTY MEDIA HLDG    COMMON
  CORP-- INTERACT A   STOCK    53071M104      16        725    SHARES                X                 2        725   0      0
LIBERTY PROPERTY      COMMON
  TRUST (REIT)        STOCK    531172104      44       1000    SHARES                X                 2       1000   0      0
LILLY ELI & CO        COMMON
                      STOCK    532457108     507       9079    SHARES                X                 2       9079   0      0
LINCOLN NATIONAL      COMMON
  CORPORATION         STOCK    534187109    2958      40774    SHARES                X                 2      40774   0      0
LOCKHEED MARTIN       COMMON
  CORPORATION COM     STOCK    539830109    1111      11798    SHARES                X                 2      11798   0      0
LOEWS CORP COM        COMMON
                      STOCK    540424108     184       3600    SHARES                X                 2       3600   0      0
LUMINENT MORTGAGE     COMMON
  CAPITAL INC         STOCK    550278303      58       5700    SHARES                X                 2       5700   0      0
M & T BANK CORP       COMMON
                      STOCK    55261F104     321       3000    SHARES                X                 2       3000   0      0
MAGELAN MIDSTREAM     COMMON
  PARTNERS LP         STOCK    559080106    2323      52500    SHARES                X                 2      52500   0      0
MAGELLAN MIDSTREAM    COMMON
  HOLDINGS            STOCK    55907R108      45       1500    SHARES                X                 2       1500   0      0
MAGUIRE PROPERTIES    COMMON
  INC                 STOCK    559775101     137       4000    SHARES                X                 2       4000   0      0
MANOR CARE INC COM    COMMON
                      STOCK    564055101     264       4042    SHARES                X                 2       4042   0      0
MANULIFE FINANCIAL    COMMON
  CORP                STOCK    56501R106     955      25600    SHARES                X                 2      25600   0      0
MARATHON OIL CORP     COMMON
                      STOCK    565849106      40        660    SHARES                X                 2        660   0      0
MARKEL CORP COM       COMMON
                      STOCK    570535104     286        590    SHARES                X                 2        590   0      0
MARKWEST ENERGY       COMMON
  PARTNERS LP         STOCK    570759100      38       1100    SHARES                X                 2       1100   0      0
MARRIOTT INTL INC CL  COMMON
  A                   STOCK    571903202    1389      32120    SHARES                X                 2      32120   0      0
MARSH & MCLENNAN COS  COMMON
  INC COM             STOCK    571748102      31       1000    SHARES                X                 2       1000   0      0
MARTIN MARIETTA       COMMON
  MATERIALS INC       STOCK    573284106      81        500    SHARES                X                 2        500   0      0
MASTERCARD INC CL A   COMMON
                      STOCK    57636Q104      25        150    SHARES                X                 2        150   0      0
MBIA INC COM          COMMON
                      STOCK    55262C100      78       1250    SHARES                X                 2       1250   0      0
MC GRAW HILL          COMMON
  COMPANIES INC       STOCK    580645109     102       1500    SHARES                X                 2       1500   0      0
MCDONALD'S            COMMON
  CORPORATION         STOCK    580135101      15        300    SHARES                X                 2        300   0      0
MEADOW VALLEY         COMMON
  CORPORATION         STOCK    583185103     313      22220    SHARES                X                 2      22220   0      0
MEDCO HEALTH          COMMON
  SOLUTIONS INC       STOCK    58405U102      94       1206    SHARES                X                 2       1206   0      0
MEDICIS
  PHARMACEUTICAL      COMMON
  CORP CL A NEW       STOCK    584690309      24        800    SHARES                X                 2        800   0      0
MEDTRONIC             COMMON
  INCORPORATED        STOCK    585055106   13169     265798    SHARES                X                 2     265798   0      0
MERCK & CO INC COM    COMMON
                      STOCK    589331107     798      16028    SHARES                X                 2      16028   0      0
MERRILL LYNCH &
  COMPANY             COMMON
  INCORPORATED        STOCK    590188108    1853      22200    SHARES                X                 2      22200   0      0
METLIFE CAP TR I      COMMON
                      STOCK    59156R108      23        350    SHARES                X                 2        350   0      0
MICROSOFT CORPORATION COMMON
                      STOCK    594918104     284       8510    SHARES                X                 2       8510   0      0
MICROSTRATEGY INC     COMMON
                      STOCK    594972408     694      15550    SHARES                X                 2      15550   0      0
MID-AMERICA
  APARTMENT           COMMON
  COMMUNITIES         STOCK    59522J103      79       1500    SHARES                X                 2       1500   0      0
MIDCAP SPDR TRUST     COMMON
  SERIES 1 S&P 400    STOCK    595635103     216       1325    SHARES                X                 2       1325   0      0
MILLENNIUM            COMMON
  PHARMACEUTICALS COM STOCK    599902103      11       1072    SHARES                X                 2       1072   0      0
MONOGRAM BIOSCIENCES  COMMON
  INC                 STOCK    60975U108       8       5000    SHARES                X                 2       5000   0      0
MOTOROLA INC          COMMON
                      STOCK    620076109     372      21000    SHARES                X                 2      21000   0      0
MRV COMMUNICATIONS    COMMON
  INC                 STOCK    553477100       2        645    SHARES                X                 2        645   0      0
MURPHY OIL CORP       COMMON
                      STOCK    626717102      48        800    SHARES                X                 2        800   0      0
NATIONAL CITY CORP    COMMON
  COM                 STOCK    635405103     353      10600    SHARES                X                 2      10600   0      0
NATIONWIDE HEALTH     COMMON
  PROPERTIES (REIT)   STOCK    638620104      54       2000    SHARES                X                 2       2000   0      0
NATURAL RESOURCE      COMMON
  PARTNERS L P        STOCK    63900P103     951      25000    SHARES                X                 2      25000   0      0
NEENAH PAPER INC      COMMON
                      STOCK    640079109       0          9    SHARES                X                 2          9   0      0


                                   30 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
NORFOLK SOUTHERN CORP COMMON
                      STOCK    655844108      11        200    SHARES                X                 2        200   0      0
NOVO-NORDISK A/S      COMMON
  SPONS ADR           STOCK    670100205     271       2500    SHARES                X                 2       2500   0      0
NU SKIN ENTERPRISES   COMMON
  INC                 STOCK    67018T105      13        800    SHARES                X                 2        800   0      0
NUSTAR GP HOLDINGS    COMMON
  LLC                 STOCK    67059L102      57       1500    SHARES                X                 2       1500   0      0
NUVEEN INSD MUNI      COMMON
  OPPORTUNITY         STOCK    670984103       7        500    SHARES                X                 2        500   0      0
NUVEEN INSD QUALITY   COMMON
  MUN FD              STOCK    67062N103      11        760    SHARES                X                 2        760   0      0
NUVEEN INSURED PREM   COMMON
  INC MUNI FD II      STOCK    6706D8104      40       3100    SHARES                X                 2       3100   0      0
NUVEEN INVESTMENTS    COMMON
  INC                 STOCK    67090F106     963      15500    SHARES                X                 2      15500   0      0
NUVEEN MARYLAND PREM  COMMON
  INC MUN FD          STOCK    67061Q107      36       2600    SHARES                X                 2       2600   0      0
NUVEEN MD DIV         COMMON
  ADVANTAGE MUN FD 2  STOCK    67070V105      15       1000    SHARES                X                 2       1000   0      0
NUVEEN PREMIER INSD   COMMON
  MUNI INC FD         STOCK    670987106      15       1050    SHARES                X                 2       1050   0      0
NUVEEN SELECT         COMMON
  QUALITY MUN FD      STOCK    670973106       7        450    SHARES                X                 2        450   0      0
NUVEEN VA DVD ADV     COMMON
  MUNI BOND FUND      STOCK    67069M108      10        625    SHARES                X                 2        625   0      0
NUVEEN VA DVD ADV     COMMON
  MUNI FD 2           STOCK    67071C106      10        650    SHARES                X                 2        650   0      0
NYSE EURONEXT         COMMON
                      STOCK    629491101      29        400    SHARES                X                 2        400   0      0
OCCIDENTAL PETROLEUM  COMMON
  CORPORATION         STOCK    674599105     493      10480    SHARES                X                 2      10480   0      0
ONEOK PARTNERS LP     COMMON
                      STOCK    68268N103      41        600    SHARES                X                 2        600   0      0
ORACLE CORPORATION    COMMON
                      STOCK    68389X105    1009      51166    SHARES                X                 2      51166   0      0
O'REILLY AUTOMOTIVE   COMMON
  INC COM             STOCK    686091109     475      13000    SHARES                X                 2      13000   0      0
PACCAR INC            COMMON
                      STOCK    693718108     409       4700    SHARES                X                 2       4700   0      0
PALATIN TECHNOLOGIES  COMMON
  INC                 STOCK    696077304      10       5000    SHARES                X                 2       5000   0      0
PARKWAY PROPERTIES    COMMON
  INCORPORATED        STOCK    70159Q104      72       1500    SHARES                X                 2       1500   0      0
PAYCHEX INC COM       COMMON
                      STOCK    704326107     303       7750    SHARES                X                 2       7750   0      0
PENGROWTH ENERGY      COMMON
  TRUST               STOCK    706902509      44       2300    SHARES                X                 2       2300   0      0
PENN ESTATE INV TR    COMMON
  (REIT)              STOCK    709102107      49       1100    SHARES                X                 2       1100   0      0
PENN VIRGINIA GP      COMMON
  HOLDINGS LP         STOCK    70788P105      53       1700    SHARES                X                 2       1700   0      0
PENNEY JC CO INC      COMMON
                      STOCK    708160106      72       1000    SHARES                X                 2       1000   0      0
PENNWEST ENERGY TRUST COMMON
                      STOCK    707885109      43       1300    SHARES                X                 2       1300   0      0
PEOPLES UNITED        COMMON
  FINANCIAL INC       STOCK    712704105     126       7084    SHARES                X                 2       7084   0      0
PEPCO HOLDINGS INC    COMMON
                      STOCK    713291102     103       3655    SHARES                X                 2       3655   0      0
PEPSICO INCORPORATED  COMMON
                      STOCK    713448108    4180      63009    SHARES                X                 2      63009   0      0
PETROLEO BRASILEIRO   COMMON
  SA ADR              STOCK    71654V101      23        220    SHARES                X                 2        220   0      0
PFIZER INCORPORATED   COMMON
                      STOCK    717081103    5836     224811    SHARES                X                 2     224811   0      0
PHOENIX COS INC COM   COMMON
                      STOCK    71902E109      27       1798    SHARES                X                 2       1798   0      0
PIMCO MUNICIPAL       COMMON
  INCOME FUND         STOCK    72200R107      16       1000    SHARES                X                 2       1000   0      0
PITNEY BOWES INC COM  COMMON
                      STOCK    724479100     117       2500    SHARES                X                 2       2500   0      0
PLAINS ALL AMERICAN   COMMON
  PIPELINE L P        STOCK    726503105    7853     123201    SHARES                X                 2     123201   0      0
PLUM CREEK TIMBER CO  COMMON
  INC                 STOCK    729251108      73       1750    SHARES                X                 2       1750   0      0
PNC FINANCIAL         COMMON
  SERVICES GROUP INC  STOCK    693475105    1098      15344    SHARES                X                 2      15344   0      0
POOL CORP             COMMON
                      STOCK    73278L105     117       3000    SHARES                X                 2       3000   0      0
POWERSHARES QQQ       COMMON
                      STOCK    73935A104     274       5752    SHARES                X                 2       5752   0      0
PRAXAIR INC COM       COMMON
                      STOCK    74005P104     490       6800    SHARES                X                 2       6800   0      0
PRECISION DRILLING    COMMON
  CORP-US$            STOCK    740215108      42       1700    SHARES                X                 2       1700   0      0
PRIMEWEST ENERGY      COMMON
  TRUST               STOCK    741930309      42       2000    SHARES                X                 2       2000   0      0
PROCTER & GAMBLE      COMMON
  CORPORATION         STOCK    742718109   17526     286825    SHARES                X                 2     286825   0      0
PROLOGIS (REIT)       COMMON
                      STOCK    743410102      96       1688    SHARES                X                 2       1688   0      0
PROVIDENT ENERGY      COMMON
  TRUST UNITS         STOCK    74386K104      40       3400    SHARES                X                 2       3400   0      0
PSS WORLD MED INC COM COMMON
                      STOCK    69366A100      91       5000    SHARES                X                 2       5000   0      0
PULTE HOMES INC COM   COMMON
                      STOCK    745867101     112       5000    SHARES                X                 2       5000   0      0
QUALCOMM INC COM      COMMON
                      STOCK    747525103     304       7000    SHARES                X                 2       7000   0      0
QUEST DIAGNOSTICS INC COMMON
                      STOCK    74834L100      93       1800    SHARES                X                 2       1800   0      0
QWEST COMMUNICATIONS  COMMON
  INTERNATIONAL       STOCK    749121109    4471     179732    SHARES                X                 2     179732   0      0
RAINING DATA          COMMON
  CORPORATION         STOCK    75087R108     231      70000    SHARES                X                 2      70000   0      0
RAYONIER INCORPORATED COMMON
                      STOCK    754907103    2226      51600    SHARES                X                 2      51600   0      0
REALTY INCOME CORP    COMMON
                      STOCK    756109104     151       6000    SHARES                X                 2       6000   0      0
RED HAT INC COM       COMMON
                      STOCK    756577102      11        500    SHARES                X                 2        500   0      0
REDWOOD TRUST         COMMON
  INC-REIT            STOCK    758075402      48       1000    SHARES                X                 2       1000   0      0
REGENERX
  BIOPHARMACEUTICALS  COMMON
  INC                 STOCK    75886X108      24      11400    SHARES                X                 2      11400   0      0
REGIONS FINANCIAL     COMMON
  CORP                STOCK    7591EP100       5        164    SHARES                X                 2        164   0      0
RESEARCH IN MOTION    COMMON
  LIMITED             STOCK    760975102   11699      58500    SHARES                X                 2      58500   0      0
ROCKWELL AUTOMATION   COMMON
  INC.                STOCK    773903109     113       1632    SHARES                X                 2       1632   0      0
ROCKWELL COLLINS COM  COMMON
                      STOCK    774341101     115       1632    SHARES                X                 2       1632   0      0
ROYAL BK CANADA       COMMON
                      STOCK    780087102      42        800    SHARES                X                 2        800   0      0
ROYAL DUTCH SHELL     COMMON
  PLC-ADR A           STOCK    780259206     407       5014    SHARES                X                 2       5014   0      0
ROYAL DUTCH SHELL     COMMON
  PLC-ADR B           STOCK    780259107      67        800    SHARES                X                 2        800   0      0
RPM INCORPORATED OHIO COMMON
                      STOCK    749685103     443      20700    SHARES                X                 2      20700   0      0
RYLAND GROUP INC      COMMON
                      STOCK    783764103      41       1100    SHARES                X                 2       1100   0      0
SAP AG SPONS ADR      COMMON
                      STOCK    803054204      13        250    SHARES                X                 2        250   0      0
SAUL CENTERS          COMMON
  INCORPORATED        STOCK    804395101     113       2500    SHARES                X                 2       2500   0      0
SCHERING PLOUGH CORP  COMMON
                      STOCK    806605101     645      21200    SHARES                X                 2      21200   0      0
SCHLUMBERGER LTD      COMMON
                      STOCK    806857108    3118      36706    SHARES                X                 2      36706   0      0
SCOLR PHARMA INC      COMMON
                      STOCK    78402X107      45      20000    SHARES                X                 2      20000   0      0
SEMICONDUCTOR MFG     COMMON
  INTL CORP-ADR       STOCK    81663N206       7       1000    SHARES                X                 2       1000   0      0
SERVICE CORPORATION   COMMON
  INTL                STOCK    817565104      93       7300    SHARES                X                 2       7300   0      0
SIMON PROPERTY GROUP  COMMON
  INCORPORATED        STOCK    828806109    1380      14825    SHARES                X                 2      14825   0      0
SIRIUS SATELLITE      COMMON
  RADIO INC COM       STOCK    82966U103      59      19500    SHARES                X                 2      19500   0      0
SIX FLAGS INC         COMMON
                      STOCK    83001P109      24       4000    SHARES                X                 2       4000   0      0
SLM CORP.             COMMON
                      STOCK    78442P106   10158     176425    SHARES                X                 2     176425   0      0



                                   31 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                       COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY             VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 --------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ -----
                                                                                     
SMITHFIELD FOODS INC  COMMON
                      STOCK    832248108      28         900   SHARES                X                 2         900   0      0
SOLECTRON CORPORATION COMMON
                      STOCK    834182107      10          10   SHARES                X                 2          10   0      0
SOUTHERN CO COM       COMMON
                      STOCK    842587107     103        3003   SHARES                X                 2        3003   0      0
SPRINT CORPORATION    COMMON
  FON GROUP           STOCK    852061100    1651       79293   SHARES                X                 2       79293   0      0
SRA INTERNATIONAL     COMMON
  INCORPORATED CL A   STOCK    78464R105      88        3500   SHARES                X                 2        3500   0      0
ST JOE COMPANY        COMMON
                      STOCK    790148100    4206       91333   SHARES                X                 2       91333   0      0
ST MARY LAND &        COMMON
  EXPLORATION COMPANY STOCK    792228108     220        6000   SHARES                X                 2        6000   0      0
STANDARD & POORS DEP  COMMON
  RCPTS UT SER 1      STOCK    78462F103     877        5830   SHARES                X                 2        5830   0      0
STAPLES INC COM       COMMON
                      STOCK    855030102     494       20800   SHARES                X                 2       20800   0      0
STARBUCKS CORPORATION COMMON
                      STOCK    855244109    2662      101405   SHARES                X                 2      101405   0      0
STATE STREET CORP     COMMON
                      STOCK    857477103     616        9000   SHARES                X                 2        9000   0      0
STEMCELLS             COMMON
  INCORPORATED        STOCK    85857R105       2        1000   SHARES                X                 2        1000   0      0
STERICYCLE INC COM    COMMON
                      STOCK    858912108      18         400   SHARES                X                 2         400   0      0
STIFEL FINANCIAL      COMMON
  CORPORATION         STOCK    860630102      10         176   SHARES                X                 2         176   0      0
STORM CAT ENERGY CORP COMMON
                      STOCK    862168101      23       20000   SHARES                X                 2       20000   0      0
STRYKER CORP COM      COMMON
                      STOCK    863667101    4377       69375   SHARES                X                 2       69375   0      0
SUBURBAN PROPANE      COMMON
  PARTNERS LP LIMITED STOCK    864482104      48        1000   SHARES                X                 2        1000   0      0
SUN MICROSYSTEMS      COMMON
  INCORPORATED        STOCK    866810104      42        7710   SHARES                X                 2        7710   0      0
SUNCOR ENERGY INC     COMMON
                      STOCK    867229106      27         300   SHARES                X                 2         300   0      0
SUNOCO LOGISTICS      COMMON
  PARTNERS LP         STOCK    86764L108     907       15100   SHARES                X                 2       15100   0      0
SUNRISE ASSISTED      COMMON
  LIVING INCORPORATED STOCK    86768K106    8718      217997   SHARES                X                 2      217997   0      0
SUNTRUST BANKS INC    COMMON
                      STOCK    867914103    1094       12764   SHARES                X                 2       12764   0      0
SYSCO CORPORATION     COMMON
                      STOCK    871829107    3643      113200   SHARES                X                 2      113200   0      0
T. ROWE PRICE GROUP   COMMON
  INCORPORATED        STOCK    74144T108     820       15800   SHARES                X                 2       15800   0      0
TARGET CORP           COMMON
                      STOCK    87612E106    1075       16900   SHARES                X                 2       16900   0      0
TECHNE CORP           COMMON
                      STOCK    878377100     556        9723   SHARES                X                 2        9723   0      0
TECHTARGET            COMMON
                      STOCK    87874R100      26        2000   SHARES                X                 2        2000   0      0
TELEFLEX INC COM      COMMON
                      STOCK    879369106     204        2500   SHARES                X                 2        2500   0      0
TELEFONICA S A        COMMON
  SPONSORED ADR       STOCK    879382208      37         555   SHARES                X                 2         555   0      0
TEMPLE INLAND INC     COMMON
                      STOCK    879868107      49         800   SHARES                X                 2         800   0      0
TEPPCO PARTNERS       COMMON
  LIMITED PARTNERSHIP STOCK    872384102    3084       70000   SHARES                X                 2       70000   0      0
TEVA PHARMACEUTICAL   COMMON
  SPONS ADR           STOCK    881624209      41        1000   SHARES                X                 2        1000   0      0
TEXAS INSTRUMENTS     COMMON
  INCORPORATED        STOCK    882508104    1026       27400   SHARES                X                 2       27400   0      0
THE CHEESECAKE        COMMON
  FACTORY             STOCK    163072101      25        1012   SHARES                X                 2        1012   0      0
THE HERSHEY COMPANY   COMMON
                      STOCK    427866108      40         800   SHARES                X                 2         800   0      0
THE PMI GROUP INC     COMMON
                      STOCK    69344M101     125        2800   SHARES                X                 2        2800   0      0
THE SCOTTS
  MIRACLE-GRO         COMMON
  COMPANY CL A        STOCK    810186106     150        3500   SHARES                X                 2        3500   0      0
THE TRAVELERS         COMMON
  COMPANIES INC       STOCK    89417E109     800       14944   SHARES                X                 2       14944   0      0
THERMO FISHER         COMMON
  SCIENTIFIC INC      STOCK    883556102     103        2000   SHARES                X                 2        2000   0      0
THORNBURG MTG INC     COMMON
  (REIT)              STOCK    885218107      52        2000   SHARES                X                 2        2000   0      0
TIFFANY & CO          COMMON
                      STOCK    886547108    1220       23000   SHARES                X                 2       23000   0      0
TIME WARNER INC       COMMON
                      STOCK    887317105   10989     1056275   SHARES                X                 2     1056275   0      0
TOLL BROS INC         COMMON
                      STOCK    889478103     134        5350   SHARES                X                 2        5350   0      0
TRACTOR SUPPLY        COMMON
  COMPANY             STOCK    892356106     208        4000   SHARES                X                 2        4000   0      0
TRANSMONTAIGNE        COMMON
  PARTNERS LP         STOCK    89376V100      42        1200   SHARES                X                 2        1200   0      0
TRANSOCEAN INC        COMMON
                      STOCK    G90078109     329        3100   SHARES                X                 2        3100   0      0
TRIMBLE NAV LTD COM   COMMON
                      STOCK    896239100     225        7000   SHARES                X                 2        7000   0      0
TYCO INTERNATIONAL    COMMON
  LIMITED NEW         STOCK    902124106    6949      207050   SHARES                X                 2      207050   0      0
TYLER TECHNOLOGIES    COMMON
  INC                 STOCK    902252105    2243      197814   SHARES                X                 2      197814   0      0
UAL CORPORATION       COMMON
                      STOCK    902549807       8         193   SHARES                X                 2         193   0      0
UNDER ARMOUR          COMMON
  INC-CLASS A         STOCK    904311107     100        2200   SHARES                X                 2        2200   0      0
UNION PACIFIC CORP    COMMON
  COM                 STOCK    907818108     945        8207   SHARES                X                 2        8207   0      0
UNITED BANKSHARES INC COMMON
                      STOCK    909907107      26         824   SHARES                X                 2         824   0      0
UNITED PARCEL         COMMON
  SERVICE INC CLASS B STOCK    911312106   11323      159599   SHARES                X                 2      159599   0      0
UNITED TECHNOLOGIES   COMMON
  CORPORATION         STOCK    913017109    2302       33610   SHARES                X                 2       33610   0      0
UNITEDHEALTH GROUP    COMMON
  INC.                STOCK    91324P102   14692      287287   SHARES                X                 2      287287   0      0
UNIVERSAL DISPLAY     COMMON
  CORP                STOCK    91347P105       8         500   SHARES                X                 2         500   0      0
UNUMPROVIDENT         COMMON
  CORPORATION         STOCK    91529Y106    3012      115373   SHARES                X                 2      115373   0      0
URANIUM RESOURCES INC COMMON
                      STOCK    916901507     276       25000   SHARES                X                 2       25000   0      0
US BANCORP NEW        COMMON
                      STOCK    902973304     338       10100   SHARES                X                 2       10100   0      0
UTI WORLDWIDE INC     COMMON
                      STOCK    G87210103     107        4000   SHARES                X                 2        4000   0      0
VARIAN MEDICAL SYS    COMMON
  INC COM             STOCK    92220P105      43        1000   SHARES                X                 2        1000   0      0
VERIFONE HOLDINGS INC COMMON
                      STOCK    92342Y109      35        1000   SHARES                X                 2        1000   0      0
VERIGY LTD            COMMON
                      STOCK    Y93691106       8         280   SHARES                X                 2         280   0      0
VERIZON               COMMON
  COMMUNICATIONS      STOCK    92343V104   11158      271032   SHARES                X                 2      271032   0      0
VIACOM INC-CLASS B    COMMON
                      STOCK    92553P201      35         831   SHARES                X                 2         831   0      0
VITAL IMAGES INC      COMMON
                      STOCK    92846N104      41        1500   SHARES                X                 2        1500   0      0
VODAFONE GROUP        COMMON
  PLC--SP ADR         STOCK    92857W209     268        7964   SHARES                X                 2        7964   0      0
VORNADO REALTY TRUST  COMMON
                      STOCK    929042109     117        2800   SHARES                X                 2        2800   0      0
W W GRAINGER INC COM  COMMON
                      STOCK    384802104      93        1000   SHARES                X                 2        1000   0      0
WACHOVIA CORPORATION  COMMON
  NEW                 STOCK    929903102    2560       53835   SHARES                X                 2       53835   0      0
WAL MART STORES INC   COMMON
  COM                 STOCK    931142103     443        9216   SHARES                X                 2        9216   0      0
WALGREEN CO           COMMON
                      STOCK    931422109      87        2000   SHARES                X                 2        2000   0      0
WASHINGTON MUTUAL     COMMON
  INCORPORATED        STOCK    939322103    3423      195477   SHARES                X                 2      195477   0      0
WASHINGTON POST CO    COMMON
  CL B                STOCK    939640108     582         750   SHARES                X                 2         750   0      0
WEINGARTEN REALTY     COMMON
  INVESTORS           STOCK    948741103    4544      110570   SHARES                X                 2      110570   0      0
WELLS FARGO &         COMMON
  COMPANY NEW         STOCK    949746101    9829      279360   SHARES                X                 2      279360   0      0
WESTERN ASSET
  MANAGED MUNICIPALS  COMMON
  FD                  STOCK    95766M105     254       22791   SHARES                X                 2       22791   0      0



                                   32 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
WESTERN ASSET/
  CLAYMORE US TREAS   COMMON
  INFL                STOCK    95766R104      46       4000    SHARES                X                 2       4000   0       0
WGL HLDGS INC COM     COMMON
                      STOCK    92924F106      59       1796    SHARES                X                 2       1796   0       0
WHITE MOUNTAINS       COMMON
  INSURANCE GROUP LTD STOCK    G9618E107     303        500    SHARES                X                 2        500   0       0
WHOLE FOODS MARKET    COMMON
  INCORPORATED        STOCK    966837106     424       8470    SHARES                X                 2       8470   0       0
WILLIAMS COMPANIES    COMMON
  INCORPORATED        STOCK    969457100      84        301    SHARES                X                 2        301   0       0
WILLIAMS PARTNERS LP  COMMON
                      STOCK    96950F104      43        900    SHARES                X                 2        900   0       0
WRIGLEY WM JR CO      COMMON
                      STOCK    982526105     985      17808    SHARES                X                 2      17808   0       0
WYETH                 COMMON
                      STOCK    983024100    1925      28826    SHARES                X                 2      28826   0       0
XM SATELLITE RADIO    COMMON
  HLDGS INC CL A      STOCK    983759101      32          1    SHARES                X                 2          1   0       0
YAHOO INC COM         COMMON
                      STOCK    984332106     163       6000    SHARES                X                 2       6000   0       0
YUM! BRANDS INC       COMMON
                      STOCK    988498101    1066      32580    SHARES                X                 2      32580   0       0
ZENITH NATIONAL       COMMON
  INSURANCE CORP      STOCK    989390109      66       1400    SHARES                X                 2       1400   0       0
ZIMMER HOLDINGS       COMMON
  INCORPORATED        STOCK    98956P102    6156      72523    SHARES                X                 2      72523   0       0
3M CO                 COMMON
                      STOCK    88579Y101    5284      60885    SHARES                X                 3      59019   0    1866
A C MOORE ARTS&CRAFT  COMMON
                      STOCK    00086T103     822      41900    SHARES                X                 3      41900   0       0
ABBOTT LABORATORIES   COMMON
                      STOCK    002824100    3760      70200    SHARES                X                 3      65610   0    4590
ABERCROMBIE & FITCH   COMMON
                      STOCK    002896207    1230      16850    SHARES                X                 3      16850   0       0
ABM INDUSTRIES        COMMON
  INCORPORATED        STOCK    000957100      16        630    SHARES                X                 3        630   0       0
ACCENTURE LTD-CL A    COMMON
                      STOCK    G1150G111      43       1010    SHARES                X                 3       1010   0       0
ACE LIMITED           COMMON
                      STOCK    G0070K103     175       2800    SHARES                X                 3       2800   0       0
ACTIVISION INC        COMMON
                      STOCK    004930202    1769      94800    SHARES                X                 3      94800   0       0
ACUITY BRANDS INC     COMMON
                      STOCK    00508Y102      21        350    SHARES                X                 3        350   0       0
ADC TELECOMMUNICATNS  COMMON
                      STOCK    000886309       4        200    SHARES                X                 3        200   0       0
ADOBE SYSTEMS INC     COMMON
                      STOCK    00724F101     201       5000    SHARES                X                 3       5000   0       0
ADTRAN INC            COMMON
                      STOCK    00738A106    2031      78200    SHARES                X                 3      78200   0       0
ADV MICRO DEVICES     COMMON
                      STOCK    007903107     622      43530    SHARES                X                 3      43530   0       0
AECOM TECHNOLOGY      COMMON
                      STOCK    00766T100    1836      74000    SHARES                X                 3      74000   0       0
AEROPOSTALE INC       COMMON
                      STOCK    007865108     984      23600    SHARES                X                 3      23600   0       0
AES CORP              COMMON
                      STOCK    00130H105     127       5800    SHARES                X                 3       5800   0       0
AETNA INC             COMMON
                      STOCK    00817Y108     282       5720    SHARES                X                 3       5720   0       0
AFFILIATED COMP SVCS  COMMON
                      STOCK    008190100      51        900    SHARES                X                 3        900   0       0
AFFILIATED MANAGE GR  COMMON
                      STOCK    008252108    3026      23500    SHARES                X                 3      23500   0       0
AFLAC INC             COMMON
                      STOCK    001055102     215       4175    SHARES                X                 3       4175   0       0
AGCO CORP             COMMON
                      STOCK    001084102    1493      34400    SHARES                X                 3      34400   0       0
AGILENT TECHN INC     COMMON
                      STOCK    00846U101     132       3430    SHARES                X                 3       3430   0       0
AGL RESOURCES INC COM COMMON
                      STOCK    001204106      57       1400    SHARES                X                 3       1400   0       0
AIR PRODS & CHEMS     COMMON
                      STOCK    009158106     145       1800    SHARES                X                 3       1800   0       0
AKAMAI TECH INC       COMMON
                      STOCK    00971T101    1922      39515    SHARES                X                 3      39515   0       0
ALBERTO-CULVER        COMMON
  COMPANY             STOCK    013078100      26       1100    SHARES                X                 3       1100   0       0
ALCOA INC             COMMON
                      STOCK    013817101     309       7612    SHARES                X                 3       7612   0       0
ALKERMES INC          COMMON
                      STOCK    01642T108     466      31900    SHARES                X                 3      31900   0       0
ALLEGHENY ENERGY INC  COMMON
                      STOCK    017361106      72       1400    SHARES                X                 3       1400   0       0
ALLEGHENY TECH INC    COMMON
                      STOCK    01741R102      89        850    SHARES                X                 3        850   0       0
ALLERGAN INC          COMMON
                      STOCK    018490102     147       2550    SHARES                X                 3       2550   0       0
ALLIED CAPITAL CORP   COMMON
  NEW COM             STOCK    01903Q108      22        700    SHARES                X                 3        700   0       0
ALLIED WASTE IND      COMMON
                      STOCK    019589308      46       3400    SHARES                X                 3       3400   0       0
ALLSCRIPTS HEALTHCAR  COMMON
                      STOCK    01988P108    6584     258409    SHARES                X                 3     257994   0     415
ALLSTATE CORP         COMMON
                      STOCK    020002101     367       5953    SHARES                X                 3       5953   0       0
ALLTEL CORP           COMMON
                      STOCK    020039103     216       3200    SHARES                X                 3       2750   0     450
ALPHA NATURAL RES     COMMON
                      STOCK    02076X102    1035      49800    SHARES                X                 3      49800   0       0
ALTERA CORP           COMMON
                      STOCK    021441100      66       3000    SHARES                X                 3       3000   0       0
ALTRIA GROUP INC      COMMON
                      STOCK    02209S103    8554     121969    SHARES                X                 3     121969   0       0
AMAZON COM INC        COMMON
                      STOCK    023135106     164       2400    SHARES                X                 3       2400   0       0
AMBAC FINANCIAL       COMMON
  GROUP INC           STOCK    023139108     677       7765    SHARES                X                 3       7765   0       0
AMEREN CORPORATION    COMMON
                      STOCK    023608102      83       1700    SHARES                X                 3       1700   0       0
AMERICAN EAGLE        COMMON
  OUTFITTER INC       STOCK    02553E106     621      24200    SHARES                X                 3      24200   0       0
AMERICAN EXPRESS CO   COMMON
                      STOCK    025816109    1762      28817    SHARES                X                 3      28817   0       0
AMERICAN
  INTERNATIONAL       COMMON
  GROUP I             STOCK    026874107   11598     165626    SHARES                X                 3     162309   0    3317
AMERICAN STANDARD CO  COMMON
                      STOCK    029712106      88       1500    SHARES                X                 3       1500   0       0
AMERIPRISE FINANCIAL  COMMON
                      STOCK    03076C106     127       2000    SHARES                X                 3       2000   0       0
AMERISOURCE- BERGEN   COMMON
                      STOCK    03073E105      79       1600    SHARES                X                 3       1600   0       0
AMERN ELEC PWR INC    COMMON
                      STOCK    025537101     153       3402    SHARES                X                 3       3402   0       0
AMGEN INC             COMMON
                      STOCK    031162100    3586      64855    SHARES                X                 3      59763   0    5092
ANADARKO PETE         COMMON
                      STOCK    032511107     533      10245    SHARES                X                 3      10245   0       0
ANALOG DEVICES INC    COMMON
                      STOCK    032654105     195       5200    SHARES                X                 3       5200   0       0
ANGIODYNAMICS INC     COMMON
                      STOCK    03475V101    1317      73100    SHARES                X                 3      73100   0       0
ANHEUSER BUSCH COS    COMMON
                      STOCK    035229103     534      10230    SHARES                X                 3      10230   0       0
ANNALY CAPITAL MGMT   COMMON
                      STOCK    035710409      95       6600    SHARES                X                 3       6600   0       0
ANSOFT CORPORATION    COMMON
                      STOCK    036384105      19        650    SHARES                X                 3        650   0       0
ANSYS INC             COMMON
                      STOCK    03662Q105    2393      90300    SHARES                X                 3      90300   0       0
AON CORPORATION       COMMON
                      STOCK    037389103     104       2430    SHARES                X                 3       2430   0       0
APACHE CORP           COMMON
                      STOCK    037411105     228       2800    SHARES                X                 3       2800   0       0
APARTMENT INVT&MGMT   REIT     03748R101      40        800    SHARES                X                 3        800   0       0
APOLLO GROUP INC      COMMON
                      STOCK    037604105      64       1100    SHARES                X                 3       1100   0       0
APPLE INC             COMMON
                      STOCK    037833100    4306      35290    SHARES                X                 3      35218   0      72
APPLERA CORPORATION   COMMON
                      STOCK    038020103      47       1540    SHARES                X                 3       1540   0       0
APPLIED MATERIALS     COMMON
                      STOCK    038222105     230      11600    SHARES                X                 3      11600   0       0
AQUA AMERICA INC      COMMON
                      STOCK    03836W103     112       5000    SHARES                X                 3       5000   0       0



                                   33 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
ARCHER DANIELS        COMMON
  MIDLAND CO COM      STOCK    039483102     202       6100    SHARES                X                 3       6100   0       0
ARCHSTONE SMITH TR    REIT     039583109     106       1800    SHARES                X                 3       1800   0       0
ARIAD PHARMACEUTICAL  COMMON
                      STOCK    04033A100     741     135000    SHARES                X                 3     135000   0       0
ARQULE INC            COMMON
                      STOCK    04269E107     508      72000    SHARES                X                 3      72000   0       0
ASHLAND INC           COMMON
                      STOCK    044209104     226       3550    SHARES                X                 3       3550   0       0
ASSURANT INC          COMMON
                      STOCK    04621X108      53        900    SHARES                X                 3        900   0       0
ASTORIA FINL CORP     COMMON
                      STOCK    046265104      75       3000    SHARES                X                 3       3000   0       0
ASTRAZENECA GROUP     COMMON
  PLC SPONSORE        STOCK    046353108      59       1100    SHARES                X                 3       1100   0       0
AT&T INC              COMMON
                      STOCK    00206R102    6644     160082    SHARES                X                 3     155164   0    4918
AUTODESK COM          COMMON
                      STOCK    052769106    2927      62181    SHARES                X                 3      59276   0    2905
AUTOMATIC DATA PROC   COMMON
                      STOCK    053015103     378       7800    SHARES                X                 3       7800   0       0
AUTONATION INC        COMMON
                      STOCK    05329W102      29       1300    SHARES                X                 3       1300   0       0
AUTOZONE INC          COMMON
                      STOCK    053332102      60        440    SHARES                X                 3        440   0       0
AVALONBAY COMMUNTIES  REIT     053484101      83        700    SHARES                X                 3        700   0       0
AVAYA INC             COMMON
                      STOCK    053499109      64       3825    SHARES                X                 3       3825   0       0
AVERY DENNISON CORP   COMMON
                      STOCK    053611109     133       2000    SHARES                X                 3       2000   0       0
AVON PRODUCTS INC     COMMON
                      STOCK    054303102     136       3700    SHARES                X                 3       3700   0       0
BAKER HUGHES INC      COMMON
                      STOCK    057224107     227       2700    SHARES                X                 3       2700   0       0
BALL CORP             COMMON
                      STOCK    058498106      46        860    SHARES                X                 3        860   0       0
BANK AMER CORP        COMMON
                      STOCK    060505104    9726     198931    SHARES                X                 3     192649   0    6282
BANK NEW YORK INC     COMMON
                      STOCK    064057102     410       9910    SHARES                X                 3       9910   0       0
BARD C R INC          COMMON
                      STOCK    067383109     103       1250    SHARES                X                 3       1250   0       0
BARR PHARMACEUTICALS  COMMON
                      STOCK    068306109      45        900    SHARES                X                 3        900   0       0
BAUSCH & LOMB INC     COMMON
                      STOCK    071707103      31        440    SHARES                X                 3        440   0       0
BAXTER INTL INC       COMMON
                      STOCK    071813109     326       5790    SHARES                X                 3       5790   0       0
BB&T CORP COM         COMMON
                      STOCK    054937107     276       6777    SHARES                X                 3       6777   0       0
BEAR STEARNS COS INC  COMMON
                      STOCK    073902108     144       1025    SHARES                X                 3       1025   0       0
BECTON DICKINSON      COMMON
                      STOCK    075887109     153       2055    SHARES                X                 3       2055   0       0
BED BATH & BEYOND     COMMON
                      STOCK    075896100      86       2400    SHARES                X                 3       2400   0       0
BELO CORPORATION      COMMON
                      STOCK    080555105    1499      72800    SHARES                X                 3      72800   0       0
BEMIS INC             COMMON
                      STOCK    081437105      70       2120    SHARES                X                 3       2120   0       0
BEST BUY INC          COMMON
                      STOCK    086516101     160       3425    SHARES                X                 3       3425   0       0
BIG 5 SPORTING GOODS  COMMON
                      STOCK    08915P101    1048      41100    SHARES                X                 3      41100   0       0
BIG LOTS INC          COMMON
                      STOCK    089302103      53       1800    SHARES                X                 3       1800   0       0
BIOGEN IDEC INC       COMMON
                      STOCK    09062X103     179       3350    SHARES                X                 3       3350   0       0
BIOMARIN PHARMAC INC  COMMON
                      STOCK    09061G101     498      27800    SHARES                X                 3      27800   0       0
BIOMET INC            COMMON
                      STOCK    090613100      64       1400    SHARES                X                 3       1400   0       0
BJ SVCS CO            COMMON
                      STOCK    055482103      70       2450    SHARES                X                 3       2450   0       0
BLACK & DECKER CORP   COMMON
                      STOCK    091797100     150       1700    SHARES                X                 3       1700   0       0
BLACKROCK INC         COMMON
                      STOCK    09247X101      16        100    SHARES                X                 3        100   0       0
BLOCK H & R INC       COMMON
                      STOCK    093671105     157       6700    SHARES                X                 3       6700   0       0
BMC SOFTWARE INC      COMMON
                      STOCK    055921100      56       1850    SHARES                X                 3       1850   0       0
BOEING CO             COMMON
                      STOCK    097023105    1292      13445    SHARES                X                 3      13445   0       0
BOSTON PROPERTIES     COMMON
                      STOCK    101121101     105       1025    SHARES                X                 3       1025   0       0
BOSTON SCIENTIFIC     COMMON
                      STOCK    101137107     155      10100    SHARES                X                 3      10100   0       0
BP PLC SPONSORED ADR  COMMON
                      STOCK    055622104     256       3544    SHARES                X                 3       3544   0       0
BRADLEY PHARMACEUT    COMMON
                      STOCK    104576103     596      27450    SHARES                X                 3      27450   0       0
BRINKER INTL INC      COMMON
                      STOCK    109641100     705      24100    SHARES                X                 3      24100   0       0
BRISTOL MYERS SQUIBB  COMMON
                      STOCK    110122108     935      29620    SHARES                X                 3      29620   0       0
BROADCOM CORP         COMMON
                      STOCK    111320107     632      21595    SHARES                X                 3      21595   0       0
BROADRIDGE FINL SOLN  COMMON
                      STOCK    11133T103    1397      73100    SHARES                X                 3      73100   0       0
BROWN FORMAN CORP     COMMON
                      B        115637209      51        700    SHARES                X                 3        700   0       0
BRUNSWICK CORP        COMMON
                      STOCK    117043109     121       3700    SHARES                X                 3       3700   0       0
BRUSH ENGINEER MATRL  COMMON
                      STOCK    117421107    1079      25700    SHARES                X                 3      25700   0       0
BUCYRUS INTL INC      COMMON
                      STOCK    118759109    1493      21100    SHARES                X                 3      21100   0       0
BURLINGTN NRTHRN S F  COMMON
                      STOCK    12189T104    3116      36583    SHARES                X                 3      35199   0    1384
C H ROBINSON WLDWIDE  COMMON
                      STOCK    12541W209     747      14200    SHARES                X                 3      14200   0       0
CA INC                COMMON
                      STOCK    12673P105     134       5168    SHARES                X                 3       5168   0       0
CACHE INC             COMMON
                      STOCK    127150308     616      46400    SHARES                X                 3      46400   0       0
CAL DIVE INTERNATNL   COMMON
                      STOCK    12802T101    2222     133600    SHARES                X                 3     133600   0       0
CAMPBELL SOUP CO      COMMON
                      STOCK    134429109     105       2715    SHARES                X                 3       2715   0       0
CANTEL MEDICAL CORP   COMMON
                      STOCK    138098108     753      44300    SHARES                X                 3      44300   0       0
CAPELLA EDUCATION     COMMON
                      STOCK    139594105    1018      22100    SHARES                X                 3      22100   0       0
CAPITAL ONE           COMMON
  FINANCIAL CORP      STOCK    14040H105    4329      55181    SHARES                X                 3      53637   0    1544
CAPITALSOURCE INC     COMMON
                      STOCK    14055X102     668      27157    SHARES                X                 3      27157   0       0
CARDINAL HEALTH INC   COMMON
                      STOCK    14149Y108     237       3350    SHARES                X                 3       3350   0       0
CARNIVAL CORP         COMMON
                      STOCK    143658300    2872      58896    SHARES                X                 3      58896   0       0
CATERPILLAR INC       COMMON
                      STOCK    149123101    3009      38426    SHARES                X                 3      37308   0    1118
CB RICHARD ELLIS GRP  COMMON
                      STOCK    12497T101      55       1500    SHARES                X                 3       1500   0       0
CBS CORPORATION       COMMON
                      B        124857202     207       6200    SHARES                X                 3       6200   0       0
CECO ENVIRONMENTAL    COMMON
                      STOCK    125141101    1842     160506    SHARES                X                 3     160506   0       0
CELGENE CORP          COMMON
                      STOCK    151020104     183       3200    SHARES                X                 3       3200   0       0
CENTERPOINT ENERGY    COMMON
                      STOCK    15189T107      41       2360    SHARES                X                 3       2360   0       0
CENTEX CORP           COMMON
                      STOCK    152312104      40       1000    SHARES                X                 3       1000   0       0
CENTURY ALUM CO       COMMON
                      STOCK    156431108     983      18000    SHARES                X                 3      18000   0       0
CENTURYTEL INC        COMMON
                      STOCK    156700106      49       1000    SHARES                X                 3       1000   0       0
CEPHALON INC          COMMON
                      STOCK    156708109     522       6500    SHARES                X                 3       6500   0       0
CERNER CORP           COMMON
                      STOCK    156782104    5343      96323    SHARES                X                 3      94599   0    1724



                                   34 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
CHECKFREE CORP        COMMON
                      STOCK    162813109     643      16000    SHARES                X                 3      16000   0       0
CHEMTURA CORPORATION  COMMON
                      STOCK    163893100      60       5400    SHARES                X                 3       5400   0       0
CHESAPEAKE ENERGY     COMMON
                      STOCK    165167107     121       3500    SHARES                X                 3       3500   0       0
CHEVRON CORP          COMMON
                      STOCK    166764100   11144     132288    SHARES                X                 3     128541   0    3747
CHICAGO BRIDGE & IRN  COMMON
                      STOCK    167250109    3509      92970    SHARES                X                 3      92970   0       0
CHICAGO MERCANTILE    COMMON
                      STOCK    167760107     160        300    SHARES                X                 3        300   0       0
CHICOS FAS INC        COMMON
                      STOCK    168615102     662      27200    SHARES                X                 3      27200   0       0
CHILDRENS PL RETL ST  COMMON
                      STOCK    168905107    1668      32300    SHARES                X                 3      32300   0       0
CHINA GRENTECH CORP   COMMON
                      STOCK    16938P107    1142      85300    SHARES                X                 3      85300   0       0
CHINA MOBILE LTD      COMMON
  SPON ADR            STOCK    16941M109      25        460    SHARES                X                 3        460   0       0
CHUBB CORP            COMMON
                      STOCK    171232101     176       3250    SHARES                X                 3       3250   0       0
CIENA CORPORATION     COMMON
                      STOCK    171779309    1066      29485    SHARES                X                 3      29485   0       0
CIGNA CORP            COMMON
                      STOCK    125509109     198       3795    SHARES                X                 3       3795   0       0
CINCINNATI FINL CORP  COMMON
                      STOCK    172062101     666      15339    SHARES                X                 3      12738   0    2601
CINEMARK HOLDINGS     COMMON
                      STOCK    17243V102      86       4800    SHARES                X                 3       4800   0       0
CINTAS CORP           COMMON
                      STOCK    172908105      43       1100    SHARES                X                 3       1100   0       0
CIRCUIT CITY STORE    COMMON
                      STOCK    172737108      19       1250    SHARES                X                 3       1250   0       0
CISCO SYSTEMS INC     COMMON
                      STOCK    17275R102   10445     375067    SHARES                X                 3     367353   0    7714
CIT GROUP INC         COMMON
                      STOCK    125581108    4344      79219    SHARES                X                 3      76104   0    3115
CITADEL BROADCASTING  COMMON
                      STOCK    17285T106       0          2    SHARES                X                 3          2   0       0
CITIGROUP INC         COMMON
                      STOCK    172967101   10189     198660    SHARES                X                 3     192376   0    6284
CITIZENS COMMUN CO    COMMON
                      STOCK    17453B101      40       2600    SHARES                X                 3       2600   0       0
CITRIX SYS INC        COMMON
                      STOCK    177376100    1345      39945    SHARES                X                 3      39945   0       0
CLEAR CHANNEL COMMUN  COMMON
                      STOCK    184502102     163       4300    SHARES                X                 3       4300   0       0
CLEVELAND CLIFFS INC  COMMON
                      STOCK    185896107    2709      34873    SHARES                X                 3      33826   0    1047
CLOROX CO             COMMON
                      STOCK    189054109     274       4400    SHARES                X                 3       4400   0       0
CMS ENERGY CORP       COMMON
                      STOCK    125896100      29       1700    SHARES                X                 3       1700   0       0
COACH INC             COMMON
                      STOCK    189754104    1257      26540    SHARES                X                 3      26540   0       0
COCA COLA CO COM      COMMON
                      STOCK    191216100    8453     161592    SHARES                X                 3     157184   0    4408
COCA COLA ENTERPRISE  COMMON
                      STOCK    191219104      55       2300    SHARES                X                 3       2300   0       0
COGNIZANT TECH SOLNS  COMMON
                      STOCK    192446102    2821      39801    SHARES                X                 3      39801   0       0
COLONIAL BANCGROUP    COMMON
                      STOCK    195493309     105       4200    SHARES                X                 3       4200   0       0
COMCAST CORP          COMMON
                      STOCK    20030N101    5477     194764    SHARES                X                 3     186213   0    8551
COMERICA INC          COMMON
                      STOCK    200340107      83       1400    SHARES                X                 3       1400   0       0
COMMERCE BANC INC NJ  COMMON
                      STOCK    200519106      59       1600    SHARES                X                 3       1600   0       0
COMMSCOPE INC         COMMON
                      STOCK    203372107    2281      39100    SHARES                X                 3      39100   0       0
COMPANHIA VAL DO RIO  ADR      204412209     951      21345    SHARES                X                 3      21345   0       0
COMPASS BANCSHARES    COMMON
                      STOCK    20449H109      69       1000    SHARES                X                 3       1000   0       0
COMPUTER SCIENCES     COMMON
                      STOCK    205363104     113       1900    SHARES                X                 3       1900   0       0
COMPUWARE CORP        COMMON
                      STOCK    205638109      34       2900    SHARES                X                 3       2900   0       0
CONAGRA FOODS INC     COMMON
                      STOCK    205887102     209       7800    SHARES                X                 3       7800   0       0
CONOCOPHILLIPS        COMMON
                      STOCK    20825C104    9141     116430    SHARES                X                 3     113788   0    2642
CONSECO INC           COMMON
                      STOCK    208464883      83       3960    SHARES                X                 3       3960   0       0
CONSOL ENERGY INC     COMMON
                      STOCK    20854P109      74       1600    SHARES                X                 3       1600   0       0
CONSOLDTD EDISON INC  COMMON
                      STOCK    209115104     104       2300    SHARES                X                 3       2300   0       0
CONSTELLATION BRANDS  COMMON
                      STOCK    21036P108      41       1700    SHARES                X                 3       1700   0       0
CONSTELLATION ENERGY  COMMON
  GROUP INC           STOCK    210371100     338       3880    SHARES                X                 3       3880   0       0
CONVERGYS CORP        COMMON
                      STOCK    212485106      27       1100    SHARES                X                 3       1100   0       0
COOPER INDS LTD       COMMON
                      STOCK    G24182100      86       1500    SHARES                X                 3       1500   0       0
CORNING INC           COMMON
                      STOCK    219350105    4146     162257    SHARES                X                 3     157412   0    4845
COSTCO WHOLESALE      COMMON
  CORP COM            STOCK    22160K105     252       4300    SHARES                X                 3       4300   0       0
COUNTRYWIDE FINL      COMMON
                      STOCK    222372104     182       5000    SHARES                X                 3       5000   0       0
COVENTRY HEALTH CAR   COMMON
                      STOCK    222862104      79       1375    SHARES                X                 3       1375   0       0
CREATIVE TECHNOLOGY   COMMON
  LTD                 STOCK    Y1775U107      13       2700    SHARES                X                 3       2700   0       0
CREE INC              COMMON
                      STOCK    225447101    1155      44700    SHARES                X                 3      44700   0       0
CROSS CNTRY HLTHCARE  COMMON
                      STOCK    227483104     892      53500    SHARES                X                 3      53500   0       0
CSX CORP              COMMON
                      STOCK    126408103     221       4900    SHARES                X                 3       4900   0       0
CT COMMUNICATIONS INC COMMON
                      STOCK    126426402      23        740    SHARES                X                 3        740   0       0
CUBIST PHARMACEUT     COMMON
                      STOCK    229678107     710      36000    SHARES                X                 3      36000   0       0
CULLEN FROST BANKERS  COMMON
                      STOCK    229899109      96       1800    SHARES                X                 3       1800   0       0
CUMMINS INC           COMMON
                      STOCK    231021106      89        875    SHARES                X                 3        875   0       0
CVS CAREMARK CORP     COMMON
                      STOCK    126650100     474      13000    SHARES                X                 3      13000   0       0
CYTYC CORP            COMMON
                      STOCK    232946103    8423     195400    SHARES                X                 3     195007   0     393
D R HORTON INC        COMMON
                      STOCK    23331A109      46       2300    SHARES                X                 3       2300   0       0
DANAHER CORP          COMMON
                      STOCK    235851102     151       2000    SHARES                X                 3       2000   0       0
DARDEN RESTAURANT     COMMON
                      STOCK    237194105      53       1200    SHARES                X                 3       1200   0       0
DARLING INTL INC      COMMON
                      STOCK    237266101     865      94600    SHARES                X                 3      94600   0       0
DEAN FOODS CO NEW     COMMON
                      STOCK    242370104      38       1200    SHARES                X                 3       1200   0       0
DEERE & CO            COMMON
                      STOCK    244199105     371       3075    SHARES                X                 3       3075   0       0
DELL INC              COMMON
                      STOCK    24702R101    1129      39560    SHARES                X                 3      39560   0       0
DELTA AIR LINES       COMMON
                      STOCK    247361702    1013      51400    SHARES                X                 3      51400   0       0
DENBURY RES INC       COMMON
                      STOCK    247916208     886      23600    SHARES                X                 3      23600   0       0
DENTSPLY INTL INC     COMMON
                      STOCK    249030107     930      24300    SHARES                X                 3      24300   0       0
DEVELOPERS DIVER RTY  REIT     251591103      58       1100    SHARES                X                 3       1100   0       0
DEVON ENERGY CORP     COMMON
                      STOCK    25179M103    1661      21200    SHARES                X                 3      21200   0       0
DG FASTCHANNEL INC    COMMON
                      STOCK    23326R109    1070      52500    SHARES                X                 3      52500   0       0
DIAGEO PLC SPONSORED  COMMON
  ADR                 STOCK    25243Q205      42        500    SHARES                X                 3        500   0       0
DIGENE CORP           COMMON
                      STOCK    253752109    1916      31900    SHARES                X                 3      31900   0       0



                                   35 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
DILLARDS INC          COMMON
                      STOCK    254067101      22        600    SHARES                X                 3        600     0      0
DIRECTV GROUP INC     COMMON
                      STOCK    25459L106     200       8650    SHARES                X                 3       8650     0      0
DISNEY WALT CO        COMMON
                      STOCK    254687106    1651      48365    SHARES                X                 3      48365     0      0
DJO INC               COMMON
                      STOCK    23325G104    1019      24700    SHARES                X                 3      24700     0      0
DOLLAR GEN CORP       COMMON
                      STOCK    256669102      62       2850    SHARES                X                 3       2850     0      0
DOMINION RES INC VA   COMMON
                      STOCK    25746U109     250       2900    SHARES                X                 3       2900     0      0
DONNELLEY R R & SONS  COMMON
                      STOCK    257867101     200       4600    SHARES                X                 3       4600     0      0
DOVER CORP            COMMON
                      STOCK    260003108      90       1760    SHARES                X                 3       1760     0      0
DOW CHEMICAL CO       COMMON
                      STOCK    260543103     930      21020    SHARES                X                 3      21020     0      0
DOW JONES & CO INC    COMMON
                      STOCK    260561105      34        600    SHARES                X                 3        600     0      0
DTE ENERGY CO         COMMON
                      STOCK    233331107      84       1745    SHARES                X                 3       1745     0      0
DU PONT E I DE NEMOU  COMMON
                      STOCK    263534109     467       9200    SHARES                X                 3       9200     0      0
DUKE ENERGY CORP      COMMON
                      STOCK    26441C105     287      15692    SHARES                X                 3      15692     0      0
DYCOM INDUSTRIES INC  COMMON
                      STOCK    267475101    1481      49400    SHARES                X                 3      49400     0      0
DYNEGY INC            COMMON
                      STOCK    26817G102    1530     161970    SHARES                X                 3     161970     0      0
E TRADE FINL CORP     COMMON
                      STOCK    269246104      80       3600    SHARES                X                 3       3600     0      0
EARTHLINK INC COM     COMMON
                      STOCK    270321102      37       4950    SHARES                X                 3       4950     0      0
EASTMAN CHEM CO       COMMON
                      STOCK    277432100      45        700    SHARES                X                 3        700     0      0
EASTMAN KODAK CO      COMMON
                      STOCK    277461109      67       2400    SHARES                X                 3       2400     0      0
EATON CORP            COMMON
                      STOCK    278058102     116       1250    SHARES                X                 3       1250     0      0
EBAY INC              COMMON
                      STOCK    278642103     985      30609    SHARES                X                 3      30609     0      0
ECOLAB INC            COMMON
                      STOCK    278865100      64       1500    SHARES                X                 3       1500     0      0
EDISON INTL           COMMON
                      STOCK    281020107     155       2765    SHARES                X                 3       2765     0      0
EGL INC COM           COMMON
                      STOCK    268484102      14        300    SHARES                X                 3        300     0      0
EL PASO CORPORATION   COMMON
                      STOCK    28336L109     102       5900    SHARES                X                 3       5900     0      0
ELECTRONIC ARTS       COMMON
                      STOCK    285512109     529      11172    SHARES                X                 3      11038     0    134
ELECTRONIC DATA SYS   COMMON
                      STOCK    285661104     123       4425    SHARES                X                 3       4425     0      0
ELECTRONICS FOR IMAG  COMMON
                      STOCK    286082102    1746      61900    SHARES                X                 3      61900     0      0
ELI LILLY & CO        COMMON
                      STOCK    532457108    5128      91775    SHARES                X                 3      88694     0   3081
EMBARQ CORPORATION    COMMON
                      STOCK    29078E105      82       1300    SHARES                X                 3       1300     0      0
EMC CORP MASS         COMMON
                      STOCK    268648102    2689     148536    SHARES                X                 3     144658     0   3878
EMCOR GROUP INC       COMMON
                      STOCK    29084Q100    2245      30800    SHARES                X                 3      30800     0      0
EMERSON ELEC CO       COMMON
                      STOCK    291011104     318       6800    SHARES                X                 3       6800     0      0
ENDESA S A SPONSORED  COMMON
  ADR                 STOCK    29258N107      21        400    SHARES                X                 3        400     0      0
ENGLOBAL CORP         COMMON
                      STOCK    293306106    1712     140900    SHARES                X                 3     140900     0      0
ENSCO INTERNATIONAL   COMMON
  INC COM             STOCK    26874Q100    4648      76181    SHARES                X                 3      73423     0   2758
ENTERGY CORP          COMMON
                      STOCK    29364G103     228       2130    SHARES                X                 3       2130     0      0
EOG RESOURCES INC     COMMON
                      STOCK    26875P101    3095      42362    SHARES                X                 3      40959     0   1403
EQUIFAX INC           COMMON
                      STOCK    294429105      46       1025    SHARES                X                 3       1025     0      0
EQUITY RESIDENTIAL    SH BEN
                      INT      29476L107     116       2550    SHARES                X                 3       2550     0      0
ESTEE LAUDER CO       COMMON
                      STOCK    518439104    3203      70352    SHARES                X                 3      67073     0   3279
EXELON CORP           COMMON
                      STOCK    30161N101     403       5550    SHARES                X                 3       5550     0      0
EXPEDITORS INTL WASH  COMMON
                      STOCK    302130109    1313      31800    SHARES                X                 3      31800     0      0
EXPRESS SCRIPTS INC   COMMON
                      STOCK    302182100    4931      98626    SHARES                X                 3      94942     0   3684
EXXON MOBIL CORP      COMMON
                      STOCK    30231G102   25364     302374    SHARES                X                 3     296870     0   5504
EZCORP INC CLASS A    COMMON
                      STOCK    302301106      15       1100    SHARES                X                 3       1100     0      0
F5 NETWORKS INC       COMMON
                      STOCK    315616102    1192      14800    SHARES                X                 3      14800     0      0
FAMILY DOLLAR STORES  COMMON
                      STOCK    307000109      43       1250    SHARES                X                 3       1250     0      0
FASTENAL CO           COMMON
                      STOCK    311900104    1024      21900    SHARES                X                 3      21900     0      0
FED NATL MTG ASSN COM COMMON
                      STOCK    313586109     544       8330    SHARES                X                 3       8330     0      0
FEDERATED INVS INC    COMMON
                      B        314211103     169       4400    SHARES                X                 3       4400     0      0
FEDEX CORPORATION     COMMON
                      STOCK    31428X106     291       2625    SHARES                X                 3       2625     0      0
FELCOR LODGING TRUST  COMMON
  INC (REIT           STOCK    31430F101      22        860    SHARES                X                 3       N.A.  N.A.   N.A.
FIDELITY NATL INFO    COMMON
                      STOCK    31620M106     518       9541    SHARES                X                 3       9541     0      0
FIFTH THIRD BANCORP   COMMON
                      STOCK    316773100     187       4700    SHARES                X                 3       4700     0      0
FIRST DATA CORP       COMMON
                      STOCK    319963104     212       6500    SHARES                X                 3       6500     0      0
FIRST HORIZON NATL    COMMON
                      STOCK    320517105     129       3300    SHARES                X                 3       3300     0      0
FIRST SOLAR           COMMON
                      STOCK    336433107    1375      15400    SHARES                X                 3      15400     0      0
FIRSTENERGY CORP      COMMON
                      STOCK    337932107     162       2500    SHARES                X                 3       2500     0      0
FISERV INC            COMMON
                      STOCK    337738108      82       1450    SHARES                X                 3       1450     0      0
FLUOR CORPORATION     COMMON
                      STOCK    343412102      84        750    SHARES                X                 3        750     0      0
FOMENTO ECONOMICO     COMMON
  MEXICANA ADR        STOCK    344419106      32        810    SHARES                X                 3        810     0      0
FOOT LOCKER INC       COMMON
                      STOCK    344849104     164       7500    SHARES                X                 3       7500     0      0
FORD MOTOR CO         COMMON
                      STOCK    345370860     148      15700    SHARES                X                 3      15700     0      0
FOREST LABS INC       COMMON
                      STOCK    345838106     134       2931    SHARES                X                 3       2931     0      0
FORTUNE BRANDS INC    COMMON
                      STOCK    349631101     111       1350    SHARES                X                 3       1350     0      0
FOSTER WHEELER LTD    COMMON
                      STOCK    G36535139    8252      77113    SHARES                X                 3      75511     0   1602
FPL GROUP INC         COMMON
                      STOCK    302571104     197       3470    SHARES                X                 3       3470     0      0
FRANKLIN RES INC      COMMON
                      STOCK    354613101     185       1400    SHARES                X                 3       1400     0      0
FREEPORT- MCMORAN C&G COMMON
                      STOCK    35671D857     265       3200    SHARES                X                 3       3200     0      0
FREMONT GENERAL       COMMON
  CORPORATION         STOCK    357288109      18       1700    SHARES                X                 3       1700     0      0
GAMESTOP CORP HLDG    COMMON
                      STOCK    36467W109    1694      43300    SHARES                X                 3      43300     0      0
GANNETT CO INC        COMMON
                      STOCK    364730101     165       3000    SHARES                X                 3       3000     0      0
GAP INC               COMMON
                      STOCK    364760108     274      14300    SHARES                X                 3      14300     0      0
GENCO SHIPPING&TRAD   COMMON
                      STOCK    Y2685T107    1613      39100    SHARES                X                 3      39100     0      0
GENENTECH INC         COMMON
                      STOCK    368710406     823      10880    SHARES                X                 3      10880     0      0
GENERAL DYNAMICS      COMMON
                      STOCK    369550108     343       4388    SHARES                X                 3       4388     0      0
GENERAL ELECTRIC CO   COMMON
                      STOCK    369604103   18986     495999    SHARES                X                 3     482346     0  13653



                                   36 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
GENERAL GROWTH PPTYS  COMMON
                      STOCK    370021107      53       1000    SHARES                X                 3       1000   0       0
GENERAL MILLS INC     COMMON
                      STOCK    370334104     592      10137    SHARES                X                 3       9137   0    1000
GENERAL MOTORS CORP   COMMON
                      STOCK    370442105     178       4700    SHARES                X                 3       4700   0       0
GENUINE PARTS CO      COMMON
                      STOCK    372460105      67       1360    SHARES                X                 3       1360   0       0
GENWORTH FINANCIAL    COMMON
                      STOCK    37247D106     120       3500    SHARES                X                 3       3500   0       0
GENZYME CORP          COMMON
                      STOCK    372917104     142       2200    SHARES                X                 3       2200   0       0
GILAT SATELLITE NTWK  COMMON
                      STOCK    M51474118    1485     154200    SHARES                X                 3     154200   0       0
GILEAD SCIENCES INC   COMMON
                      STOCK    375558103    2824      72782    SHARES                X                 3      70552   0    2230
GLOBALSANTAFE CORP    COMMON
                      STOCK    G3930E101      20        270    SHARES                X                 3        270   0       0
GOLDMAN SACHS GROUP   COMMON
                      STOCK    38141G104    2757      12719    SHARES                X                 3      12377   0     342
GOODRICH CORP         COMMON
                      STOCK    382388106     172       2885    SHARES                X                 3       2885   0       0
GOODYEAR TIRE & RUBR  COMMON
                      STOCK    382550101      93       2670    SHARES                X                 3       2670   0       0
GOOGLE INC            COMMON
                      STOCK    38259P508    9017      17248    SHARES                X                 3      16915   0     333
GRACO INC             COMMON
                      STOCK    384109104    1702      42255    SHARES                X                 3      39500   0    2755
GRAINGER W W INC      COMMON
                      STOCK    384802104      56        605    SHARES                X                 3        605   0       0
GRANT PRIDECO INC     COMMON
                      STOCK    38821G101    2019      37500    SHARES                X                 3      37500   0       0
GREAT WOLF RESORTS    COMMON
                      STOCK    391523107    1466     102900    SHARES                X                 3     102900   0       0
GREY WOLF INC         COMMON
                      STOCK    397888108      24       2900    SHARES                X                 3       2900   0       0
HALLIBURTON           COMMON
                      STOCK    406216101     262       7600    SHARES                X                 3       7600   0       0
HARLEY DAVIDSON INC   COMMON
                      STOCK    412822108     167       2810    SHARES                X                 3       2810   0       0
HARMAN INTL INDS      COMMON
                      STOCK    413086109     425       3640    SHARES                X                 3       3640   0       0
HARRAHS ENTMT INC     COMMON
                      STOCK    413619107     136       1600    SHARES                X                 3       1600   0       0
HARRIS CORP           COMMON
                      STOCK    413875105    5074      93002    SHARES                X                 3      91053   0    1949
HARSCO CORP           COMMON
                      STOCK    415864107    5639     108446    SHARES                X                 3     105886   0    2560
HARTFORD FINL SVCS    COMMON
                      STOCK    416515104     271       2750    SHARES                X                 3       2750   0       0
HASBRO INC            COMMON
                      STOCK    418056107      60       1900    SHARES                X                 3       1900   0       0
HAYNES INTERNATIONAL  COMMON
                      STOCK    420877201    2381      28200    SHARES                X                 3      28200   0       0
HCC INS HLDGS INC     COMMON
                      STOCK    404132102    3034      90800    SHARES                X                 3      90800   0       0
HEALTH NET INC        COMMON
                      STOCK    42222G108     729      13800    SHARES                X                 3      13800   0       0
HEINZ H J CO          COMMON
                      STOCK    423074103     133       2800    SHARES                X                 3       2800   0       0
HERCULES INC          COMMON
                      STOCK    427056106      20       1000    SHARES                X                 3       1000   0       0
HESS CORPORATION      COMMON
                      STOCK    42809H107     136       2310    SHARES                X                 3       2310   0       0
HEWLETT PACKARD CO    COMMON
                      STOCK    428236103    6301     141247    SHARES                X                 3     137668   0    3579
HILTON HOTELS CORP    COMMON
                      STOCK    432848109     873      26070    SHARES                X                 3      26070   0       0
HOLOGIC INC COM       COMMON
                      STOCK    436440101      22        400    SHARES                X                 3        400   0       0
HOME DEPOT INC        COMMON
                      STOCK    437076102    5433     138057    SHARES                X                 3     135520   0    2537
HONEYWELL INTL INC    COMMON
                      STOCK    438516106     377       6710    SHARES                X                 3       6710   0       0
HORIZON LINES INC     COMMON
                      STOCK    44044K101    1507      46000    SHARES                X                 3      46000   0       0
HOSPIRA INC           COMMON
                      STOCK    441060100      51       1300    SHARES                X                 3       1300   0       0
HOST HOTELS & RESRTS  REIT     44107P104      99       4300    SHARES                X                 3       4300   0       0
HOUSTON WIRE & CABLE  COMMON
                      STOCK    44244K109     949      33400    SHARES                X                 3      33400   0       0
HUB GROUP INC         COMMON
                      STOCK    443320106    1433      40750    SHARES                X                 3      40750   0       0
HUBBELL INC           COMMON
                      STOCK    443510201    2006      37000    SHARES                X                 3      37000   0       0
HUDSON CITY BANCORP   COMMON
                      STOCK    443683107      53       4300    SHARES                X                 3       4300   0       0
HUMANA INC            COMMON
                      STOCK    444859102     105       1730    SHARES                X                 3       1730   0       0
HUNTINGTON BANCSHARE  COMMON
                      STOCK    446150104      45       2000    SHARES                X                 3       2000   0       0
HUNTSMAN CORP         COMMON
                      STOCK    447011107      24       1000    SHARES                X                 3       1000   0       0
HURCO CO              COMMON
                      STOCK    447324104     400       8000    SHARES                X                 3       8000   0       0
IAC INTERACTIVECORP   COMMON
                      STOCK    44919P300      66       1900    SHARES                X                 3       1900   0       0
IDEARC INC            COMMON
                      STOCK    451663108      14        397    SHARES                X                 3        397   0       0
ILLINOIS TOOL WORKS   COMMON
                      STOCK    452308109     190       3500    SHARES                X                 3       3500   0       0
IMMUCOR INC           COMMON
                      STOCK    452526106      51       1820    SHARES                X                 3       1820   0       0
IMS HEALTH INC        COMMON
                      STOCK    449934108    2091      65100    SHARES                X                 3      65100   0       0
INFRASOURCE SVCS INC  COMMON
                      STOCK    45684P102    2479      66800    SHARES                X                 3      66800   0       0
INGERSOLL-RAND CO     COMMON
                      STOCK    G4776G101     192       3500    SHARES                X                 3       3500   0       0
INSIGHT ENTERPRISES   COMMON
                      STOCK    45765U103    1580      70000    SHARES                X                 3      70000   0       0
INTEGRATED ELECTRIC   COMMON
                      STOCK    45811E301    2034      61700    SHARES                X                 3      61700   0       0
INTEGRYS ENERGY       COMMON
                      STOCK    45822P105      30        600    SHARES                X                 3        600   0       0
INTEL CORP            COMMON
                      STOCK    458140100    5981     251951    SHARES                X                 3     246715   0    5236
INTERCONTINENTAL      COMMON
  EXCHANGE INC        STOCK    45865V100    2537      17165    SHARES                X                 3      17165   0       0
INTERNATIONAL         COMMON
  BUSINESS MACHINE    STOCK    459200101    9866      93718    SHARES                X                 3      90533   0    3185
INTERNATIONAL PAPER   COMMON
                      STOCK    460146103     293       7500    SHARES                X                 3       7500   0       0
INTERNET INITIATIVE   COMMON
  JAPAN SP-A          STOCK    46059T109      21       2500    SHARES                X                 3       2500   0       0
INTERPUBLIC GROUP     COMMON
                      STOCK    460690100      48       4201    SHARES                X                 3       4201   0       0
INTL FLAVORS & FRAGR  COMMON
                      STOCK    459506101      31        585    SHARES                X                 3        585   0       0
INTL GAME TECH        COMMON
                      STOCK    459902102     113       2850    SHARES                X                 3       2850   0       0
INTUIT                COMMON
                      STOCK    461202103     756      25150    SHARES                X                 3      25150   0       0
INTUITIVE SURGIC INC  COMMON
                      STOCK    46120E602    2706      19496    SHARES                X                 3      18949   0     547
INVITROGEN CORP       COMMON
                      STOCK    46185R100     811      11000    SHARES                X                 3      11000   0       0
ISHARES RUSSELL 3000  COMMON
  GRTH INDX           STOCK    464287671      34        700    SHARES                X                 3        700   0       0
ISHARES TR            S&P
                      MIDCP
                      400 GRW  464287606     548       6100    SHARES                X                 3       6100   0       0
ISHARES TR            RUSL
                      2000
                      GROW     464287648    1915      22300    SHARES                X                 3      22300   0       0
ITT CORPORATION       COMMON
                      STOCK    450911102     102       1500    SHARES                X                 3       1500   0       0
JABIL CIRCUIT INC     COMMON
                      STOCK    466313103      38       1700    SHARES                X                 3       1700   0       0
JANUS CAPITAL GROUP   COMMON
                      STOCK    47102X105      47       1700    SHARES                X                 3       1700   0       0
JARDEN CORP           COMMON
                      STOCK    471109108     886      20600    SHARES                X                 3      20600   0       0
JDS UNIPHASE CORP     COMMON
                      STOCK    46612J507      24       1800    SHARES                X                 3       1800   0       0
JOHNSON & JOHNSON     COMMON
                      STOCK    478160104   10854     176142    SHARES                X                 3     176142   0       0


                                   37 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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 CONTROLS INC  COMMON
                      STOCK    478366107     190       1640    SHARES                X                 3       1640   0       0
JONES APPAREL GROUP   COMMON
                      STOCK    480074103     141       5000    SHARES                X                 3       5000   0       0
JOS A BANK CLOTHIERS  COMMON
                      STOCK    480838101    1194      28800    SHARES                X                 3      28800   0       0
JOY GLOBAL INC        COMMON
                      STOCK    481165108    2936      50345    SHARES                X                 3      50345   0       0
JPMORGAN CHASE & CO   COMMON
                      STOCK    46625H100    5339     110202    SHARES                X                 3     108085   0    2117
JUNIPER NETWORKS COM  COMMON
                      STOCK    48203R104     153       6060    SHARES                X                 3       6060   0       0
KANSAS CITY SOUTHERN  COMMON
                      STOCK    485170302    1468      39100    SHARES                X                 3      39100   0       0
KB HOME               COMMON
                      STOCK    48666K109     107       2700    SHARES                X                 3       2700   0       0
KBR INC               COMMON
                      STOCK    48242W106    2091      79700    SHARES                X                 3      79700   0       0
KELLOGG CO            COMMON
                      STOCK    487836108     109       2100    SHARES                X                 3       2100   0       0
KENNAMETAL INC        COMMON
                      STOCK    489170100    1690      20600    SHARES                X                 3      20600   0       0
KEYCORP               COMMON
                      STOCK    493267108     152       4445    SHARES                X                 3       4445   0       0
KEYSPAN CORPORATION   COMMON
                      STOCK    49337W100      59       1400    SHARES                X                 3       1400   0       0
KIMBERLY CLARK CORP   COMMON
                      STOCK    494368103     358       5350    SHARES                X                 3       5350   0       0
KIMCO REALTY CORP     COMMON
                      STOCK    49446R109      76       2000    SHARES                X                 3       2000   0       0
KINETIC CONCEPTS INC  COMMON
                      STOCK    49460W208      14        270    SHARES                X                 3        270   0       0
KING PHARMACEUTICALS  COMMON
                      STOCK    495582108      44       2133    SHARES                X                 3       2133   0       0
KLA-TENCOR CORP       COMMON
                      STOCK    482480100      93       1700    SHARES                X                 3       1700   0       0
KMG CHEMICALS INC     COMMON
                      STOCK    482564101    1205      45600    SHARES                X                 3      45600   0       0
KOHLS CORP            COMMON
                      STOCK    500255104     702       9870    SHARES                X                 3       9870   0       0
KOMAG INC             COMMON
                      STOCK    500453204      18        560    SHARES                X                 3        560   0       0
KRAFT FOODS INC       COMMON
                      STOCK    50075N104    3567     101217    SHARES                X                 3      97417   0    3800
KROGER CO             COMMON
                      STOCK    501044101     222       7900    SHARES                X                 3       7900   0       0
KYPHON INC            COMMON
                      STOCK    501577100    1262      26200    SHARES                X                 3      26200   0       0
L-3 COMMUNICATIONS    COMMON
                      STOCK    502424104     107       1100    SHARES                X                 3       1100   0       0
LABORATORY CORP AMER  COMMON
                      STOCK    50540R409      78       1000    SHARES                X                 3       1000   0       0
LABRANCHE & CO INC    COMMON
                      STOCK    505447102      20       2730    SHARES                X                 3       2730   0       0
LADISH INC            COMMON
                      STOCK    505754200    2366      55000    SHARES                X                 3      55000   0       0
LANDAMERICA           COMMON
  FINANCIAL GROUP IN  STOCK    514936103      42        440    SHARES                X                 3        440   0       0
LAUREATE EDUCATION    COMMON
                      STOCK    518613104    1314      21320    SHARES                X                 3      21164   0     156
LAWSON SOFTWARE       COMMON
                      STOCK    52078P102    1271     128500    SHARES                X                 3     128500   0       0
LEGG MASON INC        COMMON
                      STOCK    524901105     108       1100    SHARES                X                 3       1100   0       0
LEGGETT & PLATT INC   COMMON
                      STOCK    524660107      31       1400    SHARES                X                 3       1400   0       0
LEHMAN BROS HLDGS     COMMON
                      STOCK    524908100    5491      73359    SHARES                X                 3      71136   0    2223
LENNAR CORP           COMMON
                      STOCK    526057104      40       1100    SHARES                X                 3       1100   0       0
LEXMARK INTL          COMMON
                      STOCK    529771107      93       1900    SHARES                X                 3       1900   0       0
LIBERTY MEDIA HLDG    COMMON
  CORP - CAP          STOCK    53071M302      35        300    SHARES                X                 3        300   0       0
LIFECELL CORP         COMMON
                      STOCK    531927101     943      30900    SHARES                X                 3      30900   0       0
LIMITED BRANDS INC    COMMON
                      STOCK    532716107     212       7700    SHARES                X                 3       7700   0       0
LINCOLN NATIONAL CORP COMMON
                      STOCK    534187109    3159      44513    SHARES                X                 3      44387   0     126
LINEAR TECHNOLOGY     COMMON
                      STOCK    535678106      80       2200    SHARES                X                 3       2200   0       0
LIZ CLAIBORNE INC     COMMON
                      STOCK    539320101      31        840    SHARES                X                 3        840   0       0
LOCKHEED MARTIN CORP  COMMON
                      STOCK    539830109    4122      43786    SHARES                X                 3      43786   0       0
LOEWS CORP            COMMON
                      STOCK    540424108     194       3800    SHARES                X                 3       3800   0       0
LOGITECH INTL         ADR      H50430232    1222      46300    SHARES                X                 3      46300   0       0
LOWES CO              COMMON
                      STOCK    548661107    1567      51045    SHARES                X                 3      47519   0    3526
LSI CORPORATION       COMMON
                      STOCK    502161102      51       6800    SHARES                X                 3       6800   0       0
LUBRIZOL CORP         COMMON
                      STOCK    549271104      45        700    SHARES                X                 3        700   0       0
LUMINEX CORP DEL      COMMON
                      STOCK    55027E102     506      41100    SHARES                X                 3      41100   0       0
LYONDELL CHEMICAL CO  COMMON
                      STOCK    552078107      56       1500    SHARES                X                 3       1500   0       0
M & T BANK CORP       COMMON
                      STOCK    55261F104      88        830    SHARES                X                 3        830   0       0
MACYS INC             COMMON
                      STOCK    55616P104     155       3900    SHARES                X                 3       3900   0       0
MANOR CARE INC        COMMON
                      STOCK    564055101      39        590    SHARES                X                 3        590   0       0
MARATHON OIL CORP     COMMON
                      STOCK    565849106     440       7330    SHARES                X                 3       7330   0       0
MARRIOTT INTL INC     COMMON
                      STOCK    571903202     143       3300    SHARES                X                 3       3300   0       0
MARSH & MCLENNAN COS  COMMON
                      STOCK    571748102     145       4680    SHARES                X                 3       4680   0       0
MARSHALL & ILSLEY     COMMON
                      STOCK    571834100     276       5800    SHARES                X                 3       5800   0       0
MARTEK BIOSCIENCES    COMMON
                      STOCK    572901106     420      16200    SHARES                X                 3      16200   0       0
MARTIN MARIETTA       COMMON
  MATERIALS INC       STOCK    573284106      19        120    SHARES                X                 3        120   0       0
MASCO CORP            COMMON
                      STOCK    574599106     208       7300    SHARES                X                 3       7300   0       0
MASTEC INC            COMMON
                      STOCK    576323109    1866     117900    SHARES                X                 3     117900   0       0
MATRIX SVC CO         COMMON
                      STOCK    576853105    2249      90500    SHARES                X                 3      90500   0       0
MATTEL INC            COMMON
                      STOCK    577081102      83       3300    SHARES                X                 3       3300   0       0
MAXIM INTEGRATED PRO  COMMON
                      STOCK    57772K101    1670      50000    SHARES                X                 3      50000   0       0
MBIA INC              COMMON
                      STOCK    55262C100     255       4100    SHARES                X                 3       4100   0       0
MCAFEE INC            COMMON
                      STOCK    579064106      56       1600    SHARES                X                 3       1600   0       0
MCCORMICK & CO INC    COMMON
                      STOCK    579780107       2         50    SHARES                X                 3         50   0       0
MCCORMICK & CO INC    COMMON
                      STOCK    579780206      76       2000    SHARES                X                 3       2000   0       0
MCDERMOTT INTL INC    COMMON
                      STOCK    580037109    3940      47400    SHARES                X                 3      47400   0       0
MCDONALDS CORP        COMMON
                      STOCK    580135101     542      10670    SHARES                X                 3      10670   0       0
MCGRAW HILL COS INC   COMMON
                      STOCK    580645109     204       3000    SHARES                X                 3       3000   0       0
MCKESSON CORP         COMMON
                      STOCK    58155Q103     241       4041    SHARES                X                 3       2941   0    1100
MEADWESTVACO CORP     COMMON
                      STOCK    583334107     145       4100    SHARES                X                 3       4100   0       0
MEDAREX INC           COMMON
                      STOCK    583916101     881      61700    SHARES                X                 3      61700   0       0
MEDCO HEALTH SOL      COMMON
                      STOCK    58405U102     187       2400    SHARES                X                 3       2400   0       0
MEDICIS PHARMACEUTCL  COMMON
                      STOCK    584690309     785      25700    SHARES                X                 3      25700   0       0
MEDTRONIC INC         COMMON
                      STOCK    585055106     494       9525    SHARES                X                 3       9525   0       0
MELLON FINL CORP      COMMON
                      STOCK    58551A108     156       3535    SHARES                X                 3       3535   0       0



                                   38 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
MEMC ELECTR MATLS     COMMON
                      STOCK    552715104    1617      26470    SHARES                X                 3      26470   0       0
MENS WEARHOUSE INC    COMMON
                      STOCK    587118100    1471      28800    SHARES                X                 3      28800   0       0
MERCK & CO INC        COMMON
                      STOCK    589331107     994      19978    SHARES                X                 3      19978   0       0
MERCURY GENERAL CORP  COMMON
                      STOCK    589400100     116       2100    SHARES                X                 3       2100   0       0
MEREDITH CORP         COMMON
                      STOCK    589433101      22        360    SHARES                X                 3        360   0       0
MERRILL LYNCH & CO    COMMON
                      STOCK    590188108     618       7400    SHARES                X                 3       7400   0       0
METLIFE INC           COMMON
                      STOCK    59156R108     406       6300    SHARES                X                 3       6300   0       0
MFRI INC              COMMON
                      STOCK    552721102    1452      51900    SHARES                X                 3      51900   0       0
MGIC INVT CORP        COMMON
                      STOCK    552848103     187       3300    SHARES                X                 3       3300   0       0
MICREL INC COM        COMMON
                      STOCK    594793101      20       1600    SHARES                X                 3       1600   0       0
MICROCHIP TECHNOLOGY  COMMON
                      STOCK    595017104     433      11700    SHARES                X                 3      11700   0       0
MICRON TECHNOLOGY     COMMON
                      STOCK    595112103      80       6400    SHARES                X                 3       6400   0       0
MICROSOFT CORP        COMMON
                      STOCK    594918104   12919     438405    SHARES                X                 3     429555   0    8850
MILLIPORE CORP        COMMON
                      STOCK    601073109      32        430    SHARES                X                 3        430   0       0
MOLEX INC             COMMON
                      STOCK    608554101      35       1150    SHARES                X                 3       1150   0       0
MOLSON COORS BREWING  COMMON
                      STOCK    60871R209      37        400    SHARES                X                 3        400   0       0
MONARCH CASINO&RES    COMMON
                      STOCK    609027107    1272      47400    SHARES                X                 3      47400   0       0
MONSANTO CO           COMMON
                      STOCK    61166W101     304       4500    SHARES                X                 3       4500   0       0
MONSTER WORLDWIDE     COMMON
                      STOCK    611742107      45       1100    SHARES                X                 3       1100   0       0
MOODYS CORP           COMMON
                      STOCK    615369105     124       2000    SHARES                X                 3       2000   0       0
MORGAN STANLEY        COMMON
                      STOCK    617446448    7003      83487    SHARES                X                 3      81300   0    2187
MOTOROLA INC          COMMON
                      STOCK    620076109     433      24468    SHARES                X                 3      24468   0       0
MURPHY OIL CORP       COMMON
                      STOCK    626717102      95       1600    SHARES                X                 3       1600   0       0
MYLAN LABS INC        COMMON
                      STOCK    628530107      36       2000    SHARES                X                 3       2000   0       0
NABORS INDS LTD       COMMON
                      STOCK    G6359F103     110       3300    SHARES                X                 3       2300   0    1000
NATIONAL CITY CORP    COMMON
                      STOCK    635405103     167       5000    SHARES                X                 3       5000   0       0
NATIONAL OILWELL VAR  COMMON
                      STOCK    637071101     156       1500    SHARES                X                 3       1500   0       0
NATIONAL SEMICONDUCT  COMMON
                      STOCK    637640103      70       2470    SHARES                X                 3       2470   0       0
NCR CORP              COMMON
                      STOCK    62886E108      79       1500    SHARES                X                 3       1500   0       0
NETWORK APPLIANCE     COMMON
                      STOCK    64120L104     918      31455    SHARES                X                 3      31455   0       0
NEW YORK CMNTY BANCO  COMMON
                      STOCK    649445103     163       9600    SHARES                X                 3       9600   0       0
NEW YORK TIMES CO     COMMON
                      STOCK    650111107      32       1270    SHARES                X                 3       1270   0       0
NEWELL RUBBERMAID IN  COMMON
                      STOCK    651229106      66       2250    SHARES                X                 3       2250   0       0
NEWFIELD EXPL CO      COMMON
                      STOCK    651290108     692      15200    SHARES                X                 3      15200   0       0
NEWMARKET CORPORATION COMMON
                      STOCK    651587107      15        300    SHARES                X                 3        300   0       0
NEWMONT MINING CORP   COMMON
                      STOCK    651639106     152       3900    SHARES                X                 3       3900   0       0
NEWS CORP INC-A       COMMON
                      STOCK    65248E104    4046     190743    SHARES                X                 3     187145   0    3598
NICOR INC             COMMON
                      STOCK    654086107      15        340    SHARES                X                 3        340   0       0
NIKE INC              COMMON
                      B        654106103     897      15396    SHARES                X                 3      15396   0       0
NISOURCE INC          COMMON
                      STOCK    65473P105     131       6300    SHARES                X                 3       6300   0       0
NOBLE CORPORATION     COMMON
                      STOCK    G65422100     110       1125    SHARES                X                 3       1125   0       0
NOBLE ENERGY INC      COMMON
                      STOCK    655044105    1566      25100    SHARES                X                 3      25100   0       0
NORDSTROM INC         COMMON
                      STOCK    655664100     607      11850    SHARES                X                 3      11850   0       0
NORFOLK SOUTHERN      COMMON
                      STOCK    655844108     218       4150    SHARES                X                 3       4150   0       0
NORTHERN TR CORP      COMMON
                      STOCK    665859104     319       4970    SHARES                X                 3       4970   0       0
NORTHROP GRUMMAN CO   COMMON
                      STOCK    666807102     343       4400    SHARES                X                 3       4400   0       0
NOVARTIS AG ADR       COMMON
                      STOCK    66987V109     975      17390    SHARES                X                 3      14857   0    2533
NOVELL INC            COMMON
                      STOCK    670006105      23       2925    SHARES                X                 3       2925   0       0
NOVELLUS SYS INC      COMMON
                      STOCK    670008101      97       3420    SHARES                X                 3       3420   0       0
NUCOR CORP            COMMON
                      STOCK    670346105     163       2800    SHARES                X                 3       2800   0       0
NVIDIA CORP           COMMON
                      STOCK    67066G104     124       3000    SHARES                X                 3       3000   0       0
OCCIDENTAL PETE CORP  COMMON
                      STOCK    674599105     562       9700    SHARES                X                 3       9700   0       0
OCWEN FINANCIAL CORP  COMMON
                      STOCK    675746309      15       1100    SHARES                X                 3       1100   0       0
OFFICE DEPOT INC      COMMON
                      STOCK    676220106      85       2800    SHARES                X                 3       2800   0       0
OFFICEMAX INC         COMMON
                      STOCK    67622P101      25        625    SHARES                X                 3        625   0       0
OMNICOM GROUP INC     COMMON
                      STOCK    681919106     151       2850    SHARES                X                 3       2850   0       0
ON SEMICONDUCTOR COR  COMMON
                      STOCK    682189105    1006      93800    SHARES                X                 3      93800   0       0
ON TRACK INNOVATION   COMMON
                      STOCK    M8791A109       6        900    SHARES                X                 3        900   0       0
OPPENHEIMER HLDGS     COMMON
                      STOCK    683797104    1190      23100    SHARES                X                 3      23100   0       0
ORACLE CORP           COMMON
                      STOCK    68389X105    1944      98740    SHARES                X                 3      98740   0       0
OSI PHARMACEUTICALS   COMMON
                      STOCK    671040103     599      16500    SHARES                X                 3      16500   0       0
PACCAR INC            COMMON
                      STOCK    693718108     227       2600    SHARES                X                 3       2600   0       0
PACIFIC SUNWEAR OF    COMMON
  CALIFORNIA          STOCK    694873100      29       1300    SHARES                X                 3       1300   0       0
PACKAGING CORP AMER   COMMON
                      STOCK    695156109      94       3700    SHARES                X                 3       3700   0       0
PACTIV CORP           COMMON
                      STOCK    695257105      53       1665    SHARES                X                 3       1665   0       0
PAIN THERAPEUTICS     COMMON
  INCORPORATED        STOCK    69562K100      23       2680    SHARES                X                 3       2680   0       0
PALL CORP             COMMON
                      STOCK    696429307      45        980    SHARES                X                 3        980   0       0
PARKER HANNIFIN CORP  COMMON
                      STOCK    701094104      98       1000    SHARES                X                 3       1000   0       0
PATTERSON COMPANIES   COMMON
                      STOCK    703395103      41       1100    SHARES                X                 3       1100   0       0
PATTERSON-UTI ENERGY  COMMON
  INC                 STOCK    703481101      34       1300    SHARES                X                 3       1300   0       0
PAYCHEX INC           COMMON
                      STOCK    704326107     203       5200    SHARES                X                 3       5200   0       0
PAYLESS SHOESOURCE    COMMON
                      STOCK    704379106     956      30300    SHARES                X                 3      30300   0       0
PDL BIOPHARMA INC     COMMON
                      STOCK    69329Y104     590      25300    SHARES                X                 3      25300   0       0
PEABODY ENERGY CORP   COMMON
                      STOCK    704549104    1702      35170    SHARES                X                 3      35170   0       0
PEDIATRIX MED GRP     COMMON
                      STOCK    705324101    2303      41760    SHARES                X                 3      41760   0       0
PENN NATL GAMING INC  COMMON
                      STOCK    707569109    1700      28300    SHARES                X                 3      28300   0       0
PENNEY J C INC        COMMON
                      STOCK    708160106    4118      56887    SHARES                X                 3      55531   0    1356
PENNS WOODS BANCORP   COMMON
  INC.                STOCK    708430103     311       9082    SHARES                X                 3       9082   0       0



                                   39 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
PENTAIR INC           COMMON
                      STOCK    709631105     150       3900    SHARES                X                 3       3900   0       0
PEPSI BOTTLING GRP    COMMON
                      STOCK    713409100      37       1100    SHARES                X                 3       1100   0       0
PEPSICO INC           COMMON
                      STOCK    713448108    8889     137089    SHARES                X                 3     134504   0    2585
PERKINELMER INC       COMMON
                      STOCK    714046109      27       1030    SHARES                X                 3       1030   0       0
PERRIGO CO            COMMON
                      STOCK    714290103    1782      91000    SHARES                X                 3      91000   0       0
PFIZER INC            COMMON
                      STOCK    717081103    7102     277803    SHARES                X                 3     277803   0       0
PG&E CORP             COMMON
                      STOCK    69331C108     135       2980    SHARES                X                 3       2980   0       0
PHARMACEUTIAL         COMMON
  PRODUCT DEVEL IN    STOCK    717124101    3701      96665    SHARES                X                 3      96665   0       0
PIKE ELECTRIC CORP    COMMON
                      STOCK    721283109    1150      51400    SHARES                X                 3      51400   0       0
PINNACLE AIRLINES     COMMON
  CORP                STOCK    723443107      17        920    SHARES                X                 3        920   0       0
PINNACLE WEST CAP     COMMON
                      STOCK    723484101      36        900    SHARES                X                 3        900   0       0
PIONEER NATURAL RES   COMMON
                      STOCK    723787107     380       7800    SHARES                X                 3       7800   0       0
PIPER JAFFRAY         COMMON
  COMPANIES INC       STOCK    724078100    1661      29810    SHARES                X                 3      29810   0       0
PITNEY BOWES INC      COMMON
                      STOCK    724479100     155       3305    SHARES                X                 3       3305   0       0
PLATINUM UNDERWRITER  COMMON
                      STOCK    G7127P100    1578      45400    SHARES                X                 3      45400   0       0
PLUM CREEK TIMBER CO  COMMON
                      STOCK    729251108      65       1550    SHARES                X                 3       1550   0       0
PMC-SIERRA INC        COMMON
                      STOCK    69344F106    2744     355000    SHARES                X                 3     355000   0       0
PNC FINANCIAL         COMMON
  SERVICES GROUP I    STOCK    693475105     316       4406    SHARES                X                 3       4406   0       0
POLARIS INDS INC      COMMON
                      STOCK    731068102     108       2000    SHARES                X                 3       2000   0       0
POLO RALPH LAUREN     COMMON
                      STOCK    731572103      49        500    SHARES                X                 3        500   0       0
POWELL INDS INC       COMMON
                      STOCK    739128106     854      26900    SHARES                X                 3      26900   0       0
POZEN INC             COMMON
                      STOCK    73941U102    1047      57910    SHARES                X                 3      57910   0       0
PPG INDUSTRIES INC    COMMON
                      STOCK    693506107     205       2690    SHARES                X                 3       2690   0       0
PPL CORP              COMMON
                      STOCK    69351T106     151       3230    SHARES                X                 3       3230   0       0
PRAXAIR INC           COMMON
                      STOCK    74005P104     195       2710    SHARES                X                 3       2710   0       0
PRECISION CASTPARTS   COMMON
                      STOCK    740189105    5251      43277    SHARES                X                 3      41628   0    1649
PRICE T ROWE GRP      COMMON
                      STOCK    74144T108     119       2300    SHARES                X                 3       2300   0       0
PRICELINE COM INC     COMMON
                      STOCK    741503403    2117      30800    SHARES                X                 3      30800   0       0
PRINCIPAL FINL GRP    COMMON
                      STOCK    74251V102     134       2300    SHARES                X                 3       2300   0       0
PROASSURANCE CORP     COMMON
                      STOCK    74267C106    2733      49100    SHARES                X                 3      49100   0       0
PROCTER & GAMBLE CO   COMMON
                      STOCK    742718109   13628     222722    SHARES                X                 3     219277   0    3445
PROGRESS ENERGY INC   COMMON
                      STOCK    743263105      97       2127    SHARES                X                 3       2127   0       0
PROGRESSIVE CORP      COMMON
                      STOCK    743315103     148       6200    SHARES                X                 3       6200   0       0
PROLOGIS              COMMON
                      STOCK    743410102     125       2200    SHARES                X                 3       2200   0       0
PROTECTIVE LIFE CORP  COMMON
                      STOCK    743674103     110       2300    SHARES                X                 3       2300   0       0
PRUDENTIAL FINL       COMMON
                      STOCK    744320102     389       4000    SHARES                X                 3       4000   0       0
PSYCHIATRIC SOLUTION  COMMON
                      STOCK    74439H108    8182     225638    SHARES                X                 3     225242   0     396
PUBLIC STORAGE        REIT     74460D109      81       1050    SHARES                X                 3       1050   0       0
PUBLIC SVC ENTERPR    COMMON
                      STOCK    744573106     185       2110    SHARES                X                 3       2110   0       0
PULTE HOMES INC       COMMON
                      STOCK    745867101      38       1700    SHARES                X                 3       1700   0       0
QLOGIC CORP           COMMON
                      STOCK    747277101      23       1400    SHARES                X                 3       1400   0       0
QLT INC               COMMON
                      STOCK    746927102      37       5050    SHARES                X                 3       5050   0       0
QUALCOMM INC          COMMON
                      STOCK    747525103    5876     135422    SHARES                X                 3     132004   0    3418
QUANTA SVCS INC       COMMON
                      STOCK    74762E102    2994      97600    SHARES                X                 3      97600   0       0
QUEST DIAGNOSTICS     COMMON
                      STOCK    74834L100      70       1350    SHARES                X                 3       1350   0       0
QUESTAR CORP          COMMON
                      STOCK    748356102      79       1500    SHARES                X                 3       1500   0       0
QWEST COMMUNCTN INTL  COMMON
                      STOCK    749121109     132      13600    SHARES                X                 3      13600   0       0
RADIAN GROUP INC      COMMON
                      STOCK    750236101    1235      22878    SHARES                X                 3      20899   0    1979
RADIOSHACK CORP       COMMON
                      STOCK    750438103      56       1700    SHARES                X                 3       1700   0       0
RAYTHEON              COMMON
                      STOCK    755111507     199       3700    SHARES                X                 3       3700   0       0
REGAL BELOIT CORP     COMMON
                      STOCK    758750103     959      20600    SHARES                X                 3      20600   0       0
REGIONS FINL CORP     COMMON
                      STOCK    7591EP100     199       6000    SHARES                X                 3       6000   0       0
REYNOLDS AMERN INC    COMMON
                      STOCK    761713106      91       1400    SHARES                X                 3       1400   0       0
RF MICRODEVICES INC   COMMON
                      STOCK    749941100     258      41300    SHARES                X                 3      41300   0       0
ROBERT HALF INTL INC  COMMON
                      STOCK    770323103      69       1890    SHARES                X                 3       1890   0       0
ROCKWELL AUTOMATION   COMMON
                      STOCK    773903109    5804      83567    SHARES                X                 3      80791   0    2776
ROCKWELL COLLINS INC  COMMON
                      STOCK    774341101     102       1440    SHARES                X                 3       1440   0       0
ROHM & HAAS CO        COMMON
                      STOCK    775371107     246       4500    SHARES                X                 3       4500   0       0
ROSS STORES INC       COMMON
                      STOCK    778296103     492      15950    SHARES                X                 3      15950   0       0
ROWAN COS INC         COMMON
                      STOCK    779382100      37        900    SHARES                X                 3        900   0       0
RPM INTERNATIONAL     COMMON
                      STOCK    749685103     104       4500    SHARES                X                 3       4500   0       0
RYDER SYSTEMS INC     COMMON
                      STOCK    783549108      25        470    SHARES                X                 3        470   0       0
S&P 500 DEP RECEIPTS  COMMON
                      STOCK    78462F103      75        500    SHARES                X                 3        500   0       0
SAFECO CORP           COMMON
                      STOCK    786429100      58        925    SHARES                X                 3        925   0       0
SAFEWAY INC           COMMON
                      STOCK    786514208     214       6280    SHARES                X                 3       6280   0       0
SAKS INCORPORATED     COMMON
                      STOCK    79377W108    1065      49900    SHARES                X                 3      49900   0       0
SANDISK CORP          COMMON
                      STOCK    80004C101      95       1950    SHARES                X                 3       1950   0       0
SANMINA-SCI CORP      COMMON
                      STOCK    800907107      11       3400    SHARES                X                 3       3400   0       0
SANOFI-AVENTIS        ADR      80105N105     101       2500    SHARES                X                 3       2500   0       0
SAP AG SPONS ADR      COMMON
                      STOCK    803054204     276       5400    SHARES                X                 3       5400   0       0
SARA LEE CORP         COMMON
                      STOCK    803111103     143       8220    SHARES                X                 3       8220   0       0
SCANA CORP NEW COM    COMMON
                      STOCK    80589M102      84       2200    SHARES                X                 3       2200   0       0
SCHERING PLOUGH CORP  COMMON
                      STOCK    806605101     433      14200    SHARES                X                 3      14200   0       0
SCHLUMBERGER LTD      COMMON
                      STOCK    806857108    6552      77159    SHARES                X                 3      73996   0    3163
SCHWAB CHARLES CORP   COMMON
                      STOCK    808513105     174       8500    SHARES                X                 3       8500   0       0
SCRIPPS E W CO OHIO   COMMON
                      STOCK    811054204      32        700    SHARES                X                 3        700   0       0
SEAGATE TECHNOLOGY    COMMON
                      STOCK    G7945J104    1391      63863    SHARES                X                 3      63552   0     311
SEALED AIR CORP       COMMON
                      STOCK    81211K100      42       1364    SHARES                X                 3       1364   0       0



                                   40 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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 CORP    COMMON
                      STOCK    812350106     403       2371    SHARES                X                 3       2371   0       0
SELECT COMFORT        COMMON
  CORPORATION         STOCK    81616X103      16       1000    SHARES                X                 3       1000   0       0
SEMPRA ENERGY         COMMON
                      STOCK    816851109     135       2276    SHARES                X                 3       2276   0       0
SEPRACOR INC          COMMON
                      STOCK    817315104     791      19289    SHARES                X                 3      19289   0       0
SHERWIN WILLIAMS CO   COMMON
                      STOCK    824348106      79       1190    SHARES                X                 3       1190   0       0
SHUFFLE MASTER INC    COMMON
                      STOCK    825549108     373      22500    SHARES                X                 3      22500   0       0
SIERRA HEALTH         COMMON
  SERVICES INC        STOCK    826322109    1928      46350    SHARES                X                 3      46350   0       0
SIGMA ALDRICH CORP    COMMON
                      STOCK    826552101      47       1100    SHARES                X                 3       1100   0       0
SILICON MOTION TECH   ADR      82706C108    1353      54500    SHARES                X                 3      54500   0       0
SIMON PPTY INC        REIT     828806109     177       1900    SHARES                X                 3       1900   0       0
SIRONA DENTAL SYS     COMMON
                      STOCK    82966C103    3145      83165    SHARES                X                 3      83165   0       0
SLM CORP              COMMON
                      STOCK    78442P106     203       3525    SHARES                X                 3       3525   0       0
SMITH INTL INC        COMMON
                      STOCK    832110100     100       1700    SHARES                X                 3       1700   0       0
SMITH MICRO SOFTWARE  COMMON
                      STOCK    832154108    1238      82200    SHARES                X                 3      82200   0       0
SNAP-ON INC           COMMON
                      STOCK    833034101      24        480    SHARES                X                 3        480   0       0
SOLECTRON CORP        COMMON
                      STOCK    834182107      28       7500    SHARES                X                 3       7500   0       0
SOTHEBYS              COMMON
                      STOCK    835898107    1183      25700    SHARES                X                 3      25700   0       0
SOUTH FINL GROUP INC  COMMON
                      STOCK    837841105      95       4200    SHARES                X                 3       4200   0       0
SOUTHERN CO           COMMON
                      STOCK    842587107     213       6200    SHARES                X                 3       6200   0       0
SOUTHWEST AIRLS CO    COMMON
                      STOCK    844741108      99       6659    SHARES                X                 3       6659   0       0
SOUTHWESTERN ENERGY   COMMON
                      STOCK    845467109    1059      23810    SHARES                X                 3      23810   0       0
SOVEREIGN BANCORP     COMMON
                      STOCK    845905108      68       3200    SHARES                X                 3       3200   0       0
SPECTRA ENERGY CORP   COMMON
                      STOCK    847560109     207       7990    SHARES                X                 3       7990   0       0
SPRINT NEXTEL         COMMON
                      STOCK    852061100     512      24700    SHARES                X                 3      24700   0       0
ST JUDE MEDICAL INC   COMMON
                      STOCK    790849103     120       2900    SHARES                X                 3       2900   0       0
STANLEY WORKS         COMMON
                      STOCK    854616109      42        700    SHARES                X                 3        700   0       0
STAPLES INC           COMMON
                      STOCK    855030102     847      35656    SHARES                X                 3      30995   0    4661
STARBUCKS CORP        COMMON
                      STOCK    855244109     541      20645    SHARES                X                 3      20645   0       0
STARWOOD HTLS&RESORT  COMMON
                      STOCK    85590A401     121       1800    SHARES                X                 3       1800   0       0
STATE STREET CORP     COMMON
                      STOCK    857477103     192       2800    SHARES                X                 3       2800   0       0
STATOIL ASA           COMMON
  SPONSORED ADR       STOCK    85771P102      20        650    SHARES                X                 3        650   0       0
STEELCASE INC CL A    COMMON
                      STOCK    858155203      26       1400    SHARES                X                 3       1400   0       0
STERIS CORP           COMMON
                      STOCK    859152100     630      20600    SHARES                X                 3      20600   0       0
STIFEL FINL CORP      COMMON
                      STOCK    860630102    1608      27300    SHARES                X                 3      27300   0       0
STREETTRACKS GOLD     COMMON
  TRUST               STOCK    863307104     323       5023    SHARES                X                 3       5023   0       0
STRYKER CORP          COMMON
                      STOCK    863667101     185       2930    SHARES                X                 3       2930   0       0
SUN MICROSYSTEM INC   COMMON
                      STOCK    866810104     161      30700    SHARES                X                 3      30700   0       0
SUNOCO INC            COMMON
                      STOCK    86764P109     233       2920    SHARES                X                 3       2920   0       0
SUNTRUST BANKS INC    COMMON
                      STOCK    867914103     565       6603    SHARES                X                 3       6603   0       0
SUPERIOR ENERGY SVCS  COMMON
                      STOCK    868157108     818      20500    SHARES                X                 3      20500   0       0
SUPERVALU INC         COMMON
                      STOCK    868536103      83       1800    SHARES                X                 3       1800   0       0
SYKES ENTERPRISES IN  COMMON
                      STOCK    871237103    1639      86300    SHARES                X                 3      86300   0       0
SYMANTEC CORP         COMMON
                      STOCK    871503108     158       7800    SHARES                X                 3       7800   0       0
SYNOVUS FINL CORP     COMMON
                      STOCK    87161C105      86       2792    SHARES                X                 3       2792   0       0
SYSCO CORP            COMMON
                      STOCK    871829107    2143      64965    SHARES                X                 3      61612   0    3353
SYSTEMAX INC          COMMON
                      STOCK    871851101      29       1370    SHARES                X                 3       1370   0       0
TAIWAN SEMICONDUCTOR  ADR      874039100     186      16683    SHARES                X                 3      16683   0       0
TARGET CORP COM       COMMON
                      STOCK    87612E106    1799      28281    SHARES                X                 3      28281   0       0
TCF FINANCIAL CORP    COMMON
                      STOCK    872275102      72       2600    SHARES                X                 3       2600   0       0
TECO ENERGY INC       COMMON
                      STOCK    872375100      85       5000    SHARES                X                 3       5000   0       0
TEKTRONIX INC         COMMON
                      STOCK    879131100      20        600    SHARES                X                 3        600   0       0
TELECOMMUNICATNS SYS  COMMON
                      STOCK    87929J103     522     102800    SHARES                X                 3     102800   0       0
TELEDYNE TECH INC     COMMON
                      STOCK    879360105    1985      43200    SHARES                X                 3      43200   0       0
TELEFONOS DE MEXICO   COMMON
  SP ADR L            STOCK    879403780      27        720    SHARES                X                 3        720   0       0
TELLABS INC           COMMON
                      STOCK    879664100      38       3500    SHARES                X                 3       3500   0       0
TEMPLE INLAND INC     COMMON
                      STOCK    879868107      55        900    SHARES                X                 3        900   0       0
TENET HEALTHCARE      COMMON
                      STOCK    88033G100      27       4100    SHARES                X                 3       4100   0       0
TERADYNE INC          COMMON
                      STOCK    880770102      26       1500    SHARES                X                 3       1500   0       0
TEREX CORP            COMMON
                      STOCK    880779103      73        900    SHARES                X                 3        900   0       0
TERRA INDUSTRIES INC  COMMON
                      STOCK    880915103      25        970    SHARES                X                 3        970   0       0
TESSERA TECHNOLOGIES  COMMON
                      STOCK    88164L100    1001      24700    SHARES                X                 3      24700   0       0
TEXAS INSTRUMENTS     COMMON
                      STOCK    882508104    3901     103674    SHARES                X                 3     100814   0    2860
TEXTRON INC           COMMON
                      STOCK    883203101     121       1100    SHARES                X                 3       1100   0       0
THE GYMBOREE          COMMON
  CORPORATION         STOCK    403777105      24        620    SHARES                X                 3        620   0       0
THE HANOVER INS GRP   COMMON
                      STOCK    410867105    1556      31900    SHARES                X                 3      31900   0       0
THE HERSHEY COMPANY   COMMON
                      STOCK    427866108    1652      32660    SHARES                X                 3      31010   0    1650
THE WESTERN UNION     COMMON
                      STOCK    959802109     135       6500    SHARES                X                 3       6500   0       0
THERMO FISHER SCI     COMMON
                      STOCK    883556102    1152      22255    SHARES                X                 3      22255   0       0
THQ INC               COMMON
                      STOCK    872443403    1615      52900    SHARES                X                 3      52900   0       0
TIFFANY & CO          COMMON
                      STOCK    886547108      58       1100    SHARES                X                 3       1100   0       0
TIME WARNER INC       COMMON
                      STOCK    887317105     693      32955    SHARES                X                 3      32955   0       0
TIMKEN CO             COMMON
                      STOCK    887389104     130       3600    SHARES                X                 3       3600   0       0
TITAN INTL INC        COMMON
                      STOCK    88830M102    1625      51400    SHARES                X                 3      51400   0       0
TITANIUM METALS CORP  COMMON
                      STOCK    888339207     999      31300    SHARES                X                 3      31300   0       0
TJX COMPANIES INC     COMMON
                      STOCK    872540109     105       3800    SHARES                X                 3       3800   0       0
TOLL BROTHERS INC     COMMON
                      STOCK    889478103     282      11300    SHARES                X                 3      11300   0       0
TORCHMARK CORP        COMMON
                      STOCK    891027104      54        800    SHARES                X                 3        800   0       0
TRANSOCEAN INC        COMMON
                      STOCK    G90078109     254       2400    SHARES                X                 3       2400   0       0



                                   41 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                     SHARES                   INVESTMENT AUTHORITY            VOTING AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -------------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
TRAVELERS CO(THE)     COMMON
                      STOCK    89417E109     298       5575    SHARES                X                 3       5575     0     0
TRIBUNE CO            COMMON
                      STOCK    896047107      38       1277    SHARES                X                 3       1277     0     0
TRIDENT MICROSYSTEMS  COMMON
                      STOCK    895919108    1947     106100    SHARES                X                 3     106100     0     0
TXU CORP              COMMON
                      STOCK    873168108     269       3990    SHARES                X                 3       3990     0     0
TYCO INTERNATIONAL    COMMON
  LTD                 STOCK    902124106     584      17300    SHARES                X                 3      17300     0     0
TYLER TECHNOLOGIES    COMMON
  INC                 STOCK    902252105      15       1200    SHARES                X                 3       1200     0     0
TYSON FOODS INC       COMMON
                      STOCK    902494103      85       3700    SHARES                X                 3       3700     0     0
U S BANCORP DEL COM   COMMON
  NEW                 STOCK    902973304     989      30000    SHARES                X                 3      30000     0     0
U S GOLD CORP         COMMON
                      STOCK    912023207     833     151300    SHARES                X                 3     151300     0     0
UBS AG                COMMON
                      STOCK    H89231338      56        930    SHARES                X                 3        930     0     0
UDR INC REIT          COMMON
                      STOCK    902653104      45       1700    SHARES                X                 3       N.A.  N.A.  N.A.
UNIBANCO-GDR          COMMON
                      STOCK    90458E107      56        500    SHARES                X                 3        500     0     0
UNION PAC CORP        COMMON
                      STOCK    907818108     265       2300    SHARES                X                 3       2300     0     0
UNISYS CORPORATION    COMMON
                      STOCK    909214108      27       3000    SHARES                X                 3       3000     0     0
UNITED PARCEL         COMMON
  SERVICE CL B        STOCK    911312106    4847      66398    SHARES                X                 3      64204     0  2194
UNITED STATES STL     COMMON
                      STOCK    912909108     121       1110    SHARES                X                 3       1110     0     0
UNITED TECHNOLOGIES   COMMON
                      STOCK    913017109    1570      22130    SHARES                X                 3      22130     0     0
UNITEDHEALTH GROUP    COMMON
  INC                 STOCK    91324P102    3551      69456    SHARES                X                 3      66858     0  2598
UNUM GROUP            COMMON
                      STOCK    91529Y106      78       2995    SHARES                X                 3       2995     0     0
URBAN OUTFITTERS      COMMON
                      STOCK    917047102     437      18200    SHARES                X                 3      18200     0     0
UST INC               COMMON
                      STOCK    902911106     143       2660    SHARES                X                 3       2660     0     0
UTSTARCOM INC         COMMON
                      STOCK    918076100      31       5580    SHARES                X                 3       5580     0     0
V F CORP              COMMON
                      STOCK    918204108      64        700    SHARES                X                 3        700     0     0
VALERO ENERGY CORP    COMMON
                      STOCK    91913Y100     340       4600    SHARES                X                 3       4600     0     0
VALSPAR CORP          COMMON
                      STOCK    920355104      97       3400    SHARES                X                 3       3400     0     0
VALUECLICK INC        COMMON
                      STOCK    92046N102    1049      35600    SHARES                X                 3      35600     0     0
VARIAN MED SYS INC    COMMON
                      STOCK    92220P105     688      16160    SHARES                X                 3      16160     0     0
VARIAN SEMICONDUC EQ  COMMON
                      STOCK    922207105    1378      34400    SHARES                X                 3      34400     0     0
VERISIGN INC          COMMON
                      STOCK    92343E102      67       2100    SHARES                X                 3       2100     0     0
VERIZON               COMMON
  COMMUNICATIONS COM  STOCK    92343V104    4334     105285    SHARES                X                 3     102680     0  2605
VIACOM INC            COMMON
                      B        92553P201     229       5500    SHARES                X                 3       5500     0     0
VITAL IMAGES INC      COMMON
                      STOCK    92846N104    1018      37500    SHARES                X                 3      37500     0     0
VOLT INFORMATION      COMMON
  SCIENCES            STOCK    928703107      17        900    SHARES                X                 3        900     0     0
VORNADO RLTY TR       REIT     929042109     124       1125    SHARES                X                 3       1125     0     0
VULCAN MATERIALS CO   COMMON
                      STOCK    929160109      92        800    SHARES                X                 3        800     0     0
W HOLDING COMPANY INC COMMON
                      STOCK    929251106      17       6250    SHARES                X                 3       6250     0     0
WABTEC                COMMON
                      STOCK    929740108    2463      67400    SHARES                X                 3      67400     0     0
WACHOVIA CORP         COMMON
                      STOCK    929903102    4076      79529    SHARES                X                 3      77745     0  1784
WAL MART STORES INC   COMMON
                      STOCK    931142103    6599     137177    SHARES                X                 3     134456     0  2721
WALGREEN CO           COMMON
                      STOCK    931422109     366       8400    SHARES                X                 3       8400     0     0
WASHINGTON MUTUAL     COMMON
                      STOCK    939322103     512      12000    SHARES                X                 3      12000     0     0
WASHINGTON REAL       COMMON
  ESTATE INVT (R      STOCK    939653101      16        480    SHARES                X                 3       N.A.  N.A.  N.A.
WASTE CONNECTIONS I   COMMON
                      STOCK    941053100     672      22200    SHARES                X                 3      22200     0     0
WASTE MANAGEMENT INC  COMMON
                      STOCK    94106L109    2640      67583    SHARES                X                 3      65319     0  2264
WATERS CORP           COMMON
                      STOCK    941848103      50        850    SHARES                X                 3        850     0     0
WATSON PHARMACEUTCLS  COMMON
                      STOCK    942683103      29        900    SHARES                X                 3        900     0     0
WEATHERFORD INTL LTD  COMMON
                      STOCK    G95089101    2403      43488    SHARES                X                 3      43488     0     0
WEBSENSE INC          COMMON
                      STOCK    947684106    1332      62700    SHARES                X                 3      62700     0     0
WELLCARE HEALTH PLANS COMMON
                      STOCK    94946T106      36        400    SHARES                X                 3        400     0     0
WELLPOINT INC         COMMON
                      STOCK    94973V107     415       5200    SHARES                X                 3       5200     0     0
WELLS FARGO & CO      COMMON
                      STOCK    949746101    1421      40400    SHARES                X                 3      40400     0     0
WENDYS INTL INC       COMMON
                      STOCK    950590109      30        825    SHARES                X                 3        825     0     0
WESCO INTERNATIONAL   COMMON
  INCORPORAT          STOCK    95082P105      18        300    SHARES                X                 3        300     0     0
WESTERN DIGITAL CORP  COMMON
                      STOCK    958102105     975      50400    SHARES                X                 3      50400     0     0
WEYERHAEUSER CO       COMMON
                      STOCK    962166104     138       1750    SHARES                X                 3       1750     0     0
WGL HLDGS INC COM     COMMON
                      STOCK    92924F106      60       1828    SHARES                X                 3       1828     0     0
WHIRLPOOL CORP        COMMON
                      STOCK    963320106      89        800    SHARES                X                 3        800     0     0
WHOLE FOODS MKT INC   COMMON
                      STOCK    966837106      50       1300    SHARES                X                 3       1300     0     0
WILLIAMS COS INC      COMMON
                      STOCK    969457100     155       4900    SHARES                X                 3       4900     0     0
WILLIAMS SONOMA INC   COMMON
                      STOCK    969904101     556      17600    SHARES                X                 3      17600     0     0
WILMINGTON TRUST CRP  COMMON
                      STOCK    971807102     141       3400    SHARES                X                 3       3400     0     0
WINDSTREAM CORP       COMMON
                      STOCK    97381W104      57       3853    SHARES                X                 3       3853     0     0
WRIGLEY WM JR CO      COMMON
                      STOCK    982526105     163       2950    SHARES                X                 3       2950     0     0
WYETH                 COMMON
                      STOCK    983024100    5954     103843    SHARES                X                 3     103843     0     0
WYNDHAM WORLDWIDE CO  COMMON
                      STOCK    98310W108      58       1600    SHARES                X                 3       1600     0     0
XCEL ENERGY INC       COMMON
                      STOCK    98389B100      72       3500    SHARES                X                 3       3500     0     0
XEROX CORP            COMMON
                      STOCK    984121103     152       8200    SHARES                X                 3       8000     0   200
XILINX INC            COMMON
                      STOCK    983919101      72       2700    SHARES                X                 3       2700     0     0
XL CAP LTD            COMMON
                      STOCK    G98255105     131       1550    SHARES                X                 3       1550     0     0
XTO ENERGY INC        COMMON
                      STOCK    98385X106    1084      18046    SHARES                X                 3      18046     0     0
YAHOO INC             COMMON
                      STOCK    984332106     878      32355    SHARES                X                 3      32355     0     0
YAMANA GOLD INC       COMMON
                      STOCK    98462Y100     972      87400    SHARES                X                 3      87400     0     0
YRC WORLDWIDE INC     COMMON
                      STOCK    984249102      14        390    SHARES                X                 3        390     0     0
YUM BRANDS INC        COMMON
                      STOCK    988498101     193       5900    SHARES                X                 3       5900     0     0
ZIMMER HLDGS INC COM  COMMON
                      STOCK    98956P102    4175      49198    SHARES                X                 3      47516     0  1682
ZIONS BANCORPORATION  COMMON
                      STOCK    989701107    2423      31509    SHARES                X                 3      30640     0   869
ZOLL MEDICAL CORP     COMMON
                      STOCK    989922109      15        650    SHARES                X                 3        650     0     0
ZYGO CORP             COMMON
                      STOCK    989855101    1685     117900    SHARES                X                 3     117900     0     0



                                   42 of 43





                                                    SEC USE _______________________________________
                                                            COLUMN 5
                                                    ------------------------
                                                                                                                 COLUMN 8
                                                                                    COLUMN 6                      VOTING
                                                     SHARES                   INVESTMENT AUTHORITY               AUTHORITY
                      COLUMN 2            COLUMN 4     OR      SHARES   PUT  ---------------------- COLUMN 7 -----------------
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
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ---- ------ -----
                                                                                  
3M CO                 COMMON
                      STOCK    88579Y101       13        150   SHARES                X                 4      150   0      0
ALCATEL-LUCENT -      COMMON
  SPON ADR            STOCK    013904305        2        165   SHARES                X                 4      165   0      0
ALCOA INC COM         COMMON
                      STOCK    013817101        8        200   SHARES                X                 4      200   0      0
ALLSTATE CORP         COMMON
                      STOCK    020002101        6        100   SHARES                X                 4      100   0      0
AMERICAN EXPRESS CO   COMMON
                      STOCK    025816109       12        200   SHARES                X                 4      200   0      0
AMERICAN
  INTERNATIONAL       COMMON
  GROUP I             STOCK    026874107       21        300   SHARES                X                 4      300   0      0
AMERIPRISE FINANCIAL  COMMON
  INC                 STOCK    03076C106        3         40   SHARES                X                 4       40   0      0
AMGEN INC COM         COMMON
                      STOCK    031162100       11        200   SHARES                X                 4      200   0      0
AT&T INC              COMMON
                      STOCK    00206R102       11        265   SHARES                X                 4      265   0      0
AVNET INC COM         COMMON
                      STOCK    053807103        8        200   SHARES                X                 4      200   0      0
BANK NEW YORK INC COM COMMON
                      STOCK    064057102        4        100   SHARES                X                 4      100   0      0
BRISTOL-MYERS SQUIBB  COMMON
  CO                  STOCK    110122108        8        250   SHARES                X                 4      250   0      0
CBS CORP CL B         COMMON
                      STOCK    124857202        3        100   SHARES                X                 4      100   0      0
CHEVRON CORP          COMMON
                      STOCK    166764100       13        150   SHARES                X                 4      150   0      0
CISCO SYSTEMS INC     COMMON
                      STOCK    17275R102       24        850   SHARES                X                 4      850   0      0
CIT GROUP INC         COMMON
                      STOCK    125581108       14        250   SHARES                X                 4      250   0      0
CITADEL BROADCASTING  COMMON
  COMPANY             STOCK    17285T106        0         33   SHARES                X                 4       33   0      0
CITIGROUP INC COM     COMMON
                      STOCK    172967101       21        400   SHARES                X                 4      400   0      0
CLEAR CHANNEL         COMMON
  COMMUNICATIONS I    STOCK    184502102        8        200   SHARES                X                 4      200   0      0
COCA COLA CO COM      COMMON
                      STOCK    191216100       13        250   SHARES                X                 4      250   0      0
COLGATE PALMOLIVE CO  COMMON
  COM                 STOCK    194162103        6        100   SHARES                X                 4      100   0      0
COMCAST CORP-         COMMON
  SPECIAL CL A        STOCK    20030N200       13        450   SHARES                X                 4      450   0      0
CONOCOPHILLIPS        COMMON
                      STOCK    20825C104       27        344   SHARES                X                 4      344   0      0
CORNING INC           COMMON
                      STOCK    219350105        8        300   SHARES                X                 4      300   0      0
DISNEY WALT CO        COMMON
                      STOCK    254687106       15        425   SHARES                X                 4      425   0      0
DUPONT EI DE          COMMON
  NEMOURS & CO COM    STOCK    263534109        5        100   SHARES                X                 4      100   0      0
EXXON MOBIL CORP      COMMON
                      STOCK    30231G102       25        300   SHARES                X                 4      300   0      0
FIRST DATA CORP COM   COMMON
                      STOCK    319963104        7        200   SHARES                X                 4      200   0      0
FPL GROUP INC COM     COMMON
                      STOCK    302571104       17        300   SHARES                X                 4      300   0      0
GENERAL ELECTRIC      COMMON
  COMPANY             STOCK    369604103       21        550   SHARES                X                 4      550   0      0
GENERAL MILLS INC     COMMON
                      STOCK    370334104        9        150   SHARES                X                 4      150   0      0
HARTFORD FINANCIAL    COMMON
  SVCS GRP IN         STOCK    416515104       10        100   SHARES                X                 4      100   0      0
HEALTH MANAGEMENT-    COMMON
  CLASS A             STOCK    421933102        5        400   SHARES                X                 4      400   0      0
HEWLETT- PACKARD CO   COMMON
                      STOCK    428236103       11        237   SHARES                X                 4      237   0      0
HOME DEPOT INC COM    COMMON
                      STOCK    437076102       12        300   SHARES                X                 4      300   0      0
HONEYWELL INTL INC    COMMON
  COM                 STOCK    438516106       17        300   SHARES                X                 4      300   0      0
INTEL CORP COM        COMMON
                      STOCK    458140100        9        400   SHARES                X                 4      400   0      0
INTERNATIONAL         COMMON
  BUSINESS MACHINE    STOCK    459200101       21        200   SHARES                X                 4      200   0      0
INTERNATIONAL         COMMON
  RECTIFIER CORP      STOCK    460254105        3         75   SHARES                X                 4       75   0      0
JOHNSON & JOHNSON     COMMON
                      STOCK    478160104       12        200   SHARES                X                 4      200   0      0
KIMBERLY CLARK CORP   COMMON
                      STOCK    494368103        7        100   SHARES                X                 4      100   0      0
KRAFT FOODS INC CL A  COMMON
                      STOCK    50075N104        4        100   SHARES                X                 4      100   0      0
KROGER CO             COMMON
                      STOCK    501044101       11        400   SHARES                X                 4      400   0      0
LILLY ELI & CO        COMMON
                      STOCK    532457108        6        100   SHARES                X                 4      100   0      0
LINCOLN NATIONAL CORP COMMON
                      STOCK    534187109       14        200   SHARES                X                 4      200   0      0
LIVE NATION INC       COMMON
                      STOCK    538034109        1         25   SHARES                X                 4       25   0      0
LOCKHEED MARTIN       COMMON
  CORPORATION CO      STOCK    539830109        9        100   SHARES                X                 4      100   0      0
MARATHON OIL CORP     COMMON
                      STOCK    565849106       48        800   SHARES                X                 4      800   0      0
MCDONALD'S            COMMON
  CORPORATION         STOCK    580135101       15        300   SHARES                X                 4      300   0      0
MEDCO HEALTH          COMMON
  SOLUTIONS INC       STOCK    58405U102        2         24   SHARES                X                 4       24   0      0
MERCK & CO INC COM    COMMON
                      STOCK    589331107       10        200   SHARES                X                 4      200   0      0
MERRILL LYNCH & CO    COMMON
  INC                 STOCK    590188108        8        100   SHARES                X                 4      100   0      0
MICROSOFT CORP        COMMON
                      STOCK    594918104       32       1100   SHARES                X                 4     1100   0      0
MORGAN STANLEY GROUP  COMMON
  INC                 STOCK    617446448        8        100   SHARES                X                 4      100   0      0
MOTOROLA INC          COMMON
                      STOCK    620076109        3        150   SHARES                X                 4      150   0      0
NEWELL RUBBERMAID     COMMON
  INC COM             STOCK    651229106        3        100   SHARES                X                 4      100   0      0
NOVELL INC            COMMON
                      STOCK    670006105        9       1200   SHARES                X                 4     1200   0      0
ORACLE CORPORATION    COMMON
  COM                 STOCK    68389X105       17        850   SHARES                X                 4      850   0      0
PEPSICO INC COM       COMMON
                      STOCK    713448108       10        150   SHARES                X                 4      150   0      0
PFIZER INC            COMMON
                      STOCK    717081103       13        500   SHARES                X                 4      500   0      0
PIPER JAFFRAY         COMMON
  COMPANIES INC       STOCK    724078100        0          4   SHARES                X                 4        4   0      0
PROCTER & GAMBLE CO   COMMON
  COM                 STOCK    742718109       18        295   SHARES                X                 4      295   0      0
RAYTHEON CO COM NEW   COMMON
                      STOCK    755111507       11        200   SHARES                X                 4      200   0      0
SCHLUMBERGER LTD      COMMON
                      STOCK    806857108       34        400   SHARES                X                 4      400   0      0
SYSCO CORP            COMMON
                      STOCK    871829107        8        250   SHARES                X                 4      250   0      0
TEXAS INSTRUMENTS INC COMMON
                      STOCK    882508104        4        100   SHARES                X                 4      100   0      0
THE TRAVELERS         COMMON
  COMPANIES INC       STOCK    89417E109        9        160   SHARES                X                 4      160   0      0
TOLL BROS INC         COMMON
                      STOCK    889478103       10        400   SHARES                X                 4      400   0      0
U S BANCORP DEL COM   COMMON
  NEW                 STOCK    902973304       15        453   SHARES                X                 4      453   0      0
UNITED PARCEL         COMMON
  SERVICE CL B        STOCK    911312106       11        150   SHARES                X                 4      150   0      0
VIACOM INC-CLASS B    COMMON
                      STOCK    92553P201        4        100   SHARES                X                 4      100   0      0
WACHOVIA CORP COM     COMMON
                      STOCK    929903102        5        100   SHARES                X                 4      100   0      0
WAL MART STORES INC   COMMON
  COM                 STOCK    931142103       14        300   SHARES                X                 4      300   0      0
WASHINGTON MUTUAL COM COMMON
                      STOCK    939322103       13        300   SHARES                X                 4      300   0      0
WELLS FARGO & CO      COMMON
                      STOCK    949746101        7        200   SHARES                X                 4      200   0      0
WESTERN UNION COMPANY COMMON
                      STOCK    959802109        4        200   SHARES                X                 4      200   0      0
WYETH                 COMMON
                      STOCK    983024100       17        300   SHARES                X                 4      300   0      0
                                          4052999   90579745


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