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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 12/31/2007
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:

/s/ Mark Czarnecki, President               Buffalo, New York      1/31/2008
---------------------------------------     ------------------     ---------
[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:        3,284
                                           ----------
Form 13-F Information Table Value Total:    3,984,341
                                           ----------
                                           (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 6                      COLUMN 8
                                                             COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                                           COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1           COLUMN 2     COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER  TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
3 COM CORP COM  COMMON STOCK    885535104       4        900    SHARES                         X        1        600     0    300
3 COM CORP COM  COMMON STOCK    88579Y101   18026     213784    SHARES                X                 1     210505     0   3279
3 COM CORP COM  COMMON STOCK    88579Y101    9236     109531    SHARES                X                 2      20690     0  88841
3 COM CORP COM  COMMON STOCK    88579Y101    4029      47775    SHARES                X                 3      46034     0   1741
3 COM CORP COM  COMMON STOCK    88579Y101      13        150    SHARES                X                 4        150     0      0
3 COM CORP COM  COMMON STOCK    88579Y101   12342     146366    SHARES                         X        1     133531     0  12835
ABB LTD SPON
  ADR           COMMON STOCK    000375204      17        579    SHARES                X                 1        579     0      0
ABBOTT
  LABORATORIES  COMMON STOCK    002824100   13443     239409    SHARES                X                 1     237424     0   1985
ABBOTT
  LABORATORIES  COMMON STOCK    002824100    1569      27950    SHARES                X                 2      14000     0  13950
ABBOTT
  LABORATORIES  COMMON STOCK    002824100    3634      64720    SHARES                X                 3      60280     0   4440
ABBOTT
  LABORATORIES  COMMON STOCK    002824100    6632     118109    SHARES                         X        1     103289     0  14820
ABERCROMBIE &
  FITCH         COMMON STOCK    002896207    2234      27927    SHARES                X                 3      27927     0      0
ABERCROMBIE &
  FITCH CO CL A COMMON STOCK    002896207    1691      21148    SHARES                X                 1      19333     0   1815
ABERCROMBIE &
  FITCH CO CL A COMMON STOCK    002896207      55        690    SHARES                         X        1        450     0    240
ABERDEEN ASIA
  PACIFIC INC
  FD            PREFERRED STOCK 003009107       6       1000    SHARES                X                 1       N.A.  N.A.   N.A.
ABERDEEN
  AUSTRALIA
  EQUITY FUND   PREFERRED STOCK 003011103      18       1000    SHARES                         X        1       N.A.  N.A.   N.A.
ABIGAIL ADAMS
  NATIONAL
  BANCORP       COMMON STOCK    003390101       1        137    SHARES                X                 2          0     0    137
ABM INDUSTRIES
  INCORPORATED  COMMON STOCK    000957100       9        439    SHARES                X                 3        439     0      0
ABN AMRO
  HOLDINGS NV
  SPON ADR      COMMON STOCK    000937102      19        350    SHARES                         X        1        350     0      0
ACCENTURE
  LTD-CL A      COMMON STOCK    G1150G111     797      22121    SHARES                X                 1      22121     0      0
ACCENTURE
  LTD-CL A      COMMON STOCK    G1150G111      72       2012    SHARES                X                 3       2012     0      0
ACCENTURE
  LTD-CL A      COMMON STOCK    G1150G111     404      11210    SHARES                         X        1      10575     0    635
ACCO BRANDS
  CORP          COMMON STOCK    00081T108       3        188    SHARES                X                 1        188     0      0
ACCO BRANDS
  CORP          COMMON STOCK    00081T108       0         25    SHARES                         X        1          0     0     25
ACE LIMITED     COMMON STOCK    G0070K103     173       2800    SHARES                X                 3       2800     0      0
ACE LTD         COMMON STOCK    G0070K103      31        500    SHARES                X                 1        500     0      0
ACERGY SA       ADR             00443E104    1088      49500    SHARES                X                 3      49500     0      0
ACERGY SA SP
  ADR           COMMON STOCK    00443E104     109       4940    SHARES                X                 1       4700     0    240
ACETO
  CORPORATION   COMMON STOCK    004446100     400      50000    SHARES                         X        1      50000     0      0
ACTIVISION INC  COMMON STOCK    004930202    3936     132500    SHARES                X                 3     132500     0      0
ACTIVISION INC
  COM NEW       COMMON STOCK    004930202    1057      35575    SHARES                X                 1      33350     0   2225
ACTIVISION INC
  COM NEW       COMMON STOCK    004930202      56       1875    SHARES                         X        1       1875     0      0
ACTUANT CORP
  CL A NEW      COMMON STOCK    00508X203     170       5000    SHARES                X                 2          0     0   5000
ACUITY BRANDS
  HOLDING
  COMPANY       COMMON STOCK    00508Y102       9        200    SHARES                X                 2          0     0    200
ACUITY BRANDS
  HOLDING
  COMPANY       COMMON STOCK    00508Y102      10        227    SHARES                X                 3        227     0      0
ADAMS EXPRESS
  CO COM        COMMON STOCK    006212104       5        367    SHARES                X                 1        367     0      0
ADOBE SYS INC
  COM           COMMON STOCK    00724F101     154       3600    SHARES                X                 1       3600     0      0
ADOBE SYS INC
  COM           COMMON STOCK    00724F101    1857      43456    SHARES                X                 2      35556     0   7900
ADOBE SYS INC
  COM           COMMON STOCK    00724F101      25        580    SHARES                         X        1        580     0      0
ADOBE SYSTEMS
  INC           COMMON STOCK    00724F101     222       5200    SHARES                X                 3       5200     0      0
ADTRAN INC      COMMON STOCK    00738A106    1635      76500    SHARES                X                 3      76500     0      0
ADTRAN INC COM  COMMON STOCK    00738A106     175       8180    SHARES                X                 1       7560     0    620
ADV MICRO
  DEVICES       COMMON STOCK    007903107      42       5600    SHARES                X                 3       5600     0      0
ADVANCE AUTO
  PARTS         COMMON STOCK    00751Y106      14        365    SHARES                X                 1        365     0      0
ADVANCE AUTO
  PARTS         COMMON STOCK    00751Y106      28        750    SHARES                         X        1        750     0      0
ADVANCED
  MEDICAL
  OPTICS INC    COMMON STOCK    00763M108       3        118    SHARES                         X        1        118     0      0






                                                                                   SEC USE
                                                -----------------------------------------------------------------------------
                                                                                COLUMN 6                       COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                ------------------------ ----------------------          --------------------
                 COLUMN 2             COLUMN 4  SHARES OR  SHARES   PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL     OR      OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                
ADVANCED MICRO
  DEVICES INC    COMMON
  COM            STOCK     007903107      87      11625    SHARES                X                 1      10625     0    1000
ADVANCED MICRO
  DEVICES INC    COMMON
  COM            STOCK     007903107      15       2055    SHARES                         X        1       2055     0       0
ADVANTAGE
  ENERGY         COMMON
  INCOME FUND    STOCK     00762L101      79       9000    SHARES                X                 1       9000     0       0
ADVANTAGE
  ENERGY         COMMON
  INCOME FUND    STOCK     00762L101      31       3500    SHARES                X                 2          0     0    3500
ADVANTAGE
  ENERGY         COMMON
  INCOME FUND    STOCK     00762L101       7        750    SHARES                         X        1        750     0       0
AECOM
  TECHNOLOGY     COMMON
  CORP           STOCK     00766T100     686      24000    SHARES                X                 2          0     0   24000
AEGON NV ORD     COMMON
  AMER REG SHS   STOCK     007924103     177      10073    SHARES                X                 1      10073     0       0
AEROVIRONMENT    COMMON
  INC            STOCK     008073108     847      35000    SHARES                X                 3      35000     0       0
AEROVIRONMENT    COMMON
  INC            STOCK     008073108      50       2047    SHARES                X                 1       2047     0       0
AES CORP         COMMON
                 STOCK     00130H105    2276     106431    SHARES                X                 3     102844     0    3587
AES CORP COM     COMMON
                 STOCK     00130H105    2823     131956    SHARES                X                 1     129495     0    2461
AES CORP COM     COMMON
                 STOCK     00130H105   17101     799479    SHARES                X                 2     331244     0  468235
AES CORP COM     COMMON
                 STOCK     00130H105     110       5122    SHARES                         X        1       3147     0    1975
AES TRUST III
  PFD CONV       PREFERRED
  6.75% 1        STOCK     00808N202      19        400    SHARES                X                 1       N.A.  N.A.    N.A.
AES TRUST III
  PFD CONV       PREFERRED
  6.75% 1        STOCK     00808N202    4485      96650    SHARES                X                 2       N.A.  N.A.    N.A.
AETNA INC        COMMON
                 STOCK     00817Y108     285       4928    SHARES                X                 3       4928     0       0
AETNA INC NEW    COMMON
  COM            STOCK     00817Y108     872      15105    SHARES                X                 1      15105     0       0
AETNA INC NEW    COMMON
  COM            STOCK     00817Y108      57        980    SHARES                X                 2          0     0     980
AFFILIATED       COMMON
  COMP SVCS      CUM RTS   008190100      41        900    SHARES                X                 3        900     0       0
AFFILIATED
  COMPUTER       COMMON
  SVCS INC C     STOCK     008190100      38        850    SHARES                X                 1        850     0       0
AFFILIATED       COMMON
  MANAGE GR      STOCK     008252108    2030      17275    SHARES                X                 3      17275     0       0
AFFILIATED
  MANAGERS       COMMON
  GROUP          STOCK     008252108     306       2605    SHARES                X                 1       2432     0     173
AFFILIATED
  MANAGERS       COMMON
  GROUP          STOCK     008252108      23        200    SHARES                         X        1        200     0       0
AFLAC INC        COMMON
                 STOCK     001055102     276       4400    SHARES                X                 3       4400     0       0
AFLAC INC        COMMON
                 STOCK     001055102    4298      68624    SHARES                X                 1      68624     0       0
AFLAC INC        COMMON
                 STOCK     001055102    9905     158150    SHARES                X                 2      35600     0  122550
AFLAC INC        COMMON
                 STOCK     001055102     423       6750    SHARES                         X        1       6350     0     400
AGILENT TECHN    COMMON
  INC            STOCK     00846U101     119       3230    SHARES                X                 3       3230     0       0
AGILENT
  TECHNOLOGIES   COMMON
  INC COM        STOCK     00846U101      22        590    SHARES                X                 1        590     0       0
AGILENT
  TECHNOLOGIES   COMMON
  INC COM        STOCK     00846U101      84       2288    SHARES                X                 2          0     0    2288
AGILENT
  TECHNOLOGIES   COMMON
  INC COM        STOCK     00846U101      39       1067    SHARES                         X        1        457     0     610
AGL RESOURCES    COMMON
  INC            STOCK     001204106      56       1500    SHARES                X                 3       1500     0       0
AGL RESOURCES    COMMON
  INC COM        STOCK     001204106     102       2700    SHARES                X                 1       2700     0       0
AGL RESOURCES    COMMON
  INC COM        STOCK     001204106     302       8032    SHARES                         X        1       8032     0       0
AGNICO EAGLE     COMMON
  MINES LTD      STOCK     008474108       8        150    SHARES                X                 1        150     0       0
AGRIUM INC       COMMON
                 STOCK     008916108    1697      23500    SHARES                X                 3      23500     0       0
AGRIUM INC       COMMON
                 STOCK     008916108     102       1410    SHARES                X                 1       1300     0     110
AIR PRODS &      COMMON
  CHEMS          STOCK     009158106     178       1800    SHARES                X                 3       1800     0       0
AIR PRODUCTS &   COMMON
  CHEMICALS INC  STOCK     009158106    1529      15505    SHARES                X                 1      15505     0       0
AIR PRODUCTS &   COMMON
  CHEMICALS INC  STOCK     009158106    1664      16875    SHARES                         X        1      15375     0    1500
AK STEEL
  HOLDING CORP   COMMON
  COM            STOCK     001547108       3         66    SHARES                X                 1         66     0       0
AKAMAI TECH INC  COMMON
                 STOCK     00971T101      59       1700    SHARES                X                 3       1700     0       0
AKAMAI
  TECHNOLOGIES   COMMON
  INC COM        STOCK     00971T101      52       1500    SHARES                X                 1       1500     0       0
AKAMAI
  TECHNOLOGIES   COMMON
  INC COM        STOCK     00971T101      17        500    SHARES                         X        1        500     0       0
ALASKA
  COMMUNICATIONS COMMON
  SYSTEMS        STOCK     01167P101      19       1250    SHARES                X                 1       1250     0       0
ALBEMARLE CORP   COMMON
  COM            STOCK     012653101     248       6000    SHARES                X                 1       6000     0       0
ALBEMARLE CORP   COMMON
  COM            STOCK     012653101    1382      33500    SHARES                         X        1      33500     0       0
ALBERTO-CULVER   COMMON
  COMPANY        STOCK     013078100       2        100    SHARES                X                 1        100     0       0
ALBERTO-CULVER   COMMON
  COMPANY        STOCK     013078100      13        510    SHARES                X                 3        510     0       0
ALCATEL-LUCENT   COMMON
  - SPON ADR     STOCK     013904305      32       4381    SHARES                X                 1       4381     0       0
ALCATEL-LUCENT   COMMON
  - SPON ADR     STOCK     013904305      10       1309    SHARES                         X        1       1238     0      71






                                                                                      SEC USE
                                                   -----------------------------------------------------------------------------
                                                                                   COLUMN 6                       COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                   ------------------------ ----------------------          --------------------
                    COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1            TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER       CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                   
ALCOA INC           COMMON
                    STOCK     013817101     358        9800   SHARES                X                 3       9800     0       0
ALCOA INC COM       COMMON
                    STOCK     013817101    4451      121783   SHARES                X                 1     119133     0    2650
ALCOA INC COM       COMMON
                    STOCK     013817101       7         200   SHARES                X                 4        200     0       0
ALCOA INC COM       COMMON
                    STOCK     013817101    1383       37840   SHARES                         X        1      32930     0    4910
ALCON INC           COMMON
                    STOCK     H01301102      29         200   SHARES                X                 1        200     0       0
ALCON INC           COMMON
                    STOCK     H01301102     172        1200   SHARES                X                 2          0     0    1200
ALCON INC           COMMON
                    STOCK     H01301102      23         158   SHARES                X                 3        158     0       0
ALDILA
  INCORPORATED      COMMON
  NEW               STOCK     014384200       1          66   SHARES                X                 1         66     0       0
ALEXION PHARM       COMMON
  INC               STOCK     015351109     840       11200   SHARES                X                 3      11200     0       0
ALEXION
  PHARMACEUTICALS   COMMON
  INC CO            STOCK     015351109      49         654   SHARES                X                 1        600     0      54
ALEXION
  PHARMACEUTICALS   COMMON
  INC CO            STOCK     015351109      11         150   SHARES                         X        1          0     0     150
ALIGN TECH INC      COMMON
                    STOCK     016255101    1023       61300   SHARES                X                 3      61300     0       0
ALIGN
  TECHNOLOGY        COMMON
  INCORPORATED      STOCK     016255101      62        3705   SHARES                X                 1       3400     0     305
ALKERMES INC        COMMON
                    STOCK     01642T108     494       31700   SHARES                X                 3      31700     0       0
ALKERMES INC        COMMON
  COM               STOCK     01642T108      29        1850   SHARES                X                 1       1700     0     150
ALLEGHENY           COMMON
  ENERGY INC        STOCK     017361106      70        1098   SHARES                X                 1       1098     0       0
ALLEGHENY           COMMON
  ENERGY INC        STOCK     017361106     100        1577   SHARES                X                 3       1577     0       0
ALLEGHENY           COMMON
  ENERGY INC        STOCK     017361106     204        3200   SHARES                         X        1       2900     0     300
ALLEGHENY TECH      COMMON
  INC               STOCK     01741R102      73         850   SHARES                X                 3        850     0       0
ALLEGHENY
  TECHNOLOGIES      COMMON
  INC COM           STOCK     01741R102     104        1206   SHARES                X                 1       1206     0       0
ALLEGHENY
  TECHNOLOGIES      COMMON
  INC COM           STOCK     01741R102      17         200   SHARES                X                 2          0     0     200
ALLEGHENY
  TECHNOLOGIES      COMMON
  INC COM           STOCK     01741R102      42         481   SHARES                         X        1          0     0     481
ALLERGAN INC        COMMON
                    STOCK     018490102     164        2550   SHARES                X                 3       2550     0       0
ALLERGAN INC        COMMON
                    STOCK     018490102     101        1570   SHARES                X                 1       1570     0       0
ALLERGAN INC        COMMON
                    STOCK     018490102      94        1464   SHARES                         X        1       1464     0       0
ALLETE INC          COMMON
                    STOCK     018522300      11         267   SHARES                X                 1        267     0       0
ALLETE INC          COMMON
                    STOCK     018522300      61        1533   SHARES                         X        1       1533     0       0
ALLIANCE
  FINANCIAL         COMMON
  CORP              STOCK     019205103     105        4027   SHARES                X                 2          0     0    4027
ALLIANCE
  HOLDINGS GP       COMMON
  LP                STOCK     01861G100      38        1600   SHARES                X                 2          0     0    1600

  ALLIANCEBERNSTEIN COMMON
  HOLDING LP        STOCK     01881G106     130        1730   SHARES                X                 1       1730     0       0

  ALLIANCEBERNSTEIN COMMON
  HOLDING LP        STOCK     01881G106    1629       21650   SHARES                X                 2          0     0   21650

  ALLIANCEBERNSTEIN COMMON
  HOLDING LP        STOCK     01881G106     120        1600   SHARES                         X        1       1600     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       3         200   SHARES                X                 1       N.A.  N.A.    N.A.

  ALLIANCEBERNSTEIN PREFERRED
  NATL MUNI IN      STOCK     01864U106      13        1000   SHARES                         X        1       N.A.  N.A.    N.A.
ALLIANT ENERGY      COMMON
  CORP              STOCK     018802108      14         342   SHARES                X                 1        342     0       0
ALLIANT
  TECHSYSTEMS       COMMON
  INC               STOCK     018804104      14         127   SHARES                X                 1        127     0       0
ALLIANT
  TECHSYSTEMS       COMMON
  INC               STOCK     018804104      77         675   SHARES                X                 2          0     0     675
ALLIANT
  TECHSYSTEMS       COMMON
  INC               STOCK     018804104      46         405   SHARES                         X        1        405     0       0
ALLIANZ SE-ADR      COMMON
                    STOCK     018805101       2          78   SHARES                X                 1         78     0       0
ALLIED CAPITAL      COMMON
  CORP NEW COM      STOCK     01903Q108      51        2378   SHARES                X                 1       2378     0       0
ALLIED CAPITAL      COMMON
  CORP NEW COM      STOCK     01903Q108    1671       77697   SHARES                X                 2      41997     0   35700
ALLIED CAPITAL      COMMON
  CORP NEW COM      STOCK     01903Q108      15         700   SHARES                X                 3        700     0       0
ALLIED CAPITAL      COMMON
  CORP NEW COM      STOCK     01903Q108      44        2050   SHARES                         X        1       2050     0       0
ALLIED IRISH
  BKS PLC-SPON      COMMON
  ADR               STOCK     019228402   51865     1128981   SHARES                X                 1     815790 10511  302680
ALLIED IRISH
  BKS PLC-SPON      COMMON
  ADR               STOCK     019228402   15544      338361   SHARES                         X        1     260061     0   78300
ALLIED WASTE        COMMON
  IND               STOCK     019589308      29        2600   SHARES                X                 3       2600     0       0
ALLSCRIPTS          COMMON
  HEALTHCAR         STOCK     01988P108    2653      136654   SHARES                X                 3     132987     0    3667
ALLSCRIPTS
  HEALTHCARE        COMMON
  SOLUTION          STOCK     01988P108    2188      112659   SHARES                X                 1     110225     0    2434
ALLSCRIPTS
  HEALTHCARE        COMMON
  SOLUTION          STOCK     01988P108      25        1300   SHARES                         X        1       1300     0       0
ALLSTATE CORP       COMMON
                    STOCK     020002101    2140       40969   SHARES                X                 1      38373     0    2596






                                                                                    SEC USE
                                                 -----------------------------------------------------------------------------
                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
ALLSTATE CORP     COMMON
                  STOCK     020002101    3293      63052    SHARES                X                 2      13852     0   49200
ALLSTATE CORP     COMMON
                  STOCK     020002101     322       6153    SHARES                X                 3       6153     0       0
ALLSTATE CORP     COMMON
                  STOCK     020002101       5        100    SHARES                X                 4        100     0       0
ALLSTATE CORP     COMMON
                  STOCK     020002101     907      17371    SHARES                         X        1      16421     0     950
ALNYLAM
  PHARMACEUTICALS COMMON
  INC             STOCK     02043Q107     102       3500    SHARES                X                 2          0     0    3500
ALTERA CORP       COMMON
                  STOCK     021441100      58       3000    SHARES                X                 3       3000     0       0
ALTERA CORP COM   COMMON
                  STOCK     021441100      52       2700    SHARES                X                 1       2700     0       0
ALTRIA GROUP      COMMON
  INC             STOCK     02209S103   22330     295451    SHARES                X                 1     293101     0    2350
ALTRIA GROUP      COMMON
  INC             STOCK     02209S103    1802      23850    SHARES                X                 2      11050     0   12800
ALTRIA GROUP      COMMON
  INC             STOCK     02209S103    6961      92100    SHARES                X                 3      92100     0       0
ALTRIA GROUP      COMMON
  INC             STOCK     02209S103   11025     145867    SHARES                         X        1     139142     0    6725
AM EX CO          COMMON
                  STOCK     025816109    2436      46822    SHARES                X                 1      46222     0     600
AM EX CO          COMMON
                  STOCK     025816109    2818      54179    SHARES                X                 2       8025     0   46154
AM EX CO          COMMON
                  STOCK     025816109    1401      26927    SHARES                X                 3      26927     0       0
AM EX CO          COMMON
                  STOCK     025816109      10        200    SHARES                X                 4        200     0       0
AM EX CO          COMMON
                  STOCK     025816109    1072      20604    SHARES                         X        1      18048     0    2556
AMAZON COM INC    COMMON
                  STOCK     023135106     273       2946    SHARES                X                 3       2946     0       0
AMAZON.COM INC    COMMON
                  STOCK     023135106      32        350    SHARES                         X        1        250     0     100
AMBAC
  FINANCIAL       COMMON
  GROUP INC       STOCK     023139108    1433      55605    SHARES                X                 1      55485     0     120
AMBAC
  FINANCIAL       COMMON
  GROUP INC       STOCK     023139108      15        600    SHARES                X                 2          0     0     600
AMBAC
  FINANCIAL       COMMON
  GROUP INC       STOCK     023139108     925      35880    SHARES                X                 3      35880     0       0
AMBAC
  FINANCIAL       COMMON
  GROUP INC       STOCK     023139108      54       2110    SHARES                         X        1       2110     0       0
AMERCO            COMMON
                  STOCK     023586100       7        102    SHARES                X                 1        102     0       0
AMEREN CORP       COMMON
                  STOCK     023608102     260       4805    SHARES                X                 1       4805     0       0
AMEREN CORP       COMMON
                  STOCK     023608102      93       1713    SHARES                X                 3       1713     0       0
AMEREN CORP       COMMON
                  STOCK     023608102      60       1100    SHARES                         X        1       1100     0       0
AMERICA MOVIL
  SA - SPON       COMMON
  ADR SE          STOCK     02364W204     325       5300    SHARES                X                 1       5300     0       0
AMERICA MOVIL
  SA - SPONS      COMMON
  ADR S           STOCK     02364W105     626      10200    SHARES                X                 1      10200     0       0
AMERICA MOVIL
  SA - SPONS      COMMON
  ADR S           STOCK     02364W105     123       2000    SHARES                X                 2          0     0    2000
AMERICA MOVIL
  SA - SPONS      COMMON
  ADR S           STOCK     02364W105     258       4200    SHARES                         X        1       1200     0    3000
AMERICAN
  CAPITAL         COMMON
  STRATEGIES LT   STOCK     024937104     135       4100    SHARES                X                 1       4100     0       0
AMERICAN
  CAPITAL         COMMON
  STRATEGIES LT   STOCK     024937104    7796     236550    SHARES                X                 2      82050     0  154500
AMERICAN
  CAPITAL         COMMON
  STRATEGIES LT   STOCK     024937104      29        869    SHARES                         X        1        869     0       0
AMERICAN EAGLE    COMMON
  OUTFITTER INC   STOCK     02553E106     216      10415    SHARES                X                 1       9815     0     600
AMERICAN EAGLE    COMMON
  OUTFITTER INC   STOCK     02553E106     829      39907    SHARES                X                 3      39907     0       0
AMERICAN
  ELECTRIC        COMMON
  POWER CO INC    STOCK     025537101     287       6159    SHARES                X                 1       6159     0       0
AMERICAN
  ELECTRIC        COMMON
  POWER CO INC    STOCK     025537101      23        500    SHARES                X                 2          0     0     500
AMERICAN
  ELECTRIC        COMMON
  POWER CO INC    STOCK     025537101     317       6816    SHARES                         X        1       3986     0    2830
AMERICAN
  ELECTRIC        COMMON
  TECHNOLOGIES    STOCK     025576109       0        100    SHARES                X                 1        100     0       0
AMERICAN
  ELECTRIC        COMMON
  TECHNOLOGIES    STOCK     025576109       1        160    SHARES                X                 2          0     0     160
AMERICAN
  FINANCIAL       COMMON
  GROUP INC       STOCK     025932104      17        600    SHARES                         X        1          0     0     600
AMERICAN
  FINANCIAL       COMMON
  REALTY TRUS     STOCK     02607P305     827     103100    SHARES                X                 2       N.A.  N.A.    N.A.
AMERICAN
  INTERNATIONAL   COMMON
  GROUP I         STOCK     026874107   17054     292530    SHARES                X                 1     286485     0    6045
AMERICAN
  INTERNATIONAL   COMMON
  GROUP I         STOCK     026874107   17944     307785    SHARES                X                 2      95293     0  212492
AMERICAN
  INTERNATIONAL   COMMON
  GROUP I         STOCK     026874107    6973     119627    SHARES                X                 3     116310     0    3317
AMERICAN
  INTERNATIONAL   COMMON
  GROUP I         STOCK     026874107      17        300    SHARES                X                 4        300     0       0
AMERICAN
  INTERNATIONAL   COMMON
  GROUP I         STOCK     026874107    6403     109830    SHARES                         X        1     101086     0    8744
AMERICAN
  MORTGAGE        COMMON
  ACCEPTANCE C    STOCK     027568104       1       1000    SHARES                X                 1       N.A.  N.A.    N.A.
AMERICAN
  SCIENCE &       COMMON
  ENGINEERING     STOCK     029429107    1022      18000    SHARES                         X        1      18000     0       0
AMERICAN
  SELECT          PREFERRED
  PORTFOLIO       STOCK     029570108      14       1200    SHARES                X                 1       N.A.  N.A.    N.A.
AMERICAN
  STRATEGIC       PREFERRED
  INCOME II       STOCK     030099105      17       1600    SHARES                X                 1       N.A.  N.A.    N.A.






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
AMERICAN
  STRATEGIC     PREFERRED
  INCOME III    STOCK     03009T101      16       1500    SHARES                X                 1       N.A.  N.A.   N.A.
AMERICAN TOWER  COMMON
  CORP          STOCK     029912201     145       3400    SHARES                X                 3       3400     0      0
AMERICAN TOWER  COMMON
  CORP CL A     STOCK     029912201      11        255    SHARES                X                 1        255     0      0
AMERICASBANK    COMMON
  CORP          STOCK     03061G302       4       1000    SHARES                         X        1       1000     0      0
AMERIGAS        COMMON
  PARTNERS LP   STOCK     030975106      11        300    SHARES                X                 1        300     0      0
AMERIGAS        COMMON
  PARTNERS LP   STOCK     030975106      36       1000    SHARES                         X        1       1000     0      0
AMERIPRISE      COMMON
  FINANCIAL     STOCK     03076C106     110       2000    SHARES                X                 3       2000     0      0
AMERIPRISE      COMMON
  FINANCIAL INC STOCK     03076C106     152       2761    SHARES                X                 1       2641     0    120
AMERIPRISE      COMMON
  FINANCIAL INC STOCK     03076C106      99       1790    SHARES                X                 2          0     0   1790
AMERIPRISE      COMMON
  FINANCIAL INC STOCK     03076C106      88       1589    SHARES                         X        1       1199     0    390
AMERIS BANCORP  COMMON
                STOCK     03076K108       2        123    SHARES                X                 1        123     0      0
AMERISOURCE
  BERGEN CORP   COMMON
  COM           STOCK     03073E105      18        400    SHARES                X                 1        400     0      0
AMERISOURCE-    COMMON
  BERGEN        STOCK     03073E105      72       1600    SHARES                X                 3       1600     0      0
AMERN CAP       COMMON
  STRATEGIES    STOCK     024937104      53       1600    SHARES                X                 3       1600     0      0
AMERN ELEC PWR  COMMON
  INC           STOCK     025537101     151       3250    SHARES                X                 3       3250     0      0
AMERON
  INTERNATIONAL COMMON
  CORP          STOCK     030710107      74        800    SHARES                X                 2          0     0    800
AMETEK
  AEROSPACE     COMMON
  PRODS INC COM STOCK     031100100      66       1413    SHARES                X                 1       1413     0      0
AMGEN INC       COMMON
                STOCK     031162100    2135      45978    SHARES                X                 3      44441     0   1537
AMGEN INC COM   COMMON
                STOCK     031162100    9263     199468    SHARES                X                 1     194883     0   4585
AMGEN INC COM   COMMON
                STOCK     031162100    1467      31598    SHARES                X                 2       3950     0  27648
AMGEN INC COM   COMMON
                STOCK     031162100       9        200    SHARES                X                 4        200     0      0
AMGEN INC COM   COMMON
                STOCK     031162100    2174      46805    SHARES                         X        1      41405     0   5400
AMSURG CORP     COMMON
                STOCK     03232P405      22        800    SHARES                X                 1        800     0      0
AMTECH SYSTEMS  COMMON
  INC           STOCK     032332504      26       2000    SHARES                         X        1       2000     0      0
ANADARKO PETE   COMMON
                STOCK     032511107     672      10220    SHARES                X                 3      10220     0      0
ANADARKO
  PETROLEUM     COMMON
  CORP          STOCK     032511107    1870      28462    SHARES                X                 1      27846     0    616
ANADARKO
  PETROLEUM     COMMON
  CORP          STOCK     032511107     392       5954    SHARES                X                 2       2900     0   3054
ANADARKO
  PETROLEUM     COMMON
  CORP          STOCK     032511107     874      13301    SHARES                         X        1       8431     0   4870
ANALOG DEVICES  COMMON
  INC           STOCK     032654105     225       7100    SHARES                X                 3       7100     0      0
ANALOG DEVICES  COMMON
  INC           STOCK     032654105      56       1770    SHARES                X                 1       1770     0      0
ANALOG DEVICES  COMMON
  INC           STOCK     032654105     666      21000    SHARES                X                 2          0     0  21000
ANALOG DEVICES  COMMON
  INC           STOCK     032654105      34       1060    SHARES                         X        1        460     0    600
ANGIODYNAMICS   COMMON
  INC           STOCK     03475V101    1624      85300    SHARES                X                 3      85300     0      0
ANGIODYNAMICS   COMMON
  INC           STOCK     03475V101      97       5115    SHARES                X                 1       4700     0    415
ANGIODYNAMICS   COMMON
  INC           STOCK     03475V101       3        137    SHARES                         X        1        137     0      0
ANGLO AMERICAN  COMMON
  PLC-UNSP ADR  STOCK     03485P201       5        177    SHARES                X                 1        177     0      0
ANGLO AMERICAN  COMMON
  PLC-UNSP ADR  STOCK     03485P201      12        400    SHARES                         X        1        400     0      0
ANGLOGOLD
  ASHANTI SPON  COMMON
  ADR           STOCK     035128206       5        110    SHARES                X                 1        110     0      0
ANHEUSER BUSCH  COMMON
  COS           STOCK     035229103     517       9865    SHARES                X                 3       9865     0      0
ANHEUSER BUSCH  COMMON
  COS INC COM   STOCK     035229103    1310      25032    SHARES                X                 1      25032     0      0
ANHEUSER BUSCH  COMMON
  COS INC COM   STOCK     035229103    1247      23818    SHARES                X                 2          0     0  23818
ANHEUSER BUSCH  COMMON
  COS INC COM   STOCK     035229103    1080      20638    SHARES                         X        1      20638     0      0
ANIKA
  THERAPEUTICS  COMMON
  INC COM       STOCK     035255108      12        800    SHARES                         X        1        800     0      0
ANIMAL HEALTH
  INTERNATIONAL COMMON
  IN            STOCK     03525N109      63       5115    SHARES                X                 1       4700     0    415
ANIMAL HEALTH   COMMON
  INTL          STOCK     03525N109    1055      85800    SHARES                X                 3      85800     0      0
ANNALY CAPITAL
  MANAGEMENT    COMMON
  INC           STOCK     035710409      58       3175    SHARES                X                 1       N.A.  N.A.   N.A.
ANNALY CAPITAL
  MANAGEMENT    COMMON
  INC           STOCK     035710409    9168     504300    SHARES                X                 2       N.A.  N.A.   N.A.
ANNALY CAPITAL
  MANAGEMENT    COMMON
  INC           STOCK     035710409      59       3250    SHARES                         X        1       N.A.  N.A.   N.A.
ANNALY CAPITAL  COMMON
  MGMT          STOCK     035710409     195      10700    SHARES                X                 3      10700     0      0
ANNAPOLIS
  BANCORP       COMMON
  INCORPORATED  STOCK     035848100      10       1333    SHARES                         X        1       1333     0      0
ANSYS INC       COMMON
                STOCK     03662Q105    3279      79100    SHARES                X                 3      79100     0      0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
ANSYS INC COM   COMMON
                STOCK     03662Q105     397       9574    SHARES                X                 1       8904     0    670
ANSYS INC COM   COMMON
                STOCK     03662Q105      62       1500    SHARES                X                 2          0     0   1500
ANTHRACITE
  CAPITAL INC   COMMON
  COM           STOCK     037023108      17       2344    SHARES                X                 1       N.A.  N.A.   N.A.
AON CORP COM    COMMON
                STOCK     037389103     332       6960    SHARES                X                 1       6960     0      0
AON CORPORATION COMMON
                STOCK     037389103     116       2430    SHARES                X                 3       2430     0      0
APACHE CORP     COMMON
                STOCK     037411105     301       2800    SHARES                X                 3       2800     0      0
APACHE CORP COM COMMON
                STOCK     037411105    3268      30387    SHARES                X                 1      30337     0     50
APACHE CORP COM COMMON
                STOCK     037411105     621       5774    SHARES                X                 2          0     0   5774
APACHE CORP COM COMMON
                STOCK     037411105    1098      10206    SHARES                         X        1       9996     0    210
APARTMENT
  INVT & MGMT   COMMON
  CL A          STOCK     03748R101       3        100    SHARES                X                 1       N.A.  N.A.   N.A.
APARTMENT
  INVT & MGMT   COMMON
  CL A          STOCK     03748R101     104       3000    SHARES                X                 2       N.A.  N.A.   N.A.
APARTMENT
  INVT & MGMT   COMMON
  CL A          STOCK     03748R101       7        200    SHARES                         X        1       N.A.  N.A.   N.A.
APARTMENT
  INVT&MGMT     REIT      03748R101      28        800    SHARES                X                 3        800     0      0
APOLLO GROUP    COMMON
  INC           STOCK     037604105     115       1644    SHARES                X                 3       1644     0      0
APOLLO
  INVESTMENT    PREFERRED
  CORPORATION   STOCK     03761U106      26       1500    SHARES                X                 1       N.A.  N.A.   N.A.
APOLLO
  INVESTMENT    PREFERRED
  CORPORATION   STOCK     03761U106      14        800    SHARES                         X        1       N.A.  N.A.   N.A.
APPLE INC       COMMON
                STOCK     037833100   15135      76407    SHARES                X                 1      75527     0    880
APPLE INC       COMMON
                STOCK     037833100   29538     149122    SHARES                X                 2      53200     0  95922
APPLE INC       COMMON
                STOCK     037833100    8054      40661    SHARES                X                 3      39839     0    822
APPLE INC       COMMON
                STOCK     037833100    1452       7330    SHARES                         X        1       5370     0   1960
APPLERA CORP-
  APPLIED       COMMON
  BIOSYSTEM     STOCK     038020103      41       1200    SHARES                X                 1       1200     0      0
APPLERA CORP-
  CELERA        COMMON
  GENOMICS G    STOCK     038020202      10        600    SHARES                X                 1        600     0      0
APPLERA         COMMON
  CORPORATION   STOCK     038020103      52       1540    SHARES                X                 3       1540     0      0
APPLIED         COMMON
  MATERIALS     STOCK     038222105     213      12000    SHARES                X                 3      12000     0      0
APPLIED
  MATERIALS     COMMON
  INC COM       STOCK     038222105     619      34844    SHARES                X                 1      33844     0   1000
APPLIED
  MATERIALS     COMMON
  INC COM       STOCK     038222105    1460      82175    SHARES                X                 2      56175     0  26000
APPLIED
  MATERIALS     COMMON
  INC COM       STOCK     038222105      89       5000    SHARES                         X        1       4300     0    700
AQUA AMERICA    COMMON
  INC           STOCK     03836W103      95       4500    SHARES                X                 3       4500     0      0
AQUA AMERICA    COMMON
  INC           STOCK     03836W103      74       3509    SHARES                X                 1       3509     0      0
ARCHER DANIELS
  MIDLAND CO    COMMON
  COM           STOCK     039483102     806      17364    SHARES                X                 1      17364     0      0
ARCHER DANIELS
  MIDLAND CO    COMMON
  COM           STOCK     039483102     253       5440    SHARES                X                 3       5440     0      0
ARCHER DANIELS
  MIDLAND CO    COMMON
  COM           STOCK     039483102     307       6615    SHARES                         X        1       1115     0   5500
ARGO GROUP
  INTERNATIONAL COMMON
  HLDGS         STOCK     G0464B107      10        237    SHARES                X                 1        237     0      0
ARLINGTON       COMMON
  TANKERS LTD   STOCK     G04899103    2997     135449    SHARES                X                 2      64849     0  70600
ARRIS GROUP     COMMON
                STOCK     04269Q100      19       1854    SHARES                X                 1       1854     0      0
ARRIS GROUP     COMMON
                STOCK     04269Q100     562      56347    SHARES                         X        1      56347     0      0
ARROW
  ELECTRONICS   COMMON
  INC           STOCK     042735100     940      23941    SHARES                X                 1      23826     0    115
ARROW
  ELECTRONICS   COMMON
  INC           STOCK     042735100    2037      51824    SHARES                X                 3      51824     0      0
ART TECHNOLOGY  COMMON
  GROUP         STOCK     04289L107     559     129481    SHARES         X                              129481     0      0
ARTESIAN
  RESOURCES     COMMON
  CORPORATION   STOCK     043113208      74       3891    SHARES                X                 1       3891     0      0
ARTHROCARE CORP COMMON
                STOCK     043136100     966      20100    SHARES                X                 3      20100     0      0
ARTHROCARE CORP COMMON
                STOCK     043136100      60       1255    SHARES                X                 1       1149     0    106
ARTHROCARE CORP COMMON
                STOCK     043136100      19        400    SHARES                         X        1        400     0      0
ARVINMERITOR    COMMON
  INC COM       STOCK     043353101       2        180    SHARES                         X        1        180     0      0
ASA LTD         PREFERRED
                STOCK     G3156P103      75       1000    SHARES                X                 1       N.A.  N.A.   N.A.
ASHLAND INC     COMMON
                STOCK     044209104     171       3600    SHARES                X                 3       3600     0      0
ASHLAND INC     COMMON
                STOCK     044209104      21        450    SHARES                X                 1        450     0      0
ASPEN
  TECHNOLOGY    COMMON
  INC           STOCK     045327103    1724     106300    SHARES                X                 3     106300     0      0
ASPEN
  TECHNOLOGY    COMMON
  INC           STOCK     045327103     104       6430    SHARES                X                 1       5900     0    530
ASSURANT INC    COMMON
                STOCK     04621X108      60        900    SHARES                X                 3        900     0      0
ASTORIA FINL    COMMON
  CORP          STOCK     046265104      79       3400    SHARES                X                 3       3400     0      0






                                                                                  SEC USE
                                               -----------------------------------------------------------------------------
                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                 COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                               
ASTRAZENECA
  GROUP PLC       COMMON
  SPONSORE        STOCK   046353108      47       1095    SHARES                X                 1       1095     0       0
ASTRAZENECA
  GROUP PLC       COMMON
  SPONSORE        STOCK   046353108      23        527    SHARES                X                 3        527     0       0
ASTRAZENECA
  GROUP PLC       COMMON
  SPONSORE        STOCK   046353108      20        461    SHARES                         X        1        461     0       0
ASTRONICS CORP    COMMON
                  STOCK   046433108      40        943    SHARES                X                 1        943     0       0
AT&T INC          COMMON
                  STOCK   00206R102   28139     677074    SHARES                X                 1     668450     0    8624
AT&T INC          COMMON
                  STOCK   00206R102   17204     413949    SHARES                X                 2     120359     0  293590
AT&T INC          COMMON
                  STOCK   00206R102    6005     144484    SHARES                X                 3     138857     0    5627
AT&T INC          COMMON
                  STOCK   00206R102      11        265    SHARES                X                 4        265     0       0
AT&T INC          COMMON
                  STOCK   00206R102   17261     415320    SHARES                         X        1     367968     0   47352
ATHEROS           COMMON
  COMMUNICATIONS  STOCK   04743P108      67       2180    SHARES                X                 1       2000     0     180
ATHEROS           COMMON
  COMMUNICATNS    STOCK   04743P108    1078      35300    SHARES                X                 3      35300     0       0
ATLAS PIPELINE    COMMON
  HOLDINGS LP     STOCK   04939R108      43       1600    SHARES                X                 2          0     0    1600
ATLAS PIPELINE    COMMON
  PARTNERS LP     STOCK   049392103       9        200    SHARES                X                 1        200     0       0
ATMOS ENERGY      COMMON
  CORP            STOCK   049560105      35       1250    SHARES                X                 1       1250     0       0
ATMOS ENERGY      COMMON
  CORP            STOCK   049560105      13        476    SHARES                X                 2          0     0     476
ATWOOD            COMMON
  OCEANICS INC    STOCK   050095108       8         83    SHARES                X                 1         83     0       0
AUTODESK COM      COMMON
                  STOCK   052769106    2504      50318    SHARES                X                 1      49292     0    1026
AUTODESK COM      COMMON
                  STOCK   052769106    1878      37725    SHARES                X                 3      35989     0    1736
AUTODESK COM      COMMON
                  STOCK   052769106      81       1630    SHARES                         X        1       1630     0       0
AUTOMATIC DATA    COMMON
  PROC            STOCK   053015103     280       6300    SHARES                X                 3       6300     0       0
AUTOMATIC DATA
  PROCESSING      COMMON
  INC             STOCK   053015103    2786      62563    SHARES                X                 1      61313     0    1250
AUTOMATIC DATA
  PROCESSING      COMMON
  INC             STOCK   053015103    2369      53198    SHARES                X                 2      20698     0   32500
AUTOMATIC DATA
  PROCESSING      COMMON
  INC             STOCK   053015103    2096      47066    SHARES                         X        1      42606     0    4460
AUTONATION INC    COMMON
                  STOCK   05329W102      20       1300    SHARES                X                 3       1300     0       0
AUTOZONE INC      COMMON
                  STOCK   053332102      48        400    SHARES                X                 3        400     0       0
AUTOZONE INC      COMMON
  COM             STOCK   053332102      23        195    SHARES                X                 1        150     0      45
AVALONBAY
  COMMUNITIES     COMMON
  INC             STOCK   053484101      28        300    SHARES                X                 1       N.A.  N.A.    N.A.
AVALONBAY
  COMMUNTIES      REIT    053484101      64        675    SHARES                X                 3        675     0       0
AVERY DENNISON    COMMON
  CORP            STOCK   053611109     138       2600    SHARES                X                 3       2600     0       0
AVERY DENNISON    COMMON
  CORP COM        STOCK   053611109      37        700    SHARES                         X        1        700     0       0
AVID
  TECHNOLOGY      COMMON
  INC             STOCK   05367P100      14        500    SHARES                X                 1        500     0       0
AVIS BUDGET       COMMON
  GROUP INC       STOCK   053774105       0         25    SHARES                         X        1         25     0       0
AVNET INC COM     COMMON
                  STOCK   053807103       7        200    SHARES                X                 4        200     0       0
AVNET INC COM     COMMON
                  STOCK   053807103      17        475    SHARES                         X        1        475     0       0
AVON PRODUCTS     COMMON
  INC             STOCK   054303102     146       3700    SHARES                X                 3       3700     0       0
AVON PRODUCTS     COMMON
  INC             STOCK   054303102     191       4820    SHARES                X                 1       4820     0       0
AVON PRODUCTS     COMMON
  INC             STOCK   054303102     310       7840    SHARES                         X        1       7840     0       0
AXA SPONSORED     COMMON
  ADR             STOCK   054536107       9        236    SHARES                         X        1        236     0       0
AXCELIS
  TECHNOLOGIES    COMMON
  INC COM         STOCK   054540109      11       2299    SHARES                         X        1       2299     0       0
B & G FOODS       COMMON
  INC - EIS       STOCK   05508R205      31       1750    SHARES                X                 1       1750     0       0
BADGER METER      COMMON
  INC             STOCK   056525108     378       8400    SHARES                         X        1       8400     0       0
BAKER HUGHES      COMMON
  INC             STOCK   057224107     227       2800    SHARES                X                 3       2800     0       0
BAKER HUGHES      COMMON
  INC COM         STOCK   057224107     267       3288    SHARES                X                 1       2888     0     400
BAKER HUGHES      COMMON
  INC COM         STOCK   057224107    1071      13200    SHARES                X                 2      10900     0    2300
BAKER HUGHES      COMMON
  INC COM         STOCK   057224107     142       1745    SHARES                         X        1        900     0     845
BALL CORP         COMMON
                  STOCK   058498106      39        860    SHARES                X                 3        860     0       0
BALL              COMMON
  CORPORATION     STOCK   058498106    1080      24000    SHARES                X                 1      24000     0       0
BALLARD POWER     COMMON
  SYSTEM INC      STOCK   05858H104       2        300    SHARES                X                 1        300     0       0
BALLY             COMMON
  TECHNOLOGIES    STOCK   05874B107    1422      28600    SHARES                X                 3      28600     0       0
BALLY
  TECHNOLOGIES    COMMON
  INC             STOCK   05874B107      87       1750    SHARES                X                 1       1600     0     150
BANCO BILBAO
  VIZCAYA         ADR     05946K101       0          8    SHARES                X                 3          8     0       0






                                                                                   SEC USE
                                                -----------------------------------------------------------------------------
                                                                                COLUMN 6                       COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                ------------------------ ----------------------          --------------------
                  COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                
BANCO
  SANTANDER SA     COMMON
  - SPONS ADR      STOCK   05964H105       2         78    SHARES                X                 1         78   0         0
BANCORP RHODE      COMMON
  ISLAND INC       STOCK   059690107       2         44    SHARES                X                 1         44   0         0
BANK AMER CORP     COMMON
                   STOCK   060505104   18534     449201    SHARES                X                 1     439347   0      9854
BANK AMER CORP     COMMON
                   STOCK   060505104   17536     425011    SHARES                X                 2     142960   0    282051
BANK AMER CORP     COMMON
                   STOCK   060505104    7023     170216    SHARES                X                 3     164184   0      6032
BANK AMER CORP     COMMON
                   STOCK   060505104    8819     213733    SHARES                         X        1     195806   0     17927
BANK NEW YORK      COMMON
  MELLON CORP      STOCK   064058100    6155     126233    SHARES                X                 1     124783   0      1450
BANK NEW YORK      COMMON
  MELLON CORP      STOCK   064058100    4767      97769    SHARES                X                 2      25541   0     72228
BANK NEW YORK      COMMON
  MELLON CORP      STOCK   064058100     625      12835    SHARES                X                 3      12835   0         0
BANK NEW YORK      COMMON
  MELLON CORP      STOCK   064058100    1202      24653    SHARES                         X        1      23099   0      1554
BANK OF HAWAII     COMMON
  CORP             STOCK   062540109      10        200    SHARES                         X        1        200   0         0
BANK OF
  IRELAND          COMMON
  SPONSORED ADR    STOCK   46267Q103       7        108    SHARES                X                 1        108   0         0
BARCLAYS PLC--     COMMON
  SPONS ADR        STOCK   06738E204       1         21    SHARES                X                 1         21   0         0
BARCLAYS PLC--     COMMON
  SPONS ADR        STOCK   06738E204     283       7000    SHARES                         X        1       7000   0         0
BARD C R INC       COMMON
                   STOCK   067383109     119       1250    SHARES                X                 3       1250   0         0
BARD C R INC       COMMON
  COM              STOCK   067383109      66        700    SHARES                X                 1        700   0         0
BARD C R INC       COMMON
  COM              STOCK   067383109     379       4000    SHARES                         X        1       4000   0         0
BARR               COMMON
  PHARMACEUTICALS  STOCK   068306109      48        900    SHARES                X                 3        900   0         0
BARR
  PHARMACEUTICALS  COMMON
  INC              STOCK   068306109      74       1391    SHARES                X                 1       1391   0         0
BARRICK GOLD       COMMON
  CORP             STOCK   067901108      56       1326    SHARES                X                 1       1326   0         0
BARRICK GOLD       COMMON
  CORP             STOCK   067901108     219       5200    SHARES                         X        1       5100   0       100
BASIN WATER INC    COMMON
                   STOCK   07011T306      83      10000    SHARES                X                 2          0   0     10000
BAXTER INTL INC    COMMON
                   STOCK   071813109     926      15952    SHARES                X                 1      15952   0         0
BAXTER INTL INC    COMMON
                   STOCK   071813109     348       5990    SHARES                X                 3       5990   0         0
BAXTER INTL INC    COMMON
                   STOCK   071813109     505       8699    SHARES                         X        1       8699   0         0
BAY NATIONAL       COMMON
  CORPORATION      STOCK   072500101      10        990    SHARES                X                 1        990   0         0
BAYER AG           COMMON
  SPONSORED ADR    STOCK   072730302      91       1000    SHARES                         X        1       1000   0         0
BB&T CORP COM      COMMON
                   STOCK   054937107     985      32129    SHARES                X                 1      29101   0      3028
BB&T CORP COM      COMMON
                   STOCK   054937107    2866      93446    SHARES                X                 2      43840   0     49606
BB&T CORP COM      COMMON
                   STOCK   054937107     241       7867    SHARES                X                 3       7867   0         0
BB&T CORP COM      COMMON
                   STOCK   054937107     836      27270    SHARES                         X        1      25704   0      1566
BE AEROSPACE       COMMON
  INC              STOCK   073302101    1179      22300    SHARES                X                 3      22300   0         0
BE AEROSPACE       COMMON
  INC              STOCK   073302101      70       1320    SHARES                X                 1       1200   0       120
BEA SYSTEMS INC    COMMON
                   STOCK   073325102      16       1000    SHARES                X                 2          0   0      1000
BEAR STEARNS       COMMON
  COS INC          STOCK   073902108      88       1000    SHARES                X                 3       1000   0         0
BEAR STEARNS       COMMON
  COS INC          STOCK   073902108      55        620    SHARES                X                 1        620   0         0
BEAR STEARNS       COMMON
  COS INC          STOCK   073902108     106       1206    SHARES                         X        1       1206   0         0
BECKMAN            COMMON
  COULTER INC      STOCK   075811109    1165      16000    SHARES                X                 2          0   0     16000
BECKMAN            COMMON
  COULTER INC      STOCK   075811109     162       2228    SHARES                         X        1       1680   0       548
BECTON             COMMON
  DICKINSON        STOCK   075887109     172       2055    SHARES                X                 3       2055   0         0
BECTON
  DICKINSON &      COMMON
  CO COM           STOCK   075887109     267       3189    SHARES                X                 1       3189   0         0
BECTON
  DICKINSON &      COMMON
  CO COM           STOCK   075887109    1611      19280    SHARES                         X        1      19280   0         0
BED BATH &         COMMON
  BEYOND           STOCK   075896100      71       2400    SHARES                X                 3       2400   0         0
BED BATH &
  BEYOND INC       COMMON
  COM              STOCK   075896100     115       3910    SHARES                X                 1       3910   0         0
BED BATH &
  BEYOND INC       COMMON
  COM              STOCK   075896100      35       1200    SHARES                X                 2          0   0      1200
BED BATH &
  BEYOND INC       COMMON
  COM              STOCK   075896100      10        325    SHARES                         X        1        325   0         0
BEMIS INC          COMMON
                   STOCK   081437105     104       3820    SHARES                X                 3       3820   0         0
BEMIS INC          COMMON
                   STOCK   081437105      16        575    SHARES                X                 1        450   0       125
BEMIS INC          COMMON
                   STOCK   081437105      22        800    SHARES                         X        1        800   0         0
BENCHMARK
  ELECTRONICS      COMMON
  INC              STOCK   08160H101       3        172    SHARES                X                 1        172   0         0
BERKSHIRE
  HATHAWAY INC     COMMON
  CLASS A          STOCK   084670108    1274          9    SHARES                X                 2          0   0         9






                                                                                  SEC USE
                                                ---------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          ------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                               
BERKSHIRE
  HATHAWAY INC   COMMON
  CLASS A        STOCK     084670108     425          3    SHARES                         X        1         3     0      0
BERKSHIRE
  HATHAWAY INC   COMMON
  CLASS B        STOCK     084670207    1317        278    SHARES                X                 1       278     0      0
BERKSHIRE
  HATHAWAY INC   COMMON
  CLASS B        STOCK     084670207     592        125    SHARES                X                 2         0     0    125
BERKSHIRE
  HATHAWAY INC   COMMON
  CLASS B        STOCK     084670207     739        156    SHARES                         X        1       146     0     10
BEST BUY INC     COMMON
                 STOCK     086516101     223       4237    SHARES                X                 3      4237     0      0
BEST BUY INC     COMMON
  COM            STOCK     086516101     232       4410    SHARES                X                 1      4410     0      0
BEST BUY INC     COMMON
  COM            STOCK     086516101     132       2512    SHARES                         X        1      2512     0      0
BHP BILLITON
  LTD            COMMON
  SPONSORED ADR  STOCK     088606108     265       3778    SHARES                X                 1      3778     0      0
BHP BILLITON
  LTD            COMMON
  SPONSORED ADR  STOCK     088606108     324       4632    SHARES                         X        1      3600     0   1032
BIG LOTS INC     COMMON
                 STOCK     089302103      43       2644    SHARES                X                 3      2644     0      0
BIOGEN IDEC INC  COMMON
                 STOCK     09062X103     148       2600    SHARES                X                 3      2600     0      0
BIOGEN IDEC INC  COMMON
                 STOCK     09062X103     823      14453    SHARES                X                 1     14453     0      0
BIOGEN IDEC INC  COMMON
                 STOCK     09062X103    1060      18630    SHARES                X                 2         0     0  18630
BIOGEN IDEC INC  COMMON
                 STOCK     09062X103     128       2253    SHARES                         X        1      2143     0    110
BIOMARIN         COMMON
  PHARMAC INC    STOCK     09061G101     984      27800    SHARES                X                 3     27800     0      0
BIOMARIN
  PHARMACEUTICAL COMMON
  INC            STOCK     09061G101      62       1750    SHARES                X                 1      1600     0    150
BIOTECH HOLDRS   COMMON
  TRUST          STOCK     09067D201      42        260    SHARES                X                 1       260     0      0
BIOVAIL CORP     COMMON
                 STOCK     09067J109      14       1040    SHARES                X                 3      1040     0      0
BJ SVCS CO       COMMON
                 STOCK     055482103      59       2450    SHARES                X                 3      2450     0      0
BJ SVCS CO COM   COMMON
                 STOCK     055482103       5        200    SHARES                X                 1       200     0      0
BLACK & DECKER   COMMON
  CORP           STOCK     091797100     131       1875    SHARES                X                 3      1875     0      0
BLACK & DECKER   COMMON
  CORP COM       STOCK     091797100     230       3300    SHARES                X                 1      3300     0      0
BLACK & DECKER   COMMON
  CORP COM       STOCK     091797100    1308      18776    SHARES                         X        1     18776     0      0
BLACK HILLS      COMMON
  CORP           STOCK     092113109      79       1800    SHARES                X                 1      1800     0      0
BLACKROCK APEX
  MUNICIPAL      PREFERRED
  FUND           STOCK     09254H106       9       1000    SHARES                X                 1      N.A.  N.A.   N.A.
BLACKROCK APEX
  MUNICIPAL      PREFERRED
  FUND           STOCK     09254H106      19       2027    SHARES                         X        1      N.A.  N.A.   N.A.
BLACKROCK
  DIVERSIFIED    PREFERRED
  INC STRA       STOCK     09255W102       5        300    SHARES                X                 1      N.A.  N.A.   N.A.
BLACKROCK
  ENHANCED DVD   PREFERRED
  ACHIEVE        STOCK     09251A104       8        680    SHARES                         X        1      N.A.  N.A.   N.A.
BLACKROCK
  GLOBAL         PREFERRED
  ENERGY & RESO  STOCK     09250U101      38       1200    SHARES                X                 1      N.A.  N.A.   N.A.
BLACKROCK
  HEALTH         PREFERRED
  SCIENCES TRUS  STOCK     09250W107     135       5000    SHARES                         X        1      N.A.  N.A.   N.A.
BLACKROCK INC    COMMON
                 STOCK     09247X101     141        650    SHARES                X                 1       650     0      0
BLACKROCK INC    COMMON
                 STOCK     09247X101      15         70    SHARES                X                 3        70     0      0
BLACKROCK INSD
  MUNI 2008      PREFERRED
  TERM           STOCK     09247K109      11        750    SHARES                X                 1      N.A.  N.A.   N.A.
BLACKROCK INSD   PREFERRED
  MUNI TERM TR   STOCK     092474105      17       1750    SHARES                X                 1      N.A.  N.A.   N.A.
BLACKROCK
  MARYLAND       PREFERRED
  MUNI BD TR     STOCK     09249L105      45       3000    SHARES                X                 2      N.A.  N.A.   N.A.
BLACKROCK
  MUNIENHANCED   PREFERRED
  FUND IN        STOCK     09253Y100      21       2032    SHARES                         X        1      N.A.  N.A.   N.A.
BLACKROCK
  MUNIHLDGS NJ   PREFERRED
  INSURED        STOCK     09254X101      40       3050    SHARES                         X        1      N.A.  N.A.   N.A.
BLACKROCK
  MUNIHLDGS NY   PREFERRED
  INSURED        STOCK     09255C106      39       3050    SHARES                         X        1      N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD        PREFERRED
  CALIFORNIA I   STOCK     09254N103      39       3050    SHARES                         X        1      N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD NEW    PREFERRED
  YORK INS       STOCK     09255E102      20       1601    SHARES                         X        1      N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD        PREFERRED
  PENNSYLVANIA   STOCK     09255G107      13        981    SHARES                X                 1      N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD        PREFERRED
  PENNSYLVANIA   STOCK     09255G107      16       1181    SHARES                         X        1      N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD        PREFERRED
  QUALITY FUND   STOCK     09254G108      79       6850    SHARES                         X        1      N.A.  N.A.   N.A.
BLACKROCK NY
  INS MUNI       PREFERRED
  2008 TER       STOCK     09247L107      11        750    SHARES                X                 1      N.A.  N.A.   N.A.
BLACKROCK
  STRAT DVD      PREFERRED
  ACHV TRS       STOCK     09249Y107      17       1400    SHARES                X                 1      N.A.  N.A.   N.A.
BLOCK H & R INC  COMMON
                 STOCK     093671105     117       6300    SHARES                X                 3      6300     0      0
BLOCK H & R INC  COMMON
                 STOCK     093671105      29       1550    SHARES                X                 1      1550     0      0
BLOCK H & R INC  COMMON
                 STOCK     093671105      63       3400    SHARES                         X        1      3400     0      0
BLUE CHIP
  VALUE FUND     PREFERRED
  INC            STOCK     095333100      10       1920    SHARES                X                 1      N.A.  N.A.   N.A.
BLUE NILE INC    COMMON
                 STOCK     09578R103      21        305    SHARES                X                 3       305     0      0
BMC SOFTWARE     COMMON
  INC            STOCK     055921100      61       1700    SHARES                X                 3      1700     0      0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
BOARDWALK
  PIPELINE      COMMON
  PARTNERS LP   STOCK     096627104      31       1000    SHARES                X                 2          0     0   1000
BOEING CO       COMMON
                STOCK     097023105    1175      13450    SHARES                X                 3      13450     0      0
BOEING CO COM   COMMON
                STOCK     097023105    2930      33506    SHARES                X                 1      32006     0   1500
BOEING CO COM   COMMON
                STOCK     097023105      87       1000    SHARES                X                 2          0     0   1000
BOEING CO COM   COMMON
                STOCK     097023105    1110      12692    SHARES                         X        1      12517     0    175
BOK FINANCIAL   COMMON
  CORPORATION   STOCK     05561Q201       1         11    SHARES                X                 1         11     0      0
BON-TON STORES  COMMON
  INCORPORATED  STOCK     09776J101      85       8975    SHARES                X                 1       8975     0      0
BORDERS GROUP   COMMON
  INC COM       STOCK     099709107      12       1100    SHARES                X                 1       1100     0      0
BOSTON BEER INC COMMON
                STOCK     100557107    1348      35800    SHARES                X                 3      35800     0      0
BOSTON BEER
  INCORPORATED  COMMON
  CLASS         STOCK     100557107     104       2750    SHARES                X                 1       2750     0      0
BOSTON BEER
  INCORPORATED  COMMON
  CLASS         STOCK     100557107       4        100    SHARES                         X        1        100     0      0
BOSTON          COMMON
  PROPERTIES    STOCK     101121101      87        950    SHARES                X                 3        950     0      0
BOSTON
  PROPERTIES    COMMON
  INC (REIT)    STOCK     101121101     375       4081    SHARES                X                 1       N.A.  N.A.   N.A.
BOSTON
  PROPERTIES    COMMON
  INC (REIT)    STOCK     101121101     321       3500    SHARES                X                 2       N.A.  N.A.   N.A.
BOSTON
  PROPERTIES    COMMON
  INC (REIT)    STOCK     101121101     275       3000    SHARES                         X        1       N.A.  N.A.   N.A.
BOSTON          COMMON
  SCIENTIFIC    STOCK     101137107     133      11400    SHARES                X                 3      11400     0      0
BOSTON
  SCIENTIFIC    COMMON
  CORP COM      STOCK     101137107      22       1910    SHARES                X                 1       1910     0      0
BOSTON
  SCIENTIFIC    COMMON
  CORP COM      STOCK     101137107      69       5947    SHARES                         X        1       5947     0      0
BOSTON
  SCIENTIFIC    COMMON
  CORPORATION   STOCK     101137107     149      12800    SHARES                X                 2      12800     0      0
BOULDER TOTAL
  RETURN FUND   PREFERRED
  INC           STOCK     101541100      42       1900    SHARES                X                 1       N.A.  N.A.   N.A.
BP PLC          COMMON
  SPONSORED ADR STOCK     055622104   17485     238963    SHARES                X                 1     238963     0      0
BP PLC          COMMON
  SPONSORED ADR STOCK     055622104    1545      21117    SHARES                X                 2          0     0  21117
BP PLC          COMMON
  SPONSORED ADR STOCK     055622104     319       4364    SHARES                X                 3       3544     0    820
BP PLC          COMMON
  SPONSORED ADR STOCK     055622104   13991     191214    SHARES                         X        1     173556     0  17658
BP PRUDHOE BAY
  RTY TR UNIT   COMMON
  BEN           STOCK     055630107      27        339    SHARES                X                 1        339     0      0
BRANDYWINE
  REALTY TRUST  COMMON
  (REIT)        STOCK     105368203      27       1500    SHARES                X                 1       N.A.  N.A.   N.A.
BRANDYWINE
  REALTY TRUST  COMMON
  (REIT)        STOCK     105368203      27       1500    SHARES                X                 2       N.A.  N.A.   N.A.
BRIGHT
  HORIZONS
  FAMILY        COMMON
  SOLUTIO       STOCK     109195107     895      25900    SHARES                X                 2      15100     0  10800
BRIGHTPOINT INC COMMON
                STOCK     109473405       3        165    SHARES                X                 1        165     0      0
BRINKER INTL    COMMON
  INC           STOCK     109641100     434      22200    SHARES                X                 3      22200     0      0
BRINKER INTL    COMMON
  INC COM       STOCK     109641100     584      29849    SHARES                X                 1      29500     0    349
BRINKER INTL    COMMON
  INC COM       STOCK     109641100     247      12649    SHARES                         X        1      12649     0      0
BRISTOL MYERS   COMMON
  SQUIBB        STOCK     110122108     827      31189    SHARES                X                 3      31189     0      0
BRISTOL- MYERS  COMMON
  SQUIBB CO     STOCK     110122108    8225     310159    SHARES                X                 1     310159     0      0
BRISTOL- MYERS  COMMON
  SQUIBB CO     STOCK     110122108    2318      87410    SHARES                X                 2      40232     0  47178
BRISTOL- MYERS  COMMON
  SQUIBB CO     STOCK     110122108       7        250    SHARES                X                 4        250     0      0
BRISTOL- MYERS  COMMON
  SQUIBB CO     STOCK     110122108    7738     291767    SHARES                         X        1     262227     0  29540
BROADCOM CORP   COMMON
                STOCK     111320107     105       4000    SHARES                X                 3       4000     0      0
BROADCOM CORP   COMMON
  CL A          STOCK     111320107     582      22260    SHARES                X                 1      22260     0      0
BROADCOM CORP   COMMON
  CL A          STOCK     111320107      16        626    SHARES                         X        1        626     0      0
BROADRIDGE
  FINANCIAL     COMMON
  SOLUTIONS     STOCK     11133T103     217       9662    SHARES                X                 1       9272     0    390
BROADRIDGE
  FINANCIAL     COMMON
  SOLUTIONS     STOCK     11133T103       6        250    SHARES                X                 2          0     0    250
BROADRIDGE
  FINANCIAL     COMMON
  SOLUTIONS     STOCK     11133T103      60       2676    SHARES                         X        1       2676     0      0
BROADRIDGE      COMMON
  FINL SOLN     STOCK     11133T103     540      24100    SHARES                X                 3      24100     0      0
BROWN & BROWN   COMMON
  INC           STOCK     115236101      94       4000    SHARES                X                 2          0     0   4000
BROWN FORMAN
  CORP          COMMON B  115637209      52        700    SHARES                X                 3        700     0      0
BROWN- FORMAN   COMMON
  CORP CL B     STOCK     115637209     400       5400    SHARES                X                 2          0     0   5400
BROWN- FORMAN   COMMON
  CORP CL B     STOCK     115637209      22        300    SHARES                         X        1        300     0      0
BRUNSWICK CORP  COMMON
                STOCK     117043109      72       4200    SHARES                X                 3       4200     0      0
BRUNSWICK CORP  COMMON
  COM           STOCK     117043109       2        120    SHARES                X                 1        120     0      0
BRYN MAWR BANK  COMMON
  CORPORATION   STOCK     117665109     261      11392    SHARES                X                 1      11392     0      0






                                                                                  SEC USE
                                               -----------------------------------------------------------------------------
                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                               
BT GROUP        COMMON
  PLC-SPON ADR  STOCK     05577E101      13        250    SHARES                         X        1        250     0       0
BUCKEYE
  PARTNERS LP   COMMON
  UNIT LTD P    STOCK     118230101      44        900    SHARES                X                 1        900     0       0
BUCKEYE
  PARTNERS LP   COMMON
  UNIT LTD P    STOCK     118230101     420       8500    SHARES                X                 2       6000     0    2500
BUCYRUS
  INTERNATIONAL COMMON
  INC-A         STOCK     118759109     183       1845    SHARES                X                 1       1700     0     145
BUCYRUS INTL    COMMON
  INC           STOCK     118759109    3039      30575    SHARES                X                 3      30575     0       0
BUNGE LIMITED   COMMON
                STOCK     G16962105     817       7015    SHARES                X                 2       6415     0     600
BURLINGTN       COMMON
  NRTHRN S F    STOCK     12189T104    2268      27255    SHARES                X                 3      25871     0    1384
BURLINGTON
  NORTHERN      COMMON
  SANTA FE C    STOCK     12189T104    4093      49174    SHARES                X                 1      47610     0    1564
BURLINGTON
  NORTHERN      COMMON
  SANTA FE C    STOCK     12189T104      12        150    SHARES                X                 2          0     0     150
BURLINGTON
  NORTHERN      COMMON
  SANTA FE C    STOCK     12189T104    1043      12532    SHARES                         X        1      11332     0    1200
C H ROBINSON    COMMON
  WLDWIDE       STOCK     12541W209     720      13300    SHARES                X                 3      13300     0       0
CA INC          COMMON
                STOCK     12673P105     135       5393    SHARES                X                 1       5393     0       0
CA INC          COMMON
                STOCK     12673P105     129       5168    SHARES                X                 3       5168     0       0
CABOT CORP      COMMON
                STOCK     127055101      73       2200    SHARES                X                 3       2200     0       0
CADBURY
  SCHWEPPES     COMMON
  PLC SPONS AD  STOCK     127209302       3         58    SHARES                X                 1         58     0       0
CADENCE DESIGN  COMMON
  SYS INC       STOCK     127387108      14        800    SHARES                X                 1        800     0       0
CALAMOS CONV &  PREFERRED
  HIGH INC FD   STOCK     12811P108      59       4500    SHARES                X                 1       N.A.  N.A.    N.A.
CALAMOS
  STRATEGIC     PREFERRED
  TOT RET FD    STOCK     128125101       7        500    SHARES                         X        1       N.A.  N.A.    N.A.
CALLAWAY GOLF   COMMON
  CO COM        STOCK     131193104       0         23    SHARES                X                 1         23     0       0
CAL-MAINE       COMMON
  FOODS INC     STOCK     128030202      24        903    SHARES                X                 3        903     0       0
CAMDEN
  PROPERTY      COMMON
  TRUST (REIT)  STOCK     133131102      48       1000    SHARES                X                 1       N.A.  N.A.    N.A.
CAMDEN
  PROPERTY      COMMON
  TRUST (REIT)  STOCK     133131102      24        500    SHARES                X                 2       N.A.  N.A.    N.A.
CAMECO          COMMON
  CORPORATION   STOCK     13321L108      16        400    SHARES                X                 1        400     0       0
CAMERON
  INTERNATIONAL COMMON
  CORP          STOCK     13342B105     396       8220    SHARES                X                 1       7790     0     430
CAMERON
  INTERNATIONAL COMMON
  CORP          STOCK     13342B105    2146      44586    SHARES                X                 3      44586     0       0
CAMPBELL SOUP   COMMON
  CO            STOCK     134429109     225       6300    SHARES                X                 3       6300     0       0
CAMPBELL SOUP   COMMON
  CO COM        STOCK     134429109     120       3350    SHARES                X                 1       3350     0       0
CAMPBELL SOUP   COMMON
  CO COM        STOCK     134429109     236       6600    SHARES                         X        1       6600     0       0
CANADIAN
  NATIONAL      COMMON
  RAILWAY COMP  STOCK     136375102     134       2850    SHARES                X                 1       2850     0       0
CANADIAN
  NATURAL       COMMON
  RESOURCES LTD STOCK     136385101     110       1500    SHARES                X                 1       1500     0       0
CANADIAN
  PACIFIC       COMMON
  RAILWAY LTD   STOCK     13645T100      10        150    SHARES                X                 1        150     0       0
CANON INC       COMMON
  SPONS ADR     STOCK     138006309       1         18    SHARES                X                 1         18     0       0
CANON INC       COMMON
  SPONS ADR     STOCK     138006309       9        202    SHARES                X                 2          0     0     202
CANTEL MEDICAL  COMMON
  CORPORATION   STOCK     138098108       5        347    SHARES                X                 1        347     0       0
CAPELLA         COMMON
  EDUCATION     STOCK     139594105     548       8375    SHARES                X                 3       8375     0       0
CAPELLA
  EDUCATION     COMMON
  COMPANY       STOCK     139594105      35        542    SHARES                X                 1        500     0      42
CAPITAL ONE
  FINANCIAL     COMMON
  CORP          STOCK     14040H105    1997      42247    SHARES                X                 1      41596     0     651
CAPITAL ONE
  FINANCIAL     COMMON
  CORP          STOCK     14040H105    8135     172129    SHARES                X                 2      57269     0  114860
CAPITAL ONE
  FINANCIAL     COMMON
  CORP          STOCK     14040H105     407       8613    SHARES                X                 3       7144     0    1469
CAPITAL ONE
  FINANCIAL     COMMON
  CORP          STOCK     14040H105     930      19680    SHARES                         X        1      16330     0    3350
CAPITALSOURCE   COMMON
  INC           STOCK     14055X102     505      28757    SHARES                X                 3      28757     0       0
CAPITALSOURCE   COMMON
  INC           STOCK     14055X102     226      12842    SHARES                X                 1      12402     0     440
CAPITALSOURCE   COMMON
  INC           STOCK     14055X102   12089     687300    SHARES                X                 2     155100     0  532200
CAPITALSOURCE   COMMON
  INC           STOCK     14055X102      37       2100    SHARES                         X        1       2100     0       0
CARDINAL        COMMON
  HEALTH INC    STOCK     14149Y108     176       3050    SHARES                X                 3       3050     0       0
CARDINAL        COMMON
  HEALTH INC    STOCK     14149Y108     233       4032    SHARES                X                 1       3932     0     100
CARDINAL        COMMON
  HEALTH INC    STOCK     14149Y108     434       7500    SHARES                X                 2       6000     0    1500
CARDINAL        COMMON
  HEALTH INC    STOCK     14149Y108     251       4350    SHARES                         X        1       4350     0       0
CARLISLE        COMMON
  COMPANIES INC STOCK     142339100      30        800    SHARES                X                 1          0     0     800
CARLISLE        COMMON
  COMPANIES INC STOCK     142339100     159       4300    SHARES                         X        1       4000     0     300
CARMAX INC      COMMON
                STOCK     143130102      29       1451    SHARES                X                 1       1451     0       0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                 COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
CARMAX INC        COMMON
                  STOCK   143130102     198      10000    SHARES                X                 2          0   0    10000
CARMAX INC        COMMON
                  STOCK   143130102      26       1302    SHARES                         X        1       1302   0        0
CARNIVAL CORP     COMMON
                  STOCK   143658300    1855      41700    SHARES                X                 3      41700   0        0
CARNIVAL          COMMON
  CORPORATION     STOCK   143658300    4446      99941    SHARES                X                 1      99341   0      600
CARNIVAL          COMMON
  CORPORATION     STOCK   143658300     691      15525    SHARES                         X        1      14425   0     1100
CARPENTER
  TECHNOLOGY      COMMON
  CORP COM        STOCK   144285103     357       4752    SHARES                         X        1       3152   0     1600
CARRIAGE          COMMON
  SERVICES INC    STOCK   143905107       4        500    SHARES                X                 1        453   0       47
CARRIAGE SVCS     COMMON
  INC             STOCK   143905107      86       9700    SHARES                X                 3       9700   0        0
CARROLLTON        COMMON
  BANCORP         STOCK   145282109       6        462    SHARES                X                 1        462   0        0
CASELLA WASTE     COMMON
  SYS             STOCK   147448104     762      58450    SHARES                X                 3      58450   0        0
CASELLA WASTE     COMMON
  SYSTEMS INC     STOCK   147448104      46       3555    SHARES                X                 1       3275   0      280
CATERPILLAR INC   COMMON
                  STOCK   149123101    4713      64950    SHARES                X                 1      63075   0     1875
CATERPILLAR INC   COMMON
                  STOCK   149123101     365       5036    SHARES                X                 2          0   0     5036
CATERPILLAR INC   COMMON
                  STOCK   149123101    1522      20971    SHARES                X                 3      20971   0        0
CATERPILLAR INC   COMMON
                  STOCK   149123101     837      11539    SHARES                         X        1       8864   0     2675
CAVCO
  INDUSTRIES,     COMMON
  INC.            STOCK   149568107       2         60    SHARES                X                 1         60   0        0
CB RICHARD
  ELLIS GROUP     COMMON
  INC-A           STOCK   12497T101    1109      51450    SHARES                X                 2      22300   0    29150
CB RICHARD        COMMON
  ELLIS GRP       STOCK   12497T101      37       1700    SHARES                X                 3       1700   0        0
CBS CORP CL B     COMMON
                  STOCK   124857202     174       6378    SHARES                X                 1       6378   0        0
CBS CORP CL B     COMMON
                  STOCK   124857202       9        331    SHARES                X                 2          0   0      331
CBS CORP CL B     COMMON
                  STOCK   124857202     138       5060    SHARES                         X        1       4735   0      325
CBS CORPORATION   COMMON
                  B       124857202     155       5700    SHARES                X                 3       5700   0        0
CEDAR FAIR LTD    COMMON
  PTR             STOCK   150185106      16        750    SHARES                X                 1        750   0        0
CELGENE CORP      COMMON
                  STOCK   151020104    1457     141790    SHARES                X                 3     141790   0        0
CELGENE CORP      COMMON
  COM             STOCK   151020104       7        150    SHARES                X                 1        150   0        0
CELGENE CORP      COMMON
  COM             STOCK   151020104      46       1000    SHARES                         X        1       1000   0        0
CENTENNIAL
  COMMUNICATIONS  COMMON
  CORP            STOCK   15133V208      78       8385    SHARES                X                 1       7700   0      685
CENTERLINE        COMMON
  HOLDING CO      STOCK   15188T108       9       1150    SHARES                X                 1       1150   0        0
CENTERPLATE       COMMON
  INC-IDS         STOCK   15200E204      10       1100    SHARES                X                 1       1100   0        0
CENTERPOINT       COMMON
  ENERGY          STOCK   15189T107      46       2660    SHARES                X                 3       2660   0        0
CENTERPOINT       COMMON
  ENERGY INC      STOCK   15189T107      61       3532    SHARES                X                 1       3532   0        0
CENTEX CORP       COMMON
                  STOCK   152312104      25       1000    SHARES                X                 3       1000   0        0
CENTEX CORP       COMMON
                  STOCK   152312104      78       3100    SHARES                X                 1       3100   0        0
CENTEX CORP       COMMON
                  STOCK   152312104      18        700    SHARES                         X        1        700   0        0
CENTRAL
  VIRGINIA        COMMON
  BANKSHARES IN   STOCK   155792104       4        231    SHARES                X                 2          0   0      231
CENTURYTEL INC    COMMON
                  STOCK   156700106      37        900    SHARES                X                 3        900   0        0
CENTURYTEL INC    COMMON
  COM             STOCK   156700106     108       2600    SHARES                X                 1       2600   0        0
CEPHALON INC      COMMON
                  STOCK   156708109     445       6200    SHARES                X                 3       6200   0        0
CEPHALON INC      COMMON
  COM             STOCK   156708109     106       1472    SHARES                X                 1       1377   0       95
CEPHEID           COMMON
                  STOCK   15670R107    1496      56800    SHARES                X                 3      56800   0        0
CEPHEID INC       COMMON
                  STOCK   15670R107      95       3595    SHARES                X                 1       3300   0      295
CERNER CORP       COMMON
                  STOCK   156782104    6896     122270    SHARES                X                 1     119348   0     2922
CERNER CORP       COMMON
                  STOCK   156782104     409       7250    SHARES                X                 2          0   0     7250
CERNER CORP       COMMON
                  STOCK   156782104    5574      98869    SHARES                X                 3      97045   0     1824
CERNER CORP       COMMON
                  STOCK   156782104     614      10885    SHARES                         X        1       8985   0     1900
CF INDUSTRIES     COMMON
  HLDGS           STOCK   125269100    1013       9200    SHARES                X                 3       9200   0        0
CF INDUSTRIES     COMMON
  HOLDINGS INC    STOCK   125269100      73        664    SHARES                X                 1        619   0       45
CGI GROUP INC     COMMON
  - CL A          STOCK   39945C109      26       2268    SHARES                X                 1       2268   0        0
CGI GROUP INC     COMMON
  - CL A          STOCK   39945C109      17       1500    SHARES                X                 2          0   0     1500
CH ENERGY         COMMON
  GROUP INC COM   STOCK   12541M102      49       1100    SHARES                X                 1       1100   0        0
CH ENERGY         COMMON
  GROUP INC COM   STOCK   12541M102     134       3000    SHARES                         X        1       3000   0        0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
CH ROBINSON     COMMON
  WORLDWIDE INC STOCK     12541W209     232       4293    SHARES                X                 1       4113     0    180
CHAMPION
  ENTERPRISES   COMMON
  INC           STOCK     158496109       3        275    SHARES                X                 1        275     0      0
CHART INDS INC  COMMON
                STOCK     16115Q308    1168      37800    SHARES                X                 3      37800     0      0
CHART
  INDUSTRIES    COMMON
  INC           STOCK     16115Q308      70       2280    SHARES                X                 1       2100     0    180
CHASE           COMMON
  CORPORATION   STOCK     16150R104     631      25000    SHARES                         X        1      25000     0      0
CHECK POINT
  SOFTWARE      COMMON
  TECH COM      STOCK     M22465104     347      15800    SHARES                X                 2          0     0  15800
CHENIERE        COMMON
  ENERGY INC    STOCK     16411R208     806      24699    SHARES                X                 2      11499     0  13200
CHESAPEAKE      COMMON
  ENERGY        STOCK     165167107     145       3700    SHARES                X                 3       3700     0      0
CHESAPEAKE
  ENERGY CONV   PREFERRED
  PFD 4.5       STOCK     165167842    1094       9750    SHARES                X                 2       N.A.  N.A.   N.A.
CHESAPEAKE
  ENERGY CORP   COMMON
  COM           STOCK     165167107      71       1800    SHARES                X                 1       1800     0      0
CHESAPEAKE
  ENERGY CORP   COMMON
  COM           STOCK     165167107      78       2000    SHARES                X                 2          0     0   2000
CHESAPEAKE
  UTILITIES     COMMON
  CORPORATI     STOCK     165303108      24        750    SHARES                         X        1        750     0      0
CHEVRON CORP    COMMON
                STOCK     166764100   42321     453453    SHARES                X                 1     445316     0   8137
CHEVRON CORP    COMMON
                STOCK     166764100    7070      75754    SHARES                X                 2      21588     0  54166
CHEVRON CORP    COMMON
                STOCK     166764100    9372     100415    SHARES                X                 3      95793     0   4622
CHEVRON CORP    COMMON
                STOCK     166764100      14        150    SHARES                X                 4        150     0      0
CHEVRON CORP    COMMON
                STOCK     166764100   22543     241541    SHARES                         X        1     223215     0  18326
CHICAGO
  BRIDGE &      COMMON
  IRON CO N V C STOCK     167250109      38        633    SHARES                X                 1        633     0      0
CHICAGO
  BRIDGE &      COMMON
  IRON CO N V C STOCK     167250109     423       7000    SHARES                X                 2          0     0   7000
CHICAGO
  BRIDGE &      COMMON
  IRON CO N V C STOCK     167250109      46        763    SHARES                X                 3        763     0      0
CHICAGO
  BRIDGE &      COMMON
  IRON CO N V C STOCK     167250109     110       1825    SHARES                         X        1         25     0   1800
CHICOS FAS INC  COMMON
                STOCK     168615102       9       1000    SHARES                X                 1       1000     0      0
CHICOS FAS INC  COMMON
                STOCK     168615102       3        300    SHARES                         X        1        300     0      0
CHILDRENS PL    COMMON
  RETL ST       STOCK     168905107    1047      40400    SHARES                X                 3      40400     0      0
CHILDRENS
  PLACE RETAIL  COMMON
  STORES        STOCK     168905107      65       2515    SHARES                X                 1       2314     0    201
CHINA FUND INC  PREFERRED
                STOCK     169373107      14        375    SHARES                X                 1       N.A.  N.A.   N.A.
CHINA MOBILE    COMMON
  LTD SPON ADR  STOCK     16941M109      18        202    SHARES                X                 3        202     0      0
CHINA MOBILE    COMMON
  LTD SPON ADR  STOCK     16941M109      26        300    SHARES                         X        1        300     0      0
CHINA PETE &
  CHEM CORP     COMMON
  SPON AD       STOCK     16941R108      21        139    SHARES                X                 3        139     0      0
CHINA SOUTHERN  COMMON
  AIR-SP ADR    STOCK     169409109     137       2100    SHARES                X                 1       2100     0      0
CHINA           COMMON
  UNICOM-ADR    STOCK     16945R104      22        969    SHARES                X                 3        969     0      0
CHIPOLTE
  MEXICAN       COMMON
  GRILL INC     STOCK     169656204      67        545    SHARES                X                 1        500     0     45
CHIPOTLE
  MEXICAN GRI   COMMON B  169656204    1132       9200    SHARES                X                 3       9200     0      0
CHOICEPOINT     COMMON
  INC COM       STOCK     170388102      10        266    SHARES                         X        1        266     0      0
CHRISTOPHER &   COMMON
  BANKS CORP    STOCK     171046105       4        337    SHARES                X                 1        337     0      0
CHUBB CORP      COMMON
                STOCK     171232101     177       3250    SHARES                X                 3       3250     0      0
CHUBB CORP      COMMON
                STOCK     171232101     472       8650    SHARES                X                 1       8650     0      0
CHUBB CORP      COMMON
                STOCK     171232101    5288      96878    SHARES                X                 2          0     0  96878
CHUBB CORP      COMMON
                STOCK     171232101     291       5328    SHARES                         X        1       5328     0      0
CIENA           COMMON
  CORPORATION   STOCK     171779309      23        685    SHARES                X                 3        685     0      0
CIGNA CORP      COMMON
                STOCK     125509109     474       8826    SHARES                X                 1       8826     0      0
CIGNA CORP      COMMON
                STOCK     125509109     154       2876    SHARES                X                 3       2876     0      0
CIGNA CORP      COMMON
                STOCK     125509109     624      11610    SHARES                         X        1      11610     0      0
CINCINNATI      COMMON
  FINL CORP     STOCK     172062101     259       6551    SHARES                X                 3       4625     0   1926
CINCINNATI      COMMON
  FINL CORP COM STOCK     172062101    1258      31814    SHARES                X                 1      30944     0    870
CINCINNATI      COMMON
  FINL CORP COM STOCK     172062101     384       9706    SHARES                X                 2       5849     0   3857
CINCINNATI      COMMON
  FINL CORP COM STOCK     172062101     170       4311    SHARES                         X        1       3931     0    380
CINTAS CORP     COMMON
                STOCK     172908105      37       1100    SHARES                X                 3       1100     0      0
CIRCUIT CITY    COMMON
  STORE         STOCK     172737108       7       1750    SHARES                X                 3       1750     0      0
CIRCUIT STORES  COMMON
  COM           STOCK     172737108       1        300    SHARES                X                 1        300     0      0
CIRCUIT STORES  COMMON
  COM           STOCK     172737108      16       3800    SHARES                         X        1       3800     0      0






                                                                                  SEC USE
                                               -----------------------------------------------------------------------------
                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                 COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                               
CISCO SYSTEMS     COMMON
  INC             STOCK   17275R102   22322     824609    SHARES                X                 1     810347   0     14262
CISCO SYSTEMS     COMMON
  INC             STOCK   17275R102    9272     342501    SHARES                X                 2     123892   0    218609
CISCO SYSTEMS     COMMON
  INC             STOCK   17275R102   10489     387444    SHARES                X                 3     379930   0      7514
CISCO SYSTEMS     COMMON
  INC             STOCK   17275R102      23        850    SHARES                X                 4        850   0         0
CISCO SYSTEMS     COMMON
  INC             STOCK   17275R102    6591     243493    SHARES                         X        1     220123   0     23370
CIT GROUP INC     COMMON
                  STOCK   125581108    3137     130540    SHARES                X                 1     125960   0      4580
CIT GROUP INC     COMMON
                  STOCK   125581108    2400      99852    SHARES                X                 3      96512   0      3340
CIT GROUP INC     COMMON
                  STOCK   125581108       6        250    SHARES                X                 4        250   0         0
CIT GROUP INC     COMMON
                  STOCK   125581108     341      14175    SHARES                         X        1      13405   0       770
CITADEL
  BROADCASTING    COMMON
  COMPANY         STOCK   17285T106       3       1245    SHARES                X                 1       1245   0         0
CITADEL
  BROADCASTING    COMMON
  COMPANY         STOCK   17285T106       1        322    SHARES                X                 2          0   0       322
CITADEL
  BROADCASTING    COMMON
  COMPANY         STOCK   17285T106       2       1178    SHARES                         X        1       1109   0        69
CITIGROUP INC     COMMON
                  STOCK   172967101    5098     173155    SHARES                X                 3     166871   0      6284
CITIGROUP INC     COMMON
  COM             STOCK   172967101    7651     259871    SHARES                X                 1     249693   0     10178
CITIGROUP INC     COMMON
  COM             STOCK   172967101    7938     269632    SHARES                X                 2      89413   0    180219
CITIGROUP INC     COMMON
  COM             STOCK   172967101      12        400    SHARES                X                 4        400   0         0
CITIGROUP INC     COMMON
  COM             STOCK   172967101    4017     136462    SHARES                         X        1     126061   0     10401
CITIZENS          COMMON
  COMMUN CO       STOCK   17453B101     148      11600    SHARES                X                 3      11600   0         0
CITIZENS
  COMMUNICATIONS  COMMON
  CO              STOCK   17453B101     118       9300    SHARES                X                 1       7800   0      1500
CITIZENS
  COMMUNICATIONS  COMMON
  CO              STOCK   17453B101      41       3200    SHARES                X                 2          0   0      3200
CITIZENS
  COMMUNICATIONS  COMMON
  CO              STOCK   17453B101      72       5650    SHARES                         X        1       2400   0      3250
CITRIX SYS INC    COMMON
                  STOCK   177376100    1823      47978    SHARES                X                 3      47978   0         0
CITRIX SYSTEMS    COMMON
  INC COM         STOCK   177376100    1994      52457    SHARES                X                 1      50607   0      1850
CITRIX SYSTEMS    COMMON
  INC COM         STOCK   177376100      87       2300    SHARES                         X        1       1800   0       500
CITY HOLDING      COMMON
  COMPANY         STOCK   177835105    1303      38509    SHARES                X                 1      38509   0         0
CITY NATIONAL     COMMON
  CORP COM        STOCK   178566105      15        250    SHARES                X                 2          0   0       250
CLEAR CHANNEL     COMMON
  COMMUN          STOCK   184502102     143       4136    SHARES                X                 3       4136   0         0
CLEAR CHANNEL
  COMMUNICATIONS  COMMON
  I               STOCK   184502102      14        400    SHARES                X                 1        400   0         0
CLEAR CHANNEL
  COMMUNICATIONS  COMMON
  I               STOCK   184502102       7        200    SHARES                X                 4        200   0         0
CLEAR CHANNEL
  COMMUNICATIONS  COMMON
  I               STOCK   184502102      75       2175    SHARES                         X        1       2175   0         0
CLEVELAND         COMMON
  CLIFFS INC      STOCK   185896107    3858      38278    SHARES                X                 3      37394   0       884
CLEVELAND
  CLIFFS INC      COMMON
  COM             STOCK   185896107    4142      41090    SHARES                X                 1      39693   0      1397
CLEVELAND
  CLIFFS INC      COMMON
  COM             STOCK   185896107     622       6175    SHARES                         X        1       4090   0      2085
CLOROX CO         COMMON
                  STOCK   189054109     241       3700    SHARES                X                 3       3700   0         0
CLOROX COMPANY    COMMON
                  STOCK   189054109     505       7752    SHARES                X                 1       7752   0         0
CLOROX COMPANY    COMMON
                  STOCK   189054109     391       6000    SHARES                X                 2          0   0      6000
CLOROX COMPANY    COMMON
                  STOCK   189054109     258       3965    SHARES                         X        1       3965   0         0
CME GROUP INC     COMMON
                  STOCK   12572Q105     326        475    SHARES                X                 3        475   0         0
CME GROUP INC     COMMON
                  STOCK   12572Q105      57         83    SHARES                X                 1         73   0        10
CMS ENERGY CORP   COMMON
                  STOCK   125896100      30       1700    SHARES                X                 3       1700   0         0
CMS ENERGY        COMMON
  CORP COM        STOCK   125896100       3        200    SHARES                         X        1        200   0         0
CNOOC LTD -ADR    COMMON
                  STOCK   126132109      50        300    SHARES                         X        1        300   0         0
COACH INC         COMMON
                  STOCK   189754104    1269      41503    SHARES                X                 1      41199   0       304
COACH INC         COMMON
                  STOCK   189754104    2049      67039    SHARES                X                 3      67039   0         0
COACH INC         COMMON
                  STOCK   189754104     229       7482    SHARES                         X        1       7482   0         0
COCA COLA
  BOTTLING CO     COMMON
  CONSOLID        STOCK   191098102       7        125    SHARES                X                 1        125   0         0
COCA COLA CO      COMMON
  COM             STOCK   191216100   18443     300529    SHARES                X                 1     295092   0      5437
COCA COLA CO      COMMON
  COM             STOCK   191216100     375       6103    SHARES                X                 2          0   0      6103
COCA COLA CO      COMMON
  COM             STOCK   191216100    8286     135016    SHARES                X                 3     130758   0      4258
COCA COLA CO      COMMON
  COM             STOCK   191216100      15        250    SHARES                X                 4        250   0         0
COCA COLA CO      COMMON
  COM             STOCK   191216100    7845     127839    SHARES                         X        1     126729   0      1110






                                                                                  SEC USE
                                               -----------------------------------------------------------------------------
                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                               
COCA COLA       COMMON
  ENTERPRISE    STOCK     191219104      60       2300    SHARES                X                 3       2300     0       0
COCA COLA
  ENTERPRISES   COMMON
  INC           STOCK     191219104      31       1177    SHARES                X                 1       1177     0       0
COCA-COLA
  FEMSA SA DE   COMMON
  CV SPON       STOCK     191241108       1         20    SHARES                X                 1         20     0       0
CODORUS VALLEY  COMMON
  BANCORP INC   STOCK     192025104     869      53822    SHARES                X                 1      37597     0   16225
CODORUS VALLEY  COMMON
  BANCORP INC   STOCK     192025104      33       2024    SHARES                         X        1       2024     0       0
COGNIZANT TECH  COMMON
  SOL CORP      STOCK     192446102     157       4614    SHARES                X                 1       4344     0     270
COGNIZANT TECH  COMMON
  SOLNS         STOCK     192446102     644      19000    SHARES                X                 3      19000     0       0
COHEN & STEERS
  ADVANTAGE     PREFERRED
  INC R         STOCK     19247W102      15       1000    SHARES                X                 2       N.A.  N.A.    N.A.
COHEN & STEERS
  QUALITY INC   PREFERRED
  RLT           STOCK     19247L106      58       4028    SHARES                X                 1       N.A.  N.A.    N.A.
COHEN & STEERS
  REIT AND      PREFERRED
  UTILIT        STOCK     19247Y108      12        600    SHARES                X                 2       N.A.  N.A.    N.A.
COHEN & STEERS
  SELECT        PREFERRED
  UTILITY       STOCK     19248A109      28       1009    SHARES                X                 1       N.A.  N.A.    N.A.
COHU            COMMON
  INCORPORATED  STOCK     192576106      12        800    SHARES                X                 1        800     0       0
COLGATE         COMMON
  PALMOLIVE CO  STOCK     194162103    1151      14763    SHARES                X                 3      14763     0       0
COLGATE
  PALMOLIVE CO  COMMON
  COM           STOCK     194162103    7743      99318    SHARES                X                 1      99168     0     150
COLGATE
  PALMOLIVE CO  COMMON
  COM           STOCK     194162103   14344     183992    SHARES                X                 2      67549     0  116443
COLGATE
  PALMOLIVE CO  COMMON
  COM           STOCK     194162103       8        100    SHARES                X                 4        100     0       0
COLGATE
  PALMOLIVE CO  COMMON
  COM           STOCK     194162103    4995      64075    SHARES                         X        1      54225     0    9850
COLLECTORS      COMMON
  UNIVERSE INC  STOCK     19421R200       1         50    SHARES                X                 1         50     0       0
COLONIAL        COMMON
  BANCGROUP     STOCK     195493309      60       4400    SHARES                X                 3       4400     0       0
COLONIAL        COMMON
  BANCGROUP INC STOCK     195493309       4        300    SHARES                X                 1        300     0       0
COMCAST CORP    COMMON
                STOCK     20030N101    2598     142274    SHARES                X                 3     137579     0    4695
COMCAST CORP    COMMON
  NEW A         STOCK     20030N101    4483     245495    SHARES                X                 1     238488     0    7007
COMCAST CORP    COMMON
  NEW A         STOCK     20030N101      77       4200    SHARES                X                 2          0     0    4200
COMCAST CORP    COMMON
  NEW A         STOCK     20030N101    1243      68065    SHARES                         X        1      65833     0    2232
COMCAST CORP-   COMMON
  SPECIAL CL A  STOCK     20030N200     304      16756    SHARES                X                 1      16756     0       0
COMCAST CORP-   COMMON
  SPECIAL CL A  STOCK     20030N200     160       8850    SHARES                X                 2          0     0    8850
COMCAST CORP-   COMMON
  SPECIAL CL A  STOCK     20030N200       8        450    SHARES                X                 4        450     0       0
COMCAST CORP-   COMMON
  SPECIAL CL A  STOCK     20030N200     125       6910    SHARES                         X        1       6610     0     300
COMERICA INC    COMMON
                STOCK     200340107      57       1300    SHARES                X                 3       1300     0       0
COMERICA INC    COMMON
                STOCK     200340107     127       2916    SHARES                X                 1       2916     0       0
COMMERCE BANC   COMMON
  INC NJ        STOCK     200519106      61       1600    SHARES                X                 3       1600     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     496      13000    SHARES                X                 2          0     0   13000
COMMERCE
  BANCORP INC   COMMON
  N J           STOCK     200519106      65       1700    SHARES                         X        1       1500     0     200
COMMERCE
  ENERGY GROUP  COMMON
  INC           STOCK     20061Q106       0        325    SHARES                X                 1        325     0       0
COMMERCIAL
  NATL
  FINANCIAL     COMMON
  CORP          STOCK     202217105      15        820    SHARES                X                 1        820     0       0
COMMUNITY BANK  COMMON
  SYSTEM INC    STOCK     203607106     512      25762    SHARES                X                 1      25762     0       0
COMMUNITY
  HEALTH        COMMON
  SYSTEMS INC   STOCK     203668108      55       1500    SHARES                         X        1       1500     0       0
COMMVAULT       COMMON
  SYSTEMS       STOCK     204166102     650      30700    SHARES                X                 3      30700     0       0
COMMVAULT       COMMON
  SYSTEMS INC   STOCK     204166102      39       1850    SHARES                X                 1       1700     0     150
COMPANHIA VAL
  DO RIO        ADR       204412209     785      24020    SHARES                X                 3      24020     0       0
COMPANHIA VALE
  DO RIO DOCE   COMMON
  SPO           STOCK     204412100      67       2400    SHARES                X                 1       2400     0       0
COMPANHIA VALE
  DO RIO        COMMON
  DOCE-ADR      STOCK     204412209    2187      66955    SHARES                X                 1      66955     0       0
COMPANHIA VALE
  DO RIO        COMMON
  DOCE-ADR      STOCK     204412209      33       1000    SHARES                X                 2          0     0    1000
COMPTON
  PETROLEUM     COMMON
  CORP          STOCK     204940100      34       3700    SHARES                X                 2          0     0    3700
COMPUCREDIT     COMMON
  CORPORATION   STOCK     20478N100      10        982    SHARES                X                 3        982     0       0
COMPUTER        COMMON
  SCIENCES      STOCK     205363104      89       1800    SHARES                X                 3       1800     0       0
COMPUTER
  SCIENCES      COMMON
  CORP COM      STOCK     205363104      20        400    SHARES                X                 1        400     0       0
COMPUTER
  SCIENCES      COMMON
  CORP COM      STOCK     205363104      10        200    SHARES                         X        1        200     0       0
COMPUTER TASK   COMMON
  GROUP         STOCK     205477102     325      58750    SHARES                X                 1      58750     0       0
COMPUWARE CORP  COMMON
                STOCK     205638109      26       2900    SHARES                X                 3       2900     0       0






                                                                                   SEC USE
                                                 ----------------------------------------------------------------------------
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
COMPUWARE CORP    COMMON
                  STOCK     205638109      13       1500    SHARES                         X        1       1500     0      0
COMSCORE INC      COMMON
                  STOCK     20564W105     917      28100    SHARES                X                 3      28100     0      0
COMSCORE INC      COMMON
                  STOCK     20564W105      57       1750    SHARES                X                 1       1605     0    145
CONAGRA FOODS     COMMON
  INC             STOCK     205887102     176       7400    SHARES                X                 3       7400     0      0
CONAGRA FOODS     COMMON
  INC             STOCK     205887102      61       2584    SHARES                X                 1       2584     0      0
CONAGRA FOODS     COMMON
  INC             STOCK     205887102      87       3654    SHARES                         X        1       3654     0      0
CONEXANT          COMMON
  SYSTEM INC      STOCK     207142100       1        720    SHARES                         X        1        720     0      0
CONOCOPHILLIPS    COMMON
                  STOCK     20825C104   24523     277719    SHARES                X                 1     272802     0   4917
CONOCOPHILLIPS    COMMON
                  STOCK     20825C104    1130      12794    SHARES                X                 2          0     0  12794
CONOCOPHILLIPS    COMMON
                  STOCK     20825C104    8737      98939    SHARES                X                 3      96013     0   2926
CONOCOPHILLIPS    COMMON
                  STOCK     20825C104      30        344    SHARES                X                 4        344     0      0
CONOCOPHILLIPS    COMMON
                  STOCK     20825C104    7145      80917    SHARES                         X        1      74293     0   6624
CONSOL ENERGY     COMMON
  INC             STOCK     20854P109     114       1600    SHARES                X                 3       1600     0      0
CONSOL ENERGY     COMMON
  INC             STOCK     20854P109     100       1400    SHARES                X                 1       1400     0      0
CONSOLDTD         COMMON
  EDISON INC      STOCK     209115104     112       2300    SHARES                X                 3       2300     0      0
CONSOLIDATED
  COMMUNICATIONS  COMMON
  HL              STOCK     209034107      12        600    SHARES                X                 1        600     0      0
CONSOLIDATED
  EDISON INC      COMMON
  COM             STOCK     209115104     368       7530    SHARES                X                 1       7530     0      0
CONSOLIDATED
  EDISON INC      COMMON
  COM             STOCK     209115104      41        833    SHARES                         X        1        833     0      0
CONSOLIDATED-
  TOMOKA LAND     COMMON
  CO              STOCK     210226106      26        422    SHARES                X                 1        422     0      0
CONSTELLATION     COMMON
  BRANDS          STOCK     21036P108      40       1700    SHARES                X                 3       1700     0      0
CONSTELLATION
  BRANDS INC      COMMON
  CL A            STOCK     21036P108      41       1722    SHARES                X                 1       1722     0      0
CONSTELLATION
  BRANDS INC      COMMON
  CL A            STOCK     21036P108      12        500    SHARES                         X        1        500     0      0
CONSTELLATION
  BRANDS INC      COMMON
  CLASS A         STOCK     21036P108     985      41663    SHARES                X                 2      41663     0      0
CONSTELLATION
  ENERGY GROUP    COMMON
  INC             STOCK     210371100    5476      53405    SHARES                X                 1      53405     0      0
CONSTELLATION
  ENERGY GROUP    COMMON
  INC             STOCK     210371100     374       3641    SHARES                X                 3       3641     0      0
CONSTELLATION
  ENERGY GROUP    COMMON
  INC             STOCK     210371100    7500      73151    SHARES                         X        1      68551     0   4600
CONVERGYS CORP    COMMON
                  STOCK     212485106      18       1100    SHARES                X                 3       1100     0      0
CONVERGYS CORP    COMMON
                  STOCK     212485106       3        200    SHARES                X                 1        200     0      0
CON-WAY INC       COMMON
                  STOCK     205944101      21        500    SHARES                X                 1        500     0      0
COOPER INDS LTD   COMMON
                  STOCK     G24182100      79       1500    SHARES                X                 3       1500     0      0
COOPER
  INDUSTRIES      COMMON
  LTD CL A        STOCK     G24182100     140       2650    SHARES                X                 1       2650     0      0
COOPER
  INDUSTRIES      COMMON
  LTD CL A        STOCK     G24182100     127       2400    SHARES                         X        1       2400     0      0
CORE              COMMON
  LABORATORIES    STOCK     N22717107    1285      10300    SHARES                X                 3      10300     0      0
CORE
  LABORATORIES    COMMON
  N V             STOCK     N22717107      74        597    SHARES                X                 1        550     0     47
CORINTHIAN        COMMON
  COLLEGES        STOCK     218868107     542      35200    SHARES                X                 3      35200     0      0
CORINTHIAN        COMMON
  COLLEGES INC    STOCK     218868107      34       2180    SHARES                X                 1       2000     0    180
CORN PRODS        COMMON
  INTL INC COM    STOCK     219023108      16        429    SHARES                X                 1        429     0      0
CORN PRODS        COMMON
  INTL INC COM    STOCK     219023108     180       4888    SHARES                         X        1       4888     0      0
CORNELL COMP      COMMON
  INC             STOCK     219141108    1192      51100    SHARES                X                 3      51100     0      0
CORNELL           COMMON
  COMPANIES INC   STOCK     219141108      71       3055    SHARES                X                 1       2800     0    255
CORNERSTONE
  STRATEGIC       PREFERRED
  VALUE FU        STOCK     21924B104       1        128    SHARES                X                 1       N.A.  N.A.   N.A.
CORNING INC       COMMON
                  STOCK     219350105    6087     253721    SHARES                X                 1     249796     0   3925
CORNING INC       COMMON
                  STOCK     219350105    1235      51450    SHARES                X                 2       8450     0  43000
CORNING INC       COMMON
                  STOCK     219350105    2177      90732    SHARES                X                 3      85987     0   4745
CORNING INC       COMMON
                  STOCK     219350105       7        300    SHARES                X                 4        300     0      0
CORNING INC       COMMON
                  STOCK     219350105    1203      50165    SHARES                         X        1      43105     0   7060
CORP OFFICE
  PROPERTIES      COMMON
  TR (REI         STOCK     22002T108      16        500    SHARES                X                 1       N.A.  N.A.   N.A.
CORRECTIONS       COMMON
  COR AMER        STOCK     22025Y407     980      33200    SHARES                X                 3      33200     0      0
CORRECTIONS
  CORP OF         COMMON
  AMERICA         STOCK     22025Y407      61       2055    SHARES                X                 1       N.A.  N.A.   N.A.
CORTEX
  PHARMACEUTICALS COMMON
  INC             STOCK     220524300       1       1390    SHARES                         X        1       1390     0      0
COSTCO
  WHOLESALE       COMMON
  CORP COM        STOCK     22160K105     670       9610    SHARES                X                 1       9610     0      0






                                                                                  SEC USE
                                                ----------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          -------------------
                  COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
COSTCO
  WHOLESALE        COMMON
  CORP COM         STOCK   22160K105     328       4700    SHARES                X                 2          0     0   4700
COSTCO
  WHOLESALE        COMMON
  CORP COM         STOCK   22160K105     329       4716    SHARES                X                 3       4716     0      0
COSTCO
  WHOLESALE        COMMON
  CORP COM         STOCK   22160K105     349       5000    SHARES                         X        1       5000     0      0
COUNTRYWIDE
  FINANCIAL        COMMON
  CORP             STOCK   222372104       4        500    SHARES                X                 1          0     0    500
COUNTRYWIDE
  FINANCIAL        COMMON
  CORP             STOCK   222372104      11       1200    SHARES                         X        1          0     0   1200
COUNTRYWIDE        COMMON
  FINL             STOCK   222372104      38       4300    SHARES                X                 3       4300     0      0
COVANCE INC COM    COMMON
                   STOCK   222816100     140       1617    SHARES                X                 1       1617     0      0
COVANCE INC COM    COMMON
                   STOCK   222816100     111       1283    SHARES                         X        1       1283     0      0
COVENTRY           COMMON
  HEALTH CAR       STOCK   222862104     110       1863    SHARES                X                 3       1863     0      0
COVENTRY
  HEALTH CARE      COMMON
  INC              STOCK   222862104      12        200    SHARES                X                 1        200     0      0
COVENTRY
  HEALTH CARE      COMMON
  INC              STOCK   222862104    7818     131950    SHARES                X                 2      63500     0  68450
COVENTRY
  HEALTH CARE      COMMON
  INC              STOCK   222862104       6        100    SHARES                         X        1        100     0      0
COVIDIEN           COMMON
  LIMITED          STOCK   G2552X108     447      10089    SHARES                X                 1       7260     0   2829
COVIDIEN           COMMON
  LIMITED          STOCK   G2552X108    1706      38521    SHARES                X                 2      25646     0  12875
COVIDIEN           COMMON
  LIMITED          STOCK   G2552X108     189       4250    SHARES                X                 3       4250     0      0
COVIDIEN           COMMON
  LIMITED          STOCK   G2552X108     262       5919    SHARES                         X        1       5116     0    803
CRANE CO           COMMON
                   STOCK   224399105     429      10000    SHARES                         X        1      10000     0      0
CRAY INC           COMMON
                   STOCK   225223304       0         75    SHARES                X                 1         75     0      0
CREE RESEARCH      COMMON
  INC COM          STOCK   225447101      48       1750    SHARES                         X        1          0     0   1750
CROCS INC          COMMON
                   STOCK   227046109       7        200    SHARES                X                 1        200     0      0
CROSS TIMBERS      COMMON
  ROYALTY TRUST    STOCK   22757R109       0          1    SHARES                X                 1       N.A.  N.A.   N.A.
CROSSTEX           COMMON
  ENERGY LP        STOCK   22765U102      37       1200    SHARES                X                 2          0     0   1200
CRYOLIFE INC       COMMON
                   STOCK   228903100      66       8333    SHARES                         X        1       8333     0      0
CSX CORP           COMMON
                   STOCK   126408103    1480      33652    SHARES                X                 1      33652     0      0
CSX CORP           COMMON
                   STOCK   126408103      23        512    SHARES                X                 2          0     0    512
CSX CORP           COMMON
                   STOCK   126408103     167       3813    SHARES                X                 3       3813     0      0
CSX CORP           COMMON
                   STOCK   126408103    1347      30628    SHARES                         X        1      21428     0   9200
CUBIST             COMMON
  PHARMACEUT       STOCK   229678107     785      38300    SHARES                X                 3      38300     0      0
CUBIST
  PHARMACEUTICALS  COMMON
  INC              STOCK   229678107      49       2400    SHARES                X                 1       2200     0    200
CUISINE            COMMON
  SOLUTIONS INC    STOCK   229904107     108      25000    SHARES                X                 2          0     0  25000
CULLEN FROST       COMMON
  BANKERS          STOCK   229899109      71       1400    SHARES                X                 3       1400     0      0
CUMMINS INC        COMMON
                   STOCK   231021106    2426      19038    SHARES                X                 3      18349     0    689
CUMMINS INC COM    COMMON
                   STOCK   231021106    1571      12331    SHARES                X                 1      11692     0    639
CUMMINS INC COM    COMMON
                   STOCK   231021106      69        540    SHARES                         X        1        100     0    440
CURTISS WRIGHT     COMMON
  CORP             STOCK   231561101      79       1582    SHARES                X                 1       1582     0      0
CURTISS WRIGHT     COMMON
  CORP             STOCK   231561101      37        728    SHARES                X                 2          0     0    728
CUTERA INC         COMMON
                   STOCK   232109108       6        400    SHARES                X                 1        400     0      0
CV
  THERAPEUTICS     COMMON
  INC              STOCK   126667104      27       3000    SHARES                X                 1       3000     0      0
CVS /CAREMARK      COMMON
  CORP             STOCK   126650100    6327     159167    SHARES                X                 1     155767     0   3400
CVS /CAREMARK      COMMON
  CORP             STOCK   126650100     735      18498    SHARES                X                 2          0     0  18498
CVS /CAREMARK      COMMON
  CORP             STOCK   126650100    1670      42013    SHARES                X                 3      42013     0      0
CVS /CAREMARK      COMMON
  CORP             STOCK   126650100    2091      52616    SHARES                         X        1      51081     0   1535
CYMER INC          COMMON
                   STOCK   232572107      12        300    SHARES                X                 2          0     0    300
CYMER INC          COMMON
                   STOCK   232572107      17        430    SHARES                X                 3        430     0      0
CYTEC
  INDUSTRIES       COMMON
  INC COM          STOCK   232820100      18        300    SHARES                X                 1        300     0      0
D R HORTON INC     COMMON
                   STOCK   23331A109      30       2300    SHARES                X                 3       2300     0      0
D R HORTON INC     COMMON
                   STOCK   23331A109       7        500    SHARES                X                 1        500     0      0
D R HORTON INC     COMMON
                   STOCK   23331A109      12        880    SHARES                         X        1        880     0      0
D&E
  COMMUNICATIONS   COMMON
  INC              STOCK   232860106       4        300    SHARES                X                 1        300     0      0
DAIMLER AG         COMMON
                   STOCK   D1668R123     165       1724    SHARES                X                 1       1259     0    465
DAIMLER AG         COMMON
                   STOCK   D1668R123      12        124    SHARES                X                 2          0     0    124






                                                                                SEC USE
                                              ----------------------------------------------------------------------------
                                                                              COLUMN 6                      COLUMN 8
                                                      COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                              ------------------------ ----------------------          -------------------
                COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                              
DAIMLER AG       COMMON
                 STOCK   D1668R123      76        798    SHARES                         X        1        248     0    550
DANAHER CORP     COMMON
                 STOCK   235851102     189       2150    SHARES                X                 3       2150     0      0
DANAHER CORP     COMMON
  COM            STOCK   235851102    1212      13815    SHARES                X                 1      13815     0      0
DANAHER CORP     COMMON
  COM            STOCK   235851102    5634      64210    SHARES                X                 2      20630     0  43580
DANAHER CORP     COMMON
  COM            STOCK   235851102     158       1806    SHARES                         X        1       1236     0    570
DARDEN           COMMON
  RESTAURANT     STOCK   237194105      33       1200    SHARES                X                 3       1200     0      0
DARDEN
  RESTAURANTS    COMMON
  INC COM        STOCK   237194105     697      25160    SHARES                X                 1      25160     0      0
DARDEN
  RESTAURANTS    COMMON
  INC COM        STOCK   237194105     206       7448    SHARES                         X        1       7448     0      0
DAVITA INC
  WITH
  ATTACHED       COMMON
  RIGHT          STOCK   23918K108      78       1387    SHARES                         X        1       1237     0    150
DCP MIDSTREAM    COMMON
  PARTNERS LP    STOCK   23311P100      46       1000    SHARES                X                 2          0     0   1000
DEAN FOODS CO    COMMON
                 STOCK   242370104      26       1000    SHARES                X                 1       1000     0      0
DEAN FOODS CO    COMMON
  NEW            STOCK   242370104      28       1100    SHARES                X                 3       1100     0      0
DECKERS OUTDOOR  COMMON
                 STOCK   243537107     793       5115    SHARES                X                 3       5115     0      0
DECKERS          COMMON
  OUTDOOR CORP   STOCK   243537107      50        324    SHARES                X                 1        300     0     24
DEERE & CO       COMMON
                 STOCK   244199105    3618      38852    SHARES                X                 1      38252     0    600
DEERE & CO       COMMON
                 STOCK   244199105     577       6200    SHARES                X                 3       6200     0      0
DEERE & CO       COMMON
                 STOCK   244199105     751       8060    SHARES                         X        1       6574     0   1486
DEL MONTE        COMMON
  FOODS CO       STOCK   24522P103       2        223    SHARES                X                 1        223     0      0
DEL MONTE        COMMON
  FOODS CO       STOCK   24522P103      16       1736    SHARES                         X        1       1736     0      0
DELHAIZE GROUP   COMMON
  SPONSORED ADR  STOCK   29759W101       9        100    SHARES                X                 1        100     0      0
DELL INC         COMMON
                 STOCK   24702R101    2489     101539    SHARES                X                 1     101539     0      0
DELL INC         COMMON
                 STOCK   24702R101       2        100    SHARES                X                 2          0     0    100
DELL INC         COMMON
                 STOCK   24702R101    1458      59505    SHARES                X                 3      59505     0      0
DELL INC         COMMON
                 STOCK   24702R101     553      22560    SHARES                         X        1      19695     0   2865
DELTA
  PETROLEUM      COMMON
  CORP           STOCK   247907207     254      13500    SHARES                         X        1      13500     0      0
DELUXE           COMMON
  CORPORATION    STOCK   248019101      37       1124    SHARES                X                 1       1124     0      0
DENBURY RES INC  COMMON
                 STOCK   247916208    1178      39600    SHARES                X                 3      39600     0      0
DENBURY
  RESOURCES      COMMON
  INCORPORATED   STOCK   247916208     274       9194    SHARES                X                 1       8604     0    590
DENTSPLY
  INTERNATIONAL  COMMON
  INC COM        STOCK   249030107    1736      38561    SHARES                X                 1      38071     0    490
DENTSPLY
  INTERNATIONAL  COMMON
  INC COM        STOCK   249030107     513      11390    SHARES                         X        1      11390     0      0
DENTSPLY INTL    COMMON
  INC            STOCK   249030107     851      18900    SHARES                X                 3      18900     0      0
DEUTSCHE
  TELEKOM AG     COMMON
  SPONSORED      STOCK   251566105      11        505    SHARES                X                 1        505     0      0
DEV
  DIVERSIFIED    COMMON
  RLTY CORP      STOCK   251591103     100       2606    SHARES                X                 1       N.A.  N.A.   N.A.
DEV
  DIVERSIFIED    COMMON
  RLTY CORP      STOCK   251591103      23        600    SHARES                         X        1       N.A.  N.A.   N.A.
DEVELOPERS
  DIVER RTY      REIT    251591103      42       1100    SHARES                X                 3       1100     0      0
DEVON ENERGY     COMMON
  CORP           STOCK   25179M103    2436      27398    SHARES                X                 1      27010     0    388
DEVON ENERGY     COMMON
  CORP           STOCK   25179M103      89       1000    SHARES                X                 2          0     0   1000
DEVON ENERGY     COMMON
  CORP           STOCK   25179M103    1762      19810    SHARES                X                 3      19810     0      0
DEVON ENERGY     COMMON
  CORP           STOCK   25179M103     266       2989    SHARES                         X        1       2589     0    400
DEVRY INC        COMMON
                 STOCK   251893103      26        500    SHARES                X                 1        500     0      0
DIAGEO PLC       COMMON
  SPONSORED ADR  STOCK   25243Q205     403       4701    SHARES                X                 1       4701     0      0
DIAGEO PLC       COMMON
  SPONSORED ADR  STOCK   25243Q205      43        500    SHARES                X                 3        500     0      0
DIAMOND
  OFFSHORE       COMMON
  DRILLING COM   STOCK   25271C102      15        107    SHARES                X                 1        107     0      0
DIAMONDS TR      COMMON
  UNIT SER 1     STOCK   252787106     703       5300    SHARES                X                 1       5300     0      0
DIAMONDS TR      COMMON
  UNIT SER 1     STOCK   252787106     449       3386    SHARES                X                 2          0     0   3386
DIEBOLD INC      COMMON
                 STOCK   253651103      58       2000    SHARES                X                 3       2000     0      0
DIEBOLD INC      COMMON
                 STOCK   253651103       9        327    SHARES                X                 1        327     0      0
DIEBOLD INC      COMMON
                 STOCK   253651103      10        350    SHARES                         X        1        350     0      0
DIGITAL REALTY   COMMON
  TRUST INC      STOCK   253868103      96       2505    SHARES                X                 1       N.A.  N.A.   N.A.
DIGITAL RLTY     COMMON
  TR INC         STOCK   253868103    1570      40900    SHARES                X                 3      40900     0      0
DILLARDS INC     COMMON
                 STOCK   254067101      11        600    SHARES                X                 3        600     0      0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
DIONEX CORP     COMMON
                STOCK     254546104    1272      15350    SHARES                X                 2          0     0  15350
DIRECTV GROUP   COMMON
  INC           STOCK     25459L106     186       8056    SHARES                X                 3       8056     0      0
DISCOVER
  FINANCIAL     COMMON
  SERVICES      STOCK     254709108     148       9830    SHARES                X                 1       9830     0      0
DISCOVER
  FINANCIAL     COMMON
  SERVICES      STOCK     254709108     112       7431    SHARES                         X        1       7100     0    331
DISCOVER FINL   COMMON
  SVCS          STOCK     254709108      63       4200    SHARES                X                 3       4200     0      0
DISCOVERY       COMMON
  HOLDING CO    STOCK     25468Y206      67       2600    SHARES                         X        1       2600     0      0
DISCOVERY       COMMON
  HOLDING CO-A  STOCK     25468Y107      38       1498    SHARES                X                 1       1498     0      0
DISCOVERY       COMMON
  HOLDING CO-A  STOCK     25468Y107      85       3400    SHARES                         X        1       3400     0      0
DISNEY WALT CO  COMMON
                STOCK     254687106    6205     192226    SHARES                X                 1     190176     0   2050
DISNEY WALT CO  COMMON
                STOCK     254687106     930      28800    SHARES                X                 2          0     0  28800
DISNEY WALT CO  COMMON
                STOCK     254687106      14        425    SHARES                X                 4        425     0      0
DISNEY WALT CO  COMMON
                STOCK     254687106    3038      94103    SHARES                         X        1      87303     0   6800
DNP SELECT
  INCOME FUND   PREFERRED
  INC           STOCK     23325P104       5        428    SHARES                X                 1       N.A.  N.A.   N.A.
DNP SELECT
  INCOME FUND   PREFERRED
  INC           STOCK     23325P104      11       1000    SHARES                         X        1       N.A.  N.A.   N.A.
DOLLAR TREE
  STORES INC    COMMON
  COM           STOCK     256747106      23        900    SHARES                X                 3        900     0      0
DOLLAR TREE
  STORES INC    COMMON
  COM           STOCK     256747106      48       1861    SHARES                         X        1       1861     0      0
DOMINION RES    COMMON
  INC VA        STOCK     25746U109     237       5000    SHARES                X                 3       5000     0      0
DOMINION
  RESOURCES     COMMON
  BLACK WARRI   STOCK     25746Q108      45       2500    SHARES                X                 1       2500     0      0
DOMINION        COMMON
  RESOURCES INC STOCK     25746U109    5238     110384    SHARES                X                 1     108384     0   2000
DOMINION        COMMON
  RESOURCES INC STOCK     25746U109     389       8200    SHARES                X                 2          0     0   8200
DOMINION        COMMON
  RESOURCES INC STOCK     25746U109    3680      77554    SHARES                         X        1      67568     0   9986
DONEGAL GROUP   COMMON
  INC CL A      STOCK     257701201      29       1685    SHARES                X                 1       1685     0      0
DONEGAL GROUP   COMMON
  INC CL B      STOCK     257701300      15        842    SHARES                X                 1        842     0      0
DONNELLEY R R   COMMON
  & SONS        STOCK     257867101     170       4500    SHARES                X                 3       4500     0      0
DONNELLEY R R   COMMON
  & SONS CO     STOCK     257867101     155       4099    SHARES                X                 1       4099     0      0
DONNELLEY R R   COMMON
  & SONS CO     STOCK     257867101     162       4280    SHARES                X                 2          0     0   4280
DONNELLEY R R   COMMON
  & SONS CO     STOCK     257867101     153       4066    SHARES                         X        1       4066     0      0
DOVER CORP      COMMON
                STOCK     260003108     238       5160    SHARES                X                 3       5160     0      0
DOVER CORP      COMMON
                STOCK     260003108    1588      34450    SHARES                X                 1      34450     0      0
DOVER CORP      COMMON
                STOCK     260003108    1473      31950    SHARES                         X        1      25550     0   6400
DOW CHEMICAL CO COMMON
                STOCK     260543103    5525     140155    SHARES                X                 1     133567     0   6588
DOW CHEMICAL CO COMMON
                STOCK     260543103    4079     103475    SHARES                X                 2      35575     0  67900
DOW CHEMICAL CO COMMON
                STOCK     260543103     858      21775    SHARES                X                 3      21775     0      0
DOW CHEMICAL CO COMMON
                STOCK     260543103    2842      72095    SHARES                         X        1      70745     0   1350
DPL INC         COMMON
                STOCK     233293109     126       4255    SHARES                X                 1       4255     0      0
DPL INC         COMMON
                STOCK     233293109      30       1000    SHARES                         X        1       1000     0      0
DR REDDYS LABS  COMMON
  LTD ADR       STOCK     256135203      18       1000    SHARES                X                 1       1000     0      0
DREYFUS
  MUNICIPAL     PREFERRED
  INCOME FUND   STOCK     26201R102      60       7200    SHARES                         X        1       N.A.  N.A.   N.A.
DREYFUS
  STRATEGIC     PREFERRED
  MUN BD FD     STOCK     26202F107     216      27602    SHARES                X                 1       N.A.  N.A.   N.A.
DREYFUS
  STRATEGIC     PREFERRED
  MUN BD FD     STOCK     26202F107      55       7000    SHARES                         X        1       N.A.  N.A.   N.A.
DRS
  TECHNOLOGIES  COMMON
  INC           STOCK     23330X100    2367      43625    SHARES                X                 2      19625     0  24000
DTE ENERGY CO   COMMON
                STOCK     233331107     489      11115    SHARES                X                 1      11115     0      0
DTE ENERGY CO   COMMON
                STOCK     233331107      77       1745    SHARES                X                 3       1745     0      0
DTE ENERGY CO   COMMON
                STOCK     233331107     371       8449    SHARES                         X        1       5921     0   2528
DU PONT E I DE  COMMON
  NEMOU         STOCK     263534109     433       9800    SHARES                X                 3       9800     0      0
DUKE ENERGY     COMMON
  CORP          STOCK     26441C105     628      31135    SHARES                X                 1      31135     0      0
DUKE ENERGY     COMMON
  CORP          STOCK     26441C105     317      15692    SHARES                X                 3      15692     0      0
DUKE ENERGY     COMMON
  CORP          STOCK     26441C105     663      32861    SHARES                         X        1      31361     0   1500
DUKE REALTY     COMMON
  CORP          STOCK     264411505      35       1350    SHARES                X                 1       N.A.  N.A.   N.A.
DUKE REALTY     COMMON
  CORP          STOCK     264411505     228       8747    SHARES                X                 2       N.A.  N.A.   N.A.
DUKE REALTY     COMMON
  CORP          STOCK     264411505      13        500    SHARES                X                 3       N.A.  N.A.   N.A.






                                                                                  SEC USE
                                                ----------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          -------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
DUKE REALTY      COMMON
  CORP           STOCK     264411505      89       3400    SHARES                         X        1       N.A.  N.A.   N.A.
DUN &
  BRADSTREET     COMMON
  CORP           STOCK     26483E100      42        474    SHARES                X                 1        474     0      0
DUN &
  BRADSTREET     COMMON
  CORP           STOCK     26483E100      53        600    SHARES                         X        1        600     0      0
DUPONT EI DE
  NEMOURS & CO   COMMON
  COM            STOCK     263534109    6996     158685    SHARES                X                 1     156015     0   2670
DUPONT EI DE
  NEMOURS & CO   COMMON
  COM            STOCK     263534109    1461      33136    SHARES                X                 2      14136     0  19000
DUPONT EI DE
  NEMOURS & CO   COMMON
  COM            STOCK     263534109       4        100    SHARES                X                 4        100     0      0
DUPONT EI DE
  NEMOURS & CO   COMMON
  COM            STOCK     263534109    7351     166736    SHARES                         X        1     162336     0   4400
DWS MUNICIPAL    PREFERRED
  INCOME TRUST   STOCK     23338M106      15       1400    SHARES                         X        1       N.A.  N.A.   N.A.
DWS STRATEGIC
  MUNICIPAL      PREFERRED
  INCOME         STOCK     23338T101      16       1500    SHARES                X                 1       N.A.  N.A.   N.A.
DYADIC
  INTERNATIONAL  COMMON
  INC            STOCK     26745T101     111      21000    SHARES                X                 2          0     0  21000
DYNAMICS         COMMON
  RESEARCH CORP  STOCK     268057106     172      15906    SHARES                         X        1      15906     0      0
DYNEGY INC       COMMON
                 STOCK     26817G102      26       3700    SHARES                X                 3       3700     0      0
DYNEGY INC CL A  COMMON
                 STOCK     26817G102       3        460    SHARES                X                 1        460     0      0
E TRADE FINL     COMMON
  CORP           STOCK     269246104      13       3600    SHARES                X                 3       3600     0      0
EAGLE BANCORP    COMMON
  INC MD         STOCK     268948106     962      79481    SHARES                X                 2          0     0  79481
EAGLE BULK       COMMON
  SHIPPING INC   STOCK     Y2187A101      45       1700    SHARES                X                 1       1700     0      0
EAGLE
  MATERIALS
  INC COM W      COMMON
  RIGH           STOCK     26969P108      12        345    SHARES                X                 1        345     0      0
EARTHLINK INC    COMMON
  COM            STOCK     270321102      22       3099    SHARES                X                 3       3099     0      0
EAST WEST        COMMON
  BANCORP INC    STOCK     27579R104     242      10000    SHARES                X                 2          0     0  10000
EASTGROUP
  PROPERTIES     COMMON
  INCORPORA      STOCK     277276101    3321      79350    SHARES                X                 2       N.A.  N.A.   N.A.
EASTMAN CHEM CO  COMMON
                 STOCK     277432100      43        700    SHARES                X                 3        700     0      0
EASTMAN
  CHEMICAL       COMMON
  COMPANY COM    STOCK     277432100      75       1227    SHARES                X                 1       1227     0      0
EASTMAN
  CHEMICAL       COMMON
  COMPANY COM    STOCK     277432100      53        872    SHARES                         X        1        372     0    500
EASTMAN KODAK    COMMON
  CO             STOCK     277461109      52       2400    SHARES                X                 3       2400     0      0
EASTMAN KODAK    COMMON
  CO COM         STOCK     277461109      56       2577    SHARES                X                 1       1520     0   1057
EASTMAN KODAK    COMMON
  CO COM         STOCK     277461109      91       4167    SHARES                         X        1       4167     0      0
EATON CORP       COMMON
                 STOCK     278058102     121       1250    SHARES                X                 3       1250     0      0
EATON CORP COM   COMMON
                 STOCK     278058102     754       7778    SHARES                X                 1       7778     0      0
EATON CORP COM   COMMON
                 STOCK     278058102      58        600    SHARES                         X        1        600     0      0
EATON VANCE      COMMON
  CORP           STOCK     278265103     927      20400    SHARES                X                 3      20400     0      0
EATON VANCE      COMMON
  CORP           STOCK     278265103     227       5000    SHARES                X                 1       4685     0    315
EATON VANCE
  INSD MUNI BD   PREFERRED
  FD             STOCK     27827X101       2        116    SHARES                X                 1       N.A.  N.A.   N.A.
EATON VANCE
  MUNICIPAL      PREFERRED
  INCOME T       STOCK     27826U108      69       5000    SHARES                         X        1       N.A.  N.A.   N.A.
EATON VANCE PA   PREFERRED
  MUNI INC TR    STOCK     27826T101     130      10000    SHARES                         X        1       N.A.  N.A.   N.A.
EATON VANCE
  SENIOR         PREFERRED
  INCOME TRUS    STOCK     27826S103       6        800    SHARES                X                 1       N.A.  N.A.   N.A.
EATON VANCE SR
  FLOATING       PREFERRED
  RATE F         STOCK     27828Q105      37       2400    SHARES                X                 1       N.A.  N.A.   N.A.
EATON VANCE
  TAX-ADVANTAGED PREFERRED
  DVD            STOCK     27828G107      35       1250    SHARES                X                 1       N.A.  N.A.   N.A.
EATON VANCE
  TAX-ADVANTAGED PREFERRED
  DVD            STOCK     27828G107     178       6400    SHARES                         X        1       N.A.  N.A.   N.A.
EBAY INC         COMMON
                 STOCK     278642103    1030      31034    SHARES                X                 3      31034     0      0
EBAY INC COM     COMMON
                 STOCK     278642103    1931      58186    SHARES                X                 1      57036     0   1150
EBAY INC COM     COMMON
                 STOCK     278642103     207       6224    SHARES                         X        1       3339     0   2885
ECHELON          COMMON
  CORPORATION    STOCK     27874N105      60       2930    SHARES                         X        1       2930     0      0
ECHOSTAR
  COMMUNICATIONS COMMON
  CORP C         STOCK     278762109      11        297    SHARES                X                 3        297     0      0
ECOLAB INC       COMMON
                 STOCK     278865100      77       1500    SHARES                X                 3       1500     0      0
ECOLAB INC COM   COMMON
                 STOCK     278865100    1365      26649    SHARES                X                 1      26649     0      0
ECOLAB INC COM   COMMON
                 STOCK     278865100     120       2350    SHARES                         X        1       2350     0      0
EDISON
  INTERNATIONAL  COMMON
  COM            STOCK     281020107      49        910    SHARES                X                 1        910     0      0
EDISON INTL      COMMON
                 STOCK     281020107     148       2765    SHARES                X                 3       2765     0      0
EDUCATION
  REALTY TRUST   COMMON
  INC REI        STOCK     28140H104      15       1300    SHARES                X                 1       N.A.  N.A.   N.A.
EDWARDS
  LIFESCIENCES   COMMON
  CORP COM       STOCK     28176E108      91       1970    SHARES                X                 1       1970     0      0
EDWARDS
  LIFESCIENCES   COMMON
  CORP COM       STOCK     28176E108     152       3314    SHARES                         X        1       2714     0    600






                                                                                    SEC USE
                                                 -----------------------------------------------------------------------------
                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
EL PASO CORP      COMMON
  COM             STOCK     28336L109      53       3087    SHARES                X                 1       3087     0       0
EL PASO CORP      COMMON
  COM             STOCK     28336L109     259      15000    SHARES                X                 2          0     0   15000
EL PASO CORP      COMMON
  COM             STOCK     28336L109      46       2648    SHARES                         X        1       2648     0       0
EL PASO           COMMON
  CORPORATION     STOCK     28336L109     102       5900    SHARES                X                 3       5900     0       0
ELECTRONIC ARTS   COMMON
                  STOCK     285512109     388       6646    SHARES                X                 3       5212     0    1434
ELECTRONIC        COMMON
  DATA SYS        STOCK     285661104      88       4225    SHARES                X                 3       4225     0       0
ELECTRONIC
  DATA SYSTEM     COMMON
  CORPORA         STOCK     285661104       9        440    SHARES                X                 1        440     0       0
ELECTRONIC
  DATA SYSTEM     COMMON
  CORPORA         STOCK     285661104       8        408    SHARES                         X        1        408     0       0
ELECTRONICS       COMMON
  ARTS COM        STOCK     285512109    3733      63915    SHARES                X                 1      61655     0    2260
ELECTRONICS       COMMON
  ARTS COM        STOCK     285512109     473       8105    SHARES                         X        1       8105     0       0
ELECTRONICS       COMMON
  FOR IMAG        STOCK     286082102     565      25100    SHARES                X                 3      25100     0       0
ELECTRONICS
  FOR IMAGING     COMMON
  INC CO          STOCK     286082102     174       7725    SHARES                X                 1       7335     0     390
ELECTRONICS
  FOR IMAGING     COMMON
  INC CO          STOCK     286082102      11        500    SHARES                         X        1          0     0     500
ELI LILLY & CO    COMMON
                  STOCK     532457108    1821      34102    SHARES                X                 3      32670     0    1432
EMBARQ CORP       COMMON
                  STOCK     29078E105       4         80    SHARES                X                 1         15     0      65
EMBARQ CORP       COMMON
                  STOCK     29078E105      26        516    SHARES                         X        1        516     0       0
EMBARQ            COMMON
  CORPORATION     STOCK     29078E105      59       1200    SHARES                X                 3       1200     0       0
EMC CORP MASS     COMMON
                  STOCK     268648102    3249     175354    SHARES                X                 3     171376     0    3978
EMC CORP MASS     COMMON
  COM             STOCK     268648102    7622     411323    SHARES                X                 1     407097     0    4226
EMC CORP MASS     COMMON
  COM             STOCK     268648102   10661     575334    SHARES                X                 2     198734     0  376600
EMC CORP MASS     COMMON
  COM             STOCK     268648102    1085      58550    SHARES                         X        1      52305     0    6245
EMCOR GROUP INC   COMMON
                  STOCK     29084Q100      11        466    SHARES                X                 3        466     0       0
EMERSON ELEC CO   COMMON
                  STOCK     291011104    3397      59947    SHARES                X                 3      57660     0    2287
EMERSON           COMMON
  ELECTRIC CO     STOCK     291011104   10688     188640    SHARES                X                 1     186791     0    1849
EMERSON           COMMON
  ELECTRIC CO     STOCK     291011104    4613      81410    SHARES                X                 2      20100     0   61310
EMERSON           COMMON
  ELECTRIC CO     STOCK     291011104    6633     117063    SHARES                         X        1     103833     0   13230
ENBRIDGE          COMMON
  ENERGY PTNR     STOCK     29250R106      20        400    SHARES                X                 1        400     0       0
ENCANA CORP       COMMON
                  STOCK     292505104      41        600    SHARES                X                 1        600     0       0
ENCANA CORP       COMMON
                  STOCK     292505104      68       1000    SHARES                X                 2          0     0    1000
ENCANA CORP       COMMON
                  STOCK     292505104      68       1000    SHARES                         X        1       1000     0       0
ENCYSIVE
  PHARMACEUTICALS COMMON
  INC             STOCK     29256X107      10      12000    SHARES                         X        1      12000     0       0
ENDEAVOUR
  INTERNATIONAL   COMMON
  CORP            STOCK     29259G101       1       1000    SHARES                         X        1       1000     0       0
ENDESA S A        COMMON
  SPONSORED ADR   STOCK     29258N107      66       1250    SHARES                X                 1       1250     0       0
ENDESA S A        COMMON
  SPONSORED ADR   STOCK     29258N107      42        800    SHARES                         X        1        800     0       0
ENDO
  PHARMACEUTICALS COMMON
  HLDGS INC       STOCK     29264F205      30       1116    SHARES                X                 3       1116     0       0
ENDURANCE
  SPECIALTY       COMMON
  HOLDINGS L      STOCK     G30397106      28        682    SHARES                X                 3        682     0       0
ENERGEN CORP      COMMON
                  STOCK     29265N108      30        465    SHARES                X                 1        465     0       0
ENERGIZER         COMMON
  HLDGS INC COM   STOCK     29266R108     146       1300    SHARES                X                 1       1300     0       0
ENERGIZER         COMMON
  HLDGS INC COM   STOCK     29266R108      11        100    SHARES                         X        1        100     0       0
ENERGY
  CONVERSION      COMMON
  DEVICES INC     STOCK     292659109       7        200    SHARES                         X        1        200     0       0
ENERGY EAST       COMMON
  CORP COM        STOCK     29266M109     258       9479    SHARES                X                 1       9479     0       0
ENERGY EAST       COMMON
  CORP COM        STOCK     29266M109     163       6000    SHARES                X                 2          0     0    6000
ENERGY EAST       COMMON
  CORP COM        STOCK     29266M109     218       8003    SHARES                         X        1       7313   490     200
ENERGY SELECT
  SECTOR SPDR     PREFERRED
  FD              STOCK     81369Y506      51        645    SHARES                X                 1       N.A.  N.A.    N.A.
ENERGY SELECT
  SECTOR SPDR     PREFERRED
  FD              STOCK     81369Y506      40        500    SHARES                X                 2       N.A.  N.A.    N.A.
ENERGY SELECT
  SECTOR SPDR     PREFERRED
  FD              STOCK     81369Y506      19        239    SHARES                         X        1       N.A.  N.A.    N.A.
ENERGY
  TRANSFER        COMMON
  EQUITY LP       STOCK     29273V100      39       1100    SHARES                X                 2          0     0    1100
ENERGY
  TRANSFER        COMMON
  PARTNERS LP     STOCK     29273R109      14        261    SHARES                X                 1        261     0       0
ENERGY
  TRANSFER        COMMON
  PARTNERS LP     STOCK     29273R109      92       1700    SHARES                X                 2          0     0    1700
ENERGY
  TRANSFER        COMMON
  PARTNERS LP     STOCK     29273R109      54       1000    SHARES                         X        1       1000     0       0
ENERPLUS
  RESOURCES       COMMON
  FUND            STOCK     29274D604      24        600    SHARES                X                 1        600     0       0






                                                                                  SEC USE
                                               -----------------------------------------------------------------------------
                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ -----
                                                                                
ENERPLUS
  RESOURCES     COMMON
  FUND          STOCK     29274D604      148       3700   SHARES                         X        1        3700     0      0
ENI SPA-SPONS   COMMON
  ADR           STOCK     26874R108        1         14   SHARES                X                 1          14     0      0
ENI SPA-SPONS   COMMON
  ADR           STOCK     26874R108       15        212   SHARES                X                 2           0     0    212
ENSCO
  INTERNATIONAL COMMON
  INC COM       STOCK     26874Q100     7903     132560   SHARES                X                 1      128178     0   4382
ENSCO
  INTERNATIONAL COMMON
  INC COM       STOCK     26874Q100     3349      56162   SHARES                X                 3       53404     0   2758
ENSCO
  INTERNATIONAL COMMON
  INC COM       STOCK     26874Q100      907      15210   SHARES                         X        1       12305     0   2905
ENTERGY CORP    COMMON
                STOCK     29364G103      221       1850   SHARES                X                 3        1850     0      0
ENTERGY CORP    COMMON
  COM NEW       STOCK     29364G103      168       1407   SHARES                X                 1        1407     0      0
ENTERGY CORP    COMMON
  COM NEW       STOCK     29364G103      233       1953   SHARES                         X        1        1953     0      0
ENTERPRISE GP   COMMON
  HOLDINGS LP   STOCK     293716106       37       1000   SHARES                X                 2           0     0   1000
ENTERPRISE
  PRODUCTS      COMMON
  PARTNERS L    STOCK     293792107      120       3772   SHARES                X                 1        3772     0      0
ENTERPRISE
  PRODUCTS      COMMON
  PARTNERS L    STOCK     293792107     3681     115485   SHARES                X                 2       20185     0  95300
ENTERPRISE
  PRODUCTS      COMMON
  PARTNERS L    STOCK     293792107       71       2232   SHARES                         X        1        2232     0      0
ENVIRONMENTAL   COMMON
  POWER CORP    STOCK     29406L201        0        100   SHARES                X                 1         100     0      0
EOG RESOURCES   COMMON
  INC           STOCK     26875P101     3240      36303   SHARES                X                 3       34478     0   1825
EOG RESOURCES   COMMON
  INC COM       STOCK     26875P101     3997      44786   SHARES                X                 1       43474     0   1312
EOG RESOURCES   COMMON
  INC COM       STOCK     26875P101      463       5190   SHARES                         X        1        3350     0   1840
EP MEDSYSTEMS   COMMON
  INC COM       STOCK     26881P103       52      25000   SHARES                X                 2           0     0  25000
EQUIFAX INC     COMMON
                STOCK     294429105       47       1300   SHARES                X                 3        1300     0      0
EQUIFAX INC COM COMMON
                STOCK     294429105       79       2166   SHARES                         X        1        2166     0      0
EQUINIX INC     COMMON
                STOCK     29444U502     1571      15550   SHARES                X                 3       15550     0      0
EQUINIX INC     COMMON
                STOCK     29444U502      100        987   SHARES                X                 1         909     0     78
EQUITABLE RES   COMMON
  INC           STOCK     294549100     1609      30200   SHARES                X                 3       30200     0      0
EQUITABLE       COMMON
  RESOURCES INC STOCK     294549100     1271      23850   SHARES                X                 1       23700     0    150
EQUITABLE       COMMON
  RESOURCES INC STOCK     294549100      298       5600   SHARES                         X        1        5600     0      0
EQUITY INCOME
  FUND-AT&T
  SHARES        OTHER     294700703       74        600   SHARES                         X        1        N.A.  N.A.   N.A.
EQUITY ONE      COMMON
  INCORPORATED  STOCK     294752100       20        850   SHARES                X                 1        N.A.  N.A.   N.A.
EQUITY          COMMON
  RESIDENTIAL   STOCK     29476L107       88       2400   SHARES                X                 3        2400     0      0
EQUITY
  RESIDENTIAL   COMMON
  (REIT)        STOCK     29476L107       20        550   SHARES                X                 1        N.A.  N.A.   N.A.
EQUITY
  RESIDENTIAL   COMMON
  (REIT)        STOCK     29476L107        9        250   SHARES                X                 2        N.A.  N.A.   N.A.
EQUITY
  RESIDENTIAL   COMMON
  (REIT)        STOCK     29476L107      146       4000   SHARES                         X        1        N.A.  N.A.   N.A.
ERIE INDEMNITY  COMMON
  CO CL A       STOCK     29530P102     6253     120500   SHARES                X                 1      120500     0      0
ESTEE LAUDER CO COMMON
                STOCK     518439104     1408      32283   SHARES                X                 3       29379     0   2904
EV ENERGY       COMMON
  PARTNER LP    STOCK     26926V107       39       1200   SHARES                X                 2           0     0   1200
EVERGREEN       COMMON
  ENERGY INC    STOCK     30024B104       44      20000   SHARES                X                 2           0     0  20000
EVERGREEN       PREFERRED
  INCOME ADV FD STOCK     30023Y105       23       2000   SHARES                X                 1        N.A.  N.A.   N.A.
EXELON CORP     COMMON
                STOCK     30161N101      478       5850   SHARES                X                 3        5850     0      0
EXELON CORP     COMMON
                STOCK     30161N101     5568      68200   SHARES                X                 1       67100     0   1100
EXELON CORP     COMMON
                STOCK     30161N101     1726      21141   SHARES                         X        1       19691     0   1450
EXPEDIA INC     COMMON
                STOCK     30212P105       57       1800   SHARES                X                 3        1800     0      0
EXPEDIA INC     COMMON
                STOCK     30212P105        9        300   SHARES                         X        1         300     0      0
EXPEDITORS      COMMON
  INTL WASH     STOCK     302130109     1193      26700   SHARES                X                 3       26700     0      0
EXPEDITORS
  INTL WASH     COMMON
  INC COM       STOCK     302130109      404       9052   SHARES                X                 1        8662     0    390
EXPEDITORS
  INTL WASH     COMMON
  INC COM       STOCK     302130109      201       4500   SHARES                X                 2           0     0   4500
EXPRESS         COMMON
  SCRIPTS INC   STOCK     302182100    16598     227376   SHARES                X                 1      222496     0   4880
EXPRESS         COMMON
  SCRIPTS INC   STOCK     302182100     5320      72881   SHARES                X                 3       70340     0   2541
EXPRESS         COMMON
  SCRIPTS INC   STOCK     302182100     4377      59955   SHARES                         X        1       56765     0   3190
EXPRESS-1
  EXPEDITED     COMMON
  SOLUTIONS     STOCK     30217Q108        1        800   SHARES                X                 1         800     0      0
EXXON MOBIL     COMMON
  CORP          STOCK     30231G102   109502    1168768   SHARES                X                 1     1150816     0  17952
EXXON MOBIL     COMMON
  CORP          STOCK     30231G102     6931      73978   SHARES                X                 2       14538     0  59440
EXXON MOBIL     COMMON
  CORP          STOCK     30231G102    24994     266781   SHARES                X                 3      261427     0   5354






                                                                                  SEC USE
                                                ----------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          -------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
EXXON MOBIL      COMMON
  CORP           STOCK     30231G102      28        300    SHARES                X                 4        300     0      0
EXXON MOBIL      COMMON
  CORP           STOCK     30231G102   87436     933243    SHARES                         X        1     837409     0  95834
F5 NETWORKS INC  COMMON
                 STOCK     315616102    2125      74520    SHARES                X                 1      73454     0   1066
F5 NETWORKS INC  COMMON
                 STOCK     315616102    3106     108905    SHARES                X                 3     107849     0   1056
F5 NETWORKS INC  COMMON
                 STOCK     315616102      30       1060    SHARES                         X        1       1060     0      0
FACTSET
  RESEARCH       COMMON
  SYSTEMS INC    STOCK     303075105      50        900    SHARES                         X        1        900     0      0
FAIRPOINT
  COMMUNICATIONS COMMON
  INC            STOCK     305560104       1        100    SHARES                X                 1        100     0      0
FAMILY DOLLAR    COMMON
  STORES         STOCK     307000109      24       1250    SHARES                X                 3       1250     0      0
FAMILY DOLLAR    COMMON
  STORES         STOCK     307000109      48       2497    SHARES                         X        1       2497     0      0
FASTENAL CO      COMMON
                 STOCK     311900104     615      15200    SHARES                X                 3      15200     0      0
FASTENAL CO      COMMON
                 STOCK     311900104     157       3894    SHARES                X                 1       3664     0    230
FASTENAL CO      COMMON
                 STOCK     311900104     525      13000    SHARES                X                 2          0     0  13000
FASTENAL CO      COMMON
                 STOCK     311900104      31        775    SHARES                         X        1        775     0      0
FED NATL MTG     COMMON
  ASSN COM       STOCK     313586109    3023      75606    SHARES                X                 1      75606     0      0
FED NATL MTG     COMMON
  ASSN COM       STOCK     313586109    1811      45300    SHARES                X                 2      16600     0  28700
FED NATL MTG     COMMON
  ASSN COM       STOCK     313586109     361       9030    SHARES                X                 3       9030     0      0
FED NATL MTG     COMMON
  ASSN COM       STOCK     313586109    1451      36301    SHARES                         X        1      35051     0   1250
FEDERAL REALTY   COMMON
  INV TR (REIT)  STOCK     313747206      82       1000    SHARES                X                 1       N.A.  N.A.   N.A.
FEDERAL REALTY   COMMON
  INV TR (REIT)  STOCK     313747206     164       2000    SHARES                X                 2       N.A.  N.A.   N.A.
FEDERAL SIGNAL   COMMON
  CORP           STOCK     313855108      11       1000    SHARES                X                 1       1000     0      0
FEDERATED INVS
  INC            COMMON B  314211103      82       2000    SHARES                X                 3       2000     0      0
FEDEX CORP COM   COMMON
                 STOCK     31428X106    1210      13567    SHARES                X                 1      12317     0   1250
FEDEX CORP COM   COMMON
                 STOCK     31428X106     183       2050    SHARES                X                 2          0     0   2050
FEDEX CORP COM   COMMON
                 STOCK     31428X106     319       3580    SHARES                         X        1       2730     0    850
FEDEX            COMMON
  CORPORATION    STOCK     31428X106     245       2750    SHARES                X                 3       2750     0      0
FELCOR LODGING
  TRUST INC      COMMON
  (REIT          STOCK     31430F101      13        864    SHARES                X                 3       N.A.  N.A.   N.A.
FERRELLGAS       COMMON
  PARTNERS LP    STOCK     315293100      22       1000    SHARES                         X        1       1000     0      0
FIDELITY
  NATIONAL       COMMON
  FINANCIAL -    STOCK     31620R105      31       2126    SHARES                X                 1       2126     0      0
FIDELITY
  NATIONAL       COMMON
  FINANCIAL -    STOCK     31620R105      21       1441    SHARES                X                 2          0     0   1441
FIDELITY
  NATIONAL       COMMON
  FINANCIAL -    STOCK     31620R105       9        614    SHARES                         X        1        614     0      0
FIDELITY NATL    COMMON
  INFO           STOCK     31620M106     384       9241    SHARES                X                 3       9241     0      0
FIDELITY NATL
  INFORMATION    COMMON
  SERV           STOCK     31620M106     118       2833    SHARES                X                 1       2706     0    127
FIDELITY NATL
  INFORMATION    COMMON
  SERV           STOCK     31620M106      22        521    SHARES                         X        1        521     0      0
FIFTH THIRD      COMMON
  BANCORP        STOCK     316773100     116       4600    SHARES                X                 3       4600     0      0
FIFTH THIRD      COMMON
  BANCORP COM    STOCK     316773100     321      12777    SHARES                X                 1      12777     0      0
FIFTH THIRD      COMMON
  BANCORP COM    STOCK     316773100    1816      72281    SHARES                X                 2          0     0  72281
FIFTH THIRD      COMMON
  BANCORP COM    STOCK     316773100      69       2737    SHARES                         X        1       2737     0      0
FINANCIAL
  SELECT         PREFERRED
  SECTOR SPDR F  STOCK     81369Y605      50       1720    SHARES                X                 3       N.A.  N.A.   N.A.
FIRST HORIZON    COMMON
  NATL           STOCK     320517105      60       3300    SHARES                X                 3       3300     0      0
FIRST
  INDUSTRIAL     COMMON
  REALTY TR (RE  STOCK     32054K103      11        317    SHARES                X                 1       N.A.  N.A.   N.A.
FIRST MARINER
  BANCORP        COMMON
  INCORPOR       STOCK     320795107      17       3000    SHARES                         X        1       3000     0      0
FIRST NIAGARA
  FINANCIAL      COMMON
  GROUP          STOCK     33582V108       4        292    SHARES                X                 1        292     0      0
FIRST STATE
  FINANCIAL      COMMON
  CORP FLO       STOCK     33708M206      32       3253    SHARES                X                 1       3253     0      0
FIRSTENERGY      COMMON
  CORP           STOCK     337932107     181       2500    SHARES                X                 3       2500     0      0
FIRSTENERGY      COMMON
  CORP COM       STOCK     337932107     856      11828    SHARES                X                 1      11828     0      0
FIRSTENERGY      COMMON
  CORP COM       STOCK     337932107      87       1200    SHARES                X                 2          0     0   1200
FIRSTENERGY      COMMON
  CORP COM       STOCK     337932107     160       2206    SHARES                         X        1       2206     0      0
FISERV INC       COMMON
                 STOCK     337738108      52        945    SHARES                X                 1        790     0    155
FISERV INC       COMMON
                 STOCK     337738108    4216      75986    SHARES                X                 2      12186     0  63800
FISERV INC       COMMON
                 STOCK     337738108      99       1800    SHARES                X                 3       1800     0      0
FISERV INC       COMMON
                 STOCK     337738108      11        200    SHARES                         X        1          0     0    200






                                                                                 SEC USE
                                              -----------------------------------------------------------------------------
                                                                              COLUMN 6                       COLUMN 8
                                                      COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                              ------------------------ ----------------------          --------------------
                COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                              
FIVE STAR
  QUALITY CARE   COMMON
  INC            STOCK   33832D106       0         10    SHARES                         X        1          0   0        10
FLANDERS         COMMON
  CORPORATION    STOCK   338494107    2797     498573    SHARES                X                 2     203573   0    295000
FLEXIBLE
  SOLUTIONS      COMMON
  INTERNATION    STOCK   33938T104       0        250    SHARES                X                 1        250   0         0
FLEXTRONICS      COMMON
  INTL LTD       STOCK   Y2573F102     118       9810    SHARES                X                 1       9810   0         0
FLEXTRONICS      COMMON
  INTL LTD       STOCK   Y2573F102      11        950    SHARES                         X        1        950   0         0
FLIR SYS INC     COMMON
                 STOCK   302445101    1572      50200    SHARES                X                 3      50200   0         0
FLIR SYSTEMS     COMMON
  INC            STOCK   302445101      89       2850    SHARES                X                 1       2600   0       250
FLOWERS FOODS    COMMON
  INC COM        STOCK   343498101     142       6085    SHARES                X                 2          0   0      6085
FLUOR CORP       COMMON
                 STOCK   343412102     641       4399    SHARES                X                 1       4399   0         0
FLUOR CORP       COMMON
                 STOCK   343412102     133        914    SHARES                X                 3        914   0         0
FLUOR CORP       COMMON
                 STOCK   343412102     240       1650    SHARES                         X        1       1650   0         0
FMC
  TECHNOLOGIES   COMMON
  INC            STOCK   30249U101     868      15300    SHARES                X                 3      15300   0         0
FMC
  TECHNOLOGIES   COMMON
  INC COM        STOCK   30249U101     145       2551    SHARES                X                 1       2481   0        70
FNB CORP PA      COMMON
                 STOCK   302520101      22       1507    SHARES                X                 1       1507   0         0
FOCUS MEDIA
  HOLDING LTD    COMMON
  - ADR          STOCK   34415V109      11        200    SHARES                X                 1        200   0         0
FOMENTO
  ECONOMICO      COMMON
  MEXICANA ADR   STOCK   344419106      30        777    SHARES                X                 3        777   0         0
FOOT LOCKER INC  COMMON
                 STOCK   344849104      94       6900    SHARES                X                 3       6900   0         0
FORD MOTOR CO    COMMON
                 STOCK   345370860     114      17000    SHARES                X                 3      17000   0         0
FORD MOTOR CO    COMMON
                 STOCK   345370860      88      13069    SHARES                X                 1      13069   0         0
FORD MOTOR CO    COMMON
                 STOCK   345370860      36       5372    SHARES                         X        1       1812   0      3560
FORD MOTOR       COMMON
  COMPANY        STOCK   345370860      96      14283    SHARES                X                 2      14283   0         0
FORDING
  CANADIAN       COMMON
  COAL TRUST     STOCK   345425102     421      10903    SHARES                X                 1      10903   0         0
FORDING
  CANADIAN       COMMON
  COAL TRUST     STOCK   345425102     422      10925    SHARES                         X        1      10675   0       250
FOREST CITY
  ENTERPRISES    COMMON
  INC            STOCK   345550107      44       1000    SHARES                X                 2          0   0      1000
FOREST LABS INC  COMMON
                 STOCK   345838106      96       2631    SHARES                X                 3       2631   0         0
FOREST LABS      COMMON
  INC COM        STOCK   345838106      51       1401    SHARES                X                 1       1401   0         0
FOREST LABS      COMMON
  INC COM        STOCK   345838106      10        275    SHARES                         X        1        275   0         0
FOREST OIL CORP  COMMON
                 STOCK   346091705      25        500    SHARES                X                 1        500   0         0
FORESTAR REAL    COMMON
  ESTATE         STOCK   346233109       7        300    SHARES                X                 3        300   0         0
FORTUNE BRANDS   COMMON
  INC            STOCK   349631101      90       1250    SHARES                X                 3       1250   0         0
FORTUNE BRANDS   COMMON
  INC            STOCK   349631101     924      12774    SHARES                X                 1      12774   0         0
FORTUNE BRANDS   COMMON
  INC            STOCK   349631101      18        250    SHARES                X                 2          0   0       250
FORTUNE BRANDS   COMMON
  INC            STOCK   349631101     759      10489    SHARES                         X        1       8382   0      2107
FOSTER WHEELER   COMMON
  LTD            STOCK   G36535139    5564      35894    SHARES                X                 1      34987   0       907
FOSTER WHEELER   COMMON
  LTD            STOCK   G36535139    4962      32004    SHARES                X                 3      31314   0       690
FOSTER WHEELER   COMMON
  LTD            STOCK   G36535139     510       3290    SHARES                         X        1       2395   0       895
FOUNDRY          COMMON
  NETWORKS INC   STOCK   35063R100      90       5120    SHARES                X                 1       4700   0       420
FOUNDRY          COMMON
  NETWRKS INC    STOCK   35063R100    1477      84300    SHARES                X                 3      84300   0         0
FPL GROUP INC    COMMON
                 STOCK   302571104     244       3600    SHARES                X                 3       3600   0         0
FPL GROUP INC    COMMON
  COM            STOCK   302571104    8248     121687    SHARES                X                 1     121631   0        56
FPL GROUP INC    COMMON
  COM            STOCK   302571104      20        300    SHARES                X                 4        300   0         0
FPL GROUP INC    COMMON
  COM            STOCK   302571104    3975      58643    SHARES                         X        1      49901   0      8742
FRANCE TELECOM   COMMON
  SA-SPONS ADR   STOCK   35177Q105       2         70    SHARES                X                 1         70   0         0
FRANKLIN RES     COMMON
  INC            STOCK   354613101     154       1350    SHARES                X                 3       1350   0         0
FRANKLIN         COMMON
  RESOURCES INC  STOCK   354613101      94        825    SHARES                X                 1        825   0         0
FRANKLIN         COMMON
  RESOURCES INC  STOCK   354613101      40        350    SHARES                         X        1        350   0         0
FREDDIE MAC      COMMON
                 STOCK   313400301     390      11455    SHARES                X                 1      11455   0         0
FREDDIE MAC      COMMON
                 STOCK   313400301    7956     233546    SHARES                X                 2      61152   0    172394
FREDDIE MAC      COMMON
                 STOCK   313400301     574      16843    SHARES                X                 3      16843   0         0
FREDDIE MAC      COMMON
                 STOCK   313400301      13        380    SHARES                         X        1        380   0         0
FREEPORT-        COMMON
  MCMORAN C&G    STOCK   35671D857    1077      10517    SHARES                X                 3      10517   0         0






                                                                                   SEC USE
                                                ------------------------------------------------------------------------------
                                                                                COLUMN 6                       COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                ------------------------ ----------------------          ---------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                 
FREEPORT-
  MCMORAN CPR    COMMON
  & GLD INC      STOCK     35671D857     963        9400   SHARES                X                 1        9300     0     100
FREEPORT-
  MCMORAN        COMMON
  CPR & GLD INC  STOCK     35671D857      15         150   SHARES                         X        1         150     0       0
FRIEDMAN
  BILLINGS       COMMON
  RAMSEY GRP I   STOCK     358434108      16        5000   SHARES                X                 2           0     0    5000
FRONTEER
  DEVELOPMENT    COMMON
  GROUP INC      STOCK     35903Q106       5         500   SHARES                X                 1         500     0       0
FRONTLINE LTD    COMMON
                 STOCK     G3682E127      68        1425   SHARES                X                 1        1425     0       0
FRONTLINE LTD    COMMON
                 STOCK     G3682E127      24         500   SHARES                         X        1         500     0       0
FULTON
  FINANCIAL      COMMON
  COPR.          STOCK     360271100    4394      392282   SHARES         X                               392282     0       0
FULTON
  FINANCIAL      COMMON
  CORP           STOCK     360271100    2003      178499   SHARES                X                 1      178499     0       0
FULTON
  FINANCIAL      COMMON
  CORP           STOCK     360271100    1658      147778   SHARES                         X        1       96919  5000   45859
FURMANITE        COMMON
  CORPORATION    STOCK     361086101       8         700   SHARES                X                 1         700     0       0
GABELLI EQUITY   PREFERRED
  TRUST          STOCK     362397101      14        1509   SHARES                X                 1        N.A.  N.A.    N.A.
GABELLI GLOBAL
  HEALTHCARE &   PREFERRED
  WE             STOCK     36246K103       1          75   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          PREFERRED
  UTILITY TRUST  STOCK     36240A101       1         150   SHARES                X                 1        N.A.  N.A.    N.A.
GALLAGHER
  ARTHUR J. &    COMMON
  CO             STOCK     363576109      24        1000   SHARES                X                 1        1000     0       0
GAMESTOP CORP    COMMON
  - CLASS A      STOCK     36467W109     935       15059   SHARES                X                 1       14561     0     498
GAMESTOP CORP    COMMON
  HLDG           STOCK     36467W109    3095       49820   SHARES                X                 3       49820     0       0
GANNETT CO INC   COMMON
                 STOCK     364730101     378        9695   SHARES                X                 1        9695     0       0
GANNETT CO INC   COMMON
                 STOCK     364730101     208        5332   SHARES                X                 2           0     0    5332
GANNETT CO INC   COMMON
                 STOCK     364730101     113        2900   SHARES                X                 3        2900     0       0
GANNETT CO INC   COMMON
                 STOCK     364730101     341        8750   SHARES                         X        1        8750     0       0
GAP INC          COMMON
                 STOCK     364760108     243       11400   SHARES                X                 3       11400     0       0
GAP INC COM      COMMON
                 STOCK     364760108     291       13675   SHARES                X                 1       13675     0       0
GAP INC COM      COMMON
                 STOCK     364760108     309       14525   SHARES                         X        1       14125     0     400
GARMIN LIMITED   COMMON
  ORD            STOCK     G37260109     291        3000   SHARES                X                 2           0     0    3000
GEN PROBE INC    COMMON
                 STOCK     36866T103     617        9800   SHARES                X                 3        9800     0       0
GENCO
  SHIPPING &     COMMON
  TRADING LTD    STOCK     Y2685T107      59        1085   SHARES                X                 1        1000     0      85
GENCO            COMMON
  SHIPPING&TRAD  STOCK     Y2685T107     925       16875   SHARES                X                 3       16875     0       0
GENELABS
  TECHNOLOGIES   COMMON
  INC            STOCK     368706206       1         600   SHARES                X                 1         600     0       0
GENENTECH INC    COMMON
                 STOCK     368710406    3505       52259   SHARES                X                 1       51459     0     800
GENENTECH INC    COMMON
                 STOCK     368710406     101        1500   SHARES                X                 2           0     0    1500
GENENTECH INC    COMMON
                 STOCK     368710406     792       11811   SHARES                X                 3       11811     0       0
GENENTECH INC    COMMON
                 STOCK     368710406     286        4265   SHARES                         X        1        3325     0     940
GENERAL
  AMERICAN       PREFERRED
  INVESTORS CO   STOCK     368802104      63        1829   SHARES                X                 2        N.A.  N.A.    N.A.
GENERAL
  COMMUNICATIONS COMMON
  INC CLA        STOCK     369385109       2         200   SHARES                X                 2           0     0     200
GENERAL          COMMON
  DYNAMICS       STOCK     369550108     413        4638   SHARES                X                 3        4638     0       0
GENERAL
  DYNAMICS       COMMON
  CORP COM       STOCK     369550108    5281       59344   SHARES                X                 1       59344     0       0
GENERAL
  DYNAMICS       COMMON
  CORP COM       STOCK     369550108      18         200   SHARES                X                 2           0     0     200
GENERAL
  DYNAMICS       COMMON
  CORP COM       STOCK     369550108    1255       14100   SHARES                         X        1       14100     0       0
GENERAL          COMMON
  ELECTRIC CO    STOCK     369604103   14372      387702   SHARES                X                 3      374479     0   13223
GENERAL
  ELECTRIC       COMMON
  COMPANY        STOCK     369604103   74364     2006051   SHARES                X                 1     1966273     0   39778
GENERAL
  ELECTRIC       COMMON
  COMPANY        STOCK     369604103   24673      665586   SHARES                X                 2      165984     0  499602
GENERAL
  ELECTRIC       COMMON
  COMPANY        STOCK     369604103      20         550   SHARES                X                 4         550     0       0
GENERAL
  ELECTRIC       COMMON
  COMPANY        STOCK     369604103   69311     1869733   SHARES                         X        1     1758476     0  111257
GENERAL GROWTH   COMMON
  PPTYS          STOCK     370021107      95        2300   SHARES                X                 3        2300     0       0
GENERAL GROWTH   COMMON
  PPTYS INC      STOCK     370021107      82        2000   SHARES                X                 1        N.A.  N.A.    N.A.
GENERAL GROWTH   COMMON
  PPTYS INC      STOCK     370021107       8         191   SHARES                X                 2        N.A.  N.A.    N.A.
GENERAL MILLS    COMMON
  INC            STOCK     370334104    3627       63627   SHARES                X                 1       63627     0       0
GENERAL MILLS    COMMON
  INC            STOCK     370334104     114        2000   SHARES                X                 2           0     0    2000
GENERAL MILLS    COMMON
  INC            STOCK     370334104     513        9000   SHARES                X                 3        9000     0       0
GENERAL MILLS    COMMON
  INC            STOCK     370334104       9         150   SHARES                X                 4         150     0       0






                                                                                    SEC USE
                                                 -----------------------------------------------------------------------------
                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
GENERAL MILLS     COMMON
  INC             STOCK     370334104    1757      30823    SHARES                         X        1      30423     0     400
GENERAL MOTORS    COMMON
  CORP            STOCK     370442105     132       5300    SHARES                X                 3       5300     0       0
GENERAL MOTORS    COMMON
  CORP COM        STOCK     370442105     105       4210    SHARES                X                 1       3196     0    1014
GENERAL MOTORS    COMMON
  CORP COM        STOCK     370442105      74       2984    SHARES                         X        1       2636     0     348
GENERAL MOTORS
  CORP PFD        PREFERRED
  5.25%           STOCK     370442733       4        200    SHARES                X                 1       N.A.  N.A.    N.A.
GENESIS ENERGY    COMMON
  LP              STOCK     371927104      47       2000    SHARES                X                 2          0     0    2000
GEN-PROBE INC     COMMON
                  STOCK     36866T103     144       2285    SHARES                X                 1       2135     0     150
GENUINE PARTS     COMMON
  CO              STOCK     372460105      63       1360    SHARES                X                 3       1360     0       0
GENUINE PARTS     COMMON
  INC             STOCK     372460105     470      10155    SHARES                X                 1      10155     0       0
GENUINE PARTS     COMMON
  INC             STOCK     372460105     769      16600    SHARES                X                 2       8400     0    8200
GENUINE PARTS     COMMON
  INC             STOCK     372460105     336       7250    SHARES                         X        1       7250     0       0
GENWORTH          COMMON
  FINANCIAL       STOCK     37247D106      94       3700    SHARES                X                 3       3700     0       0
GENWORTH
  FINANCIAL       COMMON
  INC - CL A      STOCK     37247D106       2         85    SHARES                X                 1         85     0       0
GENZYME CORP      COMMON
                  STOCK     372917104     164       2200    SHARES                X                 3       2200     0       0
GENZYME CORP      COMMON
  COM             STOCK     372917104    1505      20218    SHARES                X                 1      19818     0     400
GENZYME CORP      COMMON
  COM             STOCK     372917104     398       5344    SHARES                X                 2          0     0    5344
GENZYME CORP      COMMON
  COM             STOCK     372917104     107       1435    SHARES                         X        1       1260     0     175
GEO GROUP INC     COMMON
                  STOCK     36159R103    1072      38300    SHARES                X                 3      38300     0       0
GEOEYE INC        COMMON
                  STOCK     37250W108     949      28200    SHARES                X                 3      28200     0       0
GEOEYE INC        COMMON
                  STOCK     37250W108      66       1960    SHARES                X                 1       1800     0     160
GERDAU            COMMON
  AMERISTEEL      STOCK     37373P105    1071      75300    SHARES                X                 3      75300     0       0
GERDAU
  AMERISTEEL      COMMON
  CORP            STOCK     37373P105      67       4700    SHARES                X                 1       4325     0     375
GFI GROUP INC     COMMON
                  STOCK     361652209    1713      17900    SHARES                X                 3      17900     0       0
GFI GROUP INC     COMMON
                  STOCK     361652209     104       1089    SHARES                X                 1       1000     0      89
GILAT
  SATELLITE       COMMON
  NETWORKS LTD    STOCK     M51474118     102       9925    SHARES                X                 1       9100     0     825
GILAT
  SATELLITE
  NTWK            ORD       M51474118    1579     153400    SHARES                X                 3     153400     0       0
GILDAN            COMMON
  ACTIVEWEAR      STOCK     375916103     629      15300    SHARES                X                 3      15300     0       0
GILDAN
  ACTIVEWEAR      COMMON
  INC             STOCK     375916103      40        980    SHARES                X                 1        900     0      80
GILEAD            COMMON
  SCIENCES INC    STOCK     375558103    2952      64185    SHARES                X                 3      61755     0    2430
GILEAD
  SCIENCES INC    COMMON
  COM             STOCK     375558103    3572      77643    SHARES                X                 1      76521     0    1122
GILEAD
  SCIENCES INC    COMMON
  COM             STOCK     375558103     542      11775    SHARES                         X        1      11775     0       0
GLADSTONE         COMMON
  CAPITAL CORP    STOCK     376535100      85       5000    SHARES                X                 1       5000     0       0
GLADSTONE         COMMON
  CAPITAL CORP    STOCK     376535100    8706     511805    SHARES                X                 2     136405     0  375400
GLADSTONE
  COMMERCIAL      COMMON
  CORP            STOCK     376536108      70       4000    SHARES                X                 1       N.A.  N.A.    N.A.
GLADSTONE
  COMMERCIAL      COMMON
  CORP            STOCK     376536108    3607     205650    SHARES                X                 2       N.A.  N.A.    N.A.
GLATFELTER        COMMON
                  STOCK     377316104     615      40153    SHARES                X                 1      40153     0       0

  GLAXOSMITHKLINE COMMON
  PLC ADR         STOCK     37733W105    1149      22802    SHARES                X                 1      22802     0       0

  GLAXOSMITHKLINE COMMON
  PLC ADR         STOCK     37733W105     193       3827    SHARES                X                 2          0     0    3827

  GLAXOSMITHKLINE COMMON
  PLC ADR         STOCK     37733W105    1676      33259    SHARES                         X        1      26559     0    6700
GLOBAL
  INDUSTRIES      COMMON
  LTD             STOCK     379336100      16        740    SHARES                X                 3        740     0       0
GOLD FIELDS       COMMON
  LIMITED ADR     STOCK     38059T106       4        250    SHARES                X                 1        250     0       0
GOLDCORP INC      COMMON
                  STOCK     380956409      34       1000    SHARES                X                 1       1000     0       0
GOLDMAN SACHS     COMMON
  GROUP           STOCK     38141G104    4191      19490    SHARES                X                 3      19048     0     442
GOLDMAN SACHS     COMMON
  GROUP INC COM   STOCK     38141G104    5566      25881    SHARES                X                 1      25074     0     807
GOLDMAN SACHS     COMMON
  GROUP INC COM   STOCK     38141G104     301       1400    SHARES                X                 2          0     0    1400
GOLDMAN SACHS     COMMON
  GROUP INC COM   STOCK     38141G104    1009       4690    SHARES                         X        1       4210     0     480
GOODRICH CORP     COMMON
                  STOCK     382388106      77       1085    SHARES                X                 3       1085     0       0
GOODRICH CORP     COMMON
                  STOCK     382388106      88       1250    SHARES                X                 1       1250     0       0
GOODRICH CORP     COMMON
                  STOCK     382388106     120       1700    SHARES                         X        1        400     0    1300
GOODYEAR
  TIRE &          COMMON
  RUBBER CO       STOCK     382550101       3        100    SHARES                X                 1        100     0       0
GOODYEAR
  TIRE &          COMMON
  RUBBER CO       STOCK     382550101      68       2420    SHARES                X                 3       2420     0       0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
GOOGLE INC      COMMON
                STOCK     38259P508   10898      15760    SHARES                X                 3      15417     0    343
GOOGLE INC CL A COMMON
                STOCK     38259P508   12285      17766    SHARES                X                 1      17477     0    289
GOOGLE INC CL A COMMON
                STOCK     38259P508   23043      33324    SHARES                X                 2      10699     0  22625
GOOGLE INC CL A COMMON
                STOCK     38259P508     651        942    SHARES                         X        1        655     0    287
GRACO INC       COMMON
                STOCK     384109104    1302      34953    SHARES                X                 3      32198     0   2755
GRACO INC COM   COMMON
                STOCK     384109104    1259      33797    SHARES                X                 1      32105     0   1692
GRACO INC COM   COMMON
                STOCK     384109104     149       4000    SHARES                X                 2          0     0   4000
GRACO INC COM   COMMON
                STOCK     384109104      28        750    SHARES                         X        1        750     0      0
GRAINGER W W    COMMON
  INC           STOCK     384802104      53        605    SHARES                X                 3        605     0      0
GRANITE
  CONSTRUCTION  COMMON
  INCORPORA     STOCK     387328107      24        675    SHARES                X                 1        675     0      0
GRANT PRIDECO   COMMON
  INC           STOCK     38821G101    1016      18300    SHARES                X                 3      18300     0      0
GRANT PRIDECO   COMMON
  INC COM       STOCK     38821G101     241       4344    SHARES                X                 1       4063     0    281
GREAT PLAINS    COMMON
  ENERGY INC    STOCK     391164100      23        770    SHARES                X                 1        770     0      0
GREAT PLAINS    COMMON
  ENERGY INC    STOCK     391164100      25        850    SHARES                         X        1        850     0      0
GREAT WOLF      COMMON
  RESORTS       STOCK     391523107    1240     126400    SHARES                X                 3     126400     0      0
GREAT WOLF      COMMON
  RESORTS INC   STOCK     391523107      79       8075    SHARES                X                 1       7400     0    675
GREATER CHINA   PREFERRED
  FUND INC      STOCK     39167B102       2        100    SHARES                         X        1       N.A.  N.A.   N.A.
GREENBRIER      COMMON
  COMPANIES INC STOCK     393657101     370      16600    SHARES                X                 2          0     0  16600
GREENBRIER COS
  CONV 2.375% 5 OTHER     393657AD3     384     500000    PRN                   X                 2       N.A.  N.A.   N.A.
GREY WOLF INC   COMMON
                STOCK     397888108      18       3367    SHARES                X                 1       3367     0      0
GREY WOLF INC   COMMON
                STOCK     397888108       5        987    SHARES                X                 3        987     0      0
GSI COMMERCE    COMMON
  INC           STOCK     36238G102     767      39300    SHARES                X                 3      39300     0      0
GSI COMMERCE    COMMON
  INC           STOCK     36238G102      47       2395    SHARES                X                 1       2200     0    195
GUARANTY FINL   COMMON
  GR INC        STOCK     40108N106       5        300    SHARES                X                 3        300     0      0
HALLIBURTON     COMMON
                STOCK     406216101     288       7600    SHARES                X                 3       7600     0      0
HALLIBURTON     COMMON
  HLDG CO COM   STOCK     406216101     392      10349    SHARES                X                 1       8849     0   1500
HALLIBURTON     COMMON
  HLDG CO COM   STOCK     406216101     483      12732    SHARES                         X        1       6032     0   6700
HANESBRANDS INC COMMON
                STOCK     410345102       6        225    SHARES                X                 1        225     0      0
HANESBRANDS INC COMMON
                STOCK     410345102      33       1216    SHARES                         X        1        816     0    400
HANOVER
  INSURANCE     COMMON
  GROUP INC     STOCK     410867105      70       1520    SHARES                X                 1       1400     0    120
HARLEY          COMMON
  DAVIDSON INC  STOCK     412822108      98       2100    SHARES                X                 3       2100     0      0
HARLEY-         COMMON
  DAVIDSON INC  STOCK     412822108     949      20324    SHARES                X                 1      20324     0      0
HARLEY-         COMMON
  DAVIDSON INC  STOCK     412822108     694      14850    SHARES                         X        1      11650     0   3200
HARLEYSVILLE    COMMON
  NATIONAL CORP STOCK     412850109      12        800    SHARES                X                 1        800     0      0
HARMAN
  INTERNATIONAL COMMON
  INDUSTRIE     STOCK     413086109       7        100    SHARES                X                 1        100     0      0
HARMAN
  INTERNATIONAL COMMON
  INDUSTRIE     STOCK     413086109     162       2200    SHARES                X                 2          0     0   2200
HARMAN INTL     COMMON
  INDS          STOCK     413086109      42        575    SHARES                X                 3        575     0      0
HARMONY GOLD
  MINING SPON   COMMON
  ADR           STOCK     413216300      13       1275    SHARES                X                 1       1275     0      0
HARRAHS
  ENTERTAINMENT COMMON
  INC           STOCK     413619107      42        475    SHARES                X                 1        475     0      0
HARRAHS ENTMT   COMMON
  INC           STOCK     413619107     142       1600    SHARES                X                 3       1600     0      0
HARRIS &
  HARRIS GROUP  COMMON
  INC           STOCK     413833104       1        150    SHARES                X                 1        150     0      0
HARRIS &
  HARRIS GROUP  COMMON
  INC           STOCK     413833104       2        200    SHARES                         X        1        200     0      0
HARRIS CORP     COMMON
                STOCK     413875105    4926      78596    SHARES                X                 1      77301     0   1295
HARRIS CORP     COMMON
                STOCK     413875105    4240      67655    SHARES                X                 3      65606     0   2049
HARRIS CORP     COMMON
                STOCK     413875105     595       9495    SHARES                         X        1       9495     0      0
HARSCO CORP     COMMON
                STOCK     415864107   24683     385249    SHARES                X                 1     316279     0  68970
HARSCO CORP     COMMON
                STOCK     415864107    4915      76710    SHARES                X                 3      74506     0   2204
HARSCO CORP     COMMON
                STOCK     415864107    6615     103241    SHARES                         X        1     103241     0      0
HARTFORD
  FINANCIAL     COMMON
  SVCS GRP IN   STOCK     416515104    2192      25140    SHARES                X                 1      24340     0    800
HARTFORD
  FINANCIAL     COMMON
  SVCS GRP IN   STOCK     416515104     126       1440    SHARES                X                 2          0     0   1440
HARTFORD
  FINANCIAL     COMMON
  SVCS GRP IN   STOCK     416515104       9        100    SHARES                X                 4        100     0      0






                                                                                   SEC USE
                                                 ----------------------------------------------------------------------------
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                   COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1           TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER      CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
HARTFORD
  FINANCIAL         COMMON
  SVCS GRP IN       STOCK   416515104    1235      14167    SHARES                         X        1      12957     0   1210
HARTFORD FINL       COMMON
  SVCS              STOCK   416515104     253       2900    SHARES                X                 3       2900     0      0
HARVEST ENERGY      COMMON
  TRUST-UNITS       STOCK   41752X101       2        100    SHARES                X                 1        100     0      0
HARVEST ENERGY      COMMON
  TRUST-UNITS       STOCK   41752X101      12        600    SHARES                         X        1        600     0      0
HASBRO INC          COMMON
                    STOCK   418056107      48       1900    SHARES                X                 3       1900     0      0
HASBRO INC          COMMON
                    STOCK   418056107       4        170    SHARES                         X        1        170     0      0
HAWAIIAN ELEC       COMMON
  IND INC           STOCK   419870100       3        140    SHARES                X                 1        140     0      0
HAYNES              COMMON
  INTERNATIONAL     STOCK   420877201     564       8125    SHARES                X                 3       8125     0      0
HAYNES
  INTERNATIONAL     COMMON
  INC               STOCK   420877201     131       1890    SHARES                X                 1       1765     0    125
HCC INS HLDGS       COMMON
  INC               STOCK   404132102     793      27650    SHARES                X                 3      27650     0      0
HCC INS HLDGS       COMMON
  INC COM           STOCK   404132102     180       6284    SHARES                X                 1       5869     0    415
HCP
  INCORPORATED      COMMON
  REITS             STOCK   40414L109     169       4856    SHARES                X                 1       N.A.  N.A.   N.A.
HCP
  INCORPORATED      COMMON
  REITS             STOCK   40414L109     115       3316    SHARES                X                 2       N.A.  N.A.   N.A.
HEALTH CARE         COMMON
  REIT INC          STOCK   42217K106      45       1000    SHARES                X                 1       N.A.  N.A.   N.A.
HEALTH CARE         COMMON
  REIT INC          STOCK   42217K106     425       9500    SHARES                X                 2       N.A.  N.A.   N.A.
HEALTH CARE
  SELECT            COMMON
  SECTOR SPDR       STOCK   81369Y209      23        650    SHARES                X                 1        650     0      0
HEALTH
  MANAGEMENT-CLASS  COMMON
  A                 STOCK   421933102      59       9875    SHARES                X                 1       9875     0      0
HEALTH
  MANAGEMENT-CLASS  COMMON
  A                 STOCK   421933102      25       4255    SHARES                         X        1       3905     0    350
HEALTH NET INC      COMMON
  COM               STOCK   42222G108      48       1000    SHARES                X                 1       1000     0      0
HEALTHCARE
  REALTY TRUST      COMMON
  INC (R            STOCK   421946104       8        330    SHARES                X                 1       N.A.  N.A.   N.A.
HEALTHCARE
  REALTY TRUST      COMMON
  INC (R            STOCK   421946104     168       6600    SHARES                X                 2       N.A.  N.A.   N.A.
HEALTHCARE
  REALTY TRUST      COMMON
  INC (R            STOCK   421946104       5        200    SHARES                         X        1       N.A.  N.A.   N.A.
HEALTHCARE
  SVCS GROUP        COMMON
  INC               STOCK   421906108      60       2835    SHARES                X                 1       2600     0    235
HEALTHCARE          COMMON
  SVCS GRP          STOCK   421906108     974      46000    SHARES                X                 3      46000     0      0
HEALTHEXTRAS        COMMON
  INCORPORATED      STOCK   422211102      10        400    SHARES                X                 1        400     0      0
HEALTHEXTRAS        COMMON
  INCORPORATED      STOCK   422211102      65       2500    SHARES                X                 2          0     0   2500
HEALTHSOUTH         COMMON
  CORP              STOCK   421924309      11        500    SHARES                X                 1        500     0      0
HEALTHWAYS INC      COMMON
                    STOCK   422245100     164       2800    SHARES                X                 2          0     0   2800
HEARTLAND
  PAYMENT           COMMON
  SYSTEMS INC       STOCK   42235N108      99       3700    SHARES                X                 2          0     0   3700
HEINZ H J CO        COMMON
                    STOCK   423074103     121       2600    SHARES                X                 3       2600     0      0
HEINZ H J CO        COMMON
  COM               STOCK   423074103    1044      22361    SHARES                X                 1      22361     0      0
HEINZ H J CO        COMMON
  COM               STOCK   423074103     621      13312    SHARES                X                 2       9512     0   3800
HEINZ H J CO        COMMON
  COM               STOCK   423074103     903      19341    SHARES                         X        1      13591     0   5750
HELIX ENERGY        COMMON
  SOLUTIONS GRP     STOCK   42330P107       9        218    SHARES                X                 1        218     0      0
HENRY SCHEIN        COMMON
  INC COM           STOCK   806407102      12        200    SHARES                X                 1        200     0      0
HERCULES INC        COMMON
                    STOCK   427056106      19       1000    SHARES                X                 3       1000     0      0
HERCULES INC        COMMON
                    STOCK   427056106      99       5100    SHARES                         X        1       5100     0      0
HERMAN MILLER       COMMON
  INC               STOCK   600544100      21        650    SHARES                X                 1        650     0      0
HESS                COMMON
  CORPORATION       STOCK   42809H107     247       2450    SHARES                X                 3       2450     0      0
HEWLETT             COMMON
  PACKARD CO        STOCK   428236103    6604     130835    SHARES                X                 3     127256     0   3579
HEWLETT-            COMMON
  PACKARD CO        STOCK   428236103   11381     225465    SHARES                X                 1     223253     0   2212
HEWLETT-            COMMON
  PACKARD CO        STOCK   428236103    2094      41484    SHARES                X                 2      15730     0  25754
HEWLETT-            COMMON
  PACKARD CO        STOCK   428236103      12        237    SHARES                X                 4        237     0      0
HEWLETT-            COMMON
  PACKARD CO        STOCK   428236103    3276      64892    SHARES                         X        1      58892     0   6000
HI/FN INC           COMMON
                    STOCK   428358105       1        260    SHARES                X                 1        260     0      0
HIGHWOODS
  PROPERTIES        COMMON
  (REIT)            STOCK   431284108      15        500    SHARES                X                 1       N.A.  N.A.   N.A.
HILAND
  HOLDINGS GP       COMMON
  LP                STOCK   43129M107     309      11300    SHARES                X                 2          0     0  11300
HILAND              COMMON
  PARTNERS LP       STOCK   431291103      35        700    SHARES                X                 2          0     0    700
HILB ROGAL &        COMMON
  HOBBS CO          STOCK   431294107     105       2576    SHARES                X                 2          0     0   2576
HILL
  INTERNATIONAL     COMMON
  INC               STOCK   431466101     139       9835    SHARES                X                 1       9036     0    799
HILL INTL INC       COMMON
                    STOCK   431466101    2285     161200    SHARES                X                 3     161200     0      0






                                                                                   SEC USE
                                                -----------------------------------------------------------------------------
                                                                                COLUMN 6                       COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                ------------------------ ----------------------          --------------------
                  COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                
HIMAX
  TECHNOLOGIES     COMMON
  INC-ADR          STOCK   43289P106       0        100    SHARES                X                 1        100     0       0
HMS HOLDINGS       COMMON
  CORP             STOCK   40425J101    1698      51100    SHARES                X                 3      51100     0       0
HMS HOLDINGS       COMMON
  CORPORATION      STOCK   40425J101     101       3050    SHARES                X                 1       2800     0     250
HOLOGIC INC        COMMON
                   STOCK   436440101    9240     134607    SHARES                X                 3     132479     0    2128
HOLOGIC INC COM    COMMON
                   STOCK   436440101    5632      82047    SHARES                X                 1      80459     0    1588
HOLOGIC INC COM    COMMON
                   STOCK   436440101     246       3589    SHARES                         X        1       1957     0    1632
HOME DEPOT INC     COMMON
                   STOCK   437076102    2805     104085    SHARES                X                 3     101048     0    3037
HOME DEPOT INC     COMMON
  COM              STOCK   437076102    7532     279593    SHARES                X                 1     274618     0    4975
HOME DEPOT INC     COMMON
  COM              STOCK   437076102    1563      57999    SHARES                X                 2      54999     0    3000
HOME DEPOT INC     COMMON
  COM              STOCK   437076102       8        300    SHARES                X                 4        300     0       0
HOME DEPOT INC     COMMON
  COM              STOCK   437076102    2739     101660    SHARES                         X        1      94315     0    7345
HOME
  PROPERTIES       COMMON
  INC (REIT)       STOCK   437306103      71       1575    SHARES                X                 1       N.A.  N.A.    N.A.
HOME
  PROPERTIES       COMMON
  INC (REIT)       STOCK   437306103    6643     148127    SHARES                X                 2       N.A.  N.A.    N.A.
HOME
  PROPERTIES       COMMON
  INC (REIT)       STOCK   437306103     147       3288    SHARES                         X        1       N.A.  N.A.    N.A.
HONEYWELL INTL     COMMON
  INC              STOCK   438516106     431       7014    SHARES                X                 3       7014     0       0
HONEYWELL INTL     COMMON
  INC COM          STOCK   438516106     764      12408    SHARES                X                 1      12408     0       0
HONEYWELL INTL     COMMON
  INC COM          STOCK   438516106    2070      33612    SHARES                X                 2      13912     0   19700
HONEYWELL INTL     COMMON
  INC COM          STOCK   438516106      18        300    SHARES                X                 4        300     0       0
HONEYWELL INTL     COMMON
  INC COM          STOCK   438516106    2326      37781    SHARES                         X        1      37781     0       0
HOSPIRA INC        COMMON
                   STOCK   441060100      55       1300    SHARES                X                 3       1300     0       0
HOSPIRA INC        COMMON
                   STOCK   441060100     146       3434    SHARES                X                 1       3434     0       0
HOSPIRA INC        COMMON
                   STOCK   441060100     157       3681    SHARES                         X        1       3311     0     370
HOSPITALITY
  PROPERTIES       COMMON
  TRUST (          STOCK   44106M102      13        400    SHARES                X                 1       N.A.  N.A.    N.A.
HOSPITALITY
  PROPERTIES       COMMON
  TRUST (          STOCK   44106M102      10        300    SHARES                         X        1       N.A.  N.A.    N.A.
HOST HOTELS &      COMMON
  RESORTS INC      STOCK   44107P104       3        178    SHARES                X                 1       N.A.  N.A.    N.A.
HOST HOTELS &      COMMON
  RESORTS INC      STOCK   44107P104     204      11978    SHARES                X                 2       N.A.  N.A.    N.A.
HOST HOTELS &      COMMON
  RESORTS INC      STOCK   44107P104       5        303    SHARES                         X        1       N.A.  N.A.    N.A.
HOST HOTELS &
  RESRTS           REIT    44107P104      73       4300    SHARES                X                 3       4300     0       0
HOUSTON WIRE &     COMMON
  CABLE CO         STOCK   44244K109      85       6000    SHARES                X                 2          0     0    6000
HRPT
  PROPERTIES       COMMON
  TRUST (REIT)     STOCK   40426W101      24       3148    SHARES                X                 1       N.A.  N.A.    N.A.
HRPT
  PROPERTIES       COMMON
  TRUST (REIT)     STOCK   40426W101       9       1200    SHARES                         X        1       N.A.  N.A.    N.A.
HSBC HOLDINGS      COMMON
  PLC SPON ADR     STOCK   404280406     102       1222    SHARES                X                 1       1222     0       0
HSBC HOLDINGS      COMMON
  PLC SPON ADR     STOCK   404280406      21        250    SHARES                         X        1        250     0       0
HUANENG POWER
  INTL-SPONS       COMMON
  ADR              STOCK   443304100     108       2620    SHARES                         X        1       2620     0       0
HUDSON CITY        COMMON
  BANCORP          STOCK   443683107      66       4400    SHARES                X                 3       4400     0       0
HUDSON
  HIGHLAND         COMMON
  GROUP INC        STOCK   443792106       0         18    SHARES                X                 1         18     0       0
HUDSON
  TECHNOLOGIES     COMMON
  INC              STOCK   444144109       0        500    SHARES                X                 1        500     0       0
HUGOTON            COMMON
  ROYALTY TRUST    STOCK   444717102       1         50    SHARES                X                 1         50     0       0
HUMAN GENOME       COMMON
  SCIENCES INC     STOCK   444903108      19       1840    SHARES                X                 2          0     0    1840
HUMAN GENOME       COMMON
  SCIENCES INC     STOCK   444903108      65       6200    SHARES                         X        1       6200     0       0
HUMANA INC         COMMON
                   STOCK   444859102     174       2313    SHARES                X                 3       2313     0       0
HUMANA INC COM     COMMON
                   STOCK   444859102      46        615    SHARES                X                 1        500     0     115
HUNTINGTON         COMMON
  BANCSHARE        STOCK   446150104      46       3100    SHARES                X                 3       3100     0       0
HUNTINGTON
  BANCSHARES       COMMON
  INC COM          STOCK   446150104      41       2800    SHARES                X                 1       2800     0       0
IAC                COMMON
  INTERACTIVECORP  STOCK   44919P300      43       1600    SHARES                X                 3       1600     0       0

  IAC/INTERACTIVE  COMMON
  CORP             STOCK   44919P300       6        208    SHARES                X                 1        208     0       0

  IAC/INTERACTIVE  COMMON
  CORP             STOCK   44919P300      48       1775    SHARES                         X        1       1775     0       0
IAMGOLD CORP       COMMON
                   STOCK   450913108     468      57700    SHARES                X                 3      57700     0       0
IAMGOLD            COMMON
  CORPORATION      STOCK   450913108      28       3495    SHARES                X                 1       3200     0     295
IBM CORPORATION    COMMON
                   STOCK   459200101   41750     386215    SHARES                X                 1     369266     0   16949
IBM CORPORATION    COMMON
                   STOCK   459200101   15460     143011    SHARES                X                 2      22939     0  120072






                                                                                    SEC USE
                                                 -----------------------------------------------------------------------------
                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
IBM CORPORATION   COMMON
                  STOCK     459200101    7912      73191    SHARES                X                 3      71031     0    2160
IBM CORPORATION   COMMON
                  STOCK     459200101      22        200    SHARES                X                 4        200     0       0
IBM CORPORATION   COMMON
                  STOCK     459200101   13730     127011    SHARES                         X        1     117661     0    9350
ICICI BANK
  LIMITED         COMMON
  SPONSORED A     STOCK     45104G104      18        300    SHARES                X                 1        300     0       0
ICON PLC          COMMON
  SPONSORED ADR   STOCK     45103T107      94       1525    SHARES                X                 1       1400     0     125
ICON PUB LTD CO   ADR       45103T107    1578      25500    SHARES                X                 3      25500     0       0
IDACORP INC       COMMON
                  STOCK     451107106      35       1000    SHARES                         X        1          0     0    1000
IDEARC INC        COMMON
                  STOCK     451663108      33       1883    SHARES                X                 1       1878     0       5
IDEARC INC        COMMON
                  STOCK     451663108      57       3264    SHARES                         X        1       3212     0      52
IDEXX CORP        COMMON
                  STOCK     45168D104      64       1085    SHARES                X                 1       1000     0      85
IDEXX CORP        COMMON
                  STOCK     45168D104     235       4000    SHARES                X                 2          0     0    4000
IDEXX LABS INC    COMMON
                  STOCK     45168D104    1015      17300    SHARES                X                 3      17300     0       0
ILLINOIS TOOL     COMMON
  WKS INC COM     STOCK     452308109    1038      19395    SHARES                X                 1      19395     0       0
ILLINOIS TOOL     COMMON
  WKS INC COM     STOCK     452308109    1775      33150    SHARES                X                 2       5920     0   27230
ILLINOIS TOOL     COMMON
  WKS INC COM     STOCK     452308109     228       4258    SHARES                X                 3       4258     0       0
ILLINOIS TOOL     COMMON
  WKS INC COM     STOCK     452308109     941      17575    SHARES                         X        1      17575     0       0
ILLUMINA INC      COMMON
                  STOCK     452327109    1212      20450    SHARES                X                 3      20450     0       0
ILLUMINA INC      COMMON
                  STOCK     452327109      71       1200    SHARES                X                 1       1100     0     100
IMAGEWARE         COMMON
  SYSTEMS INC     STOCK     45245S108     138      90000    SHARES                X                 2          0     0   90000
IMATION
  CORPORATION     COMMON
  COM             STOCK     45245A107       1         41    SHARES                X                 1         41     0       0
IMMUCOR INC       COMMON
                  STOCK     452526106      56       1645    SHARES                X                 1       1500     0     145
IMMUCOR INC       COMMON
                  STOCK     452526106     954      28060    SHARES                X                 3      28060     0       0
IMPERIAL OIL      COMMON
  LTD             STOCK     453038408     164       3000    SHARES                X                 2          0     0    3000
IMPERIAL OIL      COMMON
  LTD             STOCK     453038408     274       5000    SHARES                         X        1       5000     0       0
IMS HEALTH INC    COMMON
                  STOCK     449934108     305      13250    SHARES                X                 3      13250     0       0
IMS HEALTH INC    COMMON
  COM             STOCK     449934108     359      15577    SHARES                X                 1      15399     0     178
IMS HEALTH INC    COMMON
  COM             STOCK     449934108     104       4520    SHARES                         X        1       4220     0     300
INCYTE
  GENOMICS INC    COMMON
  COM             STOCK     45337C102       4        400    SHARES                X                 1        400     0       0
INDEVUS PHARM     COMMON
  INC             STOCK     454072109     617      88830    SHARES                X                 3      88830     0       0
INDEVUS
  PHARMACEUTICALS COMMON
  INC             STOCK     454072109      37       5395    SHARES                X                 1       4950     0     445
INDIA FUND        PREFERRED
                  STOCK     454089103      18        293    SHARES                X                 1       N.A.  N.A.    N.A.
INDYMAC           COMMON
  BANCORP INC     STOCK     456607100       1        200    SHARES                X                 1        200     0       0
INERGY            COMMON
  HOLDINGS LP     STOCK     45661Q107      39        900    SHARES                X                 2          0     0     900
INFORMATICA       COMMON
  CORP            STOCK     45666Q102     847      47000    SHARES                X                 3      47000     0       0
INFORMATICA       COMMON
  CORP COM        STOCK     45666Q102      51       2840    SHARES                X                 1       2600     0     240
INFOSYS
  TECHNOLOGIES    COMMON
  LTDSPON A       STOCK     456788108       9        200    SHARES                X                 1        200     0       0
ING GLOBAL
  EQUITY DIV &    PREFERRED
  PREM O          STOCK     45684E107      19       1150    SHARES                         X        1       N.A.  N.A.    N.A.
ING GROEP NV      COMMON
  SPONSORED ADR   STOCK     456837103      20        525    SHARES                X                 2          0     0     525
ING GROEP NV      COMMON
  SPONSORED ADR   STOCK     456837103      21        550    SHARES                         X        1        550     0       0
ING PRIME RATE    PREFERRED
  TR              STOCK     44977W106      19       3000    SHARES                X                 1       N.A.  N.A.    N.A.
INGERSOLL-RAND    COMMON
  CO              STOCK     G4776G101     153       3300    SHARES                X                 3       3300     0       0
INGERSOLL-RAND    COMMON
  COMPANY LTD-A   STOCK     G4776G101     346       7435    SHARES                X                 1       7295     0     140
INGERSOLL-RAND    COMMON
  COMPANY LTD-A   STOCK     G4776G101    8244     177410    SHARES                X                 2      55780     0  121630
INGERSOLL-RAND    COMMON
  COMPANY LTD-A   STOCK     G4776G101     418       8990    SHARES                         X        1       8990     0       0
INGRAM MICRO      COMMON
  INC CL A        STOCK     457153104       4        200    SHARES                         X        1        200     0       0
INSURED
  MUNICIPAL       PREFERRED
  INCOME FD       STOCK     45809F104      38       2964    SHARES                X                 2       N.A.  N.A.    N.A.
INTEGRA           COMMON
  LIFESCIENCE     STOCK     457985208     860      20500    SHARES                X                 3      20500     0       0
INTEGRA
  LIFESCIENCES    COMMON
  HOLDING         STOCK     457985208      51       1205    SHARES                X                 1       1100     0     105
INTEGRYS ENERGY   COMMON
                  STOCK     45822P105      31        600    SHARES                X                 3        600     0       0
INTEGRYS
  ENERGY GROUP    COMMON
  INC             STOCK     45822P105      36        700    SHARES                X                 1        700     0       0
INTEGRYS
  ENERGY GROUP    COMMON
  INC             STOCK     45822P105      18        350    SHARES                         X        1        350     0       0






                                                                                       SEC USE
                                                    -----------------------------------------------------------------------------
                                                                                    COLUMN 6                       COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                    ------------------------ ----------------------          --------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1             TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------       --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
INTEL CORP           COMMON
                     STOCK     458140100    6065     227491    SHARES                X                 3     222255     0    5236
INTEL CORP COM       COMMON
                     STOCK     458140100   17151     643326    SHARES                X                 1     632895     0   10431
INTEL CORP COM       COMMON
                     STOCK     458140100    1327      49763    SHARES                X                 2      39163     0   10600
INTEL CORP COM       COMMON
                     STOCK     458140100      11        400    SHARES                X                 4        400     0       0
INTEL CORP COM       COMMON
                     STOCK     458140100    6727     252341    SHARES                         X        1     216686     0   35655
INTERACTIVE          COMMON
  BROKERS            STOCK     45841N107    2224      68828    SHARES                X                 3      68828     0       0
INTERACTIVE
  BROKERS            COMMON
  GROUP INC-         STOCK     45841N107     134       4140    SHARES                X                 1       3800     0     340
INTERACTIVE
  INTELLIGENCE       COMMON
  INC                STOCK     45839M103       5        200    SHARES                X                 2          0     0     200

  INTERCONTINENTAL   COMMON
  EXCHANGE INC       STOCK     45865V100    2180      11324    SHARES                X                 1      11264     0      60

  INTERCONTINENTAL   COMMON
  EXCHANGE INC       STOCK     45865V100    2372      12320    SHARES                X                 3      12320     0       0

  INTERCONTINENTAL   COMMON
  HOTELS-ADR         STOCK     45857P301       3        167    SHARES                X                 1        167     0       0
INTERDIGITAL         COMMON
  INC                STOCK     45867G101      23       1000    SHARES                X                 1       1000     0       0
INTERDIGITAL         COMMON
  INC                STOCK     45867G101    3208     137500    SHARES                X                 2      18300     0  119200
INTERNATIONAL        COMMON
  GAME TECH COM      STOCK     459902102      54       1225    SHARES                X                 1       1225     0       0
INTERNATIONAL        COMMON
  GAME TECH COM      STOCK     459902102     132       3000    SHARES                         X        1       3000     0       0
INTERNATIONAL        COMMON
  PAPER              STOCK     460146103     237       7300    SHARES                X                 3       7300     0       0
INTERNATIONAL        COMMON
  PAPER CO COM       STOCK     460146103     497      15361    SHARES                X                 1      14611     0     750
INTERNATIONAL        COMMON
  PAPER CO COM       STOCK     460146103     241       7431    SHARES                         X        1       5195     0    2236
INTERNATIONAL
  RECTIFIER          COMMON
  CORP               STOCK     460254105     152       4475    SHARES                X                 1       4475     0       0
INTERNATIONAL
  RECTIFIER          COMMON
  CORP               STOCK     460254105      74       2175    SHARES                         X        1       2175     0       0
INTERNATIONAL
  SPEEDWAY           COMMON
  CORP CL            STOCK     460335201       5        125    SHARES                X                 1        125     0       0
INTERNATIONAL
  SPEEDWAY           COMMON
  CORP CL            STOCK     460335201       5        120    SHARES                         X        1        120     0       0
INTERNET
  INITIATIVE         COMMON
  JAPAN SP-A         STOCK     46059T109      11       1056    SHARES                X                 3       1056     0       0
INTERPUBLIC          COMMON
  GROUP              STOCK     460690100      32       3900    SHARES                X                 3       3900     0       0
INTL FLAVORS &       COMMON
  FRAGR              STOCK     459506101      34        700    SHARES                X                 3        700     0       0
INTL FLAVORS &
  FRAGRANCES         COMMON
  INC                STOCK     459506101      34        700    SHARES                X                 1        700     0       0
INTL GAME TECH       COMMON
                     STOCK     459902102     125       2850    SHARES                X                 3       2850     0       0
INTUIT               COMMON
                     STOCK     461202103     545      17250    SHARES                X                 3      17250     0       0
INTUIT INC COM       COMMON
                     STOCK     461202103     142       4500    SHARES                X                 1       4295     0     205
INTUIT INC COM       COMMON
                     STOCK     461202103      32       1000    SHARES                X                 2          0     0    1000
INTUIT INC COM       COMMON
                     STOCK     461202103      19        600    SHARES                         X        1        600     0       0
INTUITIVE            COMMON
  SURGIC INC         STOCK     46120E602    3060       9475    SHARES                X                 3       9200     0     275
INTUITIVE            COMMON
  SURGICAL INC       STOCK     46120E602    4284      13262    SHARES                X                 1      13063     0     199
INTUITIVE            COMMON
  SURGICAL INC       STOCK     46120E602      48        150    SHARES                X                 2          0     0     150
INTUITIVE            COMMON
  SURGICAL INC       STOCK     46120E602     194        600    SHARES                         X        1        600     0       0
INVACARE CORP        COMMON
  COM                STOCK     461203101       5        200    SHARES                         X        1        200     0       0
INVERNESS MED        COMMON
  INNOVA             STOCK     46126P106    1152      20500    SHARES                X                 3      20500     0       0
INVERNESS
  MEDICAL            COMMON
  INNOVATIONS        STOCK     46126P106      73       1305    SHARES                X                 1       1200     0     105
INVITROGEN CORP      COMMON
                     STOCK     46185R100     943      10100    SHARES                X                 3      10100     0       0
INVITROGEN           COMMON
  CORP COM           STOCK     46185R100     226       2417    SHARES                X                 1       2257     0     160
INVITROGEN           COMMON
  CORP COM           STOCK     46185R100      37        400    SHARES                         X        1          0     0     400
ION
  GEOPHYSICAL        COMMON
  CORP               STOCK     462044108    1152      73000    SHARES                X                 3      73000     0       0
IOWA
  TELECOMMUNICATIONS COMMON
  SERVIC             STOCK     462594201      35       2150    SHARES                X                 2          0     0    2150
IPATH MSCI
  INDIA INDEX        PREFERRED
  ETN                STOCK     06739F291     122       1250    SHARES                X                 2       N.A.  N.A.    N.A.
IRON MTN INC         COMMON
  PA COM             STOCK     462846106     278       7500    SHARES                X                 2          0     0    7500
ISHARES
  COHEN &
  STEERS RLTY        PREFERRED
  IN                 STOCK     464287564      36        450    SHARES                         X        1       N.A.  N.A.    N.A.
ISHARES DJ
  SELECT             PREFERRED
  DIVIDEND IND       STOCK     464287168     106       1650    SHARES                X                 1       N.A.  N.A.    N.A.
ISHARES DJ
  SELECT             PREFERRED
  DIVIDEND IND       STOCK     464287168      16        250    SHARES                         X        1       N.A.  N.A.    N.A.
ISHARES DJ US
  BASIC              PREFERRED
  MATERIALS          STOCK     464287838      48        625    SHARES                X                 1       N.A.  N.A.    N.A.
ISHARES DJ US
  BASIC              PREFERRED
  MATERIALS          STOCK     464287838      58        750    SHARES                         X        1       N.A.  N.A.    N.A.
ISHARES DJ US
  ENERGY             COMMON
  SECTOR ID          STOCK     464287796      14        100    SHARES                X                 2          0     0     100






                                                                                 SEC USE
                                               ---------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          ------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                              
ISHARES DJ US
  HEALTHCARE    COMMON
  SECTO         STOCK     464287762       7        100    SHARES                X                 2         0     0    100
ISHARES DJ US
  HOME          COMMON
  CONSTRUCT F   STOCK     464288752     544      30850    SHARES                X                 2         0     0  30850
ISHARES DJ US
  INDUSTRIAL    PREFERRED
  SEC I         STOCK     464287754       6         80    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES DJ US
  OIL EQUIP &   PREFERRED
  SV            STOCK     464288844     129       2000    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES DJ US
  REAL ESTATE   COMMON
  INDE          STOCK     464287739       7        100    SHARES                X                 2         0     0    100
ISHARES DJ US
  TECH SEC      COMMON
  INDEX F       STOCK     464287721    6606     105753    SHARES                X                 2     29823     0  75930
ISHARES DOW
  JONES US      PREFERRED
  FINL SECT     STOCK     464287788      72        765    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES DOW
  JONES US      PREFERRED
  FINL SECT     STOCK     464287788      26        275    SHARES                X                 2      N.A.  N.A.   N.A.
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      39        385    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES FTSE/
  XINHUA CHINA  PREFERRED
  25            STOCK     464287184    1108       6500    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES FTSE/
  XINHUA CHINA  PREFERRED
  25            STOCK     464287184      40        234    SHARES                         X        1      N.A.  N.A.   N.A.
ISHARES LEHMAN  PREFERRED
  UST INF PR S  STOCK     464287176     131       1235    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES MSCI
  AUSTRALIA     PREFERRED
  INDEX F       STOCK     464286103      12        415    SHARES                         X        1      N.A.  N.A.   N.A.
ISHARES MSCI
  BRAZIL INDEX  PREFERRED
  FUND          STOCK     464286400      97       1200    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES MSCI
  CANADA INDEX  PREFERRED
  FD            STOCK     464286509      48       1500    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES MSCI
  CANADA INDEX  PREFERRED
  FD            STOCK     464286509      12        365    SHARES                         X        1      N.A.  N.A.   N.A.
ISHARES MSCI    PREFERRED
  EAFE INDEX FD STOCK     464287465    1009      12857    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES MSCI    PREFERRED
  EAFE INDEX FD STOCK     464287465    4809      61265    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES MSCI    PREFERRED
  EAFE INDEX FD STOCK     464287465    1349      17180    SHARES                         X        1      N.A.  N.A.   N.A.
ISHARES MSCI
  EMERGING      PREFERRED
  MARKETS       STOCK     464287234     120        800    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES MSCI
  EMERGING      PREFERRED
  MARKETS       STOCK     464287234      30        200    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES MSCI
  EMERGING      PREFERRED
  MARKETS       STOCK     464287234     110        735    SHARES                         X        1      N.A.  N.A.   N.A.
ISHARES MSCI
  GERMANY       PREFERRED
  INDEX FD      STOCK     464286806      20        560    SHARES                         X        1      N.A.  N.A.   N.A.
ISHARES MSCI
  JAPAN INDEX   PREFERRED
  FD            STOCK     464286848     126       9500    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES MSCI
  PACIFIC       PREFERRED
  EX-JAPAN      STOCK     464286665     424       2750    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES MSCI
  SINGAPORE     COMMON
  INDEX F       STOCK     464286673       6        416    SHARES                X                 1       416     0      0
ISHARES MSCI
  SPAIN INDEX   COMMON
  FD            STOCK     464286764      48        750    SHARES                X                 2         0     0    750
ISHARES
  RUSSELL 1000  PREFERRED
  INDEX FD      STOCK     464287622    3196      40150    SHARES                         X        1      N.A.  N.A.   N.A.
ISHARES
  RUSSELL 1000  PREFERRED
  VALUE IND     STOCK     464287598      16        200    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES
  RUSSELL 2000  PREFERRED
  GRWTH FD      STOCK     464287648      75        900    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES
  RUSSELL 2000  PREFERRED
  INDEX FD      STOCK     464287655     547       7208    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES
  RUSSELL 2000  PREFERRED
  INDEX FD      STOCK     464287655      20        260    SHARES                         X        1      N.A.  N.A.   N.A.
ISHARES
  RUSSELL MID   PREFERRED
  CAP GROWTH    STOCK     464287481     136       1190    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES S&P
  100 INDEX     COMMON
  FUND          STOCK     464287101     141       2048    SHARES                X                 2         0     0   2048
ISHARES S&P
  500 BARRA     COMMON
  VALUE IN      STOCK     464287408     225       2950    SHARES                X                 1      2950     0      0
ISHARES S&P     PREFERRED
  500 INDEX FD  STOCK     464287200    2392      16300    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES S&P     PREFERRED
  500 INDEX FD  STOCK     464287200      22        150    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES S&P
  500/BARRA     PREFERRED
  GRWTH IN      STOCK     464287309     865      12385    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES S&P
  EUROPE 350    PREFERRED
  INDEX F       STOCK     464287861      69        600    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES S&P
  EUROPE 350    PREFERRED
  INDEX F       STOCK     464287861     172       1500    SHARES                         X        1      N.A.  N.A.   N.A.
ISHARES S&P
  GLOBAL        PREFERRED
  ENERGY SECT   STOCK     464287341     241       1700    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES S&P
  GSTI          PREFERRED
  TECHNOLOGY ID STOCK     464287549      21        350    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES S&P
  GSTI          PREFERRED
  TECHNOLOGY ID STOCK     464287549       5         85    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES S&P
  MIDCAP 400    PREFERRED
  BARRA G       STOCK     464287606     290       3255    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES S&P
  MIDCAP 400    PREFERRED
  BARRA G       STOCK     464287606     780       8750    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES S&P
  MIDCAP 400    PREFERRED
  INDEX F       STOCK     464287507      15        175    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES S&P
  MIDCAP        PREFERRED
  400/BARRA V   STOCK     464287705     232       2911    SHARES                X                 1      N.A.  N.A.   N.A.
ISHARES S&P
  MIDCAP        PREFERRED
  400/BARRA V   STOCK     464287705     327       4108    SHARES                X                 2      N.A.  N.A.   N.A.
ISHARES S&P
  MIDCAP        PREFERRED
  400/BARRA V   STOCK     464287705      40        500    SHARES                         X        1      N.A.  N.A.   N.A.
ISHARES S&P
  SMALLCAP 600  PREFERRED
  BARRA         STOCK     464287887      84        624    SHARES                X                 1      N.A.  N.A.   N.A.






                                                                                   SEC USE
                                                 ----------------------------------------------------------------------------
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
ISHARES S&P
  SMALLCAP 600    PREFERRED
  BARRA           STOCK     464287879      14        200    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P
  SMALLCAP 600    PREFERRED
  INDEX           STOCK     464287804     376       5790    SHARES                X                 1       N.A.  N.A.   N.A.
ISHARES S&P
  SMALLCAP 600    PREFERRED
  INDEX           STOCK     464287804      45        694    SHARES                X                 2       N.A.  N.A.   N.A.
ISHARES S&P
  SMALLCAP 600    PREFERRED
  INDEX           STOCK     464287804     398       6115    SHARES                         X        1       N.A.  N.A.   N.A.
ISHARES S&P
  TOPIX 150       COMMON
  INDEX           STOCK     464287382      17        150    SHARES                X                 2          0     0    150
ISHARES TR        COMMON
                  STOCK     464287655     987      13000    SHARES                X                 3      13000     0      0
ISHARES TR        RUSL 2000
                  GROW      464287648    1318      15800    SHARES                X                 3      15800     0      0
ISIS
  PHARMACEUTICALS COMMON
  COM             STOCK     464330109       6        350    SHARES                X                 1        350     0      0
ISTAR             COMMON
  FINANCIAL INC   STOCK     45031U101      65       2500    SHARES                X                 1       N.A.  N.A.   N.A.
ISTAR             COMMON
  FINANCIAL INC   STOCK     45031U101    5449     209195    SHARES                X                 2       N.A.  N.A.   N.A.
I-TRAX INC        COMMON
                  STOCK     45069D203       1        300    SHARES                X                 1        300     0      0
ITT CORP          COMMON
                  STOCK     450911102    1085      16424    SHARES                X                 1      16264     0    160
ITT CORP          COMMON
                  STOCK     450911102      55        840    SHARES                X                 2          0     0    840
ITT CORP          COMMON
                  STOCK     450911102     853      12905    SHARES                X                 3      12905     0      0
ITT CORP          COMMON
                  STOCK     450911102     173       2620    SHARES                         X        1       2620     0      0
ITT
  EDUCATIONAL
  SERVICES INC    COMMON
  C               STOCK     45068B109      17        194    SHARES                X                 3        194     0      0
JABIL CIRCUIT     COMMON
  INC             STOCK     466313103      44       2900    SHARES                X                 3       2900     0      0
JABIL CIRCUIT     COMMON
  INC             STOCK     466313103     112       7305    SHARES                X                 1       7305     0      0
JABIL CIRCUIT     COMMON
  INC             STOCK     466313103      36       2350    SHARES                         X        1       2350     0      0
JACOBS
  ENGINEERING     COMMON
  GROUP INC C     STOCK     469814107    1009      10550    SHARES                X                 1      10550     0      0
JACOBS
  ENGINEERING     COMMON
  GROUP INC C     STOCK     469814107     239       2500    SHARES                X                 2          0     0   2500
JACOBS
  ENGINEERING     COMMON
  GROUP INC C     STOCK     469814107     125       1307    SHARES                X                 3       1307     0      0
JACOBS
  ENGINEERING     COMMON
  GROUP INC C     STOCK     469814107     225       2350    SHARES                         X        1       2350     0      0
JANUS CAPITAL     COMMON
  GROUP           STOCK     47102X105      43       1300    SHARES                X                 3       1300     0      0
JDS UNIPHASE      COMMON
  CORP            STOCK     46612J507      24       1800    SHARES                X                 3       1800     0      0
JDS UNIPHASE      COMMON
  CORP            STOCK     46612J507       2        125    SHARES                X                 1        125     0      0
JDS UNIPHASE      COMMON
  CORP            STOCK     46612J507     250      18786    SHARES                X                 2      18475     0    311
JER INVESTORS
  TRUST INC       COMMON
  REIT            STOCK     46614H301    5603     520200    SHARES                X                 2       N.A.  N.A.   N.A.
JETBLUE
  AIRWAYS         COMMON
  CORPORATION     STOCK     477143101       1        100    SHARES                X                 1        100     0      0
JETBLUE
  AIRWAYS         COMMON
  CORPORATION     STOCK     477143101       5        843    SHARES                X                 2          0     0    843
JM SMUCKER CO     COMMON
                  STOCK     832696405     139       2703    SHARES                X                 1       2606     0     97
JM SMUCKER CO     COMMON
                  STOCK     832696405     337       6550    SHARES                         X        1       5952     0    598
JOHN HANCOCK
  BANK &          PREFERRED
  THRIFT OPP      STOCK     409735107      12       2000    SHARES                X                 1       N.A.  N.A.   N.A.
JOHN HANCOCK
  BANK &          PREFERRED
  THRIFT OPP      STOCK     409735107      10       1616    SHARES                X                 2       N.A.  N.A.   N.A.
JOHN HANCOCK
  PATR PREM       PREFERRED
  DIV FD          STOCK     41013T105      11       1123    SHARES                         X        1       N.A.  N.A.   N.A.
JOHN HANCOCK      PREFERRED
  PFD INC FD II   STOCK     41013X106      22       1150    SHARES                X                 1       N.A.  N.A.   N.A.
JOHN HANCOCK
  PFD INC FD      PREFERRED
  III             STOCK     41021P103       7        400    SHARES                X                 1       N.A.  N.A.   N.A.
JOHNSON &         COMMON
  JOHNSON         STOCK     478160104   34163     512185    SHARES                X                 1     505842     0   6343
JOHNSON &         COMMON
  JOHNSON         STOCK     478160104    8149     122171    SHARES                X                 2      25655     0  96516
JOHNSON &         COMMON
  JOHNSON         STOCK     478160104   10512     157593    SHARES                X                 3     157593     0      0
JOHNSON &         COMMON
  JOHNSON         STOCK     478160104      13        200    SHARES                X                 4        200     0      0
JOHNSON &         COMMON
  JOHNSON         STOCK     478160104   32788     491577    SHARES                         X        1     476627     0  14950
JOHNSON           COMMON
  CONTROLS INC    STOCK     478366107     181       5020    SHARES                X                 3       5020     0      0
JOHNSON
  CONTROLS INC    COMMON
  COM             STOCK     478366107     938      26020    SHARES                X                 1      26020     0      0
JOHNSON
  CONTROLS INC    COMMON
  COM             STOCK     478366107     244       6780    SHARES                         X        1       6780     0      0
JONES APPAREL     COMMON
  GROUP           STOCK     480074103      89       5600    SHARES                X                 3       5600     0      0
JOS A BANK        COMMON
  CLOTHIERS INC   STOCK     480838101      24        850    SHARES                X                 1        850     0      0
JOY GLOBAL INC    COMMON
                  STOCK     481165108    4533      68868    SHARES                X                 3      68868     0      0
JOY GLOBAL        COMMON
  INCORPORATED    STOCK     481165108    4951      75216    SHARES                X                 1      74791     0    425
JOY GLOBAL        COMMON
  INCORPORATED    STOCK     481165108     433       6575    SHARES                         X        1       6425     0    150
JPMORGAN          COMMON
  CHASE & CO      STOCK     46625H100   11155     255550    SHARES                X                 1     253224     0   2326






                                                                                    SEC USE
                                                 -----------------------------------------------------------------------------
                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
JPMORGAN CHASE    COMMON
  & CO            STOCK     46625H100   14569     333756    SHARES                X                 2      77842     0  255914
JPMORGAN          COMMON
  CHASE & CO      STOCK     46625H100    4456     102063    SHARES                X                 3      99696     0    2367
JPMORGAN          COMMON
  CHASE & CO      STOCK     46625H100    6442     147578    SHARES                         X        1     136182     0   11396
JUNIPER           COMMON
  NETWORKS COM    STOCK     48203R104     156       4680    SHARES                X                 3       4680     0       0
KADANT INC COM    COMMON
                  STOCK     48282T104      30       1000    SHARES                         X        1       1000     0       0
KAISER            COMMON
  ALUMINUM CORP   STOCK     483007704     948      11925    SHARES                X                 3      11925     0       0
KAISER
  ALUMINUM        COMMON
  CORPORATION     STOCK     483007704      58        729    SHARES                X                 1        667     0      62
KANSAS LIFE       COMMON
  INS CO COM      STOCK     484836101      65       1500    SHARES                X                 1       1500     0       0
KAYNE ANDERSON
  MLP             PREFERRED
  INVESTMENT      STOCK     486606106      75       2541    SHARES                         X        1       N.A.  N.A.    N.A.
KB HOME           COMMON
                  STOCK     48666K109      52       2400    SHARES                X                 3       2400     0       0
KBR INC           COMMON
                  STOCK     48242W106    1665      42900    SHARES                X                 3      42900     0       0
KBR INC           COMMON
                  STOCK     48242W106     101       2610    SHARES                X                 1       2400     0     210
KELLOGG CO        COMMON
                  STOCK     487836108     115       2200    SHARES                X                 3       2200     0       0
KELLOGG CO COM    COMMON
                  STOCK     487836108    1204      22956    SHARES                X                 1      22956     0       0
KELLOGG CO COM    COMMON
                  STOCK     487836108      42        800    SHARES                X                 2          0     0     800
KELLOGG CO COM    COMMON
                  STOCK     487836108    1122      21402    SHARES                         X        1      20305     0    1097
KENNAMETAL INC    COMMON
                  STOCK     489170100    1116      29489    SHARES                X                 1      28783     0     706
KENNAMETAL INC    COMMON
                  STOCK     489170100    1469      38773    SHARES                X                 3      37889     0     884
KENNAMETAL INC    COMMON
                  STOCK     489170100       9        250    SHARES                         X        1        250     0       0
KEYCORP           COMMON
                  STOCK     493267108     100       4300    SHARES                X                 3       4300     0       0
KEYCORP NEW COM   COMMON
                  STOCK     493267108     239      10190    SHARES                X                 1      10190     0       0
KEYCORP NEW COM   COMMON
                  STOCK     493267108     579      24700    SHARES                X                 2       6700     0   18000
KEYCORP NEW COM   COMMON
                  STOCK     493267108     100       4275    SHARES                         X        1       4275     0       0
KIMBERLY CLARK    COMMON
  CORP            STOCK     494368103    5439      78433    SHARES                X                 1      78433     0       0
KIMBERLY CLARK    COMMON
  CORP            STOCK     494368103     417       6012    SHARES                X                 2          0     0    6012
KIMBERLY CLARK    COMMON
  CORP            STOCK     494368103     276       3980    SHARES                X                 3       3700     0     280
KIMBERLY CLARK    COMMON
  CORP            STOCK     494368103       7        100    SHARES                X                 4        100     0       0
KIMBERLY CLARK    COMMON
  CORP            STOCK     494368103    4353      62781    SHARES                         X        1      56031     0    6750
KIMCO REALTY      COMMON
  CORP            STOCK     49446R109      76       2100    SHARES                X                 3       2100     0       0
KIMCO REALTY      COMMON
  CORP (REIT)     STOCK     49446R109     138       3800    SHARES                X                 2       N.A.  N.A.    N.A.
KINDER MORGAN
  ENERGY          COMMON
  PARTNERS        STOCK     494550106     153       2830    SHARES                X                 1       2830     0       0
KINDER MORGAN
  ENERGY          COMMON
  PARTNERS        STOCK     494550106    8539     158150    SHARES                X                 2      37350     0  120800
KINDER MORGAN
  ENERGY          COMMON
  PARTNERS        STOCK     494550106      53        975    SHARES                         X        1        975     0       0
KINDER MORGAN
  MANAGEMENT      COMMON
  LLC             STOCK     49455U100      85       1600    SHARES                X                 1       1600     0       0
KINDER MORGAN
  MANAGEMENT      COMMON
  LLC             STOCK     49455U100    5942     112237    SHARES                X                 2      29980     0   82257
KINETIC           COMMON
  CONCEPTS INC    STOCK     49460W208      19        350    SHARES                         X        1        350     0       0
KING              COMMON
  PHARMACEUTICALS STOCK     495582108      38       3711    SHARES                X                 3       3711     0       0
KING
  PHARMACEUTICALS COMMON
  INC COM         STOCK     495582108      11       1066    SHARES                X                 2          0     0    1066
KINROSS GOLD      COMMON
  CORPORATION     STOCK     496902404      26       1419    SHARES                X                 1       1419     0       0
KKR FINANCIAL     COMMON
  CORP REIT       STOCK     48248A306      84       6000    SHARES                X                 1       N.A.  N.A.    N.A.
KKR FINANCIAL     COMMON
  CORP REIT       STOCK     48248A306    9627     685218    SHARES                X                 2       N.A.  N.A.    N.A.
KLA TENCOR        COMMON
  CORP COM        STOCK     482480100      10        200    SHARES                X                 1        200     0       0
KLA-TENCOR CORP   COMMON
                  STOCK     482480100      77       1600    SHARES                X                 3       1600     0       0
KNIGHTSBRIDGE     COMMON
  TANKERS LTD     STOCK     G5299G106      12        500    SHARES                X                 1        500     0       0
KNOLOGY INC       COMMON
                  STOCK     499183804     328      25642    SHARES                X                 2          0     0   25642
KOHLS CORP        COMMON
                  STOCK     500255104     139       3035    SHARES                X                 3       3035     0       0
KOHLS CORP COM    COMMON
                  STOCK     500255104     209       4557    SHARES                X                 1       4457     0     100
KOHLS CORP COM    COMMON
                  STOCK     500255104     106       2310    SHARES                         X        1       2310     0       0
KONINKLIJKE
  PHILIPS ELEC    COMMON
  N V N           STOCK     500472303      20        465    SHARES                X                 1        465     0       0
KOREA ELECTRIC
  POWER CORP      COMMON
  SP A            STOCK     500631106       1         24    SHARES                X                 1         24     0       0
KORN/FERRY INTL   COMMON
                  STOCK     500643200      16        848    SHARES                X                 1        848     0       0






                                                                                   SEC USE
                                                -----------------------------------------------------------------------------
                                                                                COLUMN 6                       COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                ------------------------ ----------------------          --------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                
KRAFT FOODS INC  COMMON
                 STOCK     50075N104    3496     107122    SHARES                X                 3     103122     0    4000
KRAFT FOODS      COMMON
  INC CL A       STOCK     50075N104    8301     254389    SHARES                X                 1     251466     0    2923
KRAFT FOODS      COMMON
  INC CL A       STOCK     50075N104     291       8919    SHARES                X                 2          0     0    8919
KRAFT FOODS      COMMON
  INC CL A       STOCK     50075N104       3        100    SHARES                X                 4        100     0       0
KRAFT FOODS      COMMON
  INC CL A       STOCK     50075N104    3110      95319    SHARES                         X        1      90529     0    4790
KROGER CO        COMMON
                 STOCK     501044101     330      12344    SHARES                X                 1      12344     0       0
KROGER CO        COMMON
                 STOCK     501044101     180       6761    SHARES                X                 3       6761     0       0
KROGER CO        COMMON
                 STOCK     501044101      11        400    SHARES                X                 4        400     0       0
KROGER CO        COMMON
                 STOCK     501044101      17        650    SHARES                         X        1        150     0     500
K-SWISS INC CL   COMMON
  A              STOCK     482686102      10        552    SHARES                X                 1        552     0       0
KT CORPORATION   COMMON
  SP ADR         STOCK     48268K101       1         41    SHARES                X                 1         41     0       0
KUBOTA CORP-     COMMON
  SPONS ADR      STOCK     501173207       2         46    SHARES                X                 1         46     0       0
L 3
  COMMUNICATIONS COMMON
  CORP COM       STOCK     502424104      50        475    SHARES                X                 1        475     0       0
L 3
  COMMUNICATIONS COMMON
  CORP COM       STOCK     502424104      97        915    SHARES                         X        1        915     0       0
L-1 IDENTITY     COMMON
  SOLNS          STOCK     50212A106    1009      56200    SHARES                X                 3      56200     0       0
L-1 IDENTITY     COMMON
  SOLUTIONS      STOCK     50212A106      60       3370    SHARES                X                 1       3100     0     270
L-3              COMMON
  COMMUNICATIONS STOCK     502424104     111       1050    SHARES                X                 3       1050     0       0
LABORATORY       COMMON
  CORP AMER      STOCK     50540R409      76       1000    SHARES                X                 3       1000     0       0
LABORATORY CRP
  OF AMER        COMMON
  HLDGS C        STOCK     50540R409      10        130    SHARES                X                 1        130     0       0
LABORATORY CRP
  OF AMER        COMMON
  HLDGS C        STOCK     50540R409   13521     179012    SHARES                X                 2      44415     0  134597
LAM RESH CORP    COMMON
                 STOCK     512807108      16        367    SHARES                X                 1        367     0       0
LAM RESH CORP    COMMON
                 STOCK     512807108      17        396    SHARES                         X        1        396     0       0
LANCE INC        COMMON
                 STOCK     514606102      11        532    SHARES                X                 1        532     0       0
LANDSTAR         COMMON
  SYSTEMS INC    STOCK     515098101      28        667    SHARES                X                 3        667     0       0
LAS VEGAS        COMMON
  SANDS CORP     STOCK     517834107      31        300    SHARES                X                 1        300     0       0
LASERCARD CORP   COMMON
                 STOCK     51807U101       5        500    SHARES                X                 2          0     0     500
LAUDER ESTEE     COMMON
  CO CL A        STOCK     518439104    4820     110531    SHARES                X                 1     104208     0    6323
LAUDER ESTEE     COMMON
  CO CL A        STOCK     518439104     407       9335    SHARES                         X        1       6695     0    2640
LAW
  ENFORCEMENT
  ASSOCIATES     COMMON
  COR            STOCK     519485106       0        700    SHARES                X                 1        700     0       0
LAWSON SOFTWARE  COMMON
                 STOCK     52078P102    1570     153300    SHARES                X                 3     153300     0       0
LAWSON           COMMON
  SOFTWARE INC   STOCK     52078P102      95       9245    SHARES                X                 1       8500     0     745
LAZARD WORLD
  DIVIDEND &     PREFERRED
  INCOME         STOCK     521076109       9        460    SHARES                         X        1       N.A.  N.A.    N.A.
LEAR CORP        COMMON
                 STOCK     521865105      24        878    SHARES                X                 1        878     0       0
LEAR CORP        COMMON
                 STOCK     521865105      16        575    SHARES                         X        1        575     0       0
LEESPORT
  FINANCIAL      COMMON
  CORP           STOCK     524477106      39       2180    SHARES                X                 1       2180     0       0
LEGG MASON INC   COMMON
                 STOCK     524901105      80       1100    SHARES                X                 3       1100     0       0
LEGG MASON INC   COMMON
                 STOCK     524901105    1150      15720    SHARES                X                 1      15445     0     275
LEGG MASON INC   COMMON
                 STOCK     524901105      41        560    SHARES                X                 2          0     0     560
LEGG MASON INC   COMMON
                 STOCK     524901105     239       3263    SHARES                         X        1       3263     0       0
LEGGETT &        COMMON
  PLATT INC      STOCK     524660107     106       6100    SHARES                X                 3       6100     0       0
LEGGETT &        COMMON
  PLATT INC      STOCK     524660107     140       8000    SHARES                X                 1       8000     0       0
LEGGETT &        COMMON
  PLATT INC      STOCK     524660107       3        157    SHARES                         X        1        157     0       0
LEHMAN BROS      COMMON
  HLDGS          STOCK     524908100    2697      41211    SHARES                X                 3      38863     0    2348
LEHMAN
  BROTHERS       COMMON
  HOLDINGS INC   STOCK     524908100    6287      96068    SHARES                X                 1      94892     0    1176
LEHMAN
  BROTHERS       COMMON
  HOLDINGS INC   STOCK     524908100     738      11275    SHARES                         X        1      10275     0    1000
LENNAR CORP      COMMON
                 STOCK     526057104      20       1100    SHARES                X                 3       1100     0       0
LEUCADIA NATL    COMMON
  CORP           STOCK     527288104      66       1400    SHARES                X                 3       1400     0       0
LEVEL 3
  COMMUNICATIONS COMMON
  INC            STOCK     52729N100       2        500    SHARES                X                 1        500     0       0
LEVEL 3
  COMMUNICATIONS COMMON
  INCORPORATED   STOCK     52729N100     119      39000    SHARES                X                 2      39000     0       0
LEXINGTON        COMMON
  REALTY TRUST   STOCK     529043101      18       1257    SHARES                         X        1       N.A.  N.A.    N.A.
LEXMARK INTL     COMMON
                 STOCK     529771107      28        800    SHARES                X                 3        800     0       0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
LHC GROUP INC   COMMON
                STOCK     50187A107     537      21500    SHARES                X                 3      21500     0      0
LHC GROUP INC   COMMON
                STOCK     50187A107      33       1305    SHARES                X                 1       1200     0    105
LIBERTY GLOBAL  COMMON
  INC - CL A    STOCK     530555101       8        213    SHARES                X                 1        213     0      0
LIBERTY GLOBAL  COMMON
  INC - CL A    STOCK     530555101      82       2100    SHARES                         X        1       2100     0      0
LIBERTY GLOBAL  COMMON
  INC CL C      STOCK     530555309       8        216    SHARES                X                 1        216     0      0
LIBERTY GLOBAL  COMMON
  INC CL C      STOCK     530555309     124       3400    SHARES                         X        1       3400     0      0
LIBERTY GLOBAL  COMMON
  INC-CL B      STOCK     530555200      50       1300    SHARES                         X        1       1300     0      0
LIBERTY MEDIA
  HLDG CORP -   COMMON
  CAP           STOCK     53071M302     196       1684    SHARES                X                 1       1684     0      0
LIBERTY MEDIA
  HLDG CORP -   COMMON
  CAP           STOCK     53071M302     338       2900    SHARES                         X        1       2900     0      0
LIBERTY MEDIA
  HLDG CORP -   COMMON
  CAP           STOCK     53071M401     152       1300    SHARES                         X        1       1300     0      0
LIBERTY MEDIA
  HLDG CORP -   COMMON
  INTE          STOCK     53071M104     164       8620    SHARES                X                 1       8620     0      0
LIBERTY MEDIA
  HLDG CORP -   COMMON
  INTE          STOCK     53071M203     124       6500    SHARES                         X        1       6500     0      0
LIBERTY MEDIA
  HLDG CORP -   COMMON
  INTE          STOCK     53071M104     277      14500    SHARES                         X        1      14500     0      0
LIBERTY
  PROPERTY      COMMON
  TRUST (REIT)  STOCK     531172104      29       1000    SHARES                X                 2       N.A.  N.A.   N.A.
LIFECELL CORP   COMMON
                STOCK     531927101     858      19900    SHARES                X                 3      19900     0      0
LIFECELL CORP   COMMON
                STOCK     531927101      52       1200    SHARES                X                 1       1100     0    100
LILLY ELI & CO  COMMON
                STOCK     532457108    4853      90894    SHARES                X                 1      90239     0    655
LILLY ELI & CO  COMMON
                STOCK     532457108     432       8083    SHARES                X                 2          0     0   8083
LILLY ELI & CO  COMMON
                STOCK     532457108       5        100    SHARES                X                 4        100     0      0
LILLY ELI & CO  COMMON
                STOCK     532457108    5210      97575    SHARES                         X        1      95330  1600    645
LIMCO PIEDMONT  COMMON
  INC           STOCK     53261T109     951      76631    SHARES                X                 3      76631     0      0
LIMCO-          COMMON
  PIEDMONT INC  STOCK     53261T109      58       4685    SHARES                X                 1       4300     0    385
LIMITED BRANDS  COMMON
  INC           STOCK     532716107     169       8900    SHARES                X                 3       8900     0      0
LIMITED
  BRANDS, INC   COMMON
  COM           STOCK     532716107       4        200    SHARES                         X        1        200     0      0
LINCOLN         COMMON
  NATIONAL CORP STOCK     534187109    5656      97151    SHARES                X                 1      92566     0   4585
LINCOLN         COMMON
  NATIONAL CORP STOCK     534187109    3195      54874    SHARES                X                 2      18825     0  36049
LINCOLN         COMMON
  NATIONAL CORP STOCK     534187109    3426      58839    SHARES                X                 3      57513     0   1326
LINCOLN         COMMON
  NATIONAL CORP STOCK     534187109      12        200    SHARES                X                 4        200     0      0
LINCOLN         COMMON
  NATIONAL CORP STOCK     534187109     822      14117    SHARES                         X        1      14117     0      0
LINEAR          COMMON
  TECHNOLOGY    STOCK     535678106      67       2100    SHARES                X                 3       2100     0      0
LINEAR
  TECHNOLOGY    COMMON
  CORP COM      STOCK     535678106     282       8865    SHARES                X                 1       8115     0    750
LINEAR
  TECHNOLOGY    COMMON
  CORP COM      STOCK     535678106     100       3140    SHARES                         X        1       1350     0   1790
LIZ CLAIBORNE   COMMON
  INC           STOCK     539320101      17        840    SHARES                X                 3        840     0      0
LIZ CLAIBORNE   COMMON
  INC           STOCK     539320101      51       2527    SHARES                         X        1       2527     0      0
LJ
  INTERNATIONAL COMMON
  INC           STOCK     G55312105       2        400    SHARES                X                 1        400     0      0
LKQ CORP        COMMON
                STOCK     501889208    1290      61400    SHARES                X                 3      61400     0      0
LKQ CORPORATION COMMON
                STOCK     501889208      78       3710    SHARES                X                 1       3400     0    310
LMP CAPITAL &   PREFERRED
  INCOME FD     STOCK     50208A102      70       3900    SHARES                X                 1       N.A.  N.A.   N.A.
LOCKHEED        COMMON
  MARTIN CORP   STOCK     539830109    3290      31259    SHARES                X                 3      31259     0      0
LOCKHEED
  MARTIN
  CORPORATION   COMMON
  CO            STOCK     539830109   12948     123009    SHARES                X                 1     121259     0   1750
LOCKHEED
  MARTIN
  CORPORATION   COMMON
  CO            STOCK     539830109    1242      11798    SHARES                X                 2          0     0  11798
LOCKHEED
  MARTIN
  CORPORATION   COMMON
  CO            STOCK     539830109      11        100    SHARES                X                 4        100     0      0
LOCKHEED
  MARTIN
  CORPORATION   COMMON
  CO            STOCK     539830109    2729      25925    SHARES                         X        1      24550     0   1375
LOEWS CORP      COMMON
                STOCK     540424108     181       3600    SHARES                X                 3       3600     0      0
LOEWS CORP COM  COMMON
                STOCK     540424108     143       2834    SHARES                X                 1       2834     0      0
LOEWS CORP COM  COMMON
                STOCK     540424108     181       3600    SHARES                X                 2          0     0   3600
LOEWS CORP COM  COMMON
                STOCK     540424108      60       1200    SHARES                         X        1       1200     0      0
LOWES CO        COMMON
                STOCK     548661107    1412      62415    SHARES                X                 3      58889     0   3526
LOWES           COMMON
  COMPANIES INC STOCK     548661107    3654     161558    SHARES                X                 1     154547     0   7011
LOWES           COMMON
  COMPANIES INC STOCK     548661107     329      14549    SHARES                         X        1      12214     0   2335
LSI CORPORATION COMMON
                STOCK     502161102      32       6000    SHARES                X                 3       6000     0      0






                                                                                    SEC USE
                                                 -----------------------------------------------------------------------------
                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
LSI CORPORATION   COMMON
                  STOCK     502161102      12       2193    SHARES                X                 1        983     0    1210
LSI CORPORATION   COMMON
                  STOCK     502161102       3        510    SHARES                         X        1        502     0       8
LUBRIZOL CORP     COMMON
                  STOCK     549271104     949      17524    SHARES                         X        1      17524     0       0
LUFKIN INDS INC   COMMON
                  STOCK     549764108    1112      19400    SHARES                X                 3      19400     0       0
LUFKIN
  INDUSTRIES      COMMON
  INC             STOCK     549764108      68       1195    SHARES                X                 1       1100     0      95
LUMERA CORP       COMMON
                  STOCK     55024R106       3       1000    SHARES                X                 1       1000     0       0
LUMINEX CORP      COMMON
  DEL             STOCK     55027E102    1136      70000    SHARES                X                 3      70000     0       0
LUMINEX           COMMON
  CORPORATION     STOCK     55027E102      67       4140    SHARES                X                 1       3800     0     340
M & T BANK CORP   COMMON
                  STOCK     55261F104   47820     586244    SHARES                X                 1     579500     0    6744
M & T BANK CORP   COMMON
                  STOCK     55261F104      12        150    SHARES                X                 2          0     0     150
M & T BANK CORP   COMMON
                  STOCK     55261F104      68        830    SHARES                X                 3        830     0       0
M & T BANK CORP   COMMON
                  STOCK     55261F104   13516     165699    SHARES                         X        1      31215     0  134484
MACK CALI RLTY    COMMON
  CORP            STOCK     554489104       7        200    SHARES                X                 1       N.A.  N.A.    N.A.
MACY'S            COMMON
                  STOCK     55616P104     259      10021    SHARES                X                 2      10021     0       0
MACYS INC         COMMON
                  STOCK     55616P104    2051      79320    SHARES                X                 3      77911     0    1409
MACY'S INC        COMMON
                  STOCK     55616P104    1782      68870    SHARES                X                 1      68214     0     656
MACY'S INC        COMMON
                  STOCK     55616P104      40       1533    SHARES                         X        1        938     0     595
MAGELLAN
  MIDSTREAM       COMMON
  HOLDINGS        STOCK     55907R108      40       1500    SHARES                X                 2          0     0    1500
MAGELLAN
  MIDSTREAM       COMMON
  PARTNERS L.     STOCK     559080106    4050      93400    SHARES                X                 2      21900     0   71500
MAGNA INTL INC    COMMON
  CL A            STOCK     559222401      60        750    SHARES                         X        1        750     0       0
MAGUIRE
  PROPERTIES      COMMON
  INC             STOCK     559775101     118       4000    SHARES                X                 2       N.A.  N.A.    N.A.
MAINE &
  MARITIMES       COMMON
  CORP            STOCK     560377103      13        400    SHARES                X                 1        400     0       0
MANITOWOC CO      COMMON
  INC COM         STOCK     563571108       5        110    SHARES                X                 1        110     0       0
MANITOWOC CO      COMMON
  INC COM         STOCK     563571108      71       1460    SHARES                X                 3       1460     0       0
MANPOWER INC      COMMON
  WIS             STOCK     56418H100      85       1500    SHARES                X                 1       1500     0       0
MANPOWER INC      COMMON
  WIS             STOCK     56418H100      13        230    SHARES                X                 3        230     0       0
MANULIFE
  FINANCIAL       COMMON
  CORP            STOCK     56501R106    1484      36405    SHARES                X                 1      36405     0       0
MANULIFE
  FINANCIAL       COMMON
  CORP            STOCK     56501R106    1043      25600    SHARES                X                 2          0     0   25600
MANULIFE
  FINANCIAL       COMMON
  CORP            STOCK     56501R106      57       1404    SHARES                         X        1       1404     0       0
MARATHON OIL      COMMON
  CORP            STOCK     565849106    1620      26619    SHARES                X                 1      26619     0       0
MARATHON OIL      COMMON
  CORP            STOCK     565849106      40        660    SHARES                X                 2          0     0     660
MARATHON OIL      COMMON
  CORP            STOCK     565849106    1110      18277    SHARES                X                 3      18277     0       0
MARATHON OIL      COMMON
  CORP            STOCK     565849106      49        800    SHARES                X                 4        800     0       0
MARATHON OIL      COMMON
  CORP            STOCK     565849106     332       5460    SHARES                         X        1       5460     0       0
MARINER ENERGY    COMMON
  INC             STOCK     56845T305       9        404    SHARES                X                 1        404     0       0
MARKEL CORP COM   COMMON
                  STOCK     570535104    5070      10325    SHARES                X                 2       1585     0    8740
MARKET VECTORS    COMMON
                  STOCK     57060U605    1086      18900    SHARES                X                 3      18900     0       0
MARKET VECTORS    PREFERRED
  GOLD MINERS     STOCK     57060U100       5        115    SHARES                X                 1       N.A.  N.A.    N.A.
MARKET VECTORS    PREFERRED
  GOLD MINERS     STOCK     57060U100       5        100    SHARES                         X        1       N.A.  N.A.    N.A.
MARKWEST
  ENERGY          COMMON
  PARTNERS LP     STOCK     570759100      37       1100    SHARES                X                 2          0     0    1100
MARRIOTT INTL     COMMON
  INC             STOCK     571903202     117       3400    SHARES                X                 3       3400     0       0
MARRIOTT INTL     COMMON
  INC CL A        STOCK     571903202     117       3413    SHARES                X                 1       3413     0       0
MARRIOTT INTL     COMMON
  INC CL A        STOCK     571903202     767      22440    SHARES                X                 2          0     0   22440
MARRIOTT INTL     COMMON
  INC CL A        STOCK     571903202      21        600    SHARES                         X        1        600     0       0
MARSH &           COMMON
  MCLENNAN COS    STOCK     571748102     124       4680    SHARES                X                 3       4680     0       0
MARSH &
  MCLENNAN COS    COMMON
  INC COM         STOCK     571748102      64       2400    SHARES                X                 1       2400     0       0
MARSH &
  MCLENNAN COS    COMMON
  INC COM         STOCK     571748102      26       1000    SHARES                X                 2          0     0    1000
MARSH &
  MCLENNAN COS    COMMON
  INC COM         STOCK     571748102      81       3075    SHARES                         X        1       3075     0       0

  MARSHALL&ILSLEY COMMON
  NEW             STOCK     571837103     148       5598    SHARES                X                 3       5598     0       0
MARTEK            COMMON
  BIOSCIENCES     STOCK     572901106     349      11800    SHARES                X                 3      11800     0       0
MARTEK
  BIOSCIENCES     COMMON
  CORP            STOCK     572901106      84       2823    SHARES                X                 1       2643     0     180






                                                                                  SEC USE
                                                ---------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          ------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                               
MARTIN
  MARIETTA       COMMON
  MATERIALS INC  STOCK     573284106      66        500    SHARES                X                 2         0     0    500
MARTIN
  MARIETTA       COMMON
  MATERIALS INC  STOCK     573284106       6         44    SHARES                X                 3        44     0      0
MARVEL
  ENTERTAINMENT  COMMON
  INC            STOCK     57383T103      73       2725    SHARES                X                 1      2500     0    225
MARVEL ENTMT     COMMON
                 STOCK     57383T103    1216      45500    SHARES                X                 3     45500     0      0
MARVEL
  TECHNOLOGY     COMMON
  GROUP LTD      STOCK     G5876H105      10        750    SHARES                X                 1       750     0      0
MASCO CORP       COMMON
                 STOCK     574599106     158       7300    SHARES                X                 3      7300     0      0
MASCO CORP       COMMON
                 STOCK     574599106     759      35136    SHARES                X                 1     35136     0      0
MASCO CORP       COMMON
                 STOCK     574599106     376      17418    SHARES                         X        1     17418     0      0
MASSEY ENERGY    COMMON
  CO COM         STOCK     576206106      28        773    SHARES                X                 1       773     0      0
MASSEY ENERGY    COMMON
  CO COM         STOCK     576206106      54       1500    SHARES                         X        1      1500     0      0
MASTERCARD INC   COMMON
  CL A           STOCK     57636Q104      32        150    SHARES                X                 2         0     0    150
MATERIALS
  SELECT         PREFERRED
  SECTOR SPDR    STOCK     81369Y100      32        765    SHARES                X                 1      N.A.  N.A.   N.A.
MATTEL INC       COMMON
                 STOCK     577081102      63       3300    SHARES                X                 3      3300     0      0
MATTEL INC       COMMON
                 STOCK     577081102       8        400    SHARES                X                 1       400     0      0
MATTEL INC       COMMON
                 STOCK     577081102      85       4469    SHARES                         X        1      4469     0      0
MAX CAPITAL      COMMON
  GROUP LTD      STOCK     G6052F103       5        165    SHARES                X                 1       165     0      0
MAXIM
  INTEGRATED     COMMON
  PRODS INC COM  STOCK     57772K101      35       1335    SHARES                X                 1      1335     0      0
MBIA INC         COMMON
                 STOCK     55262C100      19       1000    SHARES                X                 3      1000     0      0
MBIA INC COM     COMMON
                 STOCK     55262C100       2        100    SHARES                X                 1       100     0      0
MC GRAW HILL     COMMON
  COMPANIES INC  STOCK     580645109     564      12876    SHARES                X                 1     12876     0      0
MC GRAW HILL     COMMON
  COMPANIES INC  STOCK     580645109     144       3276    SHARES                X                 3      3046     0    230
MC GRAW HILL     COMMON
  COMPANIES INC  STOCK     580645109    1274      29080    SHARES                         X        1     23880     0   5200
MCAFEE INC       COMMON
                 STOCK     579064106     177       4726    SHARES                X                 1      4410     0    316
MCAFEE INC       COMMON
                 STOCK     579064106     786      20941    SHARES                X                 3     20941     0      0
MCCORMICK & CO   COMMON
  INC            STOCK     579780206     159       4200    SHARES                X                 3      4200     0      0
MCCORMICK & CO   COMMON
  INC            STOCK     579780107       2         50    SHARES                X                 3        50     0      0
MCCORMICK &
  CO-NON VTG     COMMON
  SHS            STOCK     579780206    2318      61155    SHARES                X                 1     59980     0   1175
MCCORMICK &
  CO-NON VTG     COMMON
  SHS            STOCK     579780206     579      15270    SHARES                         X        1     11975     0   3295
MCDERMOTT INTL   COMMON
  INC            STOCK     580037109    4069      68939    SHARES                X                 1     66989     0   1950
MCDERMOTT INTL   COMMON
  INC            STOCK     580037109    5596      94809    SHARES                X                 3     93019     0   1790
MCDERMOTT INTL   COMMON
  INC            STOCK     580037109     155       2625    SHARES                         X        1       925     0   1700
MCDONALDS CORP   COMMON
                 STOCK     580135101    1212      20585    SHARES                X                 3     20289     0    296
MCDONALD'S       COMMON
  CORPORATION    STOCK     580135101    4173      70835    SHARES                X                 1     70085     0    750
MCDONALD'S       COMMON
  CORPORATION    STOCK     580135101     253       4300    SHARES                X                 2         0     0   4300
MCDONALD'S       COMMON
  CORPORATION    STOCK     580135101      18        300    SHARES                X                 4       300     0      0
MCDONALD'S       COMMON
  CORPORATION    STOCK     580135101    2092      35520    SHARES                         X        1     28660     0   6860
MCKESSON CORP    COMMON
                 STOCK     58155Q103     259       3961    SHARES                X                 3      2861     0   1100
MCKESSON
  CORPORATION    COMMON
  COM            STOCK     58155Q103      58        884    SHARES                X                 1       394     0    490
MCKESSON
  CORPORATION    COMMON
  COM            STOCK     58155Q103      13        200    SHARES                         X        1       200     0      0
MCMORAN
  EXPLORATION    COMMON
  CO             STOCK     582411104       2        125    SHARES                X                 1       125     0      0
MEADOW VALLEY    COMMON
  CORPORATION    STOCK     583185103     283      22220    SHARES                X                 2         0     0  22220
MEADWESTVACO     COMMON
  CORP           STOCK     583334107      50       1600    SHARES                X                 3      1600     0      0
MEADWESTVACO     COMMON
  CORP           STOCK     583334107      15        489    SHARES                X                 1       489     0      0
MEDCO HEALTH     COMMON
  SOL            STOCK     58405U102     272       2689    SHARES                X                 3      2689     0      0
MEDCO HEALTH     COMMON
  SOLUTIONS INC  STOCK     58405U102    1330      13119    SHARES                X                 1     13119     0      0
MEDCO HEALTH     COMMON
  SOLUTIONS INC  STOCK     58405U102     122       1206    SHARES                X                 2         0     0   1206
MEDCO HEALTH     COMMON
  SOLUTIONS INC  STOCK     58405U102       2         24    SHARES                X                 4        24     0      0
MEDCO HEALTH     COMMON
  SOLUTIONS INC  STOCK     58405U102    1959      19323    SHARES                         X        1     16874     0   2449
MEDICINES CO     COMMON
                 STOCK     584688105    1090      56900    SHARES                X                 3     56900     0      0
MEDICIS          COMMON
  PHARMACEUTCL   STOCK     584690309     667      25700    SHARES                X                 3     25700     0      0
MEDICIS
  PHARMACEUTICAL COMMON
  CORP CL        STOCK     584690309      42       1635    SHARES                X                 1      1500     0    135






                                                                                  SEC USE
                                               -----------------------------------------------------------------------------
                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                               
MEDTRONIC INC   COMMON
                STOCK     585055106    5034     100145    SHARES                X                 1      98245     0    1900
MEDTRONIC INC   COMMON
                STOCK     585055106   21228     422273    SHARES                X                 2     142075     0  280198
MEDTRONIC INC   COMMON
                STOCK     585055106    1408      28025    SHARES                X                 3      28025     0       0
MEDTRONIC INC   COMMON
                STOCK     585055106    3243      64512    SHARES                         X        1      59397     0    5115
MEMC ELECTR     COMMON
  MATLS         STOCK     552715104     827       9350    SHARES                X                 3       9350     0       0
MEMC
  ELECTRONIC    COMMON
  MATERIALS INC STOCK     552715104     253       2857    SHARES                X                 1       2747     0     110
MEMRY CORP      COMMON
                STOCK     586263204       0        350    SHARES                X                 1        350     0       0
MENTOR CORP     COMMON
  MINN COM      STOCK     587188103      16        400    SHARES                         X        1        400     0       0
MERCADOLIBRE    COMMON
  INC           STOCK     58733R102    1475      19970    SHARES                X                 3      19970     0       0
MERCADOLIBRE    COMMON
  INC           STOCK     58733R102      89       1205    SHARES                X                 1       1110     0      95
MERCK & CO INC  COMMON
                STOCK     589331107    1811      31147    SHARES                X                 3      31147     0       0
MERCK & CO INC  COMMON
  COM           STOCK     589331107   11388     195976    SHARES                X                 1     195976     0       0
MERCK & CO INC  COMMON
  COM           STOCK     589331107     931      16028    SHARES                X                 2          0     0   16028
MERCK & CO INC  COMMON
  COM           STOCK     589331107      12        200    SHARES                X                 4        200     0       0
MERCK & CO INC  COMMON
  COM           STOCK     589331107    9363     161120    SHARES                         X        1     137965     0   23155
MERCURY         COMMON
  GENERAL CORP  STOCK     589400100     134       2700    SHARES                X                 3       2700     0       0
MEREDITH CORP   COMMON
                STOCK     589433101      20        360    SHARES                X                 3        360     0       0
MEREDITH CORP   COMMON
  COM           STOCK     589433101      23        422    SHARES                X                 1        422     0       0
MERIDIAN GOLD   COMMON
  INCORPORATED  STOCK     589975101       7        200    SHARES                X                 1        200     0       0
MERRILL         COMMON
  LYNCH & CO    STOCK     590188108    1182      22032    SHARES                X                 3      21202     0     830
MERRILL
  LYNCH & CO    COMMON
  INC           STOCK     590188108    1530      28507    SHARES                X                 1      27779     0     728
MERRILL
  LYNCH & CO    COMMON
  INC           STOCK     590188108    1534      28566    SHARES                X                 2       6366     0   22200
MERRILL
  LYNCH & CO    COMMON
  INC           STOCK     590188108       5        100    SHARES                X                 4        100     0       0
MERRILL
  LYNCH & CO    COMMON
  INC           STOCK     590188108    1129      21031    SHARES                         X        1      20016     0    1015
MESA
  LABORATORIES  COMMON
  INC COM       STOCK     59064R109      25       1000    SHARES                X                 1       1000     0       0
METABOLIX INC   COMMON
                STOCK     591018809       2        100    SHARES                X                 1        100     0       0
METAVANTE HLDG  COMMON
  CO            STOCK     591407101       2        100    SHARES                X                 3        100     0       0
METHANEX        COMMON
  CORPORATION   STOCK     59151K108      24        884    SHARES                X                 1        884     0       0
METLIFE CAP TR  COMMON
  I             STOCK     59156R108      87       1416    SHARES                X                 1       1416     0       0
METLIFE CAP TR  COMMON
  I             STOCK     59156R108      22        350    SHARES                X                 2          0     0     350
METLIFE CAP TR  COMMON
  I             STOCK     59156R108      63       1021    SHARES                         X        1       1021     0       0
METLIFE INC     COMMON
                STOCK     59156R108     407       6600    SHARES                X                 3       6600     0       0
MF GLOBAL       COMMON
  LIMITED       STOCK     G60642108     103       3260    SHARES                X                 1       3000     0     260
MF GLOBAL LTD   COMMON
                STOCK     G60642108    1656      52600    SHARES                X                 3      52600     0       0
MFS SPECIAL     PREFERRED
  VALUE TRUST   STOCK     55274E102      16       2125    SHARES                         X        1       N.A.  N.A.    N.A.
MGI PHARMA INC  COMMON
                STOCK     552880106    1098      27100    SHARES                X                 3      27100     0       0
MGI PHARMA INC  COMMON
  COM           STOCK     552880106      71       1750    SHARES                X                 1       1600     0     150
MGI PHARMA INC  COMMON
  COM           STOCK     552880106     243       6000    SHARES                X                 2          0     0    6000
MGIC INVT CORP  COMMON
                STOCK     552848103      16        700    SHARES                X                 3        700     0       0
MICROCHIP       COMMON
  TECHNOLOGY    STOCK     595017104     474      15100    SHARES                X                 3      15100     0       0
MICROCHIP
  TECHNOLOGY    COMMON
  INC COM       STOCK     595017104     199       6335    SHARES                X                 1       6140     0     195
MICRON          COMMON
  TECHNOLOGY    STOCK     595112103      51       7100    SHARES                X                 3       7100     0       0
MICRON
  TECHNOLOGY    COMMON
  INC COM       STOCK     595112103       3        400    SHARES                X                 1        400     0       0
MICRON
  TECHNOLOGY    COMMON
  INC COM       STOCK     595112103       2        300    SHARES                         X        1        300     0       0
MICROS SYSTEMS  COMMON
  INC           STOCK     594901100    1305      18600    SHARES                X                 3      18600     0       0
MICROS SYSTEMS  COMMON
  INC           STOCK     594901100      76       1085    SHARES                X                 1       1000     0      85
MICROS SYSTEMS  COMMON
  INC           STOCK     594901100     849      12100    SHARES                         X        1      12100     0       0
MICROSEMI CORP  COMMON
                STOCK     595137100    1470      66400    SHARES                X                 3      66400     0       0
MICROSEMI CORP  COMMON
                STOCK     595137100      89       4025    SHARES                X                 1       3700     0     325
MICROSOFT CORP  COMMON
                STOCK     594918104   30983     870295    SHARES                X                 1     850061     0   20234
MICROSOFT CORP  COMMON
                STOCK     594918104    1828      51342    SHARES                X                 2      43732     0    7610






                                                                                   SEC USE
                                                 ----------------------------------------------------------------------------
                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
MICROSOFT CORP    COMMON
                  STOCK     594918104   15579     437626    SHARES                X                 3     428751     0   8875
MICROSOFT CORP    COMMON
                  STOCK     594918104      39       1100    SHARES                X                 4       1100     0      0
MICROSOFT CORP    COMMON
                  STOCK     594918104    8520     239321    SHARES                         X        1     209000     0  30321
MICROSTRATEGY     COMMON
  INC             STOCK     594972408       3         27    SHARES                X                 2          0     0     27
MID PENN
  BANCORP         COMMON
  INCORPORATED    STOCK     59540G107      31       1157    SHARES                X                 1       1157     0      0
MID-AMERICA
  APARTMENT       COMMON
  COMMUNIT        STOCK     59522J103      64       1500    SHARES                X                 2       N.A.  N.A.   N.A.
MIDCAP SPDR
  TRUST SERIES    COMMON
  1 S&P           STOCK     595635103    1762      11362    SHARES                X                 1      11362     0      0
MIDCAP SPDR
  TRUST SERIES    COMMON
  1 S&P           STOCK     595635103     206       1325    SHARES                X                 2          0     0   1325
MIDCAP SPDR
  TRUST SERIES    COMMON
  1 S&P           STOCK     595635103      50        325    SHARES                X                 3        325     0      0
MIDCAP SPDR
  TRUST SERIES    COMMON
  1 S&P           STOCK     595635103    2639      17013    SHARES                         X        1      17013     0      0
MILLENNIUM
  PHARMACEUTICALS COMMON
  COM             STOCK     599902103      16       1072    SHARES                X                 2          0     0   1072
MILLIPORE CORP    COMMON
                  STOCK     601073109      31        430    SHARES                X                 3        430     0      0
MINDSPEED
  TECHNOLOGIES    COMMON
  INC             STOCK     602682106       0        240    SHARES                         X        1        240     0      0
MINE SAFETY       COMMON
  APPLIANCES CO   STOCK     602720104      34        650    SHARES                X                 1        650     0      0
MINERAL TECH      COMMON
  INC COM         STOCK     603158106       7        100    SHARES                X                 1        100     0      0
MIRANT CORP       COMMON
                  STOCK     60467R100       0          8    SHARES                         X        1          8     0      0
MIRANT CORP-W/    COMMON
  I-CW11 1        STOCK     60467R118       0         23    SHARES                X                 1         23     0      0
MIRANT CORP-W/    COMMON
  I-CW11 1        STOCK     60467R118       1         32    SHARES                         X        1         32     0      0
MITCHAM INDS      COMMON
  INC             STOCK     606501104    1176      57200    SHARES                X                 3      57200     0      0
MITCHAM
  INDUSTRIES      COMMON
  INC             STOCK     606501104      72       3480    SHARES                X                 1       3200     0    280
MITSUBISHI UFJ
  FINANCIAL       COMMON
  GRP-A           STOCK     606822104       3        302    SHARES                X                 1        302     0      0
ML MACADAMIA      COMMON
  ORCHARDS        STOCK     55307U107       0        100    SHARES                         X        1        100     0      0
MOHAWK
  INDUSTRIES      COMMON
  INC COM         STOCK     608190104      52        700    SHARES                X                 1        700     0      0
MOLEX INC         COMMON
                  STOCK     608554101     110       4050    SHARES                X                 3       4050     0      0
MOLEX INC         COMMON
                  STOCK     608554101     104       3812    SHARES                X                 1       3812     0      0
MOLSON COORS      COMMON
  BREWING         STOCK     60871R209      65       1250    SHARES                X                 3       1250     0      0
MOLSON COORS
  BREWING         COMMON
  COMPANY         STOCK     60871R209      31        600    SHARES                         X        1        600     0      0
MONARCH
  CASINO &        COMMON
  RESORT INC      STOCK     609027107      63       2619    SHARES                X                 1       2619     0      0
MONARCH           COMMON
  CASINO&RES      STOCK     609027107    1131      47000    SHARES                X                 3      47000     0      0
MONOGRAM
  BIOSCIENCES     COMMON
  INC             STOCK     60975U108       7       5000    SHARES                X                 2          0     0   5000
MONSANTO CO       COMMON
                  STOCK     61166W101     575       5149    SHARES                X                 3       5149     0      0
MONSANTO          COMMON
  COMPANY         STOCK     61166W101     389       3486    SHARES                X                 1       2204     0   1282
MONSANTO          COMMON
  COMPANY         STOCK     61166W101    1279      11454    SHARES                         X        1      11454     0      0
MONSTER           COMMON
  WORLDWIDE       STOCK     611742107      36       1100    SHARES                X                 3       1100     0      0
MONSTER
  WORLDWIDE       COMMON
  INCORPORATED    STOCK     611742107       4        125    SHARES                X                 1        125     0      0
MONTGOMERY ST
  INCOME SECS     PREFERRED
  INC             STOCK     614115103      91       5653    SHARES                X                 1       N.A.  N.A.   N.A.
MOODYS CORP       COMMON
                  STOCK     615369105     328       9200    SHARES                X                 3       9200     0      0
MOODYS CORP       COMMON
                  STOCK     615369105     316       8844    SHARES                X                 1       7494     0   1350
MOODYS CORP       COMMON
                  STOCK     615369105     236       6600    SHARES                         X        1       6600     0      0
MOOG INC CL A     COMMON
                  STOCK     615394202       3         75    SHARES                X                 1         75     0      0
MORGAN STAN
  DEAN QUALITY    PREFERRED
  MUN I           STOCK     61745P734      18       1413    SHARES                         X        1       N.A.  N.A.   N.A.
MORGAN STANLEY    COMMON
                  STOCK     617446448    3194      60156    SHARES                X                 3      57969     0   2187
MORGAN STANLEY
  EMERGING        PREFERRED
  MKTS D          STOCK     61744H105       5        500    SHARES                X                 1       N.A.  N.A.   N.A.
MORGAN STANLEY    COMMON
  GROUP INC       STOCK     617446448    5829     109747    SHARES                X                 1     106623     0   3124
MORGAN STANLEY    COMMON
  GROUP INC       STOCK     617446448       5        100    SHARES                X                 4        100     0      0
MORGAN STANLEY    COMMON
  GROUP INC       STOCK     617446448    1483      27920    SHARES                         X        1      27258     0    662
MORGAN STANLEY
  HIGH YLD FD     PREFERRED
  INC             STOCK     61744M104       2        300    SHARES                X                 1       N.A.  N.A.   N.A.
MORGAN STANLEY
  INSD MUNI       PREFERRED
  INCOM           STOCK     61745P791      38       2814    SHARES                         X        1       N.A.  N.A.   N.A.
MORGAN STANLEY
  QUALITY MUNI    PREFERRED
  IN              STOCK     61745P668      15       1156    SHARES                X                 1       N.A.  N.A.   N.A.
MORGAN STANLEY
  QUALITY MUNI    PREFERRED
  IN              STOCK     61745P668      22       1708    SHARES                         X        1       N.A.  N.A.   N.A.
MOTOROLA INC      COMMON
                  STOCK     620076109    1890     117859    SHARES                X                 1     117859     0      0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                 COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
MOTOROLA INC      COMMON
                  STOCK   620076109     337      21000    SHARES                X                 2          0     0  21000
MOTOROLA INC      COMMON
                  STOCK   620076109    1252      78058    SHARES                X                 3      78058     0      0
MOTOROLA INC      COMMON
                  STOCK   620076109       2        150    SHARES                X                 4        150     0      0
MOTOROLA INC      COMMON
                  STOCK   620076109     870      54245    SHARES                         X        1      54245     0      0
MRV
  COMMUNICATIONS  COMMON
  INC             STOCK   553477100       1        645    SHARES                X                 2          0     0    645
MUNICIPAL         COMMON
  MTG & EQ LLC    STOCK   62624B101       7        500    SHARES                X                 1        500     0      0
MUNICIPAL         COMMON
  MTG & EQ LLC    STOCK   62624B101      15       1000    SHARES                         X        1       1000     0      0
MURPHY OIL CORP   COMMON
                  STOCK   626717102     136       1600    SHARES                X                 3       1600     0      0
MURPHY OIL CORP   COMMON
                  STOCK   626717102      76        900    SHARES                X                 1        900     0      0
MURPHY OIL CORP   COMMON
                  STOCK   626717102      68        800    SHARES                X                 2          0     0    800
MURPHY OIL CORP   COMMON
                  STOCK   626717102     127       1500    SHARES                         X        1       1500     0      0
MYLAN INC         COMMON
                  STOCK   628530107      41       2900    SHARES                X                 3       2900     0      0
MYLAN INC         COMMON
                  STOCK   628530107      11        800    SHARES                X                 1        800     0      0
MYRIAD            COMMON
  GENETICS INC    STOCK   62855J104     831      17900    SHARES                X                 3      17900     0      0
MYRIAD
  GENETICS INC    COMMON
  COM             STOCK   62855J104      62       1345    SHARES                X                 1       1250     0     95
N J RES CORP      COMMON
                  STOCK   646025106      30        600    SHARES                X                 1        600     0      0
NABORS INDS LTD   COMMON
                  STOCK   G6359F103     619      22562    SHARES                X                 3      22562     0      0
NABORS
  INDUSTRIES      COMMON
  LTD             STOCK   G6359F103    1946      71059    SHARES                X                 1      70565     0    494
NABORS
  INDUSTRIES      COMMON
  LTD             STOCK   G6359F103     674      24605    SHARES                         X        1      24605     0      0
NASDAQ STK MKT    COMMON
                  STOCK   631103108    1643      33200    SHARES                X                 3      33200     0      0
NASDAQ STOCK      COMMON
  MARKET INC      STOCK   631103108      97       1960    SHARES                X                 1       1800     0    160
NATIONAL BANK     COMMON
  OF GREECE ADR   STOCK   633643408      80       5775    SHARES                X                 1       5775     0      0
NATIONAL BANK     COMMON
  OF GREECE ADR   STOCK   633643408       4        325    SHARES                         X        1        325     0      0
NATIONAL CITY     COMMON
  CORP            STOCK   635405103     100       6100    SHARES                X                 3       5300     0    800
NATIONAL CITY     COMMON
  CORP COM        STOCK   635405103     495      30101    SHARES                X                 1      30101     0      0
NATIONAL CITY     COMMON
  CORP COM        STOCK   635405103      11        648    SHARES                         X        1        648     0      0
NATIONAL          COMMON
  OILWELL VAR     STOCK   637071101     259       3532    SHARES                X                 3       3532     0      0
NATIONAL PENN
  BANCSHARES      COMMON
  INC             STOCK   637138108     127       8356    SHARES                X                 1       8356     0      0
NATIONAL PENN
  BANCSHARES      COMMON
  INC             STOCK   637138108     107       7041    SHARES                         X        1       7041     0      0
NATIONAL
  RETAIL
  PROPERTIES      COMMON
  INC             STOCK   637417106      16        700    SHARES                         X        1       N.A.  N.A.   N.A.
NATIONAL          COMMON
  SEMICONDUCT     STOCK   637640103      49       2170    SHARES                X                 3       2170     0      0
NATIONAL
  SEMICONDUCTOR   COMMON
  CORP CO         STOCK   637640103      53       2350    SHARES                X                 1       2350     0      0
NATIONAL
  SEMICONDUCTOR   COMMON
  CORP CO         STOCK   637640103      70       3090    SHARES                         X        1       3090     0      0
NATIONAL-
  OILWELL         COMMON
  VARCO INC       STOCK   637071101      81       1100    SHARES                X                 1       1100     0      0
NATIONAL-
  OILWELL         COMMON
  VARCO INC       STOCK   637071101    1965      26750    SHARES                X                 2      13850     0  12900
NATIONAL-
  OILWELL         COMMON
  VARCO INC       STOCK   637071101      61        824    SHARES                         X        1        824     0      0
NATIONWIDE
  HEALTH          COMMON
  PROPERTIES (    STOCK   638620104      35       1100    SHARES                X                 1       N.A.  N.A.   N.A.
NATL FUEL GAS     COMMON
  CO              STOCK   636180101      28        600    SHARES                X                 1        600     0      0
NATL FUEL GAS     COMMON
  CO              STOCK   636180101      47       1000    SHARES                         X        1       1000     0      0
NATROL INC        COMMON
                  STOCK   638789107       2        450    SHARES                X                 1        450     0      0
NATURAL
  RESOURCE        COMMON
  PARTNERS L P    STOCK   63900P103      14        434    SHARES                X                 1        434     0      0
NATURAL
  RESOURCE        COMMON
  PARTNERS L P    STOCK   63900P103     812      25000    SHARES                X                 2          0     0  25000
NAVISITE INC      COMMON
                  STOCK   63935M208     956     189000    SHARES                X                 3     189000     0      0
NAVISITE INC      COMMON
                  STOCK   63935M208      58      11450    SHARES                X                 1      10500     0    950
NCR CORP          COMMON
                  STOCK   62886E108       7        262    SHARES                X                 1        262     0      0
NCR CORP          COMMON
                  STOCK   62886E108      37       1474    SHARES                         X        1       1458     0     16
NEENAH PAPER      COMMON
  INC             STOCK   640079109      30       1035    SHARES                X                 1       1035     0      0
NEENAH PAPER      COMMON
  INC             STOCK   640079109       1         18    SHARES                         X        1         18     0      0
NETGEAR INC       COMMON
                  STOCK   64111Q104    1113      31200    SHARES                X                 3      31200     0      0
NETGEAR INC       COMMON
                  STOCK   64111Q104      70       1950    SHARES                X                 1       1800     0    150
NETSOL
  TECHNOLOGIES    COMMON
  INC             STOCK   64115A204       1        500    SHARES                X                 1        500     0      0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
NETWORK         COMMON
  APPLIANCE     STOCK     64120L104      95       3829    SHARES                X                 3       3829     0     0
NETWORK
  APPLIANCE     COMMON
  INC COM       STOCK     64120L104     101       4050    SHARES                X                 1       3350     0   700
NETWORK
  APPLIANCE     COMMON
  INC COM       STOCK     64120L104       7        275    SHARES                         X        1        100     0   175
NETWORK
  APPLIANCE     COMMON
  INCORPORATED  STOCK     64120L104     100       4000    SHARES                X                 2       4000     0     0
NEUROCRINE
  BIOSCIENCES   COMMON
  INC           STOCK     64125C109      45      10000    SHARES                X                 1      10000     0     0
NEUROCRINE
  BIOSCIENCES   COMMON
  INC           STOCK     64125C109       2        500    SHARES                         X        1          0     0   500
NEUSTAR INC     COMMON
                STOCK     64126X201    1452      50600    SHARES                X                 3      50600     0     0
NEUSTAR INC -   COMMON
  CL A          STOCK     64126X201      87       3050    SHARES                X                 1       2800     0   250
NEW YORK TIMES  COMMON
  CO            STOCK     650111107      22       1270    SHARES                X                 3       1270     0     0
NEW YORK TIMES  COMMON
  CO CL A       STOCK     650111107      21       1220    SHARES                X                 1       1220     0     0
NEW YORK TIMES  COMMON
  CO CL A       STOCK     650111107     175      10000    SHARES                         X        1      10000     0     0
NEWELL          COMMON
  RUBBERMAID IN STOCK     651229106      58       2250    SHARES                X                 3       2250     0     0
NEWELL
  RUBBERMAID    COMMON
  INC COM       STOCK     651229106     488      18851    SHARES                X                 1      18851     0     0
NEWELL
  RUBBERMAID    COMMON
  INC COM       STOCK     651229106     387      14965    SHARES                         X        1      14465     0   500
NEWFIELD EXPL   COMMON
  CO            STOCK     651290108     733      13900    SHARES                X                 3      13900     0     0
NEWFIELD
  EXPLORATION   COMMON
  CO            STOCK     651290108     208       3949    SHARES                X                 1       3729     0   220
NEWMARKET       COMMON
  CORPORATION   STOCK     651587107     434       7800    SHARES                         X        1       7800     0     0
NEWMONT MINING  COMMON
                STOCK     651639106      63       1291    SHARES                X                 1       1240     0    51
NEWMONT MINING  COMMON
                STOCK     651639106      54       1100    SHARES                         X        1        200     0   900
NEWMONT MINING  COMMON
  CORP          STOCK     651639106     186       3800    SHARES                X                 3       3800     0     0
NEWS CORP INC-A COMMON
                STOCK     65248E104    2340     114191    SHARES                X                 1     111704     0  2487
NEWS CORP INC-A COMMON
                STOCK     65248E104    2123     103583    SHARES                X                 3      98235     0  5348
NEWS CORP INC-A COMMON
                STOCK     65248E104      98       4786    SHARES                         X        1       4686     0   100
NEWS CORP-      COMMON
  CLASS B       STOCK     65248E203      10        450    SHARES                         X        1        450     0     0
NEXEN INC       COMMON
                STOCK     65334H102      10        320    SHARES                X                 1        320     0     0
NICHOLAS-
  APPLEGATE     PREFERRED
  INTL & PREM   STOCK     65370C108      13        600    SHARES                         X        1       N.A.  N.A.  N.A.
NICOR INC       COMMON
                STOCK     654086107      14        340    SHARES                X                 3        340     0     0
NICOR INC       COMMON
                STOCK     654086107      21        500    SHARES                X                 1        500     0     0
NICOR INC       COMMON
                STOCK     654086107      40        950    SHARES                         X        1        950     0     0
NIGHTHAWK
  RADIOLOGY     COMMON
  HOLDINGS I    STOCK     65411N105      17        800    SHARES                X                 2          0     0   800
NII HOLDINGS    COMMON
  INC-CL B      STOCK     62913F201     140       2900    SHARES                X                 2          0     0  2900
NIKE INC        COMMON B  654106103     799      12441    SHARES                X                 3      12441     0     0
NIKE INC CL B   COMMON
                STOCK     654106103    2385      37129    SHARES                X                 1      36479     0   650
NIKE INC CL B   COMMON
                STOCK     654106103     215       3340    SHARES                         X        1       2040     0  1300
NISOURCE INC    COMMON
                STOCK     65473P105     107       5700    SHARES                X                 3       5700     0     0
NISOURCE INC    COMMON
                STOCK     65473P105      87       4621    SHARES                X                 1       4621     0     0
NISOURCE INC    COMMON
                STOCK     65473P105      43       2251    SHARES                         X        1       2251     0     0
NISSAN MOTOR    COMMON
  LTD SPONS ADR STOCK     654744408       2        115    SHARES                X                 1        115     0     0
NOBLE           COMMON
  CORPORATION   STOCK     G65422100     127       2250    SHARES                X                 3       2250     0     0
NOBLE           COMMON
  CORPORATION   STOCK     G65422100     183       3230    SHARES                X                 1       3230     0     0
NOBLE ENERGY    COMMON
  INC           STOCK     655044105    1479      18600    SHARES                X                 3      18600     0     0
NOBLE ENERGY    COMMON
  INC           STOCK     655044105     473       5945    SHARES                X                 1       5690     0   255
NOBLE ENERGY    COMMON
  INC           STOCK     655044105     119       1500    SHARES                         X        1       1500     0     0
NOKIA CORP      COMMON
  SPONSORED ADR STOCK     654902204    1466      38180    SHARES                X                 1      38180     0     0
NOKIA CORP      COMMON
  SPONSORED ADR STOCK     654902204      29        748    SHARES                X                 3        748     0     0
NOKIA CORP      COMMON
  SPONSORED ADR STOCK     654902204     480      12515    SHARES                         X        1      11865     0   650
NOMURA HLDGS    COMMON
  INC           STOCK     65535H208       2        147    SHARES                X                 1        147     0     0
NORDSTROM INC   COMMON
                STOCK     655664100    1013      27590    SHARES                X                 3      27590     0     0
NORDSTROM INC   COMMON
  COM           STOCK     655664100     518      14090    SHARES                X                 1      13935     0   155
NORDSTROM INC   COMMON
  COM           STOCK     655664100      15        400    SHARES                         X        1        400     0     0
NORFOLK         COMMON
  SOUTHERN      STOCK     655844108     242       4800    SHARES                X                 3       4050     0   750






                                                                                  SEC USE
                                                ---------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          ------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                               
NORFOLK          COMMON
  SOUTHERN CORP  STOCK     655844108    1049      20805    SHARES                X                 1     20605     0   200
NORFOLK          COMMON
  SOUTHERN CORP  STOCK     655844108      10        200    SHARES                X                 2         0     0   200
NORFOLK          COMMON
  SOUTHERN CORP  STOCK     655844108     769      15250    SHARES                         X        1     12550     0  2700
NORTEL           COMMON
  NETWORKS CORP  STOCK     656568508       9        615    SHARES                X                 1       615     0     0
NORTEL           COMMON
  NETWORKS CORP  STOCK     656568508       0         13    SHARES                         X        1        13     0     0
NORTHEAST        COMMON
  UTILITIES COM  STOCK     664397106      12        375    SHARES                X                 1       375     0     0
NORTHEAST        COMMON
  UTILITIES COM  STOCK     664397106      17        555    SHARES                         X        1       555     0     0
NORTHERN TR      COMMON
  CORP           STOCK     665859104     195       2550    SHARES                X                 3      2550     0     0
NORTHROP         COMMON
  GRUMMAN CO     STOCK     666807102     354       4500    SHARES                X                 3      4500     0     0
NORTHROP         COMMON
  GRUMMAN CORP   STOCK     666807102     573       7286    SHARES                X                 1      7286     0     0
NORTHROP         COMMON
  GRUMMAN CORP   STOCK     666807102     237       3011    SHARES                         X        1      3011     0     0
NORTHWEST
  NATURAL GAS    COMMON
  COMPANY        STOCK     667655104      80       1650    SHARES                X                 1      1650     0     0
NORTHWEST
  NATURAL GAS    COMMON
  COMPANY        STOCK     667655104      24        500    SHARES                         X        1       500     0     0
NORTHWEST PIPE   COMMON
  COMPANY        STOCK     667746101      26        670    SHARES                X                 1       670     0     0
NOVARTIS AG ADR  COMMON
                 STOCK     66987V109    5290      97412    SHARES                X                 1     94604     0  2808
NOVARTIS AG ADR  COMMON
                 STOCK     66987V109     458       8438    SHARES                X                 3      6005     0  2433
NOVARTIS AG ADR  COMMON
                 STOCK     66987V109     881      16229    SHARES                         X        1     13679     0  2550
NOVELL INC       COMMON
                 STOCK     670006105      20       2925    SHARES                X                 3      2925     0     0
NOVELL INC       COMMON
                 STOCK     670006105      16       2400    SHARES                X                 1      2400     0     0
NOVELL INC       COMMON
                 STOCK     670006105      36       5175    SHARES                         X        1      5175     0     0
NOVELLUS SYS     COMMON
  INC            STOCK     670008101      92       3330    SHARES                X                 3      3330     0     0
NOVOGEN          COMMON
  LTD-SPONS ADR  STOCK     67010F103      11       2000    SHARES                         X        1      2000     0     0
NOVO-NORDISK
  A/ S SPONS     COMMON
  ADR            STOCK     670100205     324       5000    SHARES                X                 2         0     0  5000
NSTAR COM        COMMON
                 STOCK     67019E107      59       1620    SHARES                X                 1      1620     0     0
NTT DOCOMO INC   COMMON
  SPONSORED ADR  STOCK     62942M201       1         81    SHARES                X                 1        81     0     0
NU SKIN
  ENTERPRISES    COMMON
  INC            STOCK     67018T105      13        800    SHARES                X                 2         0     0   800
NUANCE           COMMON
  COMMUNICATION  STOCK     67020Y100    1049      56200    SHARES                X                 3     56200     0     0
NUANCE
  COMMUNICATIONS COMMON
  INC            STOCK     67020Y100      63       3380    SHARES                X                 1      3100     0   280
NUCOR CORP       COMMON
                 STOCK     670346105     148       2500    SHARES                X                 3      2500     0     0
NUCOR CORP       COMMON
                 STOCK     670346105     583       9851    SHARES                X                 1      8976     0   875
NUCOR CORP       COMMON
                 STOCK     670346105     157       2645    SHARES                         X        1      2220     0   425
NUSTAR ENERGY    COMMON
  LP             STOCK     67058H102      21        400    SHARES                X                 1       400     0     0
NUSTAR GP        COMMON
  HOLDINGS LLC   STOCK     67059L102      43       1500    SHARES                X                 2         0     0  1500
NUVEEN INSD
  MUNI           PREFERRED
  OPPORTUNITY    STOCK     670984103       7        500    SHARES                X                 2      N.A.  N.A.  N.A.
NUVEEN INSD
  MUNI           PREFERRED
  OPPORTUNITY    STOCK     670984103       5        396    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN INSD
  QUALITY MUN    PREFERRED
  FD             STOCK     67062N103      62       4624    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN INSD
  QUALITY MUN    PREFERRED
  FD             STOCK     67062N103      10        760    SHARES                X                 2      N.A.  N.A.  N.A.
NUVEEN INSURED
  PREM INC       PREFERRED
  MUNI F         STOCK     6706D8104      38       3100    SHARES                X                 2      N.A.  N.A.  N.A.
NUVEEN INVT
  QUALITY MUNI   PREFERRED
  FD             STOCK     67062E103       5        333    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN
  MARYLAND
  DIVIDEND ADV   PREFERRED
  M              STOCK     67069R107      12        923    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN
  MARYLAND
  PREM INC MUN   PREFERRED
  F              STOCK     67061Q107      27       2100    SHARES                X                 2      N.A.  N.A.  N.A.
NUVEEN MD DIV
  ADVANTAGE      PREFERRED
  MUN FD         STOCK     67070V105      54       4059    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN MD DIV
  ADVANTAGE      PREFERRED
  MUN FD         STOCK     67070V105      13       1000    SHARES                X                 2      N.A.  N.A.  N.A.
NUVEEN MULTI
  STRATEGY       PREFERRED
  INC & GR       STOCK     67073D102      20       1860    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN MULTI
  STRATEGY       PREFERRED
  INC & GR       STOCK     67073D102       6        500    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN MUNI
  MARKET         PREFERRED
  OPPORTUNITY    STOCK     67062W103     200      15000    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN
  MUNICIPAL      PREFERRED
  ADVANTAGE FD   STOCK     67062H106      14       1000    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN
  MUNICIPAL      PREFERRED
  VALUE FUND     STOCK     670928100      28       2963    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN
  MUNICIPAL      PREFERRED
  VALUE FUND     STOCK     670928100      24       2594    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN NY INVT
  QUALITY MUN    PREFERRED
  FD             STOCK     67062X101      39       2965    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN NY
  QUALITY INC    PREFERRED
  MUNI FD        STOCK     670986108      91       7026    SHARES                X                 1      N.A.  N.A.  N.A.






                                                                                 SEC USE
                                               ---------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          ------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                              
NUVEEN NY
  SELECT QUAL   PREFERRED
  MUNI FD       STOCK     670976109       7        500    SHARES                X                 1      N.A.  N.A.   N.A.
NUVEEN PA
  DIVIDEND ADV  PREFERRED
  MUNI FD       STOCK     67071W102      13        979    SHARES                X                 1      N.A.  N.A.   N.A.
NUVEEN PA
  DIVIDEND ADV  PREFERRED
  MUNI FD       STOCK     67070E103      13       1000    SHARES                         X        1      N.A.  N.A.   N.A.
NUVEEN PA INVT
  QUALITY MUN   PREFERRED
  FD            STOCK     670972108     141      10873    SHARES                X                 1      N.A.  N.A.   N.A.
NUVEEN PA INVT
  QUALITY MUN   PREFERRED
  FD            STOCK     670972108     116       8900    SHARES                         X        1      N.A.  N.A.   N.A.
NUVEEN PA PREM
  INCOME MUN    PREFERRED
  FD 2          STOCK     67061F101      75       5989    SHARES                X                 1      N.A.  N.A.   N.A.
NUVEEN PA PREM
  INCOME MUN    PREFERRED
  FD 2          STOCK     67061F101      14       1117    SHARES                         X        1      N.A.  N.A.   N.A.
NUVEEN
  PERFORMANCE   PREFERRED
  PLUS MUNI F   STOCK     67062P108      40       3000    SHARES                X                 1      N.A.  N.A.   N.A.
NUVEEN
  PERFORMANCE   PREFERRED
  PLUS MUNI F   STOCK     67062P108       5        390    SHARES                         X        1      N.A.  N.A.   N.A.
NUVEEN PFD &
  CVRT INCOME   PREFERRED
  FUND          STOCK     67073B106      33       3000    SHARES                X                 1      N.A.  N.A.   N.A.
NUVEEN PREMIER
  INSD MUNI     PREFERRED
  INC F         STOCK     670987106       5        410    SHARES                X                 1      N.A.  N.A.   N.A.
NUVEEN PREMIER
  INSD MUNI     PREFERRED
  INC F         STOCK     670987106      14       1050    SHARES                X                 2      N.A.  N.A.   N.A.
NUVEEN PREMIER
  INSD MUNI     PREFERRED
  INC F         STOCK     670987106      13       1000    SHARES                         X        1      N.A.  N.A.   N.A.
NUVEEN QUALITY
  INCOME MUNI   PREFERRED
  FD            STOCK     670977107       7        500    SHARES                X                 1      N.A.  N.A.   N.A.
NUVEEN QUALITY
  INCOME MUNI   PREFERRED
  FD            STOCK     670977107       3        210    SHARES                         X        1      N.A.  N.A.   N.A.
NUVEEN QUALITY
  PFD INCOME    PREFERRED
  FD 2          STOCK     67072C105      24       2235    SHARES                X                 1      N.A.  N.A.   N.A.
NUVEEN QUALITY
  PFD INCOME    PREFERRED
  FD 3          STOCK     67072W101       7        700    SHARES                         X        1      N.A.  N.A.   N.A.
NUVEEN SELECT
  QUALITY MUN   PREFERRED
  FD            STOCK     670973106       6        406    SHARES                         X        1      N.A.  N.A.   N.A.
NUVEEN VA DVD
  ADV MUNI      PREFERRED
  BOND FU       STOCK     67069M108       8        625    SHARES                X                 2      N.A.  N.A.   N.A.
NUVEEN VA DVD   PREFERRED
  ADV MUNI FD 2 STOCK     67071C106       9        650    SHARES                X                 2      N.A.  N.A.   N.A.
NVIDIA CORP     COMMON
                STOCK     67066G104     170       5000    SHARES                X                 3      5000     0      0
NVIDIA CORP COM COMMON
                STOCK     67066G104       5        156    SHARES                X                 1       156     0      0
NVIDIA CORP COM COMMON
                STOCK     67066G104      75       2200    SHARES                X                 2         0     0   2200
NVR INC         COMMON
                STOCK     62944T105      27         52    SHARES                X                 3        52     0      0
NYSE EURONEXT   COMMON
                STOCK     629491101     204       2325    SHARES                X                 3      2325     0      0
NYSE EURONEXT   COMMON
                STOCK     629491101      97       1100    SHARES                X                 1       550     0    550
NYSE EURONEXT   COMMON
                STOCK     629491101      35        400    SHARES                X                 2         0     0    400
NYSE EURONEXT   COMMON
                STOCK     629491101      18        200    SHARES                         X        1       200     0      0
OCCIDENTAL      COMMON
  PETE CORP     STOCK     674599105     701       9100    SHARES                X                 3      9100     0      0
OCCIDENTAL      COMMON
  PETE CORP COM STOCK     674599105     551       7154    SHARES                X                 1      7154     0      0
OCCIDENTAL      COMMON
  PETE CORP COM STOCK     674599105    1449      18830    SHARES                X                 2      7850     0  10980
OCCIDENTAL      COMMON
  PETE CORP COM STOCK     674599105     231       3000    SHARES                         X        1      3000     0      0
OCEANEERING     COMMON
  INTL INC      STOCK     675232102    1030      15300    SHARES                X                 3     15300     0      0
OCEANEERING     COMMON
  INTL INC COM  STOCK     675232102     126       1870    SHARES                X                 1      1800     0     70
OFFICE DEPOT    COMMON
  INC           STOCK     676220106      33       2400    SHARES                X                 3      2400     0      0
OFFICE DEPOT    COMMON
  INC           STOCK     676220106      21       1500    SHARES                X                 1      1500     0      0
OFFICEMAX INC   COMMON
                STOCK     67622P101     127       6125    SHARES                X                 3      6125     0      0
OFFICEMAX INC   COMMON
                STOCK     67622P101      12        600    SHARES                X                 1       600     0      0
OGE ENERGY      COMMON
  CORP COM      STOCK     670837103      51       1400    SHARES                X                 1      1400     0      0
OGE ENERGY      COMMON
  CORP COM      STOCK     670837103      87       2410    SHARES                         X        1      2410     0      0
OLD NATIONAL    COMMON
  BANCORP COM   STOCK     680033107      85       5700    SHARES                X                 1      5700     0      0
OLD REPUBLIC    COMMON
  INTL CORP COM STOCK     680223104      71       4600    SHARES                X                 1      4600     0      0
OLIN CORP COM   COMMON
                STOCK     680665205      14        750    SHARES                X                 1       750     0      0
OLIN CORP COM   COMMON
                STOCK     680665205      19       1000    SHARES                         X        1      1000     0      0
OMEGA
  FINANCIAL     COMMON
  CORP          STOCK     682092101      79       2712    SHARES                X                 1      2712     0      0
OMEGA
  FINANCIAL     COMMON
  CORP          STOCK     682092101     393      13427    SHARES                         X        1     11000     0   2427
OMNICELL INC    COMMON
                STOCK     68213N109    1788      66400    SHARES                X                 3     66400     0      0
OMNICELL        COMMON
  INCORPORATED  STOCK     68213N109     106       3925    SHARES                X                 1      3600     0    325
OMNICOM GROUP   COMMON
  INC           STOCK     681919106     128       2700    SHARES                X                 3      2700     0      0
OMNICOM GROUP   COMMON
  INC COM       STOCK     681919106     438       9208    SHARES                X                 1      9208     0      0
OMNICOM GROUP   COMMON
  INC COM       STOCK     681919106     197       4150    SHARES                         X        1      4150     0      0






                                                                                  SEC USE
                                                ----------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          -------------------
                  COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
ON
  SEMICONDUCTOR    COMMON
  COR              STOCK   682189105    1705     192100    SHARES                X                 3     192100   0        0
ON
  SEMICONDUCTOR    COMMON
  CORPORATION      STOCK   682189105     103      11550    SHARES                X                 1      10600   0      950
ON TRACK           COMMON
  INNOVATION       STOCK   M8791A109       3        900    SHARES                X                 3        900   0        0
ON TRACK
  INNOVATIONS      COMMON
  LTD              STOCK   M8791A109       5       1500    SHARES                X                 1       1500   0        0
ONEOK INC          COMMON
                   STOCK   682680103      37        820    SHARES                X                 1        820   0        0
ONEOK PARTNERS     COMMON
  LP               STOCK   68268N103      74       1200    SHARES                X                 1       1200   0        0
ONEOK PARTNERS     COMMON
  LP               STOCK   68268N103      37        600    SHARES                X                 2          0   0      600
ONEOK PARTNERS     COMMON
  LP               STOCK   68268N103     123       2000    SHARES                         X        1       2000   0        0
ONYX               COMMON
  PHARMACEUTICALS  STOCK   683399109     879      15800    SHARES                X                 3      15800   0        0
ONYX
  PHARMACEUTICALS  COMMON
  INC              STOCK   683399109      55        980    SHARES                X                 1        900   0       80
OPTIONSXPRESS      COMMON
  HLDGS            STOCK   684010101    1607      47500    SHARES                X                 3      47500   0        0
OPTIONSXPRESS      COMMON
  HOLDINGS INC     STOCK   684010101      96       2835    SHARES                X                 1       2600   0      235
ORACLE CORP        COMMON
                   STOCK   68389X105    2238      99167    SHARES                X                 3      99167   0        0
ORACLE
  CORPORATION      COMMON
  COM              STOCK   68389X105    2754     121977    SHARES                X                 1     121977   0        0
ORACLE
  CORPORATION      COMMON
  COM              STOCK   68389X105    1426      63166    SHARES                X                 2      44166   0    19000
ORACLE
  CORPORATION      COMMON
  COM              STOCK   68389X105      19        850    SHARES                X                 4        850   0        0
ORACLE
  CORPORATION      COMMON
  COM              STOCK   68389X105     705      31215    SHARES                         X        1      31215   0        0
ORBITAL            COMMON
  SCIENCE CORP     STOCK   685564106      78       3200    SHARES                X                 1       3200   0        0
ORBITAL            COMMON
  SCIENCES         STOCK   685564106    1402      57200    SHARES                X                 3      57200   0        0
ORBITZ             COMMON
  WORLDWIDE INC    STOCK   68557K109       3        300    SHARES                X                 1        300   0        0
O'REILLY
  AUTOMOTIVE       COMMON
  INC COM          STOCK   686091109     162       5000    SHARES                X                 2          0   0     5000
ORLEANS
  HOMEBUILDERS     COMMON
  INC              STOCK   686588104       2        500    SHARES                X                 1        500   0        0
OSHKOSH TRUCK      COMMON
  CORP             STOCK   688239201      17        350    SHARES                X                 1        350   0        0
OSHKOSH TRUCK      COMMON
  CORP             STOCK   688239201       9        200    SHARES                         X        1        200   0        0
OSI                COMMON
  PHARMACEUTICALS  STOCK   671040103     941      19400    SHARES                X                 3      19400   0        0
OSI
  PHARMACEUTICALS  COMMON
  INC COM          STOCK   671040103      58       1195    SHARES                X                 1       1100   0       95
OTELCO INC         COMMON
                   STOCK   688823202      19       1355    SHARES                X                 1       1355   0        0
P G & E CORP       COMMON
                   STOCK   69331C108      83       1931    SHARES                X                 1       1931   0        0
P G & E CORP       COMMON
                   STOCK   69331C108      69       1600    SHARES                         X        1        100   0     1500
PACCAR INC         COMMON
                   STOCK   693718108      15        280    SHARES                X                 1        280   0        0
PACCAR INC         COMMON
                   STOCK   693718108     376       6900    SHARES                X                 2          0   0     6900
PACCAR INC         COMMON
                   STOCK   693718108     188       3451    SHARES                X                 3       3451   0        0
PACER
  INTERNATIONAL    COMMON
  INC              STOCK   69373H106      10        663    SHARES                X                 1        663   0        0
PACKAGING CORP     COMMON
  AMER             STOCK   695156109      31       1100    SHARES                X                 3       1100   0        0
PACTIV CORP        COMMON
                   STOCK   695257105      41       1550    SHARES                X                 3       1550   0        0
PACTIV CORP COM    COMMON
                   STOCK   695257105      11        400    SHARES                X                 1        400   0        0
PACTIV CORP COM    COMMON
                   STOCK   695257105       5        200    SHARES                         X        1        200   0        0
PAETEC HOLDING     COMMON
  CORP             STOCK   695459107      10       1000    SHARES                X                 1       1000   0        0
PAIN
  THERAPEUTICS     COMMON
  INCORPORATED     STOCK   69562K100      26       2410    SHARES                X                 3       2410   0        0
PALATIN
  TECHNOLOGIES     COMMON
  INC              STOCK   696077304       1       5000    SHARES                X                 2          0   0     5000
PALL CORP          COMMON
                   STOCK   696429307      40        980    SHARES                X                 3        980   0        0
PALL CORP COM      COMMON
                   STOCK   696429307      81       2000    SHARES                         X        1       2000   0        0
PALM INC           COMMON
                   STOCK   696643105       8       1253    SHARES                X                 1       1253   0        0
PALM INC           COMMON
                   STOCK   696643105     159      25000    SHARES                X                 2          0   0    25000
PALM INC           COMMON
                   STOCK   696643105      18       2917    SHARES                X                 3       2917   0        0
PAR
  PHARMACEUTICALS  COMMON
  COS INC          STOCK   69888P106       7        286    SHARES                X                 1        286   0        0
PAREXEL
  INTERNATIONAL    COMMON
  CORP             STOCK   699462107     105       2180    SHARES                X                 1       2000   0      180
PAREXEL INTL       COMMON
  CORP             STOCK   699462107    1730      35800    SHARES                X                 3      35800   0        0
PARKER             COMMON
  HANNIFIN CORP    STOCK   701094104     113       1500    SHARES                X                 3       1500   0        0
PARKER             COMMON
  HANNIFIN CORP    STOCK   701094104     376       4994    SHARES                X                 1       4994   0        0
PARKER             COMMON
  HANNIFIN CORP    STOCK   701094104     153       2032    SHARES                         X        1       2032   0        0






                                                                                SEC USE
                                              ----------------------------------------------------------------------------
                                                                              COLUMN 6                      COLUMN 8
                                                      COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                              ------------------------ ----------------------          -------------------
                COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                              
PARKWAY
  PROPERTIES     COMMON
  INCORPORATE    STOCK   70159Q104      55       1500    SHARES                X                 2       N.A.  N.A.   N.A.
PATRIOT COAL     COMMON
  CORP           STOCK   70336T104    2242      53710    SHARES                X                 3      53710     0      0
PATTERSON        COMMON
  COMPANIES      STOCK   703395103      37       1100    SHARES                X                 3       1100     0      0
PATTERSON-UTI    COMMON
  ENERGY INC     STOCK   703481101      19        950    SHARES                X                 1        950     0      0
PATTERSON-UTI    COMMON
  ENERGY INC     STOCK   703481101      13        684    SHARES                X                 3        684     0      0
PAYCHEX INC      COMMON
                 STOCK   704326107     173       4800    SHARES                X                 3       4800     0      0
PAYCHEX INC COM  COMMON
                 STOCK   704326107     359       9900    SHARES                X                 1       9900     0      0
PAYCHEX INC COM  COMMON
                 STOCK   704326107     281       7750    SHARES                X                 2          0     0   7750
PAYCHEX INC COM  COMMON
                 STOCK   704326107     628      17325    SHARES                         X        1      17325     0      0
PDL BIOPHARMA    COMMON
  INC            STOCK   69329Y104     303      17300    SHARES                X                 3      17300     0      0
PDL BIOPHARMA    COMMON
  INC            STOCK   69329Y104      71       4062    SHARES                X                 1       3797     0    265
PDL BIOPHARMA    COMMON
  INC            STOCK   69329Y104       5        300    SHARES                         X        1        300     0      0
PEABODY ENERGY   COMMON
  CORP           STOCK   704549104    3888      63069    SHARES                X                 1      61614     0   1455
PEABODY ENERGY   COMMON
  CORP           STOCK   704549104    2034      33005    SHARES                X                 3      33005     0      0
PEABODY ENERGY   COMMON
  CORP           STOCK   704549104     442       7165    SHARES                         X        1       4480     0   2685
PEDIATRIX MED    COMMON
  GRP            STOCK   705324101    3312      48600    SHARES                X                 3      48600     0      0
PEDIATRIX
  MEDICAL        COMMON
  GROUP INC CO   STOCK   705324101     360       5283    SHARES                X                 1       4910     0    373
PEDIATRIX
  MEDICAL        COMMON
  GROUP INC CO   STOCK   705324101      55        800    SHARES                         X        1          0     0    800
PEETS COFFEE &   COMMON
  TEA INC COM    STOCK   705560100       6        200    SHARES                X                 1        200     0      0
PENGROWTH        COMMON
  ENERGY TRUST   STOCK   706902509       7        400    SHARES                X                 1        400     0      0
PENGROWTH        COMMON
  ENERGY TRUST   STOCK   706902509      41       2300    SHARES                X                 2          0     0   2300
PENN ESTATE      COMMON
  INV TR (REIT)  STOCK   709102107      54       1816    SHARES                X                 1       N.A.  N.A.   N.A.
PENN ESTATE      COMMON
  INV TR (REIT)  STOCK   709102107      27        900    SHARES                X                 2       N.A.  N.A.   N.A.
PENN NATL        COMMON
  GAMING INC     STOCK   707569109       4         75    SHARES                X                 1         75     0      0
PENN VA
  RESOURCE       COMMON
  PARTNERS LP    STOCK   707884102      32       1300    SHARES                         X        1       1300     0      0
PENN VIRGINIA
  GP HOLDINGS    COMMON
  LP             STOCK   70788P105      49       1700    SHARES                X                 2          0     0   1700
PENNEY J C INC   COMMON
                 STOCK   708160106     801      18203    SHARES                X                 3      16597     0   1606
PENNEY JC CO     COMMON
  INC            STOCK   708160106    1342      30502    SHARES                X                 1      28525     0   1977
PENNEY JC CO     COMMON
  INC            STOCK   708160106      44       1000    SHARES                X                 2          0     0   1000
PENNEY JC CO     COMMON
  INC            STOCK   708160106     158       3583    SHARES                         X        1       3583     0      0
PENNICHUCK
  CORPORATION    COMMON
  NEW            STOCK   708254206      21        789    SHARES                X                 1        789     0      0
PENNS WOODS      COMMON
  BANCORP INC.   STOCK   708430103     299       9197    SHARES                X                 3       9197     0      0
PENNSYLVANIA
  COMMERCE       COMMON
  BANCORP        STOCK   708677109     139       5000    SHARES                X                 1       5000     0      0
PENNWEST         COMMON
  ENERGY TRUST   STOCK   707885109      57       2210    SHARES                         X        1       2210     0      0
PENTAIR INC      COMMON
                 STOCK   709631105     128       3680    SHARES                X                 3       3680     0      0
PENTAIR INC COM  COMMON
                 STOCK   709631105      28        800    SHARES                X                 1        800     0      0
PENTAIR INC COM  COMMON
                 STOCK   709631105     272       7800    SHARES                         X        1       7800     0      0
PEPCO HOLDINGS   COMMON
  INC            STOCK   713291102     129       4400    SHARES                X                 3       4400     0      0
PEPCO HOLDINGS   COMMON
  INC            STOCK   713291102     438      14918    SHARES                X                 1      13392     0   1526
PEPCO HOLDINGS   COMMON
  INC            STOCK   713291102     107       3655    SHARES                X                 2          0     0   3655
PEPCO HOLDINGS   COMMON
  INC            STOCK   713291102     335      11412    SHARES                         X        1       9112     0   2300
PEPSI BOTTLING   COMMON
  GRP            STOCK   713409100      51       1300    SHARES                X                 3       1300     0      0
PEPSIAMERICAS    COMMON
  INC COM        STOCK   71343P200      20        600    SHARES                         X        1        600     0      0
PEPSICO INC      COMMON
                 STOCK   713448108    8530     112392    SHARES                X                 3     109907     0   2485
PEPSICO INC COM  COMMON
                 STOCK   713448108   31802     418997    SHARES                X                 1     414292     0   4705
PEPSICO INC COM  COMMON
                 STOCK   713448108    7088      93382    SHARES                X                 2      13475     0  79907
PEPSICO INC COM  COMMON
                 STOCK   713448108      11        150    SHARES                X                 4        150     0      0
PEPSICO INC COM  COMMON
                 STOCK   713448108   18024     237471    SHARES                         X        1     212359     0  25112
PERFORMANCE      COMMON
  FOOD GROUP CO  STOCK   713755106      19        700    SHARES                         X        1        700     0      0
PERINI           COMMON
  CORPORATION    STOCK   713839108      19        463    SHARES                X                 3        463     0      0
PERKINELMER INC  COMMON
                 STOCK   714046109      27       1030    SHARES                X                 3       1030     0      0






                                                                                  SEC USE
                                               -----------------------------------------------------------------------------
                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                               
PERKINELMER     COMMON
  INC COM       STOCK     714046109     104       4000    SHARES                         X        1       4000     0       0
PERMA-FIX
  ENVIRONMENTAL COMMON
  SVCS          STOCK     714157104     257     104100    SHARES                X                 2          0     0  104100
PERRIGO CO      COMMON
                STOCK     714290103    2812      80300    SHARES                X                 3      80300     0       0
PERRIGO COMPANY COMMON
                STOCK     714290103     362      10336    SHARES                X                 1       9616     0     720
PETE & RES      COMMON
  CORP COM      STOCK     716549100      39       1000    SHARES                X                 1       1000     0       0
PETMED EXPRESS  COMMON
  INC           STOCK     716382106      10        800    SHARES                X                 1        800     0       0
PETRO-CANADA    COMMON
                STOCK     71644E102      86       1600    SHARES                         X        1       1600     0       0
PETROCHINA CO   COMMON
  LTD ADR       STOCK     71646E100      53        300    SHARES                X                 1        300     0       0
PETROCHINA CO   COMMON
  LTD ADR       STOCK     71646E100      22        125    SHARES                         X        1        125     0       0
PETROHAWK       COMMON
  ENERGY        STOCK     716495106     956      55200    SHARES                X                 3      55200     0       0
PETROHAWK       COMMON
  ENERGY CORP   STOCK     716495106      57       3270    SHARES                X                 1       3000     0     270
PETROLEO
  BRASILEIRO    COMMON
  SA ADR        STOCK     71654V101      42        440    SHARES                X                 2          0     0     440
PETROLEO
  BRASILEIRO    COMMON
  SA SPNS AD    STOCK     71654V408       2         14    SHARES                X                 1         14     0       0
PETSMART INC    COMMON
                STOCK     716768106     581      24710    SHARES                X                 1      24710     0       0
PETSMART INC    COMMON
                STOCK     716768106     232       9875    SHARES                         X        1       9875     0       0
PFIZER INC      COMMON
                STOCK     717081103   16110     708751    SHARES                X                 1     698701     0   10050
PFIZER INC      COMMON
                STOCK     717081103    6281     276319    SHARES                X                 2      74660     0  201659
PFIZER INC      COMMON
                STOCK     717081103    4243     186671    SHARES                X                 3     186671     0       0
PFIZER INC      COMMON
                STOCK     717081103      17        750    SHARES                X                 4        750     0       0
PFIZER INC      COMMON
                STOCK     717081103   10055     442367    SHARES                         X        1     428202   600   13565
PG&E CORP       COMMON
                STOCK     69331C108     142       3300    SHARES                X                 3       3300     0       0
PHARMACEUTIAL
  PRODUCT       COMMON
  DEVEL IN      STOCK     717124101     320       7925    SHARES                X                 1       7370     0     555
PHARMACEUTICAL  PREFERRED
  HOLDERS TRUST STOCK     71712A206      40        500    SHARES                         X        1       N.A.  N.A.    N.A.
PHARMACEUTICAL  COMMON
  PROD          STOCK     717124101    2212      54800    SHARES                X                 3      54800     0       0
PHH CORPORATION COMMON
                STOCK     693320202       0         12    SHARES                         X        1         12     0       0
PHOENIX COS     COMMON
  INC COM       STOCK     71902E109      20       1680    SHARES                X                 1       1680     0       0
PHOENIX COS     COMMON
  INC COM       STOCK     71902E109      21       1798    SHARES                X                 2          0     0    1798
PHOENIX COS     COMMON
  INC COM       STOCK     71902E109      19       1588    SHARES                         X        1       1588     0       0
PIEDMONT NAT    COMMON
  GAS INC       STOCK     720186105      57       2180    SHARES                X                 1       2180     0       0
PIEDMONT NAT    COMMON
  GAS INC       STOCK     720186105      10        400    SHARES                         X        1          0     0     400
PIMCO
  MUNICIPAL     PREFERRED
  INCOME FUND   STOCK     72200R107       1         71    SHARES                X                 1       N.A.  N.A.    N.A.
PIMCO
  MUNICIPAL     PREFERRED
  INCOME FUND   STOCK     72200R107      15       1000    SHARES                X                 2       N.A.  N.A.    N.A.
PIMCO
  MUNICIPAL
  INCOME FUND   PREFERRED
  II            STOCK     72201A103      19       1335    SHARES                X                 1       N.A.  N.A.    N.A.
PIMCO
  MUNICIPAL
  INCOME FUND   PREFERRED
  II            STOCK     72200W106     181      13200    SHARES                         X        1       N.A.  N.A.    N.A.
PIMCO RCM
  STRAT GLOBAL  PREFERRED
  GOVT          STOCK     72200X104      14       1500    SHARES                X                 1       N.A.  N.A.    N.A.
PINNACLE        COMMON
  AIRLINES CORP STOCK     723443107       8        516    SHARES                X                 3        516     0       0
PINNACLE DATA   COMMON
  SYSTEMS INC   STOCK     723454104       1        300    SHARES                X                 1        300     0       0
PINNACLE WEST   COMMON
  CAP           STOCK     723484101      38        900    SHARES                X                 3        900     0       0
PINNACLE WEST   COMMON
  CAPITAL CORP  STOCK     723484101      25        600    SHARES                X                 1        600     0       0
PINNACLE WEST   COMMON
  CAPITAL CORP  STOCK     723484101       4        100    SHARES                         X        1        100     0       0
PIONEER
  MUNICIPAL HI  PREFERRED
  INC ADV T     STOCK     723762100      27       2000    SHARES                X                 1       N.A.  N.A.    N.A.
PIONEER         COMMON
  NATURAL RES   STOCK     723787107     366       7500    SHARES                X                 3       7500     0       0
PIONEER
  NATURAL       COMMON
  RESOURCES CO  STOCK     723787107      93       1903    SHARES                X                 1       1803     0     100
PIPER JAFFRAY   COMMON
  COMPANIES INC STOCK     724078100      80       1736    SHARES                X                 1       1621     0     115
PIPER JAFFRAY   COMMON
  COMPANIES INC STOCK     724078100       0          5    SHARES                         X        1          5     0       0
PIPER JAFFRAY   COMMON
  COS           STOCK     724078100     348       7500    SHARES                X                 3       7500     0       0
PITNEY BOWES    COMMON
  INC           STOCK     724479100     122       3225    SHARES                X                 3       3225     0       0
PITNEY BOWES    COMMON
  INC COM       STOCK     724479100     358       9400    SHARES                X                 1       9400     0       0
PITNEY BOWES    COMMON
  INC COM       STOCK     724479100     179       4700    SHARES                         X        1       4700     0       0
PIZZA INN INC   COMMON
                STOCK     725848105       1        325    SHARES                X                 1        325     0       0
PLAINS ALL
  AMERICAN      COMMON
  PIPELINE L    STOCK     726503105    9430     181550    SHARES                X                 2      33450     0  146350






                                                                                  SEC USE
                                               -----------------------------------------------------------------------------
                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                               
PLATINUM        COMMON
  UNDERWRITER   STOCK     G7127P100    1255      35300    SHARES                X                 3      35300     0       0
PLATINUM
  UNDERWRITERS  COMMON
  HOLDINGS      STOCK     G7127P100      78       2180    SHARES                X                 1       2000     0     180
PLUM CREEK      COMMON
  TIMBER CO     STOCK     729251108      71       1550    SHARES                X                 3       1550     0       0
PLUM CREEK      COMMON
  TIMBER CO INC STOCK     729251108      77       1680    SHARES                X                 1       N.A.  N.A.    N.A.
PMC SIERRA INC  COMMON
                STOCK     69344F106     228      34790    SHARES                X                 1      32325     0    2465
PMC-SIERRA INC  COMMON
                STOCK     69344F106    2136     326500    SHARES                X                 3     326500     0       0
PNC FINANCIAL
  SERVICES      COMMON
  GROUP I       STOCK     693475105   12434     189395    SHARES                X                 1     186335     0    3060
PNC FINANCIAL
  SERVICES      COMMON
  GROUP I       STOCK     693475105     909      13844    SHARES                X                 2          0     0   13844
PNC FINANCIAL
  SERVICES      COMMON
  GROUP I       STOCK     693475105     296       4506    SHARES                X                 3       4506     0       0
PNC FINANCIAL
  SERVICES      COMMON
  GROUP I       STOCK     693475105    4100      62454    SHARES                         X        1      51359  7000    4095
PNM RESOURCES   COMMON
  INC           STOCK     69349H107      39       1808    SHARES                X                 1       1808     0       0
POLO RALPH      COMMON
  LAUREN        STOCK     731572103      31        500    SHARES                X                 3        500     0       0
POLO RALPH
  LAUREN        COMMON
  CORPORATION   STOCK     731572103       6        100    SHARES                X                 1        100     0       0
POTASH CORP OF
  SASKATCHEWAN  COMMON
  IN            STOCK     73755L107     410       2850    SHARES                X                 1       2850     0       0
POWERSHARES
  DYN
  BIOTECH &     PREFERRED
  GENO          STOCK     73935X856     112       6000    SHARES                         X        1       N.A.  N.A.    N.A.
POWERSHARES
  GLOBAL WATER  COMMON
  PORTF         STOCK     73935X575      28       1300    SHARES                X                 1       1300     0       0
POWERSHARES
  GLOBAL WATER  PREFERRED
  PORTF         STOCK     73936T623      74       3000    SHARES                X                 2       N.A.  N.A.    N.A.
POWERSHARES QQQ PREFERRED
                STOCK     73935A104     722      14103    SHARES                X                 1       N.A.  N.A.    N.A.
POWERSHARES QQQ PREFERRED
                STOCK     73935A104     292       5700    SHARES                X                 2       N.A.  N.A.    N.A.
POWERSHARES QQQ PREFERRED
                STOCK     73935A104    1930      37680    SHARES                         X        1       N.A.  N.A.    N.A.
POWERSHARES     COMMON
  QQQ TR        STOCK     73935A104    1044      20400    SHARES                X                 3      20400     0       0
POZEN           COMMON
  INCORPORATED  STOCK     73941U102       1        100    SHARES                X                 1        100     0       0
PPG INDS INC    COMMON
                STOCK     693506107     515       7335    SHARES                X                 1       6535     0     800
PPG INDS INC    COMMON
                STOCK     693506107    1381      19665    SHARES                         X        1      18040     0    1625
PPG INDUSTRIES  COMMON
  INC           STOCK     693506107     182       2590    SHARES                X                 3       2590     0       0
PPL CORP        COMMON
                STOCK     69351T106     168       3230    SHARES                X                 3       3230     0       0
PPL CORP COM    COMMON
                STOCK     69351T106    7176     137765    SHARES                X                 1     135865     0    1900
PPL CORP COM    COMMON
                STOCK     69351T106    2406      46198    SHARES                         X        1      36506  2130    7562
PRAXAIR INC     COMMON
                STOCK     74005P104     289       3262    SHARES                X                 3       3262     0       0
PRAXAIR INC COM COMMON
                STOCK     74005P104     138       1560    SHARES                X                 1        960     0     600
PRAXAIR INC COM COMMON
                STOCK     74005P104     630       7100    SHARES                X                 2          0     0    7100
PRAXAIR INC COM COMMON
                STOCK     74005P104     264       2976    SHARES                         X        1       2976     0       0
PRECISION       COMMON
  CASTPARTS     STOCK     740189105    3408      24563    SHARES                X                 3      23241     0    1322
PRECISION
  CASTPARTS     COMMON
  CORP COM      STOCK     740189105    4472      32240    SHARES                X                 1      31531     0     709
PRECISION
  CASTPARTS     COMMON
  CORP COM      STOCK     740189105      49        350    SHARES                         X        1        350     0       0
PRECISION
  DRILLING      COMMON
  CORP-US$      STOCK     740215108      32       2100    SHARES                         X        1       2100     0       0
PRICE T ROWE    COMMON
  GROUP INC COM STOCK     74144T108    1803      29610    SHARES                X                 1      29610     0       0
PRICE T ROWE    COMMON
  GROUP INC COM STOCK     74144T108     962      15800    SHARES                X                 2       3000     0   12800
PRICE T ROWE    COMMON
  GROUP INC COM STOCK     74144T108    1561      25640    SHARES                         X        1      25450     0     190
PRICE T ROWE    COMMON
  GRP           STOCK     74144T108     134       2200    SHARES                X                 3       2200     0       0
PRICELINE COM   COMMON
  INC           STOCK     741503403    1350      11750    SHARES                X                 3      11750     0       0
PRICELINE.COM   COMMON
  INCORPORATED  STOCK     741503403      84        735    SHARES                X                 1        675     0      60
PRIMEWEST       COMMON
  ENERGY TRUST  STOCK     741930309       9        341    SHARES                X                 1        341     0       0
PRIMEWEST       COMMON
  ENERGY TRUST  STOCK     741930309     108       3984    SHARES                X                 2          0     0    3984
PRIMEWEST       COMMON
  ENERGY TRUST  STOCK     741930309      21        786    SHARES                         X        1        786     0       0
PRINCIPAL FINL  COMMON
  GRP           STOCK     74251V102     158       2300    SHARES                X                 3       2300     0       0
PROASSURANCE    COMMON
  CORP          STOCK     74267C106     676      12300    SHARES                X                 3      12300     0       0
PROASSURANCE    COMMON
  CORP          STOCK     74267C106     160       2920    SHARES                X                 1       2720     0     200
PROCTER &       COMMON
  GAMBLE CO     STOCK     742718109   11880     161799    SHARES                X                 3     158354     0    3445
PROCTER &       COMMON
  GAMBLE CO COM STOCK     742718109   44859     610994    SHARES                X                 1     596734     0   14260
PROCTER &       COMMON
  GAMBLE CO COM STOCK     742718109   25669     349623    SHARES                X                 2      41967     0  307656






                                                                                  SEC USE
                                               -----------------------------------------------------------------------------
                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                               
PROCTER &       COMMON
  GAMBLE CO COM STOCK     742718109      22        295    SHARES                X                 4        295     0       0
PROCTER &       COMMON
  GAMBLE CO COM STOCK     742718109   40150     546847    SHARES                         X        1     442080     0  104767
PROGRESS        COMMON
  ENERGY INC    STOCK     743263105     103       2127    SHARES                X                 3       2127     0       0
PROGRESS
  ENERGY INC    COMMON
  COM           STOCK     743263105     525      10835    SHARES                X                 1      10235     0     600
PROGRESS
  ENERGY INC    COMMON
  COM           STOCK     743263105     122       2519    SHARES                         X        1       2519     0       0
PROGRESSIVE     COMMON
  CORP          STOCK     743315103     119       6200    SHARES                X                 3       6200     0       0
PROGRESSIVE     COMMON
  CORP COM      STOCK     743315103      77       4000    SHARES                X                 1       4000     0       0
PROLOGIS        COMMON
                STOCK     743410102     980      15450    SHARES                X                 3      15450     0       0
PROLOGIS (REIT) COMMON
                STOCK     743410102     239       3778    SHARES                X                 1       N.A.  N.A.    N.A.
PROLOGIS (REIT) COMMON
                STOCK     743410102     107       1688    SHARES                X                 2       N.A.  N.A.    N.A.
PROTECTIVE      COMMON
  LIFE CORP     STOCK     743674103      82       2000    SHARES                X                 3       2000     0       0
PROVIDENT
  BANKSHARES    COMMON
  CORPORATI     STOCK     743859100     232      10867    SHARES                X                 1      10867     0       0
PROVIDENT
  BANKSHARES    COMMON
  CORPORATI     STOCK     743859100      60       2810    SHARES                         X        1       2810     0       0
PROVIDENT
  ENERGY TRUST  COMMON
  UNITS         STOCK     74386K104      65       6500    SHARES                X                 1       6500     0       0
PROVIDENT
  ENERGY TRUST  COMMON
  UNITS         STOCK     74386K104      34       3400    SHARES                X                 2          0     0    3400
PROVIDENT
  ENERGY TRUST  COMMON
  UNITS         STOCK     74386K104      17       1700    SHARES                         X        1       1700     0       0
PROVIDENT
  FINANCIAL     COMMON
  SERVICES I    STOCK     74386T105      12        800    SHARES                X                 1        800     0       0
PROXYMED INC    COMMON
                STOCK     744290305       1        500    SHARES                         X        1        500     0       0
PRUDENTIAL      COMMON
  FINANCIAL INC STOCK     744320102     338       3637    SHARES                X                 1       3637     0       0
PRUDENTIAL      COMMON
  FINANCIAL INC STOCK     744320102      82        878    SHARES                         X        1        713     0     165
PRUDENTIAL FINL COMMON
                STOCK     744320102     363       3900    SHARES                X                 3       3900     0       0
PSYCHIATRIC     COMMON
  SOLUTION      STOCK     74439H108    5037     154911    SHARES                X                 3     150715     0    4196
PSYCHIATRIC     COMMON
  SOLUTIONS INC STOCK     74439H108    3917     120521    SHARES                X                 1     117829     0    2692
PSYCHIATRIC     COMMON
  SOLUTIONS INC STOCK     74439H108      81       2500    SHARES                         X        1       1325     0    1175
PUBLIC STORAGE  REIT      74460D109      77       1050    SHARES                X                 3       1050     0       0
PUBLIC STORAGE  COMMON
  INC COM       STOCK     74460D109       4         56    SHARES                X                 1       N.A.  N.A.    N.A.
PUBLIC SVC      COMMON
  ENTERPR       STOCK     744573106     207       2110    SHARES                X                 3       2110     0       0
PUBLIC SVC
  ENTERPRISE    COMMON
  GROUP IN      STOCK     744573106     605       6158    SHARES                X                 1       6053     0     105
PUBLIC SVC
  ENTERPRISE    COMMON
  GROUP IN      STOCK     744573106     399       4061    SHARES                         X        1       4061     0       0
PUGET ENERGY    COMMON
  INC COM       STOCK     745310102      20        715    SHARES                X                 1        715     0       0
PUGET ENERGY    COMMON
  INC COM       STOCK     745310102      24        874    SHARES                         X        1        874     0       0
PULTE HOMES INC COMMON
                STOCK     745867101      18       1700    SHARES                X                 3       1700     0       0
PULTE HOMES     COMMON
  INC COM       STOCK     745867101      32       3000    SHARES                X                 2          0     0    3000
PUTNAM PREMIER  PREFERRED
  INCOME TRUST  STOCK     746853100       1        114    SHARES                X                 1       N.A.  N.A.    N.A.
QLOGIC CORP     COMMON
                STOCK     747277101      20       1400    SHARES                X                 3       1400     0       0
QLOGIC CORP     COMMON
                STOCK     747277101      27       1924    SHARES                X                 1       1924     0       0
QUALCOMM INC    COMMON
                STOCK     747525103    3738      94991    SHARES                X                 3      91573     0    3418
QUALCOMM INC    COMMON
  COM           STOCK     747525103    7228     183674    SHARES                X                 1     182134     0    1540
QUALCOMM INC    COMMON
  COM           STOCK     747525103     181       4600    SHARES                X                 2          0     0    4600
QUALCOMM INC    COMMON
  COM           STOCK     747525103    1131      28748    SHARES                         X        1      28348     0     400
QUANTA
  SERVICES INC  COMMON
  COM           STOCK     74762E102    1283      48878    SHARES                X                 1      48223     0     655
QUANTA SVCS INC COMMON
                STOCK     74762E102    2028      77300    SHARES                X                 3      77300     0       0
QUEST CAPITAL   COMMON
  CORP          STOCK     74835U109       3       1000    SHARES                X                 1       1000     0       0
QUEST           COMMON
  DIAGNOSTICS   STOCK     74834L100      69       1300    SHARES                X                 3       1300     0       0
QUEST
  DIAGNOSTICS   COMMON
  INC           STOCK     74834L100     500       9453    SHARES                X                 1       9453     0       0
QUEST
  DIAGNOSTICS   COMMON
  INC           STOCK     74834L100     201       3800    SHARES                X                 2          0     0    3800
QUEST
  DIAGNOSTICS   COMMON
  INC           STOCK     74834L100     291       5498    SHARES                         X        1       5198     0     300
QUESTAR CORP    COMMON
                STOCK     748356102      81       1500    SHARES                X                 3       1500     0       0
QUESTAR CORP    COMMON
  COM           STOCK     748356102     181       3350    SHARES                X                 1       3350     0       0
QUESTAR CORP    COMMON
  COM           STOCK     748356102     173       3200    SHARES                         X        1       3200     0       0
QWEST
  COMMUNCTN     COMMON
  INTL          STOCK     749121109      92      13100    SHARES                X                 3      13100     0       0






                                                                                      SEC USE
                                                   -----------------------------------------------------------------------------
                                                                                   COLUMN 6                       COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                   ------------------------ ----------------------          --------------------
                     COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1             TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------       -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                   
QWEST
  COMMUNICATIONS      COMMON
  INTL INC            STOCK   749121109      24       3376    SHARES                X                 1       3376     0       0
QWEST
  COMMUNICATIONS      COMMON
  INTL INC            STOCK   749121109    1381     196955    SHARES                X                 2      91455     0  105500
QWEST
  COMMUNICATIONS      COMMON
  INTL INC            STOCK   749121109      18       2513    SHARES                         X        1       2303     0     210
R H DONNELLEY         COMMON
  CORP                STOCK   74955W307       4        111    SHARES                X                 1        111     0       0
R H DONNELLEY         COMMON
  CORP                STOCK   74955W307       1         40    SHARES                         X        1         40     0       0
RADIAN GROUP          COMMON
  INC COM             STOCK   750236101      16       1375    SHARES                X                 1       1375     0       0
RADIOSHACK CORP       COMMON
                      STOCK   750438103      38       2247    SHARES                X                 3       2247     0       0
RAINING DATA          COMMON
  CORPORATION         STOCK   75087R108     390      80000    SHARES                X                 2          0     0   80000
RAIT FINANCIAL        COMMON
  TRUST               STOCK   749227104       4        500    SHARES                         X        1       N.A.  N.A.    N.A.
RANGE
  RESOURCES           COMMON
  CORP                STOCK   75281A109      51       1000    SHARES                X                 3       1000     0       0
RANGE
  RESOURCES           COMMON
  CORPORATION         STOCK   75281A109       8        158    SHARES                X                 1        158     0       0
RAYONIER INC          COMMON
  COM                 STOCK   754907103      22        464    SHARES                X                 1        464     0       0
RAYONIER INC          COMMON
  COM                 STOCK   754907103    2555      54100    SHARES                X                 2       9300     0   44800
RAYONIER INC          COMMON
  COM                 STOCK   754907103     144       3050    SHARES                         X        1       3050     0       0
RAYTHEON              COMMON
                      STOCK   755111507     225       3700    SHARES                X                 3       3700     0       0
RAYTHEON CO           COMMON
  COM NEW             STOCK   755111507     417       6868    SHARES                X                 1       6844     0      24
RAYTHEON CO           COMMON
  COM NEW             STOCK   755111507      12        200    SHARES                X                 4        200     0       0
RAYTHEON CO           COMMON
  COM NEW             STOCK   755111507    1208      19900    SHARES                         X        1      19400     0     500
REALTY INCOME         COMMON
  CORP                STOCK   756109104     162       6000    SHARES                X                 2       N.A.  N.A.    N.A.
RED HAT INC COM       COMMON
                      STOCK   756577102      10        500    SHARES                X                 2          0     0     500
REDWOOD TRUST         COMMON
  INC-REIT            STOCK   758075402      10        290    SHARES                X                 1       N.A.  N.A.    N.A.
REED ELSEVIER         COMMON
  PLC SPONS ADR       STOCK   758205108       2         28    SHARES                X                 1         28     0       0
REGENERX
  BIOPHARMACEUTICALS  COMMON
  IN                  STOCK   75886X108      11      11400    SHARES                X                 2          0     0   11400
REGIONS
  FINANCIAL           COMMON
  CORP                STOCK   7591EP100      61       2576    SHARES                X                 1       2576     0       0
REGIONS
  FINANCIAL           COMMON
  CORP                STOCK   7591EP100       4        164    SHARES                X                 2          0     0     164
REGIONS
  FINANCIAL           COMMON
  CORP                STOCK   7591EP100     113       4771    SHARES                         X        1       4771     0       0
REGIONS FINL          COMMON
  CORP                STOCK   7591EP100     142       6000    SHARES                X                 3       6000     0       0
REGIS CORP MINN       COMMON
                      STOCK   758932107       3        100    SHARES                X                 1        100     0       0
REPSOL YPF SA         COMMON
  SPON ADR            STOCK   76026T205      36       1018    SHARES                X                 1       1018     0       0
REPUBLIC SVCS         COMMON
  INC                 STOCK   760759100     994      31700    SHARES                X                 3      31700     0       0
REPUBLIC SVCS         COMMON
  INC COM             STOCK   760759100      58       1855    SHARES                X                 1       1700     0     155
RESEARCH IN
  MOTION              COMMON
  LIMITED             STOCK   760975102      51        450    SHARES                X                 1        450     0       0
RESEARCH IN
  MOTION              COMMON
  LIMITED             STOCK   760975102   18731     165180    SHARES                X                 2          0     0  165180
RESMED INC            COMMON
                      STOCK   761152107    1072      20415    SHARES                X                 1      19519     0     896
RESMED INC            COMMON
                      STOCK   761152107    3177      60490    SHARES                X                 3      59329     0    1161
REUTERS GROUP         COMMON
  PLC SPONS ADR       STOCK   76132M102      76       1000    SHARES                X                 1       1000     0       0
REXAM PLC             COMMON
                      STOCK   761655406       1         21    SHARES                X                 1         21     0       0
REYNOLDS              COMMON
  AMERICAN INC        STOCK   761713106     205       3101    SHARES                X                 1       3101     0       0
REYNOLDS              COMMON
  AMERICAN INC        STOCK   761713106      59        900    SHARES                         X        1        900     0       0
REYNOLDS AMERN        COMMON
  INC                 STOCK   761713106      92       1400    SHARES                X                 3       1400     0       0
RF MICRO
  DEVICES INC         COMMON
  COM                 STOCK   749941100     201      35254    SHARES                X                 1      32859     0    2395
RF
  MICRODEVICES        COMMON
  INC                 STOCK   749941100    1843     322800    SHARES                X                 3     322800     0       0
RIO TINTO PLC         COMMON
  SPONSORED ADR       STOCK   767204100      21         50    SHARES                X                 1         50     0       0
RIO TINTO PLC         COMMON
  SPONSORED ADR       STOCK   767204100     273        650    SHARES                X                 2          0     0     650
RITE AID CORP         COMMON
  COM                 STOCK   767754104      13       4600    SHARES                X                 1       2300     0    2300
RITE AID CORP         COMMON
  COM                 STOCK   767754104       2        600    SHARES                         X        1        600     0       0
ROBERT HALF           COMMON
  INTL INC            STOCK   770323103      56       2080    SHARES                X                 3       2080     0       0
ROBERT HALF           COMMON
  INTL INC COM        STOCK   770323103      39       1430    SHARES                X                 1       1430     0       0
ROBERT HALF           COMMON
  INTL INC COM        STOCK   770323103      33       1205    SHARES                         X        1       1100     0     105
ROCKWELL              COMMON
  AUTOMATION          STOCK   773903109    3549      51474    SHARES                X                 3      48598     0    2876
ROCKWELL
  AUTOMATION          COMMON
  INC.                STOCK   773903109    7211     104566    SHARES                X                 1     102102     0    2464






                                                                                 SEC USE
                                               ---------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          ------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                              
ROCKWELL
  AUTOMATION    COMMON
  INC.          STOCK     773903109     113       1632    SHARES                X                 2         0     0   1632
ROCKWELL
  AUTOMATION    COMMON
  INC.          STOCK     773903109      12        175    SHARES                X                 4       175     0      0
ROCKWELL
  AUTOMATION    COMMON
  INC.          STOCK     773903109    1036      15020    SHARES                         X        1     13770     0   1250
ROCKWELL        COMMON
  COLLINS COM   STOCK     774341101     349       4852    SHARES                X                 1      4852     0      0
ROCKWELL        COMMON
  COLLINS COM   STOCK     774341101     117       1632    SHARES                X                 2         0     0   1632
ROCKWELL        COMMON
  COLLINS COM   STOCK     774341101     229       3175    SHARES                         X        1      3095     0     80
ROCKWELL        COMMON
  COLLINS INC   STOCK     774341101     101       1400    SHARES                X                 3      1400     0      0
ROHM & HAAS CO  COMMON
                STOCK     775371107     211       3975    SHARES                X                 3      3975     0      0
ROHM & HAAS CO  COMMON
                STOCK     775371107      20        368    SHARES                X                 1       368     0      0
ROHM & HAAS CO  COMMON
                STOCK     775371107     631      11896    SHARES                         X        1     11896     0      0
ROSS STORES INC COMMON
                STOCK     778296103     379      14850    SHARES                X                 3     14850     0      0
ROSS STORES     COMMON
  INC COM       STOCK     778296103     338      13216    SHARES                X                 1     12272     0    944
ROSS STORES     COMMON
  INC COM       STOCK     778296103     113       4425    SHARES                         X        1      2975     0   1450
ROWAN COS INC   COMMON
                STOCK     779382100      36        900    SHARES                X                 3       900     0      0
ROYAL BANK
  SCOTLAND PFD  PREFERRED
  6.40%         STOCK     780097796      40       2000    SHARES                X                 1      N.A.  N.A.   N.A.
ROYAL BK CANADA COMMON
                STOCK     780087102      41        800    SHARES                X                 2         0     0    800
ROYAL BK CANADA COMMON
                STOCK     780087102      51       1000    SHARES                         X        1      1000     0      0
ROYAL DUTCH
  SHELL         COMMON
  PLC-ADR A     STOCK     780259206    4347      51624    SHARES                X                 1     51424     0    200
ROYAL DUTCH
  SHELL         COMMON
  PLC-ADR A     STOCK     780259206     422       5014    SHARES                X                 2         0     0   5014
ROYAL DUTCH
  SHELL         COMMON
  PLC-ADR A     STOCK     780259206    4326      51373    SHARES                         X        1     46773     0   4600
ROYAL DUTCH
  SHELL         COMMON
  PLC-ADR B     STOCK     780259107      66        800    SHARES                X                 2         0     0    800
ROYAL DUTCH
  SHELL         COMMON
  PLC-ADR B     STOCK     780259107      54        646    SHARES                X                 3         0     0    646
ROYAL GOLD INC  COMMON
                STOCK     780287108    1248      40900    SHARES                X                 3     40900     0      0
ROYAL GOLD      COMMON
  INCORPORATED  STOCK     780287108      75       2450    SHARES                X                 1      2250     0    200
ROYCE VALUE     COMMON
  TRUST (CE)    STOCK     780910105      30       1601    SHARES                X                 1      1601     0      0
RPM             COMMON
  INTERNATIONAL STOCK     749685103      89       4400    SHARES                X                 3      4400     0      0
RPM INTL INC    COMMON
                STOCK     749685103      10        500    SHARES                X                 1       500     0      0
RPM INTL INC    COMMON
                STOCK     749685103     594      29300    SHARES                X                 2     18300     0  11000
RPM INTL INC    COMMON
                STOCK     749685103      32       1600    SHARES                         X        1      1600     0      0
RUBY TUESDAY    COMMON
  INC           STOCK     781182100       2        200    SHARES                X                 1       200     0      0
RYDER SYSTEMS   COMMON
  INC           STOCK     783549108      22        470    SHARES                X                 3       470     0      0
RYDEX RUSSELL   PREFERRED
  TOP 50 ETF    STOCK     78355W205     584       5280    SHARES                         X        1      N.A.  N.A.   N.A.
RYLAND GROUP    COMMON
  INC           STOCK     783764103      30       1100    SHARES                X                 2         0     0   1100
S & T BANCORP   COMMON
  INC           STOCK     783859101      11        400    SHARES                         X        1       400     0      0
S&P 500 DEP     COMMON
  RECEIPTS      STOCK     78462F103    1667      11400    SHARES                X                 3     11400     0      0
SAFECO CORP     COMMON
                STOCK     786429100      46        825    SHARES                X                 3       825     0      0
SAFETY          COMMON
  INSURANCE GRP STOCK     78648T100       8        215    SHARES                X                 1       215     0      0
SAFEWAY INC     COMMON
                STOCK     786514208     155       4551    SHARES                X                 3      4551     0      0
SAFEWAY INC COM COMMON
                STOCK     786514208       7        200    SHARES                X                 1       200     0      0
SAFEWAY INC COM COMMON
                STOCK     786514208      62       1800    SHARES                         X        1       300     0   1500
SALISBURY       COMMON
  BANCORP INC.  STOCK     795226109     195       5700    SHARES         X                               5700     0      0
SALLY BEAUTY    COMMON
  COMPANY INC   STOCK     79546E104       1        100    SHARES                X                 1       100     0      0
SAN JUAN BASIN  COMMON
  ROYALTY TR    STOCK     798241105      33       1000    SHARES                X                 1      1000     0      0
SAN JUAN BASIN  COMMON
  ROYALTY TR    STOCK     798241105       7        200    SHARES                         X        1       200     0      0
SANDISK CORP    COMMON
                STOCK     80004C101      63       1900    SHARES                X                 3      1900     0      0
SANDISK CORP    COMMON
  COM           STOCK     80004C101      60       1800    SHARES                X                 1      1800     0      0
SANDISK CORP    COMMON
  COM           STOCK     80004C101      13        405    SHARES                         X        1       405     0      0
SANDY SPRING    COMMON
  BANCORP INC   STOCK     800363103       6        200    SHARES                X                 1       200     0      0
SANDY SPRING    COMMON
  BANCORP INC   STOCK     800363103    1409      50630    SHARES                         X        1     50630     0      0
SANOFI-         COMMON
  AVENTIS ADR   STOCK     80105N105      64       1407    SHARES                X                 1      1407     0      0
SANOFI-         COMMON
  AVENTIS ADR   STOCK     80105N105      36        800    SHARES                X                 2         0     0    800






                                                                                  SEC USE
                                                ----------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          -------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
SAP AG SPONS     COMMON
  ADR            STOCK     803054204      13        250    SHARES                X                 2          0     0    250
SAP AG SPONS     COMMON
  ADR            STOCK     803054204      61       1200    SHARES                         X        1       1200     0      0
SARA LEE CORP    COMMON
                 STOCK     803111103     319      19856    SHARES                X                 1      19856     0      0
SARA LEE CORP    COMMON
                 STOCK     803111103     132       8220    SHARES                X                 3       8220     0      0
SARA LEE CORP    COMMON
                 STOCK     803111103     603      37540    SHARES                         X        1      32740     0   4800
SASOL LTD        COMMON
  SPONS-ADR      STOCK     803866300      49       1000    SHARES                         X        1       1000     0      0
SAUL CENTERS     COMMON
  INCORPORATED   STOCK     804395101     134       2500    SHARES                X                 2       N.A.  N.A.   N.A.
SBA              COMMON
  COMMUNICATIONS STOCK     78388J106     691      20400    SHARES                X                 3      20400     0      0
SBA
  COMMUNICATIONS COMMON
  CORP           STOCK     78388J106      41       1200    SHARES                X                 1       1100     0    100
SCANA CORP NEW   COMMON
  COM            STOCK     80589M102     206       4881    SHARES                X                 1       4881     0      0
SCANA CORP NEW   COMMON
  COM            STOCK     80589M102      80       1900    SHARES                X                 3       1900     0      0
SCANA CORP NEW   COMMON
  COM            STOCK     80589M102     279       6609    SHARES                         X        1       6609     0      0
SCHERING         COMMON
  PLOUGH CORP    STOCK     806605101    2025      76023    SHARES                X                 1      76023     0      0
SCHERING         COMMON
  PLOUGH CORP    STOCK     806605101     565      21200    SHARES                X                 2          0     0  21200
SCHERING         COMMON
  PLOUGH CORP    STOCK     806605101     421      15800    SHARES                X                 3      15800     0      0
SCHERING         COMMON
  PLOUGH CORP    STOCK     806605101    1282      48111    SHARES                         X        1      38161     0   9950
SCHLUMBERGER     COMMON
  LTD            STOCK     806857108   22829     232070    SHARES                X                 1     230955     0   1115
SCHLUMBERGER     COMMON
  LTD            STOCK     806857108    3689      37506    SHARES                X                 2          0     0  37506
SCHLUMBERGER     COMMON
  LTD            STOCK     806857108    7379      75021    SHARES                X                 3      73258     0   1763
SCHLUMBERGER     COMMON
  LTD            STOCK     806857108      39        400    SHARES                X                 4        400     0      0
SCHLUMBERGER     COMMON
  LTD            STOCK     806857108    7605      77311    SHARES                         X        1      72221     0   5090
SCHOLASTIC CORP  COMMON
                 STOCK     807066105      26        734    SHARES                X                 3        734     0      0
SCHWAB CHARLES   COMMON
  CORP           STOCK     808513105     215       8400    SHARES                X                 3       8400     0      0
SCHWAB CHARLES   COMMON
  CORP NEW COM   STOCK     808513105     421      16496    SHARES                X                 1      16496     0      0
SCOLR PHARMA     COMMON
  INC            STOCK     78402X107      29      20000    SHARES                X                 2          0     0  20000
SCRIPPS E W CO   COMMON
  OHIO           STOCK     811054204      32        700    SHARES                X                 3        700     0      0
SEAGATE          COMMON
  TECHNOLOGY     STOCK     G7945J104     872      34206    SHARES                X                 1      32542     0   1664
SEAGATE          COMMON
  TECHNOLOGY     STOCK     G7945J104     894      35025    SHARES                X                 3      35025     0      0
SEAGATE          ESCROW
  TECHNOLOGY     COMMON
                 STK       811804988       0       2330    SHARES                X                 3       2330     0      0
SEAGATE          COMMON
  TECHNOLOGY     STOCK     G7945J104     214       8404    SHARES                         X        1       6929     0   1475
SEALED AIR CORP  COMMON
                 STOCK     81211K100      32       1364    SHARES                X                 3       1364     0      0
SEALED AIR       COMMON
  CORP NEW COM   STOCK     81211K100       6        270    SHARES                X                 1        270     0      0
SEARS HOLDING    COMMON
  CORP           STOCK     812350106      66        650    SHARES                X                 3        650     0      0
SEARS HOLDINGS   COMMON
  CORP           STOCK     812350106     202       1983    SHARES                X                 1       1753     0    230
SEARS HOLDINGS   COMMON
  CORP           STOCK     812350106      57        562    SHARES                         X        1        562     0      0
SEASPAN CORP     COMMON
                 STOCK     Y75638109     135       5500    SHARES                         X        1       5500     0      0
SECURE
  COMPUTING      COMMON
  CORP           STOCK     813705100       0         25    SHARES                X                 1         25     0      0
SEI CORP COM     COMMON
                 STOCK     784117103     105       3270    SHARES                X                 1       3270     0      0
SELECT COMFORT   COMMON
  CORPORATION    STOCK     81616X103       7       1061    SHARES                X                 3       1061     0      0
SELECT SECTOR
  SPDR           COMMON
  UTILITIES      STOCK     81369Y886      59       1385    SHARES                X                 1       1385     0      0
SELECT SECTOR
  SPDR           COMMON
  UTILITIES      STOCK     81369Y886      25        600    SHARES                         X        1        600     0      0
SELECTIVE INS    COMMON
  GROUP INC      STOCK     816300107      90       3912    SHARES                X                 1       3912     0      0
SELIGMAN
  SELECT         PREFERRED
  MUNICIPAL FD   STOCK     816344105      10       1000    SHARES                         X        1       N.A.  N.A.   N.A.
SEMICONDUCTOR
  MFG INTL       COMMON
  CORP-AD        STOCK     81663N206       5       1000    SHARES                X                 2          0     0   1000
SEMPRA ENERGY    COMMON
                 STOCK     816851109     142       2300    SHARES                X                 3       2300     0      0
SEMPRA ENERGY    COMMON
  COM            STOCK     816851109      12        200    SHARES                X                 1        200     0      0
SEMPRA ENERGY    COMMON
  COM            STOCK     816851109      33        532    SHARES                         X        1        532     0      0
SEMTECH CORP     COMMON
  COM            STOCK     816850101      24       1548    SHARES                X                 3       1548     0      0
SENIOR HOUSING
  PROPERTIES     COMMON
  TR (           STOCK     81721M109      11        500    SHARES                X                 1       N.A.  N.A.   N.A.
SENIOR HOUSING
  PROPERTIES     COMMON
  TR (           STOCK     81721M109       2        100    SHARES                         X        1       N.A.  N.A.   N.A.
SERVICE
  CORPORATION    COMMON
  INTL           STOCK     817565104     103       7300    SHARES                X                 2          0     0   7300






                                                                                SEC USE
                                              ----------------------------------------------------------------------------
                                                                              COLUMN 6                      COLUMN 8
                                                      COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                              ------------------------ ----------------------          -------------------
                COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                              
SEVERN BANCORP   COMMON
  INC            STOCK   81811M100       5        484    SHARES                X                 1        484     0      0
SEVERN BANCORP   COMMON
  INC            STOCK   81811M100       7        726    SHARES                         X        1        726     0      0
SHAW GROUP INC   COMMON
                 STOCK   820280105    1728      28600    SHARES                X                 3      28600     0      0
SHAW GROUP INC   COMMON
  COM            STOCK   820280105     377       6240    SHARES                X                 1       6100     0    140
SHERWIN          COMMON
  WILLIAMS CO    STOCK   824348106      69       1190    SHARES                X                 3       1190     0      0
SHERWIN
  WILLIAMS CO    COMMON
  COM            STOCK   824348106      22        380    SHARES                X                 1        380     0      0
SHERWIN
  WILLIAMS CO    COMMON
  COM            STOCK   824348106     302       5200    SHARES                         X        1        200     0   5000
SHIP FINANCE     COMMON
  INTL LTD       STOCK   G81075106      25        891    SHARES                X                 1        891     0      0
SHIP FINANCE     COMMON
  INTL LTD       STOCK   G81075106       1         47    SHARES                         X        1         47     0      0
SIEMENS A G      COMMON
  SPONSORED ADR  STOCK   826197501       4         26    SHARES                X                 1         26     0      0
SIERRA HEALTH    COMMON
  SERVICES INC   STOCK   826322109      11        270    SHARES                X                 3        270     0      0
SIERRA PACIFIC   COMMON
  RESOURCES      STOCK   826428104       8        495    SHARES                X                 1        495     0      0
SIERRA           COMMON
  WIRELESS INC   STOCK   826516106    1168      78700    SHARES                X                 3      78700     0      0
SIERRA           COMMON
  WIRELESS INC   STOCK   826516106      71       4785    SHARES                X                 1       4400     0    385
SIGMA ALDRICH    COMMON
  CORP           STOCK   826552101      60       1100    SHARES                X                 3       1100     0      0
SILVER WHEATON   COMMON
                 STOCK   828336107    1127      66400    SHARES                X                 3      66400     0      0
SILVER WHEATON   COMMON
  CORPORATION    STOCK   828336107      67       3925    SHARES                X                 1       3600     0    325
SIMON PPTY INC   REIT    828806109     169       1950    SHARES                X                 3       1950     0      0
SIMON PROPERTY
  GRP INC        COMMON
  (REIT)         STOCK   828806109    1192      13728    SHARES                X                 1       N.A.  N.A.   N.A.
SIMON PROPERTY
  GRP INC        COMMON
  (REIT)         STOCK   828806109    1700      19572    SHARES                X                 2       N.A.  N.A.   N.A.
SIMON PROPERTY
  GRP INC        COMMON
  (REIT)         STOCK   828806109     890      10244    SHARES                         X        1       N.A.  N.A.   N.A.
SIRIUS
  SATELLITE      COMMON
  RADIO INC COM  STOCK   82966U103      19       6170    SHARES                X                 1       6170     0      0
SIRIUS
  SATELLITE      COMMON
  RADIO INC COM  STOCK   82966U103      59      19500    SHARES                X                 2          0     0  19500
SIRONA DENTAL    COMMON
  SYSTEMS INC    STOCK   82966C103      33        975    SHARES                X                 1        975     0      0
SK TELECOM CO    COMMON
  LTD - ADR      STOCK   78440P108       1         24    SHARES                X                 1         24     0      0
SKYWORKS         COMMON
  SOLUTIONS      STOCK   83088M102     896     105300    SHARES                X                 3     105300     0      0
SKYWORKS         COMMON
  SOLUTIONSINC   STOCK   83088M102     277      32535    SHARES                X                 1      32000     0    535
SKYWORKS         COMMON
  SOLUTIONSINC   STOCK   83088M102       2        252    SHARES                         X        1        252     0      0
SLM CORP         COMMON
                 STOCK   78442P106      87       4300    SHARES                X                 3       4300     0      0
SLM CORP COM     COMMON
                 STOCK   78442P106      44       2180    SHARES                X                 1       2180     0      0
SLM CORP COM     COMMON
                 STOCK   78442P106     921      45728    SHARES                X                 2      40728     0   5000
SMITH INTL INC   COMMON
                 STOCK   832110100    2570      34800    SHARES                X                 1      34800     0      0
SMITH INTL INC   COMMON
                 STOCK   832110100     161       2178    SHARES                X                 3       2178     0      0
SMITH INTL INC   COMMON
                 STOCK   832110100      30        400    SHARES                         X        1        400     0      0
SMITHFIELD       COMMON
  FOODS INC      STOCK   832248108      26        900    SHARES                X                 2          0     0    900
SMITHFIELD       COMMON
  FOODS INC      STOCK   832248108      29       1000    SHARES                         X        1       1000     0      0
SNAP-ON INC      COMMON
                 STOCK   833034101      23        480    SHARES                X                 3        480     0      0
SOHU COM INC     COMMON
                 STOCK   83408W103     976      17900    SHARES                X                 3      17900     0      0
SOHU.COM INC     COMMON
                 STOCK   83408W103      59       1090    SHARES                X                 1       1000     0     90
SONOCO PRODS     COMMON
                 STOCK   835495102      78       2400    SHARES                X                 3       2400     0      0
SONOCO
  PRODUCTS CO    COMMON
  COM            STOCK   835495102      23        700    SHARES                         X        1        700     0      0
SONOSITE INC     COMMON
                 STOCK   83568G104    1205      35800    SHARES                X                 3      35800     0      0
SONOSITE INC     COMMON
  COM            STOCK   83568G104      73       2180    SHARES                X                 1       2000     0    180
SONY CORP -      COMMON
  SPONSORED ADR  STOCK   835699307       4         82    SHARES                X                 1         82     0      0
SONY CORP -      COMMON
  SPONSORED ADR  STOCK   835699307      65       1200    SHARES                         X        1       1200     0      0
SOUTH FINL       COMMON
  GROUP INC      STOCK   837841105      72       4600    SHARES                X                 3       4600     0      0
SOUTHERN CO      COMMON
                 STOCK   842587107     240       6200    SHARES                X                 3       6200     0      0
SOUTHERN CO COM  COMMON
                 STOCK   842587107    1060      27354    SHARES                X                 1      26304     0   1050
SOUTHERN CO COM  COMMON
                 STOCK   842587107     116       3003    SHARES                X                 2          0     0   3003
SOUTHERN CO COM  COMMON
                 STOCK   842587107    1283      33122    SHARES                         X        1      32122     0   1000
SOUTHERN         COMMON
  COPPER CORP    STOCK   84265V105      50        473    SHARES                X                 1        273     0    200






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
SOUTHERN        COMMON
  COPPER CORP   STOCK     84265V105      20        188    SHARES                X                 3        188     0      0
SOUTHWEST
  AIRLINES CO   COMMON
  COM           STOCK     844741108      12       1012    SHARES                X                 1       1012     0      0
SOUTHWEST
  AIRLINES CO   COMMON
  COM           STOCK     844741108      32       2600    SHARES                         X        1       2600     0      0
SOUTHWEST       COMMON
  AIRLS CO      STOCK     844741108      83       6800    SHARES                X                 3       6800     0      0
SOUTHWEST GAS   COMMON
  CORP COM      STOCK     844895102      30       1000    SHARES                         X        1       1000     0      0
SOUTHWESTERN    COMMON
  ENERGY        STOCK     845467109    2042      36665    SHARES                X                 3      36665     0      0
SOUTHWESTERN
  ENERGY        COMMON
  COMPANY       STOCK     845467109    1705      30608    SHARES                X                 1      30353     0    255
SOUTHWESTERN
  ENERGY        COMMON
  COMPANY       STOCK     845467109       6        100    SHARES                         X        1        100     0      0
SOVEREIGN       COMMON
  BANCORP       STOCK     845905108      36       3200    SHARES                X                 3       3200     0      0
SOVEREIGN       COMMON
  BANCORP INC   STOCK     845905108    1361     119419    SHARES                X                 1     116695     0   2724
SOVEREIGN       COMMON
  BANCORP INC   STOCK     845905108      34       2940    SHARES                         X        1       2520     0    420
SOVRAN SELF     COMMON
  STORAGE INC   STOCK     84610H108     401      10000    SHARES                         X        1       N.A.  N.A.   N.A.
SPDR TRUST
  SERIES 1 S&P  PREFERRED
  500 IN        STOCK     78462F103    6232      42621    SHARES                X                 1       N.A.  N.A.   N.A.
SPDR TRUST
  SERIES 1 S&P  PREFERRED
  500 IN        STOCK     78462F103     963       6586    SHARES                X                 2       N.A.  N.A.   N.A.
SPDR TRUST
  SERIES 1 S&P  PREFERRED
  500 IN        STOCK     78462F103    9662      66081    SHARES                         X        1       N.A.  N.A.   N.A.
SPECTRA ENERGY  COMMON
  CORP          STOCK     847560109     316      12226    SHARES                X                 1      12226     0      0
SPECTRA ENERGY  COMMON
  CORP          STOCK     847560109     162       6288    SHARES                X                 3       5898     0    390
SPECTRA ENERGY  COMMON
  CORP          STOCK     847560109     385      14912    SHARES                         X        1      14662     0    250
SPECTRUM CTL    COMMON
  INC COM       STOCK     847615101     143       9300    SHARES                         X        1       9300     0      0
SPEEDWAY
  MOTORSPORTS   COMMON
  INCORPORA     STOCK     847788106       3        100    SHARES                         X        1        100     0      0
SPIRIT          COMMON
  AEROSYSTEMS   STOCK     848574109    1411      40900    SHARES                X                 3      40900     0      0
SPIRIT
  AEROSYSTEMS   COMMON
  HOLD-CL A     STOCK     848574109      79       2300    SHARES                X                 1       2300     0      0
SPRINT NEXTEL   COMMON
                STOCK     852061100     334      25400    SHARES                X                 3      25400     0      0
SPRINT NEXTEL   COMMON
  CORP          STOCK     852061100     240      18242    SHARES                X                 1      11242     0   7000
SPRINT NEXTEL   COMMON
  CORP          STOCK     852061100     908      69125    SHARES                X                 2      57200     0  11925
SPRINT NEXTEL   COMMON
  CORP          STOCK     852061100      81       6170    SHARES                         X        1       6170     0      0
SPX CORP COM    COMMON
                STOCK     784635104      26        249    SHARES                         X        1        249     0      0
SRA
  INTERNATIONAL COMMON
  INCORPORATED  STOCK     78464R105     103       3500    SHARES                X                 2          0     0   3500
ST JOE CORP     COMMON
                STOCK     790148100     167       4710    SHARES                X                 1       4710     0      0
ST JOE CORP     COMMON
                STOCK     790148100    5455     153603    SHARES                X                 2      54518     0  99085
ST JOE CORP     COMMON
                STOCK     790148100      27        763    SHARES                         X        1        763     0      0
ST JUDE         COMMON
  MEDICAL INC   STOCK     790849103     118       2900    SHARES                X                 3       2900     0      0
ST JUDE
  MEDICAL INC   COMMON
  COM           STOCK     790849103       7        175    SHARES                X                 1        175     0      0
ST MARY LAND &
  EXPLORATION   COMMON
  COM           STOCK     792228108     232       6000    SHARES                X                 2          0     0   6000
STANDARD        COMMON
  PARKING       STOCK     853790103     448       9225    SHARES                X                 3       9225     0      0
STANDARD        COMMON
  PARKING CORP  STOCK     853790103      28        575    SHARES                X                 1        525     0     50
STANLEY WORKS   COMMON
                STOCK     854616109      34        700    SHARES                X                 3        700     0      0
STANLEY WORKS   COMMON
  COM           STOCK     854616109     332       6850    SHARES                X                 1       6850     0      0
STANLEY WORKS   COMMON
  COM           STOCK     854616109     475       9800    SHARES                         X        1       3800     0   6000
STAPLES INC     COMMON
                STOCK     855030102     445      19307    SHARES                X                 3      15346     0   3961
STAPLES INC COM COMMON
                STOCK     855030102    5913     256309    SHARES                X                 1     251083     0   5226
STAPLES INC COM COMMON
                STOCK     855030102     854      37000    SHARES                X                 2          0     0  37000
STAPLES INC COM COMMON
                STOCK     855030102    1279      55432    SHARES                         X        1      54482     0    950
STAR GAS        COMMON
  PARTNERS LP   STOCK     85512C105       2        500    SHARES                X                 1        500     0      0
STARBUCKS CORP  COMMON
                STOCK     855244109     139       6800    SHARES                X                 3       6800     0      0
STARBUCKS CORP  COMMON
  COM           STOCK     855244109     424      20712    SHARES                X                 1      20712     0      0
STARBUCKS CORP  COMMON
  COM           STOCK     855244109    1961      95755    SHARES                X                 2      49855     0  45900
STARBUCKS CORP  COMMON
  COM           STOCK     855244109      47       2300    SHARES                         X        1       2300     0      0
STARWOOD
  HOTELS &      COMMON
  RESORTS WORL  STOCK     85590A401      16        368    SHARES                X                 1        368     0      0
STARWOOD        COMMON
  HTLS&RESORT   STOCK     85590A401      79       1800    SHARES                X                 3       1800     0      0
STATE STREET    COMMON
  CORP          STOCK     857477103     268       3300    SHARES                X                 3       3300     0      0






                                                                                     SEC USE
                                                   ---------------------------------------------------------------------------
                                                                                   COLUMN 6                      COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                   ------------------------ ----------------------          ------------------
                     COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1             TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------       -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                  
STATE STREET          COMMON
  CORP                STOCK   857477103     227       2792    SHARES                X                 1      2792   0        0
STATE STREET          COMMON
  CORP                STOCK   857477103    1356      16701    SHARES                X                 2         0   0    16701
STATE STREET          COMMON
  CORP                STOCK   857477103    7073      87100    SHARES                         X        1     87100   0        0
STATOILHYDRO
  ASA                 COMMON
  SPONSORED ADR       STOCK   85771P102      20        650    SHARES                X                 3       650   0        0
STEEL DYNAMICS        COMMON
  INC                 STOCK   858119100     941      15800    SHARES                X                 3     15800   0        0
STEEL DYNAMICS        COMMON
  INC                 STOCK   858119100     219       3670    SHARES                X                 1      3430   0      240
STEELCASE INC         COMMON
  CL A                STOCK   858155203      22       1400    SHARES                X                 3      1400   0        0
STEELCASE INC         COMMON
  CL A                STOCK   858155203      16       1000    SHARES                         X        1         0   0     1000
STEMCELLS             COMMON
  INCORPORATED        STOCK   85857R105       2       1000    SHARES                X                 2         0   0     1000
STERICYCLE INC        COMMON
  COM                 STOCK   858912108      24        400    SHARES                X                 2         0   0      400
STERLING
  FINANCIAL           COMMON
  CORP                STOCK   859317109     882      53713    SHARES                X                 1     24646   0    29067
STERLING
  FINANCIAL           COMMON
  CORP                STOCK   859317109      82       5000    SHARES                         X        1         0   0     5000
STIFEL
  FINANCIAL           COMMON
  CORPORATION         STOCK   860630102       9        176    SHARES                X                 2         0   0      176

  STMICROELECTRONICS  COMMON
  N V                 STOCK   861012102       1        100    SHARES                X                 1       100   0        0
STORA ENSO OYJ        COMMON
  SPONSORED ADR       STOCK   86210M106      22       1500    SHARES                         X        1      1500   0        0
STRATEGIC
  DIAGNOSTICS         COMMON
  INC COM             STOCK   862700101     215      40000    SHARES                         X        1     40000   0        0
STREETTRACKS          COMMON
  GOLD TRUST          STOCK   863307104      16        200    SHARES                X                 1       200   0        0
STREETTRACKS          COMMON
  GOLD TRUST          STOCK   863307104     643       7803    SHARES                X                 3      7803   0        0
STREETTRACKS          COMMON
  GOLD TRUST          STOCK   863307104      37        446    SHARES                         X        1       446   0        0
STRYKER CORP          COMMON
                      STOCK   863667101     181       2430    SHARES                X                 3      2430   0        0
STRYKER CORP          COMMON
  COM                 STOCK   863667101     632       8455    SHARES                X                 1      8455   0        0
STRYKER CORP          COMMON
  COM                 STOCK   863667101    6041      80845    SHARES                X                 2         0   0    80845
STRYKER CORP          COMMON
  COM                 STOCK   863667101     120       1600    SHARES                         X        1      1000   0      600
STURM RUGER &         COMMON
  CO INC COM          STOCK   864159108      10       1250    SHARES                X                 1      1250   0        0
STURM RUGER &         COMMON
  CO INC COM          STOCK   864159108       8       1000    SHARES                         X        1      1000   0        0
SUBURBAN
  PROPANE             COMMON
  PARTNERS LP L       STOCK   864482104      10        250    SHARES                X                 1       250   0        0
SUBURBAN
  PROPANE             COMMON
  PARTNERS LP L       STOCK   864482104      41       1000    SHARES                X                 2         0   0     1000
SUBURBAN
  PROPANE             COMMON
  PARTNERS LP L       STOCK   864482104      41       1000    SHARES                         X        1         0   0     1000
SUN LIFE FINL         COMMON
  INC                 STOCK   866796105     167       2992    SHARES                X                 1      2992   0        0
SUN
  MICROSYSTEMS        COMMON
  INC                 STOCK   866810203     132       7300    SHARES                X                 3      7300   0        0
SUN
  MICROSYSTEMS        COMMON
  INCORPORATED        STOCK   866810203     223      12300    SHARES                X                 2     12300   0        0
SUNCOM WIRELSS        COMMON
                      STOCK   86722Q207     769      28829    SHARES         X                              28829   0        0
SUNCOR ENERGY         COMMON
  INC                 STOCK   867229106     111       1025    SHARES                X                 1      1025   0        0
SUNCOR ENERGY         COMMON
  INC                 STOCK   867229106      33        300    SHARES                X                 2         0   0      300
SUNCOR ENERGY         COMMON
  INC                 STOCK   867229106     109       1000    SHARES                         X        1      1000   0        0
SUNOCO INC            COMMON
                      STOCK   86764P109     210       2900    SHARES                X                 3      2900   0        0
SUNOCO INC COM        COMMON
                      STOCK   86764P109     114       1570    SHARES                X                 1      1570   0        0
SUNOCO INC COM        COMMON
                      STOCK   86764P109       7        100    SHARES                         X        1       100   0        0
SUNOCO
  LOGISTICS           COMMON
  PARTNERS LP         STOCK   86764L108     969      19300    SHARES                X                 2      9200   0    10100
SUNOCO
  LOGISTICS           COMMON
  PARTNERS LP         STOCK   86764L108      45        900    SHARES                         X        1       900   0        0
SUNPOWER CORP         COMMON
                      STOCK   867652109    1402      10750    SHARES                X                 3     10750   0        0
SUNPOWER CORP         COMMON
  CL A                STOCK   867652109     112        857    SHARES                X                 1       800   0       57
SUNRISE SENIOR        COMMON
  LIVING INC          STOCK   86768K106       6        200    SHARES                X                 1       200   0        0
SUNRISE SENIOR        COMMON
  LIVING INC          STOCK   86768K106    2177      70942    SHARES                X                 2     44000   0    26942
SUNTRUST BANKS        COMMON
  INC                 STOCK   867914103     604       9660    SHARES                X                 1      9660   0        0
SUNTRUST BANKS        COMMON
  INC                 STOCK   867914103    1173      18764    SHARES                X                 2         0   0    18764
SUNTRUST BANKS        COMMON
  INC                 STOCK   867914103     406       6503    SHARES                X                 3      6503   0        0
SUNTRUST BANKS        COMMON
  INC                 STOCK   867914103    1224      19585    SHARES                         X        1     17885   0     1700
SUPERVALU INC         COMMON
                      STOCK   868536103      68       1800    SHARES                X                 3      1800   0        0
SUPERVALU INC         COMMON
                      STOCK   868536103      92       2457    SHARES                X                 1      2457   0        0
SUSQUEHANNA
  BANCSHARES          COMMON
  INC PA              STOCK   869099101    1316      71377    SHARES                X                 1     69231   0     2146






                                                                                      SEC USE
                                                    ----------------------------------------------------------------------------
                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                      COLUMN 2            COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1              TITLE OF COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------        -------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
SUSQUEHANNA
  BANCSHARES           COMMON
  INC PA               STOCK   869099101     752      40785    SHARES                         X        1      39003  1782      0
SUSQUEHANNA
  BANCSHARES           COMMON
  INC.                 STOCK   869099101   10754     583172    SHARES         X                              583172     0      0
SUTRON                 COMMON
  CORPORATION          STOCK   869380105     212      20000    SHARES                         X        1      20000     0      0
SYMANTEC CORP          COMMON
                       STOCK   871503108     121       7500    SHARES                X                 3       7500     0      0
SYMANTEC CORP          COMMON
  COM                  STOCK   871503108     154       9532    SHARES                X                 1       9532     0      0
SYMANTEC CORP          COMMON
  COM                  STOCK   871503108     107       6650    SHARES                         X        1       6650     0      0
SYNAPTICS INC          COMMON
                       STOCK   87157D109     947      23000    SHARES                X                 3      23000     0      0
SYNAPTICS              COMMON
  INCORPORATED         STOCK   87157D109      58       1420    SHARES                X                 1       1300     0    120
SYNOPSYS INC           COMMON
  COM                  STOCK   871607107       6        250    SHARES                X                 1        250     0      0
SYNOPSYS INC           COMMON
  COM                  STOCK   871607107      39       1500    SHARES                         X        1          0     0   1500
SYNOVUS FINL           COMMON
  CORP                 STOCK   87161C105      67       2792    SHARES                X                 3       2792     0      0
SYNOVUS FINL           COMMON
  CORP COM             STOCK   87161C105      22        900    SHARES                         X        1        900     0      0
SYSCO CORP             COMMON
                       STOCK   871829107    5052     161864    SHARES                X                 1     160071     0   1793
SYSCO CORP             COMMON
                       STOCK   871829107    4200     134571    SHARES                X                 2      35371     0  99200
SYSCO CORP             COMMON
                       STOCK   871829107     464      14853    SHARES                X                 3      11100     0   3753
SYSCO CORP             COMMON
                       STOCK   871829107       8        250    SHARES                X                 4        250     0      0
SYSCO CORP             COMMON
                       STOCK   871829107    8775     281146    SHARES                         X        1     278246     0   2900
TAIWAN
  SEMICONDUCTOR        ADR     874039100     145      14582    SHARES                X                 3      14582     0      0
TAIWAN
  SEMICONDUCTOR        COMMON
  SPON ADR             STOCK   874039100      23       2300    SHARES                X                 1       2300     0      0
TAIWAN
  SEMICONDUCTOR        COMMON
  SPON ADR             STOCK   874039100      10       1004    SHARES                         X        1          0     0   1004
TALISMAN               COMMON
  ENERGY INC           STOCK   87425E103      62       3330    SHARES                X                 1       3330     0      0
TALISMAN               COMMON
  ENERGY INC           STOCK   87425E103       4        210    SHARES                         X        1          0     0    210
TARGET CORP COM        COMMON
                       STOCK   87612E106    6223     124460    SHARES                X                 1     123460     0   1000
TARGET CORP COM        COMMON
                       STOCK   87612E106     833      16650    SHARES                X                 2      15650     0   1000
TARGET CORP COM        COMMON
                       STOCK   87612E106    1973      39461    SHARES                X                 3      39461     0      0
TARGET CORP COM        COMMON
                       STOCK   87612E106    1189      23787    SHARES                         X        1      23012     0    775
TAYLOR DEVICES         COMMON
  INC                  STOCK   877163105     115      16400    SHARES                         X        1      16400     0      0
TCF FINANCIAL          COMMON
  CORP                 STOCK   872275102      47       2600    SHARES                X                 3       2600     0      0
TECH DATA CORP         COMMON
  COM                  STOCK   878237106      19        500    SHARES                         X        1        500     0      0
TECHNE CORP            COMMON
                       STOCK   878377100     642       9723    SHARES                X                 2          0     0   9723
TECHTARGET             COMMON
                       STOCK   87874R100      30       2000    SHARES                X                 2          0     0   2000
TECK COMINCO           COMMON
  LTD- CL B            STOCK   878742204       7        201    SHARES                X                 3        201     0      0
TECK COMINCO           COMMON
  LTD- CL B            STOCK   878742204      36       1000    SHARES                         X        1       1000     0      0
TECO ENERGY INC        COMMON
                       STOCK   872375100      76       4400    SHARES                X                 3       4400     0      0
TECO ENERGY INC        COMMON
                       STOCK   872375100     184      10688    SHARES                X                 1      10688     0      0
TECO ENERGY INC        COMMON
                       STOCK   872375100     366      21242    SHARES                         X        1      20942     0    300
TELE NORTE
  LESTE PART           COMMON
  ADR                  STOCK   879246106      14        735    SHARES                X                 1        735     0      0
TELE NORTE
  LESTE PART           COMMON
  ADR                  STOCK   879246106      20       1045    SHARES                X                 3       1045     0      0
TELECOM ITALIA         COMMON
  SPA                  STOCK   87927Y102       2         54    SHARES                X                 1         54     0      0
TELECOM NEW
  ZEALAND SPON         COMMON
  ADR                  STOCK   879278208       2        142    SHARES                X                 1        142     0      0
TELEDYNE TECH          COMMON
  INC                  STOCK   879360105    1008      18900    SHARES                X                 3      18900     0      0
TELEDYNE
  TECHNOLOGIES         COMMON
  INC COM              STOCK   879360105      73       1375    SHARES                X                 1       1375     0      0
TELEDYNE
  TECHNOLOGIES         COMMON
  INC COM              STOCK   879360105     107       2000    SHARES                         X        1       2000     0      0

  TELEFONAKTIEBOLAGET  COMMON
  LM ERICSSO           STOCK   294821608       1         33    SHARES                X                 1         33     0      0

  TELEFONAKTIEBOLAGET  COMMON
  LM ERICSSO           STOCK   294821608      30       1280    SHARES                         X        1       1280     0      0
TELEFONICA S A         COMMON
  SPONSORED ADR        STOCK   879382208     146       1500    SHARES                X                 1       1500     0      0
TELEFONICA S A         COMMON
  SPONSORED ADR        STOCK   879382208      54        555    SHARES                X                 2          0     0    555
TELEFONOS DE
  MEXICO SA DE         COMMON
  CV                   STOCK   879403707     170       4596    SHARES                X                 1       4596     0      0
TELEFONOS DE
  MEXICO SP            COMMON
  ADR L                STOCK   879403780     261       7092    SHARES                X                 1       7092     0      0
TELEFONOS DE
  MEXICO SP            COMMON
  ADR L                STOCK   879403780       9        233    SHARES                X                 3        233     0      0
TELEFONOS DE
  MEXICO SP            COMMON
  ADR L                STOCK   879403780     107       2900    SHARES                         X        1        900     0   2000






                                                                                  SEC USE
                                                ----------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          -------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
TELLABS INC      COMMON
                 STOCK     879664100      24       3700    SHARES                X                 3       3700     0      0
TEMPLE INLAND    COMMON
  INC            STOCK     879868107      19        900    SHARES                X                 3        900     0      0
TEMPLE INLAND    COMMON
  INC            STOCK     879868107       3        128    SHARES                X                 1        128     0      0
TEMPLE INLAND    COMMON
  INC            STOCK     879868107      11        513    SHARES                X                 2          0     0    513
TEMPLE INLAND    COMMON
  INC            STOCK     879868107       2        100    SHARES                         X        1          0     0    100
TEMPLETON
  DRAGON FUND    PREFERRED
  INC            STOCK     88018T101       3        100    SHARES                X                 1       N.A.  N.A.   N.A.
TEMPLETON
  GLOBAL         PREFERRED
  INCOME FUND-D  STOCK     880198106     317      37500    SHARES                X                 1       N.A.  N.A.   N.A.
TENET            COMMON
  HEALTHCARE     STOCK     88033G100      21       4100    SHARES                X                 3       4100     0      0
TENET
  HEALTHCARE     COMMON
  CORP           STOCK     88033G100      10       1900    SHARES                X                 1       1900     0      0
TEPPCO
  PARTNERS LTD   COMMON
  PARTNERS       STOCK     872384102      94       2450    SHARES                X                 1       2450     0      0
TEPPCO
  PARTNERS LTD   COMMON
  PARTNERS       STOCK     872384102    3689      96250    SHARES                X                 2      27250     0  69000
TERADATA CORP    COMMON
                 STOCK     88076W103      41       1500    SHARES                X                 3       1500     0      0
TERADATA CORP    COMMON
                 STOCK     88076W103       7        262    SHARES                X                 1        262     0      0
TERADATA CORP    COMMON
                 STOCK     88076W103      40       1474    SHARES                         X        1       1458     0     16
TERADYNE INC     COMMON
                 STOCK     880770102      16       1500    SHARES                X                 3       1500     0      0
TEREX CORP       COMMON
                 STOCK     880779103      52        800    SHARES                X                 3        800     0      0
TEREX CORP       COMMON
                 STOCK     880779103      49        751    SHARES                X                 1        751     0      0
TERRA
  INDUSTRIES     COMMON
  INC            STOCK     880915103    1652      34600    SHARES                X                 3      34600     0      0
TERRA
  INDUSTRIES     COMMON
  INC            STOCK     880915103     112       2339    SHARES                X                 1       2174     0    165
TERRA
  INDUSTRIES     COMMON
  INC            STOCK     880915103       1         27    SHARES                         X        1         27     0      0
TESORO           COMMON
  CORPORATION    STOCK     881609101      67       1400    SHARES                X                 3       1400     0      0
TESSERA
  TECHNOLOGIES   COMMON
  INC            STOCK     88164L100      28        684    SHARES                X                 1        684     0      0
TETRA TECH INC   COMMON
                 STOCK     88162G103       2        100    SHARES                X                 1        100     0      0
TEVA
  PHARMACEUTICAL COMMON
  SPONS ADR      STOCK     881624209     473      10174    SHARES                X                 1      10174     0      0
TEVA
  PHARMACEUTICAL COMMON
  SPONS ADR      STOCK     881624209     544      11700    SHARES                         X        1      11700     0      0
TEXAS            COMMON
  INSTRUMENTS    STOCK     882508104    2010      60166    SHARES                X                 3      57306     0   2860
TEXAS
  INSTRUMENTS    COMMON
  INC            STOCK     882508104    6221     186272    SHARES                X                 1     184237     0   2035
TEXAS
  INSTRUMENTS    COMMON
  INC            STOCK     882508104    3560     106588    SHARES                X                 2      76688     0  29900
TEXAS
  INSTRUMENTS    COMMON
  INC            STOCK     882508104       3        100    SHARES                X                 4        100     0      0
TEXAS
  INSTRUMENTS    COMMON
  INC            STOCK     882508104    2403      71940    SHARES                         X        1      64020     0   7920
TEXTRON INC      COMMON
                 STOCK     883203101     217       3050    SHARES                X                 3       2050     0   1000
TEXTRON INC COM  COMMON
                 STOCK     883203101     637       8936    SHARES                X                 1       8936     0      0
TEXTRON INC COM  COMMON
                 STOCK     883203101     128       1800    SHARES                         X        1        200     0   1600
TEXTRON INC
  PFD CV $1.40   PREFERRED
  SER B          STOCK     883203309     102        200    SHARES                X                 1       N.A.  N.A.   N.A.
TF FINANCIAL     COMMON
  CORP           STOCK     872391107     123       5000    SHARES                X                 1       5000     0      0
THE DIRECTV      COMMON
  GROUP INC      STOCK     25459L106      14        603    SHARES                X                 1        554     0     49
THE DIRECTV      COMMON
  GROUP INC      STOCK     25459L106      33       1448    SHARES                         X        1       1448     0      0
THE FIRST
  MARBLEHEAD     COMMON
  CORPORATI      STOCK     320771108    1899     124135    SHARES                X                 2      55035     0  69100
THE GEO GROUP    COMMON
  INC            STOCK     36159R103      64       2280    SHARES                X                 1       2100     0    180
THE HANOVER      COMMON
  INS GRP        STOCK     410867105    1122      24500    SHARES                X                 3      24500     0      0
THE HERSHEY      COMMON
  COMPANY        STOCK     427866108    4075     103431    SHARES                X                 1      99272     0   4159
THE HERSHEY      COMMON
  COMPANY        STOCK     427866108      32        800    SHARES                X                 2          0     0    800
THE HERSHEY      COMMON
  COMPANY        STOCK     427866108    1012      25679    SHARES                X                 3      23660     0   2019
THE HERSHEY      COMMON
  COMPANY        STOCK     427866108    1936      49130    SHARES                         X        1      35585     0  13545
THE MEDICINES    COMMON
  COMPANY        STOCK     584688105      67       3490    SHARES                X                 1       3200     0    290
THE MOSAIC       COMMON
  COMPANY        STOCK     61945A107      84        889    SHARES                X                 1        889     0      0
THE PANTRY INC   COMMON
                 STOCK     698657103       4        150    SHARES                X                 1        150     0      0
THE SCOTTS
  MIRACLE-GRO    COMMON
  COMPANY        STOCK     810186106     477      12750    SHARES                X                 1      12750     0      0
THE SCOTTS
  MIRACLE-GRO    COMMON
  COMPANY        STOCK     810186106     131       3500    SHARES                X                 2          0     0   3500
THE TRAVELERS    COMMON
  COMPANIES INC  STOCK     89417E109    1213      22552    SHARES                X                 1      22448     0    104
THE TRAVELERS    COMMON
  COMPANIES INC  STOCK     89417E109     777      14444    SHARES                X                 2          0     0  14444






                                                                                  SEC USE
                                                ----------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          -------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
THE TRAVELERS    COMMON
  COMPANIES INC  STOCK     8.94E+113       9        160    SHARES                X                 4        160     0      0
THE TRAVELERS    COMMON
  COMPANIES INC  STOCK     89417E109     614      11410    SHARES                         X        1      11201     0    209
THE WESTERN      COMMON
  UNION          STOCK     959802109     155       6400    SHARES                X                 3       6400     0      0
THERMAGE INC     COMMON
                 STOCK     88343R101     454      78611    SHARES                X                 3      78611     0      0
THERMAGE INC     COMMON
                 STOCK     88343R101      27       4677    SHARES                X                 1       4298     0    379
THERMO FISHER    COMMON
  SCI            STOCK     883556102     229       3980    SHARES                X                 3       3980     0      0
THERMO FISHER
  SCIENTIFIC     COMMON
  INC            STOCK     883556102    1566      27150    SHARES                X                 1      27150     0      0
THERMO FISHER
  SCIENTIFIC     COMMON
  INC            STOCK     883556102     115       2000    SHARES                X                 2          0     0   2000
THERMO FISHER
  SCIENTIFIC     COMMON
  INC            STOCK     883556102     225       3900    SHARES                         X        1       3650     0    250
THOMSON SA       COMMON
  SPONSORED ADR  STOCK     885118109       1         61    SHARES                X                 1         61     0      0
THORNBURG MTG    COMMON
  INC (REIT)     STOCK     885218107      51       5530    SHARES                X                 1       N.A.  N.A.   N.A.
THORNBURG MTG    COMMON
  INC (REIT)     STOCK     885218107     277      30000    SHARES                X                 2       N.A.  N.A.   N.A.
THORNBURG MTG    COMMON
  INC (REIT)     STOCK     885218107      23       2450    SHARES                         X        1       N.A.  N.A.   N.A.
THQ INC          COMMON
                 STOCK     872443403    3186     113000    SHARES                X                 3     113000     0      0
THQ INC COM NEW  COMMON
                 STOCK     872443403     281       9970    SHARES                X                 1       9240     0    730
TIDEWATER INC    COMMON
                 STOCK     886423102    1684      30700    SHARES                X                 3      30700     0      0
TIDEWATER INC    COMMON
                 STOCK     886423102     428       7800    SHARES                X                 1       7650     0    150
TIFFANY & CO     COMMON
                 STOCK     886547108      55       1200    SHARES                X                 3       1200     0      0
TIFFANY & CO     COMMON
                 STOCK     886547108     101       2184    SHARES                X                 1       2184     0      0
TIFFANY & CO     COMMON
                 STOCK     886547108     829      18000    SHARES                X                 2          0     0  18000
TIM HORTONS INC  COMMON
                 STOCK     88706M103    1680      45500    SHARES                X                 3      45500     0      0
TIM HORTONS INC  COMMON
                 STOCK     88706M103     297       8038    SHARES                X                 1       7803     0    235
TIM HORTONS INC  COMMON
                 STOCK     88706M103      10        270    SHARES                         X        1        270     0      0
TIME WARNER INC  COMMON
                 STOCK     887317105     758      45903    SHARES                X                 1      45903     0      0
TIME WARNER INC  COMMON
                 STOCK     887317105    1572      95231    SHARES                X                 2      72531     0  22700
TIME WARNER INC  COMMON
                 STOCK     887317105     535      32455    SHARES                X                 3      32455     0      0
TIME WARNER INC  COMMON
                 STOCK     887317105     345      20914    SHARES                         X        1      18714     0   2200
TIME WARNER      COMMON
  TELECOM        STOCK     887319101     901      44400    SHARES                X                 3      44400     0      0
TIME WARNER
  TELECOM-       COMMON
  CLASS A        STOCK     887319101      55       2720    SHARES                X                 1       2500     0    220
TIMKEN CO        COMMON
                 STOCK     887389104      79       2400    SHARES                X                 3       2400     0      0
TIMKEN CO COM    COMMON
                 STOCK     887389104      36       1094    SHARES                         X        1       1094     0      0
TITAN
  INTERNATIONAL  COMMON
  INC            STOCK     88830M102     153       4905    SHARES                X                 1       4513     0    392
TITAN INTL INC   COMMON
                 STOCK     88830M102    2507      80200    SHARES                X                 3      80200     0      0
TITANIUM         COMMON
  METALS CORP    STOCK     888339207      21        800    SHARES                X                 3        800     0      0
TIVO INC         COMMON
                 STOCK     888706108       1        100    SHARES                X                 1        100     0      0
TJX COMPANIES    COMMON
  COM            STOCK     872540109       5        165    SHARES                X                 1        165     0      0
TJX COMPANIES    COMMON
  INC            STOCK     872540109     109       3800    SHARES                X                 3       3800     0      0
TOLL BROS INC    COMMON
                 STOCK     889478103     643      32071    SHARES                X                 1      31876     0    195
TOLL BROS INC    COMMON
                 STOCK     889478103     267      13325    SHARES                X                 2          0     0  13325
TOLL BROS INC    COMMON
                 STOCK     889478103     294      14650    SHARES                         X        1      14150     0    500
TOLL BROTHERS    COMMON
  INC            STOCK     889478103     211      10500    SHARES                X                 3      10500     0      0
TOMPKINS
  FINANCIAL      COMMON
  CORP           STOCK     890110109      14        350    SHARES                X                 1        350     0      0
TONGJITANG
  CHINESE        COMMON
  MEDICINES-A    STOCK     89025E103       2        200    SHARES                         X        1        200     0      0
TOOTSIE ROLL     COMMON
  INDUSTRIES     STOCK     890516107      38       1375    SHARES                X                 1       1375     0      0
TORCHMARK CORP   COMMON
                 STOCK     891027104      48        800    SHARES                X                 3        800     0      0
TORO CO COM      COMMON
                 STOCK     891092108      91       1680    SHARES                X                 1       1680     0      0
TORONTO-         COMMON
  DOMINION BANK  STOCK     891160509      15        211    SHARES                X                 1        211     0      0
TORONTO-         COMMON
  DOMINION BANK  STOCK     891160509      99       1410    SHARES                         X        1       1410     0      0
TORTOISE
  ENERGY         PREFERRED
  INFRASTRUCTURE STOCK     89147L100      33       1000    SHARES                X                 1       N.A.  N.A.   N.A.
TOTAL SA         COMMON
  SPONSORED ADR  STOCK     89151E109      16        196    SHARES                X                 1        196     0      0
TOYOTA MOTOR     COMMON
  CORP SPON ADR  STOCK     892331307      22        207    SHARES                X                 1        207     0      0






                                                                                    SEC USE
                                                 -----------------------------------------------------------------------------
                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
TOYOTA MOTOR      COMMON
  CORP SPON ADR   STOCK     892331307      21        200    SHARES                         X        1        200     0       0
TRACTOR SUPPLY    COMMON
  COMPANY         STOCK     892356106     144       4000    SHARES                X                 2          0     0    4000
TRADESTATION      COMMON
  GROUP INC       STOCK     89267P105      13        900    SHARES                X                 1        900     0       0
TRANE INC         COMMON
                  STOCK     892893108      70       1500    SHARES                X                 3       1500     0       0
TRANSACT
  TECHNOLOGIES    COMMON
  INC COM         STOCK     892918103       5       1000    SHARES                X                 1       1000     0       0
TRANSCANADA       COMMON
  CORP            STOCK     89353D107      12        300    SHARES                         X        1        300     0       0
TRANSMONTAIGNE    COMMON
  PARTNERS LP     STOCK     89376V100      34       1200    SHARES                X                 2          0     0    1200
TRANSOCEAN INC    COMMON
                  STOCK     G90073100     394       2750    SHARES                X                 3       2750     0       0
TRAVELCENTERS
  OF AMERICA      COMMON
  LLC             STOCK     894174101       0         30    SHARES                         X        1         30     0       0
TRAVELERS         COMMON
  CO(THE)         STOCK     89417E109     312       5800    SHARES                X                 3       5800     0       0
TREDEGAR CORP     COMMON
                  STOCK     894650100      40       2500    SHARES                X                 1       2500     0       0
TREDEGAR CORP     COMMON
                  STOCK     894650100       6        360    SHARES                         X        1        360     0       0

  TRI-CONTINENTAL PREFERRED
  CORP            STOCK     895436103      31       1500    SHARES                X                 1       N.A.  N.A.    N.A.
TRIDENT
  MICROSYSTEMS    COMMON
  INC             STOCK     895919108      23       3520    SHARES                X                 3       3520     0       0
TRIMBLE NAV       COMMON
  LTD COM         STOCK     896239100     212       7000    SHARES                X                 2          0     0    7000
TRINITY
  INDUSTRIES      COMMON
  INC             STOCK     896522109       4        150    SHARES                X                 1        150     0       0
TRINITY
  INDUSTRIES      COMMON
  INC             STOCK     896522109      25        900    SHARES                         X        1        900     0       0
TRONOX            COMMON
  INC-CLASS B     STOCK     897051207       1        161    SHARES                X                 1          0     0     161
TRONOX            COMMON
  INC-CLASS B     STOCK     897051207       0         50    SHARES                         X        1         50     0       0
TUPPERWARE        COMMON
  BRANDS CORP     STOCK     899896104      17        500    SHARES                X                 1        500     0       0
TUPPERWARE        COMMON
  BRANDS CORP     STOCK     899896104      15        450    SHARES                         X        1        450     0       0
TYCO ELEC LTD     COMMON
                  STOCK     G9144P105     166       4450    SHARES                X                 3       4450     0       0
TYCO
  ELECTRONICS     COMMON
  LTD             STOCK     G9144P105     363       9789    SHARES                X                 1       6860     0    2929
TYCO
  ELECTRONICS     COMMON
  LTD             STOCK     G9144P105    1416      38146    SHARES                X                 2      25646     0   12500
TYCO
  ELECTRONICS     COMMON
  LTD             STOCK     G9144P105     220       5919    SHARES                         X        1       5116     0     803
TYCO
  INTERNATIONAL   COMMON
  LTD             STOCK     G9143X208     361       9114    SHARES                X                 1       6985     0    2129
TYCO
  INTERNATIONAL   COMMON
  LTD             STOCK     G9143X208     496      12500    SHARES                X                 2          0     0   12500
TYCO
  INTERNATIONAL   COMMON
  LTD             STOCK     G9143X208     172       4325    SHARES                X                 3       4325     0       0
TYCO
  INTERNATIONAL   COMMON
  LTD             STOCK     G9143X208     225       5669    SHARES                         X        1       4866     0     803
TYLER
  TECHNOLOGIES    COMMON
  INC             STOCK     902252105    4810     373100    SHARES                X                 2     117900     0  255200
TYLER
  TECHNOLOGIES    COMMON
  INC             STOCK     902252105      15       1200    SHARES                X                 3       1200     0       0
TYSON FOODS INC   COMMON
                  STOCK     902494103      35       2300    SHARES                X                 3       2300     0       0
U S BANCORP       COMMON
  DEL COM NEW     STOCK     902973304    2074      65328    SHARES                X                 1      65328     0       0
U S BANCORP       COMMON
  DEL COM NEW     STOCK     902973304    1321      41600    SHARES                X                 2      11900     0   29700
U S BANCORP       COMMON
  DEL COM NEW     STOCK     902973304     621      19580    SHARES                X                 3      18800     0     780
U S BANCORP       COMMON
  DEL COM NEW     STOCK     902973304      14        453    SHARES                X                 4        453     0       0
U S BANCORP       COMMON
  DEL COM NEW     STOCK     902973304     725      22847    SHARES                         X        1      17741     0    5106
UAL CORPORATION   COMMON
                  STOCK     902549807       7        194    SHARES                X                 2          0     0     194
UBS AG            COMMON
                  STOCK     H89231338     163       3548    SHARES                X                 1       3548     0       0
UBS AG            COMMON
                  STOCK     H89231338      53       1160    SHARES                X                 3       1160     0       0
UDR INC REIT      COMMON
                  STOCK     902653104      10        500    SHARES                X                 1       N.A.  N.A.    N.A.
UDR INC REIT      COMMON
                  STOCK     902653104      20       1000    SHARES                         X        1       N.A.  N.A.    N.A.
UGI CORP          COMMON
                  STOCK     902681105     243       8900    SHARES                X                 1       8900     0       0
UGI CORP          COMMON
                  STOCK     902681105     150       5500    SHARES                         X        1       5500     0       0
ULTRA
  PETROLEUM       COMMON
  CORP            STOCK     903914109     143       2000    SHARES                X                 2          0     0    2000
UNDER ARMOUR      COMMON
  INC-CLASS A     STOCK     904311107      96       2200    SHARES                X                 2          0     0    2200
UNIBANCO-GDR      COMMON
                  STOCK     90458E107      19        138    SHARES                X                 3        138     0       0
UNILEVER NV NY    COMMON
  SHARES          STOCK     904784709     564      15471    SHARES                X                 1      15471     0       0
UNILEVER NV NY    COMMON
  SHARES          STOCK     904784709     214       5861    SHARES                         X        1       5861     0       0
UNILEVER PLC      COMMON
  SPONSORED ADR   STOCK     904767704      10        275    SHARES                X                 1        275     0       0
UNILEVER PLC      COMMON
  SPONSORED ADR   STOCK     904767704      61       1640    SHARES                         X        1       1640     0       0






                                                                                  SEC USE
                                               -----------------------------------------------------------------------------
                                                                               COLUMN 6                       COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                               ------------------------ ----------------------          --------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                               
UNION
  BANKSHARES    COMMON
  CORPORATION   STOCK     905399101       6        300    SHARES                         X        1        300     0       0
UNION PAC CORP  COMMON
                STOCK     907818108     289       2300    SHARES                X                 3       2300     0       0
UNION PACIFIC   COMMON
  CORP COM      STOCK     907818108    1099       8749    SHARES                X                 1       8749     0       0
UNION PACIFIC   COMMON
  CORP COM      STOCK     907818108    1031       8207    SHARES                X                 2          0     0    8207
UNION PACIFIC   COMMON
  CORP COM      STOCK     907818108    1208       9615    SHARES                         X        1       4815     0    4800
UNISYS          COMMON
  CORPORATION   STOCK     909214108      14       3000    SHARES                X                 3       3000     0       0
UNITED
  BANKSHARES    COMMON
  INC           STOCK     909907107      23        824    SHARES                X                 2          0     0     824
UNITED ONLINE   COMMON
  INC           STOCK     911268100      14       1200    SHARES                X                 3       1200     0       0
UNITED PARCEL   COMMON
  SERVICE CL B  STOCK     911312106    5554      78540    SHARES                X                 1      76839     0    1701
UNITED PARCEL   COMMON
  SERVICE CL B  STOCK     911312106   10831     153149    SHARES                X                 2       7178     0  145971
UNITED PARCEL   COMMON
  SERVICE CL B  STOCK     911312106    1721      24317    SHARES                X                 3      23821     0     496
UNITED PARCEL   COMMON
  SERVICE CL B  STOCK     911312106      11        150    SHARES                X                 4        150     0       0
UNITED PARCEL   COMMON
  SERVICE CL B  STOCK     911312106    1278      18075    SHARES                         X        1      16210     0    1865
UNITED STATES   PREFERRED
  OIL FD LP     STOCK     91232N108      38        500    SHARES                X                 1       N.A.  N.A.    N.A.
UNITED STATES   COMMON
  STL           STOCK     912909108     135       1112    SHARES                X                 3       1112     0       0
UNITED STS STL  COMMON
  CORP NEW      STOCK     912909108      45        374    SHARES                X                 1        374     0       0
UNITED STS STL  COMMON
  CORP NEW      STOCK     912909108      18        153    SHARES                         X        1        153     0       0
UNITED          COMMON
  TECHNOLOGIES  STOCK     913017109    1686      22015    SHARES                X                 3      22015     0       0
UNITED
  TECHNOLOGIES  COMMON
  CORP COM      STOCK     913017109    9982     130409    SHARES                X                 1     124387     0    6022
UNITED
  TECHNOLOGIES  COMMON
  CORP COM      STOCK     913017109    3185      41610    SHARES                X                 2       3700     0   37910
UNITED
  TECHNOLOGIES  COMMON
  CORP COM      STOCK     913017109    4054      52964    SHARES                         X        1      49799     0    3165
UNITED          COMMON
  THERAPEUTICS  STOCK     91307C102     948       9700    SHARES                X                 3       9700     0       0
UNITED
  THERAPEUTICS  COMMON
  CORP          STOCK     91307C102      53        547    SHARES                X                 1        500     0      47
UNITEDHEALTH    COMMON
  GROUP INC     STOCK     91324P102    6071     104317    SHARES                X                 1     102575     0    1742
UNITEDHEALTH    COMMON
  GROUP INC     STOCK     91324P102   17865     306966    SHARES                X                 2     114780     0  192186
UNITEDHEALTH    COMMON
  GROUP INC     STOCK     91324P102    3869      66476    SHARES                X                 3      63878     0    2598
UNITEDHEALTH    COMMON
  GROUP INC     STOCK     91324P102     570       9794    SHARES                         X        1       6744     0    3050
UNITRIN INC COM COMMON
                STOCK     913275103     161       3358    SHARES                X                 1       3358     0       0
UNIVERSAL       COMMON
  DISPLAY CORP  STOCK     91347P105      77       3701    SHARES                X                 1       3498     0     203
UNIVERSAL       COMMON
  DISPLAY CORP  STOCK     91347P105      10        500    SHARES                X                 2          0     0     500
UNIVERSAL       COMMON
  DISPLAY CP    STOCK     91347P105     850      41100    SHARES                X                 3      41100     0       0
UNIVERSAL
  STAINLESS &   COMMON
  ALLOY PR      STOCK     913837100      21        600    SHARES                         X        1        600     0       0
UNIVEST CORP    COMMON
  OF PA         STOCK     915271100      52       2454    SHARES                X                 1       2454     0       0
UNUM GROUP      COMMON
                STOCK     91529Y106      69       2900    SHARES                X                 3       2900     0       0
UNUM GROUP      COMMON
                STOCK     91529Y106    2475     104047    SHARES                X                 2      35700     0   68347
UPM-KYMMENE     COMMON
  OYJ SPONS ADR STOCK     915436109       2         89    SHARES                X                 1         89     0       0
URANIUM         COMMON
  RESOURCES INC STOCK     916901507     312      25000    SHARES                X                 2          0     0   25000
URBAN           COMMON
  OUTFITTERS    STOCK     917047102    2203      80800    SHARES                X                 3      80800     0       0
URBAN
  OUTFITTERS    COMMON
  INC           STOCK     917047102     228       8373    SHARES                X                 1       7764     0     609
URSTADT BIDDLE
  PPTYS INC CL  COMMON
  A             STOCK     917286205      47       3000    SHARES                         X        1       N.A.  N.A.    N.A.
USANA HEALTH    COMMON
  SCIENCES INC  STOCK     90328M107      21        553    SHARES                X                 3        553     0       0
UST INC         COMMON
                STOCK     902911106     104       1900    SHARES                X                 3       1900     0       0
UST INC COM     COMMON
                STOCK     902911106     129       2350    SHARES                X                 1       2350     0       0
UST INC COM     COMMON
                STOCK     902911106     225       4100    SHARES                         X        1       4100     0       0
UTI WORLDWIDE   COMMON
  INC           STOCK     G87210103      78       4000    SHARES                X                 2          0     0    4000
V F CORP        COMMON
                STOCK     918204108      51        750    SHARES                X                 3        750     0       0
V F CORP        COMMON
                STOCK     918204108     213       3100    SHARES                X                 1       3100     0       0
V F CORP        COMMON
                STOCK     918204108     645       9400    SHARES                         X        1       9400     0       0
VALASSIS
  COMMUNICATION COMMON
  INC COM       STOCK     918866104      16       1344    SHARES                X                 1       1344     0       0
VALERO ENERGY   COMMON
  CORP          STOCK     91913Y100     388       5539    SHARES                X                 3       5539     0       0
VALERO ENERGY   COMMON
  CORP COM      STOCK     91913Y100     523       7470    SHARES                X                 1       7470     0       0






                                                                                       SEC USE
                                                    -----------------------------------------------------------------------------
                                                                                    COLUMN 6                       COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                    ------------------------ ----------------------          --------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1             TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------       --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
VALERO ENERGY        COMMON
  CORP COM           STOCK     91913Y100     350       5000    SHARES                         X        1       5000     0       0
VALSPAR CORP         COMMON
                     STOCK     920355104      79       3500    SHARES                X                 3       3500     0       0
VALUECLICK INC       COMMON
                     STOCK     92046N102      31       1415    SHARES                X                 1       1320     0      95
VALUECLICK INC       COMMON
                     STOCK     92046N102     150       6880    SHARES                X                 3       6880     0       0
VALUECLICK INC       COMMON
                     STOCK     92046N102      44       2000    SHARES                         X        1       2000     0       0
VAN KAMPEN
  MUNICIPAL          PREFERRED
  OPPORTUNI          STOCK     920935103     105       7385    SHARES                         X        1       N.A.  N.A.    N.A.
VAN KAMPEN
  PENN VALUE         PREFERRED
  MUNI INC           STOCK     92112T108     173      13352    SHARES                X                 1       N.A.  N.A.    N.A.
VAN KAMPEN
  PENN VALUE         PREFERRED
  MUNI INC           STOCK     92112T108     344      26478    SHARES                         X        1       N.A.  N.A.    N.A.
VAN KAMPEN
  SENIOR             PREFERRED
  INCOME TRUST       STOCK     920961109      28       4000    SHARES                X                 1       N.A.  N.A.    N.A.
VAN KAMPEN TR
  FOR INV GR         PREFERRED
  MUNIC              STOCK     920929106      81       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      10        100    SHARES                X                 1       N.A.  N.A.    N.A.
VANGUARD
  EMERGING           PREFERRED
  MKTS ETF           STOCK     922042858      15        145    SHARES                         X        1       N.A.  N.A.    N.A.
VANGUARD             PREFERRED
  ENERGY ETF         STOCK     92204A306      24        212    SHARES                X                 1       N.A.  N.A.    N.A.
VANGUARD             PREFERRED
  EUROPEAN ETF       STOCK     922042874      23        308    SHARES                         X        1       N.A.  N.A.    N.A.
VANGUARD INFO        COMMON
  TECH ETF           STOCK     92204A702      10        160    SHARES                         X        1        160     0       0
VANGUARD             PREFERRED
  MATERIALS ETF      STOCK     92204A801      22        250    SHARES                X                 1       N.A.  N.A.    N.A.
VANGUARD
  TELECOMMUNICATIONS PREFERRED
  SE                 STOCK     92204A884      10        135    SHARES                X                 1       N.A.  N.A.    N.A.
VANGUARD TOTAL
  STOCK MARKET       PREFERRED
  ET                 STOCK     922908769     427       2941    SHARES                         X        1       N.A.  N.A.    N.A.
VARIAN INC           COMMON
                     STOCK     922206107       8        120    SHARES                X                 1        120     0       0
VARIAN MED SYS       COMMON
  INC                STOCK     92220P105      52       1000    SHARES                X                 3       1000     0       0
VARIAN MEDICAL       COMMON
  SYS INC COM        STOCK     92220P105     357       6845    SHARES                X                 1       6845     0       0
VARIAN MEDICAL       COMMON
  SYS INC COM        STOCK     92220P105      52       1000    SHARES                X                 2          0     0    1000
VARIAN MEDICAL       COMMON
  SYS INC COM        STOCK     92220P105      42        800    SHARES                         X        1        800     0       0
VARIAN
  SEMICONDUCTOR      COMMON
  EQUIP ASS          STOCK     922207105      39       1041    SHARES                X                 1       1041     0       0
VARIAN
  SEMICONDUCTOR      COMMON
  EQUIP ASS          STOCK     922207105      21        575    SHARES                X                 3        575     0       0
VCA ANTECH INC       COMMON
                     STOCK     918194101     111       2500    SHARES                X                 2          0     0    2500
VECTOR GROUP         COMMON
  LTD                STOCK     92240M108      11        551    SHARES                         X        1        551     0       0
VECTREN CORP         COMMON
  COM                STOCK     92240G101      15        500    SHARES                         X        1        500     0       0
VERIFONE             COMMON
  HOLDINGS INC       STOCK     92342Y109      23       1000    SHARES                X                 2          0     0    1000
VERIGY LTD           COMMON
                     STOCK     Y93691106      33       1226    SHARES                X                 1       1226     0       0
VERIGY LTD           COMMON
                     STOCK     Y93691106       8        280    SHARES                X                 2          0     0     280
VERIGY LTD           COMMON
                     STOCK     Y93691106       1         55    SHARES                         X        1         55     0       0
VERISIGN INC         COMMON
                     STOCK     92343E102      75       2000    SHARES                X                 3       2000     0       0
VERISIGN INC         COMMON
  COM                STOCK     92343E102      64       1705    SHARES                X                 1       1705     0       0
VERIZON
  COMMUNICATIONS     COMMON
  COM                STOCK     92343V104   20480     468746    SHARES                X                 1     457751     0   10995
VERIZON
  COMMUNICATIONS     COMMON
  COM                STOCK     92343V104   13140     300752    SHARES                X                 2      76994     0  223758
VERIZON
  COMMUNICATIONS     COMMON
  COM                STOCK     92343V104    4227      96764    SHARES                X                 3      92959     0    3805
VERIZON
  COMMUNICATIONS     COMMON
  COM                STOCK     92343V104   11102     254102    SHARES                         X        1     240376     0   13726
VIACOM INC           COMMON B  92553P201     259       5900    SHARES                X                 3       5900     0       0
VIACOM               COMMON
  INC-CLASS B        STOCK     92553P201     584      13302    SHARES                X                 1      13302     0       0
VIACOM               COMMON
  INC-CLASS B        STOCK     92553P201      15        337    SHARES                X                 2          0     0     337
VIACOM               COMMON
  INC-CLASS B        STOCK     92553P201     196       4466    SHARES                         X        1       3316     0    1150
VIASAT INC           COMMON
                     STOCK     92552V100    1126      32700    SHARES                X                 3      32700     0       0
VIASAT               COMMON
  INCORPORATED       STOCK     92552V100      67       1955    SHARES                X                 1       1800     0     155
VILLAGE BANK &
  TRUST              COMMON
  FINANCIAL          STOCK     92705T101      11       1000    SHARES                X                 1       1000     0       0
VIRGINIA
  FINANCIAL          COMMON
  GROUP INC          STOCK     927810101      26       1731    SHARES                X                 1       1731     0       0
VIROPHARMA INC       COMMON
                     STOCK     928241108      15       1880    SHARES                X                 3       1880     0       0
VISHAY
  INTERTECHNOLOGY    COMMON
  INC COM            STOCK     928298108      11       1000    SHARES                X                 1       1000     0       0
VISICU INC           COMMON
                     STOCK     92831L204    2719     229098    SHARES                X                 1     229098     0       0
VISTAPRINT           COMMON
  LIMITED            STOCK     G93762204     994      23200    SHARES                X                 3      23200     0       0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
VISTAPRINT      COMMON
  LIMITED       STOCK     G93762204      61       1420    SHARES                X                 1       1300     0    120
VISTEON CORP    COMMON
  COM           STOCK     92839U107       2        549    SHARES                X                 1        549     0      0
VITAL IMAGES    COMMON
  INC           STOCK     92846N104      36       2000    SHARES                X                 2          0     0   2000
VK ADVANTAGE
  MUNI INCOME   PREFERRED
  TR I          STOCK     92112K107      11        933    SHARES                X                 1       N.A.  N.A.   N.A.
VMWARE INC      COMMON
                STOCK     928563402      46        545    SHARES                X                 1        545     0      0
VODAFONE GROUP  COMMON
  PLC--SP ADR   STOCK     92857W209    1340      35893    SHARES                X                 1      35893     0      0
VODAFONE GROUP  COMMON
  PLC--SP ADR   STOCK     92857W209     297       7964    SHARES                X                 2          0     0   7964
VODAFONE GROUP  COMMON
  PLC--SP ADR   STOCK     92857W209     450      12069    SHARES                         X        1      11908     0    161
VOLVO AB SPONS  COMMON
  ADR B         STOCK     928856400      50       3000    SHARES                         X        1          0     0   3000
VORNADO REALTY  COMMON
  TRUST (REIT)  STOCK     929042109      18        200    SHARES                X                 1       N.A.  N.A.   N.A.
VORNADO REALTY  COMMON
  TRUST (REIT)  STOCK     929042109     255       2900    SHARES                X                 2       N.A.  N.A.   N.A.
VORNADO RLTY TR REIT      929042109      95       1075    SHARES                X                 3       1075     0      0
VSE CORPORATION COMMON
                STOCK     918284100     615      12600    SHARES                         X        1      12600     0      0
VULCAN          COMMON
  MATERIAL COM  STOCK     929160109       6         72    SHARES                X                 1         72     0      0
VULCAN          COMMON
  MATERIALS CO  STOCK     929160109      71        900    SHARES                X                 3        900     0      0
W P CAREY & CO  COMMON
  LLC           STOCK     92930Y107       9        263    SHARES                X                 1       N.A.  N.A.   N.A.
W P CAREY & CO  COMMON
  LLC           STOCK     92930Y107     167       5019    SHARES                         X        1       N.A.  N.A.   N.A.
W W GRAINGER    COMMON
  INC COM       STOCK     384802104     455       5200    SHARES                X                 1       5200     0      0
W W GRAINGER    COMMON
  INC COM       STOCK     384802104      88       1000    SHARES                X                 2          0     0   1000
W W GRAINGER    COMMON
  INC COM       STOCK     384802104     280       3200    SHARES                         X        1       3200     0      0
WACHOVIA CORP   COMMON
                STOCK     929903102    2477      65146    SHARES                X                 3      62545     0   2601
WACHOVIA CORP   COMMON
  COM           STOCK     929903102   10644     279891    SHARES                X                 1     270346     0   9545
WACHOVIA CORP   COMMON
  COM           STOCK     929903102    1964      51643    SHARES                X                 2       4500     0  47143
WACHOVIA CORP   COMMON
  COM           STOCK     929903102       4        100    SHARES                X                 4        100     0      0
WACHOVIA CORP   COMMON
  COM           STOCK     929903102    4666     122691    SHARES                         X        1     113641     0   9050
WADDELL & REED  COMMON
  FINL INC CL A STOCK     930059100      11        300    SHARES                X                 1        300     0      0
WAL MART        COMMON
  STORES INC    STOCK     931142103    5044     106131    SHARES                X                 3     103410     0   2721
WAL MART
  STORES INC    COMMON
  COM           STOCK     931142103   12509     263180    SHARES                X                 1     258431     0   4749
WAL MART
  STORES INC    COMMON
  COM           STOCK     931142103     314       6616    SHARES                X                 2          0     0   6616
WAL MART
  STORES INC    COMMON
  COM           STOCK     931142103      14        300    SHARES                X                 4        300     0      0
WAL MART
  STORES INC    COMMON
  COM           STOCK     931142103    4421      93024    SHARES                         X        1      84684     0   8340
WALGREEN CO     COMMON
                STOCK     931422109    1790      47003    SHARES                X                 1      46803     0    200
WALGREEN CO     COMMON
                STOCK     931422109     114       3000    SHARES                X                 2          0     0   3000
WALGREEN CO     COMMON
                STOCK     931422109    1396      36615    SHARES                X                 3      36615     0      0
WALGREEN CO     COMMON
                STOCK     931422109     769      20185    SHARES                         X        1      14015     0   6170
WALT DISNEY CO  COMMON
                STOCK     254687106     558      17300    SHARES                X                 3      17300     0      0
WASHINGTON      COMMON
  MUTUAL        STOCK     939322103     103       7600    SHARES                X                 3       7600     0      0
WASHINGTON      COMMON
  MUTUAL COM    STOCK     939322103     228      16789    SHARES                X                 1      16789     0      0
WASHINGTON      COMMON
  MUTUAL COM    STOCK     939322103     559      41080    SHARES                X                 2      36380     0   4700
WASHINGTON      COMMON
  MUTUAL COM    STOCK     939322103      77       5654    SHARES                         X        1       4654     0   1000
WASHINGTON
  POST CO       COMMON B  939640108      87        110    SHARES                X                 3        110     0      0
WASHINGTON      COMMON
  POST CO CL B  STOCK     939640108     435        550    SHARES                X                 2          0     0    550
WASHINGTON
  REAL ESTATE   COMMON
  INVT (R       STOCK     939653101     154       4900    SHARES                X                 1       N.A.  N.A.   N.A.
WASHINGTON
  REAL ESTATE   COMMON
  INVT (R       STOCK     939653101      19        600    SHARES                         X        1       N.A.  N.A.   N.A.
WASTE           COMMON
  CONNECTIONS I STOCK     941053100    1644      53200    SHARES                X                 3      53200     0      0
WASTE
  CONNECTIONS   COMMON
  INC           STOCK     941053100     214       6937    SHARES                X                 1       6482     0    455
WASTE
  MANAGEMENT    COMMON
  INC           STOCK     94106L109     294       9000    SHARES                X                 3       9000     0      0
WASTE
  MANAGEMENT    COMMON
  INC COM       STOCK     94106L109     190       5822    SHARES                X                 1       5822     0      0
WASTE
  MANAGEMENT    COMMON
  INC COM       STOCK     94106L109     398      12182    SHARES                         X        1       8682     0   3500
WATERS CORP     COMMON
                STOCK     941848103      67        850    SHARES                X                 3        850     0      0
WATERS CORP COM COMMON
                STOCK     941848103     213       2700    SHARES                X                 1       2700     0      0






                                                                                    SEC USE
                                                 -----------------------------------------------------------------------------
                                                                                 COLUMN 6                       COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                 ------------------------ ----------------------          --------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1          TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                 
WATSON            COMMON
  PHARMACEUTCLS   STOCK     942683103      24        900    SHARES                X                 3        900     0       0
WATSON
  PHARMACEUTICALS COMMON
  INC COM         STOCK     942683103      41       1526    SHARES                         X        1        763   763       0
WCI INDUSTRIES    COMMON
                  STOCK     92923C104       1        150    SHARES                X                 1        150     0       0
WCI INDUSTRIES    COMMON
                  STOCK     92923C104       6       1500    SHARES                X                 2          0     0    1500
WD 40 CO COM      COMMON
                  STOCK     929236107       8        200    SHARES                         X        1        200     0       0
WEATHERFORD       COMMON
  INTL LTD        STOCK     G95089101    2218      32333    SHARES                X                 3      32333     0       0
WEATHERFORD
  INTL LTD        COMMON
  BERMUDA         STOCK     G95089101    2982      43464    SHARES                X                 1      43224     0     240
WEATHERFORD
  INTL LTD        COMMON
  BERMUDA         STOCK     G95089101     402       5857    SHARES                         X        1       5857     0       0
WEBSTER
  FINANCIAL       COMMON
  COPR.           STOCK     947890109     367      11356    SHARES         X                               11356     0       0
WEIGHT
  WATCHERS        COMMON
  INTL INC NEW    STOCK     948626106      17        375    SHARES                X                 1        375     0       0
WEINGARTEN
  REALTY          COMMON
  INVESTORS (R    STOCK     948741103      31       1000    SHARES                X                 1       N.A.  N.A.    N.A.
WEINGARTEN
  REALTY          COMMON
  INVESTORS (R    STOCK     948741103    4261     135548    SHARES                X                 2       N.A.  N.A.    N.A.
WEIS MARKETS      COMMON
  INC             STOCK     948849104      76       1900    SHARES                X                 1       1450     0     450
WEIS MARKETS      COMMON
  INC             STOCK     948849104      30        757    SHARES                         X        1        757     0       0
WELLCARE          COMMON
  HEALTH PLANS    STOCK     94946T106      16        370    SHARES                X                 3        370     0       0
WELLPOINT INC     COMMON
                  STOCK     94973V107     439       5000    SHARES                X                 3       5000     0       0
WELLPOINT INC     COMMON
                  STOCK     94973V107      44        500    SHARES                X                 1        500     0       0
WELLPOINT INC     COMMON
                  STOCK     94973V107     338       3850    SHARES                X                 2          0     0    3850
WELLS FARGO &     COMMON
  CO              STOCK     949746101    9244     306191    SHARES                X                 1     304416     0    1775
WELLS FARGO &     COMMON
  CO              STOCK     949746101   12191     403819    SHARES                X                 2      69366     0  334453
WELLS FARGO &     COMMON
  CO              STOCK     949746101    1288      42650    SHARES                X                 3      42100     0     550
WELLS FARGO &     COMMON
  CO              STOCK     949746101       6        200    SHARES                X                 4        200     0       0
WELLS FARGO &     COMMON
  CO              STOCK     949746101    4697     155568    SHARES                         X        1     150422     0    5146
WENDYS INTL INC   COMMON
                  STOCK     950590109      21        825    SHARES                X                 3        825     0       0
WENDYS INTL       COMMON
  INC COM         STOCK     950590109     102       3936    SHARES                X                 1       3936     0       0
WENDYS INTL       COMMON
  INC COM         STOCK     950590109       5        200    SHARES                         X        1        200     0       0
WERNER
  ENTERPRISES     COMMON
  INC             STOCK     950755108       7        420    SHARES                X                 1        420     0       0
WESTAR ENERGY     COMMON
  INC             STOCK     95709T100       8        300    SHARES                X                 1        300     0       0
WESTAR ENERGY     COMMON
  INC             STOCK     95709T100       4        150    SHARES                         X        1        150     0       0
WESTERN ASSET
  GLOBAL HIGH     PREFERRED
  INC             STOCK     95766B109      23       2000    SHARES                X                 1       N.A.  N.A.    N.A.
WESTERN ASSET
  MANAGED         PREFERRED
  MUNICIPA        STOCK     95766M105      54       5000    SHARES                X                 2       N.A.  N.A.    N.A.
WESTERN ASSET
  MANAGED         PREFERRED
  MUNICIPA        STOCK     95766M105      11       1016    SHARES                         X        1       N.A.  N.A.    N.A.
WESTERN ASSET
  MUNICIPAL       PREFERRED
  HIGH I          STOCK     95766N103       8       1050    SHARES                X                 1       N.A.  N.A.    N.A.
WESTERN           COMMON
  DIGITAL CORP    STOCK     958102105     665      22000    SHARES                X                 3      22000     0       0
WESTERN UNION     COMMON
  COMPANY         STOCK     959802109     499      20532    SHARES                X                 1      20532     0       0
WESTERN UNION     COMMON
  COMPANY         STOCK     959802109       5        200    SHARES                X                 4        200     0       0
WESTERN UNION     COMMON
  COMPANY         STOCK     959802109     449      18479    SHARES                         X        1      17779     0     700
WESTN DIGITAL     COMMON
  CORP            STOCK     958102105      66       2177    SHARES                X                 1       2067     0     110
WEYERHAEUSER CO   COMMON
                  STOCK     962166104     129       1750    SHARES                X                 3       1750     0       0
WEYERHAEUSER      COMMON
  CO COM          STOCK     962166104     264       3581    SHARES                X                 1       3581     0       0
WEYERHAEUSER      COMMON
  CO COM          STOCK     962166104    1556      21100    SHARES                X                 2       3700     0   17400
WEYERHAEUSER      COMMON
  CO COM          STOCK     962166104     280       3802    SHARES                         X        1       3004     0     798
WGL HLDGS INC     COMMON
  COM             STOCK     92924F106       7        200    SHARES                X                 1        200     0       0
WGL HLDGS INC     COMMON
  COM             STOCK     92924F106      59       1796    SHARES                X                 2          0     0    1796
WGL HLDGS INC     COMMON
  COM             STOCK     92924F106      60       1828    SHARES                X                 3       1828     0       0
WGL HLDGS INC     COMMON
  COM             STOCK     92924F106      16        500    SHARES                         X        1        500     0       0
WHIRLPOOL CORP    COMMON
                  STOCK     963320106      62        755    SHARES                X                 3        755     0       0
WHIRLPOOL CORP    COMMON
  COM             STOCK     963320106      76        932    SHARES                X                 1        892     0      40
WHIRLPOOL CORP    COMMON
  COM             STOCK     963320106      49        598    SHARES                         X        1        598     0       0
WHITE
  MOUNTAINS
  INSURANCE       COMMON
  GROU            STOCK     G9618E107    2084       4055    SHARES                X                 2          0     0    4055
WHOLE FOODS       COMMON
  MKT INC         STOCK     966837106      49       1200    SHARES                X                 3       1200     0       0






                                                                                 SEC USE
                                               ----------------------------------------------------------------------------
                                                                               COLUMN 6                      COLUMN 8
                                                       COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                               ------------------------ ----------------------          -------------------
                COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1        TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER   CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                               
WHOLE FOODS     COMMON
  MKT INC COM   STOCK     966837106      53       1300    SHARES                X                 1       1300     0      0
WHOLE FOODS     COMMON
  MKT INC COM   STOCK     966837106     568      13920    SHARES                X                 2       6550     0   7370
WILBER CORP COM COMMON
                STOCK     967797101       7        750    SHARES                X                 1        750     0      0
WILLBROS GROUP  COMMON
  INC           STOCK     969199108    1566      40900    SHARES                X                 3      40900     0      0
WILLBROS        COMMON
  GROUP, INC.   STOCK     969199108      96       2510    SHARES                X                 1       2300     0    210
WILLIAM SONOMA  COMMON
  INC COM       STOCK     969904101     102       3943    SHARES                X                 1       3688     0    255
WILLIAMS
  COMPANY INC   COMMON
  (THE)         STOCK     969457100      49       1367    SHARES                X                 1       1367     0      0
WILLIAMS
  COMPANY INC   COMMON
  (THE)         STOCK     969457100     340       9500    SHARES                X                 2       9200     0    300
WILLIAMS
  COMPANY INC   COMMON
  (THE)         STOCK     969457100      43       1200    SHARES                         X        1          0     0   1200
WILLIAMS COS    COMMON
  INC           STOCK     969457100     175       4900    SHARES                X                 3       4900     0      0
WILLIAMS        COMMON
  PARTNERS LP   STOCK     96950F104      35        900    SHARES                X                 2          0     0    900
WILLIAMS        COMMON
  SONOMA INC    STOCK     969904101     425      16400    SHARES                X                 3      16400     0      0
WILLIS GROUP    COMMON
  HLDGS LTD     STOCK     G96655108     102       2680    SHARES                X                 1       2680     0      0
WILLIS GROUP    COMMON
  HLDGS LTD     STOCK     G96655108      17        450    SHARES                         X        1        450     0      0
WILMINGTON      COMMON
  TRUST CRP     STOCK     971807102     116       3300    SHARES                X                 3       3300     0      0
WINDSTREAM CORP COMMON
                STOCK     97381W104     166      12753    SHARES                X                 3      12753     0      0
WINDSTREAM CORP COMMON
                STOCK     97381W104     104       7993    SHARES                X                 1       7993     0      0
WINDSTREAM CORP COMMON
                STOCK     97381W104     354      27154    SHARES                         X        1      22812     0   4342
WISCONSIN
  ENERGY CORP   COMMON
  COM           STOCK     976657106     193       3952    SHARES                X                 1       3952     0      0
WISCONSIN
  ENERGY CORP   COMMON
  COM           STOCK     976657106     118       2425    SHARES                         X        1       2425     0      0
WISDOMTREE
  INTL REAL ES  PREFERRED
  FD            STOCK     97717W331     146       2950    SHARES                X                 1       N.A.  N.A.   N.A.
WORTHINGTON     COMMON
  INDS INC COM  STOCK     981811102     232      13000    SHARES                         X        1          0     0  13000
WPP GROUP PLC   COMMON
                STOCK     929309409       0          4    SHARES                X                 1          4     0      0
WRIGHT EXPRESS  COMMON
  CORP          STOCK     98233Q105    1452      40900    SHARES                X                 3      40900     0      0
WRIGHT EXPRESS  COMMON
  CORP          STOCK     98233Q105      89       2495    SHARES                X                 1       2300     0    195
WRIGLEY WM JR   COMMON
  CO            STOCK     982526105     886      15135    SHARES                X                 1      15135     0      0
WRIGLEY WM JR   COMMON
  CO            STOCK     982526105     893      15258    SHARES                X                 2          0     0  15258
WRIGLEY WM JR   COMMON
  CO            STOCK     982526105     190       3250    SHARES                X                 3       3250     0      0
WRIGLEY WM JR   COMMON
  CO            STOCK     982526105     374       6394    SHARES                         X        1       5644     0    750
WYETH           COMMON
                STOCK     983024100   12769     288953    SHARES                X                 1     285591     0   3362
WYETH           COMMON
                STOCK     983024100    1773      40125    SHARES                X                 2      15300     0  24825
WYETH           COMMON
                STOCK     983024100    3435      77732    SHARES                X                 3      77732     0      0
WYETH           COMMON
                STOCK     983024100      13        300    SHARES                X                 4        300     0      0
WYETH           COMMON
                STOCK     983024100   13063     295619    SHARES                         X        1     248636     0  46983
WYNDHAM         COMMON
  WORLDWIDE CO  STOCK     98310W108      42       1800    SHARES                X                 3       1800     0      0
WYNDHAM
  WORLDWIDE     COMMON
  CORP          STOCK     98310W108       9        383    SHARES                         X        1        383     0      0
WYNN RESORTS    COMMON
  LIMITED       STOCK     983134107      11        100    SHARES                X                 1        100     0      0
XCEL ENERGY INC COMMON
                STOCK     98389B100      79       3500    SHARES                X                 3       3500     0      0
XCEL ENERGY     COMMON
  INC COM       STOCK     98389B100      39       1737    SHARES                X                 1       1737     0      0
XCEL ENERGY     COMMON
  INC COM       STOCK     98389B100     170       7514    SHARES                         X        1       7514     0      0
XENOPORT INC    COMMON
                STOCK     98411C100     629      11250    SHARES                X                 3      11250     0      0
XENOPORT INC    COMMON
                STOCK     98411C100      37        655    SHARES                X                 1        600     0     55
XEROX CORP      COMMON
                STOCK     984121103      40       2500    SHARES                X                 1       2500     0      0
XEROX CORP      COMMON
                STOCK     984121103     136       8400    SHARES                X                 3       8200     0    200
XEROX CORP      COMMON
                STOCK     984121103     176      10840    SHARES                         X        1      10840     0      0
XFONE INC       COMMON
                STOCK     98414Y109       1        275    SHARES                X                 1        275     0      0
XILINX INC      COMMON
                STOCK     983919101      55       2500    SHARES                X                 3       2500     0      0
XL CAP LTD      COMMON
                STOCK     G98255105      83       1650    SHARES                X                 3       1650     0      0
XL CAPITAL LTD  COMMON
  CL A          STOCK     G98255105      29        580    SHARES                X                 1        580     0      0
XM SATELLITE
  RADIO HLDGS   COMMON
  INC           STOCK     983759101       6        530    SHARES                X                 1        530     0      0
XM SATELLITE
  RADIO HLDGS   COMMON
  INC CL A      STOCK     983759101     169      13800    SHARES                X                 2      13800     0      0






                                                                                  SEC USE
                                                ----------------------------------------------------------------------------
                                                                                COLUMN 6                      COLUMN 8
                                                        COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                ------------------------ ----------------------          -------------------
                 COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
COLUMN 1         TITLE OF  COLUMN 3    VALUE    PRINCIAL  SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER    CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------   --------- --------- ---------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                
X-RITE INC COM   COMMON
                 STOCK     983857103        3        250   SHARES                X                 1        250     0      0
XTO ENERGY INC   COMMON
                 STOCK     98385X106     1104      21492   SHARES                X                 3      21492     0      0
XTO ENERGY INC   COMMON
  COM            STOCK     98385X106     2607      50767   SHARES                X                 1      50485     0    282
XTO ENERGY INC   COMMON
  COM            STOCK     98385X106      268       5209   SHARES                         X        1       5209     0      0
YAHOO INC        COMMON
                 STOCK     984332106      755      32465   SHARES                X                 3      32465     0      0
YAHOO INC COM    COMMON
                 STOCK     984332106      678      29160   SHARES                X                 1      29160     0      0
YAHOO INC COM    COMMON
                 STOCK     984332106      140       6000   SHARES                X                 2          0     0   6000
YAHOO INC COM    COMMON
                 STOCK     984332106       21        895   SHARES                         X        1        895     0      0
YAMANA GOLD INC  COMMON
                 STOCK     98462Y100       22       1729   SHARES                X                 1       1729     0      0
YORK WATER       COMMON
  COMPANY        STOCK     987184108     1662     107250   SHARES                X                 1     100214     0   7036
YORK WATER       COMMON
  COMPANY        STOCK     987184108     1135      73213   SHARES                         X        1      73213     0      0
YUM BRANDS INC   COMMON
                 STOCK     988498101      201       5236   SHARES                X                 3       5236     0      0
YUM! BRANDS INC  COMMON
                 STOCK     988498101      563      14706   SHARES                X                 1      14706     0      0
YUM! BRANDS INC  COMMON
                 STOCK     988498101     1017      26580   SHARES                X                 2          0     0  26580
YUM! BRANDS INC  COMMON
                 STOCK     988498101      402      10500   SHARES                         X        1       6660     0   3840
ZEBRA
  TECHNOLOGIES   COMMON
  CORP CL A      STOCK     989207105       78       2250   SHARES                         X        1       2250     0      0
ZENITH
  NATIONAL
  INSURANCE      COMMON
  CORP           STOCK     989390109       63       1400   SHARES                X                 2          0     0   1400
ZIMMER HLDGS     COMMON
  INC COM        STOCK     98956P102     8382     126714   SHARES                X                 1     124236     0   2478
ZIMMER HLDGS     COMMON
  INC COM        STOCK     98956P102     5195      78535   SHARES                X                 2      23955     0  54580
ZIMMER HLDGS     COMMON
  INC COM        STOCK     98956P102     4151      62765   SHARES                X                 3      61213     0   1552
ZIMMER HLDGS     COMMON
  INC COM        STOCK     98956P102     1292      19534   SHARES                         X        1      18584     0    950
ZIONS            COMMON
  BANCORPORATION STOCK     989701107     1218      26078   SHARES                X                 3      24643     0   1435
ZIONS
  BANCORPORATION COMMON
  COM            STOCK     989701107     1087      23288   SHARES                X                 1      21510     0   1778
ZIONS
  BANCORPORATION COMMON
  COM            STOCK     989701107       88       1875   SHARES                         X        1       1150     0    725
ZWEIG TOTAL      PREFERRED
  RETURN FUND    STOCK     989837109       28       6113   SHARES                X                 1       N.A.  N.A.   N.A.
                                      3984341   89706866