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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 3/31/2006

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

Institutional Investment Manager Filing this Report:

Name:    M&T Bank Corporation
Address: One M&T Plaza
         Buffalo, NY 14240

Form 13-F File Number: 028-00267

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

Person Signing this Report on Behalf of Reporting Manager

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

Signature, Place & Date of Signing:

Mark Czarnecki,
Executive Vice-President        Buffalo, New York         4/26/2006
--------------------------     ---------------------     ------------
      [Signature]                 [City, State]            [Date]

Report Type (Check only one.):

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

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

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



                            FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                4
Form 13-F Information Table Entry Total:      2,956
Form 13-F Information Table Value Total:  3,403,598
                                         ----------
                                         (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.                        M&T Trust Company of Delaware, Inc.





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
A. COMMON STOCK
DOMESTIC COMMON STOCKS
3 COM CORP COM                                               COMMON STOCK   885535104       7       1400   SHARES
3M COMPANY                                                   COMMON STOCK   88579Y101   12058     159303   SHARES
3M COMPANY                                                   COMMON STOCK   88579Y101   17160     226715   SHARES
3M COMPANY                                                   COMMON STOCK   88579Y101    8307     109760   SHARES
3M COMPANY                                                   COMMON STOCK   88579Y101      11        150   SHARES
3M COMPANY                                                   COMMON STOCK   88579Y101    1786      23590   SHARES
A S V INC                                                    COMMON STOCK   001963107      32       1000   SHARES
AAR CORP                                                     COMMON STOCK   000361105      83       2900   SHARES
AAR CORP                                                     COMMON STOCK   000361105      60       2100   SHARES
ABBOTT LABORATORIES                                          COMMON STOCK   002824100    5301     124823   SHARES
ABBOTT LABORATORIES                                          COMMON STOCK   002824100   10835     255122   SHARES
ABBOTT LABORATORIES                                          COMMON STOCK   002824100     600      14125   SHARES
ABBOTT LABORATORIES                                          COMMON STOCK   002824100    2100      49439   SHARES
ABERCROMBIE & FITCH CO CL A                                  COMMON STOCK   002896207     763      13100   SHARES
ABERCROMBIE & FITCH CO CL A                                  COMMON STOCK   002896207      29        500   SHARES
ABERCROMBIE & FITCH CO CL A                                  COMMON STOCK   002896207     277       4750   SHARES
ABM INDUSTRIES INCORPORATED                                  COMMON STOCK   000957100       2        100   SHARES
ACCO BRANDS CORP                                             COMMON STOCK   00081T108      22        981   SHARES
ACCO BRANDS CORP                                             COMMON STOCK   00081T108      39       1755   SHARES
ACTIVISION INC COM NEW                                       COMMON STOCK   004930202      26       1875   SHARES
ACTIVISION INC COM NEW                                       COMMON STOCK   004930202    1170      84808   SHARES
ACTIVISION INC COM NEW                                       COMMON STOCK   004930202    2317     167953   SHARES
ADAMS EXPRESS CO COM                                         COMMON STOCK   006212104      29       2178   SHARES
ADC TELECOMMUNICATNS                                         COMMON STOCK   000886309      28       1100   SHARES
ADESA INC                                                    COMMON STOCK   00686U104      47       1750   SHARES
ADOBE SYS INC COM                                            COMMON STOCK   00724F101       4        125   SHARES
ADOBE SYS INC COM                                            COMMON STOCK   00724F101      10        280   SHARES
ADOBE SYSTEMS INC                                            COMMON STOCK   00724F101     143       4100   SHARES
ADOBE SYSTEMS INCORPORATED                                   COMMON STOCK   00724F101    1177      23800   SHARES
ADVANCE AUTO PARTS                                           COMMON STOCK   00751Y106      15        365   SHARES
ADVANCE AUTO PARTS                                           COMMON STOCK   00751Y106      31        750   SHARES
ADVANCED MEDICAL OPTICS INC                                  COMMON STOCK   00763M108       6        118   SHARES
ADVANCED MICRO DEVICES INC COM                               COMMON STOCK   007903107     141       4250   SHARES
ADVANCED MICRO DEVICES INC COM                               COMMON STOCK   007903107    2466      74372   SHARES
ADVANCED MICRO DEVICES INC COM                               COMMON STOCK   007903107    6717     202577   SHARES
AES CORPORATION                                              COMMON STOCK   00130H105      85       5000   SHARES
AES CORPORATION                                              COMMON STOCK   00130H105      60       3500   SHARES
AES CORPORATION                                              COMMON STOCK   00130H105    5943     348350   SHARES
AETNA INC NEW COM                                            COMMON STOCK   00817Y108     218       4440   SHARES
AETNA INC NEW COM                                            COMMON STOCK   00817Y108      22        450   SHARES
AETNA INC NEW COM                                            COMMON STOCK   00817Y108    1127      22936   SHARES
AFFILIATED COMPUTER SVCS INC CL A                            COMMON STOCK   008190100      60       1000   SHARES
AFFILIATED COMPUTER SVCS INC CL A                            COMMON STOCK   008190100       9        150   SHARES
AFFILIATED COMPUTER SVCS INC CL A                            COMMON STOCK   008190100     293       4915   SHARES
AFFILIATED MANAGERS GROUP                                    COMMON STOCK   008252108    1568      14700   SHARES
AFFILIATED MANAGERS GROUP                                    COMMON STOCK   008252108      21        200   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
A. COMMON STOCK
DOMESTIC COMMON STOCKS
3 COM CORP COM                                                                X        1       1100   0      300
3M COMPANY                                                                    X        1     145971   0    13332
3M COMPANY                                                           X                 1     224173   0     2542
3M COMPANY                                                           X                 3     104085   0     5675
3M COMPANY                                                           X                 4        150   0        0
3M COMPANY                                                    X                        2      23590   0        0
A S V INC                                                            X                 1       1000   0        0
AAR CORP                                                             X                 1       2900   0        0
AAR CORP                                                             X                 3       2100   0        0
ABBOTT LABORATORIES                                                           X        1     109748   0    15075
ABBOTT LABORATORIES                                                  X                 1     251402   0     3720
ABBOTT LABORATORIES                                           X                        2      14125   0        0
ABBOTT LABORATORIES                                                  X                 3      38964   0    10475
ABERCROMBIE & FITCH CO CL A                                          X                 3      13100   0        0
ABERCROMBIE & FITCH CO CL A                                                   X        1        500   0        0
ABERCROMBIE & FITCH CO CL A                                          X                 1       4750   0        0
ABM INDUSTRIES INCORPORATED                                                   X        1        100   0        0
ACCO BRANDS CORP                                                              X        1        956   0       25
ACCO BRANDS CORP                                                     X                 1       1755   0        0
ACTIVISION INC COM NEW                                                        X        1       1875   0        0
ACTIVISION INC COM NEW                                               X                 1      80874   0     3934
ACTIVISION INC COM NEW                                               X                 3     162155   0     5798
ADAMS EXPRESS CO COM                                                 X                 1       2178   0        0
ADC TELECOMMUNICATNS                                                 X                 3       1100   0        0
ADESA INC                                                                     X        1       1750   0        0
ADOBE SYS INC COM                                                    X                 1        125   0        0
ADOBE SYS INC COM                                                             X        1        280   0        0
ADOBE SYSTEMS INC                                                    X                 3       4100   0        0
ADOBE SYSTEMS INCORPORATED                                    X                        2      23800   0        0
ADVANCE AUTO PARTS                                                   X                 1        365   0        0
ADVANCE AUTO PARTS                                                            X        1        750   0        0
ADVANCED MEDICAL OPTICS INC                                                   X        1        118   0        0
ADVANCED MICRO DEVICES INC COM                                                X        1       3250   0     1000
ADVANCED MICRO DEVICES INC COM                                       X                 1      72196   0     2176
ADVANCED MICRO DEVICES INC COM                                       X                 3     197894   0     4683
AES CORPORATION                                                      X                 3       5000   0        0
AES CORPORATION                                                      X                 1       3500   0        0
AES CORPORATION                                               X                        2     348350   0        0
AETNA INC NEW COM                                                    X                 3       4440   0        0
AETNA INC NEW COM                                                             X        1          0   0      450
AETNA INC NEW COM                                                    X                 1      22286   0      650
AFFILIATED COMPUTER SVCS INC CL A                                    X                 3       1000   0        0
AFFILIATED COMPUTER SVCS INC CL A                                             X        1        150   0        0
AFFILIATED COMPUTER SVCS INC CL A                                    X                 1       4915   0        0
AFFILIATED MANAGERS GROUP                                            X                 3      14700   0        0
AFFILIATED MANAGERS GROUP                                                     X        1        200   0        0


                                    1 of 57





                                                                                                  SEC USE  _________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ---------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
AFFILIATED MANAGERS GROUP                                    COMMON STOCK   008252108     485       4550   SHARES
AFFYMETRIX INC                                               COMMON STOCK   00826T108     157       4765   SHARES
AFFYMETRIX INC                                               COMMON STOCK   00826T108      33       1000   SHARES
AFLAC INC                                                    COMMON STOCK   001055102     132       2925   SHARES
AFLAC INC                                                    COMMON STOCK   001055102    2613      57889   SHARES
AFLAC INC                                                    COMMON STOCK   001055102     160       3550   SHARES
AGERE SYSTEMS INC                                            COMMON STOCK   00845V308       4        249   SHARES
AGERE SYSTEMS INC                                            COMMON STOCK   00845V308       6        387   SHARES
AGILENT TECHNOLOGIES INC COM                                 COMMON STOCK   00846U101     112       2980   SHARES
AGILENT TECHNOLOGIES INC COM                                 COMMON STOCK   00846U101      71       1904   SHARES
AGILENT TECHNOLOGIES INC COM                                 COMMON STOCK   00846U101     106       2819   SHARES
AGILYSYS INC                                                 COMMON STOCK   00847J105      53       3500   SHARES
AGILYSYS INC                                                 COMMON STOCK   00847J105      39       2600   SHARES
AGL RESOURCES INC COM                                        COMMON STOCK   001204106      97       2700   SHARES
AGL RESOURCES INC COM                                        COMMON STOCK   001204106     385      10682   SHARES
AGL RESOURCES INC COM                                        COMMON STOCK   001204106      50       1400   SHARES
AIR PRODUCTS & CHEMICALS INC                                 COMMON STOCK   009158106     116       1725   SHARES
AIR PRODUCTS & CHEMICALS INC                                 COMMON STOCK   009158106    1208      17975   SHARES
AIR PRODUCTS & CHEMICALS INC                                 COMMON STOCK   009158106    1335      19869   SHARES
AIRTRAN HLDGS INC                                            COMMON STOCK   00949P108     107       5900   SHARES
AK STEEL HOLDING CORP COM                                    COMMON STOCK   001547108       1         66   SHARES
ALASKA COMMUN SY GRP                                         COMMON STOCK   01167P101     289      23800   SHARES
ALASKA COMMUNICATIONS SYSTEMS GROUP                          COMMON STOCK   01167P101     136      11225   SHARES
ALBEMARLE CORP COM                                           COMMON STOCK   012653101     136       3000   SHARES
ALBEMARLE CORP COM                                           COMMON STOCK   012653101     773      17050   SHARES
ALBERTO CULVER CO                                            COMMON STOCK   013068101       4        100   SHARES
ALBERTO CULVER CO                                            COMMON STOCK   013068101      28        630   SHARES
ALBERTSONS INC                                               COMMON STOCK   013104104      72       2817   SHARES
ALBERTSONS INC                                               COMMON STOCK   013104104       5        200   SHARES
ALCOA INC COM                                                COMMON STOCK   013817101    1485      48597   SHARES
ALCOA INC COM                                                COMMON STOCK   013817101    5493     179730   SHARES
ALCOA INC COM                                                COMMON STOCK   013817101     241       7875   SHARES
ALCOA INC COM                                                COMMON STOCK   013817101       6        200   SHARES
ALDILA INCORPORATED NEW                                      COMMON STOCK   014384200       2         66   SHARES
ALEXION PHARMACEUTICALS INC COM                              COMMON STOCK   015351109      11        300   SHARES
ALLEGHENY ENERGY INC                                         COMMON STOCK   017361106      42       1229   SHARES
ALLEGHENY ENERGY INC                                         COMMON STOCK   017361106      60       1775   SHARES
ALLEGHENY ENERGY INC                                         COMMON STOCK   017361106      41       1200   SHARES
ALLEGHENY TECHNOLOGIES INC COM                               COMMON STOCK   01741R102      41        665   SHARES
ALLEGHENY TECHNOLOGIES INC COM                               COMMON STOCK   01741R102      29        481   SHARES
ALLEGHENY TECHNOLOGIES INC COM                               COMMON STOCK   01741R102      77       1262   SHARES
ALLERGAN INC                                                 COMMON STOCK   018490102      98        900   SHARES
ALLERGAN INC                                                 COMMON STOCK   018490102     199       1832   SHARES
ALLERGAN INC                                                 COMMON STOCK   018490102     106        980   SHARES
ALLETE INC                                                   COMMON STOCK   018522300      12        267   SHARES
ALLETE INC                                                   COMMON STOCK   018522300      71       1533   SHARES
ALLIANCEBERNSTEIN HOLDING LP                                 COMMON STOCK   01881G106      91       1375   SHARES
ALLIANCEBERNSTEIN HOLDING LP                                 COMMON STOCK   01881G106     133       2000   SHARES
ALLIANT ENERGY CORP                                          COMMON STOCK   018802108       3        111   SHARES
ALLIANT ENERGY CORP                                          COMMON STOCK   018802108      18        573   SHARES
ALLIANT TECHSYSTEMS INC                                      COMMON STOCK   018804104      10        127   SHARES
ALLIANT TECHSYSTEMS INC                                      COMMON STOCK   018804104      31        405   SHARES
ALLIED CAPITAL CORP NEW COM                                  COMMON STOCK   01903Q108      35       1128   SHARES
ALLIED CAPITAL CORP NEW COM                                  COMMON STOCK   01903Q108     102       3320   SHARES
ALLIED CAPITAL CORP NEW COM                                  COMMON STOCK   01903Q108      21        700   SHARES
ALLIED CAPITAL CORPORATION                                   COMMON STOCK   01903Q108    1046      34197   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
AFFILIATED MANAGERS GROUP                                            X                 1       4550   0       0
AFFYMETRIX INC                                                       X                 1       4265   0     500
AFFYMETRIX INC                                                       X                 3          0   0    1000
AFLAC INC                                                                     X        1       1925   0    1000
AFLAC INC                                                            X                 1      57889   0       0
AFLAC INC                                                            X                 3       3550   0       0
AGERE SYSTEMS INC                                                    X                 1        249   0       0
AGERE SYSTEMS INC                                                             X        1        371   0      16
AGILENT TECHNOLOGIES INC COM                                         X                 3       2980   0       0
AGILENT TECHNOLOGIES INC COM                                         X                 1       1904   0       0
AGILENT TECHNOLOGIES INC COM                                                  X        1       1709   0    1110
AGILYSYS INC                                                         X                 1       3500   0       0
AGILYSYS INC                                                         X                 3       2600   0       0
AGL RESOURCES INC COM                                                X                 1       2700   0       0
AGL RESOURCES INC COM                                                         X        1      10682   0       0
AGL RESOURCES INC COM                                                X                 3       1400   0       0
AIR PRODUCTS & CHEMICALS INC                                         X                 3       1725   0       0
AIR PRODUCTS & CHEMICALS INC                                                  X        1      15975   0    2000
AIR PRODUCTS & CHEMICALS INC                                         X                 1      19869   0       0
AIRTRAN HLDGS INC                                                    X                 1       5900   0       0
AK STEEL HOLDING CORP COM                                            X                 1         66   0       0
ALASKA COMMUN SY GRP                                                 X                 3      23800   0       0
ALASKA COMMUNICATIONS SYSTEMS GROUP                                  X                 1      11225   0       0
ALBEMARLE CORP COM                                                   X                 1       3000   0       0
ALBEMARLE CORP COM                                                            X        1      17050   0       0
ALBERTO CULVER CO                                                    X                 1        100   0       0
ALBERTO CULVER CO                                                    X                 3        630   0       0
ALBERTSONS INC                                                       X                 3       2817   0       0
ALBERTSONS INC                                                       X                 1        200   0       0
ALCOA INC COM                                                                 X        1      42757   0    5840
ALCOA INC COM                                                        X                 1     176605   0    3125
ALCOA INC COM                                                        X                 3       7075   0     800
ALCOA INC COM                                                        X                 4        200   0       0
ALDILA INCORPORATED NEW                                              X                 1         66   0       0
ALEXION PHARMACEUTICALS INC COM                                               X        1          0   0     300
ALLEGHENY ENERGY INC                                                 X                 1       1229   0       0
ALLEGHENY ENERGY INC                                                          X        1       1475   0     300
ALLEGHENY ENERGY INC                                                 X                 3       1200   0       0
ALLEGHENY TECHNOLOGIES INC COM                                       X                 3        665   0       0
ALLEGHENY TECHNOLOGIES INC COM                                                X        1          0   0     481
ALLEGHENY TECHNOLOGIES INC COM                                       X                 1       1262   0       0
ALLERGAN INC                                                         X                 1        900   0       0
ALLERGAN INC                                                                  X        1       1832   0       0
ALLERGAN INC                                                         X                 3        980   0       0
ALLETE INC                                                           X                 1        267   0       0
ALLETE INC                                                                    X        1       1533   0       0
ALLIANCEBERNSTEIN HOLDING LP                                         X                 1       1375   0       0
ALLIANCEBERNSTEIN HOLDING LP                                                  X        1       2000   0       0
ALLIANT ENERGY CORP                                                           X        1        111   0       0
ALLIANT ENERGY CORP                                                  X                 1        573   0       0
ALLIANT TECHSYSTEMS INC                                              X                 1        127   0       0
ALLIANT TECHSYSTEMS INC                                                       X        1        405   0       0
ALLIED CAPITAL CORP NEW COM                                          X                 1       1128   0       0
ALLIED CAPITAL CORP NEW COM                                                   X        1       3320   0       0
ALLIED CAPITAL CORP NEW COM                                          X                 3        700   0       0
ALLIED CAPITAL CORPORATION                                    X                        2      34197   0       0


                                    2 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
ALLIED WASTE IND                                             COMMON STOCK   019589308      20       1600   SHARES
ALLIS-CHALMERS ENERGY INC                                    COMMON STOCK   019645506       0          3   SHARES
ALLSTATE CORPORATION                                         COMMON STOCK   020002101    2223      42668   SHARES
ALLSTATE CORPORATION                                         COMMON STOCK   020002101    8522     163544   SHARES
ALLSTATE CORPORATION                                         COMMON STOCK   020002101    5065      97206   SHARES
ALLSTATE CORPORATION                                         COMMON STOCK   020002101       5        100   SHARES
ALLSTATE CORPORATION                                         COMMON STOCK   020002101     723      13873   SHARES
ALLTEL CORP                                                  COMMON STOCK   020039103     409       6312   SHARES
ALLTEL CORP                                                  COMMON STOCK   020039103    1814      28017   SHARES
ALLTEL CORP                                                  COMMON STOCK   020039103     192       2960   SHARES
ALTERA CORP COM                                              COMMON STOCK   021441100      66       3200   SHARES
ALTERA CORP COM                                              COMMON STOCK   021441100      13        650   SHARES
ALTERA CORP COM                                              COMMON STOCK   021441100     101       4900   SHARES
ALTRIA GROUP INC                                             COMMON STOCK   02209S103   11510     162438   SHARES
ALTRIA GROUP INC                                             COMMON STOCK   02209S103   19103     269590   SHARES
ALTRIA GROUP INC                                             COMMON STOCK   02209S103     737      10400   SHARES
ALTRIA GROUP INC                                             COMMON STOCK   02209S103    9743     137514   SHARES
AMAZON COM INC                                               COMMON STOCK   023135106      55       1500   SHARES
AMAZON.COM INC                                               COMMON STOCK   023135106       4        100   SHARES
AMAZON.COM INC                                               COMMON STOCK   023135106      44       1212   SHARES
AMBAC FINANCIAL GROUP INC                                    COMMON STOCK   023139108     254       3190   SHARES
AMBAC FINANCIAL GROUP INC                                    COMMON STOCK   023139108     339       4264   SHARES
AMBAC FINANCIAL GROUP INC                                    COMMON STOCK   023139108     719       9020   SHARES
AMERADA HESS CORP                                            COMMON STOCK   023551104      81        570   SHARES
AMEREN CORPORATION                                           COMMON STOCK   023608102      88       1765   SHARES
AMEREN CORPORATION                                           COMMON STOCK   023608102     259       5205   SHARES
AMEREN CORPORATION                                           COMMON STOCK   023608102      78       1560   SHARES
AMERICAN ACCESS TECHNOLOGIES INC                             COMMON STOCK   02368F108       1        500   SHARES
AMERICAN CAPITAL STRATEGIES LTD                              COMMON STOCK   024937104      67       1900   SHARES
AMERICAN CAPITAL STRATEGIES LTD                              COMMON STOCK   024937104      88       2500   SHARES
AMERICAN CAPITAL STRATEGIES LTD                              COMMON STOCK   024937104    2117      60200   SHARES
AMERICAN EAGLE OUTFITTER INC NEW COM                         COMMON STOCK   02553E106     370      12376   SHARES
AMERICAN EAGLE OUTFITTER INC NEW COM                         COMMON STOCK   02553E106    1141      38200   SHARES
AMERICAN ELECTRIC POWER CO INC                               COMMON STOCK   025537101     199       5836   SHARES
AMERICAN ELECTRIC POWER CO INC                               COMMON STOCK   025537101     299       8802   SHARES
AMERICAN EXPRESS COMPANY                                     COMMON STOCK   025816109    1147      21833   SHARES
AMERICAN EXPRESS COMPANY                                     COMMON STOCK   025816109    2998      57058   SHARES
AMERICAN EXPRESS COMPANY                                     COMMON STOCK   025816109    1806      34365   SHARES
AMERICAN EXPRESS COMPANY                                     COMMON STOCK   025816109      11        200   SHARES
AMERICAN EXPRESS COMPANY                                     COMMON STOCK   025816109     410       7800   SHARES
AMERICAN FINANCIAL GROUP INC                                 COMMON STOCK   025932104      17        400   SHARES
AMERICAN FINANCIAL REALTY                                    COMMON STOCK   02607P305    1697     145700   SHARES
AMERICAN INTERNATIONAL GROUP INC                             COMMON STOCK   026874107      20        300   SHARES
AMERICAN INTERNATIONAL GROUP INC                             COMMON STOCK   026874107    8465     128077   SHARES
AMERICAN INTERNATIONAL GROUP INC                             COMMON STOCK   026874107   23083     349264   SHARES
AMERICAN INTERNATIONAL GROUP INC                             COMMON STOCK   026874107    5879      88948   SHARES
AMERICAN INTERNATIONAL GROUP INC                             COMMON STOCK   026874107   15033     227459   SHARES
AMERICAN MEDICAL ALERT CORPORATION                           COMMON STOCK   027904101       1        150   SHARES
AMERICAN STANDARD CO                                         COMMON STOCK   029712106      60       1400   SHARES
AMERICAN TECHNOLOGY CORP                                     COMMON STOCK   030145205      13       3000   SHARES
AMERICASBANK CORP                                            COMMON STOCK   03061G302       7       1000   SHARES
AMERIGAS PARTNERS LP                                         COMMON STOCK   030975106       9        300   SHARES
AMERIGAS PARTNERS LP                                         COMMON STOCK   030975106      48       1600   SHARES
AMERIPRISE FINANCIAL INC                                     COMMON STOCK   03076C106      84       1860   SHARES
AMERIPRISE FINANCIAL INC                                     COMMON STOCK   03076C106     131       2918   SHARES
AMERIPRISE FINANCIAL INC                                     COMMON STOCK   03076C106     233       5181   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
ALLIED WASTE IND                                                     X                 3       1600   0        0
ALLIS-CHALMERS ENERGY INC                                            X                 1          3   0        0
ALLSTATE CORPORATION                                                          X        1      39563   0     3105
ALLSTATE CORPORATION                                                 X                 1     160586   0     2958
ALLSTATE CORPORATION                                                 X                 3      94085   0     3121
ALLSTATE CORPORATION                                                 X                 4        100   0        0
ALLSTATE CORPORATION                                          X                        2      13873   0        0
ALLTEL CORP                                                          X                 1       6312   0        0
ALLTEL CORP                                                                   X        1      23817   0     4200
ALLTEL CORP                                                          X                 3       2960   0        0
ALTERA CORP COM                                                      X                 3       3200   0        0
ALTERA CORP COM                                                               X        1        650   0        0
ALTERA CORP COM                                                      X                 1       4900   0        0
ALTRIA GROUP INC                                                              X        1     155388   0     7050
ALTRIA GROUP INC                                                     X                 1     268690   0      900
ALTRIA GROUP INC                                              X                        2      10400   0        0
ALTRIA GROUP INC                                                     X                 3     133281   0     4233
AMAZON COM INC                                                       X                 3       1500   0        0
AMAZON.COM INC                                                                X        1          0   0      100
AMAZON.COM INC                                                       X                 1       1212   0        0
AMBAC FINANCIAL GROUP INC                                                     X        1       3190   0        0
AMBAC FINANCIAL GROUP INC                                            X                 1       4264   0        0
AMBAC FINANCIAL GROUP INC                                            X                 3       9020   0        0
AMERADA HESS CORP                                                    X                 3        570   0        0
AMEREN CORPORATION                                                            X        1       1765   0        0
AMEREN CORPORATION                                                   X                 1       5205   0        0
AMEREN CORPORATION                                                   X                 3       1560   0        0
AMERICAN ACCESS TECHNOLOGIES INC                                     X                 1        500   0        0
AMERICAN CAPITAL STRATEGIES LTD                                               X        1       1900   0        0
AMERICAN CAPITAL STRATEGIES LTD                                      X                 1       2500   0        0
AMERICAN CAPITAL STRATEGIES LTD                               X                        2      60200   0        0
AMERICAN EAGLE OUTFITTER INC NEW COM                                 X                 1      12376   0        0
AMERICAN EAGLE OUTFITTER INC NEW COM                                 X                 3      38200   0        0
AMERICAN ELECTRIC POWER CO INC                                       X                 1       5836   0        0
AMERICAN ELECTRIC POWER CO INC                                                X        1       5972   0     2830
AMERICAN EXPRESS COMPANY                                                      X        1      18087   0     3746
AMERICAN EXPRESS COMPANY                                             X                 1      56458   0      600
AMERICAN EXPRESS COMPANY                                             X                 3      34365   0        0
AMERICAN EXPRESS COMPANY                                             X                 4        200   0        0
AMERICAN EXPRESS COMPANY                                      X                        2       7800   0        0
AMERICAN FINANCIAL GROUP INC                                                  X        1          0   0      400
AMERICAN FINANCIAL REALTY                                     X                        2     145700   0        0
AMERICAN INTERNATIONAL GROUP INC                                     X                 4        300   0        0
AMERICAN INTERNATIONAL GROUP INC                                              X        1     116562   0    11515
AMERICAN INTERNATIONAL GROUP INC                                     X                 1     343291   0     5973
AMERICAN INTERNATIONAL GROUP INC                              X                        2      88948   0        0
AMERICAN INTERNATIONAL GROUP INC                                     X                 3     218184   0     9275
AMERICAN MEDICAL ALERT CORPORATION                                   X                 1        150   0        0
AMERICAN STANDARD CO                                                 X                 3       1400   0        0
AMERICAN TECHNOLOGY CORP                                             X                 1       3000   0        0
AMERICASBANK CORP                                                             X        1       1000   0        0
AMERIGAS PARTNERS LP                                                 X                 1        300   0        0
AMERIGAS PARTNERS LP                                                          X        1       1600   0        0
AMERIPRISE FINANCIAL INC                                             X                 3       1860   0        0
AMERIPRISE FINANCIAL INC                                                      X        1       2288   0      630
AMERIPRISE FINANCIAL INC                                             X                 1       5061   0      120


                                    3 of 57





                                                                                                       SEC USE  __________________

COLUMN 1                                                          COLUMN 2       COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     ------------------- --------- ---------- ----------------------------
                                                                                                       SHARES
                                                                                                         OR      SHARES     PUT
                                                                                             VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                                 TITLE OF CLASS     CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               ------------------- --------- ---------- --------- ---------   ----
                                                                                                          
AMERIPRISE FINANCIAL INC                                     COMMON STOCK        03076C106       2         40   SHARES
AMERIS BANCORP                                               COMMON STOCK        03076K108       2        104   SHARES
AMERISOURCE BERGEN CORP COM                                  COMMON STOCK        03073E105      19        400   SHARES
AMERISOURCE BERGEN CORP COM                                  COMMON STOCK        03073E105      77       1600   SHARES
AMERN ELEC PWR INC                                           COMMON STOCK        025537101     102       3002   SHARES
AMERN PWR CONVERSION                                         COMMON STOCK        029066107      30       1300   SHARES
AMETEK AEROSPACE PRODS INC COM                               COMMON STOCK        031100100      42        942   SHARES
AMGEN INC COM                                                COMMON STOCK        031162100    4595      63157   SHARES
AMGEN INC COM                                                COMMON STOCK        031162100   18462     253776   SHARES
AMGEN INC COM                                                COMMON STOCK        031162100    9817     134928   SHARES
AMGEN INC COM                                                COMMON STOCK        031162100      15        200   SHARES
AMICAS INC                                                   COMMON STOCK        001712108      18       3900   SHARES
AMICAS INC                                                   COMMON STOCK        001712108      23       4900   SHARES
AMLI RESIDENTIAL PROPERTIES TRUST                            COMMON STOCK        001735109     575      15100   SHARES
AMSOUTH BANCORPORATION                                       COMMON STOCK        032165102      73       2700   SHARES
AMSOUTH BANCORPORATION                                       COMMON STOCK        032165102      63       2337   SHARES
AMSOUTH BANCORPORATION                                       COMMON STOCK        032165102      69       2550   SHARES
AMSURG CORP                                                  COMMON STOCK        03232P405      18        800   SHARES
AMYLIN PHARM INC                                             COMMON STOCK        032346108      44        900   SHARES
AMYLIN PHARMACEUTICALS INC                                   COMMON STOCK        032346108      64       1300   SHARES
ANADARKO PETROLEUM CORPORATION                               COMMON STOCK        032511107     772       7643   SHARES
ANADARKO PETROLEUM CORPORATION                               COMMON STOCK        032511107    1535      15192   SHARES
ANADARKO PETROLEUM CORPORATION                               COMMON STOCK        032511107     510       5050   SHARES
ANADARKO PETROLEUM CORPORATION                               COMMON STOCK        032511107     293       2900   SHARES
ANALOG DEVICES INC                                           COMMON STOCK        032654105      23        600   SHARES
ANALOG DEVICES INC                                           COMMON STOCK        032654105      31        800   SHARES
ANALOG DEVICES INC                                           COMMON STOCK        032654105     107       2800   SHARES
ANDREW CORP                                                  COMMON STOCK        034425108      14       1145   SHARES
ANDRX GROUP COM                                              COMMON STOCK        034553107      17        700   SHARES
ANDRX GROUP COM                                              COMMON STOCK        034553107      21        900   SHARES
ANHEUSER BUSCH COS INC COM                                   COMMON STOCK        035229103    1102      25758   SHARES
ANHEUSER BUSCH COS INC COM                                   COMMON STOCK        035229103    1160      27115   SHARES
ANHEUSER BUSCH COS INC COM                                   COMMON STOCK        035229103     381       8925   SHARES
ANNAPOLIS BANCORP INCORPORATED                               COMMON STOCK        035848100      13       1333   SHARES
ANNTAYLOR STORES CORP                                        COMMON STOCK        036115103       8        225   SHARES
ANSYS INC COM                                                COMMON STOCK        03662Q105    1164      21500   SHARES
ANSYS INC COM                                                COMMON STOCK        03662Q105     419       7745   SHARES
AON CORPORATION                                              COMMON STOCK        037389103      62       1500   SHARES
AON CORPORATION                                              COMMON STOCK        037389103     363       8750   SHARES
AON CORPORATION                                              COMMON STOCK        037389103      97       2330   SHARES
APACHE CORP COM                                              COMMON STOCK        037411105     167       2550   SHARES
APACHE CORP COM                                              COMMON STOCK        037411105     609       9297   SHARES
APACHE CORP COM                                              COMMON STOCK        037411105    2368      36140   SHARES
APARTMENT INVT&MGMT                                          COMMON STOCK A REIT 03748R101      33        700   SHARES
APOLLO GROUP INC CL A                                        COMMON STOCK        037604105      60       1150   SHARES
APOLLO GROUP INC CL A                                        COMMON STOCK        037604105      13        250   SHARES
APPLE COMPUTER INC COM                                       COMMON STOCK        037833100     200       3185   SHARES
APPLE COMPUTER INC COM                                       COMMON STOCK        037833100    1109      17689   SHARES
APPLE COMPUTER INC COM                                       COMMON STOCK        037833100     852      13596   SHARES
APPLE COMPUTER INCORPORATED                                  COMMON STOCK        037833100     619       9865   SHARES
APPLEBEE INTERNATIONAL INC COM                               COMMON STOCK        037899101      15        600   SHARES
APPLERA CORP-APPLIED BIOSYSTEMS GRP                          COMMON STOCK        038020103      43       1600   SHARES
APPLERA CORP-CELERA GENOMICS GR                              COMMON STOCK        038020202       7        600   SHARES
APPLERA CORPORATION                                          COMMON STOCK        038020103      42       1540   SHARES
APPLIED MATERIALS                                            COMMON STOCK        038222105     218      12450   SHARES
APPLIED MATERIALS INC COM                                    COMMON STOCK        038222105     121       6917   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
AMERIPRISE FINANCIAL INC                                             X                 4         40   0       0
AMERIS BANCORP                                                       X                 1        104   0       0
AMERISOURCE BERGEN CORP COM                                          X                 1        400   0       0
AMERISOURCE BERGEN CORP COM                                          X                 3       1600   0       0
AMERN ELEC PWR INC                                                   X                 3       3002   0       0
AMERN PWR CONVERSION                                                 X                 3       1300   0       0
AMETEK AEROSPACE PRODS INC COM                                       X                 1        942   0       0
AMGEN INC COM                                                                 X        1      56052   0    7105
AMGEN INC COM                                                        X                 1     248782   0    4994
AMGEN INC COM                                                        X                 3     125792   0    9136
AMGEN INC COM                                                        X                 4        200   0       0
AMICAS INC                                                           X                 1       3900   0       0
AMICAS INC                                                           X                 3       4900   0       0
AMLI RESIDENTIAL PROPERTIES TRUST                             X                        2      15100   0       0
AMSOUTH BANCORPORATION                                               X                 3       2700   0       0
AMSOUTH BANCORPORATION                                                        X        1       2337   0       0
AMSOUTH BANCORPORATION                                               X                 1       2550   0       0
AMSURG CORP                                                                   X        1        800   0       0
AMYLIN PHARM INC                                                     X                 3        900   0       0
AMYLIN PHARMACEUTICALS INC                                           X                 1       1300   0       0
ANADARKO PETROLEUM CORPORATION                                                X        1       5208   0    2435
ANADARKO PETROLEUM CORPORATION                                       X                 1      15192   0       0
ANADARKO PETROLEUM CORPORATION                                       X                 3       5050   0       0
ANADARKO PETROLEUM CORPORATION                                X                        2       2900   0       0
ANALOG DEVICES INC                                                   X                 1        600   0       0
ANALOG DEVICES INC                                                            X        1          0   0     800
ANALOG DEVICES INC                                                   X                 3       2800   0       0
ANDREW CORP                                                          X                 3       1145   0       0
ANDRX GROUP COM                                                      X                 3        700   0       0
ANDRX GROUP COM                                                      X                 1        900   0       0
ANHEUSER BUSCH COS INC COM                                                    X        1      25758   0       0
ANHEUSER BUSCH COS INC COM                                           X                 1      27115   0       0
ANHEUSER BUSCH COS INC COM                                           X                 3       5925   0    3000
ANNAPOLIS BANCORP INCORPORATED                                                X        1       1333   0       0
ANNTAYLOR STORES CORP                                                         X        1        225   0       0
ANSYS INC COM                                                        X                 3      21500   0       0
ANSYS INC COM                                                        X                 1       7745   0       0
AON CORPORATION                                                               X        1       1500   0       0
AON CORPORATION                                                      X                 1       8750   0       0
AON CORPORATION                                                      X                 3       2330   0       0
APACHE CORP COM                                                      X                 3       2550   0       0
APACHE CORP COM                                                               X        1       9087   0     210
APACHE CORP COM                                                      X                 1      36140   0       0
APARTMENT INVT&MGMT                                                  X                 3        700   0       0
APOLLO GROUP INC CL A                                                X                 3       1150   0       0
APOLLO GROUP INC CL A                                                X                 1        250   0       0
APPLE COMPUTER INC COM                                                        X        1       2435   0     750
APPLE COMPUTER INC COM                                               X                 1      17689   0       0
APPLE COMPUTER INC COM                                               X                 3      13596   0       0
APPLE COMPUTER INCORPORATED                                   X                        2       9865   0       0
APPLEBEE INTERNATIONAL INC COM                                                X        1        600   0       0
APPLERA CORP-APPLIED BIOSYSTEMS GRP                                  X                 1       1600   0       0
APPLERA CORP-CELERA GENOMICS GR                                      X                 1        600   0       0
APPLERA CORPORATION                                                  X                 3       1540   0       0
APPLIED MATERIALS                                                    X                 3      12450   0       0
APPLIED MATERIALS INC COM                                                     X        1       6217   0     700


                                    4 of 57





                                                                                                     SEC USE  __________________

COLUMN 1                                                         COLUMN 2      COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     ----------------- --------- ---------- ----------------------------
                                                                                                     SHARES
                                                                                                       OR      SHARES     PUT
                                                                                           VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                                TITLE OF CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               ----------------- --------- ---------- --------- ---------   ----
                                                                                                        
APPLIED MATERIALS INC COM                                    COMMON STOCK      038222105     985      56268   SHARES
APPLIED MATERIALS INCORPORATED                               COMMON STOCK      038222105    1403      80125   SHARES
APPLIED MICRO CRCTS                                          COMMON STOCK      03822W109      10       2400   SHARES
AQUA AMERICA INC                                             COMMON STOCK      03836W103       7        258   SHARES
AQUA AMERICA INC                                             COMMON STOCK      03836W103     103       3708   SHARES
AQUANTIVE INC                                                COMMON STOCK      03839G105      68       2900   SHARES
AQUANTIVE INC                                                COMMON STOCK      03839G105      52       2200   SHARES
ARAMARK CORP                                                 COMMON STOCK      038521100       1         50   SHARES
ARCHER DANIELS MIDLAND CO COM                                COMMON STOCK      039483102     262       7780   SHARES
ARCHER DANIELS MIDLAND CO COM                                COMMON STOCK      039483102     535      15902   SHARES
ARCHER DANIELS MIDLD                                         COMMON STOCK      039483102     168       5000   SHARES
ARCHSTONE-SMITH TRUST                                        COMMON STOCK REIT 039583109      78       1600   SHARES
ARCHSTONE-SMITH TRUST                                        COMMON STOCK REIT 039583109    2181      44722   SHARES
ARES CAPITAL CORP                                            COMMON STOCK      04010L103       2        100   SHARES
ARGONAUT GROUP                                               COMMON STOCK      040157109      13        366   SHARES
ARIBA INC                                                    COMMON STOCK      04033V203       0          5   SHARES
ARLINGTON TANKERS LTD                                        COMMON STOCK      G04899103    2132      92700   SHARES
ARROW INTERNATIONAL INC                                      COMMON STOCK      042764100       7        200   SHARES
ARROW INTERNATIONAL INC                                      COMMON STOCK      042764100      59       1800   SHARES
ARTESIAN RESOURCES CORPORATION CL A                          COMMON STOCK      043113208     112       3344   SHARES
ASHLAND INC                                                  COMMON STOCK      044209104       7        100   SHARES
ASHLAND INC                                                  COMMON STOCK      044209104      16        225   SHARES
ASHLAND INC                                                  COMMON STOCK      044209104      43        610   SHARES
ASTORIA FINANCIAL CORP COM                                   COMMON STOCK      046265104       3        100   SHARES
AT&T INC                                                     COMMON STOCK      00206R102    4992     184617   SHARES
AT&T INC                                                     COMMON STOCK      00206R102    6421     237457   SHARES
AT&T INC                                                     COMMON STOCK      00206R102     790      29200   SHARES
AT&T INC                                                     COMMON STOCK      00206R102     841      31102   SHARES
ATLAS PIPELINE PARTNERS LP                                   COMMON STOCK      049392103       8        200   SHARES
ATMOS ENERGY CORP                                            COMMON STOCK      049560105       4        150   SHARES
AUTODESK INC                                                 COMMON STOCK      052769106      66       1710   SHARES
AUTOMATIC DATA PROCESSING INC                                COMMON STOCK      053015103     203       4440   SHARES
AUTOMATIC DATA PROCESSING INC                                COMMON STOCK      053015103    2358      51629   SHARES
AUTOMATIC DATA PROCESSING INC                                COMMON STOCK      053015103    3231      70739   SHARES
AUTOMATIC DATA PROCESSING INC                                COMMON STOCK      053015103    1521      33298   SHARES
AUTONATION INC                                               COMMON STOCK      05329W102      29       1350   SHARES
AUTOZONE INC                                                 COMMON STOCK      053332102      44        440   SHARES
AVATAR HOLDINGS INCORPORATED                                 COMMON STOCK      053494100     531       8700   SHARES
AVAYA INC COM                                                COMMON STOCK      053499109      36       3225   SHARES
AVAYA INC COM                                                COMMON STOCK      053499109       6        528   SHARES
AVAYA INC COM                                                COMMON STOCK      053499109      13       1165   SHARES
AVERY DENNISON CORP COM                                      COMMON STOCK      053611109      55        940   SHARES
AVERY DENNISON CORP COM                                      COMMON STOCK      053611109      31        525   SHARES
AVERY DENNISON CORP COM                                      COMMON STOCK      053611109      67       1150   SHARES
AVID TECHNOLOGY INC                                          COMMON STOCK      05367P100       7        150   SHARES
AVNET INC COM                                                COMMON STOCK      053807103      13        500   SHARES
AVNET INC COM                                                COMMON STOCK      053807103       5        200   SHARES
AVON PRODUCTS INC                                            COMMON STOCK      054303102      55       1760   SHARES
AVON PRODUCTS INC                                            COMMON STOCK      054303102     446      14299   SHARES
AVON PRODUCTS INC                                            COMMON STOCK      054303102     112       3600   SHARES
AXCELIS TECHNOLOGIES INC COM                                 COMMON STOCK      054540109      16       2652   SHARES
B & G FOODS INC - EIS                                        COMMON STOCK      05508R205      17       1200   SHARES
BAKER HUGHES INC COM                                         COMMON STOCK      057224107     179       2620   SHARES
BAKER HUGHES INC COM                                         COMMON STOCK      057224107      95       1395   SHARES
BAKER HUGHES INC COM                                         COMMON STOCK      057224107     208       3036   SHARES
BAKER MICHAEL CORP                                           COMMON STOCK      057149106      51       1800   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
APPLIED MATERIALS INC COM                                            X                 1      54868   0     1400
APPLIED MATERIALS INCORPORATED                                X                        2      80125   0        0
APPLIED MICRO CRCTS                                                  X                 3       2400   0        0
AQUA AMERICA INC                                                              X        1        258   0        0
AQUA AMERICA INC                                                     X                 1       3708   0        0
AQUANTIVE INC                                                        X                 1       2900   0        0
AQUANTIVE INC                                                        X                 3       2200   0        0
ARAMARK CORP                                                         X                 1         50   0        0
ARCHER DANIELS MIDLAND CO COM                                                 X        1       1280   0     6500
ARCHER DANIELS MIDLAND CO COM                                        X                 1      15902   0        0
ARCHER DANIELS MIDLD                                                 X                 3       5000   0        0
ARCHSTONE-SMITH TRUST                                                X                 3       1600   0        0
ARCHSTONE-SMITH TRUST                                         X                        2      44722   0        0
ARES CAPITAL CORP                                                    X                 1        100   0        0
ARGONAUT GROUP                                                       X                 1        366   0        0
ARIBA INC                                                            X                 1          5   0        0
ARLINGTON TANKERS LTD                                         X                        2      92700   0        0
ARROW INTERNATIONAL INC                                                       X        1          0   0      200
ARROW INTERNATIONAL INC                                              X                 1       1800   0        0
ARTESIAN RESOURCES CORPORATION CL A                                  X                 1       2594   0      750
ASHLAND INC                                                                   X        1        100   0        0
ASHLAND INC                                                          X                 1        225   0        0
ASHLAND INC                                                          X                 3        610   0        0
ASTORIA FINANCIAL CORP COM                                                    X        1        100   0        0
AT&T INC                                                                      X        1     171275   0    13342
AT&T INC                                                             X                 1     237457   0        0
AT&T INC                                                      X                        2      29200   0        0
AT&T INC                                                             X                 3      30419   0      683
ATLAS PIPELINE PARTNERS LP                                           X                 1        200   0        0
ATMOS ENERGY CORP                                                             X        1        150   0        0
AUTODESK INC                                                         X                 3       1710   0        0
AUTOMATIC DATA PROCESSING INC                                        X                 3       4440   0        0
AUTOMATIC DATA PROCESSING INC                                                 X        1      48579   0     3050
AUTOMATIC DATA PROCESSING INC                                        X                 1      69739   0     1000
AUTOMATIC DATA PROCESSING INC                                 X                        2      33298   0        0
AUTONATION INC                                                       X                 3       1350   0        0
AUTOZONE INC                                                         X                 3        440   0        0
AVATAR HOLDINGS INCORPORATED                                         X                 1       8700   0        0
AVAYA INC COM                                                        X                 3       3225   0        0
AVAYA INC COM                                                        X                 1        528   0        0
AVAYA INC COM                                                                 X        1       1124   0       41
AVERY DENNISON CORP COM                                              X                 3        940   0        0
AVERY DENNISON CORP COM                                              X                 1        525   0        0
AVERY DENNISON CORP COM                                                       X        1       1150   0        0
AVID TECHNOLOGY INC                                                  X                 1        150   0        0
AVNET INC COM                                                                 X        1        500   0        0
AVNET INC COM                                                        X                 4        200   0        0
AVON PRODUCTS INC                                                    X                 1       1760   0        0
AVON PRODUCTS INC                                                             X        1      14299   0        0
AVON PRODUCTS INC                                                    X                 3       3600   0        0
AXCELIS TECHNOLOGIES INC COM                                                  X        1       2652   0        0
B & G FOODS INC - EIS                                                X                 1       1200   0        0
BAKER HUGHES INC COM                                                 X                 3       2620   0        0
BAKER HUGHES INC COM                                                          X        1       1395   0        0
BAKER HUGHES INC COM                                                 X                 1       3036   0        0
BAKER MICHAEL CORP                                                   X                 1       1800   0        0


                                    5 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
BAKER MICHAEL CORP                                           COMMON STOCK   057149106      37       1300   SHARES
BALL CORPORATION                                             COMMON STOCK   058498106      38        860   SHARES
BALL CORPORATION                                             COMMON STOCK   058498106    1052      24000   SHARES
BANK NEW YORK INC COM                                        COMMON STOCK   064057102    1244      34531   SHARES
BANK NEW YORK INC COM                                        COMMON STOCK   064057102    4571     126838   SHARES
BANK NEW YORK INC COM                                        COMMON STOCK   064057102     398      11045   SHARES
BANK NEW YORK INC COM                                        COMMON STOCK   064057102       4        100   SHARES
BANK NEW YORK INCORPORATED                                   COMMON STOCK   064057102    1114      30900   SHARES
BANK OF AMERICA CORPORATION                                  COMMON STOCK   060505104   10504     230646   SHARES
BANK OF AMERICA CORPORATION                                  COMMON STOCK   060505104   23743     521359   SHARES
BANK OF AMERICA CORPORATION                                  COMMON STOCK   060505104    6642     145852   SHARES
BANK OF AMERICA CORPORATION                                  COMMON STOCK   060505104   16549     363399   SHARES
BANK OF HAWAII CORP                                          COMMON STOCK   062540109      16        300   SHARES
BANK ONE CORPORATION                                         COMMON STOCK   06423A103     995      18250   SHARES
BANKATLANTIC BANCORP INCORPORATED                            COMMON STOCK   065908501     183      12725   SHARES
BARD C R INC COM                                             COMMON STOCK   067383109      54        790   SHARES
BARD C R INC COM                                             COMMON STOCK   067383109     271       4000   SHARES
BARD C R INC COM                                             COMMON STOCK   067383109     353       5200   SHARES
BARR PHARMACEUTICALS                                         COMMON STOCK   068306109      19        300   SHARES
BARR PHARMACEUTICALS INC                                     COMMON STOCK   068306109      44        700   SHARES
BAUSCH & LOMB INC COM                                        COMMON STOCK   071707103      28        440   SHARES
BAUSCH & LOMB INC COM                                        COMMON STOCK   071707103       3         50   SHARES
BAXTER INTL INC                                              COMMON STOCK   071813109     520      13399   SHARES
BAXTER INTL INC                                              COMMON STOCK   071813109    1111      28636   SHARES
BAXTER INTL INC                                              COMMON STOCK   071813109     186       4800   SHARES
BB&T CORP COM                                                COMMON STOCK   054937107    1483      37840   SHARES
BB&T CORP COM                                                COMMON STOCK   054937107     281       7162   SHARES
BB&T CORP COM                                                COMMON STOCK   054937107    1123      28647   SHARES
BB&T CORP COM                                                COMMON STOCK   054937107     251       6402   SHARES
BEAR STEARNS COS INC                                         COMMON STOCK   073902108     141       1020   SHARES
BEAR STEARNS COS INC                                         COMMON STOCK   073902108     167       1206   SHARES
BEAR STEARNS COS INC                                         COMMON STOCK   073902108     125        900   SHARES
BECKMAN COULTER INC                                          COMMON STOCK   075811109     132       2411   SHARES
BECTON DICKINSON & CO COM                                    COMMON STOCK   075887109     120       1955   SHARES
BECTON DICKINSON & CO COM                                    COMMON STOCK   075887109     196       3189   SHARES
BECTON DICKINSON & CO COM                                    COMMON STOCK   075887109     819      13300   SHARES
BED BATH & BEYOND INC COM                                    COMMON STOCK   075896100      46       1200   SHARES
BED BATH & BEYOND INC COM                                    COMMON STOCK   075896100     548      14258   SHARES
BED BATH & BEYOND INC COM                                    COMMON STOCK   075896100     977      25420   SHARES
BELLSOUTH CORP                                               COMMON STOCK   079860102    7237     208852   SHARES
BELLSOUTH CORP                                               COMMON STOCK   079860102    8833     254919   SHARES
BELLSOUTH CORP                                               COMMON STOCK   079860102     524      15138   SHARES
BELLSOUTH CORP                                               COMMON STOCK   079860102       7        200   SHARES
BEMIS INC                                                    COMMON STOCK   081437105      25        800   SHARES
BEMIS INC                                                    COMMON STOCK   081437105      26        820   SHARES
BENCHMARK ELECTRONICS INC                                    COMMON STOCK   08160H101       4        115   SHARES
BERKSHIRE HATHAWAY INC CLASS A                               COMMON STOCK   084670108     271          3   SHARES
BERKSHIRE HATHAWAY INC CLASS B                               COMMON STOCK   084670207     437        145   SHARES
BERKSHIRE HATHAWAY INC CLASS B                               COMMON STOCK   084670207     581        193   SHARES
BEST BUY INC COM                                             COMMON STOCK   086516101     107       1912   SHARES
BEST BUY INC COM                                             COMMON STOCK   086516101     537       9602   SHARES
BEST BUY INC COM                                             COMMON STOCK   086516101     589      10510   SHARES
BIG LOTS INC                                                 COMMON STOCK   089302103      12        890   SHARES
BIOANALYTICAL SYSTEMS INCORPORATED                           COMMON STOCK   09058M103       0         16   SHARES
BIOGEN IDEC INC                                              COMMON STOCK   09062X103     213       4530   SHARES
BIOGEN IDEC INC                                              COMMON STOCK   09062X103    2938      62370   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
BAKER MICHAEL CORP                                                   X                 3       1300   0        0
BALL CORPORATION                                                     X                 3        860   0        0
BALL CORPORATION                                                     X                 1      24000   0        0
BANK NEW YORK INC COM                                                         X        1      32231   0     2300
BANK NEW YORK INC COM                                                X                 1     121538   0     5300
BANK NEW YORK INC COM                                                X                 3       8895   0     2150
BANK NEW YORK INC COM                                                X                 4        100   0        0
BANK NEW YORK INCORPORATED                                    X                        2      30900   0        0
BANK OF AMERICA CORPORATION                                                   X        1     215354   0    15292
BANK OF AMERICA CORPORATION                                          X                 1     511336   0    10023
BANK OF AMERICA CORPORATION                                   X                        2     145852   0        0
BANK OF AMERICA CORPORATION                                          X                 3     352449   0    10950
BANK OF HAWAII CORP                                                           X        1        300   0        0
BANK ONE CORPORATION                                          X                        2      18250   0        0
BANKATLANTIC BANCORP INCORPORATED                             X                        2      12725   0        0
BARD C R INC COM                                                     X                 3        790   0        0
BARD C R INC COM                                                              X        1       4000   0        0
BARD C R INC COM                                                     X                 1       5200   0        0
BARR PHARMACEUTICALS                                                 X                 3        300   0        0
BARR PHARMACEUTICALS INC                                             X                 1        700   0        0
BAUSCH & LOMB INC COM                                                X                 3        440   0        0
BAUSCH & LOMB INC COM                                                X                 1         50   0        0
BAXTER INTL INC                                                               X        1      13399   0        0
BAXTER INTL INC                                                      X                 1      27786   0      850
BAXTER INTL INC                                                      X                 3       4800   0        0
BB&T CORP COM                                                 X                        2      37840   0        0
BB&T CORP COM                                                        X                 1       3250   0     3912
BB&T CORP COM                                                                 X        1      27081   0     1566
BB&T CORP COM                                                        X                 3       5127   0     1275
BEAR STEARNS COS INC                                                 X                 1       1020   0        0
BEAR STEARNS COS INC                                                          X        1       1206   0        0
BEAR STEARNS COS INC                                                 X                 3        900   0        0
BECKMAN COULTER INC                                                           X        1       1863   0      548
BECTON DICKINSON & CO COM                                            X                 3       1955   0        0
BECTON DICKINSON & CO COM                                            X                 1       3189   0        0
BECTON DICKINSON & CO COM                                                     X        1      13300   0        0
BED BATH & BEYOND INC COM                                                     X        1       1200   0        0
BED BATH & BEYOND INC COM                                            X                 1      14258   0        0
BED BATH & BEYOND INC COM                                            X                 3      25420   0        0
BELLSOUTH CORP                                                                X        1     181151   0    27701
BELLSOUTH CORP                                                       X                 1     254719   0      200
BELLSOUTH CORP                                                       X                 3      15138   0        0
BELLSOUTH CORP                                                       X                 4        200   0        0
BEMIS INC                                                                     X        1        800   0        0
BEMIS INC                                                            X                 3        820   0        0
BENCHMARK ELECTRONICS INC                                            X                 1        115   0        0
BERKSHIRE HATHAWAY INC CLASS A                                                X        1          3   0        0
BERKSHIRE HATHAWAY INC CLASS B                                       X                 1        145   0        0
BERKSHIRE HATHAWAY INC CLASS B                                                X        1        183   0       10
BEST BUY INC COM                                                              X        1       1912   0        0
BEST BUY INC COM                                                     X                 1       9602   0        0
BEST BUY INC COM                                                     X                 3      10510   0        0
BIG LOTS INC                                                         X                 3        890   0        0
BIOANALYTICAL SYSTEMS INCORPORATED                                   X                 1         16   0        0
BIOGEN IDEC INC                                                               X        1       4230   0      300
BIOGEN IDEC INC                                                      X                 1      60912   0     1458


                                    6 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
BIOGEN IDEC INC                                              COMMON STOCK   09062X103    1920      40761   SHARES
BIOMET COM                                                   COMMON STOCK   090613100      30        845   SHARES
BIOMET INC                                                   COMMON STOCK   090613100      67       1900   SHARES
BISYS GROUP INC COM                                          COMMON STOCK   055472104      40       3000   SHARES
BJ SVCS CO COM                                               COMMON STOCK   055482103      85       2450   SHARES
BJ SVCS CO COM                                               COMMON STOCK   055482103      49       1405   SHARES
BJ'S WHOLESALE CLUB INC COM                                  COMMON STOCK   05548J106      13        400   SHARES
BJ'S WHOLESALE CLUB INC COM                                  COMMON STOCK   05548J106      27        850   SHARES
BLACK & DECKER CORP COM                                      COMMON STOCK   091797100      65        750   SHARES
BLACK & DECKER CORP COM                                      COMMON STOCK   091797100     510       5868   SHARES
BLACK & DECKER CORP COM                                      COMMON STOCK   091797100    1579      18176   SHARES
BLACK HILLS CORP                                             COMMON STOCK   092113109       8        225   SHARES
BLOCK H & R INC                                              COMMON STOCK   093671105      79       3640   SHARES
BLOCK H & R INC                                              COMMON STOCK   093671105      94       4325   SHARES
BLOCK H & R INC                                              COMMON STOCK   093671105      54       2500   SHARES
BMC SOFTWARE INC                                             COMMON STOCK   055921100      36       1650   SHARES
BOEING CO COM                                                COMMON STOCK   097023105     450       5780   SHARES
BOEING CO COM                                                COMMON STOCK   097023105    1115      14305   SHARES
BOEING CO COM                                                COMMON STOCK   097023105    1337      17152   SHARES
BOK FINANCIAL CORPORATION                                    COMMON STOCK   05561Q201       1         12   SHARES
BON-TON STORES INCORPORATED                                  COMMON STOCK   09776J101    2114      65333   SHARES
BORDERS GROUP INC COM                                        COMMON STOCK   099709107      34       1346   SHARES
BOSTON BEER INCORPORATED CLASS A                             COMMON STOCK   100557107       1         50   SHARES
BOSTON BEER INCORPORATED CLASS A                             COMMON STOCK   100557107       3        100   SHARES
BOSTON PROPERTIES INCORPORATED                               COMMON STOCK   101121101      33        350   SHARES
BOSTON PROPERTIES INCORPORATED                               COMMON STOCK   101121101     280       3000   SHARES
BOSTON SCIENTIFIC CORPORATION                                COMMON STOCK   101137107     104       4520   SHARES
BOSTON SCIENTIFIC CORPORATION                                COMMON STOCK   101137107      55       2400   SHARES
BOSTON SCIENTIFIC CORPORATION                                COMMON STOCK   101137107      96       4145   SHARES
BOSTON SCIENTIFIC CORPORATION                                COMMON STOCK   101137107     295      12800   SHARES
BRINKER INTL INC COM                                         COMMON STOCK   109473405      25        800   SHARES
BRINKER INTL INC COM                                         COMMON STOCK   109473405      19        600   SHARES
BRINKER INTL INC COM                                         COMMON STOCK   109641100     566      13400   SHARES
BRINKER INTL INC COM                                         COMMON STOCK   109641100     689      16310   SHARES
BRINKER INTL INC COM                                         COMMON STOCK   109641100    1165      27585   SHARES
BRISTOL MYERS SQUIBB COMPANY                                 COMMON STOCK   110122108     993      40332   SHARES
BRISTOL MYERS SQUIBB COMPANY                                 COMMON STOCK   110122108    8379     340479   SHARES
BRISTOL MYERS SQUIBB COMPANY                                 COMMON STOCK   110122108    8415     341936   SHARES
BRISTOL MYERS SQUIBB COMPANY                                 COMMON STOCK   110122108     912      37095   SHARES
BRISTOL MYERS SQUIBB COMPANY                                 COMMON STOCK   110122108       6        250   SHARES
BROADCOM CORP CL A                                           COMMON STOCK   111320107     142       3300   SHARES
BROADCOM CORP CL A                                           COMMON STOCK   111320107      13        300   SHARES
BROWN FORMAN CORP                                            COMMON STOCK B 115637209      58        760   SHARES
BROWN-FORMAN CORP CL B                                       COMMON STOCK   115637209      23        300   SHARES
BRUNSWICK CORP COM                                           COMMON STOCK   117043109      27        700   SHARES
BRUNSWICK CORP COM                                           COMMON STOCK   117043109      16        420   SHARES
BRUNSWICK CORP COM                                           COMMON STOCK   117043109      74       1895   SHARES
BRYN MAWR BANK CORPORATION                                   COMMON STOCK   117665109     253      11392   SHARES
BUCKEYE PARTNERS LIMITED PARTNERSHIP                         COMMON STOCK   118230101     256       6000   SHARES
BUCKEYE PARTNERS LP UNIT LTD PARTNER                         COMMON STOCK   118230101      38        900   SHARES
BUCKLE INCORPORATED                                          COMMON STOCK   118440106      57       1400   SHARES
BUCKLE INCORPORATED                                          COMMON STOCK   118440106      78       1900   SHARES
BUILDING MATERIAL HLDG CORP                                  COMMON STOCK   120113105      25        700   SHARES
BUILDING MATERIAL HLDG CORP                                  COMMON STOCK   120113105      18        500   SHARES
BUNGE LIMITED                                                COMMON STOCK   G16962105    1017      18260   SHARES
BURLINGTON NORTHERN SANTA FE CORP                            COMMON STOCK   12189T104     233       2800   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
BIOGEN IDEC INC                                                      X                 3      39948   0      813
BIOMET COM                                                                    X        1        845   0        0
BIOMET INC                                                           X                 3       1900   0        0
BISYS GROUP INC COM                                                           X        1       3000   0        0
BJ SVCS CO COM                                                       X                 3       2450   0        0
BJ SVCS CO COM                                                                X        1       1405   0        0
BJ'S WHOLESALE CLUB INC COM                                                   X        1        400   0        0
BJ'S WHOLESALE CLUB INC COM                                          X                 1        850   0        0
BLACK & DECKER CORP COM                                              X                 3        750   0        0
BLACK & DECKER CORP COM                                              X                 1       5868   0        0
BLACK & DECKER CORP COM                                                       X        1      18176   0        0
BLACK HILLS CORP                                                              X        1        225   0        0
BLOCK H & R INC                                                               X        1       3640   0        0
BLOCK H & R INC                                                      X                 1       4325   0        0
BLOCK H & R INC                                                      X                 3       2500   0        0
BMC SOFTWARE INC                                                     X                 3       1650   0        0
BOEING CO COM                                                        X                 3       5780   0        0
BOEING CO COM                                                        X                 1      14305   0        0
BOEING CO COM                                                                 X        1      17107   0       45
BOK FINANCIAL CORPORATION                                            X                 1         12   0        0
BON-TON STORES INCORPORATED                                          X                 1      65333   0        0
BORDERS GROUP INC COM                                                X                 1       1346   0        0
BOSTON BEER INCORPORATED CLASS A                                     X                 1         50   0        0
BOSTON BEER INCORPORATED CLASS A                                              X        1        100   0        0
BOSTON PROPERTIES INCORPORATED                                       X                 3        350   0        0
BOSTON PROPERTIES INCORPORATED                                X                        2       3000   0        0
BOSTON SCIENTIFIC CORPORATION                                        X                 3       4520   0        0
BOSTON SCIENTIFIC CORPORATION                                        X                 1       2400   0        0
BOSTON SCIENTIFIC CORPORATION                                                 X        1       4145   0        0
BOSTON SCIENTIFIC CORPORATION                                 X                        2      12800   0        0
BRINKER INTL INC COM                                                 X                 1        800   0        0
BRINKER INTL INC COM                                                 X                 3        600   0        0
BRINKER INTL INC COM                                                 X                 3      13400   0        0
BRINKER INTL INC COM                                                          X        1      16310   0        0
BRINKER INTL INC COM                                                 X                 1      27085   0      500
BRISTOL MYERS SQUIBB COMPANY                                  X                        2      40332   0        0
BRISTOL MYERS SQUIBB COMPANY                                         X                 1     339879   0      600
BRISTOL MYERS SQUIBB COMPANY                                                  X        1     310571   0    31365
BRISTOL MYERS SQUIBB COMPANY                                         X                 3      32275   0     4820
BRISTOL MYERS SQUIBB COMPANY                                         X                 4        250   0        0
BROADCOM CORP CL A                                                   X                 3       3300   0        0
BROADCOM CORP CL A                                                   X                 1        300   0        0
BROWN FORMAN CORP                                                    X                 3        760   0        0
BROWN-FORMAN CORP CL B                                                        X        1        300   0        0
BRUNSWICK CORP COM                                                   X                 3        700   0        0
BRUNSWICK CORP COM                                                   X                 1        420   0        0
BRUNSWICK CORP COM                                                            X        1       1895   0        0
BRYN MAWR BANK CORPORATION                                           X                 1      11392   0        0
BUCKEYE PARTNERS LIMITED PARTNERSHIP                          X                        2       6000   0        0
BUCKEYE PARTNERS LP UNIT LTD PARTNER                                 X                 1        900   0        0
BUCKLE INCORPORATED                                                  X                 3       1400   0        0
BUCKLE INCORPORATED                                                  X                 1       1900   0        0
BUILDING MATERIAL HLDG CORP                                          X                 1        700   0        0
BUILDING MATERIAL HLDG CORP                                          X                 3        500   0        0
BUNGE LIMITED                                                 X                        2      18260   0        0
BURLINGTON NORTHERN SANTA FE CORP                                    X                 3       2800   0        0


                                    7 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
BURLINGTON NORTHERN SANTA FE CORP                            COMMON STOCK   12189T104     551       6609   SHARES
BURLINGTON NORTHERN SANTA FE CORP                            COMMON STOCK   12189T104    1021      12247   SHARES
BURLINGTON RESOURCES INC                                     COMMON STOCK   122014103    2819      30666   SHARES
BURLINGTON RESOURCES INC                                     COMMON STOCK   122014103    8689      94542   SHARES
BURLINGTON RESOURCES INC                                     COMMON STOCK   122014103     980      10653   SHARES
BURLINGTON RESOURCES INC                                     COMMON STOCK   122014103      18        200   SHARES
C H ROBINSON WLDWIDE                                         COMMON STOCK   12541W209    1174      23900   SHARES
CA INC                                                       COMMON STOCK   12673P105      19        712   SHARES
CA INC                                                       COMMON STOCK   12673P105      79       2903   SHARES
CA INC                                                       COMMON STOCK   12673P105      95       3500   SHARES
CADENCE DESIGN SYS INC                                       COMMON STOCK   127387108    1167      63100   SHARES
CADENCE DESIGN SYS INC                                       COMMON STOCK   127387108      18       1000   SHARES
CADENCE DESIGN SYS INC                                       COMMON STOCK   127387108     415      22450   SHARES
CALAMP CORPORATION                                           COMMON STOCK   128126109      59       5000   SHARES
CALAMP CORPORATION                                           COMMON STOCK   128126109      80       6800   SHARES
CALLAWAY GOLF CO COM                                         COMMON STOCK   131193104       0         23   SHARES
CALYPTE BIOMEDICAL CORP                                      COMMON STOCK   131722605      21      87700   SHARES
CAMPBELL SOUP CO COM                                         COMMON STOCK   134429109      83       2550   SHARES
CAMPBELL SOUP CO COM                                         COMMON STOCK   134429109     175       5400   SHARES
CAMPBELL SOUP CO COM                                         COMMON STOCK   134429109      72       2215   SHARES
CAPITAL ONE FINANCIAL CORPORATION                            COMMON STOCK   14040H105    2070      25703   SHARES
CAPITAL ONE FINANCIAL CORPORATION                            COMMON STOCK   14040H105    7066      87760   SHARES
CAPITAL ONE FINANCIAL CORPORATION                            COMMON STOCK   14040H105    7268      90263   SHARES
CAPITAL ONE FINANCIAL CORPORATION                            COMMON STOCK   14040H105    4119      51154   SHARES
CAPITALSOURCE INC                                            COMMON STOCK   14055X102     507      20358   SHARES
CAPITALSOURCE INC                                            COMMON STOCK   14055X102    2584     103850   SHARES
CAPITALSOURCE INC                                            COMMON STOCK   14055X102    1413      56816   SHARES
CAPSTONE TURBINE CORP                                        COMMON STOCK   14067D102       0        100   SHARES
CARDINAL HEALTH INCORPORATED                                 COMMON STOCK   14149Y108     316       4244   SHARES
CARDINAL HEALTH INCORPORATED                                 COMMON STOCK   14149Y108     450       6035   SHARES
CARDINAL HEALTH INCORPORATED                                 COMMON STOCK   14149Y108     230       3080   SHARES
CARDINAL HEALTH INCORPORATED                                 COMMON STOCK   14149Y108     447       6000   SHARES
CAREMARK RX INC COM                                          COMMON STOCK   141705103    1658      33706   SHARES
CAREMARK RX INC COM                                          COMMON STOCK   141705103    9335     189820   SHARES
CAREMARK RX INC COM                                          COMMON STOCK   141705103    8392     170633   SHARES
CARLISLE COMPANIES INC                                       COMMON STOCK   142339100      33        400   SHARES
CARLISLE COMPANIES INC                                       COMMON STOCK   142339100    1845      22550   SHARES
CARMAX INC                                                   COMMON STOCK   143130102     208       6365   SHARES
CARMAX INC                                                   COMMON STOCK   143130102    1120      34271   SHARES
CARMAX INC                                                   COMMON STOCK   143130102      42       1300   SHARES
CARNIVAL CORPORATION                                         COMMON STOCK   143658300     591      12481   SHARES
CARNIVAL CORPORATION                                         COMMON STOCK   143658300    4947     104440   SHARES
CARNIVAL CORPORATION                                         COMMON STOCK   143658300    4000      84448   SHARES
CARPENTER TECHNOLOGY CORP COM                                COMMON STOCK   144285103      85        900   SHARES
CARPENTER TECHNOLOGY CORP COM                                COMMON STOCK   144285103     280       2964   SHARES
CARROLLTON BANCORP                                           COMMON STOCK   145282109       7        462   SHARES
CATERPILLAR INC                                              COMMON STOCK   149123101    1039      14464   SHARES
CATERPILLAR INC                                              COMMON STOCK   149123101    3696      51473   SHARES
CATERPILLAR INC                                              COMMON STOCK   149123101    1653      23017   SHARES
CAVCO INDUSTRIES, INC.                                       COMMON STOCK   149568107       3         60   SHARES
CBS CORP CL A                                                COMMON STOCK   124857103       5        225   SHARES
CBS CORP CL B                                                COMMON STOCK   124857202     298      12418   SHARES
CBS CORP CL B                                                COMMON STOCK   124857202     503      20991   SHARES
CBS CORP CL B                                                COMMON STOCK   124857202     265      11051   SHARES
CBS CORP CL B                                                COMMON STOCK   124857202       2        100   SHARES
C-COR INCORPORATED                                           COMMON STOCK   125010108     111      12700   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
BURLINGTON NORTHERN SANTA FE CORP                                    X                 1       6363   0     246
BURLINGTON NORTHERN SANTA FE CORP                                             X        1      11047   0    1200
BURLINGTON RESOURCES INC                                                      X        1      28766   0    1900
BURLINGTON RESOURCES INC                                             X                 1      93142   0    1400
BURLINGTON RESOURCES INC                                             X                 3      10653   0       0
BURLINGTON RESOURCES INC                                             X                 4        200   0       0
C H ROBINSON WLDWIDE                                                 X                 3      23900   0       0
CA INC                                                                        X        1        112   0     600
CA INC                                                               X                 1       2903   0       0
CA INC                                                               X                 3       3500   0       0
CADENCE DESIGN SYS INC                                               X                 3      63100   0       0
CADENCE DESIGN SYS INC                                                        X        1       1000   0       0
CADENCE DESIGN SYS INC                                               X                 1      22450   0       0
CALAMP CORPORATION                                                   X                 3       5000   0       0
CALAMP CORPORATION                                                   X                 1       6800   0       0
CALLAWAY GOLF CO COM                                                 X                 1         23   0       0
CALYPTE BIOMEDICAL CORP                                              X                 1      87700   0       0
CAMPBELL SOUP CO COM                                                 X                 1       2550   0       0
CAMPBELL SOUP CO COM                                                          X        1       5400   0       0
CAMPBELL SOUP CO COM                                                 X                 3       2215   0       0
CAPITAL ONE FINANCIAL CORPORATION                                             X        1      20253   0    5450
CAPITAL ONE FINANCIAL CORPORATION                                    X                 1      85455   0    2305
CAPITAL ONE FINANCIAL CORPORATION                                    X                 3      87174   0    3089
CAPITAL ONE FINANCIAL CORPORATION                             X                        2      51154   0       0
CAPITALSOURCE INC                                                    X                 1      20358   0       0
CAPITALSOURCE INC                                             X                        2     103850   0       0
CAPITALSOURCE INC                                                    X                 3      56816   0       0
CAPSTONE TURBINE CORP                                                         X        1        100   0       0
CARDINAL HEALTH INCORPORATED                                                  X        1       4095   0     149
CARDINAL HEALTH INCORPORATED                                         X                 1       6035   0       0
CARDINAL HEALTH INCORPORATED                                         X                 3       3080   0       0
CARDINAL HEALTH INCORPORATED                                  X                        2       6000   0       0
CAREMARK RX INC COM                                                           X        1      32656   0    1050
CAREMARK RX INC COM                                                  X                 1     184606   0    5214
CAREMARK RX INC COM                                                  X                 3     162733   0    7900
CARLISLE COMPANIES INC                                               X                 1          0   0     400
CARLISLE COMPANIES INC                                                        X        1      22000   0     550
CARMAX INC                                                                    X        1       6365   0       0
CARMAX INC                                                           X                 1      30921   0    3350
CARMAX INC                                                           X                 3          0   0    1300
CARNIVAL CORPORATION                                                          X        1      11131   0    1350
CARNIVAL CORPORATION                                                 X                 1     103595   0     845
CARNIVAL CORPORATION                                                 X                 3      84448   0       0
CARPENTER TECHNOLOGY CORP COM                                        X                 1        900   0       0
CARPENTER TECHNOLOGY CORP COM                                                 X        1       1964   0    1000
CARROLLTON BANCORP                                                   X                 1        462   0       0
CATERPILLAR INC                                                               X        1      13264   0    1200
CATERPILLAR INC                                                      X                 1      50073   0    1400
CATERPILLAR INC                                                      X                 3      23017   0       0
CAVCO INDUSTRIES, INC.                                               X                 1         60   0       0
CBS CORP CL A                                                                 X        1        225   0       0
CBS CORP CL B                                                                 X        1      10943   0    1475
CBS CORP CL B                                                        X                 1      20991   0       0
CBS CORP CL B                                                        X                 3      11051   0       0
CBS CORP CL B                                                        X                 4        100   0       0
C-COR INCORPORATED                                                   X                 1      12700   0       0


                                    8 of 57





                                                                                                   SEC USE  ___________________

COLUMN 1                                                        COLUMN 2     COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     --------------- --------- ---------- -----------------------------
                                                                                                   SHARES
                                                                                                     OR      SHARES      PUT
                                                                                         VALUE    PRINCIPAL    OR         OR
NAME OF ISSUER                                               TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL    CALL
--------------                                               --------------- --------- ---------- --------- ---------    ----
                                                                                                       
C-COR INCORPORATED                                           COMMON STOCK    125010108     656      75000   SHARES
C-COR INCORPORATED                                           COMMON STOCK    125010108      25       2900   SHARES
CDW CORPORATION                                              COMMON STOCK    12512N105      16        275   SHARES
CEC ENTERTAINMENT INC COM                                    COMMON STOCK    125137109      64       1900   SHARES
CEC ENTMT INC                                                COMMON STOCK    125137109      47       1400   SHARES
CEDAR FAIR LTD PTR                                           COMMON STOCK    150185106      56       1900   SHARES
CELGENE CORP COM                                             COMMON STOCK    151020104      27        600   SHARES
CELGENE CORP COM                                             COMMON STOCK    151020104      53       1200   SHARES
CENDANT CORP COM                                             COMMON STOCK    151313103     138       7950   SHARES
CENDANT CORP COM                                             COMMON STOCK    151313103     236      13615   SHARES
CENDANT CORP COM                                             COMMON STOCK    151313103     696      40125   SHARES
CENTERPLATE INC-IDS                                          COMMON STOCK    15200E204      11        850   SHARES
CENTERPOINT ENERGY                                           COMMON STOCK    15189T107      28       2360   SHARES
CENTERPOINT ENERGY INC                                       COMMON STOCK    15189T107       4        332   SHARES
CENTEX CORP                                                  COMMON STOCK    152312104     256       4137   SHARES
CENTEX CORP                                                  COMMON STOCK    152312104     462       7450   SHARES
CENTEX CORP                                                  COMMON STOCK    152312104      60        960   SHARES
CENTURYTEL INC COM                                           COMMON STOCK    156700106      39       1000   SHARES
CENTURYTEL INC COM                                           COMMON STOCK    156700106      78       2000   SHARES
CERNER CORP                                                  COMMON STOCK    156782104     690      14545   SHARES
CERNER CORP                                                  COMMON STOCK    156782104    3345      70495   SHARES
CERNER CORP                                                  COMMON STOCK    156782104    1350      28450   SHARES
CH ENERGY GROUP INC COM                                      COMMON STOCK    12541M102      29        600   SHARES
CH ENERGY GROUP INC COM                                      COMMON STOCK    12541M102     144       3000   SHARES
CH ROBINSON WORLDWIDE INC                                    COMMON STOCK    12541W209     354       7210   SHARES
CHARTER COMMUNICATIONS INC CL A                              COMMON STOCK    16117M107       1       1000   SHARES
CHARTERMAC                                                   COMMON STOCK    160908109      23       1150   SHARES
CHARTERMAC                                                   COMMON STOCK    160908109     110       5406   SHARES
CHECKPOINT SYS INC                                           COMMON STOCK    162825103      70       2600   SHARES
CHECKPOINT SYSTEM                                            COMMON STOCK    162825103      51       1900   SHARES
CHENIERE ENERGY INC                                          COMMON STOCK    16411R208     416      10250   SHARES
CHESAPEAKE ENERGY CORP COM                                   COMMON STOCK    165167107      38       1200   SHARES
CHESAPEAKE ENERGY CORP COM                                   COMMON STOCK    165167107      63       2000   SHARES
CHESAPEAKE ENERGY CORP COM                                   COMMON STOCK    165167107     108       3450   SHARES
CHESAPEAKE UTILITIES CORPORATION                             COMMON STOCK    165303108      23        750   SHARES
CHEVRONTEXACO CORPORATION                                    COMMON STOCK    166764100   16814     290038   SHARES
CHEVRONTEXACO CORPORATION                                    COMMON STOCK    166764100   28864     497911   SHARES
CHEVRONTEXACO CORPORATION                                    COMMON STOCK    166764100   13726     236797   SHARES
CHEVRONTEXACO CORPORATION                                    COMMON STOCK    166764100       9        150   SHARES
CHEVRONTEXACO CORPORATION                                    COMMON STOCK    166764100     750      12944   SHARES
CHICAGO BRIDGE & IRN                                         N Y REGISTRY SH 167250109      34       1400   SHARES
CHICOS FAS INC                                               COMMON STOCK    168615102       2         50   SHARES
CHICOS FAS INC                                               COMMON STOCK    168615102     535      13155   SHARES
CHICOS FAS INC                                               COMMON STOCK    168615102    1694      41700   SHARES
CHILDRENS PLACE RETAIL STORES INC                            COMMON STOCK    168905107       9        150   SHARES
CHIRON CORP                                                  COMMON STOCK    170040109      37        800   SHARES
CHOICEPOINT INC COM                                          COMMON STOCK    170388102      18        400   SHARES
CHOICEPOINT INC COM                                          COMMON STOCK    170388102      24        533   SHARES
CHRISTOPHER & BANKS CORP                                     COMMON STOCK    171046105      70       3000   SHARES
CHUBB CORP                                                   COMMON STOCK    171232101     361       3780   SHARES
CHUBB CORP                                                   COMMON STOCK    171232101     493       5164   SHARES
CHUBB CORP                                                   COMMON STOCK    171232101     141       1475   SHARES
CIENA CORP                                                   COMMON STOCK    171779101      25       4800   SHARES
CIGNA CORP                                                   COMMON STOCK    125509109     287       2195   SHARES
CIGNA CORP                                                   COMMON STOCK    125509109     737       5639   SHARES
CIGNA CORP                                                   COMMON STOCK    125509109     108        825   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
C-COR INCORPORATED                                                            X        1      75000   0        0
C-COR INCORPORATED                                                   X                 3       2900   0        0
CDW CORPORATION                                                      X                 1        275   0        0
CEC ENTERTAINMENT INC COM                                            X                 1       1900   0        0
CEC ENTMT INC                                                        X                 3       1400   0        0
CEDAR FAIR LTD PTR                                                            X        1       1900   0        0
CELGENE CORP COM                                                     X                 1        600   0        0
CELGENE CORP COM                                                              X        1       1200   0        0
CENDANT CORP COM                                                     X                 3       7950   0        0
CENDANT CORP COM                                                              X        1      13615   0        0
CENDANT CORP COM                                                     X                 1      39125   0     1000
CENTERPLATE INC-IDS                                                  X                 1        850   0        0
CENTERPOINT ENERGY                                                   X                 3       2360   0        0
CENTERPOINT ENERGY INC                                               X                 1        332   0        0
CENTEX CORP                                                                   X        1       4137   0        0
CENTEX CORP                                                          X                 1       7450   0        0
CENTEX CORP                                                          X                 3        960   0        0
CENTURYTEL INC COM                                                   X                 3       1000   0        0
CENTURYTEL INC COM                                                   X                 1       2000   0        0
CERNER CORP                                                                   X        1      12145   0     2400
CERNER CORP                                                          X                 1      68295   0     2200
CERNER CORP                                                          X                 3      26900   0     1550
CH ENERGY GROUP INC COM                                              X                 1        600   0        0
CH ENERGY GROUP INC COM                                                       X        1       3000   0        0
CH ROBINSON WORLDWIDE INC                                            X                 1       7210   0        0
CHARTER COMMUNICATIONS INC CL A                                      X                 1       1000   0        0
CHARTERMAC                                                           X                 1       1150   0        0
CHARTERMAC                                                                    X        1       5406   0        0
CHECKPOINT SYS INC                                                   X                 1       2600   0        0
CHECKPOINT SYSTEM                                                    X                 3       1900   0        0
CHENIERE ENERGY INC                                           X                        2      10250   0        0
CHESAPEAKE ENERGY CORP COM                                           X                 3       1200   0        0
CHESAPEAKE ENERGY CORP COM                                           X                 1       2000   0        0
CHESAPEAKE ENERGY CORP COM                                                    X        1       3450   0        0
CHESAPEAKE UTILITIES CORPORATION                                              X        1        750   0        0
CHEVRONTEXACO CORPORATION                                                     X        1     267872   0    22166
CHEVRONTEXACO CORPORATION                                            X                 1     490641   0     7270
CHEVRONTEXACO CORPORATION                                            X                 3     227426   0     9371
CHEVRONTEXACO CORPORATION                                            X                 4        150   0        0
CHEVRONTEXACO CORPORATION                                     X                        2      12944   0        0
CHICAGO BRIDGE & IRN                                                 X                 3       1400   0        0
CHICOS FAS INC                                                                X        1         50   0        0
CHICOS FAS INC                                                       X                 1      13155   0        0
CHICOS FAS INC                                                       X                 3      41700   0        0
CHILDRENS PLACE RETAIL STORES INC                                    X                 1        150   0        0
CHIRON CORP                                                          X                 3        800   0        0
CHOICEPOINT INC COM                                                           X        1        400   0        0
CHOICEPOINT INC COM                                                  X                 1        533   0        0
CHRISTOPHER & BANKS CORP                                             X                 1       3000   0        0
CHUBB CORP                                                                    X        1       3780   0        0
CHUBB CORP                                                           X                 1       5164   0        0
CHUBB CORP                                                           X                 3       1475   0        0
CIENA CORP                                                           X                 3       4800   0        0
CIGNA CORP                                                                    X        1       2195   0        0
CIGNA CORP                                                           X                 1       5639   0        0
CIGNA CORP                                                           X                 3        825   0        0


                                    9 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
CINCINNATI BELL INC                                          COMMON STOCK   171871106       2        500   SHARES
CINCINNATI FINL CORP COM                                     COMMON STOCK   172062101      91       2160   SHARES
CINCINNATI FINL CORP COM                                     COMMON STOCK   172062101    2081      49460   SHARES
CINCINNATI FINL CORP COM                                     COMMON STOCK   172062101    5323     126545   SHARES
CINERGY CORP                                                 COMMON STOCK   172474108      35        760   SHARES
CINERGY CORP                                                 COMMON STOCK   172474108      46       1005   SHARES
CINERGY CORP                                                 COMMON STOCK   172474108      71       1560   SHARES
CINTAS CORP COM                                              COMMON STOCK   172908105      47       1100   SHARES
CINTAS CORP COM                                              COMMON STOCK   172908105       5        111   SHARES
CIRCUIT CITY STORE                                           COMMON STOCK   172737108      31       1250   SHARES
CIRCUIT STORES COM                                           COMMON STOCK   172737108      44       1800   SHARES
CIRCUIT STORES COM                                           COMMON STOCK   172737108      78       3200   SHARES
CISCO SYSTEMS INCORPORATED                                   COMMON STOCK   17275R102    4894     225825   SHARES
CISCO SYSTEMS INCORPORATED                                   COMMON STOCK   17275R102   19221     886999   SHARES
CISCO SYSTEMS INCORPORATED                                   COMMON STOCK   17275R102   12856     593287   SHARES
CISCO SYSTEMS INCORPORATED                                   COMMON STOCK   17275R102      18        850   SHARES
CISCO SYSTEMS INCORPORATED                                   COMMON STOCK   17275R102    2648     122194   SHARES
CIT GROUP INC                                                COMMON STOCK   125581108     380       7100   SHARES
CIT GROUP INC                                                COMMON STOCK   125581108    5320      99398   SHARES
CIT GROUP INC                                                COMMON STOCK   125581108    8524     159256   SHARES
CIT GROUP INC                                                COMMON STOCK   125581108      13        250   SHARES
CITIGROUP INCORPORATED                                       COMMON STOCK   172967101    9844     208417   SHARES
CITIGROUP INCORPORATED                                       COMMON STOCK   172967101   24089     510042   SHARES
CITIGROUP INCORPORATED                                       COMMON STOCK   172967101   16197     342956   SHARES
CITIGROUP INCORPORATED                                       COMMON STOCK   172967101      19        400   SHARES
CITIGROUP INCORPORATED                                       COMMON STOCK   172967101    5046     106844   SHARES
CITIZENS COMMUNICATIONS CO                                   COMMON STOCK   17453B101      35       2600   SHARES
CITIZENS COMMUNICATIONS CO                                   COMMON STOCK   17453B101     254      19177   SHARES
CITIZENS COMMUNICATIONS CO                                   COMMON STOCK   17453B101     557      41990   SHARES
CITRIX SYSTEMS INC COM                                       COMMON STOCK   177376100      49       1300   SHARES
CITRIX SYSTEMS INC COM                                       COMMON STOCK   177376100     140       3700   SHARES
CLAIRES STORES INCORPORATED                                  COMMON STOCK   179584107       4        100   SHARES
CLAIRES STORES INCORPORATED                                  COMMON STOCK   179584107       7        200   SHARES
CLEAR CHANNEL COMMUNICATIONS INC COM                         COMMON STOCK   184502102     121       4185   SHARES
CLEAR CHANNEL COMMUNICATIONS INC COM                         COMMON STOCK   184502102       6        200   SHARES
CLEAR CHANNEL COMMUNICATIONS INC COM                         COMMON STOCK   184502102     168       5775   SHARES
CLEAR CHANNEL COMMUNICATIONS INC COM                         COMMON STOCK   184502102     368      12675   SHARES
CLECO CORP                                                   COMMON STOCK   12561W105      18        800   SHARES
CLEVELAND CLIFFS INC COM                                     COMMON STOCK   185896107     196       2250   SHARES
CLEVELAND CLIFFS INC COM                                     COMMON STOCK   185896107    2412      27690   SHARES
CLEVELAND CLIFFS INC COM                                     COMMON STOCK   185896107    4961      56938   SHARES
CLOROX COMPANY                                               COMMON STOCK   189054109      70       1175   SHARES
CLOROX COMPANY                                               COMMON STOCK   189054109     258       4315   SHARES
CLOROX COMPANY                                               COMMON STOCK   189054109     462       7725   SHARES
CMGI INC COM                                                 COMMON STOCK   125750109       0        290   SHARES
CMS ENERGY CORP COM                                          COMMON STOCK   125896100      22       1700   SHARES
CMS ENERGY CORP COM                                          COMMON STOCK   125896100       8        586   SHARES
CMS ENERGY CORP COM                                          COMMON STOCK   125896100      16       1200   SHARES
CNF INC COM                                                  COMMON STOCK   12612W104      17        350   SHARES
COACH INC                                                    COMMON STOCK   189754104     159       4592   SHARES
COACH INC                                                    COMMON STOCK   189754104    1167      33760   SHARES
COACH INC                                                    COMMON STOCK   189754104     772      22323   SHARES
COCA COLA BOTTLING CO CONSOLIDATED                           COMMON STOCK   191098102       6        125   SHARES
COCA COLA CO COM                                             COMMON STOCK   191216100    5928     141571   SHARES
COCA COLA CO COM                                             COMMON STOCK   191216100   11955     285524   SHARES
COCA COLA CO COM                                             COMMON STOCK   191216100   10294     245857   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
CINCINNATI BELL INC                                                  X                 1        500   0        0
CINCINNATI FINL CORP COM                                                      X        1       2160   0        0
CINCINNATI FINL CORP COM                                             X                 1      47301   0     2159
CINCINNATI FINL CORP COM                                             X                 3     121892   0     4653
CINERGY CORP                                                         X                 1        760   0        0
CINERGY CORP                                                                  X        1       1005   0        0
CINERGY CORP                                                         X                 3       1560   0        0
CINTAS CORP COM                                                      X                 3       1100   0        0
CINTAS CORP COM                                                      X                 1        111   0        0
CIRCUIT CITY STORE                                                   X                 3       1250   0        0
CIRCUIT STORES COM                                                            X        1       1800   0        0
CIRCUIT STORES COM                                                   X                 1       3200   0        0
CISCO SYSTEMS INCORPORATED                                                    X        1     203825   0    22000
CISCO SYSTEMS INCORPORATED                                           X                 1     865013   0    21986
CISCO SYSTEMS INCORPORATED                                           X                 3     573117   0    20170
CISCO SYSTEMS INCORPORATED                                           X                 4        850   0        0
CISCO SYSTEMS INCORPORATED                                    X                        2     122194   0        0
CIT GROUP INC                                                                 X        1       4400   0     2700
CIT GROUP INC                                                        X                 1      95593   0     3805
CIT GROUP INC                                                        X                 3     154356   0     4900
CIT GROUP INC                                                        X                 4        250   0        0
CITIGROUP INCORPORATED                                                        X        1     195551   0    12866
CITIGROUP INCORPORATED                                               X                 1     496448   0    13594
CITIGROUP INCORPORATED                                               X                 3     325941   0    17015
CITIGROUP INCORPORATED                                               X                 4        400   0        0
CITIGROUP INCORPORATED                                        X                        2     106844   0        0
CITIZENS COMMUNICATIONS CO                                           X                 3       2600   0        0
CITIZENS COMMUNICATIONS CO                                                    X        1       6102   0    13075
CITIZENS COMMUNICATIONS CO                                           X                 1      36990   0     5000
CITRIX SYSTEMS INC COM                                               X                 3       1300   0        0
CITRIX SYSTEMS INC COM                                               X                 1       3700   0        0
CLAIRES STORES INCORPORATED                                                   X        1        100   0        0
CLAIRES STORES INCORPORATED                                          X                 1        200   0        0
CLEAR CHANNEL COMMUNICATIONS INC COM                                 X                 3       4185   0        0
CLEAR CHANNEL COMMUNICATIONS INC COM                                 X                 4        200   0        0
CLEAR CHANNEL COMMUNICATIONS INC COM                                          X        1       5075   0      700
CLEAR CHANNEL COMMUNICATIONS INC COM                                 X                 1      11475   0     1200
CLECO CORP                                                                    X        1        800   0        0
CLEVELAND CLIFFS INC COM                                                      X        1        785   0     1465
CLEVELAND CLIFFS INC COM                                             X                 1      26464   0     1226
CLEVELAND CLIFFS INC COM                                             X                 3      55507   0     1431
CLOROX COMPANY                                                       X                 3       1175   0        0
CLOROX COMPANY                                                                X        1       4315   0        0
CLOROX COMPANY                                                       X                 1       7725   0        0
CMGI INC COM                                                         X                 1        290   0        0
CMS ENERGY CORP COM                                                  X                 3       1700   0        0
CMS ENERGY CORP COM                                                  X                 1        586   0        0
CMS ENERGY CORP COM                                                           X        1       1200   0        0
CNF INC COM                                                          X                 1        350   0        0
COACH INC                                                                     X        1       4592   0        0
COACH INC                                                            X                 1      33760   0        0
COACH INC                                                            X                 3      22323   0        0
COCA COLA BOTTLING CO CONSOLIDATED                                   X                 1        125   0        0
COCA COLA CO COM                                                              X        1     140311   0     1260
COCA COLA CO COM                                                     X                 1     282255   0     3269
COCA COLA CO COM                                                     X                 3     233900   0    11957


                                   10 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
COCA COLA CO COM                                             COMMON STOCK   191216100      10        250   SHARES
COCA COLA ENTERPRISES INC                                    COMMON STOCK   191219104      47       2300   SHARES
COCA COLA ENTERPRISES INC                                    COMMON STOCK   191219104      20       1000   SHARES
CODORUS VALLEY BANCORP INC                                   COMMON STOCK   192025104      36       1750   SHARES
CODORUS VALLEY BANCORP INC                                   COMMON STOCK   192025104    1066      51991   SHARES
COGNIZANT TECH SOL CORP                                      COMMON STOCK   192446102     370       6215   SHARES
COGNIZANT TECH SOL CORP                                      COMMON STOCK   192446102    1077      18100   SHARES
COHU INCORPORATED                                            COMMON STOCK   192576106      17        800   SHARES
COLDWATER CREEK INCORPORATED                                 COMMON STOCK   193068103      56       2000   SHARES
COLDWATER CREEK INCORPORATED                                 COMMON STOCK   193068103      78       2800   SHARES
COLGATE PALMOLIVE COMPANY                                    COMMON STOCK   194162103    3930      68828   SHARES
COLGATE PALMOLIVE COMPANY                                    COMMON STOCK   194162103    6460     113143   SHARES
COLGATE PALMOLIVE COMPANY                                    COMMON STOCK   194162103    1389      24313   SHARES
COLGATE PALMOLIVE COMPANY                                    COMMON STOCK   194162103       6        100   SHARES
COLGATE PALMOLIVE COMPANY                                    COMMON STOCK   194162103    4002      70082   SHARES
COLONIAL BANCGROUP INC                                       COMMON STOCK   195493309      25       1000   SHARES
COMCAST CORPORATION CLASS A NEW                              COMMON STOCK   20030N101    1548      59177   SHARES
COMCAST CORPORATION CLASS A NEW                              COMMON STOCK   20030N101    6606     252519   SHARES
COMCAST CORPORATION CLASS A NEW                              COMMON STOCK   20030N101    6922     264607   SHARES
COMCAST CORPORATION CLASS A NEW                              COMMON STOCK   20030N101     267      10214   SHARES
COMCAST CORP-SPECIAL CL A                                    COMMON STOCK   20030N200     134       5133   SHARES
COMCAST CORP-SPECIAL CL A                                    COMMON STOCK   20030N200     616      23568   SHARES
COMCAST CORP-SPECIAL CL A                                    COMMON STOCK   20030N200       8        300   SHARES
COMERICA INC                                                 COMMON STOCK   200340107      71       1232   SHARES
COMMERCE BANCORP INC N J                                     COMMON STOCK   200519106       7        200   SHARES
COMMERCE BANCORP INC N J                                     COMMON STOCK   200519106      77       2100   SHARES
COMMERCIAL CAP BANCORP INC                                   COMMON STOCK   20162L105      52       3705   SHARES
COMMERCIAL CAP BANCORP INC                                   COMMON STOCK   20162L105      66       4700   SHARES
COMMERCIAL NATL FINANCIAL CORP                               COMMON STOCK   202217105      11        570   SHARES
COMMUNITY BANK SYSTEM INC                                    COMMON STOCK   203607106     575      25762   SHARES
COMMUNITY BANKS INC COM                                      COMMON STOCK   203628102     541      19010   SHARES
COMMUNITY BANKS INC COM                                      COMMON STOCK   203628102    1381      48522   SHARES
COMMUNITY BANKS INC COM                                      COMMON STOCK   203628102     405      14229   SHARES
COMMUNITY HEALTH SYSTEMS INC                                 COMMON STOCK   203668108      72       2000   SHARES
COMPASS BANCSHARES INC                                       COMMON STOCK   20449H109      51       1000   SHARES
COMPASS BANCSHARES INC                                       COMMON STOCK   20449H109      23        450   SHARES
COMPUTER SCIENCES CORP COM                                   COMMON STOCK   205363104     573      10300   SHARES
COMPUTER SCIENCES CORP COM                                   COMMON STOCK   205363104      11        200   SHARES
COMPUTER SCIENCES CORP COM                                   COMMON STOCK   205363104     254       4575   SHARES
COMPUTER TASK GROUP COM                                      COMMON STOCK   205477102     250      58750   SHARES
COMPUWARE CORP                                               COMMON STOCK   205638109       2        300   SHARES
COMPUWARE CORP                                               COMMON STOCK   205638109      12       1500   SHARES
COMPUWARE CORP                                               COMMON STOCK   205638109      23       2900   SHARES
COMVERSE TECHNOLOGY INC COM                                  COMMON STOCK   205862402      35       1500   SHARES
COMVERSE TECHNOLOGY INC COM                                  COMMON STOCK   205862402      14        600   SHARES
COMVERSE TECHNOLOGY INC COM                                  COMMON STOCK   205862402      15        650   SHARES
CONAGRA FOODS INC                                            COMMON STOCK   205887102      44       2066   SHARES
CONAGRA FOODS INC                                            COMMON STOCK   205887102     111       5163   SHARES
CONAGRA FOODS INC                                            COMMON STOCK   205887102      84       3900   SHARES
CONNS INC                                                    COMMON STOCK   208242107      31        900   SHARES
CONNS INC                                                    COMMON STOCK   208242107      44       1300   SHARES
CONOCOPHILLIPS                                               COMMON STOCK   20825C104    4143      65610   SHARES
CONOCOPHILLIPS                                               COMMON STOCK   20825C104   12387     196153   SHARES
CONOCOPHILLIPS                                               COMMON STOCK   20825C104    9944     157460   SHARES
CONOCOPHILLIPS                                               COMMON STOCK   20825C104      13        200   SHARES
CONSOL ENERGY INC                                            COMMON STOCK   20854P109     490       6605   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
COCA COLA CO COM                                                     X                 4        250   0        0
COCA COLA ENTERPRISES INC                                            X                 3       2300   0        0
COCA COLA ENTERPRISES INC                                            X                 1       1000   0        0
CODORUS VALLEY BANCORP INC                                                    X        1       1750   0        0
CODORUS VALLEY BANCORP INC                                           X                 1      37973   0    14018
COGNIZANT TECH SOL CORP                                              X                 1       6215   0        0
COGNIZANT TECH SOL CORP                                              X                 3      18100   0        0
COHU INCORPORATED                                                    X                 1        800   0        0
COLDWATER CREEK INCORPORATED                                         X                 3       2000   0        0
COLDWATER CREEK INCORPORATED                                         X                 1       2800   0        0
COLGATE PALMOLIVE COMPANY                                                     X        1      59028   0     9800
COLGATE PALMOLIVE COMPANY                                            X                 1     112243   0      900
COLGATE PALMOLIVE COMPANY                                            X                 3      21713   0     2600
COLGATE PALMOLIVE COMPANY                                            X                 4        100   0        0
COLGATE PALMOLIVE COMPANY                                     X                        2      70082   0        0
COLONIAL BANCGROUP INC                                               X                 1       1000   0        0
COMCAST CORPORATION CLASS A NEW                                               X        1      56292   0     2885
COMCAST CORPORATION CLASS A NEW                                      X                 1     244694   0     7825
COMCAST CORPORATION CLASS A NEW                                      X                 3     254287   0    10320
COMCAST CORPORATION CLASS A NEW                               X                        2      10214   0        0
COMCAST CORP-SPECIAL CL A                                                     X        1       4933   0      200
COMCAST CORP-SPECIAL CL A                                            X                 1      23568   0        0
COMCAST CORP-SPECIAL CL A                                            X                 4        300   0        0
COMERICA INC                                                         X                 3       1232   0        0
COMMERCE BANCORP INC N J                                             X                 1        200   0        0
COMMERCE BANCORP INC N J                                                      X        1       1500   0      600
COMMERCIAL CAP BANCORP INC                                           X                 3       3705   0        0
COMMERCIAL CAP BANCORP INC                                           X                 1       4700   0        0
COMMERCIAL NATL FINANCIAL CORP                                       X                 1        570   0        0
COMMUNITY BANK SYSTEM INC                                            X                 1      25762   0        0
COMMUNITY BANKS INC COM                                              X                 1      19010   0        0
COMMUNITY BANKS INC COM                                                       X        1      47141   0     1381
COMMUNITY BANKS INC COM                                       X                               14229   0        0
COMMUNITY HEALTH SYSTEMS INC                                                  X        1       2000   0        0
COMPASS BANCSHARES INC                                               X                 3       1000   0        0
COMPASS BANCSHARES INC                                               X                 1        450   0        0
COMPUTER SCIENCES CORP COM                                           X                 3      10300   0        0
COMPUTER SCIENCES CORP COM                                                    X        1        200   0        0
COMPUTER SCIENCES CORP COM                                           X                 1       4575   0        0
COMPUTER TASK GROUP COM                                              X                 1          0   0    58750
COMPUWARE CORP                                                       X                 1        300   0        0
COMPUWARE CORP                                                                X        1       1500   0        0
COMPUWARE CORP                                                       X                 3       2900   0        0
COMVERSE TECHNOLOGY INC COM                                          X                 3       1500   0        0
COMVERSE TECHNOLOGY INC COM                                          X                 1        600   0        0
COMVERSE TECHNOLOGY INC COM                                                   X        1        650   0        0
CONAGRA FOODS INC                                                    X                 1       1766   0      300
CONAGRA FOODS INC                                                             X        1       5163   0        0
CONAGRA FOODS INC                                                    X                 3       3900   0        0
CONNS INC                                                            X                 3        900   0        0
CONNS INC                                                            X                 1       1300   0        0
CONOCOPHILLIPS                                                                X        1      60765   0     4845
CONOCOPHILLIPS                                                       X                 1     192982   0     3171
CONOCOPHILLIPS                                                       X                 3     152600   0     4860
CONOCOPHILLIPS                                                       X                 4        200   0        0
CONSOL ENERGY INC                                                    X                 1       6605   0        0


                                   11 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
CONSOL ENERGY INC                                            COMMON STOCK   20854P109    1392      18773   SHARES
CONSOLIDATED COMMUNICATIONS HLDGS                            COMMON STOCK   209034107      10        600   SHARES
CONSOLIDATED EDISON INC COM                                  COMMON STOCK   209115104      81       1860   SHARES
CONSOLIDATED EDISON INC COM                                  COMMON STOCK   209115104     188       4330   SHARES
CONSOLIDATED EDISON INC COM                                  COMMON STOCK   209115104     337       7747   SHARES
CONSTELLATION BRANDS INC CL A                                COMMON STOCK   21036P108      38       1500   SHARES
CONSTELLATION BRANDS INC CL A                                COMMON STOCK   21036P108       5        190   SHARES
CONSTELLATION BRANDS INC CL A                                COMMON STOCK   21036P108      20        800   SHARES
CONSTELLATION BRANDS INC CLASS A                             COMMON STOCK   21036P108    2541     101450   SHARES
CONSTELLATION ENERGY GROUP INC COM                           COMMON STOCK   210371100    4226      77239   SHARES
CONSTELLATION ENERGY GROUP INC COM                           COMMON STOCK   210371100    4467      81655   SHARES
CONSTELLATION ENERGY GROUP INC COM                           COMMON STOCK   210371100     189       3465   SHARES
CONTINENTAL AIRLINES CL B                                    COMMON STOCK   210795308       5        200   SHARES
CONVERGYS CORP                                               COMMON STOCK   212485106      13        700   SHARES
CONVERGYS CORP                                               COMMON STOCK   212485106      20       1100   SHARES
COOPER CAMERON CORP COM                                      COMMON STOCK   216640102      50       1132   SHARES
COOPER INDS LTD                                              COMMON STOCK   G24182100      62        710   SHARES
COOPER TIRE & RUBBER                                         COMMON STOCK   216831107       7        455   SHARES
COOPER TIRE & RUBBER CO                                      COMMON STOCK   216831107      10        700   SHARES
CORN PRODS INTL INC COM                                      COMMON STOCK   219023108      80       2719   SHARES
CORN PRODS INTL INC COM                                      COMMON STOCK   219023108     170       5756   SHARES
CORNING INC                                                  COMMON STOCK   219350105    1066      39605   SHARES
CORNING INC                                                  COMMON STOCK   219350105    3680     136719   SHARES
CORNING INC                                                  COMMON STOCK   219350105    2368      88016   SHARES
CORNING INC                                                  COMMON STOCK   219350105       8        300   SHARES
CORTEX PHARMACEUTICALS INC                                   COMMON STOCK   220524300       7       1390   SHARES
COSTCO WHOLESALE CORP COM                                    COMMON STOCK   22160K105     295       5450   SHARES
COSTCO WHOLESALE CORP COM                                    COMMON STOCK   22160K105     452       8350   SHARES
COSTCO WHOLESALE CORP COM                                    COMMON STOCK   22160K105     180       3330   SHARES
COUNTRYWIDE FINANCIAL CORP                                   COMMON STOCK   222372104      43       1178   SHARES
COUNTRYWIDE FINANCIAL CORP                                   COMMON STOCK   222372104      44       1200   SHARES
COUNTRYWIDE FINL                                             COMMON STOCK   222372104     167       4558   SHARES
COVANCE INC COM                                              COMMON STOCK   222816100      45        767   SHARES
COVANCE INC COM                                              COMMON STOCK   222816100      75       1283   SHARES
COVANSYS CORPORATION                                         COMMON STOCK   22281W103      60       3500   SHARES
COVANSYS CORPORATION                                         COMMON STOCK   22281W103      81       4700   SHARES
COVENTRY HEALTH CARE INCORPORATED                            COMMON STOCK   222862104      59       1100   SHARES
COVENTRY HEALTH CARE INCORPORATED                            COMMON STOCK   222862104       3         60   SHARES
COVENTRY HEALTH CARE INCORPORATED                            COMMON STOCK   222862104      30        562   SHARES
COVENTRY HEALTH CARE INCORPORATED                            COMMON STOCK   222862104    2410      44650   SHARES
CRANE CO                                                     COMMON STOCK   224399105     420      10246   SHARES
CRAY INC                                                     COMMON STOCK   225223106       1        300   SHARES
CREE RESEARCH INC COM                                        COMMON STOCK   225447101      33       1000   SHARES
CSX CORP                                                     COMMON STOCK   126408103    1048      17525   SHARES
CSX CORP                                                     COMMON STOCK   126408103    2092      34980   SHARES
CSX CORP                                                     COMMON STOCK   126408103     100       1670   SHARES
CT COMMUNICATIONS INC                                        COMMON STOCK   126426402      35       2600   SHARES
CT COMMUNICATIONS INC                                        COMMON STOCK   126426402      48       3500   SHARES
CUMMINS INC COM                                              COMMON STOCK   231021106      33        310   SHARES
CUMMINS INC COM                                              COMMON STOCK   231021106      11        100   SHARES
CURTISS WRIGHT CORP                                          COMMON STOCK   231561101      33        500   SHARES
CURTISS WRIGHT CORP                                          COMMON STOCK   231561101      55        838   SHARES
CUTERA INC                                                   COMMON STOCK   232109108      11        400   SHARES
CVS CORP COM                                                 COMMON STOCK   126650100     185       6180   SHARES
CVS CORP COM                                                 COMMON STOCK   126650100     320      10710   SHARES
CVS CORP COM                                                 COMMON STOCK   126650100    1314      43995   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
CONSOL ENERGY INC                                                    X                 3      18773   0       0
CONSOLIDATED COMMUNICATIONS HLDGS                                    X                 1        600   0       0
CONSOLIDATED EDISON INC COM                                          X                 3       1860   0       0
CONSOLIDATED EDISON INC COM                                          X                 1       4330   0       0
CONSOLIDATED EDISON INC COM                                                   X        1       7747   0       0
CONSTELLATION BRANDS INC CL A                                        X                 3       1500   0       0
CONSTELLATION BRANDS INC CL A                                        X                 1        190   0       0
CONSTELLATION BRANDS INC CL A                                                 X        1        800   0       0
CONSTELLATION BRANDS INC CLASS A                              X                        2     101450   0       0
CONSTELLATION ENERGY GROUP INC COM                                   X                 1      77239   0       0
CONSTELLATION ENERGY GROUP INC COM                                            X        1      77055   0    4600
CONSTELLATION ENERGY GROUP INC COM                                   X                 3       3465   0       0
CONTINENTAL AIRLINES CL B                                                     X        1        200   0       0
CONVERGYS CORP                                                                X        1        700   0       0
CONVERGYS CORP                                                       X                 3       1100   0       0
COOPER CAMERON CORP COM                                              X                 1       1132   0       0
COOPER INDS LTD                                                      X                 3        710   0       0
COOPER TIRE & RUBBER                                                 X                 3        455   0       0
COOPER TIRE & RUBBER CO                                              X                 1        700   0       0
CORN PRODS INTL INC COM                                              X                 1       2719   0       0
CORN PRODS INTL INC COM                                                       X        1       5756   0       0
CORNING INC                                                                   X        1      37855   0    1750
CORNING INC                                                          X                 1     135719   0    1000
CORNING INC                                                          X                 3      88016   0       0
CORNING INC                                                          X                 4        300   0       0
CORTEX PHARMACEUTICALS INC                                                    X        1       1390   0       0
COSTCO WHOLESALE CORP COM                                                     X        1       5450   0       0
COSTCO WHOLESALE CORP COM                                            X                 1       8125   0     225
COSTCO WHOLESALE CORP COM                                            X                 3       3330   0       0
COUNTRYWIDE FINANCIAL CORP                                           X                 1       1178   0       0
COUNTRYWIDE FINANCIAL CORP                                                    X        1          0   0    1200
COUNTRYWIDE FINL                                                     X                 3       4558   0       0
COVANCE INC COM                                                      X                 1        767   0       0
COVANCE INC COM                                                               X        1       1283   0       0
COVANSYS CORPORATION                                                 X                 3       3500   0       0
COVANSYS CORPORATION                                                 X                 1       4700   0       0
COVENTRY HEALTH CARE INCORPORATED                                    X                 3       1100   0       0
COVENTRY HEALTH CARE INCORPORATED                                             X        1         60   0       0
COVENTRY HEALTH CARE INCORPORATED                                    X                 1        562   0       0
COVENTRY HEALTH CARE INCORPORATED                             X                        2      44650   0       0
CRANE CO                                                                      X        1      10246   0       0
CRAY INC                                                             X                 1        300   0       0
CREE RESEARCH INC COM                                                         X        1          0   0    1000
CSX CORP                                                                      X        1      12925   0    4600
CSX CORP                                                             X                 1      34980   0       0
CSX CORP                                                             X                 3       1670   0       0
CT COMMUNICATIONS INC                                                X                 3       2600   0       0
CT COMMUNICATIONS INC                                                X                 1       3500   0       0
CUMMINS INC COM                                                      X                 3        310   0       0
CUMMINS INC COM                                                      X                 1        100   0       0
CURTISS WRIGHT CORP                                                           X        1        500   0       0
CURTISS WRIGHT CORP                                                  X                 1        838   0       0
CUTERA INC                                                           X                 1        400   0       0
CVS CORP COM                                                         X                 3       6180   0       0
CVS CORP COM                                                                  X        1      10110   0     600
CVS CORP COM                                                         X                 1      41895   0    2100


                                   12 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
CYTEC INDUSTRIES INC COM                                     COMMON STOCK   232820100       6        100   SHARES
CYTYC CORP                                                   COMMON STOCK   232946103     558      19790   SHARES
CYTYC CORP                                                   COMMON STOCK   232946103    1626      57700   SHARES
D R HORTON INC                                               COMMON STOCK   23331A109     137       4139   SHARES
D R HORTON INC                                               COMMON STOCK   23331A109     239       7199   SHARES
D R HORTON INC                                               COMMON STOCK   23331A109      70       2100   SHARES
DANAHER CORP COM                                             COMMON STOCK   235851102     114       1800   SHARES
DANAHER CORP COM                                             COMMON STOCK   235851102      86       1346   SHARES
DANAHER CORP COM                                             COMMON STOCK   235851102    1252      19705   SHARES
DANAHER CORP COM                                             COMMON STOCK   235851102     501       7890   SHARES
DARDEN RESTAURANTS INC COM                                   COMMON STOCK   237194105      43       1050   SHARES
DARDEN RESTAURANTS INC COM                                   COMMON STOCK   237194105     433      10545   SHARES
DARDEN RESTAURANTS INC COM                                   COMMON STOCK   237194105    1354      32995   SHARES
DAVITA INC WITH ATTACHED RIGHTS                              COMMON STOCK   23918K108      93       1537   SHARES
DEAN FOODS CO NEW                                            COMMON STOCK   242370104      16        400   SHARES
DECODE GENETICS INC                                          COMMON STOCK   243586104       3        300   SHARES
DEERE & CO                                                   COMMON STOCK   244199105     540       6825   SHARES
DEERE & CO                                                   COMMON STOCK   244199105    1749      22131   SHARES
DEERE & CO                                                   COMMON STOCK   244199105     242       3055   SHARES
DEL MONTE FOODS CO                                           COMMON STOCK   24522P103      21       1766   SHARES
DEL MONTE FOODS CO                                           COMMON STOCK   24522P103      28       2359   SHARES
DELL INC                                                     COMMON STOCK   24702R101    1898      63791   SHARES
DELL INC                                                     COMMON STOCK   24702R101    8141     273553   SHARES
DELL INC                                                     COMMON STOCK   24702R101    4075     136930   SHARES
DELTA PETROLEUM CORP                                         COMMON STOCK   247907207      42       2000   SHARES
DENBURY RESOURCES INCORPORATED                               COMMON STOCK   247916208      38       1200   SHARES
DENBURY RESOURCES INCORPORATED                               COMMON STOCK   247916208      54       1700   SHARES
DENTSPLY INTERNATIONAL INC COM                               COMMON STOCK   249030107     278       4775   SHARES
DENTSPLY INTERNATIONAL INC COM                               COMMON STOCK   249030107     425       7310   SHARES
DESIGN WITHIN REACH INC                                      COMMON STOCK   250557105       1        250   SHARES
DEVON ENERGY CORP                                            COMMON STOCK   25179M103     269       4393   SHARES
DEVON ENERGY CORP                                            COMMON STOCK   25179M103    1472      24072   SHARES
DEVON ENERGY CORP                                            COMMON STOCK   25179M103     196       3200   SHARES
DEVRY INC                                                    COMMON STOCK   251893103      39       1700   SHARES
DIAMOND OFFSHORE DRILLING COM                                COMMON STOCK   25271C102       4         50   SHARES
DIAMONDS TR UNIT SER 1                                       COMMON STOCK   252787106     256       2300   SHARES
DICKS SPORTING GOODS INC                                     COMMON STOCK   253393102      12        300   SHARES
DIEBOLD INC                                                  COMMON STOCK   253651103      14        350   SHARES
DIEBOLD INC                                                  COMMON STOCK   253651103      19        463   SHARES
DILLARDS INC                                                 COMMON STOCK   254067101      12        480   SHARES
DISCOVERY HOLDING CO                                         COMMON STOCK   25468Y206      39       2600   SHARES
DISCOVERY HOLDING CO-A                                       COMMON STOCK   25468Y107      78       5232   SHARES
DISCOVERY HOLDING CO-A                                       COMMON STOCK   25468Y107      98       6500   SHARES
DISNEY WALT COMPANY                                          COMMON STOCK   254687106     250       8946   SHARES
DOCUMENT SECURITIES SYSTEMS INC                              COMMON STOCK   25614T101       0          1   SHARES
DOLBY LABORATORIES INC CL A                                  COMMON STOCK   25659T107       2        100   SHARES
DOLLAR GENERAL CORP                                          COMMON STOCK   256669102      43       2450   SHARES
DOLLAR GENERAL CORP                                          COMMON STOCK   256669102       2        130   SHARES
DOLLAR TREE STORES INC COM                                   COMMON STOCK   256747106      53       1900   SHARES
DOLLAR TREE STORES INC COM                                   COMMON STOCK   256747106      69       2500   SHARES
DOMINION RESOURCES BLACK WARRIOR TR                          COMMON STOCK   25746Q108      99       2500   SHARES
DOMINION RESOURCES INC                                       COMMON STOCK   25746U109    3184      46127   SHARES
DOMINION RESOURCES INC                                       COMMON STOCK   25746U109    3872      56086   SHARES
DOMINION RESOURCES INC                                       COMMON STOCK   25746U109     212       3084   SHARES
DONEGAL GROUP INC CL A                                       COMMON STOCK   257701201      36       1379   SHARES
DONEGAL GROUP INC CL B                                       COMMON STOCK   257701300      16        680   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
CYTEC INDUSTRIES INC COM                                             X                 1        100   0       0
CYTYC CORP                                                           X                 1      19790   0       0
CYTYC CORP                                                           X                 3      57700   0       0
D R HORTON INC                                                                X        1       4139   0       0
D R HORTON INC                                                       X                 1       7199   0       0
D R HORTON INC                                                       X                 3       2100   0       0
DANAHER CORP COM                                                     X                 3       1800   0       0
DANAHER CORP COM                                                              X        1       1186   0     160
DANAHER CORP COM                                                     X                 1      19705   0       0
DANAHER CORP COM                                              X                        2       7890   0       0
DARDEN RESTAURANTS INC COM                                           X                 3       1050   0       0
DARDEN RESTAURANTS INC COM                                                    X        1      10545   0       0
DARDEN RESTAURANTS INC COM                                           X                 1      32995   0       0
DAVITA INC WITH ATTACHED RIGHTS                                               X        1       1237   0     300
DEAN FOODS CO NEW                                                    X                 3        400   0       0
DECODE GENETICS INC                                                  X                 1        300   0       0
DEERE & CO                                                                    X        1       6082   0     743
DEERE & CO                                                           X                 1      21831   0     300
DEERE & CO                                                           X                 3       1855   0    1200
DEL MONTE FOODS CO                                                   X                 1       1766   0       0
DEL MONTE FOODS CO                                                            X        1       2359   0       0
DELL INC                                                                      X        1      59101   0    4690
DELL INC                                                             X                 1     268867   0    4686
DELL INC                                                             X                 3     133093   0    3837
DELTA PETROLEUM CORP                                                          X        1       2000   0       0
DENBURY RESOURCES INCORPORATED                                       X                 3       1200   0       0
DENBURY RESOURCES INCORPORATED                                       X                 1       1700   0       0
DENTSPLY INTERNATIONAL INC COM                                                X        1       4775   0       0
DENTSPLY INTERNATIONAL INC COM                                       X                 1       7310   0       0
DESIGN WITHIN REACH INC                                              X                 1        250   0       0
DEVON ENERGY CORP                                                             X        1       3993   0     400
DEVON ENERGY CORP                                                    X                 1      23746   0     326
DEVON ENERGY CORP                                                    X                 3       3200   0       0
DEVRY INC                                                            X                 1       1700   0       0
DIAMOND OFFSHORE DRILLING COM                                        X                 1         50   0       0
DIAMONDS TR UNIT SER 1                                               X                 1       2300   0       0
DICKS SPORTING GOODS INC                                             X                 1        300   0       0
DIEBOLD INC                                                                   X        1        350   0       0
DIEBOLD INC                                                          X                 1        463   0       0
DILLARDS INC                                                         X                 3        480   0       0
DISCOVERY HOLDING CO                                                          X        1       2600   0       0
DISCOVERY HOLDING CO-A                                               X                 1       5232   0       0
DISCOVERY HOLDING CO-A                                                        X        1       6500   0       0
DISNEY WALT COMPANY                                           X                        2       8946   0       0
DOCUMENT SECURITIES SYSTEMS INC                                      X                 1          1   0       0
DOLBY LABORATORIES INC CL A                                          X                 1        100   0       0
DOLLAR GENERAL CORP                                                  X                 3       2450   0       0
DOLLAR GENERAL CORP                                                           X        1        130   0       0
DOLLAR TREE STORES INC COM                                           X                 3       1900   0       0
DOLLAR TREE STORES INC COM                                           X                 1       2500   0       0
DOMINION RESOURCES BLACK WARRIOR TR                                  X                 1       2500   0       0
DOMINION RESOURCES INC                                                        X        1      41109   0    5018
DOMINION RESOURCES INC                                               X                 1      54986   0    1100
DOMINION RESOURCES INC                                               X                 3       2600   0     484
DONEGAL GROUP INC CL A                                               X                 1       1379   0       0
DONEGAL GROUP INC CL B                                               X                 1        680   0       0


                                   13 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
DONNELLEY R R & SONS CO                                      COMMON STOCK   257867101      53       1605   SHARES
DONNELLEY R R & SONS CO                                      COMMON STOCK   257867101     134       4099   SHARES
DONNELLEY R R & SONS CO                                      COMMON STOCK   257867101     144       4400   SHARES
DOVER CORP                                                   COMMON STOCK   260003108    1828      37642   SHARES
DOVER CORP                                                   COMMON STOCK   260003108    2082      42884   SHARES
DOVER CORP                                                   COMMON STOCK   260003108      73       1510   SHARES
DOVER DOWNS GAMING & ENTMT INC                               COMMON STOCK   260095104      67       3100   SHARES
DOVER DOWNS GAMING & ENTMT INC                               COMMON STOCK   260095104      94       4300   SHARES
DOW CHEMICAL COMPANY                                         COMMON STOCK   260543103    3180      78334   SHARES
DOW CHEMICAL COMPANY                                         COMMON STOCK   260543103    6060     149262   SHARES
DOW CHEMICAL COMPANY                                         COMMON STOCK   260543103    1022      25182   SHARES
DOW CHEMICAL COMPANY                                         COMMON STOCK   260543103    1713      42200   SHARES
DOW JONES & CO INC COM                                       COMMON STOCK   260561105      17        425   SHARES
DOW JONES & CO INC COM                                       COMMON STOCK   260561105      17        432   SHARES
DPL INC                                                      COMMON STOCK   233293109     109       4051   SHARES
DPL INC                                                      COMMON STOCK   233293109     115       4255   SHARES
DRS TECHNOLOGIES INC                                         COMMON STOCK   23330X100       5        100   SHARES
DRS TECHNOLOGIES INC                                         COMMON STOCK   23330X100      11        200   SHARES
DRYCLEAN USA INC                                             COMMON STOCK   262432107       1        350   SHARES
DTE ENERGY CO                                                COMMON STOCK   233331107     774      19297   SHARES
DTE ENERGY CO                                                COMMON STOCK   233331107    1061      26474   SHARES
DTE ENERGY CO                                                COMMON STOCK   233331107      66       1645   SHARES
DUKE ENERGY CORP                                             COMMON STOCK   264399106     831      28496   SHARES
DUKE ENERGY CORP                                             COMMON STOCK   264399106    1052      36093   SHARES
DUKE ENERGY CORP                                             COMMON STOCK   264399106     480      16459   SHARES
DUN & BRADSTREET CORP                                        COMMON STOCK   26483E100      59        774   SHARES
DUN & BRADSTREET CORP                                        COMMON STOCK   26483E100     130       1700   SHARES
DUPONT EI DE NEMOURS & CO COM                                COMMON STOCK   263534109     597      14136   SHARES
DUPONT EI DE NEMOURS & CO COM                                COMMON STOCK   263534109    8244     195319   SHARES
DUPONT EI DE NEMOURS & CO COM                                COMMON STOCK   263534109    8855     209789   SHARES
DUPONT EI DE NEMOURS & CO COM                                COMMON STOCK   263534109     374       8850   SHARES
DUPONT EI DE NEMOURS & CO COM                                COMMON STOCK   263534109       4        100   SHARES
DUQUESNE LIGHT HOLDINGS INC                                  COMMON STOCK   266233105      10        600   SHARES
DUQUESNE LIGHT HOLDINGS INC                                  COMMON STOCK   266233105      34       2035   SHARES
DYNEGY INC CL A                                              COMMON STOCK   26816Q101      12       2600   SHARES
DYNEGY INC CL A                                              COMMON STOCK   26816Q101       2        460   SHARES
E M C CORPORATION MASSACHUSETTS                              COMMON STOCK   268648102    2359     173100   SHARES
E*TRADE FINANCIAL CORPORATION                                COMMON STOCK   269246104      76       2800   SHARES
E*TRADE FINANCIAL CORPORATION                                COMMON STOCK   269246104       8        290   SHARES
EAGLE MATERIALS INC CL B                                     COMMON STOCK   26969P207      17        267   SHARES
EAGLE MATERIALS INC COM W RIGHTS                             COMMON STOCK   26969P108       5         78   SHARES
EARTHLINK INC COM                                            COMMON STOCK   270321102      45       4700   SHARES
EARTHLINK INC COM                                            COMMON STOCK   270321102      69       7207   SHARES
EASTGROUP PROPERTIES INCORPORATED                            COMMON STOCK   277276101     389       8200   SHARES
EASTMAN CHEMICAL COMPANY COM                                 COMMON STOCK   277432100      36        700   SHARES
EASTMAN CHEMICAL COMPANY COM                                 COMMON STOCK   277432100      79       1544   SHARES
EASTMAN CHEMICAL COMPANY COM                                 COMMON STOCK   277432100     121       2355   SHARES
EASTMAN KODAK CO COM                                         COMMON STOCK   277461109      61       2160   SHARES
EASTMAN KODAK CO COM                                         COMMON STOCK   277461109      91       3205   SHARES
EASTMAN KODAK CO COM                                         COMMON STOCK   277461109     272       9566   SHARES
EATON CORP COM                                               COMMON STOCK   278058102      80       1090   SHARES
EATON CORP COM                                               COMMON STOCK   278058102     139       1900   SHARES
EATON CORP COM                                               COMMON STOCK   278058102     663       9084   SHARES
EATON VANCE CORP                                             COMMON STOCK   278265103       6        230   SHARES
EBAY INC COM                                                 COMMON STOCK   278642103     540      13841   SHARES
EBAY INC COM                                                 COMMON STOCK   278642103    4331     111053   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
DONNELLEY R R & SONS CO                                              X                 3       1605   0       0
DONNELLEY R R & SONS CO                                              X                 1       4099   0       0
DONNELLEY R R & SONS CO                                                       X        1       4400   0       0
DOVER CORP                                                                    X        1      30242   0    7400
DOVER CORP                                                           X                 1      42884   0       0
DOVER CORP                                                           X                 3       1510   0       0
DOVER DOWNS GAMING & ENTMT INC                                       X                 3       3100   0       0
DOVER DOWNS GAMING & ENTMT INC                                       X                 1       4300   0       0
DOW CHEMICAL COMPANY                                                          X        1      76834   0    1500
DOW CHEMICAL COMPANY                                                 X                 1     149037   0     225
DOW CHEMICAL COMPANY                                                 X                 3      17782   0    7400
DOW CHEMICAL COMPANY                                          X                        2      42200   0       0
DOW JONES & CO INC COM                                               X                 3        425   0       0
DOW JONES & CO INC COM                                                        X        1          0   0     432
DPL INC                                                                       X        1       4051   0       0
DPL INC                                                              X                 1       4255   0       0
DRS TECHNOLOGIES INC                                                 X                 1        100   0       0
DRS TECHNOLOGIES INC                                                          X        1        200   0       0
DRYCLEAN USA INC                                                     X                 1        350   0       0
DTE ENERGY CO                                                                 X        1      14119   0    5178
DTE ENERGY CO                                                        X                 1      25299   0    1175
DTE ENERGY CO                                                        X                 3       1345   0     300
DUKE ENERGY CORP                                                     X                 1      28121   0     375
DUKE ENERGY CORP                                                              X        1      35593   0     500
DUKE ENERGY CORP                                                     X                 3      14559   0    1900
DUN & BRADSTREET CORP                                                X                 1        774   0       0
DUN & BRADSTREET CORP                                                         X        1       1700   0       0
DUPONT EI DE NEMOURS & CO COM                                 X                        2      14136   0       0
DUPONT EI DE NEMOURS & CO COM                                        X                 1     191794   0    3525
DUPONT EI DE NEMOURS & CO COM                                                 X        1     203389   0    6400
DUPONT EI DE NEMOURS & CO COM                                        X                 3       7650   0    1200
DUPONT EI DE NEMOURS & CO COM                                        X                 4        100   0       0
DUQUESNE LIGHT HOLDINGS INC                                                   X        1        600   0       0
DUQUESNE LIGHT HOLDINGS INC                                          X                 1       2035   0       0
DYNEGY INC CL A                                                      X                 3       2600   0       0
DYNEGY INC CL A                                                      X                 1        460   0       0
E M C CORPORATION MASSACHUSETTS                               X                        2     173100   0       0
E*TRADE FINANCIAL CORPORATION                                        X                 3       2800   0       0
E*TRADE FINANCIAL CORPORATION                                        X                 1        290   0       0
EAGLE MATERIALS INC CL B                                             X                 1        267   0       0
EAGLE MATERIALS INC COM W RIGHTS                                     X                 1         78   0       0
EARTHLINK INC COM                                                    X                 3       4700   0       0
EARTHLINK INC COM                                                    X                 1       7207   0       0
EASTGROUP PROPERTIES INCORPORATED                             X                        2       8200   0       0
EASTMAN CHEMICAL COMPANY COM                                         X                 3        700   0       0
EASTMAN CHEMICAL COMPANY COM                                         X                 1       1544   0       0
EASTMAN CHEMICAL COMPANY COM                                                  X        1       1855   0     500
EASTMAN KODAK CO COM                                                 X                 3       2160   0       0
EASTMAN KODAK CO COM                                                 X                 1       3205   0       0
EASTMAN KODAK CO COM                                                          X        1       9566   0       0
EATON CORP COM                                                       X                 3       1090   0       0
EATON CORP COM                                                                X        1       1900   0       0
EATON CORP COM                                                       X                 1       9084   0       0
EATON VANCE CORP                                                     X                 1        230   0       0
EBAY INC COM                                                                  X        1      10981   0    2860
EBAY INC COM                                                         X                 1     108455   0    2598


                                   14 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
EBAY INC COM                                                 COMMON STOCK   278642103    4195     107514   SHARES
ECLIPSYS CORP COM                                            COMMON STOCK   278856109      38       1600   SHARES
ECOLAB INC COM                                               COMMON STOCK   278865100      53       1390   SHARES
ECOLAB INC COM                                               COMMON STOCK   278865100      90       2350   SHARES
ECOLAB INC COM                                               COMMON STOCK   278865100    1029      26950   SHARES
EDISON INTERNATIONAL COM                                     COMMON STOCK   281020107      10        240   SHARES
EDISON INTERNATIONAL COM                                     COMMON STOCK   281020107      42       1010   SHARES
EDISON INTERNATIONAL COM                                     COMMON STOCK   281020107     102       2465   SHARES
EDUCATION MGMT CORP                                          COMMON STOCK   28139T101     929      22326   SHARES
EDUCATIONAL MANAGEMENT CORP COM                              COMMON STOCK   28139T101     322       7745   SHARES
EDWARDS LIFESCIENCES CORP COM                                COMMON STOCK   281760108      17        339   SHARES
EDWARDS LIFESCIENCES CORP COM                                COMMON STOCK   28176E108     327       7510   SHARES
EDWARDS LIFESCIENCES CORP COM                                COMMON STOCK   28176E108    1217      27982   SHARES
EGL INC COM                                                  COMMON STOCK   268484102      41        900   SHARES
EGL INC COM                                                  COMMON STOCK   268484102      54       1200   SHARES
EL PASO CORP COM                                             COMMON STOCK   28336L109      42       3496   SHARES
EL PASO CORP COM                                             COMMON STOCK   28336L109      49       4082   SHARES
EL PASO CORPORATION                                          COMMON STOCK   28336L109      61       5083   SHARES
ELECTRIC CITY CORP                                           COMMON STOCK   284868106      28      44100   SHARES
ELECTRIC CITY CORP                                           COMMON STOCK   284868106      20      31500   SHARES
ELECTRONIC DATA SYSTEM CORPORATION                           COMMON STOCK   285661104     105       3925   SHARES
ELECTRONIC DATA SYSTEM CORPORATION                           COMMON STOCK   285661104      47       1742   SHARES
ELECTRONIC DATA SYSTEM CORPORATION                           COMMON STOCK   285661104      71       2658   SHARES
ELECTRONICS ARTS COM                                         COMMON STOCK   285512109     537       9805   SHARES
ELECTRONICS ARTS COM                                         COMMON STOCK   285512109    5815     106267   SHARES
ELECTRONICS ARTS COM                                         COMMON STOCK   285512109    6027     110135   SHARES
ELECTRONICS FOR IMAGING INC COM                              COMMON STOCK   286082102     697      24900   SHARES
ELECTRONICS FOR IMAGING INC COM                              COMMON STOCK   286082102      36       1300   SHARES
ELECTRONICS FOR IMAGING INC COM                              COMMON STOCK   286082102     310      11100   SHARES
ELIZABETH ARDEN INC COM                                      COMMON STOCK   28660G106       5        205   SHARES
EMAGEON INC                                                  COMMON STOCK   29076V109      54       3200   SHARES
EMAGEON INC                                                  COMMON STOCK   29076V109      54       3200   SHARES
EMC CORP MASS COM                                            COMMON STOCK   268648102     778      57097   SHARES
EMC CORP MASS COM                                            COMMON STOCK   268648102    5073     372191   SHARES
EMC CORP MASS COM                                            COMMON STOCK   268648102    1462     107177   SHARES
EMDEON CORPORATION                                           COMMON STOCK   290849108       4        350   SHARES
EMERSON ELECTRIC CO                                          COMMON STOCK   291011104     264       3160   SHARES
EMERSON ELECTRIC CO                                          COMMON STOCK   291011104    5858      70050   SHARES
EMERSON ELECTRIC CO                                          COMMON STOCK   291011104    6174      73827   SHARES
EMERSON ELECTRIC COMPANY                                     COMMON STOCK   291011104     832       9950   SHARES
EMS TECHNOLOGIES INCORPORATED                                COMMON STOCK   26873N108      52       2900   SHARES
EMS TECHNOLOGIES INCORPORATED                                COMMON STOCK   26873N108      72       4000   SHARES
ENBRIDGE ENERGY PTNR                                         COMMON STOCK   29250R106     115       2627   SHARES
ENCYSIVE PHARMACEUTICALS INC                                 COMMON STOCK   29256X107      73      15000   SHARES
ENERGIZER HLDGS INC COM                                      COMMON STOCK   29266R108       5        100   SHARES
ENERGIZER HLDGS INC COM                                      COMMON STOCK   29266R108      75       1412   SHARES
ENERGY CONVERSION DEVICES INC                                COMMON STOCK   292659109      10        200   SHARES
ENERGY EAST CORP COM                                         COMMON STOCK   29266M109     156       6421   SHARES
ENERGY EAST CORP COM                                         COMMON STOCK   29266M109     213       8776   SHARES
ENERGY SELECT SECTOR SPDR FD                                 COMMON STOCK   81369Y506     109       2000   SHARES
ENERGY TRANSFER PARTNERS LP                                  COMMON STOCK   29273R109      39       1000   SHARES
ENGELHARD CORPORATION COM                                    COMMON STOCK   292845104      37        930   SHARES
ENGELHARD CORPORATION COM                                    COMMON STOCK   292845104      12        300   SHARES
ENGELHARD CORPORATION COM                                    COMMON STOCK   292845104      80       2025   SHARES
ENPRO INDUSTRIES                                             COMMON STOCK   29355X107      27        800   SHARES
ENSCO INTERNATIONAL INC COM                                  COMMON STOCK   26874Q100     611      11881   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
EBAY INC COM                                                         X                 3     103864   0    3650
ECLIPSYS CORP COM                                                             X        1       1600   0       0
ECOLAB INC COM                                                       X                 3       1390   0       0
ECOLAB INC COM                                                                X        1       2350   0       0
ECOLAB INC COM                                                       X                 1      26950   0       0
EDISON INTERNATIONAL COM                                                      X        1        240   0       0
EDISON INTERNATIONAL COM                                             X                 1       1010   0       0
EDISON INTERNATIONAL COM                                             X                 3       2465   0       0
EDUCATION MGMT CORP                                                  X                 3      22326   0       0
EDUCATIONAL MANAGEMENT CORP COM                                      X                 1       7745   0       0
EDWARDS LIFESCIENCES CORP COM                                                 X        1        339   0       0
EDWARDS LIFESCIENCES CORP COM                                                 X        1       4790   0    2720
EDWARDS LIFESCIENCES CORP COM                                        X                 1      26232   0    1750
EGL INC COM                                                          X                 3        900   0       0
EGL INC COM                                                          X                 1       1200   0       0
EL PASO CORP COM                                                              X        1       3496   0       0
EL PASO CORP COM                                                     X                 1       4082   0       0
EL PASO CORPORATION                                                  X                 3       5083   0       0
ELECTRIC CITY CORP                                                   X                 1      44100   0       0
ELECTRIC CITY CORP                                                   X                 3      31500   0       0
ELECTRONIC DATA SYSTEM CORPORATION                                   X                 3       3925   0       0
ELECTRONIC DATA SYSTEM CORPORATION                                   X                 1       1742   0       0
ELECTRONIC DATA SYSTEM CORPORATION                                            X        1       2658   0       0
ELECTRONICS ARTS COM                                                          X        1       9805   0       0
ELECTRONICS ARTS COM                                                 X                 1     103673   0    2594
ELECTRONICS ARTS COM                                                 X                 3     107606   0    2529
ELECTRONICS FOR IMAGING INC COM                                      X                 3      24900   0       0
ELECTRONICS FOR IMAGING INC COM                                               X        1          0   0    1300
ELECTRONICS FOR IMAGING INC COM                                      X                 1      11100   0       0
ELIZABETH ARDEN INC COM                                              X                 1        205   0       0
EMAGEON INC                                                          X                 1       3200   0       0
EMAGEON INC                                                          X                 3       3200   0       0
EMC CORP MASS COM                                                             X        1      50227   0    6870
EMC CORP MASS COM                                                    X                 1     364441   0    7750
EMC CORP MASS COM                                                    X                 3     101777   0    5400
EMDEON CORPORATION                                                   X                 1        350   0       0
EMERSON ELECTRIC CO                                                  X                 3       3160   0       0
EMERSON ELECTRIC CO                                                           X        1      62935   0    7115
EMERSON ELECTRIC CO                                                  X                 1      73277   0     550
EMERSON ELECTRIC COMPANY                                      X                        2       9950   0       0
EMS TECHNOLOGIES INCORPORATED                                        X                 3       2900   0       0
EMS TECHNOLOGIES INCORPORATED                                        X                 1       4000   0       0
ENBRIDGE ENERGY PTNR                                                          X        1       2627   0       0
ENCYSIVE PHARMACEUTICALS INC                                                  X        1      15000   0       0
ENERGIZER HLDGS INC COM                                                       X        1        100   0       0
ENERGIZER HLDGS INC COM                                              X                 1       1412   0       0
ENERGY CONVERSION DEVICES INC                                                 X        1        200   0       0
ENERGY EAST CORP COM                                                 X                 1       6421   0       0
ENERGY EAST CORP COM                                                          X        1       8576   0     200
ENERGY SELECT SECTOR SPDR FD                                                  X        1       2000   0       0
ENERGY TRANSFER PARTNERS LP                                                   X        1       1000   0       0
ENGELHARD CORPORATION COM                                            X                 3        930   0       0
ENGELHARD CORPORATION COM                                                     X        1        300   0       0
ENGELHARD CORPORATION COM                                            X                 1       2025   0       0
ENPRO INDUSTRIES                                                              X        1        800   0       0
ENSCO INTERNATIONAL INC COM                                                   X        1       8891   0    2990


                                   15 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
ENSCO INTERNATIONAL INC COM                                  COMMON STOCK   26874Q100    7291      141715  SHARES
ENSCO INTERNATIONAL INC COM                                  COMMON STOCK   26874Q100    9814      190743  SHARES
ENTERGY CORP COM NEW                                         COMMON STOCK   29364G103      17         250  SHARES
ENTERGY CORP COM NEW                                         COMMON STOCK   29364G103     181        2621  SHARES
ENTERGY CORP COM NEW                                         COMMON STOCK   29364G103     116        1680  SHARES
ENTERPRISE PRODUCTS PARTNERS LP                              COMMON STOCK   293792107      44        1787  SHARES
ENTERPRISE PRODUCTS PARTNERS LP                              COMMON STOCK   293792107      45        1810  SHARES
EOG RESOURCES INC COM                                        COMMON STOCK   26875P101      76        1055  SHARES
EOG RESOURCES INC COM                                        COMMON STOCK   26875P101     241        3342  SHARES
EOG RESOURCES INC COM                                        COMMON STOCK   26875P101     701        9721  SHARES
EP MEDSYSTEMS INC COM                                        COMMON STOCK   26881P103      22        8000  SHARES
EQUIFAX INC COM                                              COMMON STOCK   294429105      38        1025  SHARES
EQUIFAX INC COM                                              COMMON STOCK   294429105      93        2500  SHARES
EQUITABLE RESOURCES INC                                      COMMON STOCK   294549100     154        4231  SHARES
EQUITABLE RESOURCES INC                                      COMMON STOCK   294549100    1084       29700  SHARES
EQUITY OFFICE PPTYS                                          COMMON STOCK   294741103     104        3100  SHARES
EQUITY RESIDENTIAL                                           COMMON STOCK   29476L107     101        2150  SHARES
ERIE INDEMNITY CO CL A                                       COMMON STOCK   29530P102    8054      153000  SHARES
ESCALA GROUP INC                                             COMMON STOCK   29605W107      34        1300  SHARES
ESCALA GROUP INC                                             COMMON STOCK   29605W107      45        1700  SHARES
ESSEX CORPORATION                                            COMMON STOCK   296744105      11         500  SHARES
EXAR CORP                                                    COMMON STOCK   300645108      57        4000  SHARES
EXAR CORP COM                                                COMMON STOCK   300645108      79        5500  SHARES
EXELON CORP                                                  COMMON STOCK   30161N101    1223       23124  SHARES
EXELON CORP                                                  COMMON STOCK   30161N101    4157       78577  SHARES
EXELON CORP                                                  COMMON STOCK   30161N101     276        5232  SHARES
EXPEDIA INC                                                  COMMON STOCK   30212P105      71        3500  SHARES
EXPEDITORS INTL WASH INC COM                                 COMMON STOCK   302130109     104        1200  SHARES
EXPRESS SCRIPTS INC                                          COMMON STOCK   302182100    3261       37100  SHARES
EXPRESS SCRIPTS INC                                          COMMON STOCK   302182100   11960      136061  SHARES
EXPRESS SCRIPTS INC                                          COMMON STOCK   302182100    7665       87200  SHARES
EXXON MOBIL CORPORATION                                      COMMON STOCK   30231G102   68738     1129444  SHARES
EXXON MOBIL CORPORATION                                      COMMON STOCK   30231G102   76595     1258544  SHARES
EXXON MOBIL CORPORATION                                      COMMON STOCK   30231G102   22631      371844  SHARES
EXXON MOBIL CORPORATION                                      COMMON STOCK   30231G102      18         300  SHARES
EXXON MOBIL CORPORATION                                      COMMON STOCK   30231G102     953       15665  SHARES
F5 NETWORKS INC                                              COMMON STOCK   315616102     132        1815  SHARES
F5 NETWORKS INC                                              COMMON STOCK   315616102     427        5900  SHARES
FACTSET RESEARCH SYSTEMS INC                                 COMMON STOCK   303075105      40         900  SHARES
FAMILY DOLLAR STORES                                         COMMON STOCK   307000109       7         275  SHARES
FAMILY DOLLAR STORES                                         COMMON STOCK   307000109      33        1250  SHARES
FASTENAL CO                                                  COMMON STOCK   311900104     279        5885  SHARES
FASTENAL CO                                                  COMMON STOCK   311900104     852       18000  SHARES
FEATHERLITE INCORPORATED                                     COMMON STOCK   313054108     227       45422  SHARES
FED NATL MTG ASSN COM                                        COMMON STOCK   313586109    2596       50501  SHARES
FED NATL MTG ASSN COM                                        COMMON STOCK   313586109    5716      111197  SHARES
FED NATL MTG ASSN COM                                        COMMON STOCK   313586109     368        7155  SHARES
FEDERAL SIGNAL CORP                                          COMMON STOCK   313855108      19        1000  SHARES
FEDERATED DEPARTMENT STORES DELAWARE                         COMMON STOCK   31410H101     426       10021  SHARES
FEDERATED DEPARTMENT STORES DELAWARE                         COMMON STOCK   31410H101     150        2058  SHARES
FEDERATED DEPARTMENT STORES DELAWARE                         COMMON STOCK   31410H101      55         749  SHARES
FEDERATED DEPARTMENT STORES DELAWARE                         COMMON STOCK   31410H101     323        4428  SHARES
FEDERATED INVS INC                                           COMMON STOCK B 314211103      31         800  SHARES
FEDEX CORPORATION                                            COMMON STOCK   31428X106     341        3020  SHARES
FEDEX CORPORATION                                            COMMON STOCK   31428X106     596        5280  SHARES
FEDEX CORPORATION                                            COMMON STOCK   31428X106     262        2317  SHARES




                                                                    COLUMN 6                       COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7   VOTING AUTHORITY
--------                                                     ---------------------- -------- ---------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------                                               ---- -------- -------- -------- ------- ------ ------
                                                                                       
ENSCO INTERNATIONAL INC COM                                          X                 1      138042   0      3673
ENSCO INTERNATIONAL INC COM                                          X                 3      184403   0      6340
ENTERGY CORP COM NEW                                                 X                 1         250   0         0
ENTERGY CORP COM NEW                                                          X        1        2621   0         0
ENTERGY CORP COM NEW                                                 X                 3        1680   0         0
ENTERPRISE PRODUCTS PARTNERS LP                                      X                 1        1787   0         0
ENTERPRISE PRODUCTS PARTNERS LP                                               X        1        1810   0         0
EOG RESOURCES INC COM                                                         X        1        1055   0         0
EOG RESOURCES INC COM                                                X                 1        3342   0         0
EOG RESOURCES INC COM                                                X                 3        9721   0         0
EP MEDSYSTEMS INC COM                                                         X        1        8000   0         0
EQUIFAX INC COM                                                      X                 3        1025   0         0
EQUIFAX INC COM                                                               X        1        2500   0         0
EQUITABLE RESOURCES INC                                                       X        1        4231   0         0
EQUITABLE RESOURCES INC                                              X                 1       29700   0         0
EQUITY OFFICE PPTYS                                                  X                 3        3100   0         0
EQUITY RESIDENTIAL                                                   X                 3        2150   0         0
ERIE INDEMNITY CO CL A                                               X                 1      153000   0         0
ESCALA GROUP INC                                                     X                 3        1300   0         0
ESCALA GROUP INC                                                     X                 1        1700   0         0
ESSEX CORPORATION                                                             X        1         500   0         0
EXAR CORP                                                            X                 3        4000   0         0
EXAR CORP COM                                                        X                 1        5500   0         0
EXELON CORP                                                                   X        1       21974   0      1150
EXELON CORP                                                          X                 1       77177   0      1400
EXELON CORP                                                          X                 3        4732   0       500
EXPEDIA INC                                                                   X        1        3500   0         0
EXPEDITORS INTL WASH INC COM                                         X                 1        1200   0         0
EXPRESS SCRIPTS INC                                                           X        1       35335   0      1765
EXPRESS SCRIPTS INC                                                  X                 1      132291   0      3770
EXPRESS SCRIPTS INC                                                  X                 3       84391   0      2809
EXXON MOBIL CORPORATION                                                       X        1     1026627   0    102817
EXXON MOBIL CORPORATION                                              X                 1     1243067   0     15477
EXXON MOBIL CORPORATION                                              X                 3      359224   0     12620
EXXON MOBIL CORPORATION                                              X                 4         300   0         0
EXXON MOBIL CORPORATION                                       X                        2       15665   0         0
F5 NETWORKS INC                                                      X                 1        1815   0         0
F5 NETWORKS INC                                                      X                 3        5900   0         0
FACTSET RESEARCH SYSTEMS INC                                                  X        1         900   0         0
FAMILY DOLLAR STORES                                                          X        1         275   0         0
FAMILY DOLLAR STORES                                                 X                 3        1250   0         0
FASTENAL CO                                                          X                 1        5885   0         0
FASTENAL CO                                                          X                 3       18000   0         0
FEATHERLITE INCORPORATED                                                      X        1       45422   0         0
FED NATL MTG ASSN COM                                                         X        1       48601   0      1900
FED NATL MTG ASSN COM                                                X                 1      109597   0      1600
FED NATL MTG ASSN COM                                                X                 3        7155   0         0
FEDERAL SIGNAL CORP                                                  X                 1        1000   0         0
FEDERATED DEPARTMENT STORES DELAWARE                          X                        2       10021   0         0
FEDERATED DEPARTMENT STORES DELAWARE                                 X                 3        2058   0         0
FEDERATED DEPARTMENT STORES DELAWARE                                          X        1         749   0         0
FEDERATED DEPARTMENT STORES DELAWARE                                 X                 1        4428   0         0
FEDERATED INVS INC                                                   X                 3         800   0         0
FEDEX CORPORATION                                                             X        1        2570   0       450
FEDEX CORPORATION                                                    X                 1        5280   0         0
FEDEX CORPORATION                                                    X                 3        2317   0         0


                                   16 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
FIDELITY NATL FINL INC                                       COMMON STOCK   316326107      18        500   SHARES
FIDELITY NATL FINL INC                                       COMMON STOCK   316326107    2106      59264   SHARES
FIDELITY NATL FINL INC                                       COMMON STOCK   316326107    5415     152412   SHARES
FIDELITY NATL INFORMATION SERVICES                           COMMON STOCK   31620M106      20        500   SHARES
FIDELITY NATL TITLE GRP - CL A                               COMMON STOCK   31620R105       9        400   SHARES
FIFTH THIRD BANCORP COM                                      COMMON STOCK   316773100      31        800   SHARES
FIFTH THIRD BANCORP COM                                      COMMON STOCK   316773100     690      17533   SHARES
FIFTH THIRD BANCORP COM                                      COMMON STOCK   316773100     445      11300   SHARES
FILENET CORP COM                                             COMMON STOCK   316869106      51       1900   SHARES
FILENET CORP COM                                             COMMON STOCK   316869106      70       2600   SHARES
FIRST DATA CORP COM                                          COMMON STOCK   319963104     263       5614   SHARES
FIRST DATA CORP COM                                          COMMON STOCK   319963104    1443      30815   SHARES
FIRST DATA CORP COM                                          COMMON STOCK   319963104    1996      42635   SHARES
FIRST DATA CORP COM                                          COMMON STOCK   319963104       9        200   SHARES
FIRST DATA CORPORATION                                       COMMON STOCK   319963104     589      12586   SHARES
FIRST HORIZON NATIONAL CORP                                  COMMON STOCK   320517105      12        300   SHARES
FIRST HORIZON NATIONAL CORP                                  COMMON STOCK   320517105      37        900   SHARES
FIRST MARBLEHEAD CORP                                        COMMON STOCK   320771108    1163      26900   SHARES
FIRST MARINER BANCORP INCORPORATED                           COMMON STOCK   320795107      67       3500   SHARES
FIRST NIAGARA FINANCIAL GROUP                                COMMON STOCK   33582V108       4        292   SHARES
FIRST STATE FINANCIAL CORP FLORIDA                           COMMON STOCK   33708M206      52       3253   SHARES
FIRST UNITED CORP COM                                        COMMON STOCK   33741H107      61       2677   SHARES
FIRST UNITED CORP COM                                        COMMON STOCK   33741H107     192       8408   SHARES
FIRSTENERGY CORP COM                                         COMMON STOCK   337932107     122       2488   SHARES
FIRSTENERGY CORP COM                                         COMMON STOCK   337932107     252       5153   SHARES
FIRSTENERGY CORP COM                                         COMMON STOCK   337932107     363       7432   SHARES
FISERV INCORPORATED                                          COMMON STOCK   337738108       9        200   SHARES
FISERV INCORPORATED                                          COMMON STOCK   337738108       9        220   SHARES
FISERV INCORPORATED                                          COMMON STOCK   337738108      62       1450   SHARES
FISERV INCORPORATED                                          COMMON STOCK   337738108    1378      32386   SHARES
FISHER SCNTIFC INTL                                          COMMON STOCK   338032204      61        900   SHARES
FIVE STAR QUALITY CARE INC                                   COMMON STOCK   33832D106       0         10   SHARES
FLANDERS CORPORATION                                         COMMON STOCK   338494107    1012      86673   SHARES
FLEMING COMPANIES INCORPORATED                               COMMON STOCK   339130106       8      69200   SHARES
FLORIDA EAST COAST INDUSTRIES                                COMMON STOCK   340632108       0          8   SHARES
FLORIDA ROCK INDUSTRIES                                      COMMON STOCK   341140101      27        475   SHARES
FLUOR CORPORATION                                            COMMON STOCK   343412102     142       1650   SHARES
FLUOR CORPORATION                                            COMMON STOCK   343412102     402       4689   SHARES
FLUOR CORPORATION                                            COMMON STOCK   343412102      65        755   SHARES
FNB CORP PA                                                  COMMON STOCK   302520101      57       3328   SHARES
FONAR CORP COM                                               COMMON STOCK   344437108       0        518   SHARES
FORD MOTOR CO                                                COMMON STOCK   345370860     131      16514   SHARES
FORD MOTOR CO                                                COMMON STOCK   345370860     162      20372   SHARES
FORD MOTOR CO                                                COMMON STOCK   345370860     112      14100   SHARES
FORDING CDN COAL TR                                          TRUST UNIT     345425102     429      11300   SHARES
FOREST LABS INC COM                                          COMMON STOCK   345838106     116       2600   SHARES
FOREST LABS INC COM                                          COMMON STOCK   345838106       4        100   SHARES
FOREST LABS INC COM                                          COMMON STOCK   345838106      16        350   SHARES
FOREST OIL CORP                                              COMMON STOCK   346091705      19        500   SHARES
FOREST OIL CORP                                              COMMON STOCK   346091705      52       1400   SHARES
FORTUNE BRANDS INC                                           COMMON STOCK   349631101     802       9944   SHARES
FORTUNE BRANDS INC                                           COMMON STOCK   349631101    1676      20790   SHARES
FORTUNE BRANDS INC                                           COMMON STOCK   349631101      81       1000   SHARES
FOSTER WHEELER LTD                                           COMMON STOCK   G36535139    4754     100510   SHARES
FOUNDATION COAL HOLDINGS INC                                 COMMON STOCK   35039W100      53       1300   SHARES
FOUNDATION COAL HOLDINGS INC                                 COMMON STOCK   35039W100      86       2100   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
FIDELITY NATL FINL INC                                                        X        1        500   0       0
FIDELITY NATL FINL INC                                               X                 1      57794   0    1470
FIDELITY NATL FINL INC                                               X                 3     149150   0    3262
FIDELITY NATL INFORMATION SERVICES                                            X        1        500   0       0
FIDELITY NATL TITLE GRP - CL A                                       X                 1        400   0       0
FIFTH THIRD BANCORP COM                                                       X        1        800   0       0
FIFTH THIRD BANCORP COM                                              X                 1      17533   0       0
FIFTH THIRD BANCORP COM                                              X                 3       4300   0    7000
FILENET CORP COM                                                     X                 3       1900   0       0
FILENET CORP COM                                                     X                 1       2600   0       0
FIRST DATA CORP COM                                                  X                 3       5614   0       0
FIRST DATA CORP COM                                                           X        1      27915   0    2900
FIRST DATA CORP COM                                                  X                 1      42285   0     350
FIRST DATA CORP COM                                                  X                 4        200   0       0
FIRST DATA CORPORATION                                        X                        2      12586   0       0
FIRST HORIZON NATIONAL CORP                                          X                 1        300   0       0
FIRST HORIZON NATIONAL CORP                                          X                 3        900   0       0
FIRST MARBLEHEAD CORP                                         X                        2      26900   0       0
FIRST MARINER BANCORP INCORPORATED                                            X        1       3500   0       0
FIRST NIAGARA FINANCIAL GROUP                                        X                 1        292   0       0
FIRST STATE FINANCIAL CORP FLORIDA                                   X                 1       3253   0       0
FIRST UNITED CORP COM                                                         X        1        200   0    2477
FIRST UNITED CORP COM                                                X                 1       8408   0       0
FIRSTENERGY CORP COM                                                 X                 3       2488   0       0
FIRSTENERGY CORP COM                                                 X                 1       5153   0       0
FIRSTENERGY CORP COM                                                          X        1       7432   0       0
FISERV INCORPORATED                                                           X        1          0   0     200
FISERV INCORPORATED                                                  X                 1        220   0       0
FISERV INCORPORATED                                                  X                 3       1450   0       0
FISERV INCORPORATED                                           X                        2      32386   0       0
FISHER SCNTIFC INTL                                                  X                 3        900   0       0
FIVE STAR QUALITY CARE INC                                                    X        1          0   0      10
FLANDERS CORPORATION                                          X                        2      86673   0       0
FLEMING COMPANIES INCORPORATED                                X                        2      69200   0       0
FLORIDA EAST COAST INDUSTRIES                                                 X        1          8   0       0
FLORIDA ROCK INDUSTRIES                                                       X        1        475   0       0
FLUOR CORPORATION                                                             X        1       1650   0       0
FLUOR CORPORATION                                                    X                 1       4689   0       0
FLUOR CORPORATION                                                    X                 3        755   0       0
FNB CORP PA                                                          X                 1       3328   0       0
FONAR CORP COM                                                       X                 1        518   0       0
FORD MOTOR CO                                                                 X        1      12954   0    3560
FORD MOTOR CO                                                        X                 1      20372   0       0
FORD MOTOR CO                                                        X                 3      14100   0       0
FORDING CDN COAL TR                                                  X                 3      11300   0       0
FOREST LABS INC COM                                                  X                 3       2600   0       0
FOREST LABS INC COM                                                           X        1          0   0     100
FOREST LABS INC COM                                                  X                 1        350   0       0
FOREST OIL CORP                                                      X                 1        500   0       0
FOREST OIL CORP                                                               X        1       1400   0       0
FORTUNE BRANDS INC                                                            X        1       8337   0    1607
FORTUNE BRANDS INC                                                   X                 1      19890   0     900
FORTUNE BRANDS INC                                                   X                 3       1000   0       0
FOSTER WHEELER LTD                                                   X                 3     100510   0       0
FOUNDATION COAL HOLDINGS INC                                         X                 3       1300   0       0
FOUNDATION COAL HOLDINGS INC                                         X                 1       2100   0       0


                                   17 of 57





                                                                                                  SEC USE  __________________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ----------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES     PUT
                                                                                        VALUE    PRINCIPAL    OR        OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL   CALL
--------------                                               -------------- --------- ---------- --------- ---------   ----
                                                                                                     
FPL GROUP INC COM                                            COMMON STOCK   302571104    2653       66102  SHARES
FPL GROUP INC COM                                            COMMON STOCK   302571104    4974      123928  SHARES
FPL GROUP INC COM                                            COMMON STOCK   302571104     135        3370  SHARES
FPL GROUP INC COM                                            COMMON STOCK   302571104      12         300  SHARES
FRANKLIN RESOURCES INC                                       COMMON STOCK   354613101     104        1100  SHARES
FRANKLIN RESOURCES INC                                       COMMON STOCK   354613101      14         150  SHARES
FRANKLIN RESOURCES INC                                       COMMON STOCK   354613101      71         755  SHARES
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE                     COMMON STOCK   313400301     110        1799  SHARES
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE                     COMMON STOCK   313400301    3282       53802  SHARES
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE                     COMMON STOCK   313400301    5773       94627  SHARES
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE                     COMMON STOCK   313400301    4112       67402  SHARES
FREEPORT MCMORAN CPR & GLD INC CL B                          COMMON STOCK   35671D857      46         765  SHARES
FREEPORT MCMORAN CPR & GLD INC CL B                          COMMON STOCK   35671D857      64        1079  SHARES
FREEPORT MCMORAN CPR & GLD INC CL B                          COMMON STOCK B 35671D857      79        1330  SHARES
FREESCALE SEMICONDUCTOR-B                                    COMMON STOCK B 35687M206      83        3000  SHARES
FREESCALE SEMICONDUCTOR-B                                    COMMON STOCK   35687M206      35        1248  SHARES
FREESCALE SEMICONDUCTOR-B                                    COMMON STOCK   35687M206      97        3490  SHARES
FREIGHTCAR AMERICA INC                                       COMMON STOCK   357023100      19         298  SHARES
FRONTIER OIL CORPORATION                                     COMMON STOCK   35914P105      26         435  SHARES
FROZEN FOOD EXPRESS INDUSTRIES INC                           COMMON STOCK   359360104      10        1000  SHARES
FULTON FINANCIAL CORP                                        COMMON STOCK   360271100    2278      132543  SHARES
FULTON FINANCIAL CORP                                        COMMON STOCK   360271100    3082      179303  SHARES
FULTON FINANCIAL CORP.                                       COMMON STOCK   360271100    6422      373602  SHARES
GALLAGHER ARTHUR J. & CO                                     COMMON STOCK   363576109       6         200  SHARES
GALLAGHER ARTHUR J. & CO                                     COMMON STOCK   363576109      57        2040  SHARES
GAMESTOP CORP - CLASS A                                      COMMON STOCK   36467W109     238        5045  SHARES
GAMESTOP CORP - CLASS A                                      COMMON STOCK   36467W109     773       16400  SHARES
GANNETT INCORPORATED                                         COMMON STOCK   364730101     822       13721  SHARES
GANNETT INCORPORATED                                         COMMON STOCK   364730101     997       16643  SHARES
GANNETT INCORPORATED                                         COMMON STOCK   364730101     180        3000  SHARES
GANNETT INCORPORATED                                         COMMON STOCK   364730101     331        5520  SHARES
GAP INC COM                                                  COMMON STOCK   364760108      82        4395  SHARES
GAP INC COM                                                  COMMON STOCK   364760108     454       24301  SHARES
GAP INC COM                                                  COMMON STOCK   364760108     829       44367  SHARES
GATEWAY INC                                                  COMMON STOCK   367626108       5        2150  SHARES
GATX CORP                                                    COMMON STOCK   361448103      14         350  SHARES
GENELABS TECHNOLOGIES                                        COMMON STOCK   368706206       1         600  SHARES
GENENTECH INC COM NEW                                        COMMON STOCK   368710406     332        3925  SHARES
GENENTECH INC COM NEW                                        COMMON STOCK   368710406    2911       34440  SHARES
GENERAL DYNAMICS CORP COM                                    COMMON STOCK   369550108    1020       15950  SHARES
GENERAL DYNAMICS CORP COM                                    COMMON STOCK   369550108    3766       58866  SHARES
GENERAL DYNAMICS CORP COM                                    COMMON STOCK   369550108     319        4978  SHARES
GENERAL ELECTRIC COMPANY                                     COMMON STOCK   369604103   74332     2137217  SHARES
GENERAL ELECTRIC COMPANY                                     COMMON STOCK   369604103   77185     2219242  SHARES
GENERAL ELECTRIC COMPANY                                     COMMON STOCK   369604103    5431      156144  SHARES
GENERAL ELECTRIC COMPANY                                     COMMON STOCK   369604103   28433      817479  SHARES
GENERAL ELECTRIC COMPANY                                     COMMON STOCK   369604103      19         550  SHARES
GENERAL MILLS INC                                            COMMON STOCK   370334104    1886       37208  SHARES
GENERAL MILLS INC                                            COMMON STOCK   370334104    6556      129366  SHARES
GENERAL MILLS INC                                            COMMON STOCK   370334104    5751      113473  SHARES
GENERAL MILLS INC                                            COMMON STOCK   370334104       8         150  SHARES
GENERAL MOTORS CORP COM                                      COMMON STOCK   370442105      91        4295  SHARES
GENERAL MOTORS CORP COM                                      COMMON STOCK   370442105     112        5289  SHARES
GENERAL MOTORS CORP COM                                      COMMON STOCK   370442105    1749       82250  SHARES
GENESCO INC COM                                              COMMON STOCK   371532102      51        1300  SHARES
GENESCO INC COM                                              COMMON STOCK   371532102      66        1700  SHARES




                                                                    COLUMN 6                       COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7   VOTING AUTHORITY
--------                                                     ---------------------- -------- ---------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------                                               ---- -------- -------- -------- ------- ------ ------
                                                                                       
FPL GROUP INC COM                                                             X        1       57810   0      8292
FPL GROUP INC COM                                                    X                 1      123928   0         0
FPL GROUP INC COM                                                    X                 3        2970   0       400
FPL GROUP INC COM                                                    X                 4         300   0         0
FRANKLIN RESOURCES INC                                               X                 3        1100   0         0
FRANKLIN RESOURCES INC                                                        X        1         150   0         0
FRANKLIN RESOURCES INC                                               X                 1         755   0         0
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE                                      X        1        1799   0         0
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE                             X                 1       52641   0      1161
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE                             X                 3       92285   0      2342
FREDDIE MAC - FEDERAL HOME LOAN MORTGAGE                      X                        2       67402   0         0
FREEPORT MCMORAN CPR & GLD INC CL B                                           X        1         765   0         0
FREEPORT MCMORAN CPR & GLD INC CL B                                  X                 1        1079   0         0
FREEPORT MCMORAN CPR & GLD INC CL B                                  X                 3        1330   0         0
FREESCALE SEMICONDUCTOR-B                                            X                 3        3000   0         0
FREESCALE SEMICONDUCTOR-B                                            X                 1        1248   0         0
FREESCALE SEMICONDUCTOR-B                                                     X        1        3270   0       220
FREIGHTCAR AMERICA INC                                               X                 1         298   0         0
FRONTIER OIL CORPORATION                                             X                 1         435   0         0
FROZEN FOOD EXPRESS INDUSTRIES INC                                            X        1        1000   0         0
FULTON FINANCIAL CORP                                                X                 1      132543   0         0
FULTON FINANCIAL CORP                                                         X        1      135627   0     43676
FULTON FINANCIAL CORP.                                        X                               373602   0         0
GALLAGHER ARTHUR J. & CO                                                      X        1         200   0         0
GALLAGHER ARTHUR J. & CO                                             X                 1        2040   0         0
GAMESTOP CORP - CLASS A                                              X                 1        5045   0         0
GAMESTOP CORP - CLASS A                                              X                 3       16400   0         0
GANNETT INCORPORATED                                                 X                 1       13721   0         0
GANNETT INCORPORATED                                                          X        1       16443   0       200
GANNETT INCORPORATED                                                 X                 3        2000   0      1000
GANNETT INCORPORATED                                          X                        2        5520   0         0
GAP INC COM                                                          X                 3        4395   0         0
GAP INC COM                                                                   X        1       23901   0       400
GAP INC COM                                                          X                 1       44367   0         0
GATEWAY INC                                                          X                 3        2150   0         0
GATX CORP                                                                     X        1           0   0       350
GENELABS TECHNOLOGIES                                                X                 1         600   0         0
GENENTECH INC COM NEW                                                         X        1        3925   0         0
GENENTECH INC COM NEW                                                X                 1       34440   0         0
GENERAL DYNAMICS CORP COM                                                     X        1       15950   0         0
GENERAL DYNAMICS CORP COM                                            X                 1       58866   0         0
GENERAL DYNAMICS CORP COM                                            X                 3        4978   0         0
GENERAL ELECTRIC COMPANY                                                      X        1     2006030   0    131187
GENERAL ELECTRIC COMPANY                                             X                 1     2181007   0     38235
GENERAL ELECTRIC COMPANY                                      X                        2      156144   0         0
GENERAL ELECTRIC COMPANY                                             X                 3      774503   0     42976
GENERAL ELECTRIC COMPANY                                             X                 4         550   0         0
GENERAL MILLS INC                                                             X        1       36758   0       450
GENERAL MILLS INC                                                    X                 1      126801   0      2565
GENERAL MILLS INC                                                    X                 3      108478   0      4995
GENERAL MILLS INC                                                    X                 4         150   0         0
GENERAL MOTORS CORP COM                                              X                 3        4295   0         0
GENERAL MOTORS CORP COM                                              X                 1        4889   0       400
GENERAL MOTORS CORP COM                                                       X        1       81602   0       648
GENESCO INC COM                                                      X                 3        1300   0         0
GENESCO INC COM                                                      X                 1        1700   0         0


                                   18 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
GENESEE & WYOMING                                            COMMON STOCK   371559105       5        150   SHARES
GENESIS MICROCHIP INC                                        COMMON STOCK   37184C103    1067      62600   SHARES
GENESIS MICROCHIP INC                                        COMMON STOCK   37184C103     324      19000   SHARES
GENTEX CORP COM                                              COMMON STOCK   371901109      12        700   SHARES
GENUINE PARTS COMPANY                                        COMMON STOCK   372460105      60       1360   SHARES
GENUINE PARTS COMPANY                                        COMMON STOCK   372460105     371       8475   SHARES
GENUINE PARTS COMPANY                                        COMMON STOCK   372460105     142       3250   SHARES
GENUINE PARTS COMPANY                                        COMMON STOCK   372460105     445      10155   SHARES
GENWORTH FINANCIAL                                           COMMON STOCK   37247D106      84       2500   SHARES
GENZYME CORP COM                                             COMMON STOCK   372917104     129       1925   SHARES
GENZYME CORP COM                                             COMMON STOCK   372917104      44        650   SHARES
GENZYME CORP COM                                             COMMON STOCK   372917104     804      11966   SHARES
GEORGIA GULF CORP                                            COMMON STOCK   373200203       0          0   SHARES
GERON CORP                                                   COMMON STOCK   374163103       4        500   SHARES
GILEAD SCIENCES INC COM                                      COMMON STOCK   375558103     237       3815   SHARES
GILEAD SCIENCES INC COM                                      COMMON STOCK   375558103    1678      26971   SHARES
GILEAD SCIENCES INC COM                                      COMMON STOCK   375558103     941      15110   SHARES
GILLETTE COMPANY                                             COMMON STOCK   375766102     699      13850   SHARES
GLADSTONE CAPITAL CORP                                       COMMON STOCK   376535100     108       5000   SHARES
GLADSTONE CAPITAL CORP                                       COMMON STOCK   376535100    2495     115755   SHARES
GLATFELTER                                                   COMMON STOCK   377316104     830      45280   SHARES
GOLDEN WEST FINL                                             COMMON STOCK   381317106     136       2000   SHARES
GOLDMAN SACHS GROUP INC COM                                  COMMON STOCK   38141G104     502       3200   SHARES
GOLDMAN SACHS GROUP INC COM                                  COMMON STOCK   38141G104     129        820   SHARES
GOLDMAN SACHS GROUP INC COM                                  COMMON STOCK   38141G104    1208       7698   SHARES
GOODRICH CORP                                                COMMON STOCK   382388106       4        100   SHARES
GOODRICH CORP                                                COMMON STOCK   382388106     244       5600   SHARES
GOODRICH CORP                                                COMMON STOCK   382388106      39        885   SHARES
GOODYEAR TIRE & RUBR CO                                      COMMON STOCK   382550101      19       1345   SHARES
GOODYEAR TIRE & RUBR CO                                      COMMON STOCK   382550101       6        389   SHARES
GOODYEAR TIRE & RUBR CO                                      COMMON STOCK   382550101      30       2050   SHARES
GOOGLE INC CL A                                              COMMON STOCK   38259P508      98        250   SHARES
GOOGLE INC CL A                                              COMMON STOCK   38259P508     986       2527   SHARES
GOOGLE INC CL A                                              COMMON STOCK   38259P508    2376       6091   SHARES
GRACO INC COM                                                COMMON STOCK   384109104    1310      28830   SHARES
GRACO INC COM                                                COMMON STOCK   384109104    3081      67798   SHARES
GRAINGER W W INC                                             COMMON STOCK   384802104      46        605   SHARES
GRANITE CONSTRUCTION INCORPORATED                            COMMON STOCK   387328107      39        800   SHARES
GRANITE CONSTRUCTION INCORPORATED                            COMMON STOCK   387328107      49       1000   SHARES
GRANT PRIDECO INC COM                                        COMMON STOCK   38821G101    1054      24600   SHARES
GRANT PRIDECO INC COM                                        COMMON STOCK   38821G101     422       9850   SHARES
GREAT AMERN FINL RES INC COM                                 COMMON STOCK   389915109       2        100   SHARES
GREAT PLAINS ENERGY INC                                      COMMON STOCK   391164100       8        270   SHARES
GREAT PLAINS ENERGY INC                                      COMMON STOCK   391164100      24        850   SHARES
GREEN MOUNTAIN POWER CORP                                    COMMON STOCK   393154109      29       1000   SHARES
GUIDANT CORP COM                                             COMMON STOCK   401698105     199       2550   SHARES
GUIDANT CORP COM                                             COMMON STOCK   401698105     382       4892   SHARES
GUIDANT CORP COM                                             COMMON STOCK   401698105    1216      15575   SHARES
HALLIBURTON HLDG CO COM                                      COMMON STOCK   406216101     284       3890   SHARES
HALLIBURTON HLDG CO COM                                      COMMON STOCK   406216101     458       6275   SHARES
HALLIBURTON HLDG CO COM                                      COMMON STOCK   406216101     609       8334   SHARES
HALOZYME THERAPEUTICS INC                                    COMMON STOCK   40637H109      81      23500   SHARES
HALOZYME THERAPEUTICS INC                                    COMMON STOCK   40637H109     106      30800   SHARES
HANSEN NATURAL CORPORATION                                   COMMON STOCK   411310105      38        300   SHARES
HANSEN NATURAL CORPORATION                                   COMMON STOCK   411310105      50        400   SHARES
HARLEY DAVIDSON INC                                          COMMON STOCK   412822108     293       5650   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
GENESEE & WYOMING                                                    X                 1        150   0       0
GENESIS MICROCHIP INC                                                X                 3      62600   0       0
GENESIS MICROCHIP INC                                                X                 1      19000   0       0
GENTEX CORP COM                                                      X                 1        700   0       0
GENUINE PARTS COMPANY                                                X                 3       1360   0       0
GENUINE PARTS COMPANY                                         X                        2       8475   0       0
GENUINE PARTS COMPANY                                                         X        1       3250   0       0
GENUINE PARTS COMPANY                                                X                 1      10155   0       0
GENWORTH FINANCIAL                                                   X                 3       2500   0       0
GENZYME CORP COM                                                     X                 3       1925   0       0
GENZYME CORP COM                                                              X        1        650   0       0
GENZYME CORP COM                                                     X                 1      11516   0     450
GEORGIA GULF CORP                                                    X                 3          0   0       0
GERON CORP                                                                    X        1          0   0     500
GILEAD SCIENCES INC COM                                                       X        1       3815   0       0
GILEAD SCIENCES INC COM                                              X                 1      26971   0       0
GILEAD SCIENCES INC COM                                              X                 3      15110   0       0
GILLETTE COMPANY                                              X                        2      13850   0       0
GLADSTONE CAPITAL CORP                                               X                 1       5000   0       0
GLADSTONE CAPITAL CORP                                        X                        2     115755   0       0
GLATFELTER                                                           X                 1      45280   0       0
GOLDEN WEST FINL                                                     X                 3       2000   0       0
GOLDMAN SACHS GROUP INC COM                                          X                 3       3200   0       0
GOLDMAN SACHS GROUP INC COM                                                   X        1        625   0     195
GOLDMAN SACHS GROUP INC COM                                          X                 1       7648   0      50
GOODRICH CORP                                                        X                 1        100   0       0
GOODRICH CORP                                                                 X        1       4000   0    1600
GOODRICH CORP                                                        X                 3        885   0       0
GOODYEAR TIRE & RUBR CO                                              X                 3       1345   0       0
GOODYEAR TIRE & RUBR CO                                              X                 1        389   0       0
GOODYEAR TIRE & RUBR CO                                                       X        1       2050   0       0
GOOGLE INC CL A                                                               X        1        250   0       0
GOOGLE INC CL A                                                      X                 1       2477   0      50
GOOGLE INC CL A                                                      X                 3       5966   0     125
GRACO INC COM                                                        X                 1      28830   0       0
GRACO INC COM                                                        X                 3      67798   0       0
GRAINGER W W INC                                                     X                 3        605   0       0
GRANITE CONSTRUCTION INCORPORATED                                    X                 3        800   0       0
GRANITE CONSTRUCTION INCORPORATED                                    X                 1       1000   0       0
GRANT PRIDECO INC COM                                                X                 3      24600   0       0
GRANT PRIDECO INC COM                                                X                 1       9850   0       0
GREAT AMERN FINL RES INC COM                                                  X        1          0   0     100
GREAT PLAINS ENERGY INC                                              X                 1        270   0       0
GREAT PLAINS ENERGY INC                                                       X        1        850   0       0
GREEN MOUNTAIN POWER CORP                                                     X        1       1000   0       0
GUIDANT CORP COM                                                     X                 3       2550   0       0
GUIDANT CORP COM                                                              X        1       4892   0       0
GUIDANT CORP COM                                                     X                 1      15575   0       0
HALLIBURTON HLDG CO COM                                              X                 3       3890   0       0
HALLIBURTON HLDG CO COM                                                       X        1       2475   0    3800
HALLIBURTON HLDG CO COM                                              X                 1       7134   0    1200
HALOZYME THERAPEUTICS INC                                            X                 3      23500   0       0
HALOZYME THERAPEUTICS INC                                            X                 1      30800   0       0
HANSEN NATURAL CORPORATION                                           X                 3        300   0       0
HANSEN NATURAL CORPORATION                                           X                 1        400   0       0
HARLEY DAVIDSON INC                                                           X        1       2450   0    3200


                                   19 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
HARLEY DAVIDSON INC                                          COMMON STOCK   412822108    1062      20476   SHARES
HARLEY DAVIDSON INC                                          COMMON STOCK   412822108     109       2100   SHARES
HARLEYSVILLE NATL CORP COM                                   COMMON STOCK   412850109      29       1254   SHARES
HARMAN INTERNATIONAL INDUSTRIES                              COMMON STOCK   413086109     286       2575   SHARES
HARMAN INTERNATIONAL INDUSTRIES                              COMMON STOCK   413086109     995       8950   SHARES
HARRAHS ENTERTAINMENT INC                                    COMMON STOCK   413619107       2         25   SHARES
HARRAHS ENTERTAINMENT INC                                    COMMON STOCK   413619107     109       1400   SHARES
HARRIS & HARRIS GROUP INC                                    COMMON STOCK   413833104       6        400   SHARES
HARRIS CORP                                                  COMMON STOCK   413875105      67       1415   SHARES
HARRIS CORP                                                  COMMON STOCK   413875105    3952      83573   SHARES
HARRIS CORP                                                  COMMON STOCK   413875105    8372     177071   SHARES
HARSCO CORP                                                  COMMON STOCK   415864107    5553      67208   SHARES
HARSCO CORP                                                  COMMON STOCK   415864107   14730     178290   SHARES
HARSCO CORP                                                  COMMON STOCK   415864107    1679      20315   SHARES
HARTFORD FINANCIAL SVCS GRP INC COM                          COMMON STOCK   416515104       8        100   SHARES
HARTFORD FINANCIAL SVCS GRP INC COM                          COMMON STOCK   416515104    1218      15124   SHARES
HARTFORD FINANCIAL SVCS GRP INC COM                          COMMON STOCK   416515104    1986      24651   SHARES
HARTFORD FINL SVCS                                           COMMON STOCK   416515104     185       2300   SHARES
HASBRO INC                                                   COMMON STOCK   418056107       4        170   SHARES
HASBRO INC                                                   COMMON STOCK   418056107      27       1300   SHARES
HAWAIIAN ELEC IND INC                                        COMMON STOCK   419870100       4        140   SHARES
HCA INC COM                                                  COMMON STOCK   404119109     142       3100   SHARES
HCA INC COM                                                  COMMON STOCK   404119109      68       1475   SHARES
HCA INC COM                                                  COMMON STOCK   404119109      95       2082   SHARES
HCC INS HLDGS INC COM                                        COMMON STOCK   404132102    1535      44100   SHARES
HCC INS HLDGS INC COM                                        COMMON STOCK   404132102     549      15780   SHARES
HEALTH MANAGEMENT-CLASS A                                    COMMON STOCK   421933102     434      20138   SHARES
HEALTH MANAGEMENT-CLASS A                                    COMMON STOCK   421933102    1065      49383   SHARES
HEALTH MANAGEMENT-CLASS A                                    COMMON STOCK   421933102       9        400   SHARES
HEALTH MANAGEMENT-CLASS A                                    COMMON STOCK   421933102      39       1825   SHARES
HEALTH NET INC COM                                           COMMON STOCK   42222G108      30        600   SHARES
HEALTHEXTRAS INCORPORATED                                    COMMON STOCK   422211102      14        400   SHARES
HEALTHWAYS INC                                               COMMON STOCK   422245100     101       1975   SHARES
HEALTHWAYS INC                                               COMMON STOCK   422245100      71       1400   SHARES
HEINZ H J COMPANY                                            COMMON STOCK   423074103    1097      28918   SHARES
HEINZ H J COMPANY                                            COMMON STOCK   423074103    1119      29516   SHARES
HEINZ H J COMPANY                                            COMMON STOCK   423074103     138       3650   SHARES
HEINZ H J COMPANY                                            COMMON STOCK   423074103     361       9512   SHARES
HERCULES INC                                                 COMMON STOCK   427056106      29       2125   SHARES
HERCULES INC                                                 COMMON STOCK   427056106      70       5100   SHARES
HERCULES INC                                                 COMMON STOCK   427056106      11        800   SHARES
HERLEY INDUSTRIES INC                                        COMMON STOCK   427398102       4        180   SHARES
HERMAN MILLER INC                                            COMMON STOCK   600544100      21        650   SHARES
HEWLETT PACKARD COMPANY                                      COMMON STOCK   428236103    2474      75204   SHARES
HEWLETT PACKARD COMPANY                                      COMMON STOCK   428236103    4264     129593   SHARES
HEWLETT PACKARD COMPANY                                      COMMON STOCK   428236103     850      25830   SHARES
HEWLETT PACKARD COMPANY                                      COMMON STOCK   428236103       8        237   SHARES
HEWLETT PACKARD COMPANY                                      COMMON STOCK   428236103     521      15850   SHARES
HILTON HOTELS CORP                                           COMMON STOCK   432848109     284      11170   SHARES
HILTON HOTELS CORP                                           COMMON STOCK   432848109     621      24420   SHARES
HOLOGIC INC COM                                              COMMON STOCK   436440101     133       2400   SHARES
HOME DEPOT INCORPORATED                                      COMMON STOCK   437076102    6159     145604   SHARES
HOME DEPOT INCORPORATED                                      COMMON STOCK   437076102   17208     406797   SHARES
HOME DEPOT INCORPORATED                                      COMMON STOCK   437076102    7773     183760   SHARES
HOME DEPOT INCORPORATED                                      COMMON STOCK   437076102      13        300   SHARES
HOME DEPOT INCORPORATED                                      COMMON STOCK   437076102    3734      88275   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
HARLEY DAVIDSON INC                                                  X                 1      20476   0        0
HARLEY DAVIDSON INC                                                  X                 3       2100   0        0
HARLEYSVILLE NATL CORP COM                                           X                 1       1254   0        0
HARMAN INTERNATIONAL INDUSTRIES                                      X                 1       2575   0        0
HARMAN INTERNATIONAL INDUSTRIES                                      X                 3       8950   0        0
HARRAHS ENTERTAINMENT INC                                            X                 1         25   0        0
HARRAHS ENTERTAINMENT INC                                            X                 3       1400   0        0
HARRIS & HARRIS GROUP INC                                                     X        1        400   0        0
HARRIS CORP                                                                   X        1       1415   0        0
HARRIS CORP                                                          X                 1      81411   0     2162
HARRIS CORP                                                          X                 3     170981   0     6090
HARSCO CORP                                                                   X        1      67208   0        0
HARSCO CORP                                                          X                 1     144933   0    33357
HARSCO CORP                                                          X                 3      18925   0     1390
HARTFORD FINANCIAL SVCS GRP INC COM                                  X                 4        100   0        0
HARTFORD FINANCIAL SVCS GRP INC COM                                           X        1      13169   0     1955
HARTFORD FINANCIAL SVCS GRP INC COM                                  X                 1      23216   0     1435
HARTFORD FINL SVCS                                                   X                 3       2300   0        0
HASBRO INC                                                                    X        1        170   0        0
HASBRO INC                                                           X                 3       1300   0        0
HAWAIIAN ELEC IND INC                                                X                 1        140   0        0
HCA INC COM                                                          X                 3       3100   0        0
HCA INC COM                                                                   X        1        725   0      750
HCA INC COM                                                          X                 1        882   0     1200
HCC INS HLDGS INC COM                                                X                 3      44100   0        0
HCC INS HLDGS INC COM                                                X                 1      15780   0        0
HEALTH MANAGEMENT-CLASS A                                                     X        1      17938   0     2200
HEALTH MANAGEMENT-CLASS A                                            X                 1      45933   0     3450
HEALTH MANAGEMENT-CLASS A                                            X                 4        400   0        0
HEALTH MANAGEMENT-CLASS A                                            X                 3       1825   0        0
HEALTH NET INC COM                                                            X        1        600   0        0
HEALTHEXTRAS INCORPORATED                                            X                 1        400   0        0
HEALTHWAYS INC                                                       X                 1       1975   0        0
HEALTHWAYS INC                                                       X                 3       1400   0        0
HEINZ H J COMPANY                                                             X        1      22368   0     6550
HEINZ H J COMPANY                                                    X                 1      29516   0        0
HEINZ H J COMPANY                                                    X                 3       3650   0        0
HEINZ H J COMPANY                                             X                        2       9512   0        0
HERCULES INC                                                         X                 1       2125   0        0
HERCULES INC                                                                  X        1       5100   0        0
HERCULES INC                                                         X                 3        800   0        0
HERLEY INDUSTRIES INC                                                X                 1        180   0        0
HERMAN MILLER INC                                                    X                 1        650   0        0
HEWLETT PACKARD COMPANY                                                       X        1      68572   0     6632
HEWLETT PACKARD COMPANY                                              X                 1     129593   0        0
HEWLETT PACKARD COMPANY                                              X                 3      25830   0        0
HEWLETT PACKARD COMPANY                                              X                 4        237   0        0
HEWLETT PACKARD COMPANY                                       X                        2      15850   0        0
HILTON HOTELS CORP                                                   X                 1      11170   0        0
HILTON HOTELS CORP                                                   X                 3      24420   0        0
HOLOGIC INC COM                                                               X        1       1600   0      800
HOME DEPOT INCORPORATED                                                       X        1     136319   0     9285
HOME DEPOT INCORPORATED                                              X                 1     401812   0     4985
HOME DEPOT INCORPORATED                                              X                 3     179077   0     4683
HOME DEPOT INCORPORATED                                              X                 4        300   0        0
HOME DEPOT INCORPORATED                                       X                        2      88275   0        0


                                   20 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
HOME PROPERTIES OF NEW YORK INC                              COMMON STOCK   437306103    2013      39400   SHARES
HONEYWELL INTERNATIONAL INCORPORATED                         COMMON STOCK   438516106     698      16312   SHARES
HONEYWELL INTERNATIONAL INCORPORATED                         COMMON STOCK   438516106     267       6241   SHARES
HONEYWELL INTERNATIONAL INCORPORATED                         COMMON STOCK   438516106    1101      25739   SHARES
HONEYWELL INTERNATIONAL INCORPORATED                         COMMON STOCK   438516106    1929      45100   SHARES
HONEYWELL INTERNATIONAL INCORPORATED                         COMMON STOCK   438516106      13        300   SHARES
HOSPIRA INC                                                  COMMON STOCK   441060100     177       4480   SHARES
HOSPIRA INC                                                  COMMON STOCK   441060100     236       5978   SHARES
HOSPIRA INC                                                  COMMON STOCK   441060100      47       1179   SHARES
HOVNANIAN ENTERPRISES-A                                      COMMON STOCK   442487203      10        225   SHARES
HUB GROUP INC CLASS A                                        COMMON STOCK   443320106      46       1000   SHARES
HUB GROUP INC CLASS A                                        COMMON STOCK   443320106      64       1400   SHARES
HUDSON TECHNOLOGIES INC                                      COMMON STOCK   444144109       1        500   SHARES
HUMAN GENOME SCI                                             COMMON STOCK   444903108      62       5700   SHARES
HUMAN GENOME SCIENCES INC                                    COMMON STOCK   444903108      67       6200   SHARES
HUMAN GENOME SCIENCES INC                                    COMMON STOCK   444903108      84       7700   SHARES
HUMANA INC COM                                               COMMON STOCK   444859102      66       1250   SHARES
HUMANA INC COM                                               COMMON STOCK   444859102      11        200   SHARES
HUMMINGBIRD LTD                                              COMMON STOCK   44544R101      12        500   SHARES
HUNT JB TRANS SVCS                                           COMMON STOCK   445658107     465      21600   SHARES
HUNTINGTON BANCSHARES INC COM                                COMMON STOCK   446150104      42       1742   SHARES
HUNTINGTON BANCSHARES INC COM                                COMMON STOCK   446150104       4        161   SHARES
HUNTINGTON BANCSHARES INC COM                                COMMON STOCK   446150104      12        500   SHARES
HURRAY HOLDING                                               ADR            447773102      33       3800   SHARES
HUTTIG BLDG PRODS INC                                        COMMON STOCK   448451104      21       2277   SHARES
HYPERION SOLUTIONS CORP COM                                  COMMON STOCK   44914M104      12        375   SHARES
IAC/INTERACTIVE CORP                                         COMMON STOCK   44919P300      97       3300   SHARES
IDACORP INC                                                  COMMON STOCK   451107106      49       1492   SHARES
IDEX CORP COM                                                COMMON STOCK   45167R104      10        200   SHARES
ILLINOIS TOOL WKS INC COM                                    COMMON STOCK   452308109     561       5825   SHARES
ILLINOIS TOOL WKS INC COM                                    COMMON STOCK   452308109    1367      14189   SHARES
ILLINOIS TOOL WKS INC COM                                    COMMON STOCK   452308109     157       1625   SHARES
IMATION CORPORATION COM                                      COMMON STOCK   45245A107      25        581   SHARES
IMCLONE SYS INC COM                                          COMMON STOCK   45245W109       2         50   SHARES
IMPLANT SCIENCES CORP                                        COMMON STOCK   45320R108       9       2500   SHARES
IMS HEALTH INC COM                                           COMMON STOCK   449934108      51       1962   SHARES
IMS HEALTH INC COM                                           COMMON STOCK   449934108    1254      48645   SHARES
IMS HEALTH INC COM                                           COMMON STOCK   449934108    3278     127230   SHARES
INCYTE GENOMICS INC COM                                      COMMON STOCK   45337C102       2        400   SHARES
INDUS INTERNATIONAL INC                                      COMMON STOCK   45578L100      22       6100   SHARES
INDUS INTERNATIONAL INC                                      COMMON STOCK   45578L100      16       4500   SHARES
INERGY LP                                                    COMMON STOCK   456615103      27       1000   SHARES
INFINITY ENERGY RESOURCES                                    COMMON STOCK   45663L403      39       5000   SHARES
INFRASOURCE SERVICES INC                                     COMMON STOCK   45684P102      17       1000   SHARES
INGERSOLL-RAND CO                                            COMMON STOCK   G4776G101     109       2600   SHARES
INGRAM MICRO INC CL A                                        COMMON STOCK   457153104       4        200   SHARES
INTEGRA LIFESCIENCES HOLDING                                 COMMON STOCK   457985208       8        200   SHARES
INTEL CORPORATION                                            COMMON STOCK   458140100    5749     295442   SHARES
INTEL CORPORATION                                            COMMON STOCK   458140100   15931     818668   SHARES
INTEL CORPORATION                                            COMMON STOCK   458140100    7746     398046   SHARES
INTEL CORPORATION                                            COMMON STOCK   458140100       8        400   SHARES
INTEL CORPORATION                                            COMMON STOCK   458140100    1547      79501   SHARES
INTERCONTINENTAL EXCHANGE INC                                COMMON STOCK   45865V100     124       1800   SHARES
INTERCONTINENTAL EXCHANGE INC                                COMMON STOCK   45865V100     338       4900   SHARES
INTERDIGITAL COMMUNICATIONS CORP                             COMMON STOCK   45866A105     255      10400   SHARES
INTERNATIONAL BUSINESS MACHINES CORP                         COMMON STOCK   459200101      16        200   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
HOME PROPERTIES OF NEW YORK INC                               X                        2      39400   0        0
HONEYWELL INTERNATIONAL INCORPORATED                          X                        2      16312   0        0
HONEYWELL INTERNATIONAL INCORPORATED                                 X                 3       6241   0        0
HONEYWELL INTERNATIONAL INCORPORATED                                 X                 1      25739   0        0
HONEYWELL INTERNATIONAL INCORPORATED                                          X        1      45100   0        0
HONEYWELL INTERNATIONAL INCORPORATED                                 X                 4        300   0        0
HOSPIRA INC                                                                   X        1       4110   0      370
HOSPIRA INC                                                          X                 1       5978   0        0
HOSPIRA INC                                                          X                 3       1179   0        0
HOVNANIAN ENTERPRISES-A                                              X                 1        225   0        0
HUB GROUP INC CLASS A                                                X                 3       1000   0        0
HUB GROUP INC CLASS A                                                X                 1       1400   0        0
HUDSON TECHNOLOGIES INC                                              X                 1        500   0        0
HUMAN GENOME SCI                                                     X                 3       5700   0        0
HUMAN GENOME SCIENCES INC                                                     X        1       6200   0        0
HUMAN GENOME SCIENCES INC                                            X                 1       7700   0        0
HUMANA INC COM                                                       X                 3       1250   0        0
HUMANA INC COM                                                       X                 1        200   0        0
HUMMINGBIRD LTD                                                               X        1          0   0      500
HUNT JB TRANS SVCS                                                   X                 3      21600   0        0
HUNTINGTON BANCSHARES INC COM                                        X                 3       1742   0        0
HUNTINGTON BANCSHARES INC COM                                                 X        1        161   0        0
HUNTINGTON BANCSHARES INC COM                                        X                 1        500   0        0
HURRAY HOLDING                                                       X                 3       3800   0        0
HUTTIG BLDG PRODS INC                                                         X        1       2277   0        0
HYPERION SOLUTIONS CORP COM                                          X                 1        375   0        0
IAC/INTERACTIVE CORP                                                          X        1       3300   0        0
IDACORP INC                                                                   X        1        250   0     1242
IDEX CORP COM                                                        X                 1        200   0        0
ILLINOIS TOOL WKS INC COM                                                     X        1       5825   0        0
ILLINOIS TOOL WKS INC COM                                            X                 1      14189   0        0
ILLINOIS TOOL WKS INC COM                                            X                 3       1625   0        0
IMATION CORPORATION COM                                              X                 1        581   0        0
IMCLONE SYS INC COM                                                  X                 1         50   0        0
IMPLANT SCIENCES CORP                                                X                 1       2500   0        0
IMS HEALTH INC COM                                                            X        1       1662   0      300
IMS HEALTH INC COM                                                   X                 1      47210   0     1435
IMS HEALTH INC COM                                                   X                 3     123937   0     3293
INCYTE GENOMICS INC COM                                              X                 1        400   0        0
INDUS INTERNATIONAL INC                                              X                 1       6100   0        0
INDUS INTERNATIONAL INC                                              X                 3       4500   0        0
INERGY LP                                                                     X        1       1000   0        0
INFINITY ENERGY RESOURCES                                                     X        1       5000   0        0
INFRASOURCE SERVICES INC                                             X                 1       1000   0        0
INGERSOLL-RAND CO                                                    X                 3       2600   0        0
INGRAM MICRO INC CL A                                                         X        1        200   0        0
INTEGRA LIFESCIENCES HOLDING                                         X                 1        200   0        0
INTEL CORPORATION                                                             X        1     258604   0    36838
INTEL CORPORATION                                                    X                 1     807269   0    11399
INTEL CORPORATION                                                    X                 3     385856   0    12190
INTEL CORPORATION                                                    X                 4        400   0        0
INTEL CORPORATION                                             X                        2      79501   0        0
INTERCONTINENTAL EXCHANGE INC                                        X                 1       1800   0        0
INTERCONTINENTAL EXCHANGE INC                                        X                 3       4900   0        0
INTERDIGITAL COMMUNICATIONS CORP                              X                        2      10400   0        0
INTERNATIONAL BUSINESS MACHINES CORP                                 X                 4        200   0        0


                                   21 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
INTERNATIONAL BUSINESS MACHINES CORP                         COMMON STOCK   459200101   13765     166911   SHARES
INTERNATIONAL BUSINESS MACHINES CORP                         COMMON STOCK   459200101   32468     393699   SHARES
INTERNATIONAL BUSINESS MACHINES CORP                         COMMON STOCK   459200101    2157      26159   SHARES
INTERNATIONAL BUSINESS MACHINES CORP                         COMMON STOCK   459200101   11871     144086   SHARES
INTERNATIONAL GAME TECH COM                                  COMMON STOCK   459902102       9        248   SHARES
INTERNATIONAL PAPER CO COM                                   COMMON STOCK   460146103     131       3790   SHARES
INTERNATIONAL PAPER CO COM                                   COMMON STOCK   460146103     430      12430   SHARES
INTERNATIONAL PAPER CO COM                                   COMMON STOCK   460146103    1022      29561   SHARES
INTERNATIONAL RECTIFIER CORP                                 COMMON STOCK   460254105     762      18395   SHARES
INTERNATIONAL RECTIFIER CORP                                 COMMON STOCK   460254105    6175     149039   SHARES
INTERNATIONAL RECTIFIER CORP                                 COMMON STOCK   460254105    5849     141193   SHARES
INTERNATIONAL RECTIFIER CORP                                 COMMON STOCK   460254105       3         75   SHARES
INTERNATIONAL SECURITIES EXCHANGE                            COMMON STOCK   46031W204     362       8700   SHARES
INTERNATIONAL SECURITIES EXCHANGE                            COMMON STOCK   46031W204     144       3450   SHARES
INTERNATIONAL SPEEDWAY CORP CL A                             COMMON STOCK   460335201      12        245   SHARES
INTERPUBLIC GROUP COS INC COM                                COMMON STOCK   460690100      35       3690   SHARES
INTL FLAVORS & FRAGRANCES INC COM                            COMMON STOCK   459506101      20        585   SHARES
INTL FLAVORS & FRAGRANCES INC COM                            COMMON STOCK   459506101      24        700   SHARES
INTL GAME TECH                                               COMMON STOCK   459902102      92       2600   SHARES
INTRALASE CORP                                               COMMON STOCK   461169104       1         50   SHARES
INTUIT INC COM                                               COMMON STOCK   461202103      76       1425   SHARES
INTUIT INC COM                                               COMMON STOCK   461202103       3         50   SHARES
INTUIT INC COM                                               COMMON STOCK   461202103      16        300   SHARES
INTUITIVE SURGIC INC                                         COMMON STOCK   46120E602     980       8300   SHARES
INTUITIVE SURGICAL INC                                       COMMON STOCK   46120E602     345       2925   SHARES
INVESTMENT TECHNOLOGY GROUP                                  COMMON STOCK   46145F105     389       7800   SHARES
INVESTMENT TECHNOLOGY GROUP                                  COMMON STOCK   46145F105     141       2825   SHARES
INVESTORS FINANCIAL SERVICES CORP                            COMMON STOCK   461915100    1690      36050   SHARES
INVITROGEN CORP COM                                          COMMON STOCK   46185R100       7        100   SHARES
INVITROGEN CORP COM                                          COMMON STOCK   46185R100      28        400   SHARES
IOWA TELECOMMUNICATIONS SERVICES                             COMMON STOCK   462594201      48       2500   SHARES
ISHARES LEHMAN 7-10 YRS TREAS                                COMMON STOCK   464287440       8         95   SHARES
ISHARES MSCI JAPAN INDEX FD                                  COMMON STOCK   464286848       1        100   SHARES
ISHARES MSCI JAPAN INDEX FD                                  COMMON STOCK   464286848     137       9500   SHARES
ISHARES S&P 500 BARRA VALUE INDEX FD                         COMMON STOCK   464287408     203       2950   SHARES
ISHARES TR                                                   S&P 500 GRW    464287309     499       8200   SHARES
ISHARES TRUST DOW JONES                                      COMMON STOCK   464287721    1340      25632   SHARES
ISIS PHARMACEUTICALS COM                                     COMMON STOCK   464330109       3        350   SHARES
ISTAR                                                        COMMON STOCK   45031U101    1125      29395   SHARES
ITT INDUSTRIES INC                                           COMMON STOCK   450911102      84       1490   SHARES
ITT INDUSTRIES INC                                           COMMON STOCK   450911102     191       3390   SHARES
ITT INDUSTRIES INC                                           COMMON STOCK   450911102     962      17115   SHARES
IXIA                                                         COMMON STOCK   45071R109      11        775   SHARES
J B HUNT TRANSPORT SERVICES INC                              COMMON STOCK   445658107     190       8830   SHARES
JABIL CIRCUIT INC                                            COMMON STOCK   466313103     394       9200   SHARES
JABIL CIRCUIT INC                                            COMMON STOCK   466313103    1410      32893   SHARES
JABIL CIRCUIT INC                                            COMMON STOCK   466313103    1187      27698   SHARES
JACOBS ENGINEERING GROUP INC COM                             COMMON STOCK   469814107      39        450   SHARES
JANUS CAPITAL GROUP                                          COMMON STOCK   47102X105      39       1700   SHARES
JDS UNIPHASE CORPORATION                                     COMMON STOCK   46612J101      52      12500   SHARES
JDS UNIPHASE CORPORATION                                     COMMON STOCK   46612J101       8       2036   SHARES
JDS UNIPHASE CORPORATION                                     COMMON STOCK   46612J101      91      21850   SHARES
JEFFERSON PILOT CORP COM                                     COMMON STOCK   475070108      56       1000   SHARES
JEFFERSON PILOT CORP COM                                     COMMON STOCK   475070108     181       3235   SHARES
JEFFERSON PILOT CORP COM                                     COMMON STOCK   475070108     292       5218   SHARES
JLG INDUSTRIES INC                                           COMMON STOCK   466210101      46       1500   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
INTERNATIONAL BUSINESS MACHINES CORP                                          X        1     155982   0    10929
INTERNATIONAL BUSINESS MACHINES CORP                                 X                 1     384344   0     9355
INTERNATIONAL BUSINESS MACHINES CORP                          X                        2      26159   0        0
INTERNATIONAL BUSINESS MACHINES CORP                                 X                 3     134016   0    10070
INTERNATIONAL GAME TECH COM                                          X                 1        248   0        0
INTERNATIONAL PAPER CO COM                                           X                 3       3790   0        0
INTERNATIONAL PAPER CO COM                                                    X        1       7144   0     5286
INTERNATIONAL PAPER CO COM                                           X                 1      28811   0      750
INTERNATIONAL RECTIFIER CORP                                                  X        1      16070   0     2325
INTERNATIONAL RECTIFIER CORP                                         X                 1     145111   0     3928
INTERNATIONAL RECTIFIER CORP                                         X                 3     136208   0     4985
INTERNATIONAL RECTIFIER CORP                                         X                 4         75   0        0
INTERNATIONAL SECURITIES EXCHANGE                                    X                 3       8700   0        0
INTERNATIONAL SECURITIES EXCHANGE                                    X                 1       3450   0        0
INTERNATIONAL SPEEDWAY CORP CL A                                     X                 1        245   0        0
INTERPUBLIC GROUP COS INC COM                                        X                 3       3690   0        0
INTL FLAVORS & FRAGRANCES INC COM                                    X                 3        585   0        0
INTL FLAVORS & FRAGRANCES INC COM                                    X                 1        700   0        0
INTL GAME TECH                                                       X                 3       2600   0        0
INTRALASE CORP                                                       X                 1         50   0        0
INTUIT INC COM                                                       X                 3       1425   0        0
INTUIT INC COM                                                       X                 1         50   0        0
INTUIT INC COM                                                                X        1        300   0        0
INTUITIVE SURGIC INC                                                 X                 3       8300   0        0
INTUITIVE SURGICAL INC                                               X                 1       2925   0        0
INVESTMENT TECHNOLOGY GROUP                                          X                 3       7800   0        0
INVESTMENT TECHNOLOGY GROUP                                          X                 1       2825   0        0
INVESTORS FINANCIAL SERVICES CORP                             X                        2      36050   0        0
INVITROGEN CORP COM                                                  X                 1        100   0        0
INVITROGEN CORP COM                                                           X        1          0   0      400
IOWA TELECOMMUNICATIONS SERVICES                                              X        1       2500   0        0
ISHARES LEHMAN 7-10 YRS TREAS                                                 X        1          0   0       95
ISHARES MSCI JAPAN INDEX FD                                                   X        1        100   0        0
ISHARES MSCI JAPAN INDEX FD                                          X                 1       9500   0        0
ISHARES S&P 500 BARRA VALUE INDEX FD                                 X                 1       2950   0        0
ISHARES TR                                                           X                 3       8200   0        0
ISHARES TRUST DOW JONES                                       X                        2      25632   0        0
ISIS PHARMACEUTICALS COM                                             X                 1        350   0        0
ISTAR                                                         X                        2      29395   0        0
ITT INDUSTRIES INC                                                   X                 3       1490   0        0
ITT INDUSTRIES INC                                                            X        1       2790   0      600
ITT INDUSTRIES INC                                                   X                 1      16355   0      760
IXIA                                                                 X                 1        775   0        0
J B HUNT TRANSPORT SERVICES INC                                      X                 1       8830   0        0
JABIL CIRCUIT INC                                                             X        1       8600   0      600
JABIL CIRCUIT INC                                                    X                 1      32893   0        0
JABIL CIRCUIT INC                                                    X                 3      27698   0        0
JACOBS ENGINEERING GROUP INC COM                                              X        1        450   0        0
JANUS CAPITAL GROUP                                                  X                 3       1700   0        0
JDS UNIPHASE CORPORATION                                             X                 3      12500   0        0
JDS UNIPHASE CORPORATION                                             X                 1       2036   0        0
JDS UNIPHASE CORPORATION                                      X                        2      21850   0        0
JEFFERSON PILOT CORP COM                                             X                 3       1000   0        0
JEFFERSON PILOT CORP COM                                                      X        1       3235   0        0
JEFFERSON PILOT CORP COM                                             X                 1       2370   0     2848
JLG INDUSTRIES INC                                                   X                 3       1500   0        0


                                   22 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
JLG INDUSTRIES INC                                           COMMON STOCK   466210101     185       6000   SHARES
JM SMUCKER CO                                                COMMON STOCK   832696405     112       2825   SHARES
JM SMUCKER CO                                                COMMON STOCK   832696405     261       6562   SHARES
JMAR TECHNOLOGIES INC                                        COMMON STOCK   466212107       1       1000   SHARES
JOHNSON & JOHNSON COM                                        COMMON STOCK   478160104    1484      25055   SHARES
JOHNSON & JOHNSON COM                                        COMMON STOCK   478160104   31272     528070   SHARES
JOHNSON & JOHNSON COM                                        COMMON STOCK   478160104   32125     542461   SHARES
JOHNSON & JOHNSON COM                                        COMMON STOCK   478160104   19576     330564   SHARES
JOHNSON & JOHNSON COM                                        COMMON STOCK   478160104      12        200   SHARES
JOHNSON CONTROLS INC COM                                     COMMON STOCK   478366107     114       1500   SHARES
JOHNSON CONTROLS INC COM                                     COMMON STOCK   478366107     251       3310   SHARES
JOHNSON CONTROLS INC COM                                     COMMON STOCK   478366107     620       8160   SHARES
JONES APPAREL GROUP INC COM                                  COMMON STOCK   480074103      30        850   SHARES
JONES APPAREL GROUP INC COM                                  COMMON STOCK   480074103      58       1628   SHARES
JOS A BANK CLOTHIERS INC                                     COMMON STOCK   480838101      60       1250   SHARES
JOY GLOBAL INCORPORATED                                      COMMON STOCK   481165108    1581      26450   SHARES
JOY GLOBAL INCORPORATED                                      COMMON STOCK   481165108       9        150   SHARES
JOY GLOBAL INCORPORATED                                      COMMON STOCK   481165108     568       9507   SHARES
JP MORGAN CHASE & COMPANY                                    COMMON STOCK   46625H100    3095      74326   SHARES
JP MORGAN CHASE & COMPANY                                    COMMON STOCK   46625H100    7719     185383   SHARES
JP MORGAN CHASE & COMPANY                                    COMMON STOCK   46625H100    9542     229164   SHARES
JP MORGAN CHASE & COMPANY                                    COMMON STOCK   46625H100    1405      33738   SHARES
KADANT INC COM                                               COMMON STOCK   48282T104       0          9   SHARES
KANSAS LIFE INS CO COM                                       COMMON STOCK   484836101      90       1750   SHARES
KB HOME                                                      COMMON STOCK   48666K109      35        540   SHARES
KB HOME COM                                                  COMMON STOCK   48666K109      39        600   SHARES
KELLOGG CO COM                                               COMMON STOCK   487836108      88       2000   SHARES
KELLOGG CO COM                                               COMMON STOCK   487836108     965      21922   SHARES
KELLOGG CO COM                                               COMMON STOCK   487836108    1117      25367   SHARES
KENNAMETAL INC                                               COMMON STOCK   489170100       6        100   SHARES
KENNAMETAL INC                                               COMMON STOCK   489170100      49        800   SHARES
KENNAMETAL INC                                               COMMON STOCK   489170100      37        600   SHARES
KERR MCGEE CORP                                              COMMON STOCK   492386107      48        500   SHARES
KERR MCGEE CORP                                              COMMON STOCK   492386107     144       1507   SHARES
KERR MCGEE CORP                                              COMMON STOCK   492386107      87        917   SHARES
KEYCORP NEW COM                                              COMMON STOCK   493267108     261       7100   SHARES
KEYCORP NEW COM                                              COMMON STOCK   493267108     545      14815   SHARES
KEYCORP NEW COM                                              COMMON STOCK   493267108     153       4145   SHARES
KEYCORP NEW COM                                              COMMON STOCK   493267108     320       8700   SHARES
KEYSPAN CORPORATION                                          COMMON STOCK   49337W100      92       2254   SHARES
KEYSPAN CORPORATION                                          COMMON STOCK   49337W100     171       4173   SHARES
KEYSPAN CORPORATION                                          COMMON STOCK   49337W100      53       1300   SHARES
KIMBERLY CLARK CORP                                          COMMON STOCK   494368103    3813      65967   SHARES
KIMBERLY CLARK CORP                                          COMMON STOCK   494368103    5662      97959   SHARES
KIMBERLY CLARK CORP                                          COMMON STOCK   494368103     198       3430   SHARES
KIMBERLY CLARK CORP                                          COMMON STOCK   494368103       6        100   SHARES
KIMCO REALTY CORP                                            COMMON STOCK   49446R109      16        400   SHARES
KINDER MORGAN ENERGY PARTNERS L P                            COMMON STOCK   494550106     843      17500   SHARES
KINDER MORGAN ENERGY PARTNERS LP                             COMMON STOCK   494550106      76       1575   SHARES
KINDER MORGAN ENERGY PARTNERS LP                             COMMON STOCK   494550106     168       3480   SHARES
KINDER MORGAN INCORPORATED                                   COMMON STOCK   49455P101     106       1150   SHARES
KINDER MORGAN INCORPORATED                                   COMMON STOCK   49455P101     145       1575   SHARES
KINDER MORGAN INCORPORATED                                   COMMON STOCK   49455P101      73        800   SHARES
KINDER MORGAN INCORPORATED                                   COMMON STOCK   49455P101    1927      20945   SHARES
KINDER MORGAN MGMT LLC                                       COMMON STOCK   49455U100     475      10800   SHARES
KINETIC CONCEPTS INC                                         COMMON STOCK   49460W208     188       4565   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
JLG INDUSTRIES INC                                                   X                 1       6000   0        0
JM SMUCKER CO                                                        X                 1       2825   0        0
JM SMUCKER CO                                                                 X        1       5956   0      606
JMAR TECHNOLOGIES INC                                                X                 1       1000   0        0
JOHNSON & JOHNSON COM                                         X                        2      25055   0        0
JOHNSON & JOHNSON COM                                                         X        1     513683   0    14387
JOHNSON & JOHNSON COM                                                X                 1     537981   0     4480
JOHNSON & JOHNSON COM                                                X                 3     329764   0      800
JOHNSON & JOHNSON COM                                                X                 4        200   0        0
JOHNSON CONTROLS INC COM                                             X                 3       1500   0        0
JOHNSON CONTROLS INC COM                                                      X        1       2510   0      800
JOHNSON CONTROLS INC COM                                             X                 1       8160   0        0
JONES APPAREL GROUP INC COM                                          X                 3        850   0        0
JONES APPAREL GROUP INC COM                                                   X        1       1628   0        0
JOS A BANK CLOTHIERS INC                                             X                 1       1250   0        0
JOY GLOBAL INCORPORATED                                              X                 3      26450   0        0
JOY GLOBAL INCORPORATED                                                       X        1        150   0        0
JOY GLOBAL INCORPORATED                                              X                 1       9507   0        0
JP MORGAN CHASE & COMPANY                                     X                        2      74326   0        0
JP MORGAN CHASE & COMPANY                                                     X        1     172017   0    13366
JP MORGAN CHASE & COMPANY                                            X                 1     224030   0     5134
JP MORGAN CHASE & COMPANY                                            X                 3      31445   0     2293
KADANT INC COM                                                       X                 1          9   0        0
KANSAS LIFE INS CO COM                                               X                 1       1750   0        0
KB HOME                                                              X                 3        540   0        0
KB HOME COM                                                          X                 1        600   0        0
KELLOGG CO COM                                                       X                 3       2000   0        0
KELLOGG CO COM                                                                X        1      20325   0     1597
KELLOGG CO COM                                                       X                 1      25367   0        0
KENNAMETAL INC                                                                X        1        100   0        0
KENNAMETAL INC                                                       X                 1        800   0        0
KENNAMETAL INC                                                       X                 3        600   0        0
KERR MCGEE CORP                                                               X        1        500   0        0
KERR MCGEE CORP                                                      X                 1        707   0      800
KERR MCGEE CORP                                                      X                 3        917   0        0
KEYCORP NEW COM                                                               X        1       7100   0        0
KEYCORP NEW COM                                                      X                 1      14815   0        0
KEYCORP NEW COM                                                      X                 3       3145   0     1000
KEYCORP NEW COM                                               X                        2       8700   0        0
KEYSPAN CORPORATION                                                  X                 1       2154   0      100
KEYSPAN CORPORATION                                                           X        1       4173   0        0
KEYSPAN CORPORATION                                                  X                 3       1300   0        0
KIMBERLY CLARK CORP                                                           X        1      59392   0     6575
KIMBERLY CLARK CORP                                                  X                 1      97709   0      250
KIMBERLY CLARK CORP                                                  X                 3       3430   0        0
KIMBERLY CLARK CORP                                                  X                 4        100   0        0
KIMCO REALTY CORP                                                    X                 3        400   0        0
KINDER MORGAN ENERGY PARTNERS L P                             X                        2      17500   0        0
KINDER MORGAN ENERGY PARTNERS LP                                              X        1       1575   0        0
KINDER MORGAN ENERGY PARTNERS LP                                     X                 1       3480   0        0
KINDER MORGAN INCORPORATED                                           X                 1       1150   0        0
KINDER MORGAN INCORPORATED                                                    X        1       1575   0        0
KINDER MORGAN INCORPORATED                                           X                 3        800   0        0
KINDER MORGAN INCORPORATED                                    X                        2      20945   0        0
KINDER MORGAN MGMT LLC                                        X                        2      10800   0        0
KINETIC CONCEPTS INC                                                          X        1       2205   0     2360


                                   23 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
KINETIC CONCEPTS INC                                         COMMON STOCK   49460W208    3229      78433   SHARES
KINETIC CONCEPTS INC                                         COMMON STOCK   49460W208    5551     134823   SHARES
KING PHARMACEUTICALS INC COM                                 COMMON STOCK   495582108      32       1833   SHARES
KING PHARMACEUTICALS INC COM                                 COMMON STOCK   495582108      21       1200   SHARES
KLA TENCOR CORP COM                                          COMMON STOCK   482480100      10        200   SHARES
KLA TENCOR CORP COM                                          COMMON STOCK   482480100      73       1500   SHARES
KNIGHT RIDDER INC                                            COMMON STOCK   499040103      25        400   SHARES
KNIGHT RIDDER INC                                            COMMON STOCK   499040103      32        500   SHARES
KOHLS CORP COM                                               COMMON STOCK   500255104     140       2650   SHARES
KOHLS CORP COM                                               COMMON STOCK   500255104     119       2238   SHARES
KOHLS CORP COM                                               COMMON STOCK   500255104     129       2440   SHARES
KOS PHARMACEUTICALS INC COM                                  COMMON STOCK   500648100      23        483   SHARES
KRAFT FOODS INC CL A                                         COMMON STOCK   50075N104     196       6463   SHARES
KRAFT FOODS INC CL A                                         COMMON STOCK   50075N104    1248      41159   SHARES
KRAFT FOODS INC CL A                                         COMMON STOCK   50075N104     999      32960   SHARES
KRAFT FOODS INC CL A                                         COMMON STOCK   50075N104       3        100   SHARES
KROGER CO                                                    COMMON STOCK   501044101      74       3650   SHARES
KROGER CO                                                    COMMON STOCK   501044101     412      20259   SHARES
KROGER CO                                                    COMMON STOCK   501044101     113       5565   SHARES
KROGER CO                                                    COMMON STOCK   501044101       8        400   SHARES
L-3 COMMUNICATIONS                                           COMMON STOCK   502424104      73        850   SHARES
LA Z BOY INCORPORATED                                        COMMON STOCK   505336107      51       3000   SHARES
LA Z BOY INCORPORATED                                        COMMON STOCK   505336107      37       2200   SHARES
LABOR READY INC                                              COMMON STOCK   505401208      72       3000   SHARES
LABOR READY INC                                              COMMON STOCK   505401208      53       2200   SHARES
LABORATORY CORPORATION OF AMER HLDGS                         COMMON STOCK   50540R409      58       1000   SHARES
LABORATORY CORPORATION OF AMER HLDGS                         COMMON STOCK   50540R409    2432      41590   SHARES
LABORATORY CORPORATION OF AMER HLDGS                         COMMON STOCK   50540R409       6         95   SHARES
LADISH CO INC                                                COMMON STOCK   505754200      67       2300   SHARES
LADISH CO INC                                                COMMON STOCK   505754200      49       1700   SHARES
LAM RESEARCH CORP                                            COMMON STOCK   512807108     542      12600   SHARES
LAM RESEARCH CORP                                            COMMON STOCK   512807108      21        485   SHARES
LAM RESEARCH CORP                                            COMMON STOCK   512807108     198       4609   SHARES
LAN AIRLINES SA                                              ADR            501723100      35        900   SHARES
LAS VEGAS SANDS CORP                                         COMMON STOCK   517834107       3         50   SHARES
LAUDER ESTEE CO CL A                                         COMMON STOCK   518439104     465      12511   SHARES
LAUDER ESTEE CO CL A                                         COMMON STOCK   518439104    5841     157049   SHARES
LAUDER ESTEE CO CL A                                         COMMON STOCK   518439104    8568     230366   SHARES
LAUREATE EDUCATION INC                                       COMMON STOCK   518613104     163       3065   SHARES
LAUREATE EDUCATION INC                                       COMMON STOCK   518613104    4492      84210   SHARES
LAUREATE EDUCATION INC                                       COMMON STOCK   518613104    8480     158976   SHARES
LAWSON SOFTWARE INC                                          COMMON STOCK   520780107      71       9200   SHARES
LAWSON SOFTWARE INC                                          COMMON STOCK   520780107      52       6800   SHARES
LEADING BRANDS INC                                           COMMON STOCK   52170U108       1        425   SHARES
LEAR CORP                                                    COMMON STOCK   521865105      42       2356   SHARES
LEAR CORP                                                    COMMON STOCK   521865105      87       4910   SHARES
LEAR CORP                                                    COMMON STOCK   521865105      20       1100   SHARES
LEESPORT FINANCIAL CORP                                      COMMON STOCK   524477106      75       2883   SHARES
LEGG MASON INC                                               COMMON STOCK   524901105     135       1075   SHARES
LEGG MASON INC                                               COMMON STOCK   524901105    1230       9812   SHARES
LEGG MASON INC                                               COMMON STOCK   524901105    2503      19975   SHARES
LEGGETT & PLATT INC                                          COMMON STOCK   524660107      34       1400   SHARES
LEHMAN BROTHERS HLDGS INC COM                                COMMON STOCK   524908100     971       6715   SHARES
LEHMAN BROTHERS HLDGS INC COM                                COMMON STOCK   524908100    7664      53030   SHARES
LEHMAN BROTHERS HLDGS INC COM                                COMMON STOCK   524908100    7970      55140   SHARES
LENNAR CORP CL A                                             COMMON STOCK   526057104      60       1000   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
KINETIC CONCEPTS INC                                                 X                 1      75598   0    2835
KINETIC CONCEPTS INC                                                 X                 3     129498   0    5325
KING PHARMACEUTICALS INC COM                                         X                 3       1833   0       0
KING PHARMACEUTICALS INC COM                                         X                 1       1200   0       0
KLA TENCOR CORP COM                                                  X                 1        200   0       0
KLA TENCOR CORP COM                                                  X                 3       1500   0       0
KNIGHT RIDDER INC                                                    X                 1        400   0       0
KNIGHT RIDDER INC                                                    X                 3        500   0       0
KOHLS CORP COM                                                       X                 3       2650   0       0
KOHLS CORP COM                                                       X                 1       2238   0       0
KOHLS CORP COM                                                                X        1       2440   0       0
KOS PHARMACEUTICALS INC COM                                          X                 1        483   0       0
KRAFT FOODS INC CL A                                                          X        1       5963   0     500
KRAFT FOODS INC CL A                                                 X                 1      38394   0    2765
KRAFT FOODS INC CL A                                                 X                 3      24660   0    8300
KRAFT FOODS INC CL A                                                 X                 4        100   0       0
KROGER CO                                                                     X        1       3150   0     500
KROGER CO                                                            X                 1      20259   0       0
KROGER CO                                                            X                 3       5565   0       0
KROGER CO                                                            X                 4        400   0       0
L-3 COMMUNICATIONS                                                   X                 3        850   0       0
LA Z BOY INCORPORATED                                                X                 1       3000   0       0
LA Z BOY INCORPORATED                                                X                 3       2200   0       0
LABOR READY INC                                                      X                 1       3000   0       0
LABOR READY INC                                                      X                 3       2200   0       0
LABORATORY CORPORATION OF AMER HLDGS                                 X                 3       1000   0       0
LABORATORY CORPORATION OF AMER HLDGS                          X                        2      41590   0       0
LABORATORY CORPORATION OF AMER HLDGS                                          X        1         95   0       0
LADISH CO INC                                                        X                 1       2300   0       0
LADISH CO INC                                                        X                 3       1700   0       0
LAM RESEARCH CORP                                                    X                 3      12600   0       0
LAM RESEARCH CORP                                                             X        1        485   0       0
LAM RESEARCH CORP                                                    X                 1       4609   0       0
LAN AIRLINES SA                                                      X                 3        900   0       0
LAS VEGAS SANDS CORP                                                 X                 1         50   0       0
LAUDER ESTEE CO CL A                                                          X        1       9461   0    3050
LAUDER ESTEE CO CL A                                                 X                 1     150641   0    6408
LAUDER ESTEE CO CL A                                                 X                 3     220666   0    9700
LAUREATE EDUCATION INC                                                        X        1       2060   0    1005
LAUREATE EDUCATION INC                                               X                 1      81315   0    2895
LAUREATE EDUCATION INC                                               X                 3     154909   0    4067
LAWSON SOFTWARE INC                                                  X                 1       9200   0       0
LAWSON SOFTWARE INC                                                  X                 3       6800   0       0
LEADING BRANDS INC                                                   X                 1        425   0       0
LEAR CORP                                                            X                 1       2356   0       0
LEAR CORP                                                                     X        1       3910   0    1000
LEAR CORP                                                            X                 3       1100   0       0
LEESPORT FINANCIAL CORP                                              X                 1       2883   0       0
LEGG MASON INC                                                                X        1       1075   0       0
LEGG MASON INC                                                       X                 1       9812   0       0
LEGG MASON INC                                                       X                 3      19975   0       0
LEGGETT & PLATT INC                                                  X                 3       1400   0       0
LEHMAN BROTHERS HLDGS INC COM                                                 X        1       6215   0     500
LEHMAN BROTHERS HLDGS INC COM                                        X                 1      52332   0     698
LEHMAN BROTHERS HLDGS INC COM                                        X                 3      53250   0    1890
LENNAR CORP CL A                                                     X                 3       1000   0       0


                                   24 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
LENNAR CORP CL A                                             COMMON STOCK   526057104       6        100   SHARES
LEVEL 3 COMMUNICATIONS INCORPORATED                          COMMON STOCK   52729N100      26       5000   SHARES
LEVEL 3 COMMUNICATIONS INCORPORATED                          COMMON STOCK   52729N100      72      35000   SHARES
LEXMARK INTL                                                 COMMON STOCK   529771107      43        950   SHARES
LIBERTY GLOBAL INC - CL A                                    COMMON STOCK   530555101      39       1897   SHARES
LIBERTY GLOBAL INC - CL A                                    COMMON STOCK   530555101      43       2100   SHARES
LIBERTY GLOBAL INC CL C                                      COMMON STOCK   530555309      37       1897   SHARES
LIBERTY GLOBAL INC CL C                                      COMMON STOCK   530555309      67       3400   SHARES
LIBERTY GLOBAL INC-CL B                                      COMMON STOCK   530555200      27       1300   SHARES
LIBERTY MEDIA CORP-B                                         COMMON STOCK   530718204     215      26000   SHARES
LIBERTY MEDIA CORP CL A                                      COMMON STOCK   530718105     471      57353   SHARES
LIBERTY MEDIA CORP CL A                                      COMMON STOCK   530718105     521      63500   SHARES
LIFECELL CORP                                                COMMON STOCK   531927101      25       1100   SHARES
LIFECELL CORP                                                COMMON STOCK   531927101      25       1100   SHARES
LIGHTBRIDGE INC COM                                          COMMON STOCK   532226107      62       5600   SHARES
LIGHTBRIDGE INC COM                                          COMMON STOCK   532226107      84       7600   SHARES
LILLY ELI & CO                                               COMMON STOCK   532457108    5823     105304   SHARES
LILLY ELI & CO                                               COMMON STOCK   532457108    5898     106660   SHARES
LILLY ELI & CO                                               COMMON STOCK   532457108    1753      31678   SHARES
LILLY ELI & CO                                               COMMON STOCK   532457108       6        100   SHARES
LIMITED BRANDS, INC COM                                      COMMON STOCK   532716107      66       2718   SHARES
LIMITED BRANDS, INC COM                                      COMMON STOCK   532716107       5        200   SHARES
LINCOLN NATIONAL CORPORATION                                 COMMON STOCK   534187109     700      12827   SHARES
LINCOLN NATIONAL CORPORATION                                 COMMON STOCK   534187109     687      12580   SHARES
LINCOLN NATIONAL CORPORATION                                 COMMON STOCK   534187109    3014      55216   SHARES
LINCOLN NATIONAL CORPORATION                                 COMMON STOCK   534187109    2390      43776   SHARES
LINCOLN NATIONAL CORPORATION                                 COMMON STOCK   534187109      11        200   SHARES
LINEAR TECHNOLOGY CORP COM                                   COMMON STOCK   535678106      82       2350   SHARES
LINEAR TECHNOLOGY CORP COM                                   COMMON STOCK   535678106      28        800   SHARES
LINEAR TECHNOLOGY CORP COM                                   COMMON STOCK   535678106     111       3170   SHARES
LIVE NATION INC                                              COMMON STOCK   538034109      16        793   SHARES
LIVE NATION INC                                              COMMON STOCK   538034109      24       1213   SHARES
LIVE NATION INC                                              COMMON STOCK   538034109       0         25   SHARES
LIZ CLAIBORNE INC                                            COMMON STOCK   539320101      17        420   SHARES
LIZ CLAIBORNE INC                                            COMMON STOCK   539320101      41       1000   SHARES
LIZ CLAIBORNE INC                                            COMMON STOCK   539320101      34        840   SHARES
LOCKHEED MARTIN CORPORATION COM                              COMMON STOCK   539830109       8        100   SHARES
LOCKHEED MARTIN CORPORATION COM                              COMMON STOCK   539830109    1876      24964   SHARES
LOCKHEED MARTIN CORPORATION COM                              COMMON STOCK   539830109   10285     136892   SHARES
LOCKHEED MARTIN CORPORATION COM                              COMMON STOCK   539830109    7528     100194   SHARES
LOEWS CORP COM                                               COMMON STOCK   540424108     101       1000   SHARES
LOEWS CORP COM                                               COMMON STOCK   540424108      20        200   SHARES
LOEWS CORP COM                                               COMMON STOCK   540424108     132       1300   SHARES
LORAL SPACE & COMMUNICATIONS                                 COMMON STOCK   G56462198       8      35730   SHARES
LOUISIANA PAC CORP                                           COMMON STOCK   546347105      24        870   SHARES
LOWES COS INC COM                                            COMMON STOCK   548661107     476       7385   SHARES
LOWES COS INC COM                                            COMMON STOCK   548661107    3946      61243   SHARES
LOWES COS INC COM                                            COMMON STOCK   548661107    1822      28276   SHARES
LSI LOGIC CORP COM                                           COMMON STOCK   502161102      34       2960   SHARES
LSI LOGIC CORP COM                                           COMMON STOCK   502161102      75       6500   SHARES
LUBRIZOL CORP                                                COMMON STOCK   549271104     193       4500   SHARES
LUBRIZOL CORP                                                COMMON STOCK   549271104     730      17032   SHARES
LUCENT TECHNOLOGIES INC COM                                  COMMON STOCK   549463107     100      32711   SHARES
LUCENT TECHNOLOGIES INC COM                                  COMMON STOCK   549463107     116      37875   SHARES
LUCENT TECHNOLOGIES INC COM                                  COMMON STOCK   549463107     158      51751   SHARES
LUCENT TECHNOLOGIES INC COM                                  COMMON STOCK   549463107       3        850   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
LENNAR CORP CL A                                                     X                 1        100   0       0
LEVEL 3 COMMUNICATIONS INCORPORATED                                  X                 1       5000   0       0
LEVEL 3 COMMUNICATIONS INCORPORATED                           X                        2      35000   0       0
LEXMARK INTL                                                         X                 3        950   0       0
LIBERTY GLOBAL INC - CL A                                            X                 1       1897   0       0
LIBERTY GLOBAL INC - CL A                                                     X        1       2100   0       0
LIBERTY GLOBAL INC CL C                                              X                 1       1897   0       0
LIBERTY GLOBAL INC CL C                                                       X        1       3400   0       0
LIBERTY GLOBAL INC-CL B                                                       X        1       1300   0       0
LIBERTY MEDIA CORP-B                                                          X        1      26000   0       0
LIBERTY MEDIA CORP CL A                                              X                 1      57353   0       0
LIBERTY MEDIA CORP CL A                                                       X        1      63500   0       0
LIFECELL CORP                                                        X                 1       1100   0       0
LIFECELL CORP                                                        X                 3       1100   0       0
LIGHTBRIDGE INC COM                                                  X                 3       5600   0       0
LIGHTBRIDGE INC COM                                                  X                 1       7600   0       0
LILLY ELI & CO                                                       X                 1     102838   0    2466
LILLY ELI & CO                                                                X        1     105315   0    1345
LILLY ELI & CO                                                       X                 3      21712   0    9966
LILLY ELI & CO                                                       X                 4        100   0       0
LIMITED BRANDS, INC COM                                              X                 3       2718   0       0
LIMITED BRANDS, INC COM                                                       X        1        200   0       0
LINCOLN NATIONAL CORPORATION                                  X                        2      12827   0       0
LINCOLN NATIONAL CORPORATION                                                  X        1      12580   0       0
LINCOLN NATIONAL CORPORATION                                         X                 1      53276   0    1940
LINCOLN NATIONAL CORPORATION                                         X                 3      42310   0    1466
LINCOLN NATIONAL CORPORATION                                         X                 4        200   0       0
LINEAR TECHNOLOGY CORP COM                                           X                 3       2350   0       0
LINEAR TECHNOLOGY CORP COM                                                    X        1          0   0     800
LINEAR TECHNOLOGY CORP COM                                           X                 1       3170   0       0
LIVE NATION INC                                                               X        1        706   0      87
LIVE NATION INC                                                      X                 1       1063   0     150
LIVE NATION INC                                                      X                 4         25   0       0
LIZ CLAIBORNE INC                                                    X                 1        420   0       0
LIZ CLAIBORNE INC                                                             X        1       1000   0       0
LIZ CLAIBORNE INC                                                    X                 3        840   0       0
LOCKHEED MARTIN CORPORATION COM                                      X                 4        100   0       0
LOCKHEED MARTIN CORPORATION COM                                               X        1      22889   0    2075
LOCKHEED MARTIN CORPORATION COM                                      X                 1     134567   0    2325
LOCKHEED MARTIN CORPORATION COM                                      X                 3     100194   0       0
LOEWS CORP COM                                                       X                 3       1000   0       0
LOEWS CORP COM                                                                X        1          0   0     200
LOEWS CORP COM                                                       X                 1       1300   0       0
LORAL SPACE & COMMUNICATIONS                                  X                        2      35730   0       0
LOUISIANA PAC CORP                                                   X                 3        870   0       0
LOWES COS INC COM                                                             X        1       6785   0     600
LOWES COS INC COM                                                    X                 1      59323   0    1920
LOWES COS INC COM                                                    X                 3      24646   0    3630
LSI LOGIC CORP COM                                                   X                 3       2960   0       0
LSI LOGIC CORP COM                                                            X        1       6500   0       0
LUBRIZOL CORP                                                        X                 1       4500   0       0
LUBRIZOL CORP                                                                 X        1      17032   0       0
LUCENT TECHNOLOGIES INC COM                                          X                 3      32711   0       0
LUCENT TECHNOLOGIES INC COM                                                   X        1      37163   0     712
LUCENT TECHNOLOGIES INC COM                                          X                 1      51751   0       0
LUCENT TECHNOLOGIES INC COM                                          X                 4        850   0       0


                                   25 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
LUCENT TECHNOLOGIES INCORPORATED                             COMMON STOCK   549463107     136      44725   SHARES
LYONDELL CHEMICAL COMPANY COM                                COMMON STOCK   552078107      11        575   SHARES
M & T BANK CORP COM                                          COMMON STOCK   55261F104   18659     163477   SHARES
M & T BANK CORP COM                                          COMMON STOCK   55261F104   68162     597177   SHARES
M & T BANK CORP COM                                          COMMON STOCK   55261F104      89        780   SHARES
MAGELAN MIDSTREAM PARTNERS LP                                COMMON STOCK   559080106     319       9700   SHARES
MAGELLAN HEALTH SERVICES INC                                 COMMON STOCK   559079207      21        522   SHARES
MAGNA ENTERTAINMENT CORP CL A                                COMMON STOCK   559211107       1        200   SHARES
MAGUIRE PROPERTIES                                           COMMON STOCK   559775101     201       5500   SHARES
MANITOWOC CO INC COM                                         COMMON STOCK   563571108       5         50   SHARES
MANOR CARE INC COM                                           COMMON STOCK   564055101      26        590   SHARES
MANOR CARE INC COM                                           COMMON STOCK   564055101     211       4750   SHARES
MANPOWER INC WIS                                             COMMON STOCK   56418H100      86       1500   SHARES
MARATHON OIL CORP                                            COMMON STOCK   565849106     305       4002   SHARES
MARATHON OIL CORP                                            COMMON STOCK   565849106     990      13000   SHARES
MARATHON OIL CORP                                            COMMON STOCK   565849106     520       6824   SHARES
MARATHON OIL CORP                                            COMMON STOCK   565849106      30        400   SHARES
MARINER ENERGY INC                                           COMMON STOCK   56845T305       8        404   SHARES
MARINER ENERGY INC                                           COMMON STOCK   56845T305      23       1133   SHARES
MARKEL CORP COM                                              COMMON STOCK   570535104      34        100   SHARES
MARRIOTT INTL INC CL A                                       COMMON STOCK   571903202      91       1330   SHARES
MARRIOTT INTL INC CL A                                       COMMON STOCK   571903202     130       1900   SHARES
MARSH & MCLENNAN COS INC COM                                 COMMON STOCK   571748102     122       4139   SHARES
MARSH & MCLENNAN COS INC COM                                 COMMON STOCK   571748102     104       3535   SHARES
MARSH & MCLENNAN COS INC COM                                 COMMON STOCK   571748102     346      11778   SHARES
MARSHALL & ILSLEY CORP                                       COMMON STOCK   571834100     139       3200   SHARES
MARSHALL & ILSLEY CORP                                       COMMON STOCK   571834100     337       7725   SHARES
MARSHALL & ILSLEY CORP                                       COMMON STOCK   571834100     227       5200   SHARES
MARTEK BIOSCIENCES CORP                                      COMMON STOCK   572901106     742      22600   SHARES
MARTEK BIOSCIENCES CORP                                      COMMON STOCK   572901106     274       8350   SHARES
MARTHA STEWART LIVING-CL A                                   COMMON STOCK   573083102      16        950   SHARES
MASCO CORP                                                   COMMON STOCK   574599106     879      27059   SHARES
MASCO CORP                                                   COMMON STOCK   574599106    6059     186487   SHARES
MASCO CORP                                                   COMMON STOCK   574599106    6427     197786   SHARES
MASSEY ENERGY CO COM                                         COMMON STOCK   576206106      54       1500   SHARES
MASSEY ENERGY CO COM                                         COMMON STOCK   576206106     100       2773   SHARES
MATRIA HEALTHCARE INCORPORATED                               COMMON STOCK   576817209      53       1400   SHARES
MATRIA HEALTHCARE INCORPORATED                               COMMON STOCK   576817209      72       1900   SHARES
MATTEL INC                                                   COMMON STOCK   577081102      79       4350   SHARES
MATTEL INC                                                   COMMON STOCK   577081102     220      12116   SHARES
MATTEL INC                                                   COMMON STOCK   577081102      55       3040   SHARES
MATTHEWS INTL CORP CL A                                      COMMON STOCK   577128101      11        300   SHARES
MAXIM INTEGRATED PRODS INC COM                               COMMON STOCK   57772K101      93       2500   SHARES
MAXIM INTEGRATED PRODS INC COM                               COMMON STOCK   57772K101      76       2036   SHARES
MAYTAG CORPORATION                                           COMMON STOCK   578592107      15        720   SHARES
MAYTAG CORPORATION                                           COMMON STOCK   578592107      38       1780   SHARES
MBIA INC                                                     COMMON STOCK   55262C100      63       1050   SHARES
MC GRAW HILL COMPANIES INC                                   COMMON STOCK   580645109     651      11300   SHARES
MC GRAW HILL COMPANIES INC                                   COMMON STOCK   580645109    1762      30585   SHARES
MCAFEE INC                                                   COMMON STOCK   579064106       4        175   SHARES
MCCORMICK & CO INC                                           COMMON STOCK   579780107       9        271   SHARES
MCCORMICK & CO INC                                           COMMON STOCK   579780107       2         50   SHARES
MCCORMICK & CO-NON VTG SHS                                   COMMON STOCK   579780206     529      15620   SHARES
MCCORMICK & CO-NON VTG SHS                                   COMMON STOCK   579780206    5623     166054   SHARES
MCCORMICK & CO-NON VTG SHS                                   COMMON STOCK   579780206    5470     161556   SHARES
MCDATA CORP                                                  COMMON STOCK   580031201       2        368   SHARES




                                                                    COLUMN 6                       COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7   VOTING AUTHORITY
--------                                                     ---------------------- -------- --------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ ------
                                                                                      
LUCENT TECHNOLOGIES INCORPORATED                              X                        2      44725   0         0
LYONDELL CHEMICAL COMPANY COM                                        X                 1        575   0         0
M & T BANK CORP COM                                                           X        1      30629   0    132848
M & T BANK CORP COM                                                  X                 1     596927   0       250
M & T BANK CORP COM                                                  X                 3        780   0         0
MAGELAN MIDSTREAM PARTNERS LP                                 X                        2       9700   0         0
MAGELLAN HEALTH SERVICES INC                                         X                 1        522   0         0
MAGNA ENTERTAINMENT CORP CL A                                        X                 1        200   0         0
MAGUIRE PROPERTIES                                            X                        2       5500   0         0
MANITOWOC CO INC COM                                                 X                 1         50   0         0
MANOR CARE INC COM                                                   X                 3        590   0         0
MANOR CARE INC COM                                                            X        1       4750   0         0
MANPOWER INC WIS                                                     X                 1       1500   0         0
MARATHON OIL CORP                                                             X        1       3902   0       100
MARATHON OIL CORP                                                    X                 1      13000   0         0
MARATHON OIL CORP                                                    X                 3       2824   0      4000
MARATHON OIL CORP                                                    X                 4        400   0         0
MARINER ENERGY INC                                                   X                 1        404   0         0
MARINER ENERGY INC                                                            X        1       1133   0         0
MARKEL CORP COM                                                      X                 1        100   0         0
MARRIOTT INTL INC CL A                                               X                 3       1330   0         0
MARRIOTT INTL INC CL A                                               X                 1       1900   0         0
MARSH & MCLENNAN COS INC COM                                         X                 3       4139   0         0
MARSH & MCLENNAN COS INC COM                                         X                 1       3535   0         0
MARSH & MCLENNAN COS INC COM                                                  X        1      11778   0         0
MARSHALL & ILSLEY CORP                                                        X        1       3200   0         0
MARSHALL & ILSLEY CORP                                               X                 1       7725   0         0
MARSHALL & ILSLEY CORP                                               X                 3       1600   0      3600
MARTEK BIOSCIENCES CORP                                              X                 3      22600   0         0
MARTEK BIOSCIENCES CORP                                              X                 1       8350   0         0
MARTHA STEWART LIVING-CL A                                           X                 1        950   0         0
MASCO CORP                                                                    X        1      27059   0         0
MASCO CORP                                                           X                 1     181879   0      4608
MASCO CORP                                                           X                 3     189451   0      8335
MASSEY ENERGY CO COM                                                          X        1       1500   0         0
MASSEY ENERGY CO COM                                                 X                 1       2773   0         0
MATRIA HEALTHCARE INCORPORATED                                       X                 3       1400   0         0
MATRIA HEALTHCARE INCORPORATED                                       X                 1       1900   0         0
MATTEL INC                                                           X                 1       4350   0         0
MATTEL INC                                                                    X        1      11219   0       897
MATTEL INC                                                           X                 3       3040   0         0
MATTHEWS INTL CORP CL A                                              X                 1        300   0         0
MAXIM INTEGRATED PRODS INC COM                                       X                 3       2500   0         0
MAXIM INTEGRATED PRODS INC COM                                       X                 1       2036   0         0
MAYTAG CORPORATION                                                   X                 3        720   0         0
MAYTAG CORPORATION                                                   X                 1       1780   0         0
MBIA INC                                                             X                 3       1050   0         0
MC GRAW HILL COMPANIES INC                                           X                 1      11300   0         0
MC GRAW HILL COMPANIES INC                                                    X        1      24985   0      5600
MCAFEE INC                                                                    X        1        175   0         0
MCCORMICK & CO INC                                                   X                 1        271   0         0
MCCORMICK & CO INC                                                   X                 3         50   0         0
MCCORMICK & CO-NON VTG SHS                                                    X        1      12020   0      3600
MCCORMICK & CO-NON VTG SHS                                           X                 1     162936   0      3118
MCCORMICK & CO-NON VTG SHS                                           X                 3     157248   0      4308
MCDATA CORP                                                                   X        1        368   0         0


                                   26 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
MCDERMOTT INTL INC                                           COMMON STOCK   580037109      16        300   SHARES
MCDERMOTT INTL INC                                           COMMON STOCK   580037109     537       9860   SHARES
MCDERMOTT INTL INC                                           COMMON STOCK   580037109    1068      19600   SHARES
MCDONALDS CORP COM                                           COMMON STOCK   580135101     292       8510   SHARES
MCDONALDS CORP COM                                           COMMON STOCK   580135101    1334      38813   SHARES
MCDONALDS CORP COM                                           COMMON STOCK   580135101    1692      49243   SHARES
MCDONALDS CORP COM                                           COMMON STOCK   580135101      10        300   SHARES
MCGRAW HILL COS INC                                          COMMON STOCK   580645109     167       2900   SHARES
MCKESSON CORPORATION COM                                     COMMON STOCK   58155Q103     122       2331   SHARES
MCKESSON CORPORATION COM                                     COMMON STOCK   58155Q103       8        150   SHARES
MCMORAN EXPLORATION CO                                       COMMON STOCK   582411104       2        125   SHARES
MCMORAN EXPLORATION CO                                       COMMON STOCK   582411104       2        125   SHARES
MEADWESTVACO CORP                                            COMMON STOCK   583334107      45       1630   SHARES
MEADWESTVACO CORP                                            COMMON STOCK   583334107      37       1365   SHARES
MEDAREX INC                                                  COMMON STOCK   583916101      62       4700   SHARES
MEDAREX INC                                                  COMMON STOCK   583916101      52       3900   SHARES
MEDCO HEALTH SOLUTIONS INC                                   COMMON STOCK   58405U102     135       2368   SHARES
MEDCO HEALTH SOLUTIONS INC                                   COMMON STOCK   58405U102    1300      22713   SHARES
MEDCO HEALTH SOLUTIONS INC                                   COMMON STOCK   58405U102    1780      31105   SHARES
MEDCO HEALTH SOLUTIONS INC                                   COMMON STOCK   58405U102       1         24   SHARES
MEDIA SCIENCES INTL INC                                      COMMON STOCK   58446X107       2        500   SHARES
MEDICAL ACTION INDUSTRIES INC                                COMMON STOCK   58449L100      36       1500   SHARES
MEDICAL ACTION INDUSTRIES INC                                COMMON STOCK   58449L100      48       2000   SHARES
MEDIMMUNE INC                                                COMMON STOCK   584699102      68       1850   SHARES
MEDTRONIC INCORPORATED                                       COMMON STOCK   585055106    2865      56456   SHARES
MEDTRONIC INCORPORATED                                       COMMON STOCK   585055106   10331     203566   SHARES
MEDTRONIC INCORPORATED                                       COMMON STOCK   585055106    6779     133580   SHARES
MEDTRONIC INCORPORATED                                       COMMON STOCK   585055106    7113     140157   SHARES
MELLON FINANCIAL CORPORATION                                 COMMON STOCK   58551A108     145       4072   SHARES
MELLON FINANCIAL CORPORATION                                 COMMON STOCK   58551A108    2515      70655   SHARES
MELLON FINANCIAL CORPORATION                                 COMMON STOCK   58551A108     210       5900   SHARES
MELLON FINL CORP                                             COMMON STOCK   58551A108     112       3160   SHARES
MENTOR CORP MINN COM                                         COMMON STOCK   587188103      12        275   SHARES
MENTOR CORP MINN COM                                         COMMON STOCK   587188103    1743      38460   SHARES
MENTOR CORP MINN COM                                         COMMON STOCK   587188103    4904     108240   SHARES
MERCANTILE BANK CORPORATION                                  COMMON STOCK   587376104      11        288   SHARES
MERCANTILE BANKSHARES CORP                                   COMMON STOCK   587405101     904      23522   SHARES
MERCANTILE BANKSHARES CORP                                   COMMON STOCK   587405101    3743      97338   SHARES
MERCANTILE BANKSHARES CORP                                   COMMON STOCK   587405101     138       3600   SHARES
MERCK & CO INC COM                                           COMMON STOCK   589331107    6834     193975   SHARES
MERCK & CO INC COM                                           COMMON STOCK   589331107    8230     233612   SHARES
MERCK & CO INC COM                                           COMMON STOCK   589331107     594      16868   SHARES
MERCK & CO INC COM                                           COMMON STOCK   589331107       7        200   SHARES
MEREDITH CORP                                                COMMON STOCK   589433101      20        360   SHARES
MERIDIAN GOLD INCORPORATED                                   COMMON STOCK   589975101       7        250   SHARES
MERRILL LYNCH & CO INC                                       COMMON STOCK   590188108     517       6570   SHARES
MERRILL LYNCH & COMPANY INCORPORATED                         COMMON STOCK   590188108    1750      22215   SHARES
MERRILL LYNCH & COMPANY INCORPORATED                         COMMON STOCK   590188108    2610      33138   SHARES
MERRILL LYNCH & COMPANY INCORPORATED                         COMMON STOCK   590188108       8        100   SHARES
MERRILL LYNCH & COMPANY INCORPORATED                         COMMON STOCK   590188108     386       4895   SHARES
MESA LABORATORIES INC COM                                    COMMON STOCK   59064R109      42       3000   SHARES
MESABI TRUST                                                 COMMON STOCK   590672101      11        492   SHARES
METLIFE CAP TR I                                             COMMON STOCK   59156R108       9        193   SHARES
METLIFE CAP TR I                                             COMMON STOCK   59156R108      51       1049   SHARES
METLIFE INC                                                  COMMON STOCK   59156R108     262       5425   SHARES
METROLOGIC INSTRUMENTS INC                                   COMMON STOCK   591676101      60       2600   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
MCDERMOTT INTL INC                                                            X        1        300   0        0
MCDERMOTT INTL INC                                                   X                 1       9860   0        0
MCDERMOTT INTL INC                                                   X                 3      19600   0        0
MCDONALDS CORP COM                                                   X                 3       8510   0        0
MCDONALDS CORP COM                                                            X        1      32213   0     6600
MCDONALDS CORP COM                                                   X                 1      49243   0        0
MCDONALDS CORP COM                                                   X                 4        300   0        0
MCGRAW HILL COS INC                                                  X                 3       2900   0        0
MCKESSON CORPORATION COM                                             X                 3       2331   0        0
MCKESSON CORPORATION COM                                                      X        1        150   0        0
MCMORAN EXPLORATION CO                                               X                 1        125   0        0
MCMORAN EXPLORATION CO                                                        X        1        125   0        0
MEADWESTVACO CORP                                                    X                 1       1630   0        0
MEADWESTVACO CORP                                                    X                 3       1365   0        0
MEDAREX INC                                                          X                 1       4700   0        0
MEDAREX INC                                                          X                 3       3900   0        0
MEDCO HEALTH SOLUTIONS INC                                           X                 3       2368   0        0
MEDCO HEALTH SOLUTIONS INC                                           X                 1      22113   0      600
MEDCO HEALTH SOLUTIONS INC                                                    X        1      27688   0     3417
MEDCO HEALTH SOLUTIONS INC                                           X                 4         24   0        0
MEDIA SCIENCES INTL INC                                              X                 1        500   0        0
MEDICAL ACTION INDUSTRIES INC                                        X                 3       1500   0        0
MEDICAL ACTION INDUSTRIES INC                                        X                 1       2000   0        0
MEDIMMUNE INC                                                        X                 3       1850   0        0
MEDTRONIC INCORPORATED                                                        X        1      50615   0     5841
MEDTRONIC INCORPORATED                                               X                 1     198296   0     5270
MEDTRONIC INCORPORATED                                               X                 3     127337   0     6243
MEDTRONIC INCORPORATED                                        X                        2     140157   0        0
MELLON FINANCIAL CORPORATION                                                  X        1       4072   0        0
MELLON FINANCIAL CORPORATION                                         X                 1      70655   0        0
MELLON FINANCIAL CORPORATION                                  X                        2       5900   0        0
MELLON FINL CORP                                                     X                 3       3160   0        0
MENTOR CORP MINN COM                                                          X        1         75   0      200
MENTOR CORP MINN COM                                                 X                 1      37679   0      781
MENTOR CORP MINN COM                                                 X                 3     106450   0     1790
MERCANTILE BANK CORPORATION                                          X                 1        288   0        0
MERCANTILE BANKSHARES CORP                                           X                 1      23522   0        0
MERCANTILE BANKSHARES CORP                                                    X        1      90538   0     6800
MERCANTILE BANKSHARES CORP                                           X                 3          0   0     3600
MERCK & CO INC COM                                                   X                 1     192175   0     1800
MERCK & CO INC COM                                                            X        1     207761   0    25851
MERCK & CO INC COM                                                   X                 3      15168   0     1700
MERCK & CO INC COM                                                   X                 4        200   0        0
MEREDITH CORP                                                        X                 3        360   0        0
MERIDIAN GOLD INCORPORATED                                           X                 1        250   0        0
MERRILL LYNCH & CO INC                                               X                 3       6570   0        0
MERRILL LYNCH & COMPANY INCORPORATED                                          X        1      20595   0     1620
MERRILL LYNCH & COMPANY INCORPORATED                                 X                 1      32638   0      500
MERRILL LYNCH & COMPANY INCORPORATED                                 X                 4        100   0        0
MERRILL LYNCH & COMPANY INCORPORATED                          X                        2       4895   0        0
MESA LABORATORIES INC COM                                            X                 1       3000   0        0
MESABI TRUST                                                         X                 1        492   0        0
METLIFE CAP TR I                                                     X                 1        193   0        0
METLIFE CAP TR I                                                              X        1       1049   0        0
METLIFE INC                                                          X                 3       5425   0        0
METROLOGIC INSTRUMENTS INC                                           X                 3       2600   0        0


                                   27 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
METROLOGIC INSTRUMENTS INC                                   COMMON STOCK   591676101      81       3500   SHARES
METTLER TOLEDO INTERNATIONAL COM                             COMMON STOCK   592688105      66       1100   SHARES
METTLER TOLEDO INTERNATIONAL COM                             COMMON STOCK   592688105      48        800   SHARES
MGIC INVT CORP WIS                                           COMMON STOCK   552848103      53        800   SHARES
MGIC INVT CORP WIS                                           COMMON STOCK   552848103       5         75   SHARES
MGM MIRAGE                                                   COMMON STOCK   552953101       2         50   SHARES
MGP INGREDIENTS INCORPORATED                                 COMMON STOCK   55302G103      31       1900   SHARES
MGP INGREDIENTS INCORPORATED                                 COMMON STOCK   55302G103      42       2600   SHARES
MICHAELS STORES INC COM                                      COMMON STOCK   594087108    1733      46100   SHARES
MICHAELS STORES INC COM                                      COMMON STOCK   594087108     528      14055   SHARES
MICROCHIP TECHNOLOGY INC COM                                 COMMON STOCK   595017104    1085      29900   SHARES
MICROCHIP TECHNOLOGY INC COM                                 COMMON STOCK   595017104     327       9010   SHARES
MICRON TECHNOLOGY INC COM                                    COMMON STOCK   595112103      69       4700   SHARES
MICRON TECHNOLOGY INC COM                                    COMMON STOCK   595112103       6        400   SHARES
MICRON TECHNOLOGY INC COM                                    COMMON STOCK   595112103       6        400   SHARES
MICROSOFT CORPORATION                                        COMMON STOCK   594918104    8136     299009   SHARES
MICROSOFT CORPORATION                                        COMMON STOCK   594918104   25306     930036   SHARES
MICROSOFT CORPORATION                                        COMMON STOCK   594918104   18763     689552   SHARES
MICROSOFT CORPORATION                                        COMMON STOCK   594918104      30       1100   SHARES
MICROSOFT CORPORATION                                        COMMON STOCK   594918104    2043      75070   SHARES
MID PENN BANCORP INCORPORATED                                COMMON STOCK   59540G107      29       1102   SHARES
MIDCAP SPDR TRUST SERIES 1 S&P 400                           COMMON STOCK   595635103    2003      13838   SHARES
MIDCAP SPDR TRUST SERIES 1 S&P 400                           COMMON STOCK   595635103    2605      17994   SHARES
MILACRON INC                                                 COMMON STOCK   598709103       2       1017   SHARES
MILLENNIUM PHARMACEUTICALS COM                               COMMON STOCK   599902103      50       5000   SHARES
MILLIPORE CORP                                               COMMON STOCK   601073109      31        430   SHARES
MILLS CORPORATION                                            COMMON STOCK   601148109     238       8500   SHARES
MINDSPEED TECHNOLOGIES INC                                   COMMON STOCK   602682106       0         66   SHARES
MINE SAFETY APPLIANCES CO                                    COMMON STOCK   602720104      27        650   SHARES
MIRANT CORP                                                  COMMON STOCK   60467R100       1         30   SHARES
MIRANT CORP                                                  COMMON STOCK   60467R100       1         48   SHARES
MIRANT CORP                                                  WTS JAN 03 11  60467R118       4        362   SHARES
MKS INSTRUMENT INC                                           COMMON STOCK   55306N104     709      30300   SHARES
MKS INSTRUMENTS INC                                          COMMON STOCK   55306N104     214       9125   SHARES
ML MACADAMIA ORCHARDS                                        COMMON STOCK   55307U107       1        100   SHARES
MOHAWK INDUSTRIES INC COM                                    COMMON STOCK   608190104      57        700   SHARES
MOLEX INC                                                    COMMON STOCK   608554101     127       3812   SHARES
MOLEX INC                                                    COMMON STOCK   608554101      38       1150   SHARES
MOLSON COORS BREWING COMPANY                                 COMMON STOCK B 60871R209      33        485   SHARES
MOLSON COORS BREWING COMPANY                                 COMMON STOCK   60871R209      21        300   SHARES
MONEYGRAM INTERNATIONAL INC                                  COMMON STOCK   60935Y109     104       3400   SHARES
MONEYGRAM INTL INC                                           COMMON STOCK   60935Y109      77       2500   SHARES
MONSANTO CO                                                  COMMON STOCK   61166W101     161       1900   SHARES
MONSANTO COMPANY                                             COMMON STOCK   61166W101     123       1456   SHARES
MONSANTO COMPANY                                             COMMON STOCK   61166W101     612       7222   SHARES
MONSTER WORLDWIDE                                            COMMON STOCK   611742107      45        900   SHARES
MOODYS CORP                                                  COMMON STOCK   615369105     244       3410   SHARES
MOODYS CORP                                                  COMMON STOCK   615369105     625       8745   SHARES
MOODYS CORP                                                  COMMON STOCK   615369105     141       1970   SHARES
MORGAN STANLEY GROUP INC                                     COMMON STOCK   617446448    2229      35476   SHARES
MORGAN STANLEY GROUP INC                                     COMMON STOCK   617446448    8224     130910   SHARES
MORGAN STANLEY GROUP INC                                     COMMON STOCK   617446448    7525     119773   SHARES
MORGAN STANLEY GROUP INC                                     COMMON STOCK   617446448       6        100   SHARES
MOTOROLA INC                                                 COMMON STOCK   620076109    1839      80255   SHARES
MOTOROLA INC                                                 COMMON STOCK   620076109    3950     172413   SHARES
MOTOROLA INC                                                 COMMON STOCK   620076109    2054      89662   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
METROLOGIC INSTRUMENTS INC                                           X                 1       3500   0        0
METTLER TOLEDO INTERNATIONAL COM                                     X                 1       1100   0        0
METTLER TOLEDO INTERNATIONAL COM                                     X                 3        800   0        0
MGIC INVT CORP WIS                                                   X                 3        800   0        0
MGIC INVT CORP WIS                                                            X        1         75   0        0
MGM MIRAGE                                                           X                 1         50   0        0
MGP INGREDIENTS INCORPORATED                                         X                 3       1900   0        0
MGP INGREDIENTS INCORPORATED                                         X                 1       2600   0        0
MICHAELS STORES INC COM                                              X                 3      46100   0        0
MICHAELS STORES INC COM                                              X                 1      14055   0        0
MICROCHIP TECHNOLOGY INC COM                                         X                 3      29900   0        0
MICROCHIP TECHNOLOGY INC COM                                         X                 1       9010   0        0
MICRON TECHNOLOGY INC COM                                            X                 3       4700   0        0
MICRON TECHNOLOGY INC COM                                            X                 1        400   0        0
MICRON TECHNOLOGY INC COM                                                     X        1        400   0        0
MICROSOFT CORPORATION                                                         X        1     262320   0    36689
MICROSOFT CORPORATION                                                X                 1     911904   0    18132
MICROSOFT CORPORATION                                                X                 3     661623   0    27929
MICROSOFT CORPORATION                                                X                 4       1100   0        0
MICROSOFT CORPORATION                                         X                        2      75070   0        0
MID PENN BANCORP INCORPORATED                                        X                 1       1102   0        0
MIDCAP SPDR TRUST SERIES 1 S&P 400                                   X                 1      13838   0        0
MIDCAP SPDR TRUST SERIES 1 S&P 400                                            X        1      17994   0        0
MILACRON INC                                                         X                 1       1017   0        0
MILLENNIUM PHARMACEUTICALS COM                                                X        1       5000   0        0
MILLIPORE CORP                                                       X                 3        430   0        0
MILLS CORPORATION                                             X                        2       8500   0        0
MINDSPEED TECHNOLOGIES INC                                           X                 1         66   0        0
MINE SAFETY APPLIANCES CO                                            X                 1        650   0        0
MIRANT CORP                                                                   X        1         17   0       13
MIRANT CORP                                                          X                 1         48   0        0
MIRANT CORP                                                          X                 3        362   0        0
MKS INSTRUMENT INC                                                   X                 3      30300   0        0
MKS INSTRUMENTS INC                                                  X                 1       9125   0        0
ML MACADAMIA ORCHARDS                                                         X        1        100   0        0
MOHAWK INDUSTRIES INC COM                                            X                 1        700   0        0
MOLEX INC                                                            X                 1       3812   0        0
MOLEX INC                                                            X                 3       1150   0        0
MOLSON COORS BREWING COMPANY                                         X                 3        485   0        0
MOLSON COORS BREWING COMPANY                                                  X        1        300   0        0
MONEYGRAM INTERNATIONAL INC                                          X                 1       3400   0        0
MONEYGRAM INTL INC                                                   X                 3       2500   0        0
MONSANTO CO                                                          X                 3       1900   0        0
MONSANTO COMPANY                                                     X                 1       1456   0        0
MONSANTO COMPANY                                                              X        1       7222   0        0
MONSTER WORLDWIDE                                                    X                 3        900   0        0
MOODYS CORP                                                          X                 1       3410   0        0
MOODYS CORP                                                                   X        1       8745   0        0
MOODYS CORP                                                          X                 3       1970   0        0
MORGAN STANLEY GROUP INC                                                      X        1      34814   0      662
MORGAN STANLEY GROUP INC                                             X                 1     129070   0     1840
MORGAN STANLEY GROUP INC                                             X                 3     115564   0     4209
MORGAN STANLEY GROUP INC                                             X                 4        100   0        0
MOTOROLA INC                                                                  X        1      75630   0     4625
MOTOROLA INC                                                         X                 1     169663   0     2750
MOTOROLA INC                                                         X                 3      78262   0    11400


                                   28 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
MOTOROLA INC                                                 COMMON STOCK   620076109       3        150   SHARES
MPS GROUP INC                                                COMMON STOCK   553409103      78       5100   SHARES
MPS GROUP INC                                                COMMON STOCK   553409103      58       3800   SHARES
MTR GAMING GROUP INC                                         COMMON STOCK   553769100      74       7200   SHARES
MTR GAMING GROUP INC                                         COMMON STOCK   553769100      55       5300   SHARES
MUNICIPAL MTG & EQ LLC                                       COMMON STOCK   62624B101      29       1100   SHARES
MUNICIPAL MTG & EQ LLC                                       COMMON STOCK   62624B101      46       1750   SHARES
MURPHY OIL CORP                                              COMMON STOCK   626717102      54       1075   SHARES
MURPHY OIL CORP                                              COMMON STOCK   626717102      75       1500   SHARES
MURPHY OIL CORP                                              COMMON STOCK   626717102      65       1300   SHARES
MYLAN LABORATORIES INC                                       COMMON STOCK   628530107      31       1325   SHARES
MYLAN LABORATORIES INC                                       COMMON STOCK   628530107      35       1510   SHARES
MYLAN LABS INC                                               COMMON STOCK   628530107      40       1700   SHARES
MYRIAD GENETICS INC COM                                      COMMON STOCK   62855J104       4        150   SHARES
N J RES CORP                                                 COMMON STOCK   646025106      27        600   SHARES
NABORS INDS LTD                                              COMMON STOCK   G6359F103    5782      80768   SHARES
NAM TAI ELECTRS INC                                          COMMON STOCK   629865205      53       2300   SHARES
NANOGEN INC                                                  COMMON STOCK   630075109       2        600   SHARES
NASDAQ STOCK MARKET INC                                      COMMON STOCK   631103108      36        900   SHARES
NASDAQ STOCK MARKET INC                                      COMMON STOCK   631103108      48       1200   SHARES
NASDAQ-100 SHARES                                            COMMON STOCK   631100104     335       7987   SHARES
NASDAQ-100 SHARES                                            COMMON STOCK   631100104   14025     334480   SHARES
NATIONAL CITY CORP COM                                       COMMON STOCK   635405103     140       4000   SHARES
NATIONAL CITY CORP COM                                       COMMON STOCK   635405103      64       1820   SHARES
NATIONAL CITY CORP COM                                       COMMON STOCK   635405103     744      21309   SHARES
NATIONAL OILWELL VAR                                         COMMON STOCK   637071101      82       1275   SHARES
NATIONAL PENN BANCSHARES INC                                 COMMON STOCK   637138108     141       6637   SHARES
NATIONAL PENN BANCSHARES INC                                 COMMON STOCK   637138108     141       6637   SHARES
NATIONAL SEMICONDUCTOR CORP COM                              COMMON STOCK   637640103      74       2670   SHARES
NATIONAL SEMICONDUCTOR CORP COM                              COMMON STOCK   637640103      71       2550   SHARES
NATIONAL SEMICONDUCTOR CORP COM                              COMMON STOCK   637640103     106       3790   SHARES
NATIONAL-OILWELL VARCO INC                                   COMMON STOCK   637071101      15        230   SHARES
NATIONWIDE FINL SVCS INC                                     COMMON STOCK   638612101      10        238   SHARES
NATL FUEL GAS CO                                             COMMON STOCK   636180101      33       1000   SHARES
NAVIGATORS GROUP INC                                         COMMON STOCK   638904102     134       2700   SHARES
NAVISTAR INTERNATIONAL CORP                                  COMMON STOCK   63934E108       3        100   SHARES
NCR CORP COM                                                 COMMON STOCK   62886E108      54       1300   SHARES
NCR CORP COM                                                 COMMON STOCK   62886E108       6        139   SHARES
NCR CORP COM                                                 COMMON STOCK   62886E108      38        906   SHARES
NEENAH PAPER INC                                             COMMON STOCK   640079109      11        330   SHARES
NEENAH PAPER INC                                             COMMON STOCK   640079109      68       2065   SHARES
NEKTAR THERAPEUTICS                                          COMMON STOCK   640268108      37       1800   SHARES
NEKTAR THERAPEUTICS                                          COMMON STOCK   640268108      29       1400   SHARES
NETWORK APPLIANCE INCORPORATED                               COMMON STOCK   64120L104     106       2950   SHARES
NETWORK APPLIANCE INCORPORATED                               COMMON STOCK   64120L104     332       4000   SHARES
NEUROCRINE BIOSCIENCES INC                                   COMMON STOCK   64125C109      32        500   SHARES
NEVADA GOLD & CASINOS INC                                    COMMON STOCK   64126Q206       2        200   SHARES
NEW MILFORD BANCORP                                          COMMON STOCK   651633109     385      13000   SHARES
NEW PLAN EXCEL REALTY TRUST INC                              COMMON STOCK   648053106     506      19500   SHARES
NEW RIVER PHARMA                                             COMMON STOCK   648468205      53       1600   SHARES
NEW RIVER PHARMACEUTICALS INC                                COMMON STOCK   648468205      73       2200   SHARES
NEW YORK TIMES CO CL A                                       COMMON STOCK   650111107      27       1070   SHARES
NEW YORK TIMES CO CL A                                       COMMON STOCK   650111107      38       1520   SHARES
NEW YORK TIMES CO CL A                                       COMMON STOCK   650111107     253      10000   SHARES
NEWELL RUBBERMAID INC COM                                    COMMON STOCK   651229106     591      23465   SHARES
NEWELL RUBBERMAID INC COM                                    COMMON STOCK   651229106     751      29795   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
MOTOROLA INC                                                         X                 4        150   0       0
MPS GROUP INC                                                        X                 1       5100   0       0
MPS GROUP INC                                                        X                 3       3800   0       0
MTR GAMING GROUP INC                                                 X                 1       7200   0       0
MTR GAMING GROUP INC                                                 X                 3       5300   0       0
MUNICIPAL MTG & EQ LLC                                               X                 1       1100   0       0
MUNICIPAL MTG & EQ LLC                                                        X        1       1750   0       0
MURPHY OIL CORP                                                      X                 1       1075   0       0
MURPHY OIL CORP                                                               X        1       1500   0       0
MURPHY OIL CORP                                                      X                 3       1300   0       0
MYLAN LABORATORIES INC                                                        X        1          0   0    1325
MYLAN LABORATORIES INC                                               X                 1       1510   0       0
MYLAN LABS INC                                                       X                 3       1700   0       0
MYRIAD GENETICS INC COM                                              X                 1        150   0       0
N J RES CORP                                                         X                 1        600   0       0
NABORS INDS LTD                                                      X                 3      80768   0       0
NAM TAI ELECTRS INC                                                  X                 3       2300   0       0
NANOGEN INC                                                          X                 1        600   0       0
NASDAQ STOCK MARKET INC                                              X                 3        900   0       0
NASDAQ STOCK MARKET INC                                              X                 1       1200   0       0
NASDAQ-100 SHARES                                                    X                 1       7987   0       0
NASDAQ-100 SHARES                                                             X        1     334480   0       0
NATIONAL CITY CORP COM                                               X                 3       4000   0       0
NATIONAL CITY CORP COM                                                        X        1       1820   0       0
NATIONAL CITY CORP COM                                               X                 1      21309   0       0
NATIONAL OILWELL VAR                                                 X                 3       1275   0       0
NATIONAL PENN BANCSHARES INC                                         X                 1       6637   0       0
NATIONAL PENN BANCSHARES INC                                                  X        1       6637   0       0
NATIONAL SEMICONDUCTOR CORP COM                                      X                 3       2670   0       0
NATIONAL SEMICONDUCTOR CORP COM                                      X                 1       2550   0       0
NATIONAL SEMICONDUCTOR CORP COM                                               X        1       3790   0       0
NATIONAL-OILWELL VARCO INC                                           X                 1        230   0       0
NATIONWIDE FINL SVCS INC                                                      X        1        238   0       0
NATL FUEL GAS CO                                                              X        1       1000   0       0
NAVIGATORS GROUP INC                                                 X                 3       2700   0       0
NAVISTAR INTERNATIONAL CORP                                          X                 1        100   0       0
NCR CORP COM                                                         X                 3       1300   0       0
NCR CORP COM                                                         X                 1        139   0       0
NCR CORP COM                                                                  X        1        858   0      48
NEENAH PAPER INC                                                              X        1        311   0      19
NEENAH PAPER INC                                                     X                 1       2065   0       0
NEKTAR THERAPEUTICS                                                  X                 1       1800   0       0
NEKTAR THERAPEUTICS                                                  X                 3       1400   0       0
NETWORK APPLIANCE INCORPORATED                                       X                 3       2950   0       0
NETWORK APPLIANCE INCORPORATED                                X                        2       4000   0       0
NEUROCRINE BIOSCIENCES INC                                                    X        1          0   0     500
NEVADA GOLD & CASINOS INC                                            X                 1        200   0       0
NEW MILFORD BANCORP                                           X                               13000   0       0
NEW PLAN EXCEL REALTY TRUST INC                               X                        2      19500   0       0
NEW RIVER PHARMA                                                     X                 3       1600   0       0
NEW RIVER PHARMACEUTICALS INC                                        X                 1       2200   0       0
NEW YORK TIMES CO CL A                                               X                 3       1070   0       0
NEW YORK TIMES CO CL A                                               X                 1       1520   0       0
NEW YORK TIMES CO CL A                                                        X        1      10000   0       0
NEWELL RUBBERMAID INC COM                                                     X        1      22965   0     500
NEWELL RUBBERMAID INC COM                                            X                 1      29795   0       0


                                   29 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
NEWELL RUBBERMAID INC COM                                    COMMON STOCK   651229106      81       3200   SHARES
NEWELL RUBBERMAID INC COM                                    COMMON STOCK   651229106       3        100   SHARES
NEWMARKET CORPORATION                                        COMMON STOCK   651587107     373       7840   SHARES
NEWMONT MINING CORP                                          COMMON STOCK   651639106      53       1024   SHARES
NEWMONT MINING CORP                                          COMMON STOCK   651639106      67       1291   SHARES
NEWMONT MINING CORP                                          COMMON STOCK   651639106     175       3365   SHARES
NEWS CORP INC-A                                              COMMON STOCK   65248E104       7        420   SHARES
NEWS CORP INC-A                                              COMMON STOCK   65248E104      64       3869   SHARES
NEWS CORP LTD                                                COMMON STOCK   65248E104     299      18000   SHARES
NEXTEL COMMUNICATIONS INC CLASS A                            COMMON STOCK   65332V103    1626      57200   SHARES
NICOR INC                                                    COMMON STOCK   654086107      20        500   SHARES
NICOR INC                                                    COMMON STOCK   654086107      38        950   SHARES
NICOR INC                                                    COMMON STOCK   654086107      13        340   SHARES
NIKE INC CL B                                                COMMON STOCK   654106103      95       1120   SHARES
NIKE INC CL B                                                COMMON STOCK   654106103     493       5798   SHARES
NIKE INC CL B                                                COMMON STOCK   654106103     761       8938   SHARES
NISOURCE INC                                                 COMMON STOCK   65473P105      44       2171   SHARES
NISOURCE INC                                                 COMMON STOCK   65473P105     109       5368   SHARES
NISOURCE INC                                                 COMMON STOCK   65473P105      42       2092   SHARES
NOBLE CORPORATION                                            COMMON STOCK   G65422100      87       1075   SHARES
NOBLE CORPORATION                                            COMMON STOCK   655044105      66       1500   SHARES
NOBLE CORPORATION                                            COMMON STOCK   655044105      88       2000   SHARES
NORDSTROM INC COM                                            COMMON STOCK   655664100      69       1750   SHARES
NORDSTROM INC COM                                            COMMON STOCK   655664100       8        200   SHARES
NORFOLK SOUTHERN CORP                                        COMMON STOCK   655844108     769      14215   SHARES
NORFOLK SOUTHERN CORP                                        COMMON STOCK   655844108    1208      22348   SHARES
NORFOLK SOUTHERN CORP                                        COMMON STOCK   655844108     190       3525   SHARES
NORTH FORK BANCORP                                           COMMON STOCK   659424105     105       3650   SHARES
NORTH FORK BANCORPORATION COM                                COMMON STOCK   659424105      64       2230   SHARES
NORTH FORK BANCORPORATION COM                                COMMON STOCK   659424105      65       2248   SHARES
NORTHERN BORDER PARTNERS LP UNIT LTD                         COMMON STOCK   664785102      34        700   SHARES
NORTHERN BORDER PARTNERS LP UNIT LTD                         COMMON STOCK   664785102      72       1500   SHARES
NORTHERN BORDER PARTNERS LP UNIT LTD                         COMMON STOCK   664785102     240       5000   SHARES
NORTHERN TRUST CORP COM                                      COMMON STOCK   665859104      77       1470   SHARES
NORTHERN TRUST CORP COM                                      COMMON STOCK   665859104       8        150   SHARES
NORTHERN TRUST CORP COM                                      COMMON STOCK   665859104      17        325   SHARES
NORTHROP GRUMMAN CORP                                        COMMON STOCK   666807102     361       5289   SHARES
NORTHROP GRUMMAN CORP                                        COMMON STOCK   666807102     838      12277   SHARES
NORTHROP GRUMMAN CORP                                        COMMON STOCK   666807102     323       4731   SHARES
NORTHWEST NATURAL GAS COMPANY                                COMMON STOCK   667655104      35       1000   SHARES
NORTHWEST NATURAL GAS COMPANY                                COMMON STOCK   667655104      59       1650   SHARES
NORTHWESTERN CORP                                            COMMON STOCK   668074305       3        106   SHARES
NOVARTIS AG                                                  ADR            66987V109    6572     118538   SHARES
NOVELL INC                                                   COMMON STOCK   670006105     235      30650   SHARES
NOVELL INC                                                   COMMON STOCK   670006105     897     116765   SHARES
NOVELL INC                                                   COMMON STOCK   670006105      22       2925   SHARES
NOVELL INC                                                   COMMON STOCK   670006105       9       1200   SHARES
NOVELLUS SYS INC COM                                         COMMON STOCK   670008101      24       1000   SHARES
NOVELLUS SYS INC COM                                         COMMON STOCK   670008101      22        900   SHARES
NS GROUP INC                                                 COMMON STOCK   628916108      41        900   SHARES
NS GROUP, INC.                                               COMMON STOCK   628916108      55       1200   SHARES
NSTAR COM                                                    COMMON STOCK   67019E107      41       1440   SHARES
NUCOR CORP                                                   COMMON STOCK   670346105     113       1075   SHARES
NUCOR CORP                                                   COMMON STOCK   670346105     121       1150   SHARES
NUVEEN INVESTMENTS INC                                       COMMON STOCK   67090F106       6        115   SHARES
NVIDIA CORP                                                  COMMON STOCK   67066G104      76       1325   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
NEWELL RUBBERMAID INC COM                                            X                 3       2200   0    1000
NEWELL RUBBERMAID INC COM                                            X                 4        100   0       0
NEWMARKET CORPORATION                                                         X        1       7840   0       0
NEWMONT MINING CORP                                                           X        1        124   0     900
NEWMONT MINING CORP                                                  X                 1       1240   0      51
NEWMONT MINING CORP                                                  X                 3       3365   0       0
NEWS CORP INC-A                                                      X                 1        410   0      10
NEWS CORP INC-A                                                               X        1       3755   0     114
NEWS CORP LTD                                                        X                 3      18000   0       0
NEXTEL COMMUNICATIONS INC CLASS A                             X                        2      57200   0       0
NICOR INC                                                            X                 1        500   0       0
NICOR INC                                                                     X        1        950   0       0
NICOR INC                                                            X                 3        340   0       0
NIKE INC CL B                                                                 X        1       1120   0       0
NIKE INC CL B                                                        X                 1       5798   0       0
NIKE INC CL B                                                        X                 3       8938   0       0
NISOURCE INC                                                                  X        1       2171   0       0
NISOURCE INC                                                         X                 1       5368   0       0
NISOURCE INC                                                         X                 3       2092   0       0
NOBLE CORPORATION                                                    X                 3       1075   0       0
NOBLE CORPORATION                                                    X                 1       1500   0       0
NOBLE CORPORATION                                                             X        1       2000   0       0
NORDSTROM INC COM                                                    X                 3       1750   0       0
NORDSTROM INC COM                                                    X                 1        200   0       0
NORFOLK SOUTHERN CORP                                                X                 1      14215   0       0
NORFOLK SOUTHERN CORP                                                         X        1      19648   0    2700
NORFOLK SOUTHERN CORP                                                X                 3       3525   0       0
NORTH FORK BANCORP                                                   X                 3       3650   0       0
NORTH FORK BANCORPORATION COM                                                 X        1       2230   0       0
NORTH FORK BANCORPORATION COM                                        X                 1       2248   0       0
NORTHERN BORDER PARTNERS LP UNIT LTD                                 X                 1        700   0       0
NORTHERN BORDER PARTNERS LP UNIT LTD                                          X        1       1500   0       0
NORTHERN BORDER PARTNERS LP UNIT LTD                                 X                 3          0   0    5000
NORTHERN TRUST CORP COM                                              X                 3       1470   0       0
NORTHERN TRUST CORP COM                                              X                 1        150   0       0
NORTHERN TRUST CORP COM                                                       X        1        325   0       0
NORTHROP GRUMMAN CORP                                                         X        1       5289   0       0
NORTHROP GRUMMAN CORP                                                X                 1      12277   0       0
NORTHROP GRUMMAN CORP                                                X                 3       4120   0     611
NORTHWEST NATURAL GAS COMPANY                                                 X        1       1000   0       0
NORTHWEST NATURAL GAS COMPANY                                        X                 1       1650   0       0
NORTHWESTERN CORP                                                    X                 1        106   0       0
NOVARTIS AG                                                          X                 3     118538   0       0
NOVELL INC                                                                    X        1      30650   0       0
NOVELL INC                                                           X                 1     116515   0     250
NOVELL INC                                                           X                 3       2925   0       0
NOVELL INC                                                           X                 4       1200   0       0
NOVELLUS SYS INC COM                                                 X                 3       1000   0       0
NOVELLUS SYS INC COM                                                          X        1        900   0       0
NS GROUP INC                                                         X                 3        900   0       0
NS GROUP, INC.                                                       X                 1       1200   0       0
NSTAR COM                                                                     X        1       1440   0       0
NUCOR CORP                                                                    X        1       1075   0       0
NUCOR CORP                                                           X                 3       1150   0       0
NUVEEN INVESTMENTS INC                                               X                 1        115   0       0
NVIDIA CORP                                                          X                 3       1325   0       0


                                   30 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
NYER MEDICAL GROUP INCORPORATED                              COMMON STOCK   670711100       2        825   SHARES
OCCIDENTAL PETE CORP COM                                     COMMON STOCK   674599105     280       3025   SHARES
OCCIDENTAL PETE CORP COM                                     COMMON STOCK   674599105      11        122   SHARES
OCCIDENTAL PETE CORP COM                                     COMMON STOCK   674599105     288       3105   SHARES
OCEANEERING INTL INC COM                                     COMMON STOCK   675232102      23        400   SHARES
ODYSSEY HEALTHCARE INC                                       COMMON STOCK   67611V101      53       3100   SHARES
ODYSSEY HEALTHCARE INC                                       COMMON STOCK   67611V101      72       4200   SHARES
ODYSSEY RE HLDGS CORP COM                                    COMMON STOCK   67612W108      26       1200   SHARES
OFFICE DEPOT INC                                             COMMON STOCK   676220106      67       1800   SHARES
OFFICE DEPOT INC                                             COMMON STOCK   676220106      89       2400   SHARES
OFFICEMAX INC                                                COMMON STOCK   67622P101      20        673   SHARES
OFFICEMAX INC                                                COMMON STOCK   67622P101      20        675   SHARES
OGE ENERGY CORP COM                                          COMMON STOCK   670837103      41       1400   SHARES
OGE ENERGY CORP COM                                          COMMON STOCK   670837103      91       3136   SHARES
OHIO CAS CORP                                                COMMON STOCK   677240103       8        240   SHARES
OIL STATES INTL INC                                          COMMON STOCK   678026105      81       2200   SHARES
OIL STATES INTL INC                                          COMMON STOCK   678026105      77       2100   SHARES
OLD NATIONAL BANCORP COM                                     COMMON STOCK   680033107     136       6306   SHARES
OLD REPUBLIC INTL CORP COM                                   COMMON STOCK   680223104     106       4875   SHARES
OLIN CORP COM                                                COMMON STOCK   680665205      16        750   SHARES
OLIN CORP COM                                                COMMON STOCK   680665205      26       1200   SHARES
OMEGA FINANCIAL CORP                                         COMMON STOCK   682092101      79       2327   SHARES
OMEGA FINANCIAL CORP                                         COMMON STOCK   682092101     709      20938   SHARES
OMI CORP COM NEW                                             COMMON STOCK   Y6476W104      47       2600   SHARES
OMNICARE INC COM                                             COMMON STOCK   681904108      27        500   SHARES
OMNICOM GROUP INC COM                                        COMMON STOCK   681919106     114       1375   SHARES
OMNICOM GROUP INC COM                                        COMMON STOCK   681919106     164       1975   SHARES
OMNICOM GROUP INC COM                                        COMMON STOCK   681919106     211       2534   SHARES
ON TRACK INNOVATION                                          COMMON STOCK   M8791A109      69       5500   SHARES
ONEOK INC                                                    COMMON STOCK   682680103       6        200   SHARES
ONEOK INC                                                    COMMON STOCK   682680103      94       2920   SHARES
OPSWARE INC                                                  COMMON STOCK   68383A101      42       4900   SHARES
OPSWARE, INC.                                                COMMON STOCK   68383A101     120      14000   SHARES
ORACLE CORPORATION COM                                       COMMON STOCK   68389X105     399      29110   SHARES
ORACLE CORPORATION                                           COMMON STOCK   68389X105     705      51466   SHARES
ORACLE CORPORATION COM                                       COMMON STOCK   68389X105     349      25505   SHARES
ORACLE CORPORATION COM                                       COMMON STOCK   68389X105    1342      98009   SHARES
ORACLE CORPORATION COM                                       COMMON STOCK   68389X105      12        850   SHARES
OREGON STL MLS INC                                           COMMON STOCK   686079104      72       1400   SHARES
OREGON STL MLS INC                                           COMMON STOCK   686079104      46        900   SHARES
OSHKOSH TRUCK CORP                                           COMMON STOCK   688239201       9        150   SHARES
OTELCO INC                                                   COMMON STOCK   688823202      22       1355   SHARES
OTTER TAIL CORPORATION                                       COMMON STOCK   689648103       7        240   SHARES
OUTBACK STEAKHOUSE INC COM                                   COMMON STOCK   689899102     248       5640   SHARES
OUTBACK STEAKHOUSE INC COM                                   COMMON STOCK   689899102    4241      96378   SHARES
OUTBACK STEAKHOUSE INC COM                                   COMMON STOCK   689899102    7039     159965   SHARES
P G & E CORP                                                 COMMON STOCK   69331C108      43       1100   SHARES
P G & E CORP                                                 COMMON STOCK   69331C108      86       2200   SHARES
PACCAR INC                                                   COMMON STOCK   693718108       9        125   SHARES
PACCAR INC                                                   COMMON STOCK   693718108     267       3795   SHARES
PACER INTERNATIONAL INC                                      COMMON STOCK   69373H106      59       1800   SHARES
PACER INTERNATIONAL INC                                      COMMON STOCK   69373H106      42       1300   SHARES
PACTIV CORP COM                                              COMMON STOCK   695257105      29       1165   SHARES
PACTIV CORP COM                                              COMMON STOCK   695257105     190       7750   SHARES
PACTIV CORP COM                                              COMMON STOCK   695257105     830      33830   SHARES
PALL CORP                                                    COMMON STOCK   696429307      31        980   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
NYER MEDICAL GROUP INCORPORATED                                      X                 1        825   0       0
OCCIDENTAL PETE CORP COM                                             X                 3       3025   0       0
OCCIDENTAL PETE CORP COM                                                      X        1        122   0       0
OCCIDENTAL PETE CORP COM                                             X                 1       3105   0       0
OCEANEERING INTL INC COM                                             X                 1        400   0       0
ODYSSEY HEALTHCARE INC                                               X                 3       3100   0       0
ODYSSEY HEALTHCARE INC                                               X                 1       4200   0       0
ODYSSEY RE HLDGS CORP COM                                            X                 1       1200   0       0
OFFICE DEPOT INC                                                     X                 1       1800   0       0
OFFICE DEPOT INC                                                     X                 3       2400   0       0
OFFICEMAX INC                                                        X                 1        673   0       0
OFFICEMAX INC                                                        X                 3        675   0       0
OGE ENERGY CORP COM                                                  X                 1       1400   0       0
OGE ENERGY CORP COM                                                           X        1       3136   0       0
OHIO CAS CORP                                                        X                 1        240   0       0
OIL STATES INTL INC                                                  X                 1       2200   0       0
OIL STATES INTL INC                                                  X                 3       2100   0       0
OLD NATIONAL BANCORP COM                                             X                 1       6306   0       0
OLD REPUBLIC INTL CORP COM                                           X                 1       4875   0       0
OLIN CORP COM                                                        X                 1        750   0       0
OLIN CORP COM                                                                 X        1       1200   0       0
OMEGA FINANCIAL CORP                                                 X                 1       2327   0       0
OMEGA FINANCIAL CORP                                                          X        1      16604   0    4334
OMI CORP COM NEW                                                     X                 1       2600   0       0
OMNICARE INC COM                                                              X        1        500   0       0
OMNICOM GROUP INC COM                                                X                 3       1375   0       0
OMNICOM GROUP INC COM                                                         X        1       1975   0       0
OMNICOM GROUP INC COM                                                X                 1       2534   0       0
ON TRACK INNOVATION                                                  X                 3       5500   0       0
ONEOK INC                                                                     X        1        200   0       0
ONEOK INC                                                            X                 1       2920   0       0
OPSWARE INC                                                          X                 3       4900   0       0
OPSWARE, INC.                                                        X                 1      14000   0       0
ORACLE CORPORATION COM                                               X                 3      29110   0       0
ORACLE CORPORATION                                            X                        2      51466   0       0
ORACLE CORPORATION COM                                                        X        1      25505   0       0
ORACLE CORPORATION COM                                               X                 1      97309   0     700
ORACLE CORPORATION COM                                               X                 4        850   0       0
OREGON STL MLS INC                                                   X                 1       1400   0       0
OREGON STL MLS INC                                                   X                 3        900   0       0
OSHKOSH TRUCK CORP                                                   X                 1        150   0       0
OTELCO INC                                                           X                 1       1355   0       0
OTTER TAIL CORPORATION                                                        X        1        240   0       0
OUTBACK STEAKHOUSE INC COM                                                    X        1       5290   0     350
OUTBACK STEAKHOUSE INC COM                                           X                 1      94001   0    2377
OUTBACK STEAKHOUSE INC COM                                           X                 3     153219   0    6746
P G & E CORP                                                         X                 1       1100   0       0
P G & E CORP                                                                  X        1        700   0    1500
PACCAR INC                                                           X                 1        125   0       0
PACCAR INC                                                           X                 3       1295   0    2500
PACER INTERNATIONAL INC                                              X                 1       1800   0       0
PACER INTERNATIONAL INC                                              X                 3       1300   0       0
PACTIV CORP COM                                                      X                 3       1165   0       0
PACTIV CORP COM                                                               X        1       1525   0    6225
PACTIV CORP COM                                                      X                 1      31130   0    2700
PALL CORP                                                            X                 3        980   0       0


                                   31 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
PALL CORP COM                                                COMMON STOCK   696429307      62       2000   SHARES
PALM INC                                                     COMMON STOCK   696643105       5        202   SHARES
PALM INC                                                     COMMON STOCK   696643105       9        406   SHARES
PARAMEDIC TECHNOLOGY CORP                                    COMMON STOCK   699173209      68       4189   SHARES
PARAMETRIC TECH CORP                                         COMMON STOCK   699173209      14        828   SHARES
PARKER HANNIFIN CORP                                         COMMON STOCK   701094104     209       2596   SHARES
PARKER HANNIFIN CORP                                         COMMON STOCK   701094104     351       4351   SHARES
PARKER HANNIFIN CORP                                         COMMON STOCK   701094104      80        990   SHARES
PARTNERS TRUST FINANCIAL GROUP                               COMMON STOCK   70213F102      14       1213   SHARES
PARTNERS TRUST FINANCIAL GROUP                               COMMON STOCK   70213F102      47       3973   SHARES
PATTERSON COMPANIES INC                                      COMMON STOCK   703395103       4        100   SHARES
PATTERSON COMPANIES INC                                      COMMON STOCK   703395103      18        500   SHARES
PATTERSON-UTI ENERGY INC                                     COMMON STOCK   703481101       3        100   SHARES
PATTERSON-UTI ENERGY INC                                     COMMON STOCK   703481101      69       2145   SHARES
PAULA FINANCIAL                                              COMMON STOCK   703588103       1        400   SHARES
PAYCHEX INC COM                                              COMMON STOCK   704326107     105       2525   SHARES
PAYCHEX INC COM                                              COMMON STOCK   704326107      75       1800   SHARES
PAYCHEX INC COM                                              COMMON STOCK   704326107     473      11352   SHARES
PDL BIOPHARMA INC                                            COMMON STOCK   69329Y104      10        300   SHARES
PDL BIOPHARMA INC                                            COMMON STOCK   69329Y104     400      12206   SHARES
PDL BIOPHARMA INC                                            COMMON STOCK   69329Y104     784      23900   SHARES
PEABODY ENERGY CORP                                          COMMON STOCK   704549104     254       5035   SHARES
PEABODY ENERGY CORP                                          COMMON STOCK   704549104    3674      72881   SHARES
PEABODY ENERGY CORP                                          COMMON STOCK   704549104    6662     132189   SHARES
PEDIATRIX MEDICAL GROUP INC COM                              COMMON STOCK   705324101    1468      14300   SHARES
PEDIATRIX MEDICAL GROUP INC COM                              COMMON STOCK   705324101     582       5675   SHARES
PEETS COFFEE & TEA INC COM                                   COMMON STOCK   705560100      11        350   SHARES
PENN NATL GAMING INC                                         COMMON STOCK   707569109     117       2775   SHARES
PENN NATL GAMING INC                                         COMMON STOCK   707569109      63       1500   SHARES
PENN VA RESOURCE PARTNERS LP                                 COMMON STOCK   707884102      29        500   SHARES
PENNEY JC CO INC                                             COMMON STOCK   708160106      97       1600   SHARES
PENNEY JC CO INC                                             COMMON STOCK   708160106     194       3208   SHARES
PENNEY JC CO INC                                             COMMON STOCK   708160106     197       3264   SHARES
PENNICHUCK CORPORATION NEW                                   COMMON STOCK   708254206      22        889   SHARES
PENNSYLVANIA COMMERCE BANCORP INC                            COMMON STOCK   708677109     216       7166   SHARES
PENTAIR INC COM                                              COMMON STOCK   709631105      33        800   SHARES
PENTAIR INC COM                                              COMMON STOCK   709631105     318       7800   SHARES
PEOPLES ENERGY CORP                                          COMMON STOCK   711030106      14        400   SHARES
PEPCO HOLDINGS INC                                           COMMON STOCK   713291102     574      25202   SHARES
PEPCO HOLDINGS INC                                           COMMON STOCK   713291102     609      26732   SHARES
PEPCO HOLDINGS INC                                           COMMON STOCK   713291102      92       4027   SHARES
PEPSI BOTTLING GRP                                           COMMON STOCK   713409100      33       1100   SHARES
PEPSIAMERICAS INC COM                                        COMMON STOCK   71343P200      15        600   SHARES
PEPSICO INCORPORATED                                         COMMON STOCK   713448108   16642     287967   SHARES
PEPSICO INCORPORATED                                         COMMON STOCK   713448108   25282     437480   SHARES
PEPSICO INCORPORATED                                         COMMON STOCK   713448108    9011     155910   SHARES
PEPSICO INCORPORATED                                         COMMON STOCK   713448108       9        150   SHARES
PEPSICO INCORPORATED                                         COMMON STOCK   713448108     428       7405   SHARES
PERFORMANCE FOOD GROUP CO                                    COMMON STOCK   713755106      50       1600   SHARES
PERFORMANCE FOOD GROUP CO                                    COMMON STOCK   713755106      87       2780   SHARES
PERKINELMER INC COM                                          COMMON STOCK   714046109      24       1030   SHARES
PERKINELMER INC COM                                          COMMON STOCK   714046109      94       4000   SHARES
PETMED EXPRESS INC                                           COMMON STOCK   716382106      14        800   SHARES
PETSMART INC                                                 COMMON STOCK   716768106     632      22455   SHARES
PETSMART INC                                                 COMMON STOCK   716768106    5588     198575   SHARES
PETSMART INC                                                 COMMON STOCK   716768106    8722     309949   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
PALL CORP COM                                                                 X        1       2000   0        0
PALM INC                                                                      X        1        202   0        0
PALM INC                                                             X                 1        406   0        0
PARAMEDIC TECHNOLOGY CORP                                                     X        1       4189   0        0
PARAMETRIC TECH CORP                                                 X                 3        828   0        0
PARKER HANNIFIN CORP                                                          X        1       2596   0        0
PARKER HANNIFIN CORP                                                 X                 1       4351   0        0
PARKER HANNIFIN CORP                                                 X                 3        990   0        0
PARTNERS TRUST FINANCIAL GROUP                                                X        1          0   0     1213
PARTNERS TRUST FINANCIAL GROUP                                       X                 1       3973   0        0
PATTERSON COMPANIES INC                                              X                 3        100   0        0
PATTERSON COMPANIES INC                                                       X        1        500   0        0
PATTERSON-UTI ENERGY INC                                             X                 1        100   0        0
PATTERSON-UTI ENERGY INC                                                      X        1       2145   0        0
PAULA FINANCIAL                                                      X                 1        400   0        0
PAYCHEX INC COM                                                      X                 3       2525   0        0
PAYCHEX INC COM                                                               X        1       1800   0        0
PAYCHEX INC COM                                                      X                 1      11352   0        0
PDL BIOPHARMA INC                                                             X        1        300   0        0
PDL BIOPHARMA INC                                                    X                 1      12206   0        0
PDL BIOPHARMA INC                                                    X                 3      23900   0        0
PEABODY ENERGY CORP                                                           X        1       3615   0     1420
PEABODY ENERGY CORP                                                  X                 1      70459   0     2422
PEABODY ENERGY CORP                                                  X                 3     129429   0     2760
PEDIATRIX MEDICAL GROUP INC COM                                      X                 3      14300   0        0
PEDIATRIX MEDICAL GROUP INC COM                                      X                 1       5675   0        0
PEETS COFFEE & TEA INC COM                                           X                 1        350   0        0
PENN NATL GAMING INC                                                 X                 1       2775   0        0
PENN NATL GAMING INC                                                 X                 3       1500   0        0
PENN VA RESOURCE PARTNERS LP                                                  X        1        500   0        0
PENNEY JC CO INC                                                     X                 3       1600   0        0
PENNEY JC CO INC                                                              X        1       3208   0        0
PENNEY JC CO INC                                                     X                 1       3264   0        0
PENNICHUCK CORPORATION NEW                                           X                 1        889   0        0
PENNSYLVANIA COMMERCE BANCORP INC                                    X                 1       7166   0        0
PENTAIR INC COM                                                      X                 1        800   0        0
PENTAIR INC COM                                                               X        1       7800   0        0
PEOPLES ENERGY CORP                                                  X                 3        400   0        0
PEPCO HOLDINGS INC                                                   X                 1      22476   0     2726
PEPCO HOLDINGS INC                                                            X        1      22082   0     4650
PEPCO HOLDINGS INC                                                   X                 3       4027   0        0
PEPSI BOTTLING GRP                                                   X                 3       1100   0        0
PEPSIAMERICAS INC COM                                                         X        1        600   0        0
PEPSICO INCORPORATED                                                          X        1     262955   0    25012
PEPSICO INCORPORATED                                                 X                 1     431867   0     5613
PEPSICO INCORPORATED                                                 X                 3     151677   0     4233
PEPSICO INCORPORATED                                                 X                 4        150   0        0
PEPSICO INCORPORATED                                          X                        2       7405   0        0
PERFORMANCE FOOD GROUP CO                                                     X        1       1600   0        0
PERFORMANCE FOOD GROUP CO                                            X                 1       2780   0        0
PERKINELMER INC COM                                                  X                 3       1030   0        0
PERKINELMER INC COM                                                           X        1       4000   0        0
PETMED EXPRESS INC                                                   X                 1        800   0        0
PETSMART INC                                                                  X        1      17705   0     4750
PETSMART INC                                                         X                 1     191677   0     6898
PETSMART INC                                                         X                 3     298345   0    11604


                                   32 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
PFIZER INCORPORATED                                          COMMON STOCK   717081103   13897     557647   SHARES
PFIZER INCORPORATED                                          COMMON STOCK   717081103   23621     947874   SHARES
PFIZER INCORPORATED                                          COMMON STOCK   717081103   12895     517502   SHARES
PFIZER INCORPORATED                                          COMMON STOCK   717081103      12        500   SHARES
PFIZER INCORPORATED                                          COMMON STOCK   717081103    1732      69506   SHARES
PG&E CORP                                                    COMMON STOCK   69331C108      95       2430   SHARES
PHARMACEUTIAL PRODUCT DEVEL INC COM                          COMMON STOCK   717124101       5        150   SHARES
PHELPS DODGE CORP                                            COMMON STOCK   717265102       7         90   SHARES
PHELPS DODGE CORP                                            COMMON STOCK   717265102     134       1666   SHARES
PHELPS DODGE CORP                                            COMMON STOCK   717265102     114       1416   SHARES
PHH CORPORATION                                              COMMON STOCK   693320202       3        125   SHARES
PHH CORPORATION                                              COMMON STOCK   693320202       3        127   SHARES
PHOENIX COS INC COM                                          COMMON STOCK   71902E109      11        701   SHARES
PHOENIX COS INC COM                                          COMMON STOCK   71902E109      26       1588   SHARES
PICO HOLDINGS INC COM                                        COMMON STOCK   693366205     813      24704   SHARES
PIEDMONT NAT GAS INC                                         COMMON STOCK   720186105      16        678   SHARES
PINNACLE DATA SYSTEMS INC                                    COMMON STOCK   723454104       1        300   SHARES
PINNACLE WEST CAPITAL CORP                                   COMMON STOCK   723484101      35        900   SHARES
PINNACLE WEST CAPITAL CORP                                   COMMON STOCK   723484101      20        500   SHARES
PIONEER DRILLING CO                                          COMMON STOCK   723655106       2        150   SHARES
PIONEER NATURAL RESOURCES CO                                 COMMON STOCK   723787107     947      21400   SHARES
PIONEER NATURAL RESOURCES CO                                 COMMON STOCK   723787107     297       6714   SHARES
PIPER JAFFRAY COMPANIES INC                                  COMMON STOCK   724078100       3         56   SHARES
PIPER JAFFRAY COMPANIES INC                                  COMMON STOCK   724078100       3         56   SHARES
PIPER JAFFRAY COMPANIES INC                                  COMMON STOCK   724078100       0          4   SHARES
PITNEY BOWES INC COM                                         COMMON STOCK   724479100     200       4650   SHARES
PITNEY BOWES INC COM                                         COMMON STOCK   724479100     511      11900   SHARES
PITNEY BOWES INC COM                                         COMMON STOCK   724479100     207       4830   SHARES
PLACER SIERRA BANCSHARES                                     COMMON STOCK   726079106      17        600   SHARES
PLACER SIERRA BANCSHARES                                     COMMON STOCK   726079106      23        800   SHARES
PLAINS ALL AMERICAN PIPELINE L P                             COMMON STOCK   726503105     956      21250   SHARES
PLAINS EXPLORATION & PRODUCT COMPANY                         COMMON STOCK   726505100     116       3000   SHARES
PLUG POWER INC COM                                           COMMON STOCK   72919P103       1        100   SHARES
PLUM CREEK TIMBER CO                                         COMMON STOCK   729251108      57       1550   SHARES
PMC-SIERRA INC                                               COMMON STOCK   69344F106      16       1300   SHARES
PNC FINANCIAL SERVICES GROUP INC                             COMMON STOCK   693475105    3297      48976   SHARES
PNC FINANCIAL SERVICES GROUP INC                             COMMON STOCK   693475105   11353     168660   SHARES
PNC FINANCIAL SERVICES GROUP INC                             COMMON STOCK   693475105     179       2665   SHARES
PNM RESOURCES INC                                            COMMON STOCK   69349H107      29       1208   SHARES
POGO PRODUCING CO                                            COMMON STOCK   730448107       8        150   SHARES
POLARIS INDUSTRIES INC                                       COMMON STOCK   731068102      60       1100   SHARES
POLARIS INDUSTRIES INC                                       COMMON STOCK   731068102      76       1400   SHARES
POLO RALPH LAUREN CORPORATION                                COMMON STOCK   731572103       6        100   SHARES
POZEN INCORPORATED                                           COMMON STOCK   73941U102      10        600   SHARES
POZEN INCORPORATED                                           COMMON STOCK   73941U102      13        800   SHARES
PPG INDUSTRIES INC                                           COMMON STOCK   693506107     584       9220   SHARES
PPG INDUSTRIES INC                                           COMMON STOCK   693506107    2143      33823   SHARES
PPG INDUSTRIES INC                                           COMMON STOCK   693506107      82       1290   SHARES
PPL CORP COM                                                 COMMON STOCK   69351T106      86       2930   SHARES
PPL CORP COM                                                 COMMON STOCK   69351T106    1497      50928   SHARES
PPL CORP COM                                                 COMMON STOCK   69351T106    4829     164264   SHARES
PRAXAIR INC COM                                              COMMON STOCK   74005P104      18        334   SHARES
PRAXAIR INC COM                                              COMMON STOCK   74005P104     181       3279   SHARES
PRAXAIR INC COM                                              COMMON STOCK   74005P104     359       6510   SHARES
PRICE T ROWE GROUP INC COM                                   COMMON STOCK   74144T108     915      11695   SHARES
PRICE T ROWE GROUP INC COM                                   COMMON STOCK   74144T108    1529      19545   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
PFIZER INCORPORATED                                                           X        1     543478   0    14169
PFIZER INCORPORATED                                                  X                 1     933184   0    14690
PFIZER INCORPORATED                                                  X                 3     509522   0     7980
PFIZER INCORPORATED                                                  X                 4        500   0        0
PFIZER INCORPORATED                                           X                        2      69506   0        0
PG&E CORP                                                            X                 3       2430   0        0
PHARMACEUTIAL PRODUCT DEVEL INC COM                                  X                 1        150   0        0
PHELPS DODGE CORP                                                             X        1         90   0        0
PHELPS DODGE CORP                                                    X                 1       1666   0        0
PHELPS DODGE CORP                                                    X                 3       1416   0        0
PHH CORPORATION                                                      X                 1         75   0       50
PHH CORPORATION                                                               X        1        127   0        0
PHOENIX COS INC COM                                                  X                 1        701   0        0
PHOENIX COS INC COM                                                           X        1       1588   0        0
PICO HOLDINGS INC COM                                                X                 1          0   0    24704
PIEDMONT NAT GAS INC                                                          X        1        278   0      400
PINNACLE DATA SYSTEMS INC                                            X                 1        300   0        0
PINNACLE WEST CAPITAL CORP                                           X                 3        900   0        0
PINNACLE WEST CAPITAL CORP                                           X                 1        500   0        0
PIONEER DRILLING CO                                                  X                 1        150   0        0
PIONEER NATURAL RESOURCES CO                                         X                 3      21400   0        0
PIONEER NATURAL RESOURCES CO                                         X                 1       6714   0        0
PIPER JAFFRAY COMPANIES INC                                          X                 1         56   0        0
PIPER JAFFRAY COMPANIES INC                                                   X        1          6   0       50
PIPER JAFFRAY COMPANIES INC                                          X                 4          4   0        0
PITNEY BOWES INC COM                                                          X        1       4650   0        0
PITNEY BOWES INC COM                                                 X                 1      11900   0        0
PITNEY BOWES INC COM                                                 X                 3       4830   0        0
PLACER SIERRA BANCSHARES                                             X                 3        600   0        0
PLACER SIERRA BANCSHARES                                             X                 1        800   0        0
PLAINS ALL AMERICAN PIPELINE L P                              X                        2      21250   0        0
PLAINS EXPLORATION & PRODUCT COMPANY                                          X        1       3000   0        0
PLUG POWER INC COM                                                   X                 1        100   0        0
PLUM CREEK TIMBER CO                                                 X                 3       1550   0        0
PMC-SIERRA INC                                                       X                 3       1300   0        0
PNC FINANCIAL SERVICES GROUP INC                                              X        1      46006   0     2970
PNC FINANCIAL SERVICES GROUP INC                                     X                 1     166600   0     2060
PNC FINANCIAL SERVICES GROUP INC                                     X                 3       2265   0      400
PNM RESOURCES INC                                                    X                 1       1208   0        0
POGO PRODUCING CO                                                    X                 1        150   0        0
POLARIS INDUSTRIES INC                                               X                 3       1100   0        0
POLARIS INDUSTRIES INC                                               X                 1       1400   0        0
POLO RALPH LAUREN CORPORATION                                        X                 1        100   0        0
POZEN INCORPORATED                                                   X                 3        600   0        0
POZEN INCORPORATED                                                   X                 1        800   0        0
PPG INDUSTRIES INC                                                   X                 1       9220   0        0
PPG INDUSTRIES INC                                                            X        1      31098   0     2725
PPG INDUSTRIES INC                                                   X                 3       1290   0        0
PPL CORP COM                                                         X                 3       2930   0        0
PPL CORP COM                                                                  X        1      42316   0     8612
PPL CORP COM                                                         X                 1     162164   0     2100
PRAXAIR INC COM                                                      X                 1        334   0        0
PRAXAIR INC COM                                                               X        1       3279   0        0
PRAXAIR INC COM                                                      X                 3       2510   0     4000
PRICE T ROWE GROUP INC COM                                                    X        1      11575   0      120
PRICE T ROWE GROUP INC COM                                           X                 1      19545   0        0


                                   33 of 57





                                                                                                     SEC USE  ______________

COLUMN 1                                                         COLUMN 2      COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     ----------------- --------- ---------- ------------------------
                                                                                                     SHARES
                                                                                                       OR      SHARES   PUT
                                                                                           VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                                TITLE OF CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               ----------------- --------- ---------- --------- --------- ----
                                                                                                      
PRICE T ROWE GROUP INC COM                                   COMMON STOCK      74144T108      78       1000   SHARES
PRINCIPAL FINL GROUP INC                                     COMMON STOCK      74251V102      77       1575   SHARES
PRINCIPAL FINL GROUP INC                                     COMMON STOCK      74251V102     105       2150   SHARES
PROCTER & GAMBLE CORPORATION                                 COMMON STOCK      742718109   35263     611880   SHARES
PROCTER & GAMBLE CORPORATION                                 COMMON STOCK      742718109   36419     631949   SHARES
PROCTER & GAMBLE CORPORATION                                 COMMON STOCK      742718109   12853     223067   SHARES
PROCTER & GAMBLE CORPORATION                                 COMMON STOCK      742718109      17        295   SHARES
PROCTER & GAMBLE CORPORATION                                 COMMON STOCK      742718109    1795      31153   SHARES
PROGENICS PHARMACEUTICALS                                    COMMON STOCK      743187106      34       1300   SHARES
PROGENICS PHARMACEUTICALS                                    COMMON STOCK      743187106      45       1700   SHARES
PROGRESS ENERGY INC COM                                      COMMON STOCK      743263105     243       5536   SHARES
PROGRESS ENERGY INC COM                                      COMMON STOCK      743263105     322       7322   SHARES
PROGRESS ENERGY INC COM                                      COMMON STOCK      743263105     103       2327   SHARES
PROGRESSIVE CORP COM                                         COMMON STOCK      743315103     155       1485   SHARES
PROGRESSIVE CORP COM                                         COMMON STOCK      743315103     104       1000   SHARES
PROLOGIS                                                     COMMON STOCK      743410102     102       1900   SHARES
PROVIDENT BANKSHARES CORPORATION                             COMMON STOCK      743859100     396      10867   SHARES
PROVIDENT FINANCIAL SERVICES INC                             COMMON STOCK      74386T105      22       1200   SHARES
PROXYMED INC                                                 COMMON STOCK      744290305       4        500   SHARES
PRUDENTIAL FINANCIAL INC                                     COMMON STOCK      744320102      42        548   SHARES
PRUDENTIAL FINANCIAL INC                                     COMMON STOCK      744320102     228       3013   SHARES
PRUDENTIAL FINANCIAL INC                                     COMMON STOCK      744320102     280       3700   SHARES
PSYCHIATRIC SOLUTIONS INC                                    COMMON STOCK      74439H108    1385      41800   SHARES
PSYCHIATRIC SOLUTIONS INC                                    COMMON STOCK      74439H108      40       1200   SHARES
PSYCHIATRIC SOLUTIONS INC                                    COMMON STOCK      74439H108     517      15600   SHARES
PUBLIC STORAGE INC                                           COMMON STOCK REIT 74460D109      49        600   SHARES
PUBLIC SVC ENTERPRISE GROUP INC                              COMMON STOCK      744573106     116       1810   SHARES
PUBLIC SVC ENTERPRISE GROUP INC                              COMMON STOCK      744573106     208       3255   SHARES
PUBLIC SVC ENTERPRISE GROUP INC                              COMMON STOCK      744573106     250       3901   SHARES
PUGET ENERGY INC COM                                         COMMON STOCK      745310102      84       3961   SHARES
PUGET ENERGY INC COM                                         COMMON STOCK      745310102     101       4790   SHARES
PULTE HOMES INC                                              COMMON STOCK      745867101      61       1600   SHARES
PURE CYCLE CORP                                              COMMON STOCK      746228303      84       6000   SHARES
QC HOLDINGS INC                                              COMMON STOCK      74729T101       3        229   SHARES
QLOGIC CORP                                                  COMMON STOCK      747277101      27       1400   SHARES
QUALCOMM INC COM                                             COMMON STOCK      747525103     400       7910   SHARES
QUALCOMM INC COM                                             COMMON STOCK      747525103    5143     101618   SHARES
QUALCOMM INC COM                                             COMMON STOCK      747525103    7499     148164   SHARES
QUANTA CAPITAL HOLDINGS LTD                                  COMMON STOCK      G7313F106      72      24000   SHARES
QUEST DIAGNOSTICS INC                                        COMMON STOCK      74834L100     454       8845   SHARES
QUEST DIAGNOSTICS INC                                        COMMON STOCK      74834L100    3341      65135   SHARES
QUEST DIAGNOSTICS INC                                        COMMON STOCK      74834L100    7048     137397   SHARES
QUESTAR CORP COM                                             COMMON STOCK      748356102    1024      25954   SHARES
QUESTAR CORP COM                                             COMMON STOCK      748356102     126       1800   SHARES
QUESTAR CORP COM                                             COMMON STOCK      748356102     392       5590   SHARES
QWEST COMMUNICATIONS INTL INC                                COMMON STOCK      749121109      12       1814   SHARES
QWEST COMMUNICATIONS INTL INC                                COMMON STOCK      749121109      25       3636   SHARES
R H DONNELLEY CORP                                           COMMON STOCK      74955W307       6        111   SHARES
R H DONNELLEY CORP                                           COMMON STOCK      74955W307      12        200   SHARES
RADVISION LTD                                                COMMON STOCK      M81869105      50       2800   SHARES
RAYONIER INCORPORATED                                        COMMON STOCK      754907103     130       2850   SHARES
RAYONIER INCORPORATED                                        COMMON STOCK      754907103     401       8800   SHARES
RAYTHEON CO COM NEW                                          COMMON STOCK      755111507     160       3480   SHARES
RAYTHEON CO COM NEW                                          COMMON STOCK      755111507    1118      24395   SHARES
RAYTHEON CO COM NEW                                          COMMON STOCK      755111507    1121      24462   SHARES
RAYTHEON CO COM NEW                                          COMMON STOCK      755111507       9        200   SHARES




                                                                    COLUMN 6                       COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7   VOTING AUTHORITY
--------                                                     ---------------------- -------- --------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ ------
                                                                                      
PRICE T ROWE GROUP INC COM                                           X                 3       1000   0         0
PRINCIPAL FINL GROUP INC                                             X                 1       1575   0         0
PRINCIPAL FINL GROUP INC                                             X                 3       2150   0         0
PROCTER & GAMBLE CORPORATION                                         X                 1     605763   0      6117
PROCTER & GAMBLE CORPORATION                                                  X        1     516566   0    115383
PROCTER & GAMBLE CORPORATION                                         X                 3     203069   0     19998
PROCTER & GAMBLE CORPORATION                                         X                 4        295   0         0
PROCTER & GAMBLE CORPORATION                                  X                        2      31153   0         0
PROGENICS PHARMACEUTICALS                                            X                 3       1300   0         0
PROGENICS PHARMACEUTICALS                                            X                 1       1700   0         0
PROGRESS ENERGY INC COM                                                       X        1       5536   0         0
PROGRESS ENERGY INC COM                                              X                 1       6722   0       600
PROGRESS ENERGY INC COM                                              X                 3       1927   0       400
PROGRESSIVE CORP COM                                                 X                 3       1485   0         0
PROGRESSIVE CORP COM                                                 X                 1       1000   0         0
PROLOGIS                                                             X                 3       1900   0         0
PROVIDENT BANKSHARES CORPORATION                                     X                 1      10867   0         0
PROVIDENT FINANCIAL SERVICES INC                                     X                 1       1200   0         0
PROXYMED INC                                                                  X        1        500   0         0
PRUDENTIAL FINANCIAL INC                                                      X        1        548   0         0
PRUDENTIAL FINANCIAL INC                                             X                 1       3013   0         0
PRUDENTIAL FINANCIAL INC                                             X                 3       3700   0         0
PSYCHIATRIC SOLUTIONS INC                                            X                 3      41800   0         0
PSYCHIATRIC SOLUTIONS INC                                                     X        1       1200   0         0
PSYCHIATRIC SOLUTIONS INC                                            X                 1      15600   0         0
PUBLIC STORAGE INC                                                   X                 3        600   0         0
PUBLIC SVC ENTERPRISE GROUP INC                                      X                 3       1810   0         0
PUBLIC SVC ENTERPRISE GROUP INC                                      X                 1       3255   0         0
PUBLIC SVC ENTERPRISE GROUP INC                                               X        1       3901   0         0
PUGET ENERGY INC COM                                                          X        1       3961   0         0
PUGET ENERGY INC COM                                                 X                 1       4790   0         0
PULTE HOMES INC                                                      X                 3       1600   0         0
PURE CYCLE CORP                                                               X        1       6000   0         0
QC HOLDINGS INC                                                      X                 1        229   0         0
QLOGIC CORP                                                          X                 3       1400   0         0
QUALCOMM INC COM                                                              X        1       7510   0       400
QUALCOMM INC COM                                                     X                 1     100013   0      1605
QUALCOMM INC COM                                                     X                 3     143970   0      4194
QUANTA CAPITAL HOLDINGS LTD                                   X                        2      24000   0         0
QUEST DIAGNOSTICS INC                                                         X        1       8545   0       300
QUEST DIAGNOSTICS INC                                                X                 1      63275   0      1860
QUEST DIAGNOSTICS INC                                                X                 3     134285   0      3112
QUESTAR CORP COM                                                     X                 3      25954   0         0
QUESTAR CORP COM                                                              X        1       1800   0         0
QUESTAR CORP COM                                                     X                 1       5590   0         0
QWEST COMMUNICATIONS INTL INC                                                 X        1       1604   0       210
QWEST COMMUNICATIONS INTL INC                                        X                 1       3636   0         0
R H DONNELLEY CORP                                                   X                 1        111   0         0
R H DONNELLEY CORP                                                            X        1        200   0         0
RADVISION LTD                                                        X                 3       2800   0         0
RAYONIER INCORPORATED                                                         X        1       2850   0         0
RAYONIER INCORPORATED                                         X                        2       8800   0         0
RAYTHEON CO COM NEW                                                  X                 3       3480   0         0
RAYTHEON CO COM NEW                                                           X        1      19579   0      4816
RAYTHEON CO COM NEW                                                  X                 1      21838   0      2624
RAYTHEON CO COM NEW                                                  X                 4        200   0         0


                                   34 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
RED HAT INC COM                                              COMMON STOCK   756577102      14        500   SHARES
REGIONS FINANCIAL CORP                                       COMMON STOCK   7591EP100      29        836   SHARES
REGIONS FINANCIAL CORP                                       COMMON STOCK   7591EP100     200       5697   SHARES
REGIONS FINANCIAL CORP                                       COMMON STOCK   7591EP100     125       3545   SHARES
REMINGTON OIL & GAS CORP COM NEW                             COMMON STOCK   759594302      22        500   SHARES
RENAL CARE GROUP INC COM                                     COMMON STOCK   759930100      38        800   SHARES
REPUBLIC SVCS INC COM                                        COMMON STOCK   760759100       6        135   SHARES
RESPIRONICS INC COM                                          COMMON STOCK   761230101      16        400   SHARES
REYNOLDS AMERICAN INC                                        COMMON STOCK   761713106      47        450   SHARES
REYNOLDS AMERICAN INC                                        COMMON STOCK   761713106     101        958   SHARES
REYNOLDS AMERICAN INC                                        COMMON STOCK   761713106      74        700   SHARES
RF MICRO DEVICES INC COM                                     COMMON STOCK   749941100      87      10100   SHARES
RF MICRO DEVICES INC COM                                     COMMON STOCK   749941100      64       7400   SHARES
RITE AID CORP COM                                            COMMON STOCK   767754104      44      10940   SHARES
ROBERT HALF INTL INC COM                                     COMMON STOCK   770323103      50       1300   SHARES
ROBERT HALF INTL INC COM                                     COMMON STOCK   770323103      19        500   SHARES
ROBERT HALF INTL INC COM                                     COMMON STOCK   770323103      59       1540   SHARES
ROCKWELL AUTOMATION INC.                                     COMMON STOCK   773903109     787      10940   SHARES
ROCKWELL AUTOMATION INC.                                     COMMON STOCK   773903109    9565     133007   SHARES
ROCKWELL AUTOMATION INC.                                     COMMON STOCK   773903109   13903     193319   SHARES
ROCKWELL COLLINS COM                                         COMMON STOCK   774341101     183       3255   SHARES
ROCKWELL COLLINS COM                                         COMMON STOCK   774341101     275       4882   SHARES
ROCKWELL COLLINS INC                                         COMMON STOCK   774341101      78       1390   SHARES
ROHM & HAAS CO                                               COMMON STOCK   775371107      20        404   SHARES
ROHM & HAAS CO                                               COMMON STOCK   775371107     591      12096   SHARES
ROHM & HAAS CO                                               COMMON STOCK   775371107      56       1150   SHARES
ROSS STORES INC COM                                          COMMON STOCK   778296103     253       8659   SHARES
ROSS STORES INC COM                                          COMMON STOCK   778296103    3912     134028   SHARES
ROSS STORES INC COM                                          COMMON STOCK   778296103    7945     272196   SHARES
ROTONICS MANUFACTURING INC                                   COMMON STOCK   778903104       1        300   SHARES
ROWAN COS INC                                                COMMON STOCK   779382100      38        860   SHARES
ROWE COMPANIES                                               COMMON STOCK   779528108      50      34813   SHARES
ROYAL CARIBBEAN CRUS                                         COMMON STOCK   V7780T103     899      21400   SHARES
ROYAL GOLD INCORPORATED                                      COMMON STOCK   780287108      36       1000   SHARES
ROYCE VALUE TRUST (CE)                                       COMMON STOCK   780910105      42       2000   SHARES
RPM INCORPORATED OHIO                                        COMMON STOCK   749685103     328      18300   SHARES
RPM INCORPORATED OHIO                                        COMMON STOCK   749685103       9        500   SHARES
RPM INCORPORATED OHIO                                        COMMON STOCK   749685103      79       4380   SHARES
RSA SECURITY INC COM                                         COMMON STOCK   749719100      43       2400   SHARES
RSA SECURITY INC COM                                         COMMON STOCK   749719100      57       3200   SHARES
RUBY TUESDAY                                                 COMMON STOCK   781182100      26        800   SHARES
RYDER SYSTEMS INC                                            COMMON STOCK   783549108      21        470   SHARES
RYLAND GROUP INC                                             COMMON STOCK   783764103      10        150   SHARES
S & T BANCORP INC                                            COMMON STOCK   783859101      15        400   SHARES
SABRE HOLDINGS CORPORATION COM                               COMMON STOCK   785905100      22        956   SHARES
SABRE HOLDINGS CORPORATION COM                               COMMON STOCK   785905100      11        467   SHARES
SAFECO CORP                                                  COMMON STOCK   786429100      46        925   SHARES
SAFEWAY INC COM                                              COMMON STOCK   786514208      87       3455   SHARES
SAFEWAY INC COM                                              COMMON STOCK   786514208       5        200   SHARES
SAFEWAY INC COM                                              COMMON STOCK   786514208      55       2200   SHARES
SALISBURY BANCORP INC.                                       COMMON STOCK   795226109     208       5700   SHARES
SAN JUAN BASIN ROYALTY TR                                    COMMON STOCK   798241105       8        200   SHARES
SAN JUAN BASIN ROYALTY TR                                    COMMON STOCK   798241105      41       1000   SHARES
SANDISK CORP COM                                             COMMON STOCK   80004C101    1778      30900   SHARES
SANDISK CORP COM                                             COMMON STOCK   80004C101       6        100   SHARES
SANDISK CORP COM                                             COMMON STOCK   80004C101     646      11225   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
RED HAT INC COM                                                      X                 1        500   0       0
REGIONS FINANCIAL CORP                                               X                 1        836   0       0
REGIONS FINANCIAL CORP                                                        X        1       5697   0       0
REGIONS FINANCIAL CORP                                               X                 3       3545   0       0
REMINGTON OIL & GAS CORP COM NEW                                     X                 1        500   0       0
RENAL CARE GROUP INC COM                                                      X        1          0   0     800
REPUBLIC SVCS INC COM                                                         X        1        135   0       0
RESPIRONICS INC COM                                                  X                 1        400   0       0
REYNOLDS AMERICAN INC                                                         X        1        450   0       0
REYNOLDS AMERICAN INC                                                X                 1        958   0       0
REYNOLDS AMERICAN INC                                                X                 3        700   0       0
RF MICRO DEVICES INC COM                                             X                 1      10100   0       0
RF MICRO DEVICES INC COM                                             X                 3       7400   0       0
RITE AID CORP COM                                                    X                 1       8640   0    2300
ROBERT HALF INTL INC COM                                             X                 3       1300   0       0
ROBERT HALF INTL INC COM                                                      X        1        500   0       0
ROBERT HALF INTL INC COM                                             X                 1       1540   0       0
ROCKWELL AUTOMATION INC.                                                      X        1       7385   0    3555
ROCKWELL AUTOMATION INC.                                             X                 1     129642   0    3365
ROCKWELL AUTOMATION INC.                                             X                 3     187161   0    6158
ROCKWELL COLLINS COM                                                          X        1       2375   0     880
ROCKWELL COLLINS COM                                                 X                 1       4882   0       0
ROCKWELL COLLINS INC                                                 X                 3       1390   0       0
ROHM & HAAS CO                                                       X                 1        404   0       0
ROHM & HAAS CO                                                                X        1      12096   0       0
ROHM & HAAS CO                                                       X                 3       1150   0       0
ROSS STORES INC COM                                                           X        1       7134   0    1525
ROSS STORES INC COM                                                  X                 1     129982   0    4046
ROSS STORES INC COM                                                  X                 3     262525   0    9671
ROTONICS MANUFACTURING INC                                           X                 1        300   0       0
ROWAN COS INC                                                        X                 3        860   0       0
ROWE COMPANIES                                                X                        2      34813   0       0
ROYAL CARIBBEAN CRUS                                                 X                 3      21400   0       0
ROYAL GOLD INCORPORATED                                              X                 1       1000   0       0
ROYCE VALUE TRUST (CE)                                               X                 1       2000   0       0
RPM INCORPORATED OHIO                                         X                        2      18300   0       0
RPM INCORPORATED OHIO                                                X                 1        500   0       0
RPM INCORPORATED OHIO                                                         X        1       4380   0       0
RSA SECURITY INC COM                                                 X                 3       2400   0       0
RSA SECURITY INC COM                                                 X                 1       3200   0       0
RUBY TUESDAY                                                         X                 1        800   0       0
RYDER SYSTEMS INC                                                    X                 3        470   0       0
RYLAND GROUP INC                                                              X        1        150   0       0
S & T BANCORP INC                                                             X        1        400   0       0
SABRE HOLDINGS CORPORATION COM                                       X                 3        956   0       0
SABRE HOLDINGS CORPORATION COM                                                X        1        467   0       0
SAFECO CORP                                                          X                 3        925   0       0
SAFEWAY INC COM                                                      X                 3       3455   0       0
SAFEWAY INC COM                                                      X                 1        200   0       0
SAFEWAY INC COM                                                               X        1        700   0    1500
SALISBURY BANCORP INC.                                        X                                5700   0       0
SAN JUAN BASIN ROYALTY TR                                                     X        1        200   0       0
SAN JUAN BASIN ROYALTY TR                                            X                 1       1000   0       0
SANDISK CORP COM                                                     X                 3      30900   0       0
SANDISK CORP COM                                                              X        1        100   0       0
SANDISK CORP COM                                                     X                 1      11225   0       0


                                   35 of 57





                                                                                                     SEC USE  ______________

COLUMN 1                                                         COLUMN 2      COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     ----------------- --------- ---------- ------------------------
                                                                                                     SHARES
                                                                                                       OR      SHARES   PUT
                                                                                           VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                                TITLE OF CLASS    CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               ----------------- --------- ---------- --------- --------- ----
                                                                                                      
SANDY SPRING BANCORP INC                                     COMMON STOCK      800363103       8        200   SHARES
SANDY SPRING BANCORP INC                                     COMMON STOCK      800363103     163       4300   SHARES
SANMINA-SCI CORP                                             COMMON STOCK      800907107      16       4000   SHARES
SAP AKTIENGESELLSCHF                                         ADR               803054204     822      15130   SHARES
SARA LEE CORP                                                COMMON STOCK      803111103     549      30731   SHARES
SARA LEE CORP                                                COMMON STOCK      803111103    1207      67510   SHARES
SARA LEE CORP                                                COMMON STOCK      803111103      36       2000   SHARES
SBC COMMUNICATIONS INCORPORATED                              COMMON STOCK      78387G103    1879      79329   SHARES
SCANA CORP NEW COM                                           COMMON STOCK      80589M102     327       8322   SHARES
SCANA CORP NEW COM                                           COMMON STOCK      80589M102     339       8644   SHARES
SCANA CORP NEW COM                                           COMMON STOCK      80589M102     147       7020   SHARES
SCANSOURCE INCORPORATED                                      COMMON STOCK      806037107      54        900   SHARES
SCANSOURCE INCORPORATED                                      COMMON STOCK      806037107      72       1200   SHARES
SCHERING PLOUGH CORP                                         COMMON STOCK      806605101    1818      95750   SHARES
SCHERING PLOUGH CORP                                         COMMON STOCK      806605101    2767     145734   SHARES
SCHERING PLOUGH CORP                                         COMMON STOCK      806605101     223      11755   SHARES
SCHLUMBERGER LTD                                             COMMON STOCK      806857108    1158       9155   SHARES
SCHLUMBERGER LTD                                             COMMON STOCK      806857108      25        200   SHARES
SCHWAB CHARLES CORP NEW COM                                  COMMON STOCK      808513105     136       7900   SHARES
SCHWAB CHARLES CORP NEW COM                                  COMMON STOCK      808513105     336      19514   SHARES
SCRIPPS E W CO OHIO                                          COMMON STOCK      811054204      27        600   SHARES
SEAGATE TECHNOLOGY                                           COMMON STOCK      G7945J104    3965     150580   SHARES
SEALED AIR CORP NEW COM                                      COMMON STOCK      81211K100      39        682   SHARES
SEALED AIR CORP NEW COM                                      COMMON STOCK      81211K100      58       1000   SHARES
SEARS HOLDINGS CORP                                          COMMON STOCK      812350106      84        640   SHARES
SEARS HOLDINGS CORP                                          COMMON STOCK      812350106     495       3758   SHARES
SEARS HOLDINGS CORP                                          COMMON STOCK      812350106     763       5788   SHARES
SEI CORP COM                                                 COMMON STOCK      784117103      16        390   SHARES
SEI CORP COM                                                 COMMON STOCK      784117103      70       1735   SHARES
SELECTIVE INS GROUP INC                                      COMMON STOCK      816300107       5        100   SHARES
SEMPRA ENERGY COM                                            COMMON STOCK      816851109      92       1976   SHARES
SEMPRA ENERGY COM                                            COMMON STOCK      816851109      19        400   SHARES
SEMPRA ENERGY COM                                            COMMON STOCK      816851109      30        637   SHARES
SENOMYX INC                                                  COMMON STOCK      81724Q107       9        550   SHARES
SEPRACOR INC COM                                             COMMON STOCK      817315104    1908      39089   SHARES
SEPRACOR INC COM                                             COMMON STOCK      817315104     585      11980   SHARES
SERVICEMASTER CO COM                                         COMMON STOCK      81760N109     190      14500   SHARES
SEVERN BANCORP INC                                           COMMON STOCK      81811M100       9        440   SHARES
SEVERN BANCORP INC                                           COMMON STOCK      81811M100     545      27322   SHARES
SHAW GROUP INC COM                                           COMMON STOCK      820280105     131       4300   SHARES
SHAW GROUP INC COM                                           COMMON STOCK      820280105     185       6100   SHARES
SHERWIN WILLIAMS CO COM                                      COMMON STOCK      824348106      45        910   SHARES
SHERWIN WILLIAMS CO COM                                      COMMON STOCK      824348106     257       5200   SHARES
SHOE CARNIVAL INC                                            COMMON STOCK      824889109      80       3200   SHARES
SHOE CARNIVAL INC                                            COMMON STOCK      824889109      60       2400   SHARES
SHUFFLE MASTER INC                                           COMMON STOCK      825549108     445      12460   SHARES
SHUFFLE MASTER INC                                           COMMON STOCK      825549108    1455      40700   SHARES
SIERRA HEALTH SERVICES INC                                   COMMON STOCK      826322109      73       1800   SHARES
SIERRA HEALTH SERVICES INC                                   COMMON STOCK      826322109      53       1300   SHARES
SIGMA ALDRICH CORP                                           COMMON STOCK      826552101      36        550   SHARES
SIMON PROPERTY GROUP INCORPORATED                            COMMON STOCK REIT 828806109     118       1400   SHARES
SIMON PROPERTY GROUP INCORPORATED                            COMMON STOCK      828806109     572       6800   SHARES
SIRIUS SATELLITE RADIO INC COM                               COMMON STOCK      82966U103       8       1500   SHARES
SIRIUS SATELLITE RADIO INC COM                               COMMON STOCK      82966U103      65      12820   SHARES
SKY FINANCIAL GROUP INC                                      COMMON STOCK      83080P103      27       1000   SHARES
SKYWORKS SOLUTIONSINC                                        COMMON STOCK      83088M102       0         70   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
SANDY SPRING BANCORP INC                                             X                 1        200   0        0
SANDY SPRING BANCORP INC                                                      X        1       4300   0        0
SANMINA-SCI CORP                                                     X                 3       4000   0        0
SAP AKTIENGESELLSCHF                                                 X                 3      15130   0        0
SARA LEE CORP                                                        X                 1      29731   0     1000
SARA LEE CORP                                                                 X        1      57510   0    10000
SARA LEE CORP                                                        X                 3          0   0     2000
SBC COMMUNICATIONS INCORPORATED                               X                        2      79329   0        0
SCANA CORP NEW COM                                                   X                 1       8322   0        0
SCANA CORP NEW COM                                                            X        1       8644   0        0
SCANA CORP NEW COM                                                   X                 3       7020   0        0
SCANSOURCE INCORPORATED                                              X                 3        900   0        0
SCANSOURCE INCORPORATED                                              X                 1       1200   0        0
SCHERING PLOUGH CORP                                                          X        1      76318   0    19432
SCHERING PLOUGH CORP                                                 X                 1     145734   0        0
SCHERING PLOUGH CORP                                                 X                 3      11755   0        0
SCHLUMBERGER LTD                                                     X                 3       9155   0        0
SCHLUMBERGER LTD                                                     X                 4        200   0        0
SCHWAB CHARLES CORP NEW COM                                          X                 3       7900   0        0
SCHWAB CHARLES CORP NEW COM                                          X                 1      19514   0        0
SCRIPPS E W CO OHIO                                                  X                 3        600   0        0
SEAGATE TECHNOLOGY                                                   X                 3     150580   0        0
SEALED AIR CORP NEW COM                                              X                 3        682   0        0
SEALED AIR CORP NEW COM                                                       X        1       1000   0        0
SEARS HOLDINGS CORP                                                           X        1        640   0        0
SEARS HOLDINGS CORP                                                  X                 1       3758   0        0
SEARS HOLDINGS CORP                                                  X                 3       5788   0        0
SEI CORP COM                                                                  X        1        390   0        0
SEI CORP COM                                                         X                 1       1735   0        0
SELECTIVE INS GROUP INC                                              X                 1        100   0        0
SEMPRA ENERGY COM                                                    X                 3       1976   0        0
SEMPRA ENERGY COM                                                    X                 1        400   0        0
SEMPRA ENERGY COM                                                             X        1        637   0        0
SENOMYX INC                                                          X                 1        550   0        0
SEPRACOR INC COM                                                     X                 3      39089   0        0
SEPRACOR INC COM                                                     X                 1      11980   0        0
SERVICEMASTER CO COM                                                          X        1          0   0    14500
SEVERN BANCORP INC                                                   X                 1        440   0        0
SEVERN BANCORP INC                                                            X        1      27322   0        0
SHAW GROUP INC COM                                                   X                 3       4300   0        0
SHAW GROUP INC COM                                                   X                 1       6100   0        0
SHERWIN WILLIAMS CO COM                                              X                 3        910   0        0
SHERWIN WILLIAMS CO COM                                                       X        1        200   0     5000
SHOE CARNIVAL INC                                                    X                 1       3200   0        0
SHOE CARNIVAL INC                                                    X                 3       2400   0        0
SHUFFLE MASTER INC                                                   X                 1      12460   0        0
SHUFFLE MASTER INC                                                   X                 3      40700   0        0
SIERRA HEALTH SERVICES INC                                           X                 1       1800   0        0
SIERRA HEALTH SERVICES INC                                           X                 3       1300   0        0
SIGMA ALDRICH CORP                                                   X                 3        550   0        0
SIMON PROPERTY GROUP INCORPORATED                                    X                 3       1400   0        0
SIMON PROPERTY GROUP INCORPORATED                             X                        2       6800   0        0
SIRIUS SATELLITE RADIO INC COM                                                X        1       1500   0        0
SIRIUS SATELLITE RADIO INC COM                                       X                 1      12820   0        0
SKY FINANCIAL GROUP INC                                              X                 1       1000   0        0
SKYWORKS SOLUTIONSINC                                                X                 1         70   0        0


                                   36 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
SKYWORKS SOLUTIONSINC                                        COMMON STOCK   83088M102       8       1122   SHARES
SLM CORP COM                                                 COMMON STOCK   78442P106     163       3145   SHARES
SLM CORP COM                                                 COMMON STOCK   78442P106     120       2313   SHARES
SLM CORP COM                                                 COMMON STOCK   78442P106    6279     120896   SHARES
SMITH INTL INC                                               COMMON STOCK   832110100     238       6100   SHARES
SMITH INTL INC                                               COMMON STOCK   832110100    2864      73500   SHARES
SMITHFIELD FOODS INC                                         COMMON STOCK   832248108      59       2000   SHARES
SNAP ON INC                                                  COMMON STOCK   833034101       4        100   SHARES
SNAP ON INC                                                  COMMON STOCK   833034101       5        125   SHARES
SNAP ON INC                                                  COMMON STOCK   833034101      18        480   SHARES
SOLECTRON CORPORATION                                        COMMON STOCK   834182107       9       2317   SHARES
SOLECTRON CORPORATION                                        COMMON STOCK   834182107      19       4825   SHARES
SOLECTRON CORPORATION                                        COMMON STOCK   834182107      30       7500   SHARES
SOLECTRON CORPORATION                                        COMMON STOCK   834182107     130      32600   SHARES
SONOCO PRODUCTS CO COM                                       COMMON STOCK   835495102      64       1900   SHARES
SOUTH JERSEY INDUSTRIES INC                                  COMMON STOCK   838518108      14        518   SHARES
SOUTHERN CO COM                                              COMMON STOCK   842587107    1024      31259   SHARES
SOUTHERN CO COM                                              COMMON STOCK   842587107    1180      36005   SHARES
SOUTHERN CO COM                                              COMMON STOCK   842587107     207       6310   SHARES
SOUTHERN UNION CO NEW COM                                    COMMON STOCK   844030106      82       3312   SHARES
SOUTHWEST AIRLINES CO COM                                    COMMON STOCK   844741108     151       8400   SHARES
SOUTHWEST AIRLINES CO COM                                    COMMON STOCK   844741108     190      10567   SHARES
SOUTHWEST AIRLINES CO COM                                    COMMON STOCK   844741108     353      19596   SHARES
SOUTHWEST GAS CORP COM                                       COMMON STOCK   844895102      28       1000   SHARES
SOUTHWESTERN ENERGY COMPANY                                  COMMON STOCK   845467109      39       1200   SHARES
SOUTHWESTERN ENERGY COMPANY                                  COMMON STOCK   845467109      52       1600   SHARES
SOVEREIGN BANCORP INC                                        COMMON STOCK   845905108      61       2800   SHARES
SOVEREIGN BANCORP INC                                        COMMON STOCK   845905108      38       1755   SHARES
SOVEREIGN BANCORP INC                                        COMMON STOCK   845905108    4210     192131   SHARES
SPAR GROUP INC                                               COMMON STOCK   784933103       1        450   SHARES
SPATIALIGHT INC                                              COMMON STOCK   847248101       4       1000   SHARES
SPDR TRUST SERIES 1 S&P 500 INDEX FD                         COMMON STOCK   78462F103    6783      52249   SHARES
SPDR TRUST SERIES 1 S&P 500 INDEX FD                         COMMON STOCK   78462F103    8452      65098   SHARES
SPEEDWAY MOTORSPORTS INCORPORATED                            COMMON STOCK   847788106       4        100   SHARES
SPRINT CORPORATION FON GROUP                                 COMMON STOCK   852061100     287      11113   SHARES
SPRINT NEXTEL CORP                                           COMMON STOCK   852061100     552      21364   SHARES
SPRINT NEXTEL CORP                                           COMMON STOCK   852061100     703      27197   SHARES
SPRINT NEXTEL CORP                                           COMMON STOCK   852061100     704      27229   SHARES
SPX CORP COM                                                 COMMON STOCK   784635104      20        375   SHARES
SSA GLOBAL TECHNOLOGIES INC                                  COMMON STOCK   78465P108      48       3000   SHARES
SSA GLOBAL TECHNOLOGIES INC                                  COMMON STOCK   78465P108      66       4100   SHARES
ST JOE COMPANY                                               COMMON STOCK   790148100    1381      21980   SHARES
ST JOE COMPANY                                               COMMON STOCK   790148100     690      10983   SHARES
ST JOE COMPANY                                               COMMON STOCK   790148100    5129      81613   SHARES
ST JOE COMPANY                                               COMMON STOCK   790148100    2763      43938   SHARES
ST JUDE MEDICAL INC COM                                      COMMON STOCK   790849103     113       2760   SHARES
ST JUDE MEDICAL INC COM                                      COMMON STOCK   790849103       4        100   SHARES
ST PAUL TRAVELERS COMPANIES INC                              COMMON STOCK   792860108     216       5175   SHARES
ST PAUL TRAVELERS COMPANIES INC                              COMMON STOCK   792860108       7        160   SHARES
ST PAUL TRAVELERS COMPANIES INC                              COMMON STOCK   792860108     698      16710   SHARES
ST PAUL TRAVELERS COMPANIES INC                              COMMON STOCK   792860108    1330      31831   SHARES
STANDARD REGISTER COMPANY                                    COMMON STOCK   853887107       8        500   SHARES
STANLEY FURNITURE CO                                         COMMON STOCK   854305208      38       1300   SHARES
STANLEY FURNITURE CO                                         COMMON STOCK   854305208      56       1900   SHARES
STANLEY WORKS COM                                            COMMON STOCK   854616109     527      10400   SHARES
STANLEY WORKS COM                                            COMMON STOCK   854616109     588      11600   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
SKYWORKS SOLUTIONSINC                                                         X        1       1122   0        0
SLM CORP COM                                                         X                 3       3145   0        0
SLM CORP COM                                                         X                 1       2313   0        0
SLM CORP COM                                                  X                        2     120896   0        0
SMITH INTL INC                                                                X        1       6100   0        0
SMITH INTL INC                                                       X                 1      73500   0        0
SMITHFIELD FOODS INC                                                          X        1       2000   0        0
SNAP ON INC                                                                   X        1        100   0        0
SNAP ON INC                                                          X                 1        125   0        0
SNAP ON INC                                                          X                 3        480   0        0
SOLECTRON CORPORATION                                                         X        1       2317   0        0
SOLECTRON CORPORATION                                                X                 1       4825   0        0
SOLECTRON CORPORATION                                                X                 3       7500   0        0
SOLECTRON CORPORATION                                         X                        2      32600   0        0
SONOCO PRODUCTS CO COM                                                        X        1       1900   0        0
SOUTH JERSEY INDUSTRIES INC                                          X                 1        518   0        0
SOUTHERN CO COM                                                      X                 1      30259   0     1000
SOUTHERN CO COM                                                               X        1      33790   0     2215
SOUTHERN CO COM                                                      X                 3       5310   0     1000
SOUTHERN UNION CO NEW COM                                            X                 1       3312   0        0
SOUTHWEST AIRLINES CO COM                                                     X        1       8400   0        0
SOUTHWEST AIRLINES CO COM                                            X                 1      10567   0        0
SOUTHWEST AIRLINES CO COM                                            X                 3      19596   0        0
SOUTHWEST GAS CORP COM                                                        X        1       1000   0        0
SOUTHWESTERN ENERGY COMPANY                                          X                 3       1200   0        0
SOUTHWESTERN ENERGY COMPANY                                          X                 1       1600   0        0
SOVEREIGN BANCORP INC                                                X                 3       2800   0        0
SOVEREIGN BANCORP INC                                                         X        1       1355   0      400
SOVEREIGN BANCORP INC                                                X                 1     189536   0     2595
SPAR GROUP INC                                                       X                 1        450   0        0
SPATIALIGHT INC                                                      X                 1       1000   0        0
SPDR TRUST SERIES 1 S&P 500 INDEX FD                                 X                 1      52249   0        0
SPDR TRUST SERIES 1 S&P 500 INDEX FD                                          X        1      65098   0        0
SPEEDWAY MOTORSPORTS INCORPORATED                                    X                 1        100   0        0
SPRINT CORPORATION FON GROUP                                  X                        2      11113   0        0
SPRINT NEXTEL CORP                                                   X                 3      21364   0        0
SPRINT NEXTEL CORP                                                            X        1      14185   0    13012
SPRINT NEXTEL CORP                                                   X                 1      26818   0      411
SPX CORP COM                                                                  X        1        375   0        0
SSA GLOBAL TECHNOLOGIES INC                                          X                 3       3000   0        0
SSA GLOBAL TECHNOLOGIES INC                                          X                 1       4100   0        0
ST JOE COMPANY                                                X                        2      21980   0        0
ST JOE COMPANY                                                                X        1      10583   0      400
ST JOE COMPANY                                                       X                 1      79572   0     2041
ST JOE COMPANY                                                       X                 3      42113   0     1825
ST JUDE MEDICAL INC COM                                              X                 3       2760   0        0
ST JUDE MEDICAL INC COM                                              X                 1        100   0        0
ST PAUL TRAVELERS COMPANIES INC                                      X                 3       5175   0        0
ST PAUL TRAVELERS COMPANIES INC                                      X                 4        160   0        0
ST PAUL TRAVELERS COMPANIES INC                                               X        1      16351   0      359
ST PAUL TRAVELERS COMPANIES INC                                      X                 1      30427   0     1404
STANDARD REGISTER COMPANY                                            X                 1        500   0        0
STANLEY FURNITURE CO                                                 X                 3       1300   0        0
STANLEY FURNITURE CO                                                 X                 1       1900   0        0
STANLEY WORKS COM                                                             X        1       4400   0     6000
STANLEY WORKS COM                                                    X                 1      11600   0        0


                                   37 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
STANLEY WORKS COM                                            COMMON STOCK   854616109     288       5700   SHARES
STAPLES INC COM                                              COMMON STOCK   855030102    1343      52611   SHARES
STAPLES INC COM                                              COMMON STOCK   855030102    8152     319451   SHARES
STAPLES INC COM                                              COMMON STOCK   855030102    4991     195529   SHARES
STARBUCKS CORP COM                                           COMMON STOCK   855244109     120       3200   SHARES
STARBUCKS CORP COM                                           COMMON STOCK   855244109     827      21970   SHARES
STARBUCKS CORP COM                                           COMMON STOCK   855244109     865      23010   SHARES
STARWOOD HOTELS & RESORTS                                    COMMON STOCK   85590A203      19        284   SHARES
STARWOOD HOTELS & RESORTS                                    COMMON STOCK   85590A203      34        497   SHARES
STARWOOD HOTELS & RESORTS                                    COMMON STOCK   85590A203     115       1700   SHARES
STATE AUTO FINANCIAL CORP                                    COMMON STOCK   855707105     405      12025   SHARES
STATE AUTO FINANCIAL CORP                                    COMMON STOCK   855707105    1052      31200   SHARES
STATE STREET CORP                                            COMMON STOCK   857477103     400       6612   SHARES
STATE STREET CORP                                            COMMON STOCK   857477103    5270      87214   SHARES
STATE STREET CORP                                            COMMON STOCK   857477103     151       2500   SHARES
STEEL DYNAMICS INC                                           COMMON STOCK   858119100     258       4550   SHARES
STEEL DYNAMICS INC                                           COMMON STOCK   858119100     585      10300   SHARES
STEELCASE INC CL A                                           COMMON STOCK   858155203      18       1000   SHARES
STERLING FINANCIAL CORP                                      COMMON STOCK   859317109     131       6000   SHARES
STERLING FINANCIAL CORP                                      COMMON STOCK   859317109    1290      59078   SHARES
STOLT OFFSHORE SA                                            ADR            861567105      60       3900   SHARES
STONEPATH GROUP INC                                          COMMON STOCK   861837102       1        750   SHARES
STREETTRACKS GOLD TRUST                                      COMMON STOCK   863307104      17        300   SHARES
STREETTRACKS GOLD TRUST                                      COMMON STOCK   863307104     206       3543   SHARES
STRYKER CORP COM                                             COMMON STOCK   863667101      93       2100   SHARES
STRYKER CORP COM                                             COMMON STOCK   863667101     120       2700   SHARES
STRYKER CORP COM                                             COMMON STOCK   863667101     443       9980   SHARES
STURM RUGER & CO INC COM                                     COMMON STOCK   864159108       6        750   SHARES
STURM RUGER & CO INC COM                                     COMMON STOCK   864159108       8       1000   SHARES
SUBURBAN PROPANE PARTNERS LP LIMITED                         COMMON STOCK   864482104       7        250   SHARES
SUBURBAN PROPANE PARTNERS LP LIMITED                         COMMON STOCK   864482104      27        900   SHARES
SUN MICROSYSTEMS INC COM                                     COMMON STOCK   866810104     134      26100   SHARES
SUN MICROSYSTEMS INC COM                                     COMMON STOCK   866810104      41       7950   SHARES
SUN MICROSYSTEMS INC COM                                     COMMON STOCK   866810104      78      15300   SHARES
SUN MICROSYSTEMS INC COM                                     COMMON STOCK   866810104      76      14900   SHARES
SUNOCO INC COM                                               COMMON STOCK   86764P109      83       1070   SHARES
SUNOCO INC COM                                               COMMON STOCK   86764P109      38        484   SHARES
SUNOCO INC COM                                               COMMON STOCK   86764P109     191       2456   SHARES
SUNOCO LOGISTICS PARTNERS LP                                 COMMON STOCK   86764L108      25        600   SHARES
SUNRISE ASSISTED LIVING INCORPORATED                         COMMON STOCK   86768K106    3696      94850   SHARES
SUNRISE SENIOR LIVING INC                                    COMMON STOCK   86768K106      16        400   SHARES
SUNTRUST BANKS INC                                           COMMON STOCK   867914103     666       9151   SHARES
SUNTRUST BANKS INC                                           COMMON STOCK   867914103    1693      23268   SHARES
SUNTRUST BANKS INC                                           COMMON STOCK   867914103     317       4348   SHARES
SUPERIOR ENERGY SERVICES INC COM                             COMMON STOCK   868157108      19        700   SHARES
SUPERVALU INC                                                COMMON STOCK   868536103      74       2400   SHARES
SUPERVALU INC                                                COMMON STOCK   868536103      33       1080   SHARES
SUSQUEHANNA BANCSHARES INC PA COM                            COMMON STOCK   869099101    1673      64938   SHARES
SWIFT ENERGY COMPANY                                         COMMON STOCK   870738101      36        950   SHARES
SYMANTEC CORP COM                                            COMMON STOCK   871503108     211      12539   SHARES
SYMANTEC CORP COM                                            COMMON STOCK   871503108     832      49459   SHARES
SYMANTEC CORP COM                                            COMMON STOCK   871503108     168       9976   SHARES
SYMBOL TECHNOLOGIES INC                                      COMMON STOCK   871508107      20       1900   SHARES
SYMBOL TECHNOLOGIES INC                                      COMMON STOCK   871508107      36       3442   SHARES
SYMBOL TECHNOLOGIES INC                                      COMMON STOCK   871508107      99       9331   SHARES
SYNERON MEDICAL LTD                                          COMMON STOCK   M87245102      38       1300   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
STANLEY WORKS COM                                                    X                 3        700   0     5000
STAPLES INC COM                                                               X        1      52611   0        0
STAPLES INC COM                                                      X                 1     312643   0     6808
STAPLES INC COM                                                      X                 3     185423   0    10106
STARBUCKS CORP COM                                                            X        1       3200   0        0
STARBUCKS CORP COM                                                   X                 1      21970   0        0
STARBUCKS CORP COM                                                   X                 3      23010   0        0
STARWOOD HOTELS & RESORTS                                            X                 1        284   0        0
STARWOOD HOTELS & RESORTS                                                     X        1        497   0        0
STARWOOD HOTELS & RESORTS                                            X                 3       1700   0        0
STATE AUTO FINANCIAL CORP                                            X                 1      12025   0        0
STATE AUTO FINANCIAL CORP                                            X                 3      31200   0        0
STATE STREET CORP                                                    X                 1       6612   0        0
STATE STREET CORP                                                             X        1      87214   0        0
STATE STREET CORP                                                    X                 3       2500   0        0
STEEL DYNAMICS INC                                                   X                 1       4550   0        0
STEEL DYNAMICS INC                                                   X                 3      10300   0        0
STEELCASE INC CL A                                                            X        1          0   0     1000
STERLING FINANCIAL CORP                                                       X        1       1000   0     5000
STERLING FINANCIAL CORP                                              X                 1      30011   0    29067
STOLT OFFSHORE SA                                                    X                 3       3900   0        0
STONEPATH GROUP INC                                                  X                 1        750   0        0
STREETTRACKS GOLD TRUST                                                       X        1        300   0        0
STREETTRACKS GOLD TRUST                                              X                 3       3543   0        0
STRYKER CORP COM                                                     X                 3       2100   0        0
STRYKER CORP COM                                                              X        1       1000   0     1700
STRYKER CORP COM                                                     X                 1       9980   0        0
STURM RUGER & CO INC COM                                             X                 1        750   0        0
STURM RUGER & CO INC COM                                                      X        1       1000   0        0
SUBURBAN PROPANE PARTNERS LP LIMITED                                 X                 1        250   0        0
SUBURBAN PROPANE PARTNERS LP LIMITED                                          X        1        300   0      600
SUN MICROSYSTEMS INC COM                                             X                 3      26100   0        0
SUN MICROSYSTEMS INC COM                                             X                 1       7950   0        0
SUN MICROSYSTEMS INC COM                                                      X        1      15300   0        0
SUN MICROSYSTEMS INC COM                                      X                        2      14900   0        0
SUNOCO INC COM                                                       X                 3       1070   0        0
SUNOCO INC COM                                                                X        1        484   0        0
SUNOCO INC COM                                                       X                 1       2456   0        0
SUNOCO LOGISTICS PARTNERS LP                                                  X        1        600   0        0
SUNRISE ASSISTED LIVING INCORPORATED                          X                        2      94850   0        0
SUNRISE SENIOR LIVING INC                                            X                 1        400   0        0
SUNTRUST BANKS INC                                                   X                 1       9151   0        0
SUNTRUST BANKS INC                                                            X        1      21568   0     1700
SUNTRUST BANKS INC                                                   X                 3       2745   0     1603
SUPERIOR ENERGY SERVICES INC COM                                     X                 1        700   0        0
SUPERVALU INC                                                        X                 1       2400   0        0
SUPERVALU INC                                                        X                 3       1080   0        0
SUSQUEHANNA BANCSHARES INC PA COM                                    X                 1      54926   0    10012
SWIFT ENERGY COMPANY                                                 X                 1        950   0        0
SYMANTEC CORP COM                                                             X        1      11965   0      574
SYMANTEC CORP COM                                                    X                 1      49459   0        0
SYMANTEC CORP COM                                                    X                 3       7976   0     2000
SYMBOL TECHNOLOGIES INC                                              X                 3       1900   0        0
SYMBOL TECHNOLOGIES INC                                                       X        1       3442   0        0
SYMBOL TECHNOLOGIES INC                                              X                 1       7831   0     1500
SYNERON MEDICAL LTD                                                  X                 3       1300   0        0


                                   38 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
SYNOPSYS INC COM                                             COMMON STOCK   871607107      26       1175   SHARES
SYNOPSYS INC COM                                             COMMON STOCK   871607107      38       1700   SHARES
SYNOVUS FINL CORP COM                                        COMMON STOCK   87161C105      70       2592   SHARES
SYNOVUS FINL CORP COM                                        COMMON STOCK   87161C105      22        800   SHARES
SYSCO CORPORATION                                            COMMON STOCK   871829107    8561     267123   SHARES
SYSCO CORPORATION                                            COMMON STOCK   871829107   10648     332225   SHARES
SYSCO CORPORATION                                            COMMON STOCK   871829107    8756     273142   SHARES
SYSCO CORPORATION                                            COMMON STOCK   871829107       8        250   SHARES
SYSCO CORPORATION                                            COMMON STOCK   871829107    2871      89572   SHARES
TALBOTS INC                                                  COMMON STOCK   874161102      70       2600   SHARES
TALBOTS INC                                                  COMMON STOCK   874161102      51       1900   SHARES
TALK AMERICA HOLDINGS INC NEW                                COMMON STOCK   87426R202      13       1531   SHARES
TALK AMERICA HOLDINGS INC NEW                                COMMON STOCK   87426R202      19       2200   SHARES
TARGET CORP COM                                              COMMON STOCK   87612E110     762      14650   SHARES
TARGET CORP COM                                              COMMON STOCK   87612E106    1430      27486   SHARES
TARGET CORP COM                                              COMMON STOCK   87612E106    7870     151326   SHARES
TARGET CORP COM                                              COMMON STOCK   87612E106    1967      37811   SHARES
TASER INTERNATIONAL INC                                      COMMON STOCK   87651B104       2        200   SHARES
TASTY BAKING CO WITH RIGHTS 07/29/13                         COMMON STOCK   876553306       5        625   SHARES
TD AMERITRADE HOLDING CORP                                   COMMON STOCK   87236Y108       5        257   SHARES
TECH DATA CORP COM                                           COMMON STOCK   878237106      48       1300   SHARES
TECH DATA CORP COM                                           COMMON STOCK   878237106      22        600   SHARES
TECH DATA CORP COM                                           COMMON STOCK   878237106      66       1800   SHARES
TECO ENERGY INC                                              COMMON STOCK   872375100     193      11964   SHARES
TECO ENERGY INC                                              COMMON STOCK   872375100     385      23866   SHARES
TECO ENERGY INC                                              COMMON STOCK   872375100      26       1600   SHARES
TEKTRONIX INC                                                COMMON STOCK   879131100      21        600   SHARES
TELEDYNE TECHNOLOGIES INC COM                                COMMON STOCK   879360105      10        275   SHARES
TELLABS INC                                                  COMMON STOCK   879664100      55       3485   SHARES
TEMPLE INLAND INC                                            COMMON STOCK   879868107       4        100   SHARES
TEMPLE INLAND INC                                            COMMON STOCK   879868107       6        128   SHARES
TEMPLE INLAND INC                                            COMMON STOCK   879868107      40        900   SHARES
TENET HEALTHCARE                                             COMMON STOCK   88033G100      27       3637   SHARES
TENET HEALTHCARE CORP                                        COMMON STOCK   88033G100      11       1500   SHARES
TEPPCO PARTNERS LIMITED PARTNERSHIP                          COMMON STOCK   872384102     695      19150   SHARES
TEPPCO PARTNERS LIMITED PARTNERSHIP                          COMMON STOCK   872384102      91       2500   SHARES
TERADYNE INC                                                 COMMON STOCK   880770102      23       1500   SHARES
TERAYON COMMUNICATION SYS INC COM                            COMMON STOCK   880775101       0         44   SHARES
TESORO CORPORATION                                           COMMON STOCK   881609101     157       2300   SHARES
TESORO CORPORATION                                           COMMON STOCK   881609101     103       1500   SHARES
TEXAS INSTRUMENTS INCORPORATED                               COMMON STOCK   882508104    2564      78980   SHARES
TEXAS INSTRUMENTS INCORPORATED                               COMMON STOCK   882508104    4342     133730   SHARES
TEXAS INSTRUMENTS INCORPORATED                               COMMON STOCK   882508104    1374      42314   SHARES
TEXAS INSTRUMENTS INCORPORATED                               COMMON STOCK   882508104       3        100   SHARES
TEXAS INSTRUMENTS INCORPORATED                               COMMON STOCK   882508104    2448      75384   SHARES
TEXTRON INC COM                                              COMMON STOCK   883203101      90        960   SHARES
TEXTRON INC COM                                              COMMON STOCK   883203101     103       1100   SHARES
TEXTRON INC COM                                              COMMON STOCK   883203101     436       4668   SHARES
TF FINANCIAL CORP                                            COMMON STOCK   872391107     150       5000   SHARES
THE DIRECTV GROUP INC                                        COMMON STOCK   25459L106      14        862   SHARES
THE DIRECTV GROUP INC                                        COMMON STOCK   25459L106      29       1773   SHARES
THE HERSHEY COMPANY                                          COMMON STOCK   427866108    2515      48154   SHARES
THE HERSHEY COMPANY                                          COMMON STOCK   427866108    2921      55920   SHARES
THE HERSHEY COMPANY                                          COMMON STOCK   427866108      72       1370   SHARES
THE MOSAIC COMPANY                                           COMMON STOCK   61945A107       6        400   SHARES
THE MOSAIC COMPANY                                           COMMON STOCK   61945A107       6        400   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
SYNOPSYS INC COM                                                     X                 1       1175   0        0
SYNOPSYS INC COM                                                              X        1        200   0     1500
SYNOVUS FINL CORP COM                                                X                 3       2592   0        0
SYNOVUS FINL CORP COM                                                         X        1        800   0        0
SYSCO CORPORATION                                                    X                 1     259291   0     7832
SYSCO CORPORATION                                                             X        1     328490   0     3735
SYSCO CORPORATION                                                    X                 3     262868   0    10274
SYSCO CORPORATION                                                    X                 4        250   0        0
SYSCO CORPORATION                                             X                        2      89572   0        0
TALBOTS INC                                                          X                 1       2600   0        0
TALBOTS INC                                                          X                 3       1900   0        0
TALK AMERICA HOLDINGS INC NEW                                        X                 3       1531   0        0
TALK AMERICA HOLDINGS INC NEW                                        X                 1       2200   0        0
TARGET CORP COM                                               X                        2      14650   0        0
TARGET CORP COM                                                               X        1      26111   0     1375
TARGET CORP COM                                                      X                 1     148926   0     2400
TARGET CORP COM                                                      X                 3      37811   0        0
TASER INTERNATIONAL INC                                                       X        1        200   0        0
TASTY BAKING CO WITH RIGHTS 07/29/13                                          X        1        625   0        0
TD AMERITRADE HOLDING CORP                                           X                 1        257   0        0
TECH DATA CORP COM                                                   X                 3       1300   0        0
TECH DATA CORP COM                                                            X        1        600   0        0
TECH DATA CORP COM                                                   X                 1       1800   0        0
TECO ENERGY INC                                                      X                 1      11964   0        0
TECO ENERGY INC                                                               X        1      23566   0      300
TECO ENERGY INC                                                      X                 3       1600   0        0
TEKTRONIX INC                                                        X                 3        600   0        0
TELEDYNE TECHNOLOGIES INC COM                                        X                 1        275   0        0
TELLABS INC                                                          X                 3       3485   0        0
TEMPLE INLAND INC                                                             X        1          0   0      100
TEMPLE INLAND INC                                                    X                 1        128   0        0
TEMPLE INLAND INC                                                    X                 3        900   0        0
TENET HEALTHCARE                                                     X                 3       3637   0        0
TENET HEALTHCARE CORP                                                X                 1       1500   0        0
TEPPCO PARTNERS LIMITED PARTNERSHIP                           X                        2      19150   0        0
TEPPCO PARTNERS LIMITED PARTNERSHIP                                  X                 1       2500   0        0
TERADYNE INC                                                         X                 3       1500   0        0
TERAYON COMMUNICATION SYS INC COM                                    X                 1         44   0        0
TESORO CORPORATION                                                   X                 1       2300   0        0
TESORO CORPORATION                                                   X                 3       1500   0        0
TEXAS INSTRUMENTS INCORPORATED                                                X        1      73605   0     5375
TEXAS INSTRUMENTS INCORPORATED                                       X                 1     133730   0        0
TEXAS INSTRUMENTS INCORPORATED                                       X                 3      41314   0     1000
TEXAS INSTRUMENTS INCORPORATED                                       X                 4        100   0        0
TEXAS INSTRUMENTS INCORPORATED                                X                        2      75384   0        0
TEXTRON INC COM                                                      X                 3        960   0        0
TEXTRON INC COM                                                               X        1        100   0     1000
TEXTRON INC COM                                                      X                 1       4668   0        0
TF FINANCIAL CORP                                                    X                 1       5000   0        0
THE DIRECTV GROUP INC                                                X                 1        813   0       49
THE DIRECTV GROUP INC                                                         X        1       1448   0      325
THE HERSHEY COMPANY                                                           X        1      36054   0    12100
THE HERSHEY COMPANY                                                  X                 1      53370   0     2550
THE HERSHEY COMPANY                                                  X                 3       1370   0        0
THE MOSAIC COMPANY                                                   X                 1        400   0        0
THE MOSAIC COMPANY                                                            X        1        400   0        0


                                   39 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
THE NAVIGATORS GROUP INC                                     COMMON STOCK   638904102     179       3600   SHARES
THE PANTRY INC                                               COMMON STOCK   698657103       9        150   SHARES
THE SCOTTS MIRACLE-GRO COMPANY CL A                          COMMON STOCK   810186106     641      14000   SHARES
THERMO ELECTRON CORP COM                                     COMMON STOCK   883556102      47       1280   SHARES
THERMO ELECTRON CORP COM                                     COMMON STOCK   883556102      46       1250   SHARES
THOR INDUSTRIES INCORPORATED                                 COMMON STOCK   885160101      53       1000   SHARES
THOR INDUSTRIES INCORPORATED                                 COMMON STOCK   885160101      53       1000   SHARES
TIDEWATER INC                                                COMMON STOCK   886423102      55       1000   SHARES
TIFFANY & CO                                                 COMMON STOCK   886547108      14        384   SHARES
TIFFANY & CO                                                 COMMON STOCK   886547108      41       1100   SHARES
TIME WARNER INC                                              COMMON STOCK   887317105     669      39854   SHARES
TIME WARNER INC                                              COMMON STOCK   887317105    1835     109303   SHARES
TIME WARNER INC                                              COMMON STOCK   887317105    2241     135766   SHARES
TIME WARNER INC                                              COMMON STOCK   887317105    1271      75685   SHARES
TIMKEN CO COM                                                COMMON STOCK   887389104      44       1348   SHARES
TITANIUM METALS CORP                                         COMMON STOCK   888339207      39        800   SHARES
TITANIUM METALS CORP                                         COMMON STOCK   888339207      24        500   SHARES
TIVO INC                                                     COMMON STOCK   888706108       1        100   SHARES
TJX COMPANIES INC                                            COMMON STOCK   872540109       4        165   SHARES
TJX COMPANIES INC                                            COMMON STOCK   872540109      88       3540   SHARES
TODCO-CLASS A                                                COMMON STOCK   88889T107       3         85   SHARES
TOLL BROTHERS INC                                            COMMON STOCK   889478103     955      27587   SHARES
TOLL BROTHERS INC                                            COMMON STOCK   889478103    3170      91525   SHARES
TOLL BROTHERS INC                                            COMMON STOCK   889478103      14        400   SHARES
TOLL BROTHERS INC                                            COMMON STOCK   889478103     565      16300   SHARES
TOLLGRADE COMMUNICATIONS INC COM                             COMMON STOCK   889542106      34       2315   SHARES
TOLLGRADE COMMUNICATIONS INC COM                             COMMON STOCK   889542106      39       2600   SHARES
TOMPKINS TRUSTCO INC                                         COMMON STOCK   890110109      42        880   SHARES
TOOTSIE ROLL INDUSTRIES                                      COMMON STOCK   890516107      54       1852   SHARES
TORCHMARK CORP                                               COMMON STOCK   891027104      46        800   SHARES
TORO CO COM                                                  COMMON STOCK   891092108      82       1720   SHARES
TOWER GROUP INC                                              COMMON STOCK   891777104      35       1500   SHARES
TRACKPOWER INC                                               COMMON STOCK   89235C103       4     100000   SHARES
TRADESTATION GROUP INC                                       COMMON STOCK   89267P105      12        900   SHARES
TRANSACT TECHNOLOGIES INC COM                                COMMON STOCK   892918103       9       1000   SHARES
TRANSCEND SERVICES INC                                       COMMON STOCK   893929208       1        325   SHARES
TRANSOCEAN INC                                               COMMON STOCK   G90078109     361       4495   SHARES
TRANSOCEAN INC                                               COMMON STOCK   G90078109    1897      23621   SHARES
TRANSOCEAN INC                                               ORDINARY       G90078109     205       2549   SHARES
TREDEGAR CORP                                                COMMON STOCK   894650100      40       2500   SHARES
TRIAD GUARANTY INC                                           COMMON STOCK   895925105      35        750   SHARES
TRIAD HOSPITALS INC                                          COMMON STOCK   89579K109      84       2000   SHARES
TRIBUNE CO NEW COM                                           COMMON STOCK   896047107      57       2077   SHARES
TRIBUNE CO NEW COM                                           COMMON STOCK   896047107      36       1300   SHARES
TRINITY INDUSTRIES INC                                       COMMON STOCK   896522109       5        100   SHARES
TRINITY INDUSTRIES INC                                       COMMON STOCK   896522109      71       1300   SHARES
TRIUMPH GROUP INC                                            COMMON STOCK   896818101      75       1700   SHARES
TRIUMPH GROUP INC                                            COMMON STOCK   896818101      58       1300   SHARES
TTM TECHNOLOGIES INC                                         COMMON STOCK   87305R109      71       4900   SHARES
TTM TECHNOLOGIES INC                                         COMMON STOCK   87305R109      96       6600   SHARES
TUPPERWARE BRANDS CORP                                       COMMON STOCK   899896104       9        450   SHARES
TUPPERWARE BRANDS CORP                                       COMMON STOCK   899896104      10        500   SHARES
TXU CORP COM                                                 COMMON STOCK   873168108     154       3450   SHARES
TXU CORP COM                                                 COMMON STOCK   873168108     139       3100   SHARES
TXU CORP COM                                                 COMMON STOCK   873168108     174       3880   SHARES
TYCO INTERNATIONAL LIMITED NEW                               COMMON STOCK   902124106    3335     124085   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
THE NAVIGATORS GROUP INC                                             X                 1       3600   0       0
THE PANTRY INC                                                       X                 1        150   0       0
THE SCOTTS MIRACLE-GRO COMPANY CL A                                  X                 1      14000   0       0
THERMO ELECTRON CORP COM                                             X                 3       1280   0       0
THERMO ELECTRON CORP COM                                             X                 1       1250   0       0
THOR INDUSTRIES INCORPORATED                                         X                 3       1000   0       0
THOR INDUSTRIES INCORPORATED                                         X                 1       1000   0       0
TIDEWATER INC                                                        X                 1       1000   0       0
TIFFANY & CO                                                         X                 1        384   0       0
TIFFANY & CO                                                         X                 3       1100   0       0
TIME WARNER INC                                                               X        1      37154   0    2700
TIME WARNER INC                                                      X                 1     105103   0    4200
TIME WARNER INC                                               X                        2     135766   0       0
TIME WARNER INC                                                      X                 3      75085   0     600
TIMKEN CO COM                                                                 X        1       1348   0       0
TITANIUM METALS CORP                                                 X                 1        800   0       0
TITANIUM METALS CORP                                                 X                 3        500   0       0
TIVO INC                                                             X                 1        100   0       0
TJX COMPANIES INC                                                    X                 1        165   0       0
TJX COMPANIES INC                                                    X                 3       3540   0       0
TODCO-CLASS A                                                        X                 1         85   0       0
TOLL BROTHERS INC                                                             X        1      27087   0     500
TOLL BROTHERS INC                                                    X                 1      88675   0    2850
TOLL BROTHERS INC                                                    X                 4        400   0       0
TOLL BROTHERS INC                                                    X                 3      16300   0       0
TOLLGRADE COMMUNICATIONS INC COM                                     X                 3       2315   0       0
TOLLGRADE COMMUNICATIONS INC COM                                     X                 1       2600   0       0
TOMPKINS TRUSTCO INC                                                 X                 1        880   0       0
TOOTSIE ROLL INDUSTRIES                                              X                 1       1852   0       0
TORCHMARK CORP                                                       X                 3        800   0       0
TORO CO COM                                                          X                 1       1720   0       0
TOWER GROUP INC                                                               X        1       1500   0       0
TRACKPOWER INC                                                X                        2     100000   0       0
TRADESTATION GROUP INC                                               X                 1        900   0       0
TRANSACT TECHNOLOGIES INC COM                                        X                 1       1000   0       0
TRANSCEND SERVICES INC                                               X                 1        325   0       0
TRANSOCEAN INC                                                                X        1       4495   0       0
TRANSOCEAN INC                                                       X                 1      23621   0       0
TRANSOCEAN INC                                                       X                 3       2549   0       0
TREDEGAR CORP                                                        X                 1       2500   0       0
TRIAD GUARANTY INC                                                            X        1        750   0       0
TRIAD HOSPITALS INC                                                           X        1          0   0    2000
TRIBUNE CO NEW COM                                                   X                 3       2077   0       0
TRIBUNE CO NEW COM                                                            X        1       1300   0       0
TRINITY INDUSTRIES INC                                               X                 1        100   0       0
TRINITY INDUSTRIES INC                                                        X        1       1300   0       0
TRIUMPH GROUP INC                                                    X                 1       1700   0       0
TRIUMPH GROUP INC                                                    X                 3       1300   0       0
TTM TECHNOLOGIES INC                                                 X                 3       4900   0       0
TTM TECHNOLOGIES INC                                                 X                 1       6600   0       0
TUPPERWARE BRANDS CORP                                                        X        1        450   0       0
TUPPERWARE BRANDS CORP                                               X                 1        500   0       0
TXU CORP COM                                                         X                 3       3450   0       0
TXU CORP COM                                                                  X        1       2900   0     200
TXU CORP COM                                                         X                 1       3880   0       0
TYCO INTERNATIONAL LIMITED NEW                                X                        2     124085   0       0


                                   40 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
TYCO INTL LTD                                                COMMON STOCK   902124106     399      14841   SHARES
TYSON FOODS INC COM                                          COMMON STOCK   902494103      26       1900   SHARES
TYSON FOODS INC COM                                          COMMON STOCK   902494103      16       1200   SHARES
U S BANCORP DEL COM NEW                                      COMMON STOCK   902973304     882      28913   SHARES
U S BANCORP DEL COM NEW                                      COMMON STOCK   902973304    2891      94786   SHARES
U S BANCORP DEL COM NEW                                      COMMON STOCK   902973304     872      28575   SHARES
U S BANCORP DEL COM NEW                                      COMMON STOCK   902973304      14        453   SHARES
UGI CORP                                                     COMMON STOCK   902681105     126       6000   SHARES
UGI CORP                                                     COMMON STOCK   902681105     297      14100   SHARES
ULTRA PETE CORP                                              COMMON STOCK   903914109      44        700   SHARES
UNION BANKSHARES CORPORATION                                 COMMON STOCK   905399101       9        200   SHARES
UNION PACIFIC CORP COM                                       COMMON STOCK   907818108     906       9710   SHARES
UNION PACIFIC CORP COM                                       COMMON STOCK   907818108     968      10370   SHARES
UNION PACIFIC CORP COM                                       COMMON STOCK   907818108     466       4995   SHARES
UNISYS CORPORATION                                           COMMON STOCK   909214108       6        841   SHARES
UNISYS CORPORATION                                           COMMON STOCK   909214108      18       2570   SHARES
UNITED PARCEL SERVICE INC CLASS B                            COMMON STOCK   911312106    1374      17315   SHARES
UNITED PARCEL SERVICE INC CLASS B                            COMMON STOCK   911312106    8858     111590   SHARES
UNITED PARCEL SERVICE INC CLASS B                            COMMON STOCK   911312106    8156     102731   SHARES
UNITED PARCEL SERVICE INC CLASS B                            COMMON STOCK   911312106      12        150   SHARES
UNITED PARCEL SERVICE INC CLASS B                            COMMON STOCK   911312106     574       7230   SHARES
UNITED RENTALS INC COM                                       COMMON STOCK   911363109     976      28300   SHARES
UNITED RENTALS INC COM                                       COMMON STOCK   911363109     352      10190   SHARES
UNITED STS STL CORP NEW                                      COMMON STOCK   912909108      56        915   SHARES
UNITED STS STL CORP NEW                                      COMMON STOCK   912909108       9        153   SHARES
UNITED STS STL CORP NEW                                      COMMON STOCK   912909108      11        179   SHARES
UNITED SURGICAL PARTNERS INTL                                COMMON STOCK   913016309    1108      31300   SHARES
UNITED SURGICAL PARTNERS INTL                                COMMON STOCK   913016309      27        750   SHARES
UNITED SURGICAL PARTNERS INTL                                COMMON STOCK   913016309     409      11549   SHARES
UNITED TECHNOLOGIES CORPORATION                              COMMON STOCK   913017109    3168      54646   SHARES
UNITED TECHNOLOGIES CORPORATION                              COMMON STOCK   913017109    7295     125847   SHARES
UNITED TECHNOLOGIES CORPORATION                              COMMON STOCK   913017109    2069      35675   SHARES
UNITED TECHNOLOGIES CORPORATION                              COMMON STOCK   913017109     232       4000   SHARES
UNITEDHEALTH GROUP INC                                       COMMON STOCK   91324P102     583      10428   SHARES
UNITEDHEALTH GROUP INC                                       COMMON STOCK   91324P102    3989      71414   SHARES
UNITEDHEALTH GROUP INC                                       COMMON STOCK   91324P102    5251      93997   SHARES
UNITEDHEALTH GROUP INC.                                      COMMON STOCK   91324P102    3157      56525   SHARES
UNITRIN INC COM                                              COMMON STOCK   913275103     173       3715   SHARES
UNIVERSAL COMPRESSION HOLDINGS INC                           COMMON STOCK   913431102      51       1000   SHARES
UNIVEST CORP OF PA                                           COMMON STOCK   915271100      62       2454   SHARES
UNIVISION COMMUNICATIONS INC COM                             COMMON STOCK   914906102      62       1800   SHARES
UNIVISION COMMUNICATIONS INC COM                             COMMON STOCK   914906102      10        280   SHARES
UNUMPROVIDENT CORPORATION                                    COMMON STOCK   91529Y106      47       2295   SHARES
UNUMPROVIDENT CORPORATION                                    COMMON STOCK   91529Y106    1160      56650   SHARES
UNVL HEALTH SERVICES INC CL B                                COMMON STOCK   913903100      18        360   SHARES
URBAN OUTFITTERS INC                                         COMMON STOCK   917047102     791      32200   SHARES
URBAN OUTFITTERS INC                                         COMMON STOCK   917047102     247      10080   SHARES
US BANCORP NEW                                               COMMON STOCK   902973304     290       9500   SHARES
USEC INC                                                     COMMON STOCK   90333E108      74       6100   SHARES
USEC INC                                                     COMMON STOCK   90333E108      54       4500   SHARES
UST INC COM                                                  COMMON STOCK   902911106     191       4600   SHARES
UST INC COM                                                  COMMON STOCK   902911106     303       7275   SHARES
UST INC COM                                                  COMMON STOCK   902911106      74       1765   SHARES
V F CORP                                                     COMMON STOCK   918204108      57       1000   SHARES
V F CORP                                                     COMMON STOCK   918204108     594      10440   SHARES
V F CORP                                                     COMMON STOCK   918204108      38        675   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
TYCO INTL LTD                                                        X                 3      14841   0       0
TYSON FOODS INC COM                                                  X                 3       1900   0       0
TYSON FOODS INC COM                                                           X        1       1200   0       0
U S BANCORP DEL COM NEW                                                       X        1      23813   0    5100
U S BANCORP DEL COM NEW                                              X                 1      94286   0     500
U S BANCORP DEL COM NEW                                              X                 3      28575   0       0
U S BANCORP DEL COM NEW                                              X                 4        453   0       0
UGI CORP                                                                      X        1       6000   0       0
UGI CORP                                                             X                 1      14100   0       0
ULTRA PETE CORP                                                      X                 3        700   0       0
UNION BANKSHARES CORPORATION                                                  X        1        200   0       0
UNION PACIFIC CORP COM                                               X                 1       9610   0     100
UNION PACIFIC CORP COM                                                        X        1       5570   0    4800
UNION PACIFIC CORP COM                                               X                 3       1995   0    3000
UNISYS CORPORATION                                                            X        1        841   0       0
UNISYS CORPORATION                                                   X                 3       2570   0       0
UNITED PARCEL SERVICE INC CLASS B                                             X        1      15180   0    2135
UNITED PARCEL SERVICE INC CLASS B                                    X                 1     109454   0    2136
UNITED PARCEL SERVICE INC CLASS B                                    X                 3      99460   0    3271
UNITED PARCEL SERVICE INC CLASS B                                    X                 4        150   0       0
UNITED PARCEL SERVICE INC CLASS B                             X                        2       7230   0       0
UNITED RENTALS INC COM                                               X                 3      28300   0       0
UNITED RENTALS INC COM                                               X                 1      10190   0       0
UNITED STS STL CORP NEW                                              X                 3        915   0       0
UNITED STS STL CORP NEW                                                       X        1        153   0       0
UNITED STS STL CORP NEW                                              X                 1        179   0       0
UNITED SURGICAL PARTNERS INTL                                        X                 3      31300   0       0
UNITED SURGICAL PARTNERS INTL                                                 X        1        750   0       0
UNITED SURGICAL PARTNERS INTL                                        X                 1      11549   0       0
UNITED TECHNOLOGIES CORPORATION                                               X        1      50946   0    3700
UNITED TECHNOLOGIES CORPORATION                                      X                 1     123497   0    2350
UNITED TECHNOLOGIES CORPORATION                                      X                 3      35675   0       0
UNITED TECHNOLOGIES CORPORATION                               X                        2       4000   0       0
UNITEDHEALTH GROUP INC                                                        X        1       7028   0    3400
UNITEDHEALTH GROUP INC                                               X                 1      70470   0     944
UNITEDHEALTH GROUP INC                                               X                 3      91313   0    2684
UNITEDHEALTH GROUP INC.                                       X                        2      56525   0       0
UNITRIN INC COM                                                      X                 1       3715   0       0
UNIVERSAL COMPRESSION HOLDINGS INC                                            X        1       1000   0       0
UNIVEST CORP OF PA                                                   X                 1       2454   0       0
UNIVISION COMMUNICATIONS INC COM                                     X                 3       1800   0       0
UNIVISION COMMUNICATIONS INC COM                                     X                 1        280   0       0
UNUMPROVIDENT CORPORATION                                            X                 3       2295   0       0
UNUMPROVIDENT CORPORATION                                     X                        2      56650   0       0
UNVL HEALTH SERVICES INC CL B                                        X                 1        360   0       0
URBAN OUTFITTERS INC                                                 X                 3      32200   0       0
URBAN OUTFITTERS INC                                                 X                 1      10080   0       0
US BANCORP NEW                                                X                        2       9500   0       0
USEC INC                                                             X                 1       6100   0       0
USEC INC                                                             X                 3       4500   0       0
UST INC COM                                                                   X        1       4600   0       0
UST INC COM                                                          X                 1       7275   0       0
UST INC COM                                                          X                 3       1765   0       0
V F CORP                                                             X                 1       1000   0       0
V F CORP                                                                      X        1      10440   0       0
V F CORP                                                             X                 3        675   0       0


                                   41 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
VALERO ENERGY CORP COM                                       COMMON STOCK   91913Y100     275       4600   SHARES
VALERO ENERGY CORP COM                                       COMMON STOCK   91913Y100     341       5700   SHARES
VALERO ENERGY CORP COM                                       COMMON STOCK   91913Y100     374       6250   SHARES
VALERO L P                                                   COMMON STOCK   91913W104      17        335   SHARES
VALERO L P                                                   COMMON STOCK   91913W104     203       4000   SHARES
VALUECLICK INC                                               COMMON STOCK   92046N102       5        300   SHARES
VARIAN MEDICAL SYS INC COM                                   COMMON STOCK   922206107       5        120   SHARES
VARIAN MEDICAL SYS INC COM                                   COMMON STOCK   92220P105     320       5698   SHARES
VARIAN MEDICAL SYS INC COM                                   COMMON STOCK   92220P105    4536      80765   SHARES
VARIAN MEDICAL SYS INC COM                                   COMMON STOCK   92220P105    6148     109467   SHARES
VARIAN SEMICONDUCTOR EQUIP ASSOC COM                         COMMON STOCK   922207105       5        180   SHARES
VASOMEDICAL INC                                              COMMON STOCK   922321104       0       1500   SHARES
VERISIGN INC COM                                             COMMON STOCK   92343E102      41       1711   SHARES
VERISIGN INC COM                                             COMMON STOCK   92343E102     114       4739   SHARES
VERISIGN INC COM                                             COMMON STOCK   92343E102    1171      48797   SHARES
VERITAS DGC INC COM                                          COMMON STOCK   92343P107      64       1400   SHARES
VERITAS DGC INC COM                                          COMMON STOCK   92343P107     100       2200   SHARES
VERIZON COMMUNICATIONS COM                                   COMMON STOCK   92343V104    2014      59125   SHARES
VERIZON COMMUNICATIONS COM                                   COMMON STOCK   92343V104    9808     287967   SHARES
VERIZON COMMUNICATIONS COM                                   COMMON STOCK   92343V104   16526     485198   SHARES
VERIZON COMMUNICATIONS COM                                   COMMON STOCK   92343V104    1109      32559   SHARES
VIACOM INC-CLASS B W/I                                       COMMON STOCK   92553P102       9        225   SHARES
VIACOM INC-CLASS B W/I                                       COMMON STOCK   92553P201     454      11705   SHARES
VIACOM INC-CLASS B W/I                                       COMMON STOCK   92553P201    1027      26458   SHARES
VIACOM INC-CLASS B W/I                                       COMMON STOCK   92553P201     438      11301   SHARES
VIACOM INC-CLASS B W/I                                       COMMON STOCK   92553P201       4        100   SHARES
VISHAY INTERTECHNOLOGY INC COM                               COMMON STOCK   928298108      14       1000   SHARES
VISTEON CORP COM                                             COMMON STOCK   92839U107      12       2523   SHARES
VORNADO REALTY TRUST                                         COMMON STOCK   929042109     202       2100   SHARES
VORNADO RLTY TR                                              COMMON STOCK   929042109      96       1000   SHARES
VULCAN MATERIALS CO                                          COMMON STOCK   929160109      61        700   SHARES
W H ENERGY SVCS INC COM                                      COMMON STOCK   92925E108     107       2400   SHARES
W W GRAINGER INC COM                                         COMMON STOCK   384802104     173       2300   SHARES
W W GRAINGER INC COM                                         COMMON STOCK   384802104     393       5220   SHARES
WABTEC CORP COM                                              COMMON STOCK   929740108      23        700   SHARES
WABTEC CORP COM                                              COMMON STOCK   929740108      36       1100   SHARES
WACHOVIA CORPORATION NEW                                     COMMON STOCK   929903102    6279     112017   SHARES
WACHOVIA CORPORATION NEW                                     COMMON STOCK   929903102   14941     266570   SHARES
WACHOVIA CORPORATION NEW                                     COMMON STOCK   929903102     640      11425   SHARES
WACHOVIA CORPORATION NEW                                     COMMON STOCK   929903102       6        100   SHARES
WACHOVIA CORPORATION NEW                                     COMMON STOCK   929903102     415       7400   SHARES
WADDELL & REED FINL INC CL A                                 COMMON STOCK   930059100      14        600   SHARES
WADDELL & REED FINL INC CL A                                 COMMON STOCK   930059100      45       1950   SHARES
WAL MART STORES INCORPORATED                                 COMMON STOCK   931142103    5345     113152   SHARES
WAL MART STORES INCORPORATED                                 COMMON STOCK   931142103   15016     317868   SHARES
WAL MART STORES INCORPORATED                                 COMMON STOCK   931142103    9154     193773   SHARES
WAL MART STORES INCORPORATED                                 COMMON STOCK   931142103      14        300   SHARES
WAL MART STORES INCORPORATED                                 COMMON STOCK   931142103     221       4668   SHARES
WALGREEN CO                                                  COMMON STOCK   931422109     997      23119   SHARES
WALGREEN CO                                                  COMMON STOCK   931422109    1221      28308   SHARES
WALGREEN CO                                                  COMMON STOCK   931422109     335       7775   SHARES
WALT DISNEY CO COM                                           COMMON STOCK   254687106    3132     112287   SHARES
WALT DISNEY CO COM                                           COMMON STOCK   254687106    4982     178613   SHARES
WALT DISNEY CO COM                                           COMMON STOCK   254687106     414      14855   SHARES
WALT DISNEY CO COM                                           COMMON STOCK   254687106      12        425   SHARES
WALTER INDS INC                                              COMMON STOCK   93317Q105      53        800   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
VALERO ENERGY CORP COM                                               X                 3       4600   0        0
VALERO ENERGY CORP COM                                                        X        1       5700   0        0
VALERO ENERGY CORP COM                                               X                 1       6250   0        0
VALERO L P                                                           X                 1        335   0        0
VALERO L P                                                           X                 3          0   0     4000
VALUECLICK INC                                                       X                 1        300   0        0
VARIAN MEDICAL SYS INC COM                                           X                 1        120   0        0
VARIAN MEDICAL SYS INC COM                                                    X        1       4833   0      865
VARIAN MEDICAL SYS INC COM                                           X                 1      79424   0     1341
VARIAN MEDICAL SYS INC COM                                           X                 3     106064   0     3403
VARIAN SEMICONDUCTOR EQUIP ASSOC COM                                 X                 1        180   0        0
VASOMEDICAL INC                                                      X                 1       1500   0        0
VERISIGN INC COM                                                     X                 3       1711   0        0
VERISIGN INC COM                                                              X        1       4739   0        0
VERISIGN INC COM                                                     X                 1      48072   0      725
VERITAS DGC INC COM                                                  X                 3       1400   0        0
VERITAS DGC INC COM                                                  X                 1       2200   0        0
VERIZON COMMUNICATIONS COM                                    X                        2      59125   0        0
VERIZON COMMUNICATIONS COM                                                    X        1     271362   0    16605
VERIZON COMMUNICATIONS COM                                           X                 1     473398   0    11800
VERIZON COMMUNICATIONS COM                                           X                 3      30149   0     2410
VIACOM INC-CLASS B W/I                                                        X        1        225   0        0
VIACOM INC-CLASS B W/I                                                        X        1      10230   0     1475
VIACOM INC-CLASS B W/I                                               X                 1      26458   0        0
VIACOM INC-CLASS B W/I                                               X                 3      11051   0      250
VIACOM INC-CLASS B W/I                                               X                 4        100   0        0
VISHAY INTERTECHNOLOGY INC COM                                       X                 1       1000   0        0
VISTEON CORP COM                                                              X        1       2523   0        0
VORNADO REALTY TRUST                                          X                        2       2100   0        0
VORNADO RLTY TR                                                      X                 3       1000   0        0
VULCAN MATERIALS CO                                                  X                 3        700   0        0
W H ENERGY SVCS INC COM                                              X                 1       2400   0        0
W W GRAINGER INC COM                                                          X        1       2300   0        0
W W GRAINGER INC COM                                                 X                 1       5220   0        0
WABTEC CORP COM                                                      X                 3        700   0        0
WABTEC CORP COM                                                      X                 1       1100   0        0
WACHOVIA CORPORATION NEW                                                      X        1     103242   0     8775
WACHOVIA CORPORATION NEW                                             X                 1     256592   0     9978
WACHOVIA CORPORATION NEW                                             X                 3      11425   0        0
WACHOVIA CORPORATION NEW                                             X                 4        100   0        0
WACHOVIA CORPORATION NEW                                      X                        2       7400   0        0
WADDELL & REED FINL INC CL A                                         X                 1        600   0        0
WADDELL & REED FINL INC CL A                                                  X        1       1950   0        0
WAL MART STORES INCORPORATED                                                  X        1     104407   0     8745
WAL MART STORES INCORPORATED                                         X                 1     313292   0     4576
WAL MART STORES INCORPORATED                                         X                 3     182636   0    11137
WAL MART STORES INCORPORATED                                         X                 4        300   0        0
WAL MART STORES INCORPORATED                                  X                        2       4668   0        0
WALGREEN CO                                                                   X        1      17019   0     6100
WALGREEN CO                                                          X                 1      27358   0      950
WALGREEN CO                                                          X                 3       7775   0        0
WALT DISNEY CO COM                                                            X        1     105537   0     6750
WALT DISNEY CO COM                                                   X                 1     178013   0      600
WALT DISNEY CO COM                                                   X                 3      13855   0     1000
WALT DISNEY CO COM                                                   X                 4        425   0        0
WALTER INDS INC                                                      X                 1        800   0        0


                                   42 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
WALTER INDS INC                                              COMMON STOCK   93317Q105      40        600   SHARES
WASHINGTON GROUP INTL INC                                    COMMON STOCK   938862208      34        600   SHARES
WASHINGTON GROUP INTL INC                                    COMMON STOCK   938862208      46        800   SHARES
WASHINGTON MUTUAL INCORPORATED                               COMMON STOCK   939322103     307       7195   SHARES
WASHINGTON MUTUAL INCORPORATED                               COMMON STOCK   939322103     744      17455   SHARES
WASHINGTON MUTUAL INCORPORATED                               COMMON STOCK   939322103    1770      41537   SHARES
WASHINGTON MUTUAL INCORPORATED                               COMMON STOCK   939322103      13        300   SHARES
WASHINGTON MUTUAL INCORPORATED                               COMMON STOCK   939322103    3654      85730   SHARES
WASTE CONNECTIONS INC                                        COMMON STOCK   941053100    1186      29800   SHARES
WASTE CONNECTIONS INC                                        COMMON STOCK   941053100     365       9175   SHARES
WASTE MANAGEMENT INC COM                                     COMMON STOCK   94106L109     150       4250   SHARES
WASTE MANAGEMENT INC COM                                     COMMON STOCK   94106L109      13        372   SHARES
WASTE MANAGEMENT INC COM                                     COMMON STOCK   94106L109     164       4647   SHARES
WATER PIK TECHNOLOGIES INC COM                               COMMON STOCK   94113U100       3         96   SHARES
WATERS CORP                                                  COMMON STOCK   941848103      37        850   SHARES
WATSON PHARMACEUTICALS INC COM                               COMMON STOCK   942683103      26        900   SHARES
WATSON PHARMACEUTICALS INC COM                               COMMON STOCK   942683103       6        200   SHARES
WATSON PHARMACEUTICALS INC COM                               COMMON STOCK   942683103      44       1526   SHARES
WCI INDUSTRIES                                               COMMON STOCK   92923C104       4        150   SHARES
WD 40 CO COM                                                 COMMON STOCK   929236107      68       2200   SHARES
WEATHERFORD INTL LTD                                         COMMON STOCK   G95089101    2584      56480   SHARES
WEBMETHODS INC                                               COMMON STOCK   94768C108      77       9100   SHARES
WEBMETHODS INC                                               COMMON STOCK   94768C108      57       6800   SHARES
WEBSTER FINL CORP WATERBURY COM                              COMMON STOCK   947890109      29        600   SHARES
WEIGHT WATCHERS INTL INC NEW                                 COMMON STOCK   948626106      19        375   SHARES
WEINGARTEN REALTY INVESTORS                                  COMMON STOCK   948741103     810      19885   SHARES
WEIS MARKETS INC                                             COMMON STOCK   948849104      82       1850   SHARES
WEIS MARKETS INC                                             COMMON STOCK   948849104      40        900   SHARES
WELLPOINT INC                                                COMMON STOCK   94973V107      98       1260   SHARES
WELLPOINT INC                                                COMMON STOCK   94973V107     360       4650   SHARES
WELLS FARGO & COMPANY NEW                                    COMMON STOCK   949746101    5515      86347   SHARES
WELLS FARGO & COMPANY NEW                                    COMMON STOCK   949746101   11917     186584   SHARES
WELLS FARGO & COMPANY NEW                                    COMMON STOCK   949746101    1206      18880   SHARES
WELLS FARGO & COMPANY NEW                                    COMMON STOCK   949746101       6        100   SHARES
WELLS FARGO & COMPANY NEW                                    COMMON STOCK   949746101    3059      47891   SHARES
WENDYS INTL INC COM                                          COMMON STOCK   950590109      58        935   SHARES
WENDYS INTL INC COM                                          COMMON STOCK   950590109      12        200   SHARES
WENDYS INTL INC COM                                          COMMON STOCK   950590109     211       3400   SHARES
WERNER ENTERPRISES INC                                       COMMON STOCK   950755108      55       3005   SHARES
WERNER ENTERPRISES INC                                       COMMON STOCK   950755108     610      33210   SHARES
WERNER ENTERPRISES INC                                       COMMON STOCK   950755108       8        447   SHARES
WESCO INTERNATIONAL INCORPORATED                             COMMON STOCK   95082P105      68       1000   SHARES
WESCO INTERNATIONAL INCORPORATED                             COMMON STOCK   95082P105      48        700   SHARES
WESTAR ENERGY INC                                            COMMON STOCK   95709T100       5        250   SHARES
WESTAR ENERGY INC                                            COMMON STOCK   95709T100       6        300   SHARES
WEYERHAEUSER CO COM                                          COMMON STOCK   962166104     134       1850   SHARES
WEYERHAEUSER CO COM                                          COMMON STOCK   962166104     138       1903   SHARES
WEYERHAEUSER CO COM                                          COMMON STOCK   962166104     519       7171   SHARES
WGL HLDGS INC COM                                            COMMON STOCK   92924F106     103       3382   SHARES
WGL HLDGS INC COM                                            COMMON STOCK   92924F106     101       3328   SHARES
W-H ENERGY SVCS INC                                          COMMON STOCK   92925E108      71       1600   SHARES
WHEELING-PITTSBURG CORP                                      COMMON STOCK   963142302       4        245   SHARES
WHIRLPOOL CORP                                               COMMON STOCK   963320106      46        500   SHARES
WHIRLPOOL CORP COM                                           COMMON STOCK   963320106      68        742   SHARES
WHIRLPOOL CORP COM                                           COMMON STOCK   963320106      72        792   SHARES
WHOLE FOODS MKT INC COM                                      COMMON STOCK   966837106      53        800   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
WALTER INDS INC                                                      X                 3        600   0       0
WASHINGTON GROUP INTL INC                                            X                 3        600   0       0
WASHINGTON GROUP INTL INC                                            X                 1        800   0       0
WASHINGTON MUTUAL INCORPORATED                                       X                 3       7195   0       0
WASHINGTON MUTUAL INCORPORATED                                                X        1      16455   0    1000
WASHINGTON MUTUAL INCORPORATED                                       X                 1      41112   0     425
WASHINGTON MUTUAL INCORPORATED                                       X                 4        300   0       0
WASHINGTON MUTUAL INCORPORATED                                X                        2      85730   0       0
WASTE CONNECTIONS INC                                                X                 3      29800   0       0
WASTE CONNECTIONS INC                                                X                 1       9175   0       0
WASTE MANAGEMENT INC COM                                             X                 3       4250   0       0
WASTE MANAGEMENT INC COM                                             X                 1        372   0       0
WASTE MANAGEMENT INC COM                                                      X        1       3147   0    1500
WATER PIK TECHNOLOGIES INC COM                                       X                 1         96   0       0
WATERS CORP                                                          X                 3        850   0       0
WATSON PHARMACEUTICALS INC COM                                       X                 3        900   0       0
WATSON PHARMACEUTICALS INC COM                                       X                 1        200   0       0
WATSON PHARMACEUTICALS INC COM                                                X        1       1526   0       0
WCI INDUSTRIES                                                       X                 1        150   0       0
WD 40 CO COM                                                                  X        1       2200   0       0
WEATHERFORD INTL LTD                                                 X                 3      56480   0       0
WEBMETHODS INC                                                       X                 1       9100   0       0
WEBMETHODS INC                                                       X                 3       6800   0       0
WEBSTER FINL CORP WATERBURY COM                                      X                 1        600   0       0
WEIGHT WATCHERS INTL INC NEW                                         X                 1        375   0       0
WEINGARTEN REALTY INVESTORS                                   X                        2      19885   0       0
WEIS MARKETS INC                                                     X                 1       1400   0     450
WEIS MARKETS INC                                                     X                 3        900   0       0
WELLPOINT INC                                                        X                 1       1260   0       0
WELLPOINT INC                                                        X                 3       4650   0       0
WELLS FARGO & COMPANY NEW                                                     X        1      83399   0    2948
WELLS FARGO & COMPANY NEW                                            X                 1     185434   0    1150
WELLS FARGO & COMPANY NEW                                            X                 3      18680   0     200
WELLS FARGO & COMPANY NEW                                            X                 4        100   0       0
WELLS FARGO & COMPANY NEW                                     X                        2      47891   0       0
WENDYS INTL INC COM                                                  X                 3        935   0       0
WENDYS INTL INC COM                                                           X        1        200   0       0
WENDYS INTL INC COM                                                  X                 1       3400   0       0
WERNER ENTERPRISES INC                                                        X        1       3005   0       0
WERNER ENTERPRISES INC                                               X                 1      29010   0    4200
WERNER ENTERPRISES INC                                               X                 3        447   0       0
WESCO INTERNATIONAL INCORPORATED                                     X                 1       1000   0       0
WESCO INTERNATIONAL INCORPORATED                                     X                 3        700   0       0
WESTAR ENERGY INC                                                             X        1        250   0       0
WESTAR ENERGY INC                                                    X                 1        300   0       0
WEYERHAEUSER CO COM                                                  X                 3       1850   0       0
WEYERHAEUSER CO COM                                                  X                 1       1903   0       0
WEYERHAEUSER CO COM                                                           X        1       6373   0     798
WGL HLDGS INC COM                                                             X        1       3382   0       0
WGL HLDGS INC COM                                                    X                 3       3328   0       0
W-H ENERGY SVCS INC                                                  X                 3       1600   0       0
WHEELING-PITTSBURG CORP                                              X                 1        245   0       0
WHIRLPOOL CORP                                                       X                 3        500   0       0
WHIRLPOOL CORP COM                                                            X        1        742   0       0
WHIRLPOOL CORP COM                                                   X                 1        792   0       0
WHOLE FOODS MKT INC COM                                              X                 3        800   0       0


                                   43 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
WHOLE FOODS MKT INC COM                                      COMMON STOCK   966837106       1         16   SHARES
WHOLE FOODS MKT INC COM                                      COMMON STOCK   966837106      83       1250   SHARES
WILLIAM SONOMA INC COM                                       COMMON STOCK   969904101      21        500   SHARES
WILLIAM SONOMA INC COM                                       COMMON STOCK   969904101     296       6975   SHARES
WILLIAMS COMPANIES INCORPORATED                              COMMON STOCK   969457100     105      10975   SHARES
WILLIAMS COMPANIES INCORPORATED                              COMMON STOCK   969457100      28       1290   SHARES
WILLIAMS COMPANIES INCORPORATED                              COMMON STOCK   969457100      30       1403   SHARES
WILLIAMS COMPANIES INCORPORATED                              COMMON STOCK   969457100      95       4425   SHARES
WILLIAMS SONOMA INC                                          COMMON STOCK   969904101     933      22000   SHARES
WILMINGTON TRUST CORP                                        COMMON STOCK   971807102      26        600   SHARES
WIND RIV SYS INC                                             COMMON STOCK   973149107       7        600   SHARES
WISCONSIN ENERGY CORP COM                                    COMMON STOCK   976657106     202       5052   SHARES
WISCONSIN ENERGY CORP COM                                    COMMON STOCK   976657106     205       5118   SHARES
WORTHINGTON INDS INC COM                                     COMMON STOCK   981811102     261      13000   SHARES
WPS RESOURCES CORP                                           COMMON STOCK   92931B106      17        350   SHARES
WPS RESOURCES CORP                                           COMMON STOCK   92931B106      39        800   SHARES
WRIGLEY WM JR CO                                             COMMON STOCK   982526105     186       2900   SHARES
WRIGLEY WM JR CO                                             COMMON STOCK   982526105     324       5070   SHARES
WRIGLEY WM JR CO                                             COMMON STOCK   982526105      64       1000   SHARES
WYETH                                                        COMMON STOCK   983024100   17161     353689   SHARES
WYETH                                                        COMMON STOCK   983024100   17723     365282   SHARES
WYETH                                                        COMMON STOCK   983024100    1212      24975   SHARES
WYETH                                                        COMMON STOCK   983024100   10043     206526   SHARES
WYETH                                                        COMMON STOCK   983024100      15        300   SHARES
WYNN RESORTS LIMITED                                         COMMON STOCK   983134107       8        100   SHARES
XANSER CORP                                                  COMMON STOCK   98389J103       2        400   SHARES
XCEL ENERGY INC COM                                          COMMON STOCK   98389B100      55       3028   SHARES
XCEL ENERGY INC COM                                          COMMON STOCK   98389B100      52       2876   SHARES
XCEL ENERGY INC COM                                          COMMON STOCK   98389B100     226      12454   SHARES
XEROX CORP                                                   COMMON STOCK   984121103      62       4100   SHARES
XEROX CORP                                                   COMMON STOCK   984121103     139       9140   SHARES
XEROX CORP                                                   COMMON STOCK   984121103     114       7500   SHARES
XILINX INC                                                   COMMON STOCK   983919101      69       2700   SHARES
XL CAP LTD                                                   COMMON STOCK   G98255105      85       1325   SHARES
XM SATELLITE RADIO HLDGS INC                                 COMMON STOCK   983759101     739      33200   SHARES
XM SATELLITE RADIO HLDGS INC                                 COMMON STOCK   983759101       2        100   SHARES
XM SATELLITE RADIO HLDGS INC                                 COMMON STOCK   983759101     282      12685   SHARES
X-RITE INC COM                                               COMMON STOCK   983857103       3        250   SHARES
XTO ENERGY INC COM                                           COMMON STOCK   98385X106     155       3548   SHARES
XTO ENERGY INC COM                                           COMMON STOCK   98385X106    2210      50712   SHARES
XTO ENERGY INC COM                                           COMMON STOCK   98385X106    2029      46606   SHARES
YAHOO INC COM                                                COMMON STOCK   984332106      26        810   SHARES
YAHOO INC COM                                                COMMON STOCK   984332106     294       9125   SHARES
YAHOO INC COM                                                COMMON STOCK   984332106     808      25040   SHARES
YORK WATER COMPANY                                           COMMON STOCK   987184108    1251      47496   SHARES
YORK WATER COMPANY                                           COMMON STOCK   987184108    1327      50390   SHARES
YUM BRANDS INC                                               COMMON STOCK   988498101     109       2225   SHARES
YUM! BRANDS INC                                              COMMON STOCK   988498101     396       8100   SHARES
YUM! BRANDS INC                                              COMMON STOCK   988498101     460       9409   SHARES
ZEBRA TECHNOLOGIES CORP CL A                                 COMMON STOCK   989207105     101       2250   SHARES
ZIMMER HLDGS INC COM                                         COMMON STOCK   98956P102    1340      19827   SHARES
ZIMMER HLDGS INC COM                                         COMMON STOCK   98956P102    6618      97894   SHARES
ZIMMER HLDGS INC COM                                         COMMON STOCK   98956P102    7642     113037   SHARES
ZIMMER HOLDINGS INCORPORATED                                 COMMON STOCK   98956P102    1374      20330   SHARES
ZIONS BANCORPORATION COM                                     COMMON STOCK   989701107     323       3900   SHARES
ZIONS BANCORPORATION COM                                     COMMON STOCK   989701107    5596      67636   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
WHOLE FOODS MKT INC COM                                                       X        1         16   0        0
WHOLE FOODS MKT INC COM                                              X                 1       1250   0        0
WILLIAM SONOMA INC COM                                                        X        1        500   0        0
WILLIAM SONOMA INC COM                                               X                 1       6975   0        0
WILLIAMS COMPANIES INCORPORATED                               X                        2      10975   0        0
WILLIAMS COMPANIES INCORPORATED                                      X                 1       1290   0        0
WILLIAMS COMPANIES INCORPORATED                                               X        1        203   0     1200
WILLIAMS COMPANIES INCORPORATED                                      X                 3       4425   0        0
WILLIAMS SONOMA INC                                                  X                 3      22000   0        0
WILMINGTON TRUST CORP                                                         X        1        600   0        0
WIND RIV SYS INC                                                     X                 1        600   0        0
WISCONSIN ENERGY CORP COM                                            X                 1       5052   0        0
WISCONSIN ENERGY CORP COM                                                     X        1       5118   0        0
WORTHINGTON INDS INC COM                                                      X        1          0   0    13000
WPS RESOURCES CORP                                                            X        1        350   0        0
WPS RESOURCES CORP                                                   X                 1        800   0        0
WRIGLEY WM JR CO                                                     X                 1       2900   0        0
WRIGLEY WM JR CO                                                              X        1       4470   0      600
WRIGLEY WM JR CO                                                     X                 3          0   0     1000
WYETH                                                                         X        1     300881   0    52808
WYETH                                                                X                 1     360762   0     4520
WYETH                                                         X                        2      24975   0        0
WYETH                                                                X                 3     204326   0     2200
WYETH                                                                X                 4        300   0        0
WYNN RESORTS LIMITED                                                 X                 1        100   0        0
XANSER CORP                                                          X                 1        400   0        0
XCEL ENERGY INC COM                                                  X                 3       3028   0        0
XCEL ENERGY INC COM                                                  X                 1       2876   0        0
XCEL ENERGY INC COM                                                           X        1      12454   0        0
XEROX CORP                                                           X                 1       4100   0        0
XEROX CORP                                                                    X        1       9140   0        0
XEROX CORP                                                           X                 3       7300   0      200
XILINX INC                                                           X                 3       2700   0        0
XL CAP LTD                                                           X                 3       1325   0        0
XM SATELLITE RADIO HLDGS INC                                         X                 3      33200   0        0
XM SATELLITE RADIO HLDGS INC                                                  X        1        100   0        0
XM SATELLITE RADIO HLDGS INC                                         X                 1      12685   0        0
X-RITE INC COM                                                       X                 1        250   0        0
XTO ENERGY INC COM                                                            X        1       3548   0        0
XTO ENERGY INC COM                                                   X                 1      50712   0        0
XTO ENERGY INC COM                                                   X                 3      46606   0        0
YAHOO INC COM                                                                 X        1        710   0      100
YAHOO INC COM                                                        X                 1       9125   0        0
YAHOO INC COM                                                        X                 3      25040   0        0
YORK WATER COMPANY                                                            X        1      47496   0        0
YORK WATER COMPANY                                                   X                 1      50390   0        0
YUM BRANDS INC                                                       X                 3       2225   0        0
YUM! BRANDS INC                                                               X        1       6180   0     1920
YUM! BRANDS INC                                                      X                 1       9409   0        0
ZEBRA TECHNOLOGIES CORP CL A                                                  X        1       2250   0        0
ZIMMER HLDGS INC COM                                                          X        1      18772   0     1055
ZIMMER HLDGS INC COM                                                 X                 1      95617   0     2277
ZIMMER HLDGS INC COM                                                 X                 3     108507   0     4530
ZIMMER HOLDINGS INCORPORATED                                  X                        2      20330   0        0
ZIONS BANCORPORATION COM                                                      X        1       2185   0     1715
ZIONS BANCORPORATION COM                                             X                 1      66003   0     1633


                                   44 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
ZIONS BANCORPORATION COM                                     COMMON STOCK   989701107     8183      98921  SHARES
ZYGO CORP COM                                                COMMON STOCK   989855101       47       2900  SHARES
ZYGO CORP COM                                                COMMON STOCK   989855101       64       3900  SHARES

SUBTOTALS FOR DOMESTIC COMMON STOCKS                                                   3160684   73594589

A. COMMON STOCK
FOREIGN COMMON STOCK/ADR'S
ABN AMRO HOLDINGS NV SPON ADR                                COMMON STOCK   000937102       10        350  SHARES
ACCENTURE LTD-CL A                                           COMMON STOCK   G1150G111      793      26371  SHARES
ACCENTURE LTD-CL A                                           COMMON STOCK   G1150G111      405      13475  SHARES
ACE LTD                                                      COMMON STOCK   G0070K103        5        100  SHARES
ADVANTAGE ENERGY INCOME FUND                                 COMMON STOCK   00762L101      354      18450  SHARES
AEGON NV ORD AMER REG SHS                                    COMMON STOCK   007924103      243      13200  SHARES
AEGON NV ORD AMER REG SHS                                    COMMON STOCK   007924103       17        908  SHARES
AGNICO EAGLE MINES LTD                                       COMMON STOCK   008474108        8        250  SHARES
ALCAN INC                                                    COMMON STOCK   013716105       62       1350  SHARES
ALCON INC                                                    COMMON STOCK   H01301102       21        200  SHARES
ALLIED IRISH BKS PLC-SPON ADR                                COMMON STOCK   019228402    58143    1224584  SHARES
ALLIED IRISH BKS PLC-SPON ADR                                COMMON STOCK   019228402    23227     489191  SHARES
AMERICA MOVIL - ADR SERIES A                                 COMMON STOCK   02364W204      170       5000  SHARES
AMERICA MOVIL SA - SPONS ADR SER L                           COMMON STOCK   02364W105      414      12076  SHARES
AMERICA MOVIL SA - SPONS ADR SER L                           COMMON STOCK   02364W105      103       3000  SHARES
ANGLO AMERICAN PLC ADR                                       COMMON STOCK   03485P102        9        450  SHARES
ANGLO AMERICAN PLC ADR                                       COMMON STOCK   03485P102      130       6662  SHARES
ANGLOGOLD ASHANTI SPON ADR                                   COMMON STOCK   035128206        6        110  SHARES
ARLINGTON TANKERS LTD                                        COMMON STOCK   G04899103       69       3000  SHARES
ASTRAZENECA GROUP PLC SPONSORED ADR                          COMMON STOCK   046353108      191       3800  SHARES
ASTRAZENECA GROUP PLC SPONSORED ADR                          COMMON STOCK   046353108       32        646  SHARES
AXA SPONSORED ADR                                            COMMON STOCK   054536107       11        326  SHARES
BANK OF IRELAND SPONSORED ADR                                COMMON STOCK   46267Q103      186       2500  SHARES
BARCLAYS PLC - SPONS ADR                                     COMMON STOCK   06738E204        5        100  SHARES
BARRICK GOLD CORP                                            COMMON STOCK   067901108       29       1080  SHARES
BARRICK GOLD CORP                                            COMMON STOCK   067901108      113       4141  SHARES
BAYER AG SPONSORED ADR                                       COMMON STOCK   072730302       40       1000  SHARES
BHP BILLITON LTD SPONSORED ADR                               COMMON STOCK   088606108       90       2250  SHARES
BHP BILLITON LTD SPONSORED ADR                               COMMON STOCK   088606108      129       3232  SHARES
BIOTECH HOLDRS TRUST                                         COMMON STOCK   09067D201       31        160  SHARES
BP PLC SPONSORED ADR                                         COMMON STOCK   055622104    19734     286253  SHARES
BP PLC SPONSORED ADR                                         COMMON STOCK   055622104    15725     228103  SHARES
BP PLC SPONSORED ADR                                         COMMON STOCK   055622104      244       3544  SHARES
BT GROUP PLC-SPON ADR                                        COMMON STOCK   05577E101       10        250  SHARES
CADBURY SCHWEPPES PLC SPONS ADR                              COMMON STOCK   127209302        9        220  SHARES
CAMECO CORPORATION                                           COMMON STOCK   13321L108       34        950  SHARES
CANADIAN NATIONAL RAILWAY COMPANY                            COMMON STOCK   136375102      129       2850  SHARES
CANON INC SPONS ADR                                          COMMON STOCK   138006309       18        270  SHARES
CARDIOME PHARMA CORP                                         COMMON STOCK   14159U202       80       6300  SHARES
CELESTICA INC COM                                            COMMON STOCK   15101Q108        2        180  SHARES
CEMEX S A SPONS ADR PART CER                                 COMMON STOCK   151290889        7        100  SHARES
CHICAGO BRIDGE & IRON CO N V COM                             COMMON STOCK   167250109       76       3150  SHARES
CHICAGO BRIDGE & IRON CO N V COM                             COMMON STOCK   167250109       49       2025  SHARES
CHINA MOBILE HK LTD SPON ADR #451                            COMMON STOCK   16941M109        8        300  SHARES




                                                                    COLUMN 6                        COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7    VOTING AUTHORITY
--------                                                     ---------------------- -------- -----------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED  OTHER
--------------                                               ---- -------- -------- -------- -------- ------ -------
                                                                                        
ZIONS BANCORPORATION COM                                             X                 3        96014     0     2907
ZYGO CORP COM                                                        X                 3         2900     0        0
ZYGO CORP COM                                                        X                 1         3900     0        0

SUBTOTALS FOR DOMESTIC COMMON STOCKS                                                   1     70737561     0  2857028

A. COMMON STOCK
FOREIGN COMMON STOCK/ADR'S
ABN AMRO HOLDINGS NV SPON ADR                                                 X        1          350     0        0
ACCENTURE LTD-CL A                                                   X                 1        23871     0     2500
ACCENTURE LTD-CL A                                                            X        1        12975     0      500
ACE LTD                                                              X                 1          100     0        0
ADVANTAGE ENERGY INCOME FUND                                         X                 1        18450     0        0
AEGON NV ORD AMER REG SHS                                            X                 1        13200     0        0
AEGON NV ORD AMER REG SHS                                                     X        1          908     0        0
AGNICO EAGLE MINES LTD                                               X                 1          250     0        0
ALCAN INC                                                                     X        1         1350     0        0
ALCON INC                                                            X                 1          200     0        0
ALLIED IRISH BKS PLC-SPON ADR                                        X                 1       866122 10511   347951
ALLIED IRISH BKS PLC-SPON ADR                                                 X        1       384591     0   104600
AMERICA MOVIL - ADR SERIES A                                         X                 1         5000     0        0
AMERICA MOVIL SA - SPONS ADR SER L                                   X                 1        12076     0        0
AMERICA MOVIL SA - SPONS ADR SER L                                            X        1            0     0     3000
ANGLO AMERICAN PLC ADR                                               X                 1          450     0        0
ANGLO AMERICAN PLC ADR                                                        X        1         6662     0        0
ANGLOGOLD ASHANTI SPON ADR                                           X                 1          110     0        0
ARLINGTON TANKERS LTD                                                X                 1         3000     0        0
ASTRAZENECA GROUP PLC SPONSORED ADR                                  X                 1         3800     0        0
ASTRAZENECA GROUP PLC SPONSORED ADR                                           X        1          646     0        0
AXA SPONSORED ADR                                                             X        1          326     0        0
BANK OF IRELAND SPONSORED ADR                                                 X        1         2500     0        0
BARCLAYS PLC - SPONS ADR                                                      X        1          100     0        0
BARRICK GOLD CORP                                                    X                 1         1080     0        0
BARRICK GOLD CORP                                                             X        1         4141     0        0
BAYER AG SPONSORED ADR                                                        X        1         1000     0        0
BHP BILLITON LTD SPONSORED ADR                                       X                 1         2250     0        0
BHP BILLITON LTD SPONSORED ADR                                                X        1         2200     0     1032
BIOTECH HOLDRS TRUST                                                 X                 1          160     0        0
BP PLC SPONSORED ADR                                                 X                 1       285269     0      984
BP PLC SPONSORED ADR                                                          X        1       208133     0    19970
BP PLC SPONSORED ADR                                                 X                 3         1428     0     2116
BT GROUP PLC-SPON ADR                                                         X        1          250     0        0
CADBURY SCHWEPPES PLC SPONS ADR                                               X        1          220     0        0
CAMECO CORPORATION                                                   X                 1          950     0        0
CANADIAN NATIONAL RAILWAY COMPANY                                    X                 1         2850     0        0
CANON INC SPONS ADR                                                           X        1          270     0        0
CARDIOME PHARMA CORP                                                          X        1         6300     0        0
CELESTICA INC COM                                                    X                 3          180     0        0
CEMEX S A SPONS ADR PART CER                                         X                 1          100     0        0
CHICAGO BRIDGE & IRON CO N V COM                                     X                 1         3150     0        0
CHICAGO BRIDGE & IRON CO N V COM                                              X        1           25     0     2000
CHINA MOBILE HK LTD SPON ADR #451                                             X        1          300     0        0


                                   45 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
CHINA YUCHAI INTERNATIONAL LIMITED                           COMMON STOCK   G21082105       2        250   SHARES
CNOOC LTD -ADR                                               COMMON STOCK   126132109      23        300   SHARES
COOPER INDUSTRIES LTD CL A                                   COMMON STOCK   G24182100     250       2874   SHARES
COOPER INDUSTRIES LTD CL A                                   COMMON STOCK   G24182100     210       2420   SHARES
CREDIT SUISSE GROUP SPONSORED ADR                            COMMON STOCK   225401108       5         95   SHARES
DAIMLER CHRYSLER AG                                          COMMON STOCK   D1668R123      28        488   SHARES
DAIMLER CHRYSLER AG                                          COMMON STOCK   D1668R123     130       2264   SHARES
DEUTSCHE TELEKOM AG SPONSORED ADR                            COMMON STOCK   251566105       6        376   SHARES
DIAGEO PLC SPONSORED ADR                                     COMMON STOCK   25243Q205     203       3195   SHARES
DIAGEO PLC SPONSORED ADR                                     COMMON STOCK   25243Q205       4         65   SHARES
DIAGEO PLC SPONSORED ADR                                     COMMON STOCK   25243Q205      32        500   SHARES
DR REDDYS LABS LTD ADR                                       COMMON STOCK   256135203      31       1000   SHARES
DRDGOLD LTD ADR                                              COMMON STOCK   26152H103       9       6000   SHARES
DUSA PHARMACEUTICALS INCORPORATED                            COMMON STOCK   266898105      14       2000   SHARES
ELAN CORP PLC SPONS ADR                                      COMMON STOCK   284131208       4        300   SHARES
ENCANA CORP                                                  COMMON STOCK   292505104     168       3600   SHARES
ENDESA S A SPONSORED ADR                                     COMMON STOCK   29258N107     124       3868   SHARES
ENERPLUS RESOURCES FUND                                      COMMON STOCK   29274D604       5        100   SHARES
ENERPLUS RESOURCES FUND                                      COMMON STOCK   29274D604      76       1500   SHARES
ENI SPA-SPONS ADR                                            COMMON STOCK   26874R108       4         62   SHARES
FALCONBRIDGE LTD                                             COMMON STOCK   306104100      70       2000   SHARES
FALCONBRIDGE LTD                                             COMMON STOCK   306104100      21        600   SHARES
FLEXTRONICS INTL LTD                                         COMMON STOCK   Y2573F102      15       1444   SHARES
FLEXTRONICS INTL LTD                                         COMMON STOCK   Y2573F102      36       3488   SHARES
FORDING CANADIAN COAL TRUST                                  COMMON STOCK   345425102    4218     111041   SHARES
FORDING CANADIAN COAL TRUST                                  COMMON STOCK   345425102    1570      41334   SHARES
FORDING CANADIAN COAL TRUST                                  COMMON STOCK   345425102      13        351   SHARES
FOSTER WHEELER LTD                                           COMMON STOCK   G36535139    2410      50931   SHARES
FOSTER WHEELER LTD                                           COMMON STOCK   G36535139      51       1075   SHARES
FOSTER WHEELER LTD                                           COMMON STOCK   G36535139     666      14073   SHARES
FRONTLINE LTD                                                COMMON STOCK   G3682E127      67       2000   SHARES
GALLAHER GROUP PLC SPON ADR                                  COMMON STOCK   363595109     181       3105   SHARES
GALLAHER GROUP PLC SPON ADR                                  COMMON STOCK   363595109     135       2322   SHARES
GLAXOSMITHKLINE PLC ADR                                      COMMON STOCK   37733W105     889      16997   SHARES
GLAXOSMITHKLINE PLC ADR                                      COMMON STOCK   37733W105    1700      32494   SHARES
GOLD FIELDS LIMITED ADR                                      COMMON STOCK   38059T106       5        250   SHARES
GOLDCORP INC                                                 COMMON STOCK   380956409      29       1000   SHARES
GOLDEN STAR RESOURCES LTD                                    COMMON STOCK   38119T104      13       4000   SHARES
GROUPE DANONE SPONS ADR                                      COMMON STOCK   399449107      26       1000   SHARES
GRUPO TELEVISA SA SPONS ADR                                  COMMON STOCK   40049J206       8        400   SHARES
HARMONY GOLD MINING SPON ADR                                 COMMON STOCK   413216300      39       2425   SHARES
HELLENIC TELECOMMUNICATIONS ORG ADR                          COMMON STOCK   423325307       1         50   SHARES
HSBC HOLDINGS PLC SPON ADR                                   COMMON STOCK   404280406     109       1299   SHARES
HSBC HOLDINGS PLC SPON ADR                                   COMMON STOCK   404280406     107       1275   SHARES
HUANENG POWER INTL- SPONS ADR                                COMMON STOCK   443304100      73       2620   SHARES
HURRAY HOLDING CO LTD                                        COMMON STOCK   447773102      45       5200   SHARES
ICICI BANK LIMITED SPONSORED ADR                             COMMON STOCK   45104G104       8        300   SHARES
IMPERIAL TOBACCO GROUP ADR                                   COMMON STOCK   453142101       3         45   SHARES
INFOSYS TECHNOLOGIES LTDSPON ADR                             COMMON STOCK   456788108      16        200   SHARES
ING GROEP NV SPONSORED ADR                                   COMMON STOCK   456837103      22        550   SHARES
INGERSOLL-RAND COMPANY LTD-A                                 COMMON STOCK   G4776G101     205       4896   SHARES
INGERSOLL-RAND COMPANY LTD-A                                 COMMON STOCK   G4776G101     483      11550   SHARES
KINROSS GOLD CORPORATION                                     COMMON STOCK   496902404      22       1969   SHARES
KNIGHTSBRIDGE TANKERS LTD                                    COMMON STOCK   G5299G106      13        500   SHARES
KONINKLIJKE PHILIPS ELEC N V NY SHR                          COMMON STOCK   500472303      15        450   SHARES
KONINKLIJKE PHILIPS ELEC N V NY SHR                          COMMON STOCK   500472303      17        500   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
CHINA YUCHAI INTERNATIONAL LIMITED                                   X                 1        250   0       0
CNOOC LTD -ADR                                                                X        1        300   0       0
COOPER INDUSTRIES LTD CL A                                           X                 1       2874   0       0
COOPER INDUSTRIES LTD CL A                                                    X        1       2420   0       0
CREDIT SUISSE GROUP SPONSORED ADR                                             X        1         95   0       0
DAIMLER CHRYSLER AG                                                  X                 1        488   0       0
DAIMLER CHRYSLER AG                                                           X        1       1414   0     850
DEUTSCHE TELEKOM AG SPONSORED ADR                                             X        1        376   0       0
DIAGEO PLC SPONSORED ADR                                             X                 1       3195   0       0
DIAGEO PLC SPONSORED ADR                                                      X        1         65   0       0
DIAGEO PLC SPONSORED ADR                                             X                 3        500   0       0
DR REDDYS LABS LTD ADR                                               X                 1       1000   0       0
DRDGOLD LTD ADR                                                      X                 1       6000   0       0
DUSA PHARMACEUTICALS INCORPORATED                                             X        1       2000   0       0
ELAN CORP PLC SPONS ADR                                              X                 1        300   0       0
ENCANA CORP                                                                   X        1       3600   0       0
ENDESA S A SPONSORED ADR                                             X                 1       3868   0       0
ENERPLUS RESOURCES FUND                                              X                 1        100   0       0
ENERPLUS RESOURCES FUND                                                       X        1       1500   0       0
ENI SPA-SPONS ADR                                                             X        1         62   0       0
FALCONBRIDGE LTD                                                     X                 1       2000   0       0
FALCONBRIDGE LTD                                                              X        1        600   0       0
FLEXTRONICS INTL LTD                                                 X                 1       1444   0       0
FLEXTRONICS INTL LTD                                                          X        1       3488   0       0
FORDING CANADIAN COAL TRUST                                          X                 1     108816   0    2225
FORDING CANADIAN COAL TRUST                                                   X        1      33759   0    7575
FORDING CANADIAN COAL TRUST                                          X                 3        351   0       0
FOSTER WHEELER LTD                                                   X                 1      49719   0    1212
FOSTER WHEELER LTD                                                            X        1       1075   0       0
FOSTER WHEELER LTD                                                   X                 3      11380   0    2693
FRONTLINE LTD                                                        X                 1       2000   0       0
GALLAHER GROUP PLC SPON ADR                                          X                 1       3105   0       0
GALLAHER GROUP PLC SPON ADR                                                   X        1       2214   0     108
GLAXOSMITHKLINE PLC ADR                                              X                 1      16997   0       0
GLAXOSMITHKLINE PLC ADR                                                       X        1      25794   0    6700
GOLD FIELDS LIMITED ADR                                              X                 1        250   0       0
GOLDCORP INC                                                         X                 1       1000   0       0
GOLDEN STAR RESOURCES LTD                                            X                 1       4000   0       0
GROUPE DANONE SPONS ADR                                                       X        1       1000   0       0
GRUPO TELEVISA SA SPONS ADR                                                   X        1        400   0       0
HARMONY GOLD MINING SPON ADR                                         X                 1       2425   0       0
HELLENIC TELECOMMUNICATIONS ORG ADR                                  X                 1         50   0       0
HSBC HOLDINGS PLC SPON ADR                                           X                 1       1299   0       0
HSBC HOLDINGS PLC SPON ADR                                                    X        1       1275   0       0
HUANENG POWER INTL- SPONS ADR                                                 X        1       2620   0       0
HURRAY HOLDING CO LTD                                                X                 1       5200   0       0
ICICI BANK LIMITED SPONSORED ADR                                     X                 1        300   0       0
IMPERIAL TOBACCO GROUP ADR                                                    X        1         45   0       0
INFOSYS TECHNOLOGIES LTDSPON ADR                                     X                 1        200   0       0
ING GROEP NV SPONSORED ADR                                                    X        1        550   0       0
INGERSOLL-RAND COMPANY LTD-A                                         X                 1       4896   0       0
INGERSOLL-RAND COMPANY LTD-A                                                  X        1      11550   0       0
KINROSS GOLD CORPORATION                                             X                 1       1969   0       0
KNIGHTSBRIDGE TANKERS LTD                                            X                 1        500   0       0
KONINKLIJKE PHILIPS ELEC N V NY SHR                                  X                 1        450   0       0
KONINKLIJKE PHILIPS ELEC N V NY SHR                                           X        1        500   0       0


                                   46 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
LAN AIRLINES SA SPON ADR                                     COMMON STOCK   501723100      47       1200   SHARES
LLOYDS TSB GROUP PLC ADR                                     COMMON STOCK   539439109       4        100   SHARES
MAGNA INTL INC CL A                                          COMMON STOCK   559222401      45        600   SHARES
MAGNA INTL INC CL A                                          COMMON STOCK   559222401      11        150   SHARES
MANULIFE FINANCIAL CORP                                      COMMON STOCK   56501R106    1023      16291   SHARES
MANULIFE FINANCIAL CORP                                      COMMON STOCK   56501R106      67       1060   SHARES
MARVEL TECHNOLOGY GROUP LTD                                  COMMON STOCK   G5876H105       2         30   SHARES
MATSUSHITA ELEC IND SPON ADR                                 COMMON STOCK   576879209      11        500   SHARES
MAX RE CAPITAL LIMITED                                       COMMON STOCK   G6052F103       4        165   SHARES
MI DEVELOPMENTS INC                                          COMMON STOCK   55304X104      21        600   SHARES
NABORS INDUSTRIES LTD                                        COMMON STOCK   G6359F103    7352     102706   SHARES
NABORS INDUSTRIES LTD                                        COMMON STOCK   G6359F103    1247      17420   SHARES
NABORS INDUSTRIES LTD                                        COMMON STOCK   G6359F103    1074      14999   SHARES
NAM TAI ELECTRONICS INCORPORATED                             COMMON STOCK   629865205      73       3200   SHARES
NAM TAI ELECTRONICS INCORPORATED                             COMMON STOCK   629865205      11        500   SHARES
NATIONAL AUSTRALIA BK LTD                                    COMMON STOCK   632525408      67        500   SHARES
NISSAN MTR LTD SPONSORED ADR                                 COMMON STOCK   654744408      24       1000   SHARES
NOBLE CORPORATION                                            COMMON STOCK   G65422100     188       2315   SHARES
NOKIA CORP SPONSORED ADR                                     COMMON STOCK   654902204    1183      57117   SHARES
NOKIA CORP SPONSORED ADR                                     COMMON STOCK   654902204     363      17521   SHARES
NOMURA HLDGS INC                                             COMMON STOCK   65535H208       4        195   SHARES
NORTEL NETWORKS CORP                                         COMMON STOCK   656568102      13       4425   SHARES
NORTEL NETWORKS CORP                                         COMMON STOCK   656568102       2        789   SHARES
NOVARTIS AG ADR                                              COMMON STOCK   66987V109    5780     104260   SHARES
NOVARTIS AG ADR                                              COMMON STOCK   66987V109     602      10858   SHARES
NOVARTIS AG ADR                                              COMMON STOCK   66987V109    1482      26727   SHARES
NOVELIS INC                                                  COMMON STOCK   67000X106       6        270   SHARES
ON TRACK INNOVATIONS LTD                                     COMMON STOCK   M8791A109      68       5400   SHARES
PARTNERRE LTD                                                COMMON STOCK   G6852T105      70       1125   SHARES
PETRO-CANADA                                                 COMMON STOCK   71644E102      76       1600   SHARES
PETROFUND ENERGY TRUST                                       COMMON STOCK   71648W108      35       1600   SHARES
PRIMEWEST ENERGY TRUST                                       COMMON STOCK   741930309      17        600   SHARES
PROVIDENT ENERGY TRUST UNITS                                 COMMON STOCK   74386K104      45       4000   SHARES
PROVIDENT ENERGY TRUST UNITS                                 COMMON STOCK   74386K104      19       1700   SHARES
RADA ELECTRONIC INDUSTRIES LTD                               COMMON STOCK   M81863108       1        600   SHARES
RADVISION LTD                                                COMMON STOCK   M81869105      68       3800   SHARES
REPSOL YPF SA SPON ADR                                       COMMON STOCK   76026T205      43       1500   SHARES
RESEARCH IN MOTION LIMITED                                   COMMON STOCK   760975102       8        100   SHARES
REUTERS GROUP PLC SPONS ADR                                  COMMON STOCK   76132M102      30        719   SHARES
REXAM PLC                                                    COMMON STOCK   761655406      29        600   SHARES
ROYAL BK CANADA                                              COMMON STOCK   780087102      42        500   SHARES
ROYAL CARIBBEAN CRUISES LTD                                  COMMON STOCK   V7780T103     285       6785   SHARES
ROYAL DUTCH SHELL PLC-ADR A                                  COMMON STOCK   780259206    3869      62135   SHARES
ROYAL DUTCH SHELL PLC-ADR A                                  COMMON STOCK   780259206    3544      56925   SHARES
ROYAL DUTCH SHELL PLC-ADR A                                  COMMON STOCK   780259206     349       5600   SHARES
ROYAL DUTCH SHELL PLC-ADR B                                  COMMON STOCK   780259107      11        172   SHARES
ROYAL DUTCH SHELL PLC-ADR B                                  COMMON STOCK   780259107      34        517   SHARES
SAN PAOLO IMI SPA SPONSORED ADR                              COMMON STOCK   799175104       3         95   SHARES
SANOFI-AVENTIS ADR                                           COMMON STOCK   80105N105      71       1500   SHARES
SANOFI-AVENTIS ADR                                           COMMON STOCK   80105N105      64       1342   SHARES
SAP AG SPONS ADR                                             COMMON STOCK   803054204     433       7975   SHARES
SAP AG SPONS ADR                                             COMMON STOCK   803054204      65       1200   SHARES
SAP AG SPONS ADR                                             COMMON STOCK   803054204     530       9760   SHARES
SASOL LTD SPONS-ADR                                          COMMON STOCK   803866300      38       1000   SHARES
SCHERING AG-ADR                                              COMMON STOCK   806585204       4         40   SHARES
SCHLUMBERGER LTD                                             COMMON STOCK   806857108   12211      96480   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
LAN AIRLINES SA SPON ADR                                             X                 1       1200   0       0
LLOYDS TSB GROUP PLC ADR                                                      X        1        100   0       0
MAGNA INTL INC CL A                                                  X                 1        600   0       0
MAGNA INTL INC CL A                                                           X        1        150   0       0
MANULIFE FINANCIAL CORP                                              X                 1      16291   0       0
MANULIFE FINANCIAL CORP                                                       X        1       1060   0       0
MARVEL TECHNOLOGY GROUP LTD                                          X                 1         30   0       0
MATSUSHITA ELEC IND SPON ADR                                         X                 1        500   0       0
MAX RE CAPITAL LIMITED                                               X                 1        165   0       0
MI DEVELOPMENTS INC                                                           X        1        600   0       0
NABORS INDUSTRIES LTD                                                X                 1     101126   0    1580
NABORS INDUSTRIES LTD                                                         X        1      16770   0     650
NABORS INDUSTRIES LTD                                                X                 3      12619   0    2380
NAM TAI ELECTRONICS INCORPORATED                                     X                 1       3200   0       0
NAM TAI ELECTRONICS INCORPORATED                                              X        1          0   0     500
NATIONAL AUSTRALIA BK LTD                                                     X        1        500   0       0
NISSAN MTR LTD SPONSORED ADR                                         X                 1       1000   0       0
NOBLE CORPORATION                                                    X                 1       2315   0       0
NOKIA CORP SPONSORED ADR                                             X                 1      57117   0       0
NOKIA CORP SPONSORED ADR                                                      X        1      16721   0     800
NOMURA HLDGS INC                                                              X        1        195   0       0
NORTEL NETWORKS CORP                                                 X                 1       4425   0       0
NORTEL NETWORKS CORP                                                          X        1        789   0       0
NOVARTIS AG ADR                                                      X                 1     101299   0    2961
NOVARTIS AG ADR                                                               X        1       8248   0    2610
NOVARTIS AG ADR                                                      X                 3      21761   0    4966
NOVELIS INC                                                                   X        1        270   0       0
ON TRACK INNOVATIONS LTD                                             X                 1       5400   0       0
PARTNERRE LTD                                                                 X        1       1125   0       0
PETRO-CANADA                                                                  X        1       1600   0       0
PETROFUND ENERGY TRUST                                                        X        1       1600   0       0
PRIMEWEST ENERGY TRUST                                                        X        1        600   0       0
PROVIDENT ENERGY TRUST UNITS                                         X                 1       4000   0       0
PROVIDENT ENERGY TRUST UNITS                                                  X        1       1700   0       0
RADA ELECTRONIC INDUSTRIES LTD                                       X                 1        600   0       0
RADVISION LTD                                                        X                 1       3800   0       0
REPSOL YPF SA SPON ADR                                               X                 1       1500   0       0
RESEARCH IN MOTION LIMITED                                           X                 1        100   0       0
REUTERS GROUP PLC SPONS ADR                                          X                 1        719   0       0
REXAM PLC                                                            X                 1        600   0       0
ROYAL BK CANADA                                                               X        1        500   0       0
ROYAL CARIBBEAN CRUISES LTD                                          X                 1       6785   0       0
ROYAL DUTCH SHELL PLC-ADR A                                          X                 1      61735   0     400
ROYAL DUTCH SHELL PLC-ADR A                                                   X        1      52925   0    4000
ROYAL DUTCH SHELL PLC-ADR A                                          X                 3       5000   0     600
ROYAL DUTCH SHELL PLC-ADR B                                          X                 1        172   0       0
ROYAL DUTCH SHELL PLC-ADR B                                                   X        1        517   0       0
SAN PAOLO IMI SPA SPONSORED ADR                                               X        1         95   0       0
SANOFI-AVENTIS ADR                                                   X                 1       1500   0       0
SANOFI-AVENTIS ADR                                                            X        1       1342   0       0
SAP AG SPONS ADR                                                     X                 1       7975   0       0
SAP AG SPONS ADR                                                              X        1       1200   0       0
SAP AG SPONS ADR                                                     X                 3       9760   0       0
SASOL LTD SPONS-ADR                                                           X        1       1000   0       0
SCHERING AG-ADR                                                               X        1         40   0       0
SCHLUMBERGER LTD                                                     X                 1      96380   0     100


                                   47 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
SCHLUMBERGER LTD                                             COMMON STOCK   806857108    5450      43063   SHARES
SCHLUMBERGER LTD                                             COMMON STOCK   806857108     599       4735   SHARES
SCOTTISH POWER PLC ADR                                       COMMON STOCK   81013T705      54       1343   SHARES
SCOTTISH POWER PLC ADR                                       COMMON STOCK   81013T705      30        756   SHARES
SEAGATE TECHNOLOGY                                           COMMON STOCK   G7945J104    2284      86731   SHARES
SEAGATE TECHNOLOGY                                           COMMON STOCK   G7945J104     157       5979   SHARES
SEAGATE TECHNOLOGY                                           COMMON STOCK   G7945J104     960      36445   SHARES
SHIP FINANCE INTL LTD                                        COMMON STOCK   G81075106       2         95   SHARES
SIEMENS A G SPONSORED ADR                                    COMMON STOCK   826197501       4         45   SHARES
SONY CORP - SPONSORED ADR                                    COMMON STOCK   835699307      55       1200   SHARES
STATOIL ASA SPONSORED ADR                                    COMMON STOCK   85771P102       3        100   SHARES
STMICROELECTRONICS N V                                       COMMON STOCK   861012102      15        800   SHARES
STOLT OFFSHORE S A SPONSORED ADR                             COMMON STOCK   861567105     113       7300   SHARES
STORA ENSO OYJ SPONSORED ADR                                 COMMON STOCK   86210M106      23       1500   SHARES
SUN LIFE FINL INC                                            COMMON STOCK   866796105     147       3454   SHARES
SUNCOR ENERGY INC                                            COMMON STOCK   867229106      42        550   SHARES
SYNERON MEDICAL LTD                                          COMMON STOCK   M87245102      66       2250   SHARES
TAIWAN SEMICONDUCTOR SPON ADR                                COMMON STOCK   874039100     181      18041   SHARES
TAIWAN SEMICONDUCTOR SPON ADR                                COMMON STOCK   874039100      36       3588   SHARES
TALISMAN ENERGY INC                                          COMMON STOCK   87425E103      54       1010   SHARES
TD BANKNORTH INC                                             COMMON STOCK   87235A101      13        441   SHARES
TD BANKNORTH INC                                             COMMON STOCK   87235A101     101       3440   SHARES
TDC A/S SPONSORED ADR                                        COMMON STOCK   87236N102       3        100   SHARES
TELE CENTRO OESTE CELULAR PARTIC ADR                         COMMON STOCK   87923P105      38       3000   SHARES
TELECOM NEW ZEALAND SPON ADR                                 COMMON STOCK   879278208       3        100   SHARES
TELECOM NEW ZEALAND SPON ADR                                 COMMON STOCK   879278208      55       2000   SHARES
TELECOMUNICACOES DE SAO PAULO SA ADR                         COMMON STOCK   87929A102       2        100   SHARES
TELEFONAKTIEBOLAGET LM ERICSSON ADR                          COMMON STOCK   294821608      16        430   SHARES
TELEFONAKTIEBOLAGET LM ERICSSON ADR                          COMMON STOCK   294821608      61       1630   SHARES
TELEFONICA S A SPONSORED ADR                                 COMMON STOCK   879382208      98       2080   SHARES
TELEFONOS DE MEXICO SP ADR A                                 COMMON STOCK   879403707      98       4396   SHARES
TELEFONOS DE MEXICO SP ADR L                                 COMMON STOCK   879403780     169       7530   SHARES
TELEFONOS DE MEXICO SP ADR L                                 COMMON STOCK   879403780      49       2200   SHARES
TELSTRA CORP-ADR                                             COMMON STOCK   87969N204       1        100   SHARES
TEVA PHARMACEUTICAL SPONS ADR                                COMMON STOCK   881624209     595      14455   SHARES
TEVA PHARMACEUTICAL SPONS ADR                                COMMON STOCK   881624209     180       4380   SHARES
TOMMY HILFIGER CORP                                          COMMON STOCK   G8915Z102      13        800   SHARES
TORONTO-DOMINION BANK                                        COMMON STOCK   891160509      12        211   SHARES
TORONTO-DOMINION BANK                                        COMMON STOCK   891160509      79       1410   SHARES
TOTAL SA SPONSORED ADR                                       COMMON STOCK   89151E109       3         26   SHARES
TOTAL SA SPONSORED ADR                                       COMMON STOCK   89151E109       7         56   SHARES
TOYOTA MOTOR CORP SPON ADR                                   COMMON STOCK   892331307      16        150   SHARES
TOYOTA MOTOR CORP SPON ADR                                   COMMON STOCK   892331307      33        300   SHARES
TRANSCANADA CORP                                             COMMON STOCK   89353D107       9        300   SHARES
TSAKOS ENERGY NAVIAGATION LTD                                COMMON STOCK   G9108L108       5        125   SHARES
TYCO INTERNATIONAL LTD                                       COMMON STOCK   902124106     769      28621   SHARES
TYCO INTERNATIONAL LTD                                       COMMON STOCK   902124106    3794     141132   SHARES
TYCO INTERNATIONAL LTD                                       COMMON STOCK   902124106      27       1000   SHARES
UBS AG                                                       COMMON STOCK   H8920M855     194       1761   SHARES
UBS AG                                                       COMMON STOCK   H8920M855       6         55   SHARES
ULTRA PETROLEUM CORP                                         COMMON STOCK   903914109      56        900   SHARES
UNILEVER NV NY SHARES                                        COMMON STOCK   904784709     430       6214   SHARES
UNILEVER NV NY SHARES                                        COMMON STOCK   904784709     299       4317   SHARES
UNILEVER PLC SPONSORED ADR                                   COMMON STOCK   904767704       4         89   SHARES
UNILEVER PLC SPONSORED ADR                                   COMMON STOCK   904767704      46       1125   SHARES
VIVENDI UNIVERSAL SA SPONSORED ADR                           COMMON STOCK   92851S204       2         70   SHARES




                                                                    COLUMN 6                      COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7  VOTING AUTHORITY
--------                                                     ---------------------- -------- -------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------                                               ---- -------- -------- -------- ------ ------ -----
                                                                                      
SCHLUMBERGER LTD                                                              X        1      41013   0     2050
SCHLUMBERGER LTD                                                     X                 3       1735   0     3000
SCOTTISH POWER PLC ADR                                               X                 1       1343   0        0
SCOTTISH POWER PLC ADR                                                        X        1        756   0        0
SEAGATE TECHNOLOGY                                                   X                 1      82840   0     3891
SEAGATE TECHNOLOGY                                                            X        1       3129   0     2850
SEAGATE TECHNOLOGY                                                   X                 3      32567   0     3878
SHIP FINANCE INTL LTD                                                X                 1         95   0        0
SIEMENS A G SPONSORED ADR                                                     X        1         45   0        0
SONY CORP - SPONSORED ADR                                                     X        1       1200   0        0
STATOIL ASA SPONSORED ADR                                            X                 1        100   0        0
STMICROELECTRONICS N V                                               X                 1        800   0        0
STOLT OFFSHORE S A SPONSORED ADR                                     X                 1       7300   0        0
STORA ENSO OYJ SPONSORED ADR                                                  X        1       1500   0        0
SUN LIFE FINL INC                                                    X                 1       3454   0        0
SUNCOR ENERGY INC                                                    X                 1        550   0        0
SYNERON MEDICAL LTD                                                  X                 1       2250   0        0
TAIWAN SEMICONDUCTOR SPON ADR                                        X                 1      17024   0     1017
TAIWAN SEMICONDUCTOR SPON ADR                                                 X        1       2392   0     1196
TALISMAN ENERGY INC                                                  X                 1       1010   0        0
TD BANKNORTH INC                                                     X                 1        441   0        0
TD BANKNORTH INC                                                              X        1       3440   0        0
TDC A/S SPONSORED ADR                                                         X        1        100   0        0
TELE CENTRO OESTE CELULAR PARTIC ADR                                 X                 1       3000   0        0
TELECOM NEW ZEALAND SPON ADR                                         X                 1        100   0        0
TELECOM NEW ZEALAND SPON ADR                                                  X        1       2000   0        0
TELECOMUNICACOES DE SAO PAULO SA ADR                                          X        1        100   0        0
TELEFONAKTIEBOLAGET LM ERICSSON ADR                                  X                 1        430   0        0
TELEFONAKTIEBOLAGET LM ERICSSON ADR                                           X        1       1630   0        0
TELEFONICA S A SPONSORED ADR                                         X                 1       2080   0        0
TELEFONOS DE MEXICO SP ADR A                                         X                 1       4396   0        0
TELEFONOS DE MEXICO SP ADR L                                         X                 1       7530   0        0
TELEFONOS DE MEXICO SP ADR L                                                  X        1        200   0     2000
TELSTRA CORP-ADR                                                              X        1        100   0        0
TEVA PHARMACEUTICAL SPONS ADR                                        X                 1      14455   0        0
TEVA PHARMACEUTICAL SPONS ADR                                                 X        1       4245   0      135
TOMMY HILFIGER CORP                                                  X                 1        800   0        0
TORONTO-DOMINION BANK                                                X                 1        211   0        0
TORONTO-DOMINION BANK                                                         X        1       1410   0        0
TOTAL SA SPONSORED ADR                                               X                 1         26   0        0
TOTAL SA SPONSORED ADR                                                        X        1         56   0        0
TOYOTA MOTOR CORP SPON ADR                                           X                 1        150   0        0
TOYOTA MOTOR CORP SPON ADR                                                    X        1        300   0        0
TRANSCANADA CORP                                                              X        1        300   0        0
TSAKOS ENERGY NAVIAGATION LTD                                        X                 1        125   0        0
TYCO INTERNATIONAL LTD                                               X                 1      15803   0    12818
TYCO INTERNATIONAL LTD                                                        X        1     137618   0     3514
TYCO INTERNATIONAL LTD                                               X                 3        600   0      400
UBS AG                                                               X                 1       1761   0        0
UBS AG                                                                        X        1         55   0        0
ULTRA PETROLEUM CORP                                                 X                 1        900   0        0
UNILEVER NV NY SHARES                                                X                 1       6214   0        0
UNILEVER NV NY SHARES                                                         X        1       4317   0        0
UNILEVER PLC SPONSORED ADR                                           X                 1         89   0        0
UNILEVER PLC SPONSORED ADR                                                    X        1       1125   0        0
VIVENDI UNIVERSAL SA SPONSORED ADR                                            X        1         70   0        0


                                   48 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
VODAFONE GROUP PLC SPONSORED ADR                             COMMON STOCK   92857W100     1024      48994  SHARES
VODAFONE GROUP PLC SPONSORED ADR                             COMMON STOCK   92857W100      618      29560  SHARES
VODAFONE GROUP PLC SPONSORED ADR                             COMMON STOCK   92857W100       63       3000  SHARES
VOLVO AB SPONS ADR B                                         COMMON STOCK   928856400       28        600  SHARES
WEATHERFORD INTL LTD BERMUDA                                 COMMON STOCK   G95089101     2207      48248  SHARES
WEATHERFORD INTL LTD BERMUDA                                 COMMON STOCK   G95089101      139       3035  SHARES
WEATHERFORD INTL LTD BERMUDA                                 COMMON STOCK   G95089101      368       8048  SHARES
WHITE MOUNTAINS INSURANCE GROUP LTD                          COMMON STOCK   G9618E107       59        100  SHARES
XL CAPITAL LTD CL A                                          COMMON STOCK   G98255105       29        460  SHARES

SUBTOTALS FOR FOREIGN COMMON STOCK/ADR'S                                                200664    3984390

A. COMMON STOCK
RIGHTS AND WARRANTS
FOSTER WHEELER LTD WARRANTS 9/24/07                          COMMON STOCK   G36535113        0          1  SHARES
MIRANT CORP-W/I-CW11 1/03/11                                 COMMON STOCK   60467R118        2        154  SHARES
MIRANT CORP-W/I-CW11 1/03/11                                 COMMON STOCK   60467R118        1         96  SHARES
NORTHWESTERN CORP WARRANTS 11/01/07                          COMMON STOCK   668074115        5        898  SHARES

SUBTOTALS FOR RIGHTS AND WARRANTS                                                            8       1149

A. COMMON STOCK
REAL ESTATE INVESTMENT TRUSTS
AMERICAN FINANCIAL REALTY TRUST                              COMMON STOCK   02607P305       47       4000  SHARES
ANNALY MTGE MANAGEMENT INC (REIT)                            COMMON STOCK   035710409        6        500  SHARES
ANTHRACITE CAPITAL INC COM                                   COMMON STOCK   037023108       23       2051  SHARES
APARTMENT INVT & MGMT CL A                                   COMMON STOCK   03748R101        9        200  SHARES
ARCHSTONE- SMITH TRUST (REIT)                                COMMON STOCK   039583109      228       4681  SHARES
ARCHSTONE- SMITH TRUST (REIT)                                COMMON STOCK   039583109      184       3772  SHARES
AVALONBAY COMMUNITIES INC                                    COMMON STOCK   053484101       99        905  SHARES
BOSTON PROPERTIES INC (REIT)                                 COMMON STOCK   101121101      700       7512  SHARES
BOSTON PROPERTIES INC (REIT)                                 COMMON STOCK   101121101      364       3900  SHARES
BRANDYWINE REALTY TRUST (REIT)                               COMMON STOCK   105368203       67       2100  SHARES
CAMDEN PROPERTY TRUST (REIT)                                 COMMON STOCK   133131102       72       1000  SHARES
COMMERCIAL NET LEASE REALTY (REIT)                           COMMON STOCK   202218103       16        700  SHARES
CORP OFFICE PROPERTIES TR (REIT)                             COMMON STOCK   22002T108       69       1500  SHARES
CROSS TIMBERS ROYALTY TRUST                                  COMMON STOCK   22757R109        0          1  SHARES
DEV DIVERSIFIED RLTY CORP                                    COMMON STOCK   251591103       60       1091  SHARES
DEV DIVERSIFIED RLTY CORP                                    COMMON STOCK   251591103       38        700  SHARES
DUKE REALTY CORP                                             COMMON STOCK   264411505      140       3680  SHARES
DUKE REALTY CORP                                             COMMON STOCK   264411505      129       3400  SHARES
EDUCATION REALTY TRUST INC REIT                              COMMON STOCK   28140H104       55       3625  SHARES
EQUITY OFFICE PROPERTIES TR (REIT)                           COMMON STOCK   294741103      675      20111  SHARES
EQUITY OFFICE PROPERTIES TR (REIT)                           COMMON STOCK   294741103      828      24650  SHARES
EQUITY ONE INCORPORATED                                      COMMON STOCK   294752100       39       1600  SHARES
EQUITY RESIDENTIAL (REIT)                                    COMMON STOCK   29476L107      185       3950  SHARES
EQUITY RESIDENTIAL (REIT)                                    COMMON STOCK   29476L107       85       1812  SHARES
FEDERAL REALTY INV TR (REIT)                                 COMMON STOCK   313747206      105       1400  SHARES




                                                                    COLUMN 6                       COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7   VOTING AUTHORITY
--------                                                     ---------------------- -------- ---------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------                                               ---- -------- -------- -------- ------- ------ ------
                                                                                       
VODAFONE GROUP PLC SPONSORED ADR                                     X                 1       48994     0       0
VODAFONE GROUP PLC SPONSORED ADR                                              X        1       28375     0    1185
VODAFONE GROUP PLC SPONSORED ADR                                     X                 3           0     0    3000
VOLVO AB SPONS ADR B                                                          X        1           0     0     600
WEATHERFORD INTL LTD BERMUDA                                         X                 1       48248     0       0
WEATHERFORD INTL LTD BERMUDA                                                  X        1        3035     0       0
WEATHERFORD INTL LTD BERMUDA                                         X                 3        8048     0       0
WHITE MOUNTAINS INSURANCE GROUP LTD                                  X                 1         100     0       0
XL CAPITAL LTD CL A                                                           X        1         460     0       0

SUBTOTALS FOR FOREIGN COMMON STOCK/ADR'S                                                     3404782 10511  569097

A. COMMON STOCK
RIGHTS AND WARRANTS
FOSTER WHEELER LTD WARRANTS 9/24/07                                  X                 1           1     0       0
MIRANT CORP-W/I-CW11 1/03/11                                         X                 1         154     0       0
MIRANT CORP-W/I-CW11 1/03/11                                                  X        1          54     0      42
NORTHWESTERN CORP WARRANTS 11/01/07                                  X                 1         898     0       0

SUBTOTALS FOR RIGHTS AND WARRANTS                                                               1107     0      42

A. COMMON STOCK
REAL ESTATE INVESTMENT TRUSTS
AMERICAN FINANCIAL REALTY TRUST                                      X                 1        N.A.  N.A.    N.A.
ANNALY MTGE MANAGEMENT INC (REIT)                                             X        1        N.A.  N.A.    N.A.
ANTHRACITE CAPITAL INC COM                                           X                 1        N.A.  N.A.    N.A.
APARTMENT INVT & MGMT CL A                                                    X        1        N.A.  N.A.    N.A.
ARCHSTONE- SMITH TRUST (REIT)                                        X                 1        N.A.  N.A.    N.A.
ARCHSTONE- SMITH TRUST (REIT)                                                 X        1        N.A.  N.A.    N.A.
AVALONBAY COMMUNITIES INC                                            X                 1        N.A.  N.A.    N.A.
BOSTON PROPERTIES INC (REIT)                                         X                 1        N.A.  N.A.    N.A.
BOSTON PROPERTIES INC (REIT)                                                  X        1        N.A.  N.A.    N.A.
BRANDYWINE REALTY TRUST (REIT)                                       X                 1        N.A.  N.A.    N.A.
CAMDEN PROPERTY TRUST (REIT)                                         X                 1        N.A.  N.A.    N.A.
COMMERCIAL NET LEASE REALTY (REIT)                                            X        1        N.A.  N.A.    N.A.
CORP OFFICE PROPERTIES TR (REIT)                                     X                 1        N.A.  N.A.    N.A.
CROSS TIMBERS ROYALTY TRUST                                          X                 1        N.A.  N.A.    N.A.
DEV DIVERSIFIED RLTY CORP                                            X                 1        N.A.  N.A.    N.A.
DEV DIVERSIFIED RLTY CORP                                                     X        1        N.A.  N.A.    N.A.
DUKE REALTY CORP                                                     X                 1        N.A.  N.A.    N.A.
DUKE REALTY CORP                                                              X        1        N.A.  N.A.    N.A.
EDUCATION REALTY TRUST INC REIT                                               X        1        N.A.  N.A.    N.A.
EQUITY OFFICE PROPERTIES TR (REIT)                                   X                 1        N.A.  N.A.    N.A.
EQUITY OFFICE PROPERTIES TR (REIT)                                            X        1        N.A.  N.A.    N.A.
EQUITY ONE INCORPORATED                                              X                 1        N.A.  N.A.    N.A.
EQUITY RESIDENTIAL (REIT)                                            X                 1        N.A.  N.A.    N.A.
EQUITY RESIDENTIAL (REIT)                                                     X        1        N.A.  N.A.    N.A.
FEDERAL REALTY INV TR (REIT)                                         X                 1        N.A.  N.A.    N.A.


                                   49 of 57





                                                                                                  SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     -------------- --------- ---------- ------------------------
                                                                                                  SHARES
                                                                                                    OR      SHARES   PUT
                                                                                        VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- --------- ---------- --------- --------- ----
                                                                                                   
FIRST INDUSTRIAL REALTY TR (REIT)                            COMMON STOCK   32054K103      12        275   SHARES
GENERAL GROWTH PPTYS INC                                     COMMON STOCK   370021107     191       3900   SHARES
GENERAL GROWTH PPTYS INC                                     COMMON STOCK   370021107      24        500   SHARES
GLADSTONE COMMERCIAL CORP                                    COMMON STOCK   376536108      81       4000   SHARES
HEALTH CARE PROPERTY (REIT)                                  COMMON STOCK   421915109      70       2458   SHARES
HEALTH CARE REIT INC                                         COMMON STOCK   42217K106      38       1000   SHARES
HEALTHCARE REALTY TRUST INC (REIT)                           COMMON STOCK   421946104      76       2030   SHARES
HEALTHCARE REALTY TRUST INC (REIT)                           COMMON STOCK   421946104       7        200   SHARES
HERSHA HOSPITALITY TRUST                                     COMMON STOCK   427825104      18       1800   SHARES
HIGHWOODS PROPERTIES (REIT)                                  COMMON STOCK   431284108      17        500   SHARES
HOME PROPERTIES INC (REIT)                                   COMMON STOCK   437306103     194       3800   SHARES
HOME PROPERTIES INC (REIT)                                   COMMON STOCK   437306103     485       9488   SHARES
HOSPITALITY PROPERTIES TRUST (REIT)                          COMMON STOCK   44106M102       9        200   SHARES
HOSPITALITY PROPERTIES TRUST (REIT)                          COMMON STOCK   44106M102      13        300   SHARES
HOST MARRIOTT CORP NEW COM                                   COMMON STOCK   44107P104       3        117   SHARES
HRPT PROPERTIES TRUST (REIT)                                 COMMON STOCK   40426W101       2        148   SHARES
HRPT PROPERTIES TRUST (REIT)                                 COMMON STOCK   40426W101      14       1200   SHARES
IMPAC MORTGAGE HOLDINGS INC(REIT)                            COMMON STOCK   45254P102       2        200   SHARES
ISTAR FINL INC COM                                           COMMON STOCK   45031U101      57       1500   SHARES
KIMCO REALTY CORP (REIT)                                     COMMON STOCK   49446R109      25        622   SHARES
LASALLE HOTEL PROP REIT                                      COMMON STOCK   517942108       4        100   SHARES
LEXINGTON CORP PROPERTIES TR (REIT)                          COMMON STOCK   529043101      26       1257   SHARES
LIBERTY PROPERTY TRUST (REIT)                                COMMON STOCK   531172104       5        100   SHARES
MACK CALI RLTY CORP                                          COMMON STOCK   554489104      10        200   SHARES
MILLS CORP COM                                               COMMON STOCK   601148109      45       1620   SHARES
MILLS CORP COM                                               COMMON STOCK   601148109      11        375   SHARES
MORTGAGEIT HOLDINGS INC                                      COMMON STOCK   61915Q108      54       5000   SHARES
NATIONWIDE HEALTH PROPERTIES (REIT)                          COMMON STOCK   638620104      32       1500   SHARES
NEW PLAN EXCEL REALTY TR (REIT)                              COMMON STOCK   648053106      31       1200   SHARES
NEW PLAN EXCEL REALTY TR (REIT)                              COMMON STOCK   648053106     109       4200   SHARES
NOVASTAR FINANCIAL INCORPORATED                              COMMON STOCK   669947400      84       2500   SHARES
OPTEUM INC                                                   COMMON STOCK   68384A100       1        100   SHARES
PENN ESTATE INV TR (REIT)                                    COMMON STOCK   709102107      67       1516   SHARES
PENN ESTATE INV TR (REIT)                                    COMMON STOCK   709102107      13        300   SHARES
PLUM CREEK TIMBER CO INC                                     COMMON STOCK   729251108      38       1025   SHARES
PLUM CREEK TIMBER CO INC                                     COMMON STOCK   729251108       7        200   SHARES
PROLOGIS (REIT)                                              COMMON STOCK   743410102      28        519   SHARES
RAIT INVESTMENT TRUST                                        COMMON STOCK   749227104      14        500   SHARES
RECKSON ASSOCS RLTY CORP                                     COMMON STOCK   75621K106      76       1650   SHARES
REDWOOD TRUST INC-REIT                                       COMMON STOCK   758075402       9        200   SHARES
SAUL CENTERS INCORPORATED                                    COMMON STOCK   804395101      44       1000   SHARES
SENIOR HOUSING PROPERTIES TR (REIT)                          COMMON STOCK   81721M109       2        100   SHARES
SHURGARD STORAGE CENTERS INC CL A                            COMMON STOCK   82567D104      20        300   SHARES
SIMON PROPERTY GRP INC (REIT)                                COMMON STOCK   828806109    1761      20930   SHARES
SIMON PROPERTY GRP INC (REIT)                                COMMON STOCK   828806109    1443      17150   SHARES
SPIRIT FINANCE CORP-REITS                                    COMMON STOCK   848568309      31       2500   SHARES
TANGER FACTORY OUTLET CENTERS INC                            COMMON STOCK   875465106       7        200   SHARES
THORNBURG MTG INC (REIT)                                     COMMON STOCK   885218107     496      18340   SHARES
THORNBURG MTG INC (REIT)                                     COMMON STOCK   885218107     149       5500   SHARES
UNITED DOMINION REALTY TRUST (REIT)                          COMMON STOCK   910197102      26        900   SHARES
UNITED DOMINION REALTY TRUST (REIT)                          COMMON STOCK   910197102     233       8149   SHARES
UNITED DOMINION REALTY TRUST (REIT)                          COMMON STOCK   910197102      49       1700   SHARES
URSTADT BIDDLE PPTYS INC CL A (REIT)                         COMMON STOCK   917286205      54       3000   SHARES
W P CAREY & CO LLC                                           COMMON STOCK   92930Y107       7        263   SHARES
W P CAREY & CO LLC                                           COMMON STOCK   92930Y107     134       5019   SHARES
WASHINGTON REAL ESTATE INVT (REIT)                           COMMON STOCK   939653101     190       5225   SHARES




                                                                    COLUMN 6                     COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
--------                                                     ---------------------- -------- -----------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
--------------                                               ---- -------- -------- -------- ---- ------ -----
                                                                                    
FIRST INDUSTRIAL REALTY TR (REIT)                                    X                 1     N.A.  N.A.  N.A.
GENERAL GROWTH PPTYS INC                                             X                 1     N.A.  N.A.  N.A.
GENERAL GROWTH PPTYS INC                                                      X        1     N.A.  N.A.  N.A.
GLADSTONE COMMERCIAL CORP                                            X                 1     N.A.  N.A.  N.A.
HEALTH CARE PROPERTY (REIT)                                          X                 1     N.A.  N.A.  N.A.
HEALTH CARE REIT INC                                                          X        1     N.A.  N.A.  N.A.
HEALTHCARE REALTY TRUST INC (REIT)                                   X                 1     N.A.  N.A.  N.A.
HEALTHCARE REALTY TRUST INC (REIT)                                            X        1     N.A.  N.A.  N.A.
HERSHA HOSPITALITY TRUST                                             X                 1     N.A.  N.A.  N.A.
HIGHWOODS PROPERTIES (REIT)                                                   X        1     N.A.  N.A.  N.A.
HOME PROPERTIES INC (REIT)                                           X                 1     N.A.  N.A.  N.A.
HOME PROPERTIES INC (REIT)                                                    X        1     N.A.  N.A.  N.A.
HOSPITALITY PROPERTIES TRUST (REIT)                                  X                 1     N.A.  N.A.  N.A.
HOSPITALITY PROPERTIES TRUST (REIT)                                           X        1     N.A.  N.A.  N.A.
HOST MARRIOTT CORP NEW COM                                           X                 1     N.A.  N.A.  N.A.
HRPT PROPERTIES TRUST (REIT)                                         X                 1     N.A.  N.A.  N.A.
HRPT PROPERTIES TRUST (REIT)                                                  X        1     N.A.  N.A.  N.A.
IMPAC MORTGAGE HOLDINGS INC(REIT)                                             X        1     N.A.  N.A.  N.A.
ISTAR FINL INC COM                                                   X                 1     N.A.  N.A.  N.A.
KIMCO REALTY CORP (REIT)                                                      X        1     N.A.  N.A.  N.A.
LASALLE HOTEL PROP REIT                                              X                 1     N.A.  N.A.  N.A.
LEXINGTON CORP PROPERTIES TR (REIT)                                           X        1     N.A.  N.A.  N.A.
LIBERTY PROPERTY TRUST (REIT)                                                 X        1     N.A.  N.A.  N.A.
MACK CALI RLTY CORP                                                  X                 1     N.A.  N.A.  N.A.
MILLS CORP COM                                                       X                 1     N.A.  N.A.  N.A.
MILLS CORP COM                                                                X        1     N.A.  N.A.  N.A.
MORTGAGEIT HOLDINGS INC                                                       X        1     N.A.  N.A.  N.A.
NATIONWIDE HEALTH PROPERTIES (REIT)                                           X        1     N.A.  N.A.  N.A.
NEW PLAN EXCEL REALTY TR (REIT)                                      X                 1     N.A.  N.A.  N.A.
NEW PLAN EXCEL REALTY TR (REIT)                                               X        1     N.A.  N.A.  N.A.
NOVASTAR FINANCIAL INCORPORATED                                               X        1     N.A.  N.A.  N.A.
OPTEUM INC                                                           X                 1     N.A.  N.A.  N.A.
PENN ESTATE INV TR (REIT)                                            X                 1     N.A.  N.A.  N.A.
PENN ESTATE INV TR (REIT)                                                     X        1     N.A.  N.A.  N.A.
PLUM CREEK TIMBER CO INC                                             X                 1     N.A.  N.A.  N.A.
PLUM CREEK TIMBER CO INC                                                      X        1     N.A.  N.A.  N.A.
PROLOGIS (REIT)                                                      X                 1     N.A.  N.A.  N.A.
RAIT INVESTMENT TRUST                                                         X        1     N.A.  N.A.  N.A.
RECKSON ASSOCS RLTY CORP                                             X                 1     N.A.  N.A.  N.A.
REDWOOD TRUST INC-REIT                                               X                 1     N.A.  N.A.  N.A.
SAUL CENTERS INCORPORATED                                            X                 1     N.A.  N.A.  N.A.
SENIOR HOUSING PROPERTIES TR (REIT)                                           X        1     N.A.  N.A.  N.A.
SHURGARD STORAGE CENTERS INC CL A                                    X                 1     N.A.  N.A.  N.A.
SIMON PROPERTY GRP INC (REIT)                                        X                 1     N.A.  N.A.  N.A.
SIMON PROPERTY GRP INC (REIT)                                                 X        1     N.A.  N.A.  N.A.
SPIRIT FINANCE CORP-REITS                                                     X        1     N.A.  N.A.  N.A.
TANGER FACTORY OUTLET CENTERS INC                                             X        1     N.A.  N.A.  N.A.
THORNBURG MTG INC (REIT)                                             X                 1     N.A.  N.A.  N.A.
THORNBURG MTG INC (REIT)                                                      X        1     N.A.  N.A.  N.A.
UNITED DOMINION REALTY TRUST (REIT)                                  X                 1     N.A.  N.A.  N.A.
UNITED DOMINION REALTY TRUST (REIT)                                           X        1     N.A.  N.A.  N.A.
UNITED DOMINION REALTY TRUST (REIT)                                  X                 3     N.A.  N.A.  N.A.
URSTADT BIDDLE PPTYS INC CL A (REIT)                                          X        1     N.A.  N.A.  N.A.
W P CAREY & CO LLC                                                   X                 1     N.A.  N.A.  N.A.
W P CAREY & CO LLC                                                            X        1     N.A.  N.A.  N.A.
WASHINGTON REAL ESTATE INVT (REIT)                                   X                 1     N.A.  N.A.  N.A.


                                   50 of 57





                                                                                                   SEC USE  ______________

COLUMN 1                                                        COLUMN 2     COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     --------------- --------- ---------- ------------------------
                                                                                                   SHARES
                                                                                                     OR      SHARES   PUT
                                                                                         VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               --------------- --------- ---------- --------- --------- ----
                                                                                                    
WASHINGTON REAL ESTATE INVT (REIT)                           COMMON STOCK    939653101       22        600  SHARES
WEINGARTEN REALTY INVESTORS (REIT)                           COMMON STOCK    948741103       41       1000  SHARES

SUBTOTALS FOR REAL ESTATE INVESTMENT TRUSTS                                               10934     249017

*SUMMARY PAGE FOR A. COMMON STOCK *
MINOR ASSET TYPE
43 DOMESTIC COMMON STOCKS                                                               3160684   73594589
44 FOREIGN COMMON STOCK/ADR'S                                                            200664    3984390
46 RIGHTS AND WARRANTS                                                                        8       1149
47 REAL ESTATE INVESTMENT TRUSTS                                                          10934     249017
*SUBTOTALS*                                                                             3372290   77829145

B. PREFERRED STOCK
DOMESTIC PREFERRED STOCKS
CHEVY CHASE BANK 8% SERIES C PFD                             PREFERRED STOCK 166779207     1534      58600  SHARES
QUANTA CAPITAL HOLDINGS PFD A 10.25%                         PREFERRED STOCK G7313F114      501      22350  SHARES
SAUL CENTERS PFD 8.0% SERIES                                 PREFERRED STOCK 804395200      237       9000  SHARES

SUBTOTALS FOR DOMESTIC PREFERRED STOCKS                                                    2272      89950

FOREIGN PREFERRED STOCKS
ROYAL BANK SCOTLAND PFD 6.4% SER M                           PREFERRED STOCK 780097796       50       2000  SHARES
ROYAL BANK SCOTLAND PFD 7.875% SER K                         PREFERRED STOCK 780097820       10        400  SHARES
ROYAL BANK SCOTLAND PLC ADR PFD E                            PREFERRED STOCK 780097705       13        500  SHARES

SUBTOTALS FOR FOREIGN PREFERRED STOCKS                                                       73       2900

B. PREFERRED STOCK
CONVERTIBLE PREFERRED STOCKS
FORD MOTOR CAP TR II PFD CONV 6.50%                          PREFERRED STOCK 345395206        6        200  SHARES
FORD MOTOR CAP TR II PFD CONV 6.50%                          PREFERRED STOCK 345395206        5        150  SHARES
GLENBOROUGH REALTY TR 7.75% CONV PFD                         PREFERRED STOCK 37803P204       19        752  SHARES
SCHERING- PLOUGH CV PFD 6.0% 09/14/07                        PREFERRED STOCK 806605606       39        775  SHARES
TEXTRON INC PFD CV $1.40 SER B                               PREFERRED STOCK 883203309       67        200  SHARES
TRUSTSTREET PPTYS PFD CONV 7.72%                             PREFERRED STOCK 898404207        2         90  SHARES
TRUSTSTREET PPTYS PFD CONV 7.72%                             PREFERRED STOCK 898404207        2         96  SHARES
AES TRUST III 6.75% CV PREFERRED                             PREFERRED STOCK 00808N202     1236      26500  SHARES
CHUBB CORP CONV 7.00% PREFERRED                              PREFERRED STOCK 171232507     2244      66000  SHARES
CONSTELLATION BRANDS 5.75% 09/01/06                          PREFERRED STOCK 21036P306     1066      28400  SHARES




                                                                    COLUMN 6                        COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7    VOTING AUTHORITY
--------                                                     ---------------------- -------- -----------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED  OTHER
--------------                                               ---- -------- -------- -------- -------- ------ -------
                                                                                        
WASHINGTON REAL ESTATE INVT (REIT)                                            X        1         N.A.  N.A.     N.A.
WEINGARTEN REALTY INVESTORS (REIT)                                   X                 1         N.A.  N.A.     N.A.

SUBTOTALS FOR REAL ESTATE INVESTMENT TRUSTS                                                      N.A.  N.A.     N.A.

*SUMMARY PAGE FOR A. COMMON STOCK *
MINOR ASSET TYPE
43 DOMESTIC COMMON STOCKS                                                                    70737561     0  2857028
44 FOREIGN COMMON STOCK/ADR'S                                                                 3404782 10511   569097
46 RIGHTS AND WARRANTS                                                                           1107     0       42
47 REAL ESTATE INVESTMENT TRUSTS                                                                 N.A.  N.A.     N.A.
*SUBTOTALS*                                                                                  74143450 10511  3426167

B. PREFERRED STOCK
DOMESTIC PREFERRED STOCKS
CHEVY CHASE BANK 8% SERIES C PFD                              X                        2         N.A.  N.A.     N.A.
QUANTA CAPITAL HOLDINGS PFD A 10.25%                          X                        2         N.A.  N.A.     N.A.
SAUL CENTERS PFD 8.0% SERIES                                  X                        2         N.A.  N.A.     N.A.

SUBTOTALS FOR DOMESTIC PREFERRED STOCKS

FOREIGN PREFERRED STOCKS
ROYAL BANK SCOTLAND PFD 6.4% SER M                                   X                 1         N.A.  N.A.     N.A.
ROYAL BANK SCOTLAND PFD 7.875% SER K                                          X        1         N.A.  N.A.     N.A.
ROYAL BANK SCOTLAND PLC ADR PFD E                                             X        1         N.A.  N.A.     N.A.

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

B. PREFERRED STOCK
CONVERTIBLE PREFERRED STOCKS
FORD MOTOR CAP TR II PFD CONV 6.50%                                  X                 1         N.A.  N.A.     N.A.
FORD MOTOR CAP TR II PFD CONV 6.50%                                           X        1         N.A.  N.A.     N.A.
GLENBOROUGH REALTY TR 7.75% CONV PFD                                 X                 1         N.A.  N.A.     N.A.
SCHERING- PLOUGH CV PFD 6.0% 09/14/07                                         X        1         N.A.  N.A.     N.A.
TEXTRON INC PFD CV $1.40 SER B                                       X                 1         N.A.  N.A.     N.A.
TRUSTSTREET PPTYS PFD CONV 7.72%                                     X                 1         N.A.  N.A.     N.A.
TRUSTSTREET PPTYS PFD CONV 7.72%                                     X                 3         N.A.  N.A.     N.A.
AES TRUST III 6.75% CV PREFERRED                              X                        2         N.A.  N.A.     N.A.
CHUBB CORP CONV 7.00% PREFERRED                               X                        2         N.A.  N.A.     N.A.
CONSTELLATION BRANDS 5.75% 09/01/06                           X                        2         N.A.  N.A.     N.A.


                                   51 of 57





                                                                                                   SEC USE  ______________

COLUMN 1                                                        COLUMN 2     COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     --------------- --------- ---------- ------------------------
                                                                                                   SHARES
                                                                                                     OR      SHARES   PUT
                                                                                         VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               --------------- --------- ---------- --------- --------- ----
                                                                                                    
LUCENT TECH CAP 7.75% CV PFD                                 PREFERRED STOCK 549462307     581        574   SHARES
METLIFE INC PFD CONV 6.375% 8/15/08                          PREFERRED STOCK 59156R702    3305     123510   SHARES

SUBTOTALS FOR CONVERTIBLE PREFERRED STOCKS                                                8572     247247

B. PREFERRED STOCK
GLOBAL EQUITY MUTUAL FUNDS
ABERDEEN AUSTRALIA EQUITY FUND                               PREFERRED STOCK 003011103      13       1000   SHARES
ING GLOBAL EQUITY DIV & PREM OPPT FD                         PREFERRED STOCK 45684E107      22       1150   SHARES
TEMPLETON DRAGON FUND INC                                    PREFERRED STOCK 88018T101       2        100   SHARES

SUBTOTALS FOR GLOBAL EQUITY MUTUAL FUNDS                                                    37       2250

B. PREFERRED STOCK
INTL EQUITY MUTUAL FUNDS
ASA BERMUDA LTD                                              PREFERRED STOCK G3156P103      65       1000   SHARES
ISHARES MSCI EAFE INDEX FD                                   PREFERRED STOCK 464287465     584       9000   SHARES
NICHOLAS- APPLEGATE INTL & PREM                              PREFERRED STOCK 65370C108      15        600   SHARES

SUBTOTALS FOR INTL EQUITY MUTUAL FUNDS                                                     664      10600

B. PREFERRED STOCK
BALANCED MUTUAL FUND
APOLLO INVESTMENT CORPORATION                                PREFERRED STOCK 03761U106      27       1500   SHARES
JOHN HANCOCK PATRIOT GLOBAL DIV FD                           PREFERRED STOCK 41013G103      12       1000   SHARES

SUBTOTALS FOR BALANCED MUTUAL FUND                                                          39       2500

B. PREFERRED STOCK
CLOSED END EQUITY MUTUAL FUND
AIM SELECT REAL ESTATE INCOME FD                             PREFERRED STOCK 00888R107      42       2600   SHARES
BLACKROCK DIVIDEND ACHIEVERS TRUST                           PREFERRED STOCK 09250N107      88       6750   SHARES
BRAZIL FUND INCORPORATED                                     PREFERRED STOCK 105759104       4         66   SHARES
CALAMOS STRATEGIC TOT RET FD                                 PREFERRED STOCK 128125101       7        500   SHARES
COHEN & STEERS ADVANTAGE INC RLTY FD                         PREFERRED STOCK 19247W102      23       1000   SHARES
COHEN & STEERS QUALITY INC RLTY FD                           PREFERRED STOCK 19247L106      88       4028   SHARES
COHEN & STEERS SELECT UTILITY FD                             PREFERRED STOCK 19248A109      21       1009   SHARES
CORNERSTONE STRATEGIC VALUE FUND                             PREFERRED STOCK 21924B104       1        128   SHARES
DNP SELECT INCOME FUND INC                                   PREFERRED STOCK 23325P104       4        428   SHARES
DNP SELECT INCOME FUND INC                                   PREFERRED STOCK 23325P104     195      18679   SHARES




                                                                    COLUMN 6                     COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
--------                                                     ---------------------- -------- -----------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
--------------                                               ---- -------- -------- -------- ---- ------ -----
                                                                                    
LUCENT TECH CAP 7.75% CV PFD                                  X                        2     N.A.  N.A.  N.A.
METLIFE INC PFD CONV 6.375% 8/15/08                           X                        2     N.A.  N.A.  N.A.

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

B. PREFERRED STOCK
GLOBAL EQUITY MUTUAL FUNDS
ABERDEEN AUSTRALIA EQUITY FUND                                                X        1     N.A.  N.A.  N.A.
ING GLOBAL EQUITY DIV & PREM OPPT FD                                          X        1     N.A.  N.A.  N.A.
TEMPLETON DRAGON FUND INC                                            X                 1     N.A.  N.A.  N.A.

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

B. PREFERRED STOCK
INTL EQUITY MUTUAL FUNDS
ASA BERMUDA LTD                                                      X                 1     N.A.  N.A.  N.A.
ISHARES MSCI EAFE INDEX FD                                           X                 1     N.A.  N.A.  N.A.
NICHOLAS- APPLEGATE INTL & PREM                                               X        1     N.A.  N.A.  N.A.

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

B. PREFERRED STOCK
BALANCED MUTUAL FUND
APOLLO INVESTMENT CORPORATION                                        X                 1     N.A.  N.A.  N.A.
JOHN HANCOCK PATRIOT GLOBAL DIV FD                                            X        1     N.A.  N.A.  N.A.

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

B. PREFERRED STOCK
CLOSED END EQUITY MUTUAL FUND
AIM SELECT REAL ESTATE INCOME FD                                     X                 1     N.A.  N.A.  N.A.
BLACKROCK DIVIDEND ACHIEVERS TRUST                                   X                 1     N.A.  N.A.  N.A.
BRAZIL FUND INCORPORATED                                             X                 1     N.A.  N.A.  N.A.
CALAMOS STRATEGIC TOT RET FD                                                  X        1     N.A.  N.A.  N.A.
COHEN & STEERS ADVANTAGE INC RLTY FD                                          X        1     N.A.  N.A.  N.A.
COHEN & STEERS QUALITY INC RLTY FD                                   X                 1     N.A.  N.A.  N.A.
COHEN & STEERS SELECT UTILITY FD                                     X                 1     N.A.  N.A.  N.A.
CORNERSTONE STRATEGIC VALUE FUND                                     X                 1     N.A.  N.A.  N.A.
DNP SELECT INCOME FUND INC                                           X                 1     N.A.  N.A.  N.A.
DNP SELECT INCOME FUND INC                                                    X        1     N.A.  N.A.  N.A.


                                   52 of 57





                                                                                                   SEC USE  ______________

COLUMN 1                                                        COLUMN 2     COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     --------------- --------- ---------- ------------------------
                                                                                                   SHARES
                                                                                                     OR      SHARES   PUT
                                                                                         VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               --------------- --------- ---------- --------- --------- ----
                                                                                                    
EATON VANCE TAX-ADVANTAGED DVD INC                           PREFERRED STOCK 27828G107      30       1250   SHARES
EATON VANCE TAX-ADVANTAGED DVD INC                           PREFERRED STOCK 27828G107      93       3900   SHARES
EVERGREEN INCOME ADV FD                                      PREFERRED STOCK 30023Y105      28       2000   SHARES
FIDUCIARY/CLAYMORE MLP OPPOR FD                              PREFERRED STOCK 31647Q106       2        100   SHARES
GABELLI EQUITY TRUST                                         PREFERRED STOCK 362397101      19       2249   SHARES
GABELLI GLOBAL MULTIMEDIA TR                                 PREFERRED STOCK 36239Q109       1        135   SHARES
GABELLI UTILITY TRUST                                        PREFERRED STOCK 36240A101       5        497   SHARES
HANCOCK JOHN TAX-ADVANTAGED DIV FD                           PREFERRED STOCK 41013V100       6        350   SHARES
INDIA FUND                                                   PREFERRED STOCK 454089103     122       2420   SHARES
ING PRIME RATE TR                                            PREFERRED STOCK 44977W106      14       2000   SHARES
ISHARES DJ SELECT DIVIDEND INDEX FD                          PREFERRED STOCK 464287168      66       1045   SHARES
ISHARES DJ SELECT DIVIDEND INDEX FD                          PREFERRED STOCK 464287168      16        250   SHARES
ISHARES DJ US BASIC MATERIALS SEC FD                         PREFERRED STOCK 464287838      35        625   SHARES
ISHARES DJ US TOTAL MARKET                                   PREFERRED STOCK 464287846      44        700   SHARES
ISHARES DOW JONES US UTIL SECT                               PREFERRED STOCK 464287697      29        385   SHARES
ISHARES MSCI EMERGING MARKETS INDEX                          PREFERRED STOCK 464287234      73        740   SHARES
ISHARES RUSSELL 1000 INDEX FD                                PREFERRED STOCK 464287622    4481      63384   SHARES
ISHARES RUSSELL 2000 INDEX FD                                PREFERRED STOCK 464287655    1657      21808   SHARES
ISHARES RUSSELL 2000 INDEX FD                                PREFERRED STOCK 464287655      20        260   SHARES
ISHARES S&P EUROPE 350 INDEX FD                              PREFERRED STOCK 464287861     187       2100   SHARES
ISHARES S&P MIDCAP 400 BARRA GRWTH I                         PREFERRED STOCK 464287606     403       5010   SHARES
ISHARES S&P MIDCAP 400 INDEX FD                              PREFERRED STOCK 464287507     662       8350   SHARES
ISHARES S&P MIDCAP 400/BARRA VAL IND                         PREFERRED STOCK 464287705     296       3865   SHARES
ISHARES S&P SMALLCAP 600 BARRA GRWTH                         PREFERRED STOCK 464287887     474       3660   SHARES
ISHARES S&P SMALLCAP 600 BARRA VAL I                         PREFERRED STOCK 464287879     210       2880   SHARES
ISHARES S&P SMALLCAP 600 INDEX FD                            PREFERRED STOCK 464287804     777      11910   SHARES
ISHARES S&P SMALLCAP 600 INDEX FD                            PREFERRED STOCK 464287804     301       4615   SHARES
ISHARES S&P 500 INDEX FD                                     PREFERRED STOCK 464287200    1705      13125   SHARES
ISHARES S&P 500/BARRA GRWTH INDEX FD                         PREFERRED STOCK 464287309     736      12080   SHARES
JOHN HANCOCK PATRIOT PFD DIVIDEND FD                         PREFERRED STOCK 41013J107      29       2300   SHARES
NUVEEN EQUITY PREMIUM INCOME                                 PREFERRED STOCK 6706ER101       9        500   SHARES
POWERSHARES DYNAMIC OIL & GAS                                PREFERRED STOCK 73935X625      10        500   SHARES
RYDEX RUSSELL TOP 50 ETF                                     PREFERRED STOCK 78355W205     501       5280   SHARES
SALOMON BROTHERS FUND                                        PREFERRED STOCK 795477108      39       2516   SHARES
SOURCE CAPITAL INC                                           PREFERRED STOCK 836144105       3         40   SHARES
TEMPLETON EMERGING MKTS FD                                   PREFERRED STOCK 880191101      17        858   SHARES
TEMPLETON EMERGING MKTS INC FD-DE                            PREFERRED STOCK 880192109      26       2000   SHARES
TRI-CONTINENTAL CORP                                         PREFERRED STOCK 895436103       2        116   SHARES
VANGUARD EMERGING MKTS VIPER                                 PREFERRED STOCK 922042858      13        200   SHARES
VANGUARD ENERGY VIPERS                                       PREFERRED STOCK 92204A306      43        550   SHARES
VANGUARD MATERIALS VIPERS                                    PREFERRED STOCK 92204A801      16        250   SHARES
VANGUARD TOTAL STOCK MARKET VIPERS                           PREFERRED STOCK 922908769     362       2790   SHARES

SUBTOTALS FOR CLOSED END EQUITY MUTUAL FUND                                              14035     224781

B. PREFERRED STOCK
INTL FIXED INCOME MUTUAL FUND
SALOMON BROS GLOBAL HIGH INC FD                                              79550G102      25       2000   SHARES

SUBTOTALS FOR INTL FIXED INCOME MUTUAL FUNDS                                                25       2000

B. PREFERRED STOCK




                                                                    COLUMN 6                     COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
--------                                                     ---------------------- -------- -----------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
--------------                                               ---- -------- -------- -------- ---- ------ -----
                                                                                    
EATON VANCE TAX-ADVANTAGED DVD INC                                   X                 1     N.A.  N.A.  N.A.
EATON VANCE TAX-ADVANTAGED DVD INC                                            X        1     N.A.  N.A.  N.A.
EVERGREEN INCOME ADV FD                                              X                 1     N.A.  N.A.  N.A.
FIDUCIARY/CLAYMORE MLP OPPOR FD                                      X                 1     N.A.  N.A.  N.A.
GABELLI EQUITY TRUST                                                 X                 1     N.A.  N.A.  N.A.
GABELLI GLOBAL MULTIMEDIA TR                                         X                 1     N.A.  N.A.  N.A.
GABELLI UTILITY TRUST                                                X                 1     N.A.  N.A.  N.A.
HANCOCK JOHN TAX-ADVANTAGED DIV FD                                   X                 1     N.A.  N.A.  N.A.
INDIA FUND                                                           X                 1     N.A.  N.A.  N.A.
ING PRIME RATE TR                                                    X                 1     N.A.  N.A.  N.A.
ISHARES DJ SELECT DIVIDEND INDEX FD                                  X                 1     N.A.  N.A.  N.A.
ISHARES DJ SELECT DIVIDEND INDEX FD                                           X        1     N.A.  N.A.  N.A.
ISHARES DJ US BASIC MATERIALS SEC FD                                 X                 1     N.A.  N.A.  N.A.
ISHARES DJ US TOTAL MARKET                                           X                 1     N.A.  N.A.  N.A.
ISHARES DOW JONES US UTIL SECT                                       X                 1     N.A.  N.A.  N.A.
ISHARES MSCI EMERGING MARKETS INDEX                                           X        1     N.A.  N.A.  N.A.
ISHARES RUSSELL 1000 INDEX FD                                                 X        1     N.A.  N.A.  N.A.
ISHARES RUSSELL 2000 INDEX FD                                        X                 1     N.A.  N.A.  N.A.
ISHARES RUSSELL 2000 INDEX FD                                                 X        1     N.A.  N.A.  N.A.
ISHARES S&P EUROPE 350 INDEX FD                                               X        1     N.A.  N.A.  N.A.
ISHARES S&P MIDCAP 400 BARRA GRWTH I                                 X                 1     N.A.  N.A.  N.A.
ISHARES S&P MIDCAP 400 INDEX FD                                      X                 1     N.A.  N.A.  N.A.
ISHARES S&P MIDCAP 400/BARRA VAL IND                                 X                 1     N.A.  N.A.  N.A.
ISHARES S&P SMALLCAP 600 BARRA GRWTH                                 X                 1     N.A.  N.A.  N.A.
ISHARES S&P SMALLCAP 600 BARRA VAL I                                 X                 1     N.A.  N.A.  N.A.
ISHARES S&P SMALLCAP 600 INDEX FD                                    X                 1     N.A.  N.A.  N.A.
ISHARES S&P SMALLCAP 600 INDEX FD                                             X        1     N.A.  N.A.  N.A.
ISHARES S&P 500 INDEX FD                                             X                 1     N.A.  N.A.  N.A.
ISHARES S&P 500/BARRA GRWTH INDEX FD                                 X                 1     N.A.  N.A.  N.A.
JOHN HANCOCK PATRIOT PFD DIVIDEND FD                                          X        1     N.A.  N.A.  N.A.
NUVEEN EQUITY PREMIUM INCOME                                         X                 1     N.A.  N.A.  N.A.
POWERSHARES DYNAMIC OIL & GAS                                                 X        1     N.A.  N.A.  N.A.
RYDEX RUSSELL TOP 50 ETF                                                      X        1     N.A.  N.A.  N.A.
SALOMON BROTHERS FUND                                                X                 1     N.A.  N.A.  N.A.
SOURCE CAPITAL INC                                                   X                 1     N.A.  N.A.  N.A.
TEMPLETON EMERGING MKTS FD                                                    X        1     N.A.  N.A.  N.A.
TEMPLETON EMERGING MKTS INC FD-DE                                             X        1     N.A.  N.A.  N.A.
TRI-CONTINENTAL CORP                                                          X        1     N.A.  N.A.  N.A.
VANGUARD EMERGING MKTS VIPER                                                  X        1     N.A.  N.A.  N.A.
VANGUARD ENERGY VIPERS                                                        X        1     N.A.  N.A.  N.A.
VANGUARD MATERIALS VIPERS                                            X                 1     N.A.  N.A.  N.A.
VANGUARD TOTAL STOCK MARKET VIPERS                                            X        1     N.A.  N.A.  N.A.

SUBTOTALS FOR CLOSED END EQUITY MUTUAL FUND                                                  N.A.  N.A.  N.A.

B. PREFERRED STOCK
INTL FIXED INCOME MUTUAL FUND
SALOMON BROS GLOBAL HIGH INC FD                                      X                 1     N.A.  N.A.  N.A.

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

B. PREFERRED STOCK


                                   53 of 57





                                                                                                   SEC USE  ______________

COLUMN 1                                                        COLUMN 2     COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     --------------- --------- ---------- ------------------------
                                                                                                   SHARES
                                                                                                     OR      SHARES   PUT
                                                                                         VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               --------------- --------- ---------- --------- --------- ----
                                                                                                    
CLOSED-END NON-TAXABLE INCOME
APEX MUNICIPAL FUND                                          PREFERRED STOCK 037580107     10        1000   SHARES
APEX MUNICIPAL FUND                                          PREFERRED STOCK 037580107     20        2027   SHARES
BLACKROCK INSD MUNI TERM TR                                  PREFERRED STOCK 092474105     19        1750   SHARES
BLACKROCK INSD MUNI 2008 TERM TR                             PREFERRED STOCK 09247K109     12         750   SHARES
BLACKROCK MUN TARGET TRM TR                                  PREFERRED STOCK 09247M105     23        2325   SHARES
BLACKROCK NY INS MUNI 2008 TERM TR                           PREFERRED STOCK 09247L107     11         750   SHARES
DREYFUS MUNICIPAL INCOME FUND                                PREFERRED STOCK 26201R102     64        7200   SHARES
DREYFUS STRATEGIC MUN BD FD                                  PREFERRED STOCK 26202F107    243       27602   SHARES
DREYFUS STRATEGIC MUN BD FD                                  PREFERRED STOCK 26202F107    158       17864   SHARES
DWS MUNICIPAL INCOME TRUST                                   PREFERRED STOCK 23338M106     16        1400   SHARES
DWS STRATEGIC MUNICIPAL INCOME TRUST                         PREFERRED STOCK 23338T101     19        1500   SHARES
EATON VANCE MUNICIPAL INCOME TRUST                           PREFERRED STOCK 27826U108     76        5000   SHARES
EATON VANCE PA MUNI INC TR                                   PREFERRED STOCK 27826T101    147       10000   SHARES
MANAGED MUNICIPALS PORTFOLIO INC                             PREFERRED STOCK 561662107     11        1016   SHARES
MORGAN STAN DEAN QUALITY MUN INC TR                          PREFERRED STOCK 61745P734     21        1413   SHARES
MORGAN STANLEY INSD MUNI INCOME TR                           PREFERRED STOCK 61745P791     41        2814   SHARES
MORGAN STANLEY MUNI INC OPP TR II                            PREFERRED STOCK 61745P445     18        2000   SHARES
MORGAN STANLEY QUALITY MUNI INVST                            PREFERRED STOCK 61745P668     23        1708   SHARES
MUNICIPAL HIGH INCOME FD INC                                 PREFERRED STOCK 626214100     15        2050   SHARES
MUNICIPAL HIGH INCOME FD INC                                 PREFERRED STOCK 626214100     16        2240   SHARES
MUNIENHANCED FUND INC                                        PREFERRED STOCK 626243109     21        1918   SHARES
MUNIENHANCED FUND INC                                        PREFERRED STOCK 626243109     22        2032   SHARES
MUNIHOLDINGS NEW JERSEY INSD FD INC                          PREFERRED STOCK 625936109     47        3050   SHARES
MUNIHOLDINGS NY INSURED FD                                   PREFERRED STOCK 625931100     45        3050   SHARES
MUNIYIELD CALIF INSD FUND INC                                PREFERRED STOCK 62629L104     45        3050   SHARES
MUNIYIELD FUND INC                                           PREFERRED STOCK 626299101     15        1000   SHARES
MUNIYIELD FUND INC                                           PREFERRED STOCK 626299101      5         350   SHARES
MUNIYIELD NEW YORK INSURED FD                                PREFERRED STOCK 626301105     22        1601   SHARES
MUNIYIELD PENNSYLVANIA INSURED FD                            PREFERRED STOCK 62630V109     26        1681   SHARES
MUNIYIELD QUALITY FUND II                                    PREFERRED STOCK 62630T104     87        6850   SHARES
NUVEEN DIV ADVANTAGE MUN FD 2                                PREFERRED STOCK 67070F100     37        2251   SHARES
NUVEEN INSD MUNI OPPORTUNITY                                 PREFERRED STOCK 670984103      6         396   SHARES
NUVEEN INSD QUALITY MUN FD                                   PREFERRED STOCK 67062N103     69        4624   SHARES
NUVEEN INVT QUALITY MUNI FD                                  PREFERRED STOCK 67062E103     24        1600   SHARES
NUVEEN INVT QUALITY MUNI FD                                  PREFERRED STOCK 67062E103      5         333   SHARES
NUVEEN MARYLAND DIVIDEND ADV MUN FD                          PREFERRED STOCK 67069R107     26        1623   SHARES
NUVEEN MD DIV ADVANTAGE MUN FD 2                             PREFERRED STOCK 67070V105     61        4059   SHARES
NUVEEN MUNI MARKET OPPORTUNITY FD                            PREFERRED STOCK 67062W103     26        1800   SHARES
NUVEEN MUNI MARKET OPPORTUNITY FD                            PREFERRED STOCK 67062W103    220       15000   SHARES
NUVEEN MUNICIPAL ADVANTAGE FD                                PREFERRED STOCK 67062H106     10         650   SHARES
NUVEEN MUNICIPAL ADVANTAGE FD                                PREFERRED STOCK 67062H106    165       10643   SHARES
NUVEEN MUNICIPAL VALUE FUND                                  PREFERRED STOCK 670928100     65        6700   SHARES
NUVEEN MUNICIPAL VALUE FUND                                  PREFERRED STOCK 670928100     50        5094   SHARES
NUVEEN NY INVT QUALITY MUN FD                                PREFERRED STOCK 67062X101     42        2965   SHARES
NUVEEN PA INVT QUALITY MUN FD                                PREFERRED STOCK 670972108    181       13086   SHARES
NUVEEN PA INVT QUALITY MUN FD                                PREFERRED STOCK 670972108    234       16923   SHARES
NUVEEN PA PREM INCOME MUN FD 2                               PREFERRED STOCK 67061F101     73        5316   SHARES
NUVEEN PA PREM INCOME MUN FD 2                               PREFERRED STOCK 67061F101     47        3392   SHARES
NUVEEN PERFORMANCE PLUS MUNI FD                              PREFERRED STOCK 67062P108     40        2680   SHARES
NUVEEN PREM INC MUN FD 4                                     PREFERRED STOCK 6706K4105      6         440   SHARES
NUVEEN PREM INC MUN FD 4                                     PREFERRED STOCK 6706K4105     21        1655   SHARES
NUVEEN PREMIER INSD MUNI INC FD                              PREFERRED STOCK 670987106      6         410   SHARES
NUVEEN QUALITY INCOME MUNI FD                                PREFERRED STOCK 670977107      7         500   SHARES




                                                                    COLUMN 6                     COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
--------                                                     ---------------------- -------- -----------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
--------------                                               ---- -------- -------- -------- ---- ------ -----
                                                                                    
CLOSED-END NON-TAXABLE INCOME
APEX MUNICIPAL FUND                                                  X                 1     N.A.  N.A.  N.A.
APEX MUNICIPAL FUND                                                           X        1     N.A.  N.A.  N.A.
BLACKROCK INSD MUNI TERM TR                                          X                 1     N.A.  N.A.  N.A.
BLACKROCK INSD MUNI 2008 TERM TR                                     X                 1     N.A.  N.A.  N.A.
BLACKROCK MUN TARGET TRM TR                                          X                 1     N.A.  N.A.  N.A.
BLACKROCK NY INS MUNI 2008 TERM TR                                   X                 1     N.A.  N.A.  N.A.
DREYFUS MUNICIPAL INCOME FUND                                                 X        1     N.A.  N.A.  N.A.
DREYFUS STRATEGIC MUN BD FD                                          X                 1     N.A.  N.A.  N.A.
DREYFUS STRATEGIC MUN BD FD                                                   X        1     N.A.  N.A.  N.A.
DWS MUNICIPAL INCOME TRUST                                                    X        1     N.A.  N.A.  N.A.
DWS STRATEGIC MUNICIPAL INCOME TRUST                                 X                 1     N.A.  N.A.  N.A.
EATON VANCE MUNICIPAL INCOME TRUST                                            X        1     N.A.  N.A.  N.A.
EATON VANCE PA MUNI INC TR                                                    X        1     N.A.  N.A.  N.A.
MANAGED MUNICIPALS PORTFOLIO INC                                              X        1     N.A.  N.A.  N.A.
MORGAN STAN DEAN QUALITY MUN INC TR                                           X        1     N.A.  N.A.  N.A.
MORGAN STANLEY INSD MUNI INCOME TR                                            X        1     N.A.  N.A.  N.A.
MORGAN STANLEY MUNI INC OPP TR II                                             X        1     N.A.  N.A.  N.A.
MORGAN STANLEY QUALITY MUNI INVST                                             X        1     N.A.  N.A.  N.A.
MUNICIPAL HIGH INCOME FD INC                                         X                 1     N.A.  N.A.  N.A.
MUNICIPAL HIGH INCOME FD INC                                                  X        1     N.A.  N.A.  N.A.
MUNIENHANCED FUND INC                                                X                 1     N.A.  N.A.  N.A.
MUNIENHANCED FUND INC                                                         X        1     N.A.  N.A.  N.A.
MUNIHOLDINGS NEW JERSEY INSD FD INC                                           X        1     N.A.  N.A.  N.A.
MUNIHOLDINGS NY INSURED FD                                                    X        1     N.A.  N.A.  N.A.
MUNIYIELD CALIF INSD FUND INC                                                 X        1     N.A.  N.A.  N.A.
MUNIYIELD FUND INC                                                   X                 1     N.A.  N.A.  N.A.
MUNIYIELD FUND INC                                                            X        1     N.A.  N.A.  N.A.
MUNIYIELD NEW YORK INSURED FD                                                 X        1     N.A.  N.A.  N.A.
MUNIYIELD PENNSYLVANIA INSURED FD                                             X        1     N.A.  N.A.  N.A.
MUNIYIELD QUALITY FUND II                                                     X        1     N.A.  N.A.  N.A.
NUVEEN DIV ADVANTAGE MUN FD 2                                                 X        1     N.A.  N.A.  N.A.
NUVEEN INSD MUNI OPPORTUNITY                                                  X        1     N.A.  N.A.  N.A.
NUVEEN INSD QUALITY MUN FD                                           X                 1     N.A.  N.A.  N.A.
NUVEEN INVT QUALITY MUNI FD                                          X                 1     N.A.  N.A.  N.A.
NUVEEN INVT QUALITY MUNI FD                                                   X        1     N.A.  N.A.  N.A.
NUVEEN MARYLAND DIVIDEND ADV MUN FD                                  X                 1     N.A.  N.A.  N.A.
NUVEEN MD DIV ADVANTAGE MUN FD 2                                     X                 1     N.A.  N.A.  N.A.
NUVEEN MUNI MARKET OPPORTUNITY FD                                    X                 1     N.A.  N.A.  N.A.
NUVEEN MUNI MARKET OPPORTUNITY FD                                             X        1     N.A.  N.A.  N.A.
NUVEEN MUNICIPAL ADVANTAGE FD                                        X                 1     N.A.  N.A.  N.A.
NUVEEN MUNICIPAL ADVANTAGE FD                                                 X        1     N.A.  N.A.  N.A.
NUVEEN MUNICIPAL VALUE FUND                                          X                 1     N.A.  N.A.  N.A.
NUVEEN MUNICIPAL VALUE FUND                                                   X        1     N.A.  N.A.  N.A.
NUVEEN NY INVT QUALITY MUN FD                                                 X        1     N.A.  N.A.  N.A.
NUVEEN PA INVT QUALITY MUN FD                                        X                 1     N.A.  N.A.  N.A.
NUVEEN PA INVT QUALITY MUN FD                                                 X        1     N.A.  N.A.  N.A.
NUVEEN PA PREM INCOME MUN FD 2                                       X                 1     N.A.  N.A.  N.A.
NUVEEN PA PREM INCOME MUN FD 2                                                X        1     N.A.  N.A.  N.A.
NUVEEN PERFORMANCE PLUS MUNI FD                                               X        1     N.A.  N.A.  N.A.
NUVEEN PREM INC MUN FD 4                                             X                 1     N.A.  N.A.  N.A.
NUVEEN PREM INC MUN FD 4                                                      X        1     N.A.  N.A.  N.A.
NUVEEN PREMIER INSD MUNI INC FD                                      X                 1     N.A.  N.A.  N.A.
NUVEEN QUALITY INCOME MUNI FD                                        X                 1     N.A.  N.A.  N.A.


                                   54 of 57





                                                                                                   SEC USE  ______________

COLUMN 1                                                        COLUMN 2     COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     --------------- --------- ---------- ------------------------
                                                                                                   SHARES
                                                                                                     OR      SHARES   PUT
                                                                                         VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               --------------- --------- ---------- --------- --------- ----
                                                                                                    
NUVEEN QUALITY INCOME MUNI FD                                PREFERRED STOCK 670977107       3        210   SHARES
NUVEEN SELECT QUALITY MUN FD                                 PREFERRED STOCK 670973106       6        406   SHARES
NUVEEN SELECT TAX FREE INC III                               PREFERRED STOCK 67063X100      28       2100   SHARES
PIMCO MUNICIPAL INCOME FUND                                  PREFERRED STOCK 72200R107       1         71   SHARES
PIMCO MUNICIPAL INCOME FUND II                               PREFERRED STOCK 72200W106      47       3200   SHARES
PIMCO MUNICIPAL INCOME FUND III                              PREFERRED STOCK 72201A103      20       1335   SHARES
PUTNAM MANAGED MUNICIPAL INCOME TR                           PREFERRED STOCK 746823103      71       9663   SHARES
SALOMON BROS MUNI PTR FD                                     PREFERRED STOCK 794916106      19       1350   SHARES
SELIGMAN SELECT MUNICIPAL FD                                 PREFERRED STOCK 816344105      10       1000   SHARES
VAN KAMPEN MUNICIPAL OPPORTUNITY TR                          PREFERRED STOCK 920935103     113       7385   SHARES
VAN KAMPEN PENN VALUE MUNI INCOME TR                         PREFERRED STOCK 92112T108     233      16859   SHARES
VAN KAMPEN PENN VALUE MUNI INCOME TR                         PREFERRED STOCK 92112T108     494      35753   SHARES
VAN KAMPEN TR FOR INV GR MUNICIPALS                          PREFERRED STOCK 920929106      86       5851   SHARES
VAN KAMPEN TRUST INSURED MUNICIPAL                           PREFERRED STOCK 920928108       8        505   SHARES
VK ADVANTAGE MUNI INCOME TR II                               PREFERRED STOCK 92112K107      12        933   SHARES

SUBTOTALS FOR CLOSED-END NON-TAXABLE INCOME                                               3870     305752

B. PREFERRED STOCK
CLOSED-END FIXED INCOME
ACM INCOME FUND                                              PREFERRED STOCK 000912105      15       1892   SHARES
AMERICAN SELECT PORTFOLIO                                    PREFERRED STOCK 029570108      16       1400   SHARES
AMERICAN STRATEGIC INCOME II                                 PREFERRED STOCK 030099105      20       1800   SHARES
AMERICAN STRATEGIC INCOME III FD                             PREFERRED STOCK 03009T101      18       1700   SHARES
BANCROFT FUND LTD                                            PREFERRED STOCK 059695106       1         41   SHARES
CALAMOS CONV & HIGH INC FD                                   PREFERRED STOCK 12811P108      43       2625   SHARES
DEBT STRATEGIES FUND INC                                     PREFERRED STOCK 24276Q109      96      14500   SHARES
DIVERSIFIED INC STRAT PTF                                    PREFERRED STOCK 255251100       5        300   SHARES
DREYFUS HIGH YIELD STRATEGIES FD                             PREFERRED STOCK 26200S101       8       2000   SHARES
DUFF & PHELPS UTIL & CORP BOND FD                            PREFERRED STOCK 26432K108      18       1500   SHARES
EATON VANCE LTD DURATION INC FD                              PREFERRED STOCK 27828H105      41       2400   SHARES
EATON VANCE SR FLOATING RATE FD                              PREFERRED STOCK 27828Q105      44       2400   SHARES
FRANKLIN TEMPLETON LTD DUR INC TR                            PREFERRED STOCK 35472T101      21       1600   SHARES
FRANKLIN UNIVERSAL TRUST                                     PREFERRED STOCK 355145103      26       4200   SHARES
HIGH INCOME OPPORTUNITY FD INC                               PREFERRED STOCK 42967Q105      14       2281   SHARES
ISHARES LEHMAN UST INF PR S                                  PREFERRED STOCK 464287176     124       1235   SHARES
JOHN HANCOCK INC SEC TRUST                                   PREFERRED STOCK 410123103       3        203   SHARES
JOHN HANCOCK INVESTORS TRUST                                 PREFERRED STOCK 410142103       5        300   SHARES
JOHN HANCOCK PFD INC FD II                                   PREFERRED STOCK 41013X106      26       1150   SHARES
JOHN HANCOCK PFD INC FD III                                  PREFERRED STOCK 41021P103       8        400   SHARES
MFS INTERMEDIATE INCOME TRUST                                PREFERRED STOCK 55273C107      62      10000   SHARES
MFS SPECIAL VALUE TRUST                                      PREFERRED STOCK 55274E102      22       2125   SHARES
MONTGOMERY ST INCOME SECS INC                                PREFERRED STOCK 614115103      79       4653   SHARES
MORGAN STANLEY EMERGING MKTS DEBT FD                         PREFERRED STOCK 61744H105      16       1500   SHARES
MORGAN STANLEY GLOBAL OPP BD FD                              PREFERRED STOCK 61744R103      31       3100   SHARES
MORGAN STANLEY GOVT INC TRST                                 PREFERRED STOCK 61745P106      26       3000   SHARES
MORGAN STANLEY HIGH YLD FD INC                               PREFERRED STOCK 61744M104       2        300   SHARES
MORGAN STANLEY HIGH YLD FD INC                               PREFERRED STOCK 61744M104      16       2750   SHARES
NEW AMERICAN HIGH INCOME FD INC CE                           PREFERRED STOCK 641876107       7       3500   SHARES
NUVEEN PFD & CONV INCOME FD II                               PREFERRED STOCK 67073D102      23       1860   SHARES
NUVEEN PFD & CONV INCOME FD II                               PREFERRED STOCK 67073D102       6        500   SHARES
NUVEEN PFD & CVRT INCOME FUND                                PREFERRED STOCK 67073B106      19       1500   SHARES




                                                                    COLUMN 6                     COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
--------                                                     ---------------------- -------- -----------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
--------------                                               ---- -------- -------- -------- ---- ------ -----
                                                                                    
NUVEEN QUALITY INCOME MUNI FD                                                 X        1     N.A.  N.A.  N.A.
NUVEEN SELECT QUALITY MUN FD                                                  X        1     N.A.  N.A.  N.A.
NUVEEN SELECT TAX FREE INC III                                       X                 1     N.A.  N.A.  N.A.
PIMCO MUNICIPAL INCOME FUND                                          X                 1     N.A.  N.A.  N.A.
PIMCO MUNICIPAL INCOME FUND II                                                X        1     N.A.  N.A.  N.A.
PIMCO MUNICIPAL INCOME FUND III                                      X                 1     N.A.  N.A.  N.A.
PUTNAM MANAGED MUNICIPAL INCOME TR                                            X        1     N.A.  N.A.  N.A.
SALOMON BROS MUNI PTR FD                                             X                 1     N.A.  N.A.  N.A.
SELIGMAN SELECT MUNICIPAL FD                                                  X        1     N.A.  N.A.  N.A.
VAN KAMPEN MUNICIPAL OPPORTUNITY TR                                           X        1     N.A.  N.A.  N.A.
VAN KAMPEN PENN VALUE MUNI INCOME TR                                 X                 1     N.A.  N.A.  N.A.
VAN KAMPEN PENN VALUE MUNI INCOME TR                                          X        1     N.A.  N.A.  N.A.
VAN KAMPEN TR FOR INV GR MUNICIPALS                                           X        1     N.A.  N.A.  N.A.
VAN KAMPEN TRUST INSURED MUNICIPAL                                   X                 1     N.A.  N.A.  N.A.
VK ADVANTAGE MUNI INCOME TR II                                       X                 1     N.A.  N.A.  N.A.

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

B. PREFERRED STOCK
CLOSED-END FIXED INCOME
ACM INCOME FUND                                                               X        1     N.A.  N.A.  N.A.
AMERICAN SELECT PORTFOLIO                                            X                 1     N.A.  N.A.  N.A.
AMERICAN STRATEGIC INCOME II                                         X                 1     N.A.  N.A.  N.A.
AMERICAN STRATEGIC INCOME III FD                                     X                 1     N.A.  N.A.  N.A.
BANCROFT FUND LTD                                                    X                 1     N.A.  N.A.  N.A.
CALAMOS CONV & HIGH INC FD                                                    X        1     N.A.  N.A.  N.A.
DEBT STRATEGIES FUND INC                                             X                 1     N.A.  N.A.  N.A.
DIVERSIFIED INC STRAT PTF                                            X                 1     N.A.  N.A.  N.A.
DREYFUS HIGH YIELD STRATEGIES FD                                              X        1     N.A.  N.A.  N.A.
DUFF & PHELPS UTIL & CORP BOND FD                                             X        1     N.A.  N.A.  N.A.
EATON VANCE LTD DURATION INC FD                                      X                 1     N.A.  N.A.  N.A.
EATON VANCE SR FLOATING RATE FD                                      X                 1     N.A.  N.A.  N.A.
FRANKLIN TEMPLETON LTD DUR INC TR                                             X        1     N.A.  N.A.  N.A.
FRANKLIN UNIVERSAL TRUST                                                      X        1     N.A.  N.A.  N.A.
HIGH INCOME OPPORTUNITY FD INC                                       X                 1     N.A.  N.A.  N.A.
ISHARES LEHMAN UST INF PR S                                          X                 1     N.A.  N.A.  N.A.
JOHN HANCOCK INC SEC TRUST                                                    X        1     N.A.  N.A.  N.A.
JOHN HANCOCK INVESTORS TRUST                                                  X        1     N.A.  N.A.  N.A.
JOHN HANCOCK PFD INC FD II                                           X                 1     N.A.  N.A.  N.A.
JOHN HANCOCK PFD INC FD III                                          X                 1     N.A.  N.A.  N.A.
MFS INTERMEDIATE INCOME TRUST                                                 X        1     N.A.  N.A.  N.A.
MFS SPECIAL VALUE TRUST                                                       X        1     N.A.  N.A.  N.A.
MONTGOMERY ST INCOME SECS INC                                        X                 1     N.A.  N.A.  N.A.
MORGAN STANLEY EMERGING MKTS DEBT FD                                 X                 1     N.A.  N.A.  N.A.
MORGAN STANLEY GLOBAL OPP BD FD                                      X                 1     N.A.  N.A.  N.A.
MORGAN STANLEY GOVT INC TRST                                         X                 1     N.A.  N.A.  N.A.
MORGAN STANLEY HIGH YLD FD INC                                       X                 1     N.A.  N.A.  N.A.
MORGAN STANLEY HIGH YLD FD INC                                                X        1     N.A.  N.A.  N.A.
NEW AMERICAN HIGH INCOME FD INC CE                                            X        1     N.A.  N.A.  N.A.
NUVEEN PFD & CONV INCOME FD II                                       X                 1     N.A.  N.A.  N.A.
NUVEEN PFD & CONV INCOME FD II                                                X        1     N.A.  N.A.  N.A.
NUVEEN PFD & CVRT INCOME FUND                                        X                 1     N.A.  N.A.  N.A.


                                   55 of 57





                                                                                                   SEC USE  ______________

COLUMN 1                                                        COLUMN 2     COLUMN 3   COLUMN 4          COLUMN 5
--------                                                     --------------- --------- ---------- ------------------------
                                                                                                   SHARES
                                                                                                     OR      SHARES   PUT
                                                                                         VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS   CUSIP    (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               --------------- --------- ---------- --------- --------- ----
                                                                                                    
NUVEEN QUALITY PFD INCOME FD 2                               PREFERRED STOCK 67072C105      56        4085  SHARES
NUVEEN QUALITY PFD INCOME FD 3                               PREFERRED STOCK 67072W101      92        7000  SHARES
PIMCO CORPORATE INCOME FUND                                  PREFERRED STOCK 72200U100      11         740  SHARES
PIMCO RCM STRAT GLOBAL GOVT                                  PREFERRED STOCK 72200X104      18        1500  SHARES
PUTNAM MANAGED HIGH YIELD TRUST                              PREFERRED STOCK 746819101      23        2650  SHARES
PUTNAM PREMIER INCOME TRUST                                  PREFERRED STOCK 746853100       1         144  SHARES
PUTNAM PREMIER INCOME TRUST                                  PREFERRED STOCK 746853100       2         300  SHARES
TEMPLETON GLOBAL INCOME FUND-DE                              PREFERRED STOCK 880198106     358       41543  SHARES
WESTERN ASSET INCOME FUND                                    PREFERRED STOCK 95766T100      21        1500  SHARES

SUBTOTALS FOR CLOSED-END FIXED INCOME                                                     1443      138177

*SUMMARY PAGE FOR B. PREFERRED STOCK *
MINOR ASSET TYPE
49 DOMESTIC PREFERRED STOCKS                                                              2272       89950
50 FOREIGN PREFERRED STOCKS                                                                 73        2900
51 CONVERTIBLE PREFERRED STOCKS                                                           8572      247247
60 GLOBAL EQUITY MUTUAL FUNDS                                                               37        2250
61 INTL EQUITY MUTUAL FUNDS                                                                664       10600
62 BALANCED MUTUAL FUND                                                                     39        2500
63 CLOSED END EQUITY MUTUAL FUND                                                         14035      224781
64 INTL FIXED INCOME MUTUAL FUNDS                                                           25        2000
65 CLOSED-END NON-TAXABLE INCOME                                                          3870      305752
68 CLOSED-END FIXED INCOME                                                                1443      138177

*SUBTOTALS*                                                                              31030     1026157

C. OTHER
MUNICIPAL UITS
MFS MUN INCOME TR SH BEN INT                                 UIT             552738106      14        1700  SHARES

SUBTOTALS FOR MUNICIPAL UITS                                                                14        1700

C. OTHER
EQUITY UITS

EQUITY INCOME FUND-AT&T SHARES UIT                           UIT             294700703      52         600  SHARES

SUBTOTALS FOR EQUITY UITS                                                                   52         600

C. OTHER
PARTNERSHIPS
FERRELLGAS PARTNERS LP                                       PARTNERSHIP     315293100     212       10000  SHARES

SUBTOTALS FOR PARTNERSHIPS                                                                 212       10000




                                                                    COLUMN 6                     COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7 VOTING AUTHORITY
--------                                                     ---------------------- -------- -----------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS SOLE SHARED OTHER
--------------                                               ---- -------- -------- -------- ---- ------ -----
                                                                                    
NUVEEN QUALITY PFD INCOME FD 2                                       X                 1     N.A.  N.A.  N.A.
NUVEEN QUALITY PFD INCOME FD 3                                                X        1     N.A.  N.A.  N.A.
PIMCO CORPORATE INCOME FUND                                          X                 1     N.A.  N.A.  N.A.
PIMCO RCM STRAT GLOBAL GOVT                                          X                 1     N.A.  N.A.  N.A.
PUTNAM MANAGED HIGH YIELD TRUST                                               X        1     N.A.  N.A.  N.A.
PUTNAM PREMIER INCOME TRUST                                          X                 1     N.A.  N.A.  N.A.
PUTNAM PREMIER INCOME TRUST                                                   X        1     N.A.  N.A.  N.A.
TEMPLETON GLOBAL INCOME FUND-DE                                      X                 1     N.A.  N.A.  N.A.
WESTERN ASSET INCOME FUND                                                     X        1     N.A.  N.A.  N.A.

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

*SUMMARY PAGE FOR B. PREFERRED STOCK *
MINOR ASSET TYPE
49 DOMESTIC PREFERRED STOCKS                                                                 N.A.  N.A.  N.A.
50 FOREIGN PREFERRED STOCKS                                                                  N.A.  N.A.  N.A.
51 CONVERTIBLE PREFERRED STOCKS                                                              N.A.  N.A.  N.A.
60 GLOBAL EQUITY MUTUAL FUNDS                                                                N.A.  N.A.  N.A.
61 INTL EQUITY MUTUAL FUNDS                                                                  N.A.  N.A.  N.A.
62 BALANCED MUTUAL FUND                                                                      N.A.  N.A.  N.A.
63 CLOSED END EQUITY MUTUAL FUND                                                             N.A.  N.A.  N.A.
64 INTL FIXED INCOME MUTUAL FUNDS                                                            N.A.  N.A.  N.A.
65 CLOSED-END NON-TAXABLE INCOME                                                             N.A.  N.A.  N.A.
68 CLOSED-END FIXED INCOME                                                                   N.A.  N.A.  N.A.

*SUBTOTALS*                                                                                  N.A.  N.A.  N.A.

C. OTHER
MUNICIPAL UITS
MFS MUN INCOME TR SH BEN INT                                         X                 1     N.A.  N.A.  N.A.

SUBTOTALS FOR MUNICIPAL UITS                                                                 N.A.  N.A.  N.A.

C. OTHER
EQUITY UITS

EQUITY INCOME FUND-AT&T SHARES UIT                                            X        1     N.A.  N.A.  N.A.

SUBTOTALS FOR EQUITY UITS                                                                    N.A.  N.A.  N.A.

C. OTHER
PARTNERSHIPS
FERRELLGAS PARTNERS LP                                                        X        1     N.A.  N.A.  N.A.

SUBTOTALS FOR PARTNERSHIPS                                                                   N.A.  N.A.  N.A.


                                   56 of 57





                                                                                                 SEC USE  ______________

COLUMN 1                                                        COLUMN 2    COLUMN 3  COLUMN 4          COLUMN 5
--------                                                     -------------- -------- ---------- ------------------------
                                                                                                 SHARES
                                                                                                   OR      SHARES   PUT
                                                                                       VALUE    PRINCIPAL    OR      OR
NAME OF ISSUER                                               TITLE OF CLASS  CUSIP   (X $1,000)  AMOUNT   PRINCIPAL CALL
--------------                                               -------------- -------- ---------- --------- --------- ----
                                                                                                  
*SUMMARY PAGE FOR C. OTHER *
MINOR ASSET TYPE
70 MUNICIPAL UITS                                                                          14       1700
72 EQUITY UITS                                                                             52        600
88 PARTNERSHIPS                                                                           212      10000

*SUBTOTALS*                                                                               278      12300

**SUMMARY PAGE FOR: M & T BANK (SERVICE BUREAU)**
CATEGORY
A. COMMON STOCK                                                                       3372290   77829145
B. PREFERRED STOCK                                                                      31030    1026157
C. OTHER                                                                                  278      12300
**GRAND TOTALS**                                                                      3403598   78867602




                                                                    COLUMN 6                        COLUMN 8
COLUMN 1                                                      INVESTMENT AUTHORITY  COLUMN 7    VOTING AUTHORITY
--------                                                     ---------------------- -------- -----------------------


                                                                  SHARED - SHARED -  OTHER
NAME OF ISSUER                                               SOLE DEFINED   OTHER   MANAGERS   SOLE   SHARED  OTHER
--------------                                               ---- -------- -------- -------- -------- ------ -------
                                                                                        
*SUMMARY PAGE FOR C. OTHER *
MINOR ASSET TYPE
70 MUNICIPAL UITS                                                                                N.A.  N.A.     N.A.
72 EQUITY UITS                                                                                   N.A.  N.A.     N.A.
88 PARTNERSHIPS                                                                                  N.A.  N.A.     N.A.

*SUBTOTALS*                                                                                      N.A.  N.A.     N.A.

**SUMMARY PAGE FOR: M & T BANK (SERVICE BUREAU)**
CATEGORY
A. COMMON STOCK                                                                              74143450 10511  3426167
B. PREFERRED STOCK                                                                               N.A.  N.A.     N.A.
C. OTHER                                                                                         N.A.  N.A.     N.A.
**GRAND TOTALS**                                                                                 N.A.  N.A.    N.A .


                                   57 of 57